Definition of Solid Waste, 1693-1814 [2014-30382]
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Vol. 80
Tuesday,
No. 8
January 13, 2015
Part II
Environmental Protection Agency
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40 CFR Parts 260 and 261
Definition of Solid Waste; Final Rule
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Federal Register / Vol. 80, No. 8 / Tuesday, January 13, 2015 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Parts 260 and 261
[EPA–HQ–RCRA–2010–0742; FRL–9728–5–
OSWER]
RIN 2050–AG62
Definition of Solid Waste
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
The Environmental Protection
Agency (EPA, or the Agency) is
publishing a final rule that revises
several recycling-related provisions
associated with the definition of solid
waste used to determine hazardous
waste regulation under Subtitle C of the
Resource Conservation and Recovery
Act (RCRA). The purpose of these
revisions is to ensure that the hazardous
secondary materials recycling
regulations, as implemented, encourage
reclamation in a way that does not
result in increased risk to human health
and the environment from discarded
hazardous secondary material.
DATES: This final rule is effective on July
13, 2015.
ADDRESSES: EPA has established a
docket for this action under Docket ID
No. EPA–HQ–RCRA–2010–0742. All
documents in the docket are listed in
the www.regulations.gov index.
Although listed in the index, some
information is not publicly available,
such as Confidential Business
Information (CBI) or other information
whose disclosure is restricted by statute.
Certain other material, such as
copyrighted material, is not placed on
the internet and will be publicly
available only in hard copy form.
Publicly available docket materials are
available either electronically at
www.regulations.gov or in hard copy at
the RCRA Docket, EPA/DC, William
Jefferson Clinton Building West, Room
3334, 1301 Constitution Ave. NW.,
Washington, DC. The Public Reading
Room is open from 8:30 a.m. to 4:30
p.m. Monday through Friday, excluding
legal holidays. The telephone number
for the Public Reading Room is (202)
566–1744 and the telephone number for
the RCRA Docket is (202) 566–0276.
FOR FURTHER INFORMATION CONTACT:
Tracy Atagi, Office of Resource
Conservation and Recovery, Materials
Recovery and Waste Management
Division, MC 5304P, Environmental
Protection Agency, 1200 Pennsylvania
Ave. NW., Washington, DC 20460, at
(703) 308–8672, (atagi.tracy@epa.gov) or
Amanda Kohler, Office of Resource
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SUMMARY:
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Conservation and Recovery, Materials
Recovery and Waste Management
Division, MC 5304P, Environmental
Protection Agency, 1200 Pennsylvania
Ave. NW., Washington, DC 20460, at
(703) 347–8975,
(kohler.amanda@epa.gov).
SUPPLEMENTARY INFORMATION:
A. Does this action apply to me?
Entities potentially affected by today’s
action include over 5,000 industrial
facilities in 634 industries (at the 6-digit
North American Industry Classification
System (NAICS) code level) that
generate or recycle hazardous secondary
materials (HSM). Most of these 634
industries have relatively few entities
that are potentially affected. The top-5
economic sectors (at the 2-digit NAICS
code level) with the largest number of
potentially affected entities are as
follows: (1) 41% in NAICS code 33—the
manufacturing sector, which consists of
metals, metal products, machinery,
computer & electronics, electrical
equipment, transportation equipment,
furniture, and miscellaneous
manufacturing subsectors, (2) 23% in
NAICS code 32—the manufacturing
sector, which consists of wood
products, paper, printing, petroleum &
coal products, chemicals plastics &
rubber products, and nonmetallic
mineral products manufacturing
subsectors, (3) 3.0% in NAICS code
92—the public administration sector, (4)
2.9% in NAICS code 61—the
educational services sector, and (5)
2.8% in NAICS code 54—the
professional, scientific and technical
services sector.
Information on the estimated future
economic impacts of today’s action is
presented in section XXI of this notice,
as well as in the RIA available in the
docket for today’s action.
Preamble Outline
I. Statutory Authority
II. Which revisions to the regulations is EPA
finalizing?
III. History of the Definition of Solid Waste
IV. When will the final rule become
effective?
V. Revisions to the Exclusion for Hazardous
Secondary Materials That Are
Legitimately Reclaimed Under the
Control of the Generator
VI. Verified Recycler Exclusion Replacing the
Exclusion for Hazardous Secondary
Materials That Are Transferred for the
Purpose of Reclamation
VII. Remanufacturing eXclusion
VIII. Revisions to the Definition of
Legitimacy and Prohibition of Sham
Recycling
IX. Revisions to Solid Waste Variances and
Non-Waste Determinations
X. Effect on Facilities Currently Operating
Under Solid Waste Exclusions
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XI. Effect on Spent Petroleum Catalysts
XII. Effect on CERCLA
XIII. General Comments on the 2011
Proposed Revisions to the Definition of
Solid Waste
XIV. Major Comments on the Exclusion for
Hazardous Secondary Materials
Legitimately Reclaimed Under the
Control of the Generator and
Recordkeeping for Speculative
Accumulation
XV. Major Comments on the Replacement of
the Exclusion for Hazardous Secondary
Materials That Are Transferred for the
Purpose of Reclamation
XVI. Major Comments on the
Remanufacturing Exclusion
XVII. Major Comments on Legitimacy
XVIII. Major Comments on the Revisions to
Solid Waste Variances and Non-Waste
Determinations
XIX. Major Comments on the Proposed
Revisions to Pre-2008 Recycling
Exclusions
XX. State Authorization
XXI. Statutory and Executive Order (E.O.)
Reviews
I. Statutory Authority
These regulations are promulgated
under the authority of sections 2002,
3001, 3002, 3003, 3004, 3007, 3010, and
3017 of the Solid Waste Disposal Act of
1970, as amended by the Resource
Conservation and Recovery Act of 1976
(RCRA), as amended by the Hazardous
and Solid Waste Amendments of 1984
(HSWA), 42 U.S.C. 6921, 6922, 6923,
and 6924. This statute is commonly
referred to as ‘‘RCRA.’’
II. Which revisions to the regulations is
EPA finalizing?
In today’s rule, EPA is revising a
number of provisions related to the
definition of solid waste as it applies to
the regulation of hazardous waste under
Subtitle C of RCRA (42 U.S.C. 6921
through 6939(e)). These revisions affect
certain types of hazardous secondary
materials that are currently
conditionally excluded from the
definition of solid waste when
reclaimed. These exclusions were
promulgated in October 2008 (73 FR
64688, October 30, 2008) and were
intended to encourage the recovery and
reuse of valuable resources as an
alternative to land disposal or
incineration, while at the same time
maintaining protection of human health
and the environment. In response to
concerns raised by stakeholders about
potential increases in risks to human
health and the environment from
hazardous secondary materials, today’s
rule revises the 2008 DSW final rule in
order to ensure that the rule, as
implemented, encourages reclamation
in a way that protects human health and
the environment from the
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mismanagement of hazardous secondary
materials.
The six major regulatory areas are
summarized below.1 The intent of this
summary is to give a brief overview of
the actions EPA is taking today. More
detailed discussions, including the
Agency’s rationale for the changes, are
found in later sections of this preamble.
A. Exclusion for Hazardous Secondary
Materials That Are Legitimately
Reclaimed Under the Control of the
Generator
Under today’s final rule, EPA is
retaining the exclusion for hazardous
secondary materials that are legitimately
reclaimed under the control of the
generator (‘‘generator-controlled
exclusion’’), with certain revisions from
the 2008 DSW final rule. These
revisions include (1) adding a codified
definition of ‘‘contained,’’ (2) adding
recordkeeping requirements for samecompany and toll manufacturing
reclamation, (3) making notification a
condition of the exclusion, (4) adding a
requirement to document that recycling
under the exclusion is legitimate, and
(5) adding emergency preparedness and
response conditions. In addition, we
have amended the speculative
accumulation provisions to add a
recordkeeping requirement. This
requirement applies to all persons
subject to speculative accumulation.
The generator-controlled exclusion
(40 CFR 261.4(a)(23)) excludes certain
hazardous secondary materials (i.e.,
listed sludges, listed by-products, and
spent materials) from the definition of
solid waste if they are generated and
legitimately reclaimed within the
United States or its territories under the
control of the generator. Specifically,
hazardous secondary materials are
excluded if (1) the reclamation process
meets the definition of legitimate
recycling under 40 CFR 260.43; (2) the
materials are not speculatively
accumulated as defined in 40 CFR
261.1(c)(8) (including a new
recordkeeping requirement, being
finalized today); (3) they meet the
notification condition under 40 CFR
260.42; (4) they are managed in a unit
that meets the new definition of
‘‘contained’’ in 40 CFR 260.10, which
specifies that storage units must be in
good condition, properly labeled, do not
hold incompatible materials, and
address potential risks of fires or
explosions; and (5) the generator
satisfies certain emergency
preparedness and response conditions.
1 Any provisions promulgated in the 2008 DSW
rule that are not addressed in this final rule remain
in effect.
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Further discussion of the generatorcontrolled exclusion can be found in
section V of this preamble.
B. Verified Recycler Exclusion
Replacing the Exclusion for Hazardous
Secondary Materials That Are
Transferred for the Purpose of
Legitimate Reclamation
EPA is replacing the exclusions at 40
CFR 261.4(a)(24) and (25) for hazardous
secondary materials that are transferred
from the generator to other persons for
the purpose of reclamation with an
exclusion for hazardous secondary
materials sent for reclamation to a
verified recycler. By this change, EPA
intends to promote safe and sustainable
reclamation of these materials. Under
this new exclusion, generators who
want to recycle their hazardous
secondary materials without having
them become hazardous wastes must
send their materials to either a RCRApermitted reclamation facility or to a
verified recycler of hazardous secondary
materials who has obtained a solid
waste variance from EPA or the
authorized state. In order to obtain a
variance from EPA or the authorized
state, the recycler must (1) demonstrate
their recycling is legitimate; (2) have
financial assurance in place to properly
manage the hazardous secondary
material when the facility closes; (3) not
be subject to a formal enforcement
action in the previous three years and
not be classified as a significant noncomplier under RCRA Subtitle C, or
must provide credible evidence that the
facility will manage the hazardous
secondary materials properly; (4) have
the proper equipment and trained
personnel, and meet emergency
preparedness and response conditions
to safely recycle the material; (5)
manage the residuals from recycling
properly; and (6) take steps to protect
nearby communities and reduce risk of
potential unpermitted releases of the
hazardous secondary material to the
environment (i.e., releases that are not
covered by a permit (such as a permit
to discharge to water or air). Further
discussion of the replacement of the
transfer-based exclusion with the
verified recycler exclusion can be found
in section VI of this preamble.
C. Remanufacturing Exclusion
EPA is also finalizing an exclusion
from the definition of solid waste for
certain higher-value solvents transferred
from one manufacturer to another for
the purpose of extending the useful life
of the solvent by remanufacturing the
spent solvent back into the commercial
grade solvent. This remanufacturing
exclusion will help promote sustainable
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materials management by extending the
productive use of these materials, which
reduces the need for raw materials used
and the environmental impacts
associated with production of these
materials. In addition, EPA is also
making clear that a rulemaking petition
pursuant to 40 CFR 260.20 can be
submitted for adding other higher-value
hazardous secondary materials that are
destined to be remanufactured into
similarly higher-value products. Further
discussion of this exclusion can be
found in section VII of this preamble.
D. Prohibition of Sham Recycling and
Revisions to the Definition of Legitimacy
In this final rulemaking, EPA is
codifying in its regulations at 40 CFR
261.2(g) the long-standing policy that
hazardous secondary materials found to
be sham recycled are discarded and
solid wastes, thereby prohibiting
materials that are sham recycled from
being excluded from the definition of
solid waste.
In addition, EPA has changed the
definition of legitimate recycling in
§ 260.43 to make clear that all four
factors identified in § 260.43 must be
met, but also to provide some flexibility
in determining legitimacy for certain
types of recycling. In particular, in cases
where there is no analogous product
made from raw materials, EPA has
clarified that the product of recycling is
still a legitimate product when it meets
widely recognized commodity standards
(e.g., commodity-grade scrap metal) or
when the hazardous secondary material
is recycled back into the production
process from which it was generated
(e.g., closed-loop recycling). In addition,
for cases in which the product of the
recycling process has levels of
hazardous constituents that are not
comparable to analogous products, the
revised legitimacy standard includes a
process that allows the facility to
document and certify that the recycling
is still legitimate, keep such
documentation at the facility, and send
a notification to the regulatory authority
to that effect. Further discussion of
legitimacy can be found in section VIII
of this preamble.
E. Revisions to Solid Waste Variances
and Non-Waste Determinations
Today’s rule finalizes revisions to the
solid waste variances and non-waste
determinations found in 40 CFR 260.30–
260.34 in order to ensure protection of
human health and the environment and
foster greater consistency on the part of
implementing agencies. Revisions
include (1) requiring facilities to send a
notice to the Administrator (or State
Director, if the state is authorized) and
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potentially re-apply for a variance in the
event of a change in circumstances that
affects how a hazardous secondary
material meets the criteria upon which
a solid waste variance has been based;
(2) establishing a fixed term not to
exceed ten years for variance and nonwaste determinations, at the end of
which facilities must re-apply for a
variance or non-waste determination, (3)
requiring facilities to re-notify every two
years with updated information; (4)
revising the criteria for the partial
reclamation variance to clarify when the
variance applies and to require, among
other things, that all the criteria for this
variance must be met; and (5) for the
non-waste determinations in 40 CFR
260.34, requiring that petitioners
demonstrate why the existing solid
waste exclusions would not apply to
their hazardous secondary materials.
EPA is not finalizing the proposed
change to designate the Regional
Administrator as the EPA recipient of
petitions for all variances and non-waste
determinations. Further discussion of
these revisions can be found in section
IX of this preamble.
F. Deferral on Revisions to Pre-2008
Recycling Exclusions
EPA is not finalizing revisions to the
pre-2008 recycling exclusions and
exemptions to include the contained
standard or to require notification.2 EPA
is instead deferring action until EPA can
more adequately address commenters’
concerns. For further discussion, see
section X for more information.
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III. History of the Definition of Solid
Waste
A. Background
RCRA gives EPA the authority to
regulate hazardous wastes (see RCRA
sections 3001–3004). The original
statutory designation of the subtitle for
the hazardous waste program was
Subtitle C and the national hazardous
waste program is referred to as the
RCRA Subtitle C program. Subtitle C is
codified at 42 U.S.C. 6921 through
6939f. Subtitle C regulations are found
at 40 CFR parts 260 through 279.
Hazardous wastes are those that,
because of their quantity, concentration,
physical, or chemical characteristics,
may (1) cause, or significantly
contribute to an increase in mortality or
an increase in serious irreversible or
incapacitating reversible illness or (2)
pose a substantial present or potential
hazard to human health or the
2 EPA requested comment on adding these
requirements to a list of 32 existing recycling
exclusions in the 2011 proposed rule (76 FR 44139,
July 22, 2011).
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environment when improperly treated,
stored, transported, or disposed of, or
otherwise managed (see RCRA section
1004(5)). Hazardous wastes are a subset
of solid wastes.
Materials that are not solid wastes are
not subject to regulation as hazardous
wastes under RCRA Subtitle C. Thus,
the definition of solid waste plays a key
role in defining the scope of EPA’s
authorities under Subtitle C of RCRA.
The statute defines ‘‘solid waste’’ as
‘‘. . . any garbage, refuse, sludge from a
waste treatment plant, water supply
treatment plant, or air pollution control
facility and other discarded material
. . . resulting from industrial,
commercial, mining, and agricultural
operations, and from community
activities . . .’’ (RCRA section 1004 (27)
(emphasis added)).
Since 1980, EPA has interpreted
‘‘solid waste’’ under its Subtitle C
regulations to encompass both materials
that are destined for final, permanent
treatment and placement in disposal
units, as well as certain materials that
are destined for recycling (see 45 FR
33090–95, May 19, 1980; 50 FR 604–
656, January 4, 1985 (see in particular
pages 616–618)). EPA has offered three
arguments in support of this
interpretation:
• The statute and the legislative history
suggest that Congress expected EPA to
regulate certain materials that are destined
for recycling as solid and hazardous wastes
(see 45 FR 33091, citing numerous sections
of the statute and U.S. Brewers’ Association
v. EPA, 600 F. 2d 974 (D.C. Cir. 1979); 48 FR
14502–04, April 3, 1983; and 50 FR 616–618,
January 4, 1985).
• Hazardous secondary materials stored or
transported prior to recycling have the
potential to present the same types of threats
to human health and the environment as
hazardous wastes stored or transported prior
to disposal. In fact, EPA has found that
recycling operations have accounted for a
number of significant damage incidents. For
example, hazardous secondary materials
destined for recycling were involved in onethird of the first 60 filings under RCRA’s
imminent and substantial endangerment
authority and in 20 of the initial 160
hazardous material sites listed for potential
clean up under the Comprehensive
Environmental Response, Compensation and
Liability Act (CERCLA) (48 FR 14474, April
4, 1983). Congress also cited some damage
cases which involve recycling (H.R. Rep. 94–
1491, 94th Cong., 2d Sess., at 17, 18, 22).
Additional data (i.e., information on damage
incidents occurring after 1982) included in
the rulemaking docket for today’s rule
corroborate the fact that recycling operations
can and have resulted in significant damage
incidents.
• Excluding all hazardous secondary
materials destined for recycling would allow
materials to move in and out of the
hazardous waste management system
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depending on what any person handling the
hazardous secondary materials intended to
do with them, which is inconsistent with the
RCRA mandate to track hazardous wastes
and control them from ‘‘cradle to grave.’’
Hence, RCRA confers on EPA the
authority to regulate discarded
hazardous secondary materials even if
they are destined for recycling and may
be beneficially reused. The Agency has
therefore developed in part 261 of 40
CFR a definition of ‘‘solid waste’’ for
Subtitle C regulatory purposes. (Note:
This definition is narrower than the
definition of ‘‘solid waste’’ for RCRA
endangerment and informationgathering authorities. (See 40 CFR
261.1(b)). Also Connecticut Coastal
Fishermen’s Association v. Remington
Arms Co., 989 F.2d 1305, 1315 (2d Cir.
1993) holds that EPA’s use of a narrower
and more specific definition of solid
waste for Subtitle C purposes is a
reasonable interpretation of the statute.
(See also Military Toxics Project v. EPA,
146 F.3d 948 (D.C. Cir. 1998).))
EPA has consistently asserted that
hazardous secondary materials are not
excluded from regulation as solid
wastes merely because of a claim that
they will be recycled. EPA has
consistently considered hazardous
secondary materials intended for ‘‘sham
recycling’’ (i.e., disposal performed in
the guise of recycling) to be discarded
and, hence, to be solid wastes for
Subtitle C purposes (see 45 FR 33093,
May 19, 1980; 50 FR 638–639, January
4, 1985). The U.S. Court of Appeals for
the D.C. Circuit has agreed that
materials undergoing sham recycling are
discarded and, consequently, are solid
wastes under RCRA (see American
Petroleum Institute v. EPA, 216 F.3d 50,
58–59 (D.C. Cir. 2000)).
B. A Series of D.C. Circuit Court
Decisions on the Definition of Solid
Waste
Because the interpretation of what
constitutes a solid waste is the
foundation of the hazardous waste
regulatory program, there has been quite
a bit of litigation over the meaning of
‘‘solid waste’’ under Subtitle C of RCRA.
Specifically, industries representing
mining and oil refining interests
challenged EPA’s January 1985
regulatory definition of solid waste. In
1987, the D.C. Circuit held that EPA
exceeded its authority ‘‘in seeking to
bring materials that are not discarded or
otherwise disposed of within the
compass of ‘waste’ ’’ (American Mining
Congress v. EPA (‘‘AMC I’’), 824 F.2d
1177, 1178 (D.C. Cir. 1987)). The Court
held that certain materials EPA was
seeking to regulate were not ‘‘discarded
materials’’ under RCRA section
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1004(27). The Court also held that
Congress used the term ‘‘discarded’’ in
its ordinary sense, to mean ‘‘disposed
of’’ or ‘‘abandoned’’ (824 F.2d at 1188–
89). The Court further held that the term
‘‘discarded materials’’ could not include
materials ‘‘destined for beneficial reuse
or recycling in a continuous process by
the generating industry itself (because
they) are not yet part of the waste
disposal problem’’ (824 F.2d at 1190).
The Court held that Congress had
directly spoken to this issue, so that
EPA’s definition was not entitled to
deference under Chevron U.S.A., Inc. v.
NRDC, 467 U.S. 837 (1984) (824 F.2d at
1183, 1189–90, 1193).
At the same time, the Court held that
recycled materials could be regulated as
discarded materials. The Court
mentioned at least two examples of
recycled materials that may be regulated
as wastes, noting that used oil can be
considered a solid waste (824 F.3d at
1187 (fn 14)). Also, the Court suggested
that materials disposed of and recycled
as part of a waste management program
may be regulated as solid wastes (824 F.
2d at 1179).
Subsequent decisions by the D.C.
Circuit also indicate that some materials
destined for recycling may be
considered ‘‘discarded.’’ In particular,
the Court held that emission control
dust from steelmaking operations listed
as hazardous waste ‘‘K061’’ is a solid
waste, even when sent to a metals
reclamation facility, at least where that
is the treatment method required under
EPA’s land disposal restrictions
program (American Petroleum Institute
v. EPA (‘‘API I’’), 906 F.2d 729 (D.C. Cir.
1990)). In addition, the Court held that
it is reasonable for EPA to consider as
discarded (and solid wastes) listed
wastes managed in units that are in part
wastewater treatment units, especially
where it is not clear that the industry
actually reuses the materials (AMC II,
907 F.2d 1179 (D.C. Cir. 1990)).
It also is worth noting that two other
Circuits also have held that EPA may
regulate as solid wastes under RCRA at
least some materials destined for
reclamation rather than final discard.
The U.S. Court of Appeals for the
Eleventh Circuit found that ‘‘[i]t is
unnecessary to read into the term
‘discarded’ a congressional intent that
the waste in question must finally and
forever be discarded’’ (U.S. v. ILCO, 996
F.2d 1126, 1132 (Eleventh Cir. 1993)
(finding that used lead batteries sent to
a reclaimer have been ‘‘discarded once’’
by the entity that sent the battery to the
reclaimer)). In addition, the Fourth
Circuit found that slag held on the
ground untouched for six months before
sale for use as road bed could be a solid
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waste (Owen Electric Steel Co. v. EPA,
37 F.3d 146, 150 (4th Cir. 1994)).
In 1998, EPA promulgated a rule in
which EPA regulated hazardous
secondary materials recycled by
reclamation within the mineral
processing industry, the ‘‘LDR Phase IV
rule’’ (63 FR 28556, May 26, 1998),
under Subtitle C of RCRA. In that rule,
EPA promulgated a conditional
exclusion for all types of mineral
processing hazardous secondary
materials destined for reclamation. As a
condition of the exclusion, EPA
prohibited the land-based storage of
these mineral processing secondary
materials prior to reclamation because it
considered hazardous secondary
materials from the mineral processing
industry that were stored on the land to
be solid wastes (63 FR 28581, May 26,
1998). The conditional exclusion
decreased regulation over spent
materials stored prior to reclamation,
but increased regulation over byproducts and sludges that exhibit a
hazardous characteristic and that are
stored prior to reclamation. EPA noted
that the statute does not authorize it to
regulate ‘‘materials that are destined for
immediate reuse in another phase of the
industry’s ongoing production process.’’
EPA, however, took the position that
hazardous secondary materials that are
removed from a production process for
storage are not ‘‘immediately reused,’’
and therefore are ‘‘discarded’’ (63 FR
28580, May 26, 1998).
The mining industry challenged the
rule, and the D.C. Circuit vacated the
provisions that expanded EPA
regulation over characteristic byproducts and sludges destined for
reclamation (Association of Battery
Recyclers v. EPA (‘‘ABR’’), 208 F.3d
1047 (D.C. Cir. 2000)). The Court held
that it had already resolved this issue in
its opinion in AMC I, where it found
that ‘‘Congress unambiguously
expressed its intent that ‘solid waste’
(and therefore EPA’s regulatory
authority) be limited to materials that
are ‘discarded’ by virtue of being
disposed of, abandoned, or thrown
away’’ (208 F.2d at 1051). The Court
also did not find that storage before
reclamation automatically makes
materials discarded. Rather, it repeated
that materials reused within an ongoing
industrial process are neither disposed
of nor abandoned (208 F.3d at 1051–52)
and that ‘‘at least some of the secondary
material EPA seeks to regulate as solid
waste (in the mineral processing rule) is
destined for reuse as part of a
continuous industrial process and thus
is not abandoned or thrown away’’ (208
F.3d at 1056). It explained that the
intervening API I and AMC II decisions
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had not narrowed the holding in AMC
I (208 F.3d at 1054–1056).
In its most recent opinion dealing
with the definition of solid waste, Safe
Food and Fertilizer v. EPA (‘‘Safe
Food’’), 350 F.3d 1263 (D.C. Cir. 2003),
the D.C. Circuit upheld an EPA rule that
excludes from the definition of solid
waste hazardous secondary materials
used to make zinc fertilizers, and the
fertilizers themselves, as long as the
hazardous secondary materials meet
certain handling, storage, and reporting
conditions and the resulting fertilizers
have concentration levels for lead,
arsenic, mercury, cadmium, chromium,
and dioxins that fall below specified
thresholds (Final Rule, ‘‘Zinc Fertilizers
Made From Recycled Hazardous
Secondary Materials’’ (‘‘Fertilizer
Rule’’), 67 FR 48393, July 24, 2002).
EPA determined that if these conditions
are met, the hazardous secondary
materials used to make such fertilizer
have not been discarded. The conditions
also apply to a number of recycled
materials not produced in the fertilizer
production industry, including certain
zinc-bearing hazardous secondary
materials, such as brass foundry dusts.
EPA’s reasoning was that market
participants, consistent with the EPArequired conditions in the rule, would
treat the excluded materials more like
valuable products than like negativelyvalued wastes and, thus, would manage
them in ways inconsistent with discard.
In addition, the fertilizers derived from
these recycled feedstocks are chemically
indistinguishable from analogous
commercial products made from raw
materials (350 F.3d at 1269). The Court
held that EPA’s explanation that market
participants manage materials in ways
inconsistent with discard, and the fact
that the levels of contaminants in the
recycled fertilizers were ‘‘identical’’ to
the fertilizers made with virgin raw
materials (also called ‘‘the identity
principle’’) as reasonable. The Court
also held that this interpretation of
‘‘discard’’ was reasonable and consistent
with the statutory purpose. The Court
noted that the identity principle was
defensible because the differences in
health and environmental risks between
the two types of fertilizers are so slight
as to be substantively meaningless.
In addition, the Court stated that it
‘‘need not consider whether a material
could be classified as a non-discard
exclusively on the basis of the marketparticipation theory’’ (350 F.3d at 1269).
The Court only determined that the
combination of market participants’
treatment of the materials, EPA-required
management standards, and the
‘‘identity principle’’ constitutes a
reasonable set of tools to establish that
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the recycled hazardous secondary
materials and fertilizers are not
discarded.
C. October 2003 Proposal To Revise the
Definition of Solid Waste
Prompted by concerns articulated in
various Court opinions decided up to
that point, in October 2003, EPA
proposed a rule which defined those
circumstances under which hazardous
secondary materials would be excluded
from RCRA’s hazardous waste
regulations because they are generated
and reclaimed in a continuous process
within the same industry. In addition,
the Agency also clarified in a regulatory
context the concept of ‘‘legitimate
recycling,’’ which has been a key
component of RCRA’s regulatory
program for hazardous material
recycling, but which up to that point,
had been implemented without specific
regulatory criteria (68 FR 61558,
October 28, 2003).
In response to the October 2003 DSW
proposal, a number of commenters
criticized the Agency for not having
conducted a study of the potential
impacts of the proposed regulatory
changes. These commenters expressed
the general concern that deregulating
hazardous secondary materials that are
reclaimed in the manner proposed
could result in the mismanagement of
these materials and could create new
cases of environmental damage that
would require remedial action under
federal or state authorities. Some of the
commenters further cited a number of
examples of environmental damage that
were attributed to hazardous secondary
material recycling, including sites listed
on the Superfund National Priorities
List (NPL).
Other commenters to the 2003 DSW
proposal expressed the view that the
great majority of these cases of
recycling-related environmental
problems occurred before RCRA,
CERCLA, or other environmental
programs were established in the early
1980s. These commenters argued that
these environmental programs—most
notably, RCRA’s hazardous waste
regulations and the liability provisions
of CERCLA—have created strong
incentives for proper management of
recyclable hazardous secondary
materials and recycling residuals.
Several commenters further noted that,
because of these developments,
industrial recycling practices have
changed substantially since the early
1980s and present day generators and
recyclers are much better environmental
stewards than in the pre-RCRA/CERCLA era. Thus, they argued that
cases of ‘‘historical’’ recycling-related
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environmental damage are not
particularly relevant when modifying
the current RCRA hazardous waste
regulations for hazardous secondary
materials recycling.
D. Recycling Studies
In light of these comments on the
2003 DSW proposal, and in deliberating
on how to proceed with the rulemaking
effort, the Agency decided that
additional information on hazardous
secondary material recycling would
benefit its regulatory decision-making
and would provide stakeholders with a
clearer picture of the hazardous
secondary material recycling industry in
this country. Accordingly, the Agency
examined three issues that we believed
were of particular importance to
revising the definition of solid waste:
• How do responsible generators and
recyclers of hazardous secondary materials
ensure that recycling is done in an
environmentally safe manner?
• To what extent have hazardous
secondary material recycling practices
resulted in environmental problems since
enactment of major waste management
statutes, and why?
• Are there certain economic forces or
incentives specific to hazardous secondary
material recycling that can explain why
environmental problems can sometimes
originate from such recycling activities?
Reports documenting these studies
are available in the docket for the 2008
DSW final rule under the following
titles:
• An Assessment of Good Current Practices
for Recycling of Hazardous Secondary
Materials (EPA–HQ–RCRA–2002–0031–
0354) (‘‘study of successful recycling’’)
• An Assessment of Environmental Problems
Associated With Recycling of Hazardous
Secondary Materials (EPA–HQ–RCRA–
2002–0031–0355) (‘‘environmental
problems study’’)
• A Study of Potential Effects of Market
Forces on the Management of Hazardous
Secondary Materials Intended for
Recycling (EPA–HQ–RCRA–2002–0031–
0358) (‘‘market forces study’’)
In the study of successful recycling,
EPA found that responsible recycling
practices used by generators and
recyclers to manage hazardous
secondary materials fall into two general
categories. The first category includes
the audit activities and inquiries
performed by a generator of a hazardous
secondary material to determine
whether the entity to which it is sending
such material is equipped to manage it
responsibly without the risk of releases
or other environmental damage. These
recycling and waste audits of other
companies’ facilities are common to
those generators that responsibly recycle
in the hazardous secondary materials
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market. The second category of
responsible recycling practices consists
of the control practices that ensure
responsible management of any given
shipment of hazardous secondary
material, such as the contracts under
which the transaction takes place and
the tracking systems that can inform a
generator that its hazardous secondary
material has been properly managed.
The goal of the environmental
problems study was to identify and
characterize environmental problems
associated with some types of hazardous
secondary material recycling that are
relevant for the purpose of this
rulemaking effort. To address
commenters’ concerns that historic
damages are irrelevant to current
practices because environmental
programs (post-RCRA and -CERCLA
implementation) have created strong
incentives for proper management of
recyclable hazardous secondary
materials, EPA only included cases
where damages occurred after 1982. The
study identifies 208 cases in which
environmental damages of some kind
occurred from some type of recycling
activity and that otherwise fit the scope
of the study.3
The Agency has determined that the
occurrence of certain types of
environmental problems associated with
post-1982 recycling practices shows that
discard has occurred. In particular,
instances where hazardous secondary
materials were abandoned (e.g., in
warehouses) and which required
removal, oversight by a government
agency and the expenditure of public
funds clearly demonstrate that the
hazardous secondary material was
discarded. Of the 208 damage cases
presented in the original damage case
study, 69 cases (33%) involve
abandoned materials. The relatively
high incidence of abandoned materials
likely reflects the fact that bankruptcies
or other types of business failures were
associated with 138 (66%) of the cases.
In addition, the pattern of
environmental damages that resulted
from the mismanagement of recyclable
3 EPA initially identified over 800 potential
damage cases, most of which were not included in
the analysis because (1) the damages occurred
before 1982, (2) the damages were not caused by
recycling, or (3) there was not enough information
to determine when the damages occurred or
whether recycling contributed to the damages. The
cases EPA considered, but did not include, were
listed in an appendix to the report to allow the
public to comment on whether additional cases
should be included in the analysis. As a result of
public comment to the 2011 DSW proposal, EPA
has updated the damage case information using the
same methodology, resulting in a total of 250
damage cases as of 2012. EPA has determined that
the new damage case information is consistent with
the damage cases previously cited in the study.
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materials (including contamination of
soils, groundwater, surface water and
air) is a strong indication that the
hazardous secondary materials were
generally not managed as valuable
commodities and were discarded. Of the
208 damage cases presented in the
original damage case study, 81 cases
(40%) primarily resulted from the
mismanagement of recyclable hazardous
secondary materials, while
mismanagement of recycling residuals
was the primary cause in 71 cases
(34%). Often, in the case of
mismanagement of recycling residuals,
reclamation processes generated
residuals in which the toxic
components of the recycled materials
were separated from the non-toxic
components, and these portions of the
hazardous secondary material were then
mismanaged and discarded. Examples
of this include a number of drum
reconditioning facilities, where large
numbers of used drums were cleaned
out to remove small amounts of
remaining product, such as solvent, and
these wastes were then improperly
stored or disposed, while the drums
were reused or recycled.
The market forces study used
accepted economic theory to describe
how various market incentives can
influence a firm’s decision-making
process when recycling hazardous
secondary materials. This study helps
explain some of the possible
fundamental economic drivers of both
successful and unsuccessful recycling
practices.
As pointed out by some commenters
to the 2003 DSW proposed rule, the
economic forces shaping the behavior of
firms that recycle hazardous secondary
materials are often different from those
at play in manufacturing processes
using virgin materials. The market
forces study used economic theory to
provide information on how certain
characteristics can influence three
different recycling models to encourage
or discourage an optimal outcome. The
three recycling models examined were
(1) commercial recycling, where the
primary business of the firm is the
recycling of hazardous secondary
materials that are accepted from off-site
industrial sources (which usually pay a
fee); (2) industrial intra-company
recycling, where firms generate
hazardous secondary materials as byproducts of their main production
processes and recycle the hazardous
secondary materials for sale or for their
own reuse in production; and (3)
industrial inter-company recycling,
where firms either use or recycle
hazardous secondary materials obtained
from other firms, with the objective of
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reducing the cost of their production
inputs. The report also looked at how
the outcome from each model is
potentially affected by three market
characteristics: (1) The value of the
recycled product, (2) the price stability
of recycling output or inputs, and (3) the
net worth of the firm.
An individual firm’s decision-making
is based on many factors and
extrapolating a firm’s likely behavior
from a few factors could be an oversimplification. However, when used in
conjunction with other information, the
economic theory can be quite
illuminating. For example, according to
the market forces study, industrial intraand inter-company recyclers have more
flexibility in adjusting to unstable
recycling markets (e.g., during price
fluctuations, these companies can more
easily switch from recycling to disposal
or from recycled inputs to virgin
inputs). Therefore, they would be
expected to be less likely to have
environmental problems from overaccumulated materials.
On the other hand, in certain types of
commercial recycling, the product has
low value, the prices are unstable, and/
or the firm has a low net worth.
Facilities in these situations can be
more susceptible to environmental
problems from the over-accumulation or
mishandling of hazardous secondary
materials, especially when compared to
recycling by a well-capitalized firm that
yields a product with high value. In
short, commercial recyclers depend on
revenue from two sources: (1) Accepting
hazardous secondary materials for
recycling, and (2) selling the recycled
product. When recycled product prices
fall, commercial recyclers rely on profits
from accepting hazardous waste, which
can result in over-accumulation,
mismanagement, sham recycling, and
abandonment of hazardous secondary
materials. Further, because these
facilities often have little capital at risk,
they can go bankrupt leaving
environmental damages behind. These
predicted outcomes appear to be
supported by the results of the
environmental problems study, which
showed the vast majority of
environmental damages—approximately
94%—occur at off-site commercial
recyclers.
However, as shown by the study of
successful recycling, generators who
could otherwise bear a large liability
from poorly-managed recycling at other
companies have addressed this issue by
carefully examining the recyclers to
which they send their hazardous
secondary materials, such as through
audits to ensure that they are
technically and financially capable of
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performing the recycling. In addition,
we have seen that successful recyclers
(both commercial and industrial) have
often taken advantage of mechanisms,
such as long-term contracts to help
stabilize price fluctuations, allowing
recyclers to plan their operations more
effectively.
Further discussion of the recycling
studies, including the methodology and
limitations of the studies, can be found
in the March 2007 DSW supplemental
proposal (72 FR 14178–83) and the
October 2008 DSW final rule (73 FR
64673–74), and the studies themselves
can be found in the docket for the 2008
DSW final rule (EPA–HQ–RCRA–2002–
0031–0355).
E. March 2007 Supplemental Proposal
To Revise the Definition of Solid Waste
In March 2007, EPA published a
supplemental proposal that provided
the public the opportunity to comment
on these studies. The Agency also restructured the proposed rule and
proposed (1) two exclusions for
hazardous secondary materials recycled
under the control of the generator (one
exclusion would apply to hazardous
secondary materials managed in nonland-based units, and the other
exclusion would apply to hazardous
secondary materials managed in landbased units) and (2) an exclusion for
hazardous secondary materials
transferred to another party for
reclamation. The Agency also proposed
a non-waste determination petition
process, and re-proposed the legitimacy
criteria, with certain modifications (72
FR 14172, March 26, 2007).
For the exclusions of hazardous
secondary materials reclaimed under
the control of the generator, EPA
described three circumstances under
which we believed that discard does not
take place and where the potential for
environmental releases is low. The three
situations involve hazardous secondary
materials that are generated and
legitimately reclaimed at the generating
facility, legitimately reclaimed at a
different facility within the same
company, or legitimately reclaimed
through a tolling arrangement. Under all
three circumstances, the hazardous
secondary materials must be generated
and reclaimed within the United States
or its territories. Because the hazardous
secondary material generator in these
situations still retains control of the
hazardous secondary materials, finds
value in them, and intends to use them,
EPA proposed to exclude these
materials from the definition of solid
waste and, thus, from regulation under
Subtitle C of RCRA, provided the
reclamation is legitimate and the
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hazardous secondary materials are
contained and not speculatively
accumulated. In addition, EPA proposed
that facilities generating and reclaiming
hazardous secondary materials under
the control of the generator must submit
notification to their regulatory authority.
For the exclusion of hazardous
secondary materials transferred to
another party for reclamation (referred
to as the transfer-based exclusion), the
Agency proposed conditions that, when
met, would indicate that these
hazardous secondary materials were not
discarded. Specifically, the generator
would need to make reasonable efforts,
a form of due diligence, to determine
that its hazardous secondary materials
would be properly and legitimately
recycled (and that the hazardous
secondary material would not be
discarded). Another condition would
require the reclamation facility to have
adequate financial assurance (thus
demonstrating that the hazardous
secondary material would not be
abandoned). In addition, EPA proposed
that both the generator and reclaimer
would be required to maintain shipping
records (to demonstrate that the
hazardous secondary material was sent
for reclamation and was received by the
reclaimer). Furthermore, the reclaimer
would be subject to additional storage
and residual management standards (to
address the instances of discard
observed at off-site reclamation facilities
in the damage cases). Finally, facilities
operating under the transfer-based
exclusion must also submit notification
to their regulatory authority.
In addition, the 2007 DSW
supplemental proposal included a caseby-case non-waste determination
petition process that would allow
applicants to receive a formal
determination from EPA that their
hazardous secondary materials were not
discarded and therefore were not solid
wastes. The case-by-case petition
process would allow EPA or the
authorized state to take into account the
particular fact pattern of the recycling
and to determine that the hazardous
secondary materials in question were
not solid wastes. The petition process
for the non-waste determination was the
same as that for the variances from the
definition of solid waste found at 40
CFR 260.31.
Finally, EPA proposed a definition of
legitimate recycling that restructured
the legitimacy factors originally
proposed in October 2003. The
proposed legitimacy factors would be
used to determine that the recycling of
hazardous secondary materials is not a
‘‘sham’’ and thus, does not constitute
discard.
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F. October 2008 Final Rule To Revise
the Definition of Solid Waste
In October 2008, EPA promulgated a
final rule largely as proposed in March
2007, with some revisions and
clarifications, including (1) clarifying
that hazardous secondary materials held
at a transfer facility for less than 10 days
are considered to be in transport (and
therefore such transfer facilities are not
considered to be storing the hazardous
secondary materials for the purpose of
the DSW exclusion), (2) allowing the
use of intermediate facilities that store
hazardous secondary materials for more
than 10 days under the transfer-based
exclusion, provided the facilities
comply with the same conditions
applicable to reclamation facilities, (3)
codifying financial assurance language
in 40 CFR 261 subpart H for the transferbased exclusion applicable to
intermediate and reclamation facilities
without RCRA permits, (4) requiring
facilities operating under the generatorcontrolled and/or the transfer-based
exclusion to notify their regulatory
authority prior to operating under the
exclusion and every other year
thereafter, and (5) making legitimacy a
condition of the exclusions and the nonwaste determinations in that rule, but
not finalizing the legitimacy language
for all recycling activities.
The Sierra Club petition argued that
the revised regulations are unlawful and
that they increase threats to public
health and the environment without
producing compensatory benefits and,
therefore, should be repealed. Among
other things, the petition singled out the
lack of regulatory definitions for key
conditions of the rule and disagreed
with the Agency’s findings that the rule
would have no adverse environmental
impacts, including the finding there
would be no adverse impact to
environmental justice communities or
children’s health.
On March 6, 2009, a coalition of
industry associations (‘‘industry
coalition’’) submitted a letter to the
Administrator of EPA in response to the
Sierra Club petition. This letter
requested that EPA deny Sierra Club’s
petition on the grounds that the 2008
DSW final rule comports with court
cases construing the scope of the
definition of solid waste under RCRA,
and that the 2008 DSW final rule
achieves significant economic and
conservation benefits, while imposing
significant controls on the hazardous
secondary material recycling industry
that are fully protective of the
environment. The letter also responds to
each of the specific points raised by
Sierra Club in its petition.
G. Section 7004 Petition Submitted by
the Sierra Club and Industry Response
On January 29, 2009, the Sierra Club
submitted an administrative petition
under RCRA section 7004(a), 42 U.S.C.
6974(a), to the Administrator of EPA
requesting that the Agency repeal the
October 2008 revisions to the definition
of solid waste rule and stay the
implementation of the rule.
The administrative petition was
submitted at the same time that the
American Petroleum Institute (API) and
Sierra Club filed judicial Petitions for
Review under RCRA section 7006(a), 42
U.S.C. 6976(a) challenging the rule in
the United States Court of Appeals for
the District of Columbia Circuit (D.C.
Circuit). These cases, designated as
Docket Nos. 09–1038 and 1041,
respectively, are currently before the
D.C. Circuit.4
H. June 2009 Public Meeting and the
Draft DSW Environmental Justice
Analysis Methodology
In response to Sierra Club’s
administrative petition and the industry
coalition’s letter to the Administrator of
EPA, a May 27, 2009, Federal Register
notice (74 FR 25200) was issued
describing possible actions and optional
paths forward, as well as announcing a
public meeting on June 30, 2009, to
allow the public and interested
stakeholders the opportunity to provide
input to the decision-making process.
In the May 27, 2009, Federal Register
notice announcing the public meeting,
EPA described the scope of possible
actions, which is governed by the
concept of ‘‘discard.’’ As stated in RCRA
section 1004(27), ‘‘solid waste’’ is
defined as ‘‘any garbage, refuse, sludge
from a waste treatment plant, water
supply treatment plant, or air pollution
control facility and other discarded
material . . . resulting from industrial,
commercial, mining and agricultural
4 In its lawsuit, API claimed that EPA had
improperly decided that certain petroleum
catalysts, when recycled are hazardous wastes. See
73 FR 64714 for EPA’s decision to defer a decision
on the eligibility of those catalysts for the 2008
DSW final rule. API argued, among other things,
that these catalysts should be treated the same as
other materials that were receiving the transferbased exclusion. API’s challenge proceeded to
briefing and argument before the Court of Appeals.
By order of June 8, 2012, the Court reconsidered
and decided to hold API’s challenge in abeyance
until EPA issued this rule in final form. Since EPA
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is removing the transfer-based exclusion and
making spent petroleum catalysts eligible for the
generator-controlled and verified recycler
exclusions, API’s challenge that the Agency failed
to treat the catalysts as other excluded materials is
now moot. See section XI below for further
discussion on the effect of this rule on spent
petroleum catalysts.
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activities.’’ The May 2009 public
meeting notice said that
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[b]ecause the final revisions to the definition
of solid waste are closely tied to EPA’s
interpretation of the concept of ‘‘discard,’’
EPA does not plan to repeal the rule in whole
or stay its implementation. Such an action
could result in hazardous secondary
materials that are not discarded being
regulated as hazardous waste. In particular,
EPA does not expect to repeal either the
exclusion for hazardous secondary materials
reclaimed under the control of the generator
or the non-waste determination petition
process. However, EPA believes there may be
other opportunities to revise or clarify the
definition of solid waste rule, particularly
with respect to the definition of legitimacy
and the transfer-based exclusion, in ways
that could improve implementation and
enforcement of the provisions, thus increase
environmental protection, while still
appropriately defining when a hazardous
secondary material being reclaimed is a solid
waste and subject to hazardous waste
regulation. (74 FR 25203).
Thirty-three people spoke at the
public meeting and approximately 4,000
written comments were received, of
which the majority were from private
citizens who wrote in via a mass email
campaign to repeal the rule. The
remaining comments came from state
and local governments (17), companies
that generate hazardous secondary
materials that are recycled (i.e., the
generating industry) (28), the waste
management/recycling industry (15),
environmental, public health and
community organizations (12), and
academics (2). Comments from the
generating industry were uniformly in
favor of denying the Sierra Club petition
to repeal the rule, citing legal issues and
the protectiveness of the rule’s
conditions. Environmental and
community organizations, on the other
hand, were uniformly in favor of
repealing the rule, expressing concerns
over the protectiveness, enforceability,
and environmental justice and
children’s health impacts of the rule.
Waste management/recycling industry
comments were split, with hazardous
waste recyclers generally advocating
that EPA retain and improve the rule
with more stringent standards. Other
waste management industry comments,
particularly those from companies
representing landfills and incinerators,
were in favor of repealing the rule. State
comments expressed concerns about
implementing the rule, particularly
given the economic climate, and
generally were in favor of repealing or
significantly revising the transfer-based
exclusion. A copy of the public meeting
transcript and the comments submitted
in response to the public meeting notice
are available in the docket for the public
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meeting (Docket ID number EPA–HQ–
RCRA–2009–0315).
Many of the commenters (including
those at the public meeting and those
who responded with written comments)
expressed strong concerns that the
Agency did not adequately address
environmental justice in the
rulemaking. In response to the concerns
over the environmental justice analysis,
EPA committed to perform a more
rigorous and thorough analysis of the
environmental justice impacts of the
2008 DSW final rule. On January 15,
2010, EPA released for public input a
draft methodology for conducting the
DSW Environmental Justice Analysis.
The draft methodology was presented to
the National Environmental Justice
Advisory Committee (NEJAC) and
discussed at three public roundtable
meetings, and was used to develop the
draft environmental justice analysis for
the DSW rulemaking.
I. Settlement Agreement With the Sierra
Club
1. Overview of Settlement Agreement
On September 7, 2010, EPA signed a
settlement agreement with the Sierra
Club under which the Sierra Club
agreed to withdraw their administrative
petition and EPA agreed to (1) prepare
a notice of proposed rulemaking to be
signed no later than June 30, 2011,5
which would address, at a minimum,
the issues raised in the Sierra Club’s
administrative petition and (2) take final
administrative action concerning the
notice of proposed rulemaking to be
signed no later than December 31, 2012.
The settlement agreement did not
specify the outcome of the final rule or
what regulatory changes EPA would
propose. The settlement agreement was
approved by the court on January 11,
2011. Although EPA was unable to
make the settlement agreement deadline
for a final administrative action, today’s
rule does address all issues raised in
Sierra Club’s administrative petition,
including the four issues discussed in
the May 27, 2009, public meeting
Federal Register notice (74 FR 25200).
Specifically, the four issues in the
settlement agreement are (1) the
definition of ‘‘contained’’ (which
includes the issue of defining
‘‘significant releases’’) (addressed in
section V of this preamble), (2)
notification before operating under the
exclusion (also addressed in section V
of this preamble), (3) the definition of
‘‘legitimacy’’ (addressed in section VIII
of this preamble) and (4) the transfer5 The proposed rulemaking was signed by the
Administrator of EPA on June 30, 2011.
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based exclusion (addressed in section VI
of this preamble). Other issues
presented in the administrative petition
are discussed below.
2. Request to Immediately Stay the
Implementation of and Revoke the 2008
DSW Rule
The Sierra Club’s administrative
petition included a request to
immediately stay and revoke the 2008
DSW final rule. To support this request,
the petition asserted that the damage
case study demonstrates that hazardous
waste recycling has caused substantial
harm to health and the environment and
that the 2008 DSW final rule increases
the likelihood of greater future harm.
The petition also asserted that the 2008
DSW final rule does not account for the
possibility that unstable recycling
markets or financial conditions increase
the risk of hazardous waste
abandonment. In addition, the petition
asserted that the 2008 DSW final rule
will not substantially increase recycling
and that the economic benefits are few
and will only accrue to deregulated
industries. Furthermore, the petition
claimed that there would be job losses
in the hazardous waste treatment
industry and increased worker health
problems as a result of the rule.
EPA addressed Sierra Club’s request
to revoke the 2008 DSW final rule in
whole and stay its implementation in
the May 27, 2009, public meeting
notice, which continues to reflect EPA’s
current thinking. In that notice, EPA
stated at 74 FR 25202:
The scope of possible changes to the
definition of solid waste is governed by the
concept of ‘‘discard.’’ As discussed in the
preamble to the DSW final rule, EPA used the
concept of discard as the central organizing
idea behind the October 2008 revisions to the
definition of solid waste. As stated in RCRA
section 1004(27), ‘‘solid waste’’ is defined as
‘‘. . . any garbage, refuse, sludge from a
waste treatment plant, water supply
treatment plant, or air pollution control
facility and other discarded material . . .
resulting from industrial, commercial,
mining and agricultural activities’’ (emphasis
added). Therefore, in the context of the DSW
final rule, a key issue relates to the
circumstances under which a hazardous
secondary material that is recycled by
reclamation is or is not discarded (73 FR
64675). In exercising its discretion in the
DSW final rule to define what constitutes
‘‘discard’’ for hazardous secondary materials
reclamation, EPA included an explanation of
how each provision of the final rule relates
to discard (73 FR 64676–64679).
For example, in the DSW final rule, EPA
determined that if the generator maintains
control over the recycled hazardous
secondary material and if the material is
legitimately recycled under the standards
established in the final rule and not
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speculatively accumulated within the
meaning of EPA’s regulations, then the
hazardous secondary material is not
discarded. This is because the hazardous
secondary material is being treated as a
valuable commodity rather than as a waste.
By maintaining control over, and potential
liability for, the reclamation process, the
generator ensures that the hazardous
secondary materials are not discarded. (See
73 FR 64676.)
Because the final revisions to the definition
of solid waste are closely tied to EPA’s
interpretation of the concept of ‘‘discard,’’
EPA does not plan to repeal the rule in whole
or stay its implementation. Such an action
could result in hazardous secondary
materials that are not discarded being
regulated as hazardous wastes. In particular,
EPA does not expect to repeal either the
exclusion for hazardous secondary materials
reclaimed under the control of the generator
or the non-waste determination petition
process.
Today’s final rule includes several
changes to the generator-controlled
exclusion and to the non-waste
determination petition process, but, for
the reasons stated above, EPA did not
stay the rule and is not withdrawing
either provision.
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3. Adequacy of EPA’s Analyses
Finally, the Sierra Club’s petition
asserted that EPA’s conclusion that the
2008 DSW final rule would have no
adverse environmental impacts, and
therefore would have no disproportional
adverse impacts to minority and lowincome communities, is unsupported by
the administrative record. In response to
these comments and similar comments
by other stakeholders at the June 2009
public meeting, EPA committed to
producing an expanded analysis of the
potential disproportionate impacts of
the 2008 DSW final rule. A draft
methodology for the analysis was shared
with the public in January 2010, and
three public roundtable discussions
were held to discuss the draft
methodology and were addressed in the
development of the draft DSW
environmental justice analysis.6
J. Draft DSW Environmental Justice
Analysis
As part of the development of the
2011 DSW proposal, EPA conducted a
revised environmental justice analysis,
following the methodology discussed
with stakeholders during the 2010
roundtable discussions. The purpose of
the draft DSW environmental justice
analysis was two-fold. First, the analysis
represents a systematic examination of
the potential for an increase in adverse
6 U.S.
EPA. Draft Environmental Justice
Methodology for the Definition of Solid Waste Rule,
January 2010, https://www.epa.gov/epawaste/
hazard/dsw/ej.htm.
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impacts under the 2008 DSW final rule
(considered independently from which
communities might be impacted).
Second, the analysis includes a
demographic assessment, characterizing
the extent any potential adverse impacts
are likely to affect minority and/or lowincome communities. The results of this
analysis were intended to inform EPA’s
decision-making on which regulatory
options to pursue, within the scope of
the Agency’s authority to regulate
hazardous waste.
The results of the draft DSW
environmental justice analysis
demonstrate that hazardous secondary
material recycling can pose significant
potential hazards to human health and
the environment, and that it is
reasonable to conclude that the
potential for hazards from hazardous
secondary materials recycling adversely
impacting human health and the
environment could increase under the
2008 DSW final rule. Of particular
concern are (1) the absence of required
measures (e.g., weekly inspections,
training, contingency plans) at
hazardous secondary materials
reclaimers to prevent problems (e.g.,
spills, fires, explosions), (2) the
incentives to accumulate larger volumes
of hazardous secondary materials due to
longer storage time limits, and (3) the
reduction in access to information and
opportunity for public participation.
Moreover, the analysis demonstrates
that some of the communities
potentially impacted are minority and
low-income communities, and in most
cases, the populations potentially
impacted are disproportionately
minority and/or low income. In
particular, the population-level analysis
shows a statistically significant
potential disproportionate impact to
minority and low-income populations.
In addition, underlying vulnerabilities
traditionally associated with minority
and low-income communities can pose
the potential to exacerbate potential
adverse impacts of the 2008 DSW final
rule. The ability of communities to
participate in the decision-making
process and the potential for multiple
and cumulative effects are of particular
concern.
The analysis has undergone peer
review, and the draft environmental
justice analysis and peer review
comments were presented for public
comment as part of the supporting
documentation for the 2011 DSW
proposal.
K. July 2011 Proposal To Revise the
Definition of Solid Waste
On July 22, 2011, EPA published a
proposal to revise the definition of solid
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waste. Comments were requested, and
the comment period was extended until
October 20, 2011. In September 2011,
EPA held two public meetings to accept
public comment on the proposal in
Philadelphia, PA and in Chicago, IL.
The goal of the 2011 DSW proposal was
to re-examine the 2008 DSW final rule
to determine if any changes are needed
to ensure that the rule, as implemented,
protects human health and the
environment from the mismanagement
of hazardous secondary materials, while
at the same time promote sustainability
by encouraging the reclamation of such
materials. The proposed rule consisted
of six possible actions, which are
summarized below.
1. Revisions to the Exclusion for
Hazardous Secondary Materials
Reclaimed Under the Control of the
Generator
In the 2011 DSW proposal, EPA
proposed to retain the exclusion for
hazardous secondary materials
reclaimed under the control of the
generator found at 40 CFR 261.4(a)(23),
with certain revisions. Proposed
revisions to the 2008 DSW rule
generator-controlled exclusion include
(1) adding a regulatory definition of
‘‘contained,’’ (2) making notification a
condition of the exclusion, (3) adding a
recordkeeping requirement for
speculative accumulation, and (4)
adding a recordkeeping requirement for
reclamation under toll manufacturing
agreements. In addition, EPA requested
comment on other ways to strengthen
the generator-controlled exclusion in
order to protect human health and the
environment.
2. Exclusion for Hazardous Secondary
Materials That Are Transferred for the
Purpose of Reclamation
EPA proposed to replace the
exclusion for hazardous secondary
materials that are transferred from the
generator to other persons for the
purpose of reclamation found at 40 CFR
261.4(a)(24) and(25) with an alternative
Subtitle C regulatory scheme. EPA’s
analyses of potential hazards posed by
the 2008 DSW rule indicate that, when
implemented, the transfer-based
exclusion may adversely impact human
health and the environment from
hazardous secondary materials that may
become discarded, and that minority
and low-income populations may be
disproportionately affected by these
impacts.
Under the proposed alternative
Subtitle C requirements, the hazardous
recyclable materials would be managed
in accordance with the current RCRA
Subtitle C requirements, including
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manifesting and hazardous waste
permits for storage. However, an
exception to these proposed
requirements would allow generators to
accumulate hazardous recyclable
materials for up to a year without a
RCRA permit if they make advance
arrangements for legitimate reclamation
and document those arrangements in a
reclamation plan.
EPA also requested comment on
alternative approaches that would
address the concerns regarding the
potential risk under the transfer-based
exclusion to human health and the
environment from discarded hazardous
secondary material, such as including
additional conditions.
3. Remanufacturing Exclusion
In addition, EPA requested comment
on an exclusion from the definition of
solid waste for certain types of highervalue solvents sent for remanufacturing
into similarly higher-value products.
Further, the action requested comment
on a petition process for adding other
higher-value hazardous secondary
materials that are destined to be
remanufactured into similarly highervalue products.
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4. Proposed Revisions to the Definition
of Legitimacy
EPA also proposed revisions to the
definition of legitimacy found at 40 CFR
260.43 for the purpose of distinguishing
genuine recycling from ‘‘sham
recycling.’’ Proposed revisions to the
2008 DSW final rule legitimacy
definition include (1) applying the
codified ‘‘legitimacy’’ definition to all
hazardous secondary material recycling
activities; (2) making all legitimacy
factors mandatory, with a petition
process for those instances that a factor
is not met even when the recycling is
legitimate; and (3) requiring
documentation of legitimacy.
5. Proposed Revisions to Solid Waste
Variances and Non-Waste
Determinations
EPA also proposed revisions to the
case-by-case solid waste variances and
non-waste determinations found at 40
CFR 260.30–260.34 in order to ensure
protection of human health and the
environment and foster greater
consistency among the implementing
agencies. Proposed revisions affect both
the non-waste determinations from the
2008 DSW final rule and pre-2008
existing variances. Specific proposed
revisions include (1) requiring facilities
which were granted a variance to reapply for the variance in the event of a
change in circumstances that affects
how that hazardous secondary material
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meets the criteria for the variance; (2)
requiring facilities to re-notify every two
years with updated information; (3)
revising the criteria for the partial
reclamation variance to clarify when the
variance applies and to require, among
other things, that all the criteria for this
variance must be met; (4) revising the
criteria for the non-waste determination
in 40 CFR 260.34 to require that
petitioners demonstrate why the
existing solid waste exclusions would
not apply to their hazardous secondary
materials; and (5) designating the
Regional Administrator as the EPA
recipient of petitions for variances and
non-waste determinations.
6. Request for Comment on Revisions to
Other Recycling Exclusions and
Exemptions
Finally, EPA requested comment on
revisions that would affect other (pre2008) solid waste exclusions and
hazardous waste exemptions for
recyclable materials. These possible
revisions include (1) recordkeeping for
speculative accumulation as applicable;
(2) requiring facilities to re-notify every
two years with updated information on
their operating status under the various
exclusions and exemptions; and (3)
containment standards for excluded
hazardous secondary materials.
IV. When will the final rule become
effective?
This final rule is effective on July 13,
2015.
V. Revisions to the Exclusion for
Hazardous Secondary Materials That
Are Legitimately Reclaimed Under the
Control of the Generator
In today’s final rule, EPA is retaining
and revising the conditional exclusion
from the definition of solid waste at 40
CFR 261.4(a)(23) for those hazardous
secondary materials that are legitimately
reclaimed within the United States or its
territories under the control of the
generator. Revisions to the generatorcontrolled exclusion include (1) adding
a codified definition of ‘‘contained;’’ (2)
adding recordkeeping requirements for
same company and toll manufacturing
reclamation; (3) making notification a
condition of the exclusion; (4) adding a
requirement to document that recycling
under the exclusion is legitimate; and
(5) adding emergency preparedness and
response conditions. In addition, we
have amended the speculative
accumulation provisions to add a
recordkeeping requirement. A
discussion of the public comments on
the July 2011 DSW proposal and the
Agency’s responses can be found in
section XIV of this preamble and the full
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response to comment document in the
docket for this rulemaking.
A. Scope of the Exclusion
The definition of ‘‘hazardous
secondary material generated and
reclaimed under the control of the
generator’’ is found at 40 CFR
261.4(a)(23) for both land-based and
non-land-based units, since the
requirements for both types of units are
the same. A land-based unit is defined
in 40 CFR 260.10 as an area where
hazardous secondary materials are
placed in or on the land before
recycling, but this definition does not
include land-based production units.
Examples of land-based units include
surface impoundments and piles.
Examples of non-land-based units
include tanks, containers, and
containment buildings.
Hazardous secondary materials are
considered ‘‘under the control of the
generator’’ under the following
circumstances:
• They are generated and then reclaimed at
the generating facility; or
• they are generated and reclaimed at
different facilities, if the generator certifies
that the hazardous secondary materials are
sent either to a facility controlled by the
generator or to a facility under common
control with the generator, and that either the
generator or the reclaimer has acknowledged
responsibility for the safe management of the
hazardous secondary materials. In addition,
the generating and receiving facilities must
maintain at their facilities for no less than
three years records of hazardous secondary
materials sent or received under this
exclusion. The records must contain the
name of the transporter, the date of the
shipment, and the type and quantity of the
hazardous secondary material shipped or
received. The requirements may be satisfied
by routine business records (e.g., financial
records, bills of lading, copies of DOT
shipping papers, or electronic confirmations);
or
• they are generated and reclaimed
pursuant to a written agreement between a
tolling contractor and toll manufacturer, if
the tolling contractor certifies that it has
entered into a tolling contract with a toll
manufacturer and that the tolling contractor
retains ownership of, and responsibility for,
the hazardous secondary materials generated
during the course of the manufacture,
including any releases of hazardous
secondary materials that occur during the
manufacturing process. The tolling contractor
and the toll manufacturer must maintain at
their facilities for no less than three years
records of hazardous secondary materials
sent or received under this exclusion. The
records must contain the name of the
transporter, the date of the shipment, and the
type and quantity of the hazardous secondary
material shipped or received. The
requirements may be satisfied by routine
business records (e.g., financial records, bills
of lading, copies of DOT shipping papers, or
electronic confirmations).
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Materials subject to material-specific
management conditions under the other
exclusions of 40 CFR 261.4(a) when
reclaimed and spent lead-acid batteries
are not eligible for the generatorcontrolled exclusion at 40 CFR
261.4(a)(23).
In addition, materials managed under
the generator-controlled exclusion at 40
CFR 261.4(a)(23) must be contained,
may not be speculatively accumulated,
and are subject to a notification
provision and documentation of
legitimacy determinations, which must
be maintained on site. Furthermore, the
generator must satisfy certain
emergency preparedness and response
conditions. These conditions and any
changes from the 2008 DSW final rule
are explained below.
B. EPA’s Rationale for Retaining and
Revising the Generator-Controlled
Exclusion
In the 2008 DSW final rule, EPA
determined that if the generator
maintains control over the recycled
hazardous secondary material, the
material is legitimately recycled under
the conditions of the exclusion, and the
material is not speculatively
accumulated within the meaning of
EPA’s regulations, then the hazardous
secondary material is not discarded.
Under these circumstances, the
hazardous secondary material is being
treated as a valuable commodity rather
than as a waste. By maintaining control
over, and potential liability for, the
recycling process, the generator ensures
that the hazardous secondary materials
are not discarded (see ABR 208 F.3d
1051 (‘‘Rather than throwing these
materials [destined for recycling] away,
the producers saves them; rather than
abandoning them, the producer reuses
them.’’)) (73 FR 64676–7).
In today’s final rule, EPA reaffirms its
determination that when a generator
legitimately recycles hazardous
secondary materials under its control
under the conditions of the exclusion,
the generator has not abandoned the
material and has every opportunity and
incentive to maintain oversight of, and
responsibility for, the hazardous
secondary material that is reclaimed.
EPA is however making several
revisions to the generator-controlled
exclusion, the rationale for each of
which is explained below.
1. Contained Definition
Under the generator-controlled
exclusion, hazardous secondary
materials must be contained pursuant to
the definition in 40 CFR 260.10,
regardless of whether they are stored in
land-based units or non-land-based
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units. Under that definition, a
hazardous secondary material is
contained if it is managed in a unit that
meets the following criteria: (1) The unit
is in good condition, with no leaks or
other continuing or intermittent
unpermitted releases of the hazardous
secondary materials to the environment,
and is designed, as appropriate for the
hazardous secondary material, to
prevent releases of the hazardous
secondary materials to the environment.
Unpermitted releases are releases that
are not covered by a permit (such as a
permit to discharge to water or air) and
may include, but are not limited to,
releases through surface transport by
precipitation runoff, releases to soil and
groundwater, wind-blown dust, fugitive
air emissions, and catastrophic unit
failures; (2) the unit is properly labeled
or otherwise has a system (such as a log)
to immediately identify the hazardous
secondary materials in the unit; and (3)
the unit holds hazardous secondary
materials that are compatible with other
hazardous secondary materials placed
in the unit and is compatible with the
materials used to construct the unit and
addresses any potential risks of fires or
explosions. Hazardous secondary
materials in units that meet the
applicable requirements of 40 CFR parts
264 or 265 are presumptively contained.
The codification of these regulatory
criteria will help regulatory authorities
and facilities operating under the
exclusion to determine whether a unit
adequately controls the movement of
hazardous secondary materials. The
contained standard is a key provision
for determining that a hazardous
secondary material is not discarded.
Hazardous secondary materials that are
not contained and are instead released
to the environment are not destined for
recycling and are clearly discarded.
In today’s final rule, EPA is retaining
the ‘‘contained’’ condition based on the
rationale that hazardous secondary
materials released to the environment
are not destined for recycling and are
clearly discarded, but is adding a
regulatory definition of contained to
make it easier for implementing
agencies and the regulatory community
to determine that a material is
contained. In the preamble to the 2008
DSW final rule (73 FR 64681), the
Agency stated that a hazardous
secondary material is ‘‘contained’’ if it
is placed in a unit that controls the
movement of the hazardous secondary
materials out of the unit and into the
environment. However, EPA did not
provide more specific guidance on how
an implementing agency or the
regulated community would determine
if a unit did adequately control the
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movement of hazardous secondary
materials and meet the contained
standard.
As EPA noted in the 2011 DSW
proposal and as reflected in many of the
public comments, of particular concern
is the lack of preventative measures in
the contained standard in the 2008 DSW
final rule. This is noted as a major
regulatory gap in EPA’s assessment of
the potential for adverse impacts from
the 2008 DSW final rule, including
adverse impacts to minority and low
income communities. Given that the
contained standard is one of the major
requirements for determining that
hazardous secondary materials
reclaimed under the generatorcontrolled exclusion are not discarded,
this lack of specificity could undermine
the exclusion. That is, if the primary or
only way to determine that the
hazardous secondary material is not
contained is to wait until it is released
to the environment, then the 2008 DSW
final rule increases the likelihood of
discard for these materials.
The Agency therefore is adding a
regulatory definition of ‘‘contained’’ that
resolves this uncertainty without
sacrificing the flexibility that would
allow the implementing authority to
take into account a wide variety of casespecific circumstances when necessary.
This definition specifies factors which,
if met, demonstrate that the hazardous
secondary materials in a unit are
handled as valuable raw materials,
intermediates, or products and thus are
not being discarded. We note that the
elements of the contained definition are
all measures that are used to prevent
releases and ensure operation and
maintenance of the storage unit in the
same manner as a production unit.
If these criteria were not met, the
materials remaining in the unit would
be considered solid and hazardous
wastes and the unit would be subject to
the appropriate hazardous waste
regulations.
Also, to clarify the regulatory status of
units from which releases have
occurred, the Agency is also adding to
40 CFR 261.4(a)(23) the following
language: (1) A hazardous secondary
material released to the environment is
discarded and a solid waste unless it is
immediately recovered for the purpose
of reclamation; and (2) hazardous
secondary material managed in a unit
with leaks or other continuing or
intermittent unpermitted releases of the
hazardous secondary material to the
environment is discarded and a solid
waste.
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2. Notification as a Condition
Under today’s rule, generators,
reclaimers, tolling contractors, and toll
manufacturers operating under the
generator-controlled exclusion at 40
CFR 261.4(a)(23) are required to submit
a notification prior to operating under
these exclusions and by March 1 of each
even-numbered year thereafter to their
regulatory authority. Facilities must also
notify their regulatory authority within
30 days of stopping management of
hazardous secondary materials under
the rule. The notification provisions are
found at 40 CFR 260.42.
The substance of the notification
provisions is essentially the same as that
under the 2008 DSW final rule.
However, under today’s rule, such
notification is a condition of the
exclusion rather than a requirement. At
issue here are not the specifics of the
notification in 40 CFR 260.42, but rather
the consequences an entity would face
for failing to notify. Thus, if notification
is a requirement under the authority of
RCRA section 3007 (as specified under
the 2008 DSW final rule), it means that
failure to notify would constitute a
violation of the notification regulations.
On the other hand, if notification is a
condition of the exclusion, it means
failure to notify would potentially result
in the loss of the exclusion for the
hazardous secondary materials (i.e., the
hazardous secondary materials may
become solid and hazardous wastes and
subject to full Subtitle C regulation).
EPA is finalizing the notification
provision as a condition of the
generator-controlled exclusion because
it is the only formal indication of a
facility’s intent to reclaim a hazardous
secondary material under the
conditional exclusion rather than to
discard it. For example, if during an
inspection of a large quantity generator
of hazardous waste, EPA were to
discover a hazardous secondary material
that had been stored on-site for more
than 90 days without a RCRA permit (an
act that would typically be a violation
of the hazardous waste regulations), a
previously filed notification would be
an indication that the facility was
planning to reclaim the hazardous
secondary material under the conditions
of the exclusion. Absent such a
notification, it would be difficult for the
facility to justify its true intentions for
the hazardous secondary material.
Failure to meet the notification
provision would be a strong indication
that the facility either did not intend to
comply with or was unaware of the
provisions of the exclusion, since it
failed to comply with the first step for
claiming the exclusion. In both cases,
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the lack of notification shows that the
hazardous secondary material may be
discarded. Making notification a
condition of the rule would further
discourage facilities from trying to
evade enforcement by not notifying
because the costs of not notifying could
be significantly higher than if
notification remains a requirement.
Finally, notification is important for
informing regulators and the public
about hazardous secondary materials
activity and, without such notification,
regulators are unable to effectively
monitor compliance. This notification
condition will keep regulators and the
public informed about hazardous
secondary materials activity and will
enable effective compliance monitoring.
3. Recordkeeping for Speculative
Accumulation
Under today’s rule, all persons subject
to the speculative accumulation
requirements at 40 CFR 261.1(c)(8)
(including, but not limited to, persons
operating under the generator-controlled
exclusion at § 261.4(a)(23)) must place
materials subject to those requirements
in a storage unit with a label indicating
the first date that the material began to
be accumulated. If placing a label on the
storage unit is not practicable, the
accumulation period must be
documented through an inventory log or
other appropriate method. This
provision will allow inspectors and
other regulatory authorities to quickly
ascertain how long a facility has been
storing an excluded hazardous
secondary material, and, therefore,
whether that facility is in compliance
with the accumulation time limits of
§ 261.1(c)(8).
EPA notes that the speculative
accumulation provision only applies to
persons who are accumulating
hazardous secondary materials.
Processes involving hazardous
secondary materials being returned to
the original process via pipes are not
considered to accumulate hazardous
secondary materials and thus the
speculative accumulation provision
(and recordkeeping therein) would not
apply to these scenarios.
4. Other Recordkeeping
Today’s exclusion for tolling and
‘‘same-company’’ recycling requires
recordkeeping for shipments sent and
received under the exclusion. The
records must contain the name of the
transporter, the date of the shipment,
and the type and quantity of hazardous
secondary material shipped or received.
These records may consist of normal
business records. Such recordkeeping
will facilitate enforcement of the
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exclusion and will allow tracking of
hazardous secondary materials to ensure
that these materials remain under the
control of the generator and are not
discarded.
5. Documentation of Legitimacy
Determinations
Persons performing the recycling of
hazardous secondary materials under
the generator-controlled exclusion of 40
CFR 261.4(a)(23) must maintain
documentation of their legitimacy
determination on-site. Documentation
must be a written description of how the
recycling meets all four factors in 40
CFR 260.43(a), except as otherwise
noted in 40 CFR 260.43(d).
Documentation must be maintained for
three years after the recycling operation
has ceased.
The Agency has determined that
requiring documentation under the
generator-controlled exclusion to
demonstrate that the hazardous
secondary materials are legitimately
recycled and not discarded is
appropriate because this exclusion is
generic and can be used by a wide
variety of industries recycling any of a
number of hazardous secondary
materials.
6. Emergency Preparedness and
Response
Many of the environmental and
human health damages identified by the
environmental problems study were
caused by fires and explosions and the
lack of specific requirements to prevent
and respond to such problems is a
significant gap in the 2008 DSW
exclusion.7 Fires and explosions at
industrial recyclers can threaten the
lives and health of both facility
employees and the general public and
can cause lasting damage to the local
environment. Recent catastrophic
chemical accidents in the United States,
such as the 2013 fire and explosion in
West, Texas, that killed 15 people, the
2010 explosion and fire at Tesoro
Refinery in Anacortes, Washington, that
killed seven employees, and the 2012
Chevron Refinery hydrocarbon fire in
Richmond, California, that affected
15,000 people in the surrounding area,
highlight the need for continued
improvement in a number of areas
related to chemical facility safety. To
address these concerns, the President
issued Executive Order 13650—
Improving Chemical Facility Safety and
7 Taken together, leaks, spills, fires, explosions, or
other accidents caused environmental damage at
19% of the 250 environmental damage sites. U.S.
EPA ‘‘An Assessment of Environmental Problems
Associated with Recycling of Hazardous Secondary
Materials (Updated)’’ December 2014.
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Security (EO) on August 1, 2013. The
EO directed the Department of
Homeland Security, EPA, the
Department of Labor, the Department of
Justice, the Department of Agriculture,
and the Department of Transportation to
identify ways to improve operational
coordination with state, local, tribal,
and territorial partners; enhance federal
agency coordination and information
sharing; modernize policies, regulations,
and standards to enhance safety and
security in chemical facilities; and work
with stakeholders to identify best
practices to reduce safety and security
risks in the production and storage of
potentially harmful chemicals.
EPA finds that planning and
preparing for an emergency
demonstrates a generator’s intent to not
only protect human health and the
environment but to reduce potential loss
of valuable hazardous secondary
materials. In the absence of such
requirements, hazardous secondary
materials pose a greater risk of being
released and discarded to the
environment.
Therefore, EPA is adding a condition
to the generator-controlled exclusion
that generators must follow certain
emergency preparedness and response
regulations, found in 40 CFR part 261
subpart M, which are dependent on the
amount of hazardous secondary material
the generator accumulates on site at any
time. Under the final rule, generators
that accumulate less than or equal to
6,000 kg of hazardous secondary
material on site must meet regulations
like the emergency preparedness and
response regulations currently required
for small quantity generators of
hazardous waste. Generators that
accumulate more than 6,000 kg of
hazardous secondary material on site
must meet regulations like the
emergency preparedness regulations
currently required for large quantity
generators of hazardous waste. EPA
chose to set the threshold at 6,000 kg
based on the current hazardous waste
generator regulations, which require
generators that accumulate greater than
6,000 kg of hazardous waste on site to
comply with large quantity generator
regulations, including emergency
preparedness and response regulations.
EPA finds that generators that
accumulate greater amounts of
hazardous secondary material on site
inherently pose greater risk to human
health and the environment from a
potential release caused by a fire or
explosion and thus it is more
appropriate for these generators to take
additional steps to prepare for such
events.
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Specifically, EPA is requiring that
generators that accumulate less than or
equal to 6,000 kg of hazardous
secondary material on site comply with
the emergency preparedness and
response requirements equivalent to
those in part 265 subpart C, which
discuss maintaining appropriate
emergency equipment on site, having
access to alarm systems, maintaining
needed aisle space, and making
arrangements with local emergency
authorities. A generator must also have
a designated emergency coordinator
who must respond to emergencies and
must post certain information next to
the telephone in the event of an
emergency.
For generators that accumulate more
than 6,000 kg of hazardous secondary
material on site, EPA is requiring that
generators comply with requirements
equivalent to those in part 265 subparts
C and D, which includes all the
requirements already discussed above
for those accumulating less than or
equal to 6,000 kg, as well as requiring
a contingency plan and sharing the plan
with local emergency responders. EPA
recommends that the contingency plan
be based on the National Response
Team’s Integrated Contingency Plan
Guidance (One Plan), discussed in the
Federal Register on June 5, 1996 (61 FR
28642). Under the One Plan Guidance,
the generator can develop one
contingency plan that meets all the
regulatory standards for the various
statutory and regulatory provisions for
contingency planning, such as EPA’s Oil
Pollution Prevention Regulation or Risk
Management Programs regulations, the
U.S. Coast Guard’s (USCG) Facility
Response Plan regulations, OSHA’s
Hazardous Waste Operations and
Emergency Response (HAZWOPER)
regulations, and several others.
EPA has determined that adding these
emergency preparedness and response
conditions to the generator-controlled
exclusion meets the goals of the
Chemical Safety EO and also will ensure
that those facilities managing hazardous
secondary material under the exclusion
will be doing so in a manner that allows
them to safely recycle the hazardous
secondary material and limit loss of
materials that are supposed to be
recycled into the environment. These
provisions are the common-sense steps
that a facility that manages hazardous
materials should take to reduce risk to
their workers and the public.
Additionally, EPA has determined that
structuring the emergency preparedness
and response conditions of the
generator-controlled exclusion after the
existing hazardous waste requirements
serves to reduce burden on generators,
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as generators are likely already familiar
and complying with this regulations.
VI. Verified Recycler Exclusion
Replacing the Exclusion for Hazardous
Secondary Materials That Are
Transferred for the Purpose of
Reclamation
Based on comments received and
further assessment, EPA has decided to
replace the 2008 DSW exclusion for
hazardous secondary materials that are
transferred for the purpose of legitimate
reclamation (i.e., the transfer-based
exclusion) with an exclusion for
hazardous secondary materials sent for
reclamation at a verified recycler (i.e.,
the verified recycler exclusion). The
verified recycler exclusion is being
finalized instead of the proposed
Subtitle C alternative recycling
standards because EPA has determined
that such an exclusion will address the
regulatory gaps identified in the 2008
DSW rule in a way that appropriately
identifies hazardous secondary
materials that will be legitimately
recycled and not discarded. Based on
the evidence from states currently
implementing the transfer-based
exclusion, hazardous secondary
materials transferred to another party for
recycling can be legitimately recycled
and not discarded, provided that there
is a mechanism for adequate oversight at
the recycling facility. Subtitle C
regulation of this activity is unnecessary
and would result in EPA regulating as
hazardous waste some materials that
have not been discarded. By adding the
condition of requiring the recycler to
obtain a solid waste variance or have a
RCRA permit, EPA is addressing the
potential for future discard while
allowing the legitimate recycling
activities that are already occurring to
continue. (A discussion of the public
comments on the July 2011 proposal
and the Agency’s responses can be
found in section XV of this preamble
and the full response to comment
document is in the docket for this
rulemaking.)
A. Summary of Transfer-Based
Exclusion
The 2008 exclusion for hazardous
secondary materials that are transferred
for the purpose of legitimate
reclamation, which EPA is withdrawing
today and replacing with the verified
recycler exclusion, applied to hazardous
secondary materials (i.e., spent
materials, listed sludges, and listed byproducts) that are generated and
subsequently transferred to a different
person or company for the purpose of
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reclamation. This exclusion was found
at 40 CFR 261.4(a)(24) and (25).8
General conditions for hazardous
secondary material generators,
reclaimers, and intermediate facilities 9
under this exclusion included the
following:
• Entities must submit a notification prior
to operating under the exclusion and by
March 1 of each even-numbered year
thereafter reporting types and quantities of
hazardous secondary materials being
reclaimed, and
• hazardous secondary materials managed
at such facilities must not be speculatively
accumulated as defined in § 261.1(c)(8) and
must be legitimately reclaimed as specified
in § 260.43.
Conditions applicable to generators of
hazardous secondary materials included
the following:
• Containment of such hazardous
secondary materials,
• reasonable efforts, a form of due
diligence, to ensure that the intermediate
facility or reclaimer intends to properly
manage and legitimately recycle the
hazardous secondary material, and
• retention of records of off-site shipments
for three years.
Conditions applicable to intermediate
facilities and reclaimers included the
following:
• Containment of hazardous secondary
materials,
• transmittal of confirmations of receipt to
generators,
• retention of records for hazardous
secondary materials received and sent offsite,
• financial assurance equivalent to that
required of hazardous waste facilities, and
• (for reclaimers) proper management of
any residuals generated from the reclamation
activities.
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In addition, for any hazardous
secondary materials excluded under 40
CFR 261.4(a)(24) generated and then
exported to another country for
reclamation, the exporter must notify
and obtain consent from the receiving
country and file an annual report per 40
CFR 261.4(a)(25).
B. EPA’s Rationale for Requiring
Conditions for Transfers of Hazardous
Secondary Materials Sent for
Reclamation
In the 2008 DSW rule, EPA
determined that, absent specific
conditions, it is reasonable to conclude
that transfers of hazardous secondary
materials to third-party recyclers
8 40 CFR 261.4(a)(24) is the primary transferbased exclusion and 40 CFR 261.4(a)(25) contains
the export requirements for the transfer-based
exclusion.
9 Intermediate facilities are those facilities that do
not reclaim hazardous secondary materials, but
store them for more than 10 days.
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generally involve discard except for
instances where EPA has evaluated and
promulgated a case-specific exclusion
that a hazardous secondary material is
not a solid waste. Generators of
hazardous secondary materials who do
not reclaim these materials themselves
often ship these materials to a
commercial facility or another
manufacturer for reclamation in order to
avoid the costs of disposing of the
material. Because of the low commercial
value and the high potential liability
associated with most types of hazardous
secondary materials (i.e., spent
materials and listed hazardous waste byproducts and sludges), generators will
typically pay the reclamation facility to
accept these hazardous secondary
materials or receive a salvage fee that
only partially offsets the cost of
transporting and managing them. In
such situations, the generator has
relinquished control of the hazardous
secondary materials and the entity
receiving such materials may not have
the same incentives to manage them as
a useful product. (Note that this
determination is unchanged from the
2008 DSW final rule; see 73 FR 64675.)
Evidence of hazardous secondary
materials not being managed as a
valuable product is shown in the results
of the environmental problems study,
found in the docket of the 2008 DSW
final rule. Of the 208 damage cases
discussed in the 2008 DSW final rule,
195 (or approximately 94%) were from
reclamation activities of off-site thirdparty recyclers, with clear instances of
discard resulting in risk to human
health and the environment, including
cases of large-scale soil and ground
water contamination with remediation
costs in some instances in the tens of
millions of dollars (73 FR 64673).
In addition, the market forces study in
the docket for the 2008 DSW final rule
supports the conclusion that the pattern
of discard at off-site third-party
reclaimers is a result of inherent
differences between commercial
recycling and normal manufacturing. As
opposed to manufacturing, where the
cost of raw materials or intermediates
(or inputs) is greater than zero and
revenue is generated primarily from the
sale of the output, hazardous secondary
materials recycling can involve
generating revenue primarily from the
receipt of the hazardous secondary
materials. Recyclers of hazardous
secondary materials in this situation
thus respond differently than traditional
manufacturers to economic forces and
incentives, accumulating more inputs
(hazardous secondary materials) than
can be processed (reclaimed). In
addition, commercial recyclers have less
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1707
flexibility than in-house recyclers in
changing how they manage their
hazardous secondary materials (e.g.,
during price fluctuations, in-house
recyclers can more easily switch from
recycling to disposal or from recycled
inputs to virgin inputs, while
commercial recyclers cannot switch to
disposal without obtaining a RCRA
permit) (73 FR 64674). In other words,
third-party recyclers have economic
incentives to accumulate waste beyond
their ability to deal with it.
C. Regulatory Gaps in the 2008 DSW
Rule
The 2008 DSW final rule attempted to
address this pattern of adverse impacts
to human health and the environment
from hazardous secondary materials
transferred to a third party for recycling
by setting conditions for the transferbased exclusion. The intent of these
conditions was to define when transfers
to third-party recyclers would not result
in discard. The link between each of the
conditions and their ability to prevent
discard is discussed in detail in the
2008 DSW final rule preamble at 73 FR
64675–79.
However, EPA failed to take into
account how the conditions of the 2008
transfer-based exclusion would work
when actually implemented. EPA’s
analysis of the 2008 DSW final rule was
based on the assumption that DSW
conditions would be implemented to
the same degree as Subtitle C hazardous
waste regulations, without taking into
consideration whether the 2008 DSW
rule would provide EPA and the
authorized states the ability for the same
level of oversight as the fully applicable
Subtitle C hazardous waste regulations,
which leads to the second part of EPA’s
rationale for its 2011 proposal to replace
the transfer-based exclusion with an
alternative Subtitle C regulatory scheme.
Before excluding hazardous
secondary materials that have already
been determined to be hazardous wastes
when discarded, the Agency needs
adequate assurance that the conditional
exclusion will not result in discarded
hazardous materials posing significant
risks to human health and the
environment (e.g., fires/explosion, soil
and water contamination, air emissions,
and abandoned hazardous secondary
materials). Because EPA has already
evaluated these hazardous secondary
materials (for example, during a
hazardous waste listing determination)
and determined them to be solid and
hazardous wastes when discarded, the
Agency must be able to reasonably
expect that hazardous secondary
materials managed under a conditional
exclusion will not be discarded.
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Over the years, EPA has developed
many such conditional exclusions
(found in 40 CFR 261.4(a)). In each of
these cases, EPA did so by examining
the specific hazardous secondary
material or the specific recycling
practice, or both, before making a
determination that the hazardous
secondary material is not solid waste.
However, unlike these types of specific
transfer-based exclusions from the
definition of solid waste, the 2008
transfer-based exclusion in 40 CFR
261.4(a)(24) and (25) did not focus on
the chemical or physical properties of
any particular type of hazardous
secondary material or on how it is
typically managed. Instead, the transferbased exclusion is broadly applicable to
a wide range of hazardous spent
materials and listed by-products and
sludges. Thus, while other solid waste
exclusions were developed based on
EPA’s knowledge of the specific
hazardous secondary materials, the
industries generating them, or the
current recycling management practice
for those hazardous secondary
materials, the 2008 DSW transfer-based
exclusion relied entirely on the
conditions that were developed by EPA
operating as the Agency anticipates they
should. The conditions themselves were
developed in a reasoned manner,10 but
without evidence that they would work
as intended (i.e., would not result in
significant risk to human health and the
environment from discarded materials).
However, the conditions for the
transfer-based exclusion in the 2008
DSW final rule lack several important
implementation provisions that the
Subtitle C requirements for treatment,
storage, and disposal facilities provide.
These provisions ensure a greater level
of oversight, which ensures that EPA or
the state has reviewed a facility’s
planned operations before management
begins and which allows public
participation in the environmental
decision-making process, thereby
increasing the likelihood of compliance
and decreasing the potential for risk to
human health and the environment
from discarded hazardous secondary
material. EPA has performed a detailed
regulatory comparison of the 2008 DSW
final rule with the fully applicable
Subtitle C hazardous waste regulations,
identifying significant differences that
could lead to the potential for an
increased likelihood of environmental
and public health hazards, including
10 See Chapter 11, Regulatory Impact Analysis:
EPA’s 2008 Final Rule Amendments to the
Industrial Recycling Exclusions of the RCRA
Definition of Solid Waste, EPA–HQ–RCRA–2002–
0031–0602.
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fires/explosion, soil and water
contamination, air emissions, and
abandoned hazardous secondary
materials.11
D. Rationale for the Verified Recycler
Exclusion
Based on this reconsideration of the
DSW transfer-based exclusion
conditions, EPA has determined that
hazardous secondary materials
transferred off-site to third party
reclaimers for the purpose of legitimate
reclamation are most appropriately
covered under a system that allows for
oversight and public participation prior
to the start of operations to help ensure
that (1) the hazardous secondary
material will be legitimately reclaimed
and not discarded and (2) the potential
risk of releases from the facility
impacting the surrounding community
will be minimized. The need for such
additional oversight and public
participation is demonstrated by (1)
evidence of past damage cases leading
to significant risk to human health and
the environment from hazardous
secondary materials originally intended
for recycling and (2) the underlying
perverse incentives of the recycling
market to over-accumulate such
hazardous secondary materials intended
for recycling, resulting in discard of the
material. In other words, the transferbased exclusion can exacerbate financial
incentives for small and/or
inexperienced businesses to take in
more hazardous secondary materials
than they actually can use, mishandle it,
and even go out of business, as shown
by the fact that bankruptcies or other
types of business failures were
associated with 66% of the recycling
damage cases, resulting in multi-million
dollar cleanups.
At the same time, as EPA noted in the
2011 DSW proposal and as was echoed
in the public comments, EPA has also
carefully monitored the implementation
of the 2008 DSW final rule since it came
into effect in December 2008, and to
date, no environmental problems have
been reported by states related to 2008
transfer-based exclusion. As of April
2014, a total of 65 facilities are operating
under the transfer-based exclusion, 56
of which are generators transferring offsite and 7 which are reclamation
facilities.12 All seven reclamation
11 See Chapter 2 and Appendix A of Potential
Adverse Impacts Under the Definition of Solid
Waste Exclusions (Including Potential
Disproportionate Adverse Impacts to Minority and
Low-Income Populations): Volume 1—Hazard
Characterization, available in the docket for today’s
rule.
12 Some of these facilities are also managing
hazardous secondary materials under the generatorcontrolled exclusion.
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facilities are RCRA permitted. Of the 56
generators operating under the transferbased exclusion, 32 generators appear to
have either started or substantially
increased their recycling as a result of
the 2008 DSW exclusions. These
include generators that had previously
reported in their 2007, 2009, or 2011
biennial report that they sent their
solvents off site for fuel blending, and
then notified that they are sending their
spent solvents for reclamation under the
2008 DSW final rule. In addition, in at
least five cases, facilities have switched
from sending spent pickle liquor to
landfilling or deep well injection to
recycling under the 2008 DSW rule. In
total, the 2008 DSW notifications
document that over 57,000 tons of
hazardous secondary material were
reclaimed under the 2008 DSW rule
during 2011.13
In addition, it should be noted that
the Department of Environmental
Protection for the State of Pennsylvania
(PA DEP), where 27 of the 65 facilities
operating under the transfer-based
exclusion are located, commented
strongly in favor of keeping the transferbased exclusion: ‘‘PA DEP has
experienced no compliance problems or
issues of any nature with those
generators or reclamation facilities
operating under this conditional
exclusion, known as the transfer-based
exclusion. In addition, under the
transfer-based exclusion, large
quantities of hazardous solvents have
been diverted to reclamation and reuse
rather than being burned for energy
recovery, resulting in greater resource
conservation.’’ 14
Given that the transfer-based
exclusion has been achieving its
intended purpose of encourage safe,
legitimate recycling, withdrawing the
transfer-based exclusion and replacing it
with RCRA Subtitle C hazardous waste
requirements is unnecessary and would
result in hazardous secondary material
that is currently being legitimately
recycled and not discarded being
regulated as hazardous waste. Because
Subtitle C regulation would be more
stringent that the current exclusion, if
EPA were to finalize the alternative
Subtitle C standards, Pennsylvania (and
other states that have adopted the 2008
DSW rule) would have to regulate this
material as hazardous waste, despite the
13 U.S. EPA, EPA’s Evaluation of Data Collected
From Notifications Submitted Under the 2008
Definition of Solid Waste Exclusions, April 11,
2014.
14 Comment to the docket from Vincent J. Brisini,
Acting Deputy Secretary for Waste, Air, Radiation
and Remediation, Pennsylvania Department of
Environmental Protection, October 20, 2011 (EPA–
HQ–RCRA–2010–0742–0271).
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fact that according to the state it is
currently being legitimately recycled
and not discarded.
However, it is important to note that
the comments from PA DEP went on to
recommend that the transfer-based
exclusion be limited to RCRA-permitted
facilities. Because all recycling under
the transfer-based exclusion has been (to
date) performed at RCRA-permitted
facilities, EPA is unable to extrapolate
what would happen at facilities without
RCRA Subtitle C permits if the transferbased exclusion were fully
implemented. Given the evidence of
past damage cases leading to significant
risk to human health and the
environment from hazardous secondary
materials originally intended for
recycling and the underlying perverse
incentives of the recycling market to
over-accumulate such hazardous
secondary materials intended for
recycling, resulting in discard of the
material, additional oversight of
recycling beyond the self-implementing
measures of the transfer-based exclusion
is needed to ensure that the hazardous
secondary material is legitimately
recycled and not discarded.
To address this issue, EPA is
requiring as a condition of the new
verified recycler exclusion that
generators must send their hazardous
secondary materials to a RCRApermitted recycler or intermediate
facility 15 or to a verified hazardous
secondary materials recycler or
intermediate facility who has obtained a
solid waste variance from EPA or the
authorized state using the procedures
found in 40 CFR 260.33. The verified
recycler exclusion uses the solid waste
variance procedure to determine if a
facility will properly manage the
hazardous secondary materials as
commodities and legitimately recycle
rather than discard them. The variance
addresses the same criteria currently
required for the reasonable efforts
environmental audit under the 2008
transfer-based exclusion (see discussion
below). However, the variance process
would allow EPA or the authorized state
to evaluate the facility before it begins
recycling hazardous secondary materials
and would also give the affected
community the opportunity to provide
input prior to a decision as to whether
the variance should be granted, thus
addressing a major regulatory gap in the
transfer-based exclusion that could
result in significant risk to human
health and the environment from
15 Intermediate facilities are those facilities that
do not reclaim hazardous secondary materials, but
store them for more than 10 days.
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discarded hazardous secondary
material.
In addition, as described below, the
verified recycler exclusion retains those
conditions from the 2008 transfer-based
exclusion that EPA determined are
necessary to properly identify
hazardous secondary material that is
legitimately recycled and not discarded,
and also includes the new conditions
that apply to the generator-controlled
exclusion being finalized today.
EPA expects that all facilities that are
currently recycling hazardous secondary
materials under the 2008 transfer-based
exclusion will be able to continue to
recycle these materials under the
verified recycler exclusion, because all
recycling under the transfer-based
exclusion is being done at RCRApermitted facilities, which also qualify
for the verified recycler exclusion.
Moreover, the additional conditions of
the verified recycler exclusion address
the regulatory gaps EPA identified in
the 2011 DSW proposal that could have
resulted in significant risk to human
health and the environment from
discarded material, if the 2008 DSW had
been fully implemented to include
facilities without RCRA permits or other
regulatory oversight prior to beginning
recycling.
Finally, EPA notes that facilities
managing excluded hazardous
secondary materials under the verified
recycling exclusion are still potentially
subject to RCRA enforcement actions if
they fail to meet the conditions of the
exclusion. Persons that handle these
hazardous secondary materials are
responsible for maintaining the
exclusion by ensuring that the
conditions are met. If the hazardous
secondary materials are not managed
pursuant to these restrictions, they are
not excluded. They would then be
considered solid and hazardous wastes
if they were listed or they exhibited a
hazardous waste characteristic for RCRA
Subtitle C purposes.
E. Conditions of the Verified Recycler
Exclusion
The conditions discussed below
describe EPA’s evaluation of each of the
conditions under the 2008 transferbased exclusion that EPA is retaining in
the verified recycler exclusion, as well
as the additional conditions EPA has
determined are necessary to address the
regulatory gaps identified in the
transfer-based exclusion in order to
ensure that the verified recycler
exclusion identifies hazardous
secondary materials that are legitimately
recycled and not discarded. By
including these conditions, EPA is
identifying those hazardous secondary
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materials that will be legitimately
recycled and not discarded.
1. Provisions Applicable to the
Hazardous Secondary Materials
Generator, the Reclamation Facility, and
any Intermediate Facility
Prohibition on speculative
accumulation. As a condition of the
verified recycler exclusion, hazardous
secondary materials cannot be
speculatively accumulated (40 CFR
261.1(c)(8)) at the hazardous secondary
material generator, reclamation facility,
or intermediate facility. Restrictions on
speculative accumulation have been an
important element of the RCRA
hazardous waste recycling regulations
since they were promulgated on January
4, 1985. According to this regulatory
provision, hazardous secondary
materials are accumulated speculatively
if the person accumulating them cannot
show that the material is potentially
recyclable. Further, the person
accumulating the hazardous secondary
material must show that during a
calendar year (beginning January 1) the
amount of such material that is recycled
or transferred to a different site for
recycling is at least 75% by weight or
volume of the amount of the hazardous
secondary material present at the
beginning of the period. It is also the
same prohibition that is being
promulgated today for the generatorcontrolled exclusions.
Furthermore, under today’s rule, all
persons subject to the speculative
accumulation requirements at 40 CFR
261.1(c)(8) (including, but not limited
to, persons operating under the verified
recycler exclusion at § 261.4(a)(24))
must place materials subject to those
requirements in a storage unit with a
label indicating the first date that the
material began to be accumulated. If
placing a label on the storage unit is not
practicable, the accumulation period
must be documented through an
inventory log or other appropriate
method.
This provision will allow inspectors
and other regulatory authorities to
quickly ascertain how long a facility has
been storing an excluded hazardous
secondary material, and, therefore,
whether that facility is in compliance
with the accumulation time limits of
§ 261.1(c)(8).This provision is being
retained in the verified recycler
exclusion to ensure that the hazardous
secondary materials will be recycled
rather than discarded through
speculative accumulation and
abandonment.
Notification. Under today’s verified
recycler exclusion, as a condition of the
exclusion, hazardous secondary
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material generators, reclaimers, and
intermediate facilities must send a
notification prior to operating under this
exclusion and by March 1 of each evennumbered year thereafter to the EPA
Regional Administrator using EPA form
8700–12. In states authorized by EPA to
administer the RCRA Subtitle C
hazardous waste program, notifications
may be sent to the State Director. The
notice must include the following:
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• The name, address, and EPA ID number
(if applicable) of the facility;
• The name and telephone number of a
contact person;
• The NAICS code of the facility;
• The exclusion under which the
hazardous secondary materials will be
managed;
• When the facility expects to begin
managing the hazardous secondary materials
in accordance with the exclusion;
• A list of hazardous secondary materials
that will be managed according to the
exclusion (reported as the EPA hazardous
waste numbers that would apply if the
hazardous secondary materials were
managed as hazardous waste);
• For each hazardous secondary material,
whether the material, or any portion thereof,
will be managed in a land-based unit;
• The quantity of each hazardous
secondary material to be managed annually;
and
• The certification (included in EPA form
8700–12) signed and dated by an authorized
representative of the facility.
If a facility has submitted a
notification, but then subsequently
stops managing hazardous secondary
materials in accordance with the
exclusion, the facility must re-notify the
Regional Administrator within 30 days
using the same EPA Form 8700–12. We
consider a facility to have ‘stopped’
managing hazardous secondary
materials when a facility no longer
generates, manages and/or reclaims
hazardous secondary materials under
the exclusion and does not expect to
manage any amount of hazardous
secondary material under the exclusion
for at least one year. Of course, a facility
could certainly choose to begin
managing hazardous secondary
materials again and would simply have
to submit a notification in compliance
with 40 CFR 260.42.
This notification condition is the
same as the notification condition for
the generator-controlled exclusion and
is an indication that the facility is
planning to legitimately recycle the
hazardous secondary materials and not
discard them. As with the generatorcontrolled exclusion, EPA is finalizing
the notification provision as a condition
of the transfer-based exclusion because
it is the only formal indication of a
facility’s intent to reclaim a hazardous
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secondary material under the
conditional exclusion rather than to
discard it. For further discussion on the
notification, including examples of
when a facility must re-notify that it has
stopped managing hazardous secondary
materials, see section V.B.2 of today’s
preamble.
Hazardous secondary materials must
be contained. Another condition of the
verified recycler exclusion applicable to
hazardous secondary material
generators, reclamation facilities, and
intermediate facilities is that the
hazardous secondary materials must be
contained in their management units.
This provision is the same as the
restriction that is being promulgated for
the generator-controlled exclusion and
helps ensure that the hazardous
secondary material remains in the
management unit until it is ready to be
recycled and is not discarded.
Hazardous secondary materials released
to the environment from any unit are
discarded and would be subject to the
hazardous waste regulations, unless
they are immediately cleaned up.
Hazardous secondary materials
remaining in a unit that experiences a
release may also be considered
discarded in certain cases. For further
discussion on the containment
provisions, see section V.B.1 of today’s
preamble.
Emergency preparedness and
response. As discussed above under the
generator-controlled exclusion, one
important cause of environmental and
human health damages identified by the
environmental problems study is fires,
explosions, and accidents, with 19% of
the environmental damage cases being
associated with leaks, spills, fires,
explosions, or other accidents, and the
lack of conditions to address these
problems is a significant regulatory gap
in the 2008 DSW exclusions. In
addition, the President recently released
an Executive Order to address these
types of concerns (EO 13650—
Improving Chemical Facility Safety and
Security). EPA finds that planning and
preparing for an emergency
demonstrates a generator’s intent to not
only protect human health and the
environment, but also to reduce
potential loss of valuable hazardous
secondary materials. In the absence of
such requirements, hazardous
secondary materials pose a greater risk
of being released and discarded to the
environment.
Therefore, EPA is requiring that
generators must follow certain
emergency preparedness and response
regulations under the verified recycler
exclusion. These regulations are found
in 40 CFR part 261 subpart M and are
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dependent on the amount of hazardous
secondary material the generator
accumulates on site at any time.16
Under the final rule, generators that
accumulate less than or equal to 6,000
kg of hazardous secondary material on
site must meet regulations like the
emergency preparedness and response
regulations currently required for small
quantity generators of hazardous waste.
Generators that accumulate more than
6,000 kg of hazardous secondary
material on site must meet regulations
like the emergency preparedness and
response regulations currently required
for large quantity generators of
hazardous waste. EPA chose to set the
threshold at 6,000 kg based on the
current hazardous waste generator
regulations, which require generators
that accumulate greater than 6,000 kg of
hazardous waste on site to comply with
large quantity generator regulations,
including emergency preparedness and
response regulations. EPA finds that
generators that accumulate greater
amounts of hazardous secondary
material on site inherently pose greater
risk to human health and the
environment from a potential release
caused by a fire or explosion and thus
it is more appropriate for these
generators to take additional steps to
prepare for such events.
Specifically, EPA is requiring that
generators that accumulate less than or
equal to 6,000 kg of hazardous
secondary material on site comply with
the emergency preparedness and
response requirements equivalent to
those in part 265 subpart C, which
discuss maintaining appropriate
emergency equipment on site, having
access to alarm systems, maintaining
needed aisle space, and making
arrangements with local emergency
authorities. A generator must also have
a designated emergency coordinator
who must respond to emergencies and
must post certain information next to
the telephone in the event of an
emergency.
For generators that accumulate more
than 6,000 kg of hazardous secondary
material on site, EPA is requiring that
they comply with requirements
equivalent to those in part 265 subparts
C and D, which includes all the
requirements already discussed above
for those accumulating less than or
equal to 6,000 kg, as well as requiring
a contingency plan and sharing the plan
with local emergency responders. EPA
16 Intermediate facilities and reclamation
facilities must also follow emergency prepared and
response regulations, either through the
requirement of their RCRA permit or through the
criteria that must be met to obtain a verified
recycler variance under 40 CFR 260.31(d).
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recommends that the contingency plan
be based on the National Response
Team’s Integrated Contingency Plan
Guidance (One Plan), discussed in the
Federal Register on June 5, 1996 (61 FR
28642). Under the One Plan Guidance,
the generator can develop one
contingency plan that meets all the
regulatory standards for the various
statutory and regulatory provisions for
contingency planning, such as EPA’s Oil
Pollution Prevention Regulation or Risk
Management Programs regulations, the
U.S. Coast Guard’s (USCG) Facility
Response Plan regulations, OSHA’s
Hazardous Waste Operations and
Emergency Response (HAZWOPER)
regulations, and several others.
EPA has determined that adding these
emergency preparedness and response
conditions meets the goals of the
Chemical Safety EO and also will ensure
that those facilities managing hazardous
secondary material under the exclusion
will be doing so in a manner that allows
them to safely recycle the hazardous
secondary material and limit loss into
the environment of materials that are
supposed to be recycled. These
provisions are the common-sense steps
that a facility that manages hazardous
materials should take to reduce risk to
their workers and the public.
Additionally, structuring the emergency
preparedness and response conditions
of the verified recycler exclusion after
the existing hazardous waste
requirements serves to reduce burden
on generators, as generators are already
familiar and complying with this
regulations.
Exclusion is limited to recycling
performed within the United States.
Because the verified recycler exclusion
requires that hazardous secondary
materials are sent to a verified
reclamation facility (or facilities) that
has been granted either a RCRA permit
or interim status that addresses the
hazardous secondary material or has
received a variance from EPA or the
authorized state, this exclusion is
limited to recycling performed within
the United States or its territories.
Because hazardous secondary materials
that are exported for recycling passes
out of the regulatory control of the
federal government, it is not possible to
verify whether the foreign reclaimer will
safely and legitimately recycle the
hazardous secondary material and not
discard it.
2. Provisions Applicable to the
Hazardous Secondary Material
Generator
Transport to a Verified Recycler. The
hazardous secondary material generator
must transport hazardous secondary
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materials to a verified reclamation
facility (or facilities) within the United
States or its territories. A verified
reclamation facility is a facility that has
been granted a variance by EPA or an
authorized state under § 260.31(d) or a
reclamation facility where the
management of the hazardous secondary
materials is addressed under a RCRA
Part B permit or interim status
standards. If the hazardous secondary
material will be passing through an
intermediate facility, the intermediate
facility must have been granted a
variance under § 260.31(d) or the
management of the hazardous secondary
materials at that facility must be
addressed under a RCRA Part B permit
or interim status standards. The
hazardous secondary material generator
must also make contractual
arrangements with the intermediate
facility to ensure that the intermediate
facility sends the hazardous secondary
material to the verified reclamation
facility identified by the hazardous
secondary material generator.
Note that in the case of a permitted
facility the management of the
hazardous secondary materials must be
addressed under the RCRA part B
permit or interim status standards. In
other words, if the permit standards do
not extend to the hazardous secondary
materials being reclaimed, then the
reclamation or intermediate facility is
required to either modify the permit to
cover those materials or obtain a solid
waste variance from EPA or the
authorized state before operating under
the exclusion.
This condition addresses the major
regulatory gap in the transfer-based
exclusion of lack of oversight and public
participation for hazardous secondary
material recycling facilities that do not
have RCRA permits. Given the evidence
of past damage cases leading to
significant risk to human health and the
environment from hazardous secondary
materials originally intended for
recycling and the underlying perverse
incentives of the recycling market to
over-accumulate such hazardous
secondary materials intended for
recycling, resulting in discard of the
material, additional oversight of
recycling beyond the self-implementing
measures of the transfer-based exclusion
are needed to ensure that the hazardous
secondary material is legitimately
recycled and not discarded.
This condition replaces the selfimplementing ‘‘reasonable efforts’’
environmental audits of the recycling
facility required under the 2008
transfer-based exclusion. EPA has
determined that it more appropriate for
the state or EPA to make the
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1711
determination that a facility can safely
and legitimately recycle hazardous
secondary material. While EPA has
found that many large companies do
conduct environmental audits of
recycling facilities, many smaller
generators would not have the technical
expertise or resources to conduct such
an effort.17 In addition, it is more
efficient for the EPA or the authorized
state to perform one evaluation of a
recycler via the permit or variance
process rather than have multiple
evaluations of a recycler conducted by
each generator using that recycler.
Recordkeeping. EPA is requiring
hazardous secondary material
generators to maintain at the generating
facility certain records that document
off-site shipments of hazardous
secondary materials for a period of three
years. Specifically, for each shipment of
hazardous secondary material, the
generator must maintain documentation
of when the shipment occurred, who the
transporter was, the name and address
of the reclaimer(s) and, if applicable,
each intermediate facility, and the type
and quantity of the hazardous secondary
materials in the shipment. This
recordkeeping requirement may be
fulfilled by ordinary business records,
such as bills of lading.
In addition, hazardous secondary
material generators are required to
maintain confirmations of receipt from
each reclaimer and intermediate facility
for all off-site shipments of hazardous
secondary materials in order to verify
that the hazardous secondary materials
reached their intended destination and
were not discarded. These receipts must
be maintained at the generating facility
for a period of three years. Specifically,
the hazardous secondary material
generator must maintain documentation
of receipt that includes the name and
address of the reclaimer or intermediate
facility, the type and quantity of
hazardous secondary materials received,
and the date which the hazardous
secondary materials were received. The
Agency is not requiring a specific
template or format for confirmations of
receipt and anticipates that routine
business records (e.g., financial records,
bills of lading, copies of Department of
Transportation (DOT) shipping papers,
electronic confirmations of receipt)
could contain the appropriate
information sufficient for meeting this
requirement.
We recognize that, in some cases,
reclamation of a hazardous secondary
material may involve more than one
17 An Assessment of Good Current Practices for
Recycling of Hazardous Secondary Materials (EPA–
HQ–RCRA–2002–0031–0354).
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reclamation step. In these cases, the
recordkeeping condition under the
terms of the exclusion applies for each
reclaimer and intermediate facility,
regardless of how many reclamation
steps were involved. For example, if a
hazardous secondary material generator
shipped hazardous secondary materials
to one reclaimer for partial reclamation
and then arranged for the partiallyreclaimed material to be subsequently
sent to another reclaimer for ‘‘final’’
reclamation, the generator must
maintain confirmations of receipt from
each reclaimer involved in the
reclamation process.
The recordkeeping requirements are
the same as those in the 2008 transferbased exclusion and Agency continues
to believe that the recordkeeping
requirements in today’s rule comprise
the minimum information needed to
enable effective oversight to ensure the
hazardous secondary materials were
sent for reclamation and were not
discarded.
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3. Provisions Applicable to the
Transportation of Hazardous Secondary
Materials
Hazardous secondary materials may
be stored for up to 10 days at a transfer
facility and still be considered in transit.
However, if the facility stores the
hazardous secondary materials for more
than 10 days, then it would be
considered an intermediate facility and
subject to the conditions in 40 CFR
261.4(a)(24)(vi). While at the transfer
facility, the hazardous secondary
materials must continue to meet all
applicable DOT standards. Hazardous
secondary materials may be
consolidated for shipping, but cannot be
intermingled in a way that would
constitute waste management. This
provision is unchanged from the 2008
transfer-based exclusion and describes
the intersection of the RCRA and DOT
requirements for these shipments.
4. Provisions Applicable to the
Reclamation Facility and any
Intermediate Facilities
Recordkeeping. Reclaimers and
intermediate facilities who operate
under the verified recycler exclusion
must maintain certain records, similar
to the records we are requiring for
hazardous secondary material
generators. Specifically, reclaimers and
intermediate facilities must maintain at
their facilities for a period of three years
records of all shipments of hazardous
secondary materials that were received
at the facility and, if applicable, records
of all shipments of hazardous secondary
materials sent off-site from the facility.
For hazardous secondary materials
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received at the reclamation and
intermediate facility, such records must
document the name and address of the
hazardous secondary material generator,
the type and quantity of hazardous
secondary materials received at the
facility, any intermediate facilities that
managed the hazardous secondary
materials, the name of the transporter
that brought the hazardous secondary
materials to the facility, and the date
such materials were received at the
facility.
For hazardous secondary materials
that, after being received by the
reclaimer or intermediate facility, are
subsequently sent off-site for further
reclamation, reclaimers and
intermediate facilities must document
the name and address of the hazardous
secondary material generator, when the
shipment occurred, who the transporter
was, the name and address of the
subsequent reclaimer and, if applicable,
each subsequent intermediate facility,
and the type and quantity of hazardous
secondary materials in the shipment.
This recordkeeping requirement may be
fulfilled by ordinary business records,
such as bills of lading.
Reclaimers and intermediate facilities
must also send confirmations of receipt
to the hazardous secondary material
generator for all off-site shipments of
hazardous secondary materials received
at the facility in order to verify for the
hazardous secondary material generator
that their materials reached the
intended destination and were not
discarded. Specifically, the reclaimer (or
each reclaimer, when more than one
reclamation step is required) and, if
applicable, each intermediate facility,
must send documentation of receipt to
the hazardous secondary material
generator that includes the name and
address of the reclaimer or intermediate
facility, the type and quantity of the
hazardous secondary materials received
and the date which the hazardous
secondary materials were received. The
Agency is not requiring a specific
template or format for confirmations of
receipt and anticipates that routine
business records (e.g., financial records,
bills of lading, copies of DOT shipping
papers, electronic confirmations of
receipt) could contain the appropriate
information sufficient for meeting this
requirement.
In addition, reclaimers and
intermediate facilities must also meet
the recordkeeping requirements under
financial assurance discussed below in
this section.
Storage of Hazardous Secondary
Materials. In addition to the condition
that the hazardous secondary materials
must be contained (40 CFR
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261.4(a)(24)(v)(A)), reclamation facilities
and intermediate facilities must also
manage the hazardous secondary
materials in a manner that is at least as
protective as that employed for the
analogous raw material, where there is
an analogous raw material. Where there
is no analogous raw material, the
hazardous secondary material must be
contained.
An ‘‘analogous raw material’’ is a
material for which a hazardous
secondary material substitutes and
which serves the same function and has
similar physical and chemical
properties as the hazardous secondary
material. A raw material that has
significantly different physical or
chemical properties would not be
considered analogous even if it serves
the same function. For example, a
metal-bearing ore might serve the same
function as a metal-bearing air pollution
control dust, but because the physical
properties of the dust would make it
more susceptible to wind dispersal, the
two would not be considered analogous.
Similarly, hazardous secondary
materials with high levels of toxic
volatile chemicals would not be
considered analogous to a raw material
that does not have these volatile
chemicals or that has only minimal
levels of volatile chemicals. Storage
conditions for reclamation facilities and
intermediate facilities that operate
under today’s exclusion demonstrate
that the materials are not discarded, but
instead are treated valuable
commodities which would be used and
not lost to the environment.
This condition is the same as the
parallel condition in the 2008 transferbased exclusion and is based on the fact
that the great majority of damage cases
documented in the environmental
problems study occurred at commercial
reclamation and intermediate storage
facilities, and mismanagement of
hazardous secondary materials was
found to be a cause of environmental
problems in approximately 40% of the
incidents. Accordingly, EPA has
determined that this condition for
storage is necessary and appropriate for
reclamation facilities and intermediate
facilities that take advantage of this
exclusion to show that storage of these
materials is not just another way of
disposing of them. In addition, it will
establish an expectation for the owner/
operators of such facilities that they
must manage hazardous secondary
materials in a manner at least as
protective as they would an analogous
raw material and in such a way that
materials would not be released into the
environment.
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Management of recycling residuals.
Another condition of the verified
recycler exclusion is that any residuals
that are generated from the reclamation
processes must be managed in a manner
that is protective of human health and
the environment. If any residuals
exhibit a hazardous characteristic
according to subpart C of 40 CFR part
261, or themselves are listed hazardous
wastes, they are hazardous wastes (if
discarded) and must be managed
according to the applicable
requirements of 40 CFR parts 260
through 273.
This condition is the same as the
parallel condition in the 2008 transferbased exclusion and the purpose of this
condition is to clarify the regulatory
status of these waste materials and to
emphasize in explicit terms that
residuals that are generated from the
reclamation of hazardous secondary
materials must be managed properly so
that the reclamation operation does not
become another way of avoiding waste
management and simply becomes
another way of discarding unwanted
material. The study of recent (i.e., postCERCLA and post-RCRA) recyclingrelated environmental problems
revealed that mismanagement of
residuals was the cause of such
problems in one-third of the incidents
that were documented. Some common
examples of these mismanaged residuals
were acids and casings from the
processing of lead-acid batteries,
solvents and other liquids generated
from cleaning drums at drum
reconditioning facilities, and PCBs and
other oils generated from disassembled
transformers. In many of these damage
incidents, the residuals were simply
disposed of on-site with little regard for
the environmental consequences of such
mismanagement or possible CERCLA
liabilities associated with cleanup of
these releases. By making proper
management of the recycling residuals a
condition of the exclusion, EPA ensures
that the reclamation operation is not just
another way of discarding hazardous
constituents. This has the added benefit
of ensuring that the reclamation
operation does not pose a significant
risk to human health and the
environment.
Financial Assurance. The financial
assurance condition is another
condition that is the same as the parallel
condition in the transfer-based
exclusion. By obtaining financial
assurance, the reclamation or
intermediate facility is making a direct
demonstration that it will not abandon
the hazardous secondary materials, it
will properly decontaminate equipment,
and it will clean up any unacceptable
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releases, even if events beyond its
control make its operations
uneconomical. Moreover, financial
assurance also addresses the correlation
of the financial health of a reclamation
or intermediate facility with the absence
of discard. In essence, financial
assurance will help demonstrate that the
reclamation facility or intermediate
facility owner/operators who would
operate under the terms of this
exclusion are financially sound and will
not discard the hazardous secondary
materials, or if the facility faces
financial difficulties, that funds would
have been set aside to address any
issues and, therefore, these costs will
not be imposed on the U.S. taxpayer.
The financial assurance requirement
has been retained in 40 CFR part 261
subpart H because the substance of the
requirement is unchanged from the
financial assurance requirement for the
2008 DSW transfer-based exclusion.
However, the financial assurance
condition is now one of the criteria that
is evaluated under the verified recycler
solid waste variance, allowing the state
or EPA to verify that the financial
assurance obtained by the reclamation
facility or intermediate facility is
sufficient and accessible (in contrast,
the financial assurance condition in the
2008 DSW transfer-based exclusion was
self-implementing and not subject to
review by EPA or the authorized state
prior to the facility beginning
operation).
A detailed discussion of the 40 CFR
part 261 subpart H financial assurance
provisions can be found in the 2008
DSW final rule at 73 FR 64692–8,
October 30, 2008.
Verification of the Recycler. As
discussed earlier, the condition
requiring verification of the recycler is
the one of the major differences between
the transfer-based exclusion and the
verified recycler exclusion and
addresses the major regulatory gap in
the transfer-based exclusion of lack of
oversight and public participation for
hazardous secondary material recycling
facilities that do not have RCRA
permits. The reclaimer and intermediate
facility must have been granted a solid
waste variance by EPA or an authorized
state under § 260.31(d) or must have a
RCRA Part B permit or interim status
standards that address the management
of the hazardous secondary materials.
An intermediate or reclamation facility
may apply for a solid waste variance to
accept hazardous secondary materials
by addressing the substantive criteria of
the ‘‘reasonable efforts’’ condition that
had previously applied to the hazardous
secondary material generator under 40
CFR 261.4(a)(24)(B). In addition, the
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variance must address the potential for
risk to proximate populations from
unpermitted releases of the hazardous
secondary material to the environment.
Specifically, to qualify for the solid
waste variance, the facility must address
the following criteria:
(1) The intermediate or reclamation
facility must demonstrate that the
reclamation process for the hazardous
secondary materials is legitimate
pursuant to § 260.43;
(2) The intermediate or reclamation
facility must satisfy the financial
assurance condition in
§ 261.4(a)(24)(vi)(F);
(3) The intermediate or reclamation
facility must not be subject to a formal
enforcement action in the previous three
years and must not be classified as a
significant non-complier under RCRA
Subtitle C, or must provide credible
evidence that the facility will manage
the hazardous secondary materials
properly. Credible evidence may
include a demonstration that the facility
has taken remedial steps to address the
violations and prevent future violations,
or that the violations are not relevant to
the proper management of the
hazardous secondary materials;
(4) The intermediate or reclamation
facility must have the equipment and
trained personnel to safely manage the
hazardous secondary material and must
meet emergency preparedness and
response requirements;
(5) If residuals are generated from the
reclamation of the excluded hazardous
secondary materials, the reclamation
facility must have the permits required
(if any) to manage the residuals, have a
contract with an appropriately
permitted facility to dispose of the
residuals, or present credible evidence
that the residuals will be managed in a
manner that is protective of human
health and the environment; and
(6) The intermediate or reclamation
facility must address the potential for
risk to proximate populations from
unpermitted releases of the hazardous
secondary material to the environment
(including releases that are not covered
by a permit, such as a permit to
discharge to water or air, and may
include, but are not limited to, potential
releases through surface transport by
precipitation runoff, releases to soil and
groundwater, wind-blown dust, fugitive
air emissions, and catastrophic unit
failures), and must include
consideration of potential cumulative
risks from other nearby potential
stressors.
The rationale for each of these criteria
is discussed below.
Criterion (1) is based on the first
reasonable efforts question in the 2008
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transfer-based exclusion and focuses on
whether the reclamation facility
receiving hazardous secondary materials
from a generator legitimately recycles
such materials. Determining whether a
recycling operation is legitimate is a
fundamental basis for establishing that a
generator’s hazardous secondary
materials will not be discarded. For
further discussion of legitimate
recycling, see section VIII.
Criterion (2) is based on the second
reasonable efforts question in the 2008
transfer-based exclusion and addresses
whether the facility has the necessary
financial assurance to cover the costs of
managing any hazardous secondary
materials that remain if the facility
closes. If a facility was found to have
failed to meet the condition to have
financial assurance, then it also would
have failed to show a good faith effort
towards demonstrating that it intends to
recycle the hazardous secondary
materials (or, in the case of the
intermediate facility, properly store the
hazardous secondary material) and not
discard them. Note that the second
reasonable efforts question also required
the generator to verify that the
regulatory authority had been notified
by the recycler under the 2008 transferbased exclusion, but under the verified
recycler exclusion, the state or EPA can
verify that directly, thus, it is not
included here.
Criterion (3) is based on the third
reasonable efforts question in the
transfer-based exclusion and focuses on
the compliance history of the recycler or
the intermediate facility (to the extent
that the hazardous secondary material
generator uses an intermediate facility).
The language of this requirement has
been simplified from the corresponding
reasonable efforts question because the
information is submitted to the
regulatory agency who already has
access to the pertinent enforcement
information, rather than obtained by the
generator who would need to rely on
publicly-available data. This criterion
requires that the facility must either not
be subject to a formal enforcement
action in the previous three years and
not be classified as a significant noncomplier under RCRA Subtitle C, or
must provide credible evidence that the
facility will manage the hazardous
secondary materials properly.
‘‘Formal enforcement’’ is a written
document that mandates compliance
and/or initiates a criminal, civil or
administrative process, with or without
appeal rights before a trial of fact that
results in an enforceable agreement or
order and an appropriate sanction. For
EPA, formal enforcement action is a
referral to the U.S. Department of Justice
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for the commencement of a criminal or
civil action in the appropriate U.S.
District Court, or the filing of an
administrative complaint, or the
issuance of an order, requiring
compliance and a sanction. For states,
formal enforcement action is a referral
to the state’s Attorney General for the
commencement of a criminal, civil or
administrative action in the appropriate
forum, or the filing of an administrative
complaint, or the issuance of an order,
requiring compliance and a sanction.
‘‘Significant non-complier’’ is a defined
term in EPA’s Hazardous Waste Civil
Enforcement Response Policy and
means the violators have caused actual
exposure or a substantial likelihood of
exposure to hazardous waste or
hazardous waste constituents; are
chronic or recalcitrant violators; or
deviate substantially from the terms of
a permit, order, agreement, or from the
RCRA statutory or regulatory
requirements. In evaluating whether
there has been actual or likely exposure
to hazardous waste or hazardous waste
constituents, EPA and the states
consider both the environmental and
human health concerns, including the
potential exposure of workers to
hazardous waste or hazardous waste
constituents. For both terms, see EPA’s
Hazardous Waste Civil Enforcement
Response Policy (Dec. 2003) at https://
www.epa.gov/compliance/resources/
policies/civil/rcra/finalerp1203.pdf.
While a facility being designated as a
significant non-complier and/or the
subject of a formal enforcement action
does not automatically mean that the
facility would not reclaim the hazardous
secondary materials properly, it does
raise questions that we believe the
facility requesting the variance should
address. That is, if any formal
enforcement actions were taken against
the facility in the previous three years
for such non-compliance and the facility
was alleged to be a significant noncomplier, the facility must adequately
explain how it has resolved any issues
or how the reclamation facility will
properly manage the hazardous
secondary materials to avoid future
violations and/or enforcement actions.
Criterion (4) is based on the fourth
reasonable efforts question from the
2008 transfer-based exclusion and
addresses the technical capability of the
recycler or intermediate facility, the
most basic requirement for ensuring
proper and legitimate recycling of
hazardous secondary materials. If a
reclamation or intermediate facility was
found to have no equipment or
inadequate equipment for storing the
hazardous secondary material or was
found to have personnel who have not
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been trained for reclaiming the
hazardous secondary materials, it raises
serious questions as to whether the
facility would properly manage such
materials and avoid discarding them to
the environment. This criterion also
includes the addition of verifying that
the facility meets the new emergency
preparedness and response condition
discussed earlier.
Criterion (5) is based on the fifth
reasonable efforts question in the 2008
transfer-based exclusion and addresses
another major cause of environmental
problems from recycling hazardous
secondary materials: the management of
residuals. This criterion relates to
discard through the concept that a
generator or reclaimer may actually be
discarding hazardous secondary
materials through the release of
residuals from the recycling process.
While the product made from recycling
may be a legitimate product, the whole
recycling process could be considered
discard if hazardous constituents from
the recycled hazardous secondary
materials are released to the
environment. Roughly one-third of the
damage cases documented in EPA’s
environmental problems study were
caused by mismanagement of the
residuals from recycling. To address
criterion (5), the petitioner would need
to demonstrate that the reclamation
facility has practices in place to ensure
that residuals are managed in a manner
that is protective of human health and
the environment and according to
applicable federal or state standards.
Criterion (6) is a new standard not
included in the 2008 transfer-based
exclusion and is a case-specific
performance-based criterion that
addresses the risk to proximate
populations from unpermitted releases
of the hazardous secondary material to
the environment (including releases that
are not covered by a permit, such as a
permit to discharge to water or air, and
may include, but are not limited to,
potential releases through surface
transport by precipitation runoff,
releases to soil and groundwater, windblown dust, fugitive air emissions, and
catastrophic unit failures), and must
include consideration of potential
cumulative risks from other nearby
potential stressors. The purpose of this
criterion is to specifically address the
differences in the preventative measures
between a RCRA-permitted facility as
compared to a facility managing
excluded hazardous secondary material,
including the lack of prescriptive
standards for storage and containment
(including air emissions standards). In
addition, this criterion would address
the finding that many of the populations
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likely to be proximate to hazardous
secondary materials recycling facilities
are subject to multiple environmental
stressors, including other industrial
facilities, landfills, transportationrelated air emissions, poor housing
conditions (e.g., lead-based paint),
leaking underground tanks, pesticides,
and incompatible land uses.
The steps the petitioner would take to
address this criterion would depend on
case-specific circumstances. For
example, a facility that is recycling a
hazardous secondary material that is not
particularly mobile in the environment
(e.g., a non-liquid material that does not
pose a risk of wind-blown dust) and is
not located near population centers
would simply need to document these
facts in order to meet this criterion. On
the other hand, a facility recycling a
hazardous secondary material that is
volatile, ignitable, or otherwise has a
high potential to adversely impact
nearby populations in case of a release
would need to document the specific
steps taken to prevent releases. EPA
recommends that the petitioner engage
the potentially affected community in
developing this document to ensure that
they have addressed the concerns
expressed by the community.
E. Procedure for Obtaining a Verified
Recycler Solid Waste Variance
The process for obtaining a verified
recycler solid waste variance is the same
as that for the other solid waste
variances found in 40 CFR 260.30. In
order to obtain a variance, a facility that
manages hazardous secondary materials
that would otherwise be regulated under
40 CFR part 261 as either a solid waste
or a hazardous waste must apply to the
Administrator or the authorized state
per the procedures described in 40 CFR
260.33, which EPA is amending today to
apply to verified recyclers and
intermediate facilities. The application
must address the relevant criteria
discussed in detail above. The
Administrator or authorized state will
evaluate the submission and issue a
draft notice tentatively granting or
denying the application. Notification of
this tentative decision will be provided
by newspaper advertisement or radio
broadcast in the locality where the
facility is located. The Administrator or
authorized state will accept comment on
the tentative decision for 30 days and
may also hold a public hearing. The
Administrator or authorized state will
issue a final decision after receipt of
comments and after the hearing (if
held). If the application is denied, the
facility may still pursue a solid waste
variance or exclusion (for example, one
of the solid waste variances under 40
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CFR 260.30 or solid waste exclusions
under 40 CFR 261.4). (Note that today’s
rule includes several modifications to
the variances procedure in 40 CFR
260.33, which would also apply in this
case. For further discussion see Section
IX of today’s preamble).
F. Termination of the Exclusion
As with the generator-controlled
exclusion (and the 2008 transfer-based
exclusion), units managing hazardous
secondary materials excluded under the
verified recycler exclusion are not
subject to the closure regulations in 40
CFR parts 264 and 265 subpart G.
However, when the use of these units is
ultimately discontinued, owners and
operators of reclamation facilities and
intermediate facilities must manage any
remaining hazardous secondary
materials, including any residues that
are not reclaimed, as hazardous waste
and remove or decontaminate
contaminated containment system
components, equipment structures, and
soils. These hazardous secondary
materials and residues, if no longer
intended for reclamation, would also no
longer be eligible for the exclusion
(which only applies to hazardous
secondary materials that are reclaimed).
Failure to remove these materials within
a reasonable time frame after operations
cease could cause the facility to become
subject to the full Subtitle C
requirements if the Agency determines
that reclamation is no longer feasible.
While this final rule does not set a
specific time frame for these activities,
they typically should be completed
within the time frames established for
analogous activities. For example, the
requirements for product tanks under 40
CFR 261.4(c) allow 90 days for removal
of hazardous material after the unit
ceases to be operated for manufacturing.
This time frame should serve as a
guideline for regulators in determining,
on a case-by-case basis, whether owners
and operators of reclamation facilities
and intermediate facilities have
completed these activities within a
reasonable time frame. In any event,
these hazardous secondary materials
remain subject to the speculative
accumulation restrictions in 40 CFR
261.4(a)(8), which includes both a time
limitation of recycling 75% of the
hazardous secondary material within a
year and a requirement that the facility
be able to show there is a feasible means
of recycling the hazardous secondary
material.
VII. Remanufacturing Exclusion
Today, EPA is also finalizing an
exclusion from the definition of solid
waste for higher-value solvents
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1715
transferred from one manufacturer to
another for the purpose of extending the
useful life of the original solvent
product by keeping such materials in
commerce to reproduce a commercial
grade of the original solvent product
provided that certain conditions are
met. For the purpose of this preamble
discussion, EPA is defining this process
as ‘‘remanufacturing.’’ Remanufacturing
that conforms to these conditions would
not involve discard, and therefore the
hazardous secondary materials would
not be regulated as solid waste. As with
all recycling-related exclusions and
exemptions, such excluded hazardous
secondary materials would also need to
be recycled legitimately. (A discussion
of the public comments on the July 2011
proposal and the Agency’s responses
can be found in section XVI of this
preamble and the full response to
comment document is in the docket for
the rulemaking.)
A. Purpose of the Remanufacturing
Exclusion
In finalizing this conditional
exclusion, EPA’s objective is to
encourage sustainable materials
management by identifying specific
types of transfers of hazardous
secondary materials to third parties, that
under appropriate conditions, do not
involve discard and can result in
extending the useful life of a
commercial-grade chemical.
Remanufacturing these higher-value
hazardous secondary materials can have
a significantly lower environmental
impact than manufacturing these
chemicals for a one-time use and then
transferring them for disposal. Thus,
remanufacturing allows the hazardous
secondary material product to be used
again, lowering their life-cycle
environmental impacts significantly.
Specifically, EPA has determined
that, under appropriate conditions, the
potential for discard in inter-company
remanufacturing transfers for certain
higher-value spent solvents would be
low because they will be incorporated
into the manufacturing process rather
than accumulated or disposed of. Once
these solvents are remanufactured to
commercial grade, they can be used as
replacements for virgin commercial
grade solvents. The economic incentive
for a company receiving the spent
solvents would be to sell or directly use
(avoiding purchase of virgin product)
the remanufactured solvent products to
realize an economic value. The
company sending these higher-value
spent solvents for remanufacturing is
expected to have little economic
incentive to pay the receiving company
more than a nominal amount of money,
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since it would already be transferring
something of intrinsic market value
(materials that can be easily
remanufactured for profit). So, unlike
the RCRA-permitted waste handler
which can charge a considerable fee for
receiving discarded waste, the company
receiving these higher-value spent
solvents for remanufacturing is expected
to realize most of its profit from the sale
or use of the remanufactured solvents.
Once remanufacturing processes are
in place, EPA expects that solvent
remanufacturers would be competitive
with other solvent manufacturers even
in the event of a downturn in the sizable
chemical market. Companies would also
have the flexibility to redirect
remanufacturing capacity to
manufacturing should it ever make
economic sense to do so, leaving little
economic reason to accumulate unsold
or unused remanufactured solvents.
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B. Scope and Applicability
1. Designated Solvents
The conditional exclusion for
remanufacturing applies to hazardous
spent solvents that are currently
regulated as hazardous wastes because
their recycling involves reclamation.
Only the following 18 spent solvents are
eligible for the remanufacturing
exclusion: Toluene, xylenes,
ethylbenzene, 1,2,4-trimethylbenzene,
chlorobenzene, n-hexane, cyclohexane,
methyl tert-butyl ether, acetonitrile,
chloroform, chloromethane,
dichloromethane, methyl isobutyl
ketone, NN-dimethylformamide,
tetrahydrofuran, n-butyl alcohol,
ethanol, and/or methanol.
These 18 solvents are used in large
volumes as chemical manufacturing
aids, chemical processing aids, and
chemical formulation aids (generally
referred to as ‘‘processing aids’’ for the
purpose of this rule). The processing aid
solvents assist in the reaction,
extraction, purification, and blending of
ingredients and reactive products, but
are not themselves reacted. These
processing aid solvents, once used, can
then be remanufactured to commercial
grade again. These higher-value solvents
were selected because there are existing
markets for all these solvents to be
remanufactured to serve similar
purposes to those of the original
commercial-grade materials.
Note that, as explained below, these
hazardous spent solvents are only
eligible if they are remanufactured to
serve certain types of chemical
functions, and if their originating use
was of a specific type. This restriction
limits the exclusion to higher-value
materials and processes that resemble
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manufacturing rather than waste
management.
Hazardous spent solvents are
particularly appropriate for the
remanufacturing exclusion because they
are derived from a non-renewable
resource (petroleum), and they are
manufactured in the industrial
chemicals sector, which, according to
EPA’s report on sustainable materials
management, ranks third overall as far
as direct adverse overall impact to the
environment.18
In addition, remanufacturing these
spent solvents represents an
opportunity for risk reduction. Risk is a
function of hazard and exposure, and,
from a hazard perspective, all of these
chemicals have suspected or recognized
hazardous health effects associated with
their manufacture, processing, and
use.19 Although EPA and industry have
been working to find substitutes for the
more hazardous of these solvents, or
find ways to use less of them, this has
not yet been fully achieved.20 21 With
respect to the pharmaceutical sector in
particular, complex chemical processes
already registered with the Food and
Drug Administration are involved, and
EPA has found this a very challenging
area to address.
In addition, some of these solvents are
building block and primary
intermediate chemicals, making them
difficult to replace. Until lower-risk
substitutes for these solvents are found,
it is appropriate from a health risk
standpoint to minimize the volume of
solvents manufactured and to limit
exposure to those already manufactured.
This is the intention of the
remanufacturing exclusion.
The exclusion can reduce exposure to
these solvents in three ways. First, the
exclusion would extend the useful life
of existing solvents, which would
reduce the health risks associated with
their manufacture by slowing the rate at
which they are manufactured. Second,
the exclusion would reduce exposure to
solvents already manufactured by
reducing the fuel blending of spent
solvents. That is, remanufacturing a
18 U.S. EPA. 2020 Vision Report: Sustainable
Materials Management: The Road Ahead, Table 1,
page 25. .www.epa.gov/waste/inforesources/pubs/
vision.htm. The other top ranked sectors are electric
services (#1) and cotton production (#2).
19 Allen, D., Shonnard, D, Green Engineering:
Environmentally Conscious Design of Chemical
Processes, Risk Concepts, chapter 2, pgs 35–62,
Austin, S., US EPA Editor, Published by PrenticeHall, 2001.
20 For information on U.S. EPA’s Green Chemistry
Program, see https://www.epa.gov/gcc/.
21 Information on the American Chemical
Society’s Green Chemistry Institute’s
Pharmaceutical Roundtable is available via the ACS
Web site https://portal.acs.org/portal/acs/corg/
content.
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spent solvent will eliminate the need for
blending it with another spent solvent
to satisfy the fuel-ratio requirements of
incinerators and cement kilns. This, in
turn, will reduce the fugitive emissions
associated with unloading and loading
containers of volatile solvents at fuelblending facilities.22 Third and finally,
the exclusion can reduce the potential
exposure from any transportation
incidents, since it is likely that spent
solvents can be transported shorter
distances for remanufacturing purposes
than they can for disposal purposes.23
2. Chemical Functions
After remanufacturing, the continuing
use of the solvent is limited to reacting,
extracting, purifying, or blending
chemicals (or for rinsing out the process
lines associated with these functions),
or using them as ingredients in a
product in the pharmaceutical, organic
chemical, plastics and resins
manufacturing sectors, or the paint and
coatings sector. Furthermore, the
continuing use of the solvent, after
remanufacturing, cannot involve
cleaning or degreasing oil, grease, or
similar material from textiles, glassware,
metal surfaces, or other articles.
EPA has selected these chemical
functions because the remanufactured
chemical product should serve a similar
functional purpose as the original
commercial-grade material so that it can
substitute for virgin product, since it is
this substitution that displaces some
manufacturing of virgin product and
fosters a system where the original
solvent remains in commerce and is not
discarded. In these functions, the
solvents do not get contaminated by
substances, such as inks and greases
that are difficult to separate, but only get
mixed with pure product ingredients,
from which they can be separated
readily in a commercially feasible
manner.
Furthermore, manufacturing and
processing operations can be more
easily controlled in terms of exposure
and releases, whereas the spent solvents
from downstream uses, such as
degreasing and cleaning operations are
of inherently lower-value and these
downstream operations result in more
widespread exposure and releases and a
higher potential for discard.
In addition, more environmental
benefits will be obtained by maximizing
the number of times a chemical product
can be used at high-purity grade as an
22 All solvents are volatile, and virtually all spent
solvents must go through the fuel-blending process
prior to disposal (U.S. EPA, Selection of Industry
Sectors, Chemicals and Functions in the
Remanufacturing Exclusion, June 2011).
23 Id.
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aid to chemical manufacturing and
processing, before it is used for at lowerpurity as a cleaner or degreaser. While
it is possible to extend the product life
of a used chemical as a cleaner/
degreaser, it takes significantly less
energy to bring solvents used as
chemical manufacturing aids back to
commercial grade than to bring solvents
used as cleaners and degreasers back to
lower grade functionality, making
remanufacturing of the higher-value
solvents more economically feasible.
3. Manufacturing Sectors
The remanufacturing exclusion is
limited to companies whose primary
business is manufacturing, rather than
waste management, as indicated by
particular NAICS codes. Four
manufacturing sectors are eligible for
the remanufacturing exclusion:
Pharmaceutical manufacturing (NAICS
325412), basic organic chemical
manufacturing (NAICS 325199), plastics
and resins manufacturing (NAICS
325211), and the paints and coatings
manufacturing sectors (NAICS 325510).
Manufacturers within these four sectors
all use one or more of the 18 identified
solvents as chemical manufacturing,
processing, and formulation aids in high
volumes. Based on the Toxics Release
Inventory information, these four
sectors are also closely associated with
the chemical functions identified in the
exclusion and currently use a high
volume of the solvents for the functional
purposes included in this exclusion.24
EPA is limiting the remanufacturing
exclusion to companies whose business
is primarily manufacturing because the
nature of the exclusion relies on the fact
that the eligible spent solvents are
indistinguishable from a risk
perspective from the virgin chemicals
that manufacturers in these sectors are
already accustomed to handling—no
special equipment and personal training
beyond what the facility already has
would be needed. Chemical
manufacturers in these sectors are also
subject to the Occupational Safety and
Health Act (OSHA) and Clean Air Act
(CAA) standards that cover the
management of these chemicals.
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C. Conditions
Facilities operating under the
remanufacturing exclusions must meet
the following conditions.
1. Notification
Hazardous secondary material
generators and remanufacturers must
24 U.S.
EPA, Selection of Industry Sectors,
Chemicals and Functions in the Remanufacturing
Exclusion, June 2011.
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submit a notification prior to operating
under the exclusion and by March 1 of
each even-numbered year thereafter
using EPA form 8700–12 to the EPA
Regional Administrator or the State
Director, in an authorized state.
Additionally, these facilities would
have to notify within 30 days of
stopping management of hazardous
secondary materials under the
exclusion.
The intent of the notification
condition is to provide basic
information to the regulatory agencies
about who will be managing the
hazardous secondary spent solvents
under the remanufacturing exclusion.
The specific information included in the
notification—that is, the information on
EPA form 8700–12—enables regulatory
agencies to monitor compliance and to
ensure that the hazardous secondary
spent solvents are managed in
accordance with the exclusion and not
discarded.25
2. Remanufacturing Plan
A key issue for the remanufacturing
exclusion is how the facilities operating
under the exclusion would demonstrate
that they meet the requirements (e.g.,
that the hazardous spent solvents,
functions, and manufacturing sectors
are those identified in the exclusion). A
straightforward solution is requiring a
remanufacturing plan to be prepared
and maintained by both the hazardous
secondary material generator and
remanufacturer that includes
information on the types and expected
annual quantities of excluded spent
solvents, the processes and industry
sectors that generate the spent solvents,
and the specific uses and industry
sectors—for the remanufactured
solvents.
The hazardous secondary material
generator is also required to make
arrangements with the remanufacturer
to jointly develop this plan and to verify
the appropriateness of the hazardous
spent solvents for the remanufacturing
process before claiming the exclusion,
thus helping ensure that the hazardous
spent solvents will be remanufactured
and not discarded.
Finally, to help ensure that the
remanufacturer is a legitimate
remanufacturer, the plan must include a
certification from the remanufacturer
stating ‘‘on behalf of [insert
remanufacturer facility name], I certify
that this facility is a remanufacturer
under the pharmaceutical
25 As with the generator-controlled exclusion in
40 CFR 261.4(a)(23), notification is a condition of
the remanufacturing exclusion. See section XIV.F
for further discussion.
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manufacturing (NAICS 325412), basic
organic chemical manufacturing (NAICS
325199), plastics and resins
manufacturing (NAICS 325211), and/or
the paints and coatings manufacturing
sectors (NAICS 325510), and will accept
the spent solvent(s) for the sole purpose
of remanufacturing into commercialgrade solvent(s) that will be used for
reacting, extracting, purifying, or
blending chemicals (or for rinsing out
the process lines associated with these
functions) or for use as product
ingredients. I also certify that the
remanufacturing equipment, vents, and
tanks are equipped with and are
operating air emission controls in
compliance with CAA regulations under
40 CFR part 60, part 61 or part 63,26 or,
absent such CAA standards for the
particular operation or piece of
equipment covered by the
remanufacturing exclusion, are in
compliance with the appropriate
standards in 40 CFR part 261 subparts
AA (vents), BB (equipment) and CC
(tank storage).’’
One of the issues raised in the
comments was concern that the
remanufacturing plan would stifle
competitiveness by locking the
generator into a single remanufacturer
for their hazardous spent solvents. That
was not the Agency’s intention, and
EPA would like to clarify that the
remanufacturing plan can be updated
any time to reflect a new remanufacturer
without triggering a re-notification
requirement on the part of the generator.
(If the new remanufacturer has not
notified before, then he would need to
do so under the exclusion.) As long as
the remanufacturing plan that is kept
on-site reflects the current practices,
including making sure that there is a
remanufacturer that will accept the
hazardous spent solvents, the generator
would be in compliance with this
condition.
3. Record of Shipments and
Confirmation of Receipts
Under the remanufacturing exclusion,
generators and remanufacturers need to
maintain at the facility records of
shipments of hazardous spent solvents
for a period of three years. Specifically,
for each shipment of hazardous spent
solvent, the generator and
remanufacturer need to maintain
documentation of when the shipment
occurred, who the transporter was, and
the type and quantity of the hazardous
spent solvent in the shipment. This
recordkeeping requirement may be
26 This condition is parallel to the provisions
found at 40 CFR 264.1030(e) for AA, 40 CFR
264.1064(m) for BB, and 40 CFR 264.1080(7) for CC.
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fulfilled by ordinary business records,
such as bills of lading.
In addition, generators must maintain
confirmations of receipt for all off-site
shipments of hazardous spent solvent in
order to verify that the hazardous spent
solvent reached their intended
destination and were not discarded.
These receipts must be maintained at
the facility for a period of three years
from when they were created.
Specifically, the documentation of
receipt would include the name and
address of the remanufacturer, and the
type and quantity of hazardous spent
solvents and date that the hazardous
spent solvents were received. The
Agency is not requiring a specific
template or format for confirmation of
receipt since routine business records
(e.g., financial records, bills of lading,
and electronic confirmation of receipt)
would contain the appropriate
information sufficient for meeting this
requirement.
This provision is necessary so all
parties responsible for the excluded
hazardous spent solvent would be able
to demonstrate that the materials were
in fact sent for remanufacturing and
arrived at the intended facility and were
not discarded in transit.
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4. Management in Tanks and Containers
Basic good management practices
dictate that solvents, whether virgin or
spent, are best stored in tanks or
containers that possess inherent
controls to address issues, such as
volatile air emissions, leaks, and fires or
explosions. Solvents present particular
management challenges associated with
the storage of liquids containing volatile
organic chemicals and include both
halogenated and non-halogenated
organic chemicals, which represent a
broad range of chemicals and associated
hazards.
By focusing on higher-value spent
solvents going to remanufacturing, the
remanufacturing exclusion reduces the
chance of mismanagement of the spent
solvents. However, given the history of
spent solvent mismanagement, as
demonstrated in the damage cases found
in environmental problems study, EPA
has determined that it is appropriate to
make an explicit condition that spent
solvents excluded under the
remanufacturing exclusion be stored
prior to remanufacturing in tanks or
containers that are labeled and that meet
technical standards that will ensure the
hazardous spent solvents will go to
remanufacturing and will not be
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discarded via leaks, spills or
explosions.27
For ease of implementation, EPA is
establishing explicit tank and container
standards in 40 CFR part 261 subparts
I and J. These technical standards are
the same as those found in 40 CFR part
264 subparts I and J, except that the part
261 subparts I and J specify that the
material is ‘‘hazardous secondary
material’’ rather than hazardous waste,
omit references to RCRA permitting
requirements, and include other minor
conforming changes, as discussed
below. Although the 40 CFR part 264
tank and container standards were
developed for hazardous wastes, an
analysis of the full set of technical
requirements under subparts I and J
shows that they are comparable to
product storage standards, including
regulations promulgated under OSHA,
DOT, and industry standards.28 In
addition to being comparable to product
storage standards, technical standards
that mirror subparts I and J of 40 CFR
part 264 have the benefit of being
technical standards that the regulated
community is familiar with, and are
designed to prevent the spent solvents
from being discarded through leaks or
explosions.
During remanufacturing and storage
prior to remanufacturing, good
management practices also include
effective controls of hazardous air
emissions. Under the remanufacturing
exclusion, this is ensured by requiring
that the remanufacturer certifies, as part
of the remanufacturing plan, that the
remanufacturing equipment, vents, and
tanks are equipped with and are
operating air emission controls in
compliance with CAA regulations under
40 CFR part 60, part 61 or part 63.29
Absent such CAA standards for the
particular operation or piece of
equipment covered by the
remanufacturing exclusion, then the
appropriate standards in 40 CFR part
261 subparts AA (vents), BB
(equipment) and CC (tank storage),
which are equivalent to the technical
standards found in 40 CFR part 264 and
265 subparts AA, BB, and CC, would
apply.
The air emission requirements on
remanufacturing equipment, vents, and
tanks will ensure that the
remanufactured solvents do not become
27 U.S. EPA, An Assessment of Environmental
Problems Associated with Recycling of Hazardous
Secondary Materials (Updated), December 2014.
28 U.S. EPA Equivalent Containment Standards
for the Remanufacturing Exclusion, June 2011.
29 This condition is parallel to the provisions
found at 40 CFR 264.1030(e) for subpart AA, 40
CFR 264.1064(m) for subpart BB, and 40 CFR
264.1080(7) for subpart CC.
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discarded through fires and explosions,
guard against the volatilization of
hazardous spent solvents, and protect
workers, handlers and transporters from
spent solvent emissions. EPA notes that
most manufacturers in the
pharmaceutical manufacturing (NAICS
325412), basic organic chemical
manufacturing (NAICS 325199), plastics
and resins manufacturing (NAICS
325211), and the paints and coatings
manufacturing sectors (NAICS 325510)
will already have their solvent
management practices covered under
the CAA regulations, but for any
remanufacturer that is not covered
under CAA, 40 CFR part 261 subparts
AA, BB, and CC will ensure that they
meet good management practices
appropriate for solvent management.
In modifying the tank and container
standards and the air emission
standards to apply specifically to
solvents being remanufactured under
the remanufacturing exclusion, EPA has
made other minor conforming
regulatory changes to 40 CFR part 261.
These changes include (1) reserving
certain subparts, such as subparts K
through L and N though Z, in order to
maintain the same numbering as is
found in part 264 for the tank and
container standards and the air emission
standards, (2) codifying 40 CFR 261.197
to address termination of the
remanufacturing exclusion (rather than
closure, as is required in part 264), and
(3) deleting references to the uniform
hazardous waste manifest in 40 CFR
261.1086 because manifest requirements
are not applicable under the
remanufacturing exclusion.
5. Prohibition on Speculative
Accumulation
In addition to the other conditions,
hazardous spent solvents under the
remanufacturing exclusion are subject to
the speculative accumulation
restrictions in 40 CFR 261.1(c)(8).
Speculative accumulation ensures that
the hazardous spent solvents are
remanufactured and not discarded.
D. Closure of Tank Units
Units managing excluded hazardous
spent solvent are not subject to the
closure regulations in 40 CFR parts 264
and 265 subpart G. However, when the
use of these units is ultimately
discontinued, all owners and operators
must manage any remaining hazardous
spent solvents that are not
remanufactured as hazardous waste and
remove or decontaminate all hazardous
residues and contaminated containment
system components, equipment
structures, and soils. These hazardous
spent solvents and residues, if no longer
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intended for remanufacturing, would
also no longer be eligible for the
exclusion (which only applies to
materials that will be remanufactured)
and would therefore be hazardous
waste. These systems would be subject
to the requirements for product tanks
under 40 CFR 261.4(c), which allow 90
days for removal of hazardous material
after the unit ceases to be operated for
manufacturing.
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E. Petition Process for Additional
Remanufacturing Exclusions
As EPA noted in the 2011 DSW
proposal, it is possible that other
hazardous secondary materials, industry
sectors, and/or functional uses beyond
those being finalized today may also be
suitable candidates for the
remanufacturing exclusion if they
involve the transfer of a higher-value
hazardous secondary material from one
manufacturer to another, for the purpose
of remanufacturing a material with
significant commercial value. In the
2011 DSW proposal, EPA requested
comment on whether to also include a
specific petition process, similar to 40
CFR 260.20, where petitioners may
apply to EPA to request a hazardous
secondary material, industry sector,
and/or functional use be added to the
exclusion.
After reviewing the comments, EPA
has determined that a separate
rulemaking petition process is not
necessary and that the current process
in 40 CFR 260.20, including the
administrative procedure for processing
the petition would be the best vehicle
for addressing additional hazardous
secondary materials, industry sectors,
and/or functional uses to the
remanufacturing exclusion. Given the
variety of hazardous secondary
materials, manufacturing processes, and
markets for potential remanufactured
materials, a general process gives the
most flexibility for petitioners to submit
information on potential excluded
materials.
In addition, the Agency would like to
encourage the research, development,
and demonstration of innovative
recycling processes that could be used
to recover higher-value hazardous
secondary materials. Therefore EPA
encourages companies to explore using
the existing regulatory flexibilities, such
as treatability study exemptions in 40
CFR 261.4(e) and (f) and research
development and demonstration
permits allowed under 40 CFR 270.65,
to assess and develop recycling
technologies to facilitate
remanufacturing of higher-value
materials.
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In submitting a rulemaking petition
under 40 CFR 260.20, petitioners must
include (1) the petitioner’s name and
address, (2) a statement of the
petitioner’s interest in the proposed
action, (3) a description of the proposed
action, including (where appropriate)
suggested regulatory language, and (4) a
statement of the need and justification
for the proposed action, including any
supporting tests, studies, and other
information. With respect to the fourth
factor, EPA would encourage petitioners
to provide any information they believe
demonstrates that their hazardous
secondary material is suited for a solid
waste exclusion under the
remanufacturing exclusion. Below are
some considerations that may assist
petitioners in developing their petitions;
however, these are guidelines only and
should not constrain suggested
rulemaking revisions if the petitioner
otherwise has information that the
hazardous secondary material should be
excluded from regulation.
(1) Is the hazardous secondary
material generated from a
manufacturing process that results in
minimal contamination, and does the
hazardous nature of the hazardous
secondary material stem chiefly from
the inherent nature of the commercial
product that is to be recovered, and not
from any contamination?
For example, the remanufacturing
exclusion being promulgated today is
focused on materials that originated
from using commercial grade solvents
for reacting, extracting, purifying, or
blending chemicals (or for rinsing out
the process lines associated with these
functions) in the pharmaceutical
manufacturing, organic chemical
manufacturing, plastics and resins
manufacturing, or paint and coatings
sector. As a result, the solvents in
question are only lightly contaminated,
chiefly with other commercial-grade
chemicals or minor impurities.
Moreover, because the hazardous nature
of the material stems from the recycled
product (or at least a significant portion
of the recycled product) and not from
the contamination, the remanufacturing
exclusion helps reduce overall risk by
keeping hazardous chemicals in
commerce, rather than discarding them.
(2) Does the hazardous secondary
material present a similar risk profile as
an analogous raw material or product
and require no special storage or
handling beyond what is normally used
for the analogous raw material or
product?
For example, the spent solvents
eligible for the remanufacturing
exclusion present the same risk profile
as solvent products. The same tanks,
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containers, and transportation standards
that are used for solvent products also
work for the spent solvents intended for
remanufacturing.
(3) Is there any special equipment or
personnel training required for the
remanufacturing of the material or for
the management of the residuals?
For example, under the
remanufacturing exclusion being
promulgated today, the same distillation
columns used to manufacture solvents
from raw materials can be used to
remanufacture spent solvents. The still
bottoms generated from both processes
can be managed in a similar fashion.
(4) Is the market for the
remanufactured product stable enough
to ensure that neither the hazardous
secondary material nor the
remanufactured products are overaccumulated?
For example, the remanufacturing
exclusion being promulgated today
focuses on solvents that are known to be
widely used in a variety of industries for
the purposes described.
VIII. Revisions to the Definition of
Legitimacy and Prohibition of Sham
Recycling
EPA has a long-standing policy that
all recycling of hazardous secondary
materials must be legitimate, including
both excluded recycling and the
recycling of regulated hazardous wastes.
The legitimacy provision in today’s final
rule is designed to distinguish between
real recycling activities—legitimate
recycling—and ‘‘sham’’ recycling, an
activity undertaken by an entity to avoid
the requirements of managing a
hazardous secondary material as a
hazardous waste. Because of the
economic advantages in managing
hazardous secondary materials as
recycled materials rather than as
hazardous wastes, there is an incentive
for some handlers to claim they are
recycling when, in fact, they are
conducting waste treatment and/or
disposal.
In this final rulemaking, EPA is
codifying in its regulations the
requirement that all recycling must be
legitimate by adding a prohibition on
sham recycling to 40 CFR 261.2(g). In
addition, EPA has changed the
definition of legitimate recycling in
§ 260.43. The new definition specifies
four factors that must be met for
recycling to be legitimate. However, it
also provides new ways that a facility
can show that it meets factors 3 and 4
of the legitimacy standard.
The four legitimacy factors are as
follows:
• Factor 1: Legitimate recycling must
involve a hazardous secondary material that
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provides a useful contribution to the
recycling process or to a product or
intermediate of the recycling process.
• Factor 2: The recycling process must
produce a valuable product or intermediate.
• Factor 3: The generator and the recycler
must manage the hazardous secondary
material as a valuable commodity when it is
under their control.
• Factor 4: The product of the recycling
process must be comparable to a legitimate
product or intermediate.
A. Background
Under the RCRA Subtitle C definition
of solid waste, many existing hazardous
secondary materials are not solid wastes
and, thus, are not subject to RCRA’s
cradle to grave management system if
they are recycled. The basic idea behind
this construct is that recycling of such
materials often more closely resembles
normal industrial manufacturing than
waste management. However, since
there can be significant cost savings
from managing hazardous secondary
materials outside the RCRA Subtitle C
regulatory system, some handlers may
claim that they are recycling, when, in
fact, they are conducting waste
treatment and/or disposal in the guise of
recycling. For example, a facility whose
primary business was mixing electric
arc furnace dust (K061) with
agricultural lime for sale as a
micronutrient lost its customers and
could not sell its product, but continued
to accept K061 even though there was
no prospect of it being used to produce
a product. To guard against practices
like these, EPA has long articulated the
need to distinguish between
‘‘legitimate’’ (i.e., true) recycling and
‘‘sham’’ (i.e., fake) recycling, beginning
with the preamble to the 1985
regulations that established the
definition of solid waste (50 FR 638,
January 4, 1985).
The prohibition on sham recycling
being finalized in this rulemaking is
consistent with the Agency’s
longstanding policy and interpretation
of legitimate recycling that has been
expressed in those earlier preamble
discussions and policy statements. The
January 4, 1985, preamble to the
definition of solid waste regulations
established EPA’s concept of legitimacy
and described several indicators of
sham recycling.
On April 26, 1989, the Office of Solid
Waste (OSW) issued a memorandum
that consolidated preamble statements
concerning legitimate recycling that had
been articulated previously into a list of
criteria to be considered in evaluating
legitimacy [OSWER directive
9441.1989(19)]. This memorandum,
known to many as the ‘‘Lowrance
Memo,’’ has been a primary source of
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guidance for the regulated community
and for implementing agencies in
distinguishing between legitimate and
sham recycling for many years. The
October 2003 and March 2007 DSW
proposals and the October 2008 DSW
final rule also all include extensive
discussions of EPA’s legitimacy policy.
In the 2008 DSW final rule, EPA
promulgated a codified legitimacy
requirement for the specific exclusions
in that rulemaking. Today’s final rule
expands that legitimacy requirement to
all hazardous secondary material
recycling, as the Agency proposed to do
in the July 22, 2011, proposal (76 FR
44094). Section VIII.B discusses these
final legitimacy provisions and
describes the requirements. Section
VIII.C discusses the changes EPA made
from the proposed regulations. A
discussion of the public comments on
the July 2011 proposal and Agency
responses can be found in section XVII
of this preamble and the full response
to comment document is in the docket
for the rulemaking.
B. Legitimate Recycling Provisions Being
Finalized
This section discusses the rationale
and the requirements being finalized in
this rulemaking for ensuring that all
recycling of hazardous secondary
material is legitimate.
1. Legitimacy for All Recycling
In today’s final rule, EPA is retaining
its long-standing policy that all
recycling of hazardous secondary
materials must be legitimate. If a facility
is engaged in sham recycling, this, by
definition, is not real recycling and that
hazardous secondary material is being
discarded and is a solid waste. Today,
we are codifying that the legitimate
recycling provision applies to all
hazardous secondary materials that are
excluded or exempted from Subtitle C
regulation because they are recycled and
that it also applies to recyclable
hazardous wastes that remain subject to
the hazardous waste regulations.
However, instead of changing the
language of each recycling exclusion or
exemption to include the requirement as
we proposed in the 2011 DSW proposal,
we have instead added language in
§ 261.2(g) that specifically prohibits
sham recycling to ensure that all
recycling, including recycling under the
pre-2008 exclusions is legitimate (i.e.,
real recycling). We have also
determined that documentation of
legitimacy is not necessary or required
for the pre-2008 recycling exclusions
and exemptions, except in the rare case
where the recycling is legitimate, but
does not meet factor 4.
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EPA has determined that the four
legitimacy factors being codified in 40
CFR 260.43 are substantively the same
as the existing legitimacy policy. These
factors are a simplification and
clarification of the policy statements in
the 1989 Lowrance Memo and in
various DSW Federal Register notices.
This policy is well understood
throughout the regulated community
and among the state implementing
agencies. By providing one standard of
legitimacy for all recycling, the Agency
expects there will be more clarity,
consistency, and predictability for
making legitimate recycling
determinations. Having one standard in
the regulations will also lead to
increased knowledge and understanding
of the basic requirement that any
recycling must be legitimate, leading to
better implementation and enforcement
of the RCRA hazardous waste
regulations.
In developing the codified legitimacy
language, we did not intend to raise
questions about the status of general
legitimacy determinations that underlie
existing exclusions from the definition
of solid waste (e.g., the solid waste
exclusions in 40 CFR 261.4(a)), or about
case-specific determinations that have
already been made by EPA or the states.
Current exclusions and other prior solid
waste determinations or variances that
are based on the hazardous secondary
material being legitimately recycled,
including determinations made in
letters of interpretation and inspection
reports, remain in effect.
Some stakeholders have raised
concerns with the application of the
codified legitimacy factors to these
existing waste-specific and industry
specific exclusions. In particular, as we
noted in the October 2003 DSW
proposal and the March 2007 DSW
supplemental proposal, EPA has
examined in depth a number of wastespecific and industry-specific recycling
activities and has promulgated specific
regulatory exclusions or provisions that
address the legitimacy of these practices
in much more specific terms than the
general legitimacy factors as described
in 40 CFR 260.43.
EPA expects that the vast majority of
recycling being performed under these
existing exclusions is currently being
undertaken conscientiously and would
be considered legitimate under the new
legitimacy provision with no further
action required on the part of the
company. If a company is meeting the
conditions of its exclusion while
managing the hazardous secondary
material responsibly and using it to
make a legitimate product, that
company would not have to change any
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of its existing business practices or
otherwise take action to show that its
recycling meets the legitimacy factors.
EPA is not requiring documentation of
compliance with the four legitimacy
factors, except in the case where the
recycling does not meet factor 4 on its
face, but the facility believes that its
recycling operation is nonetheless
legitimate. Many of the measures the
companies take in order to meet the
terms of the conditional exclusions or to
follow best management practices are
the same actions that indicate that a
recycling process is legitimate. These
measures and business practices were
generally evaluated as part of the
original legitimacy determination by the
agency, and therefore employment of
those or similar practices indicated
legitimate recycling as addressed by the
original legitimacy determinations.
One example is the regulation for zinc
fertilizers made from recycled
hazardous secondary materials. If the
hazardous secondary material recycled
under the exclusion contains
recoverable amounts of zinc, which
provides a useful contribution to the
recycled product (factor 1) and results
in a valuable product, i.e., zinc
micronutrient fertilizer (factor 2), EPA
would consider these legitimacy factors
to be met. In addition, under the
exclusion, the generator and recycler
must manage the zinc-containing
hazardous secondary material as a
valuable commodity (factor 3), that is, in
compliance with 261.4(a)(20)(ii)(B):
Store the excluded secondary material
in tanks, containers, or buildings that
are constructed and maintained in a
way that prevents releases of the
secondary materials into the
environment. At a minimum, any
building used for this purpose must be
an engineered structure made of nonearthen materials that provide structural
support, and must have a floor, walls
and a roof that prevent wind dispersal
and contact with rainwater. Tanks used
for this purpose must be structurally
sound and, if outdoors, must have roofs
or covers that prevent contact with wind
and rain. Containers used for this
purpose must be kept closed except
when it is necessary to add or remove
material, and must be in sound
condition. Containers that are stored
outdoors must be managed within
storage areas that: (1) Have containment
structures or systems sufficiently
impervious to contain leaks, spills and
accumulated precipitation; and (2)
provide for effective drainage and
removal of leaks, spills and
accumulated precipitation; and (3)
prevent run-on into the containment
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system. Finally, in the zinc fertilizer
regulation, among the requirements
established by EPA are specific
numerical limits on five heavy metal
contaminants and dioxins in the zinc
fertilizer product at 40 CFR 261.4(a)(21).
If the zinc fertilizer product meets these
concentrations, the product would meet
factor 4 (assuming other hazardous
secondary contaminants have not been
added to the product).
Another example is shredded circuit
boards excluded under 40 CFR
261.4(a)(14). Shredded circuit boards
that contain recoverable metals that
provide a useful contribution to the
product of the recycling process (factor
1) and go to a recycling process that
produces a valuable metal product
(factor 2) would meet these legitimacy
factors. In addition, under the
exclusion, the shredded circuit boards
must be stored in containers sufficient
to prevent a release to the environment
prior to recovery (factor 3) and must be
free of mercury switches, mercury relays
and nickel-cadmium and lithium
batteries (factor 4).
Another example is hazardous
secondary materials recycled in a
‘‘closed-loop’’ production process under
40 CFR 261.4(a)(8). Under this
exclusion, the hazardous secondary
material is reused within the production
process from which it came, thus
providing a useful contribution to the
product (factor 1) and also producing a
valuable product or intermediate (factor
2) (assuming that the production
process is, by definition, producing a
product). Since the closed-loop
exclusion requires tank storage and that
the entire process through completion of
reclamation is closed by being entirely
connected with pipes and other
comparable enclosed means of
conveyance, this management would be
considered to meet factor 3,
management of the hazardous secondary
material as a valuable commodity. The
product of this type of recycling process
would be comparable to a legitimate
product or intermediate because the
hazardous secondary materials being
recycled are returned to the original
process from which they were generated
to be reused (factor 4).
Another example is spent wood
preserving solutions and wastewaters
that have been reclaimed and reused
onsite in the production process for
their original intended purpose under
§ 261.4(a)(9). Reclaimed wood
preservatives that are used to treat wood
would be making a useful contribution
to the product (factor 1) and would
produce a valuable product (factor 2).
The conditions of the exclusion include
a requirement that they are managed to
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prevent releases, and include specific
standards for drip pads that manage the
material (factor 3). The product of this
type of recycling process would be
comparable to a legitimate product or
intermediate because the hazardous
secondary materials being recycled are
returned to the original process from
which they were generated to be reused
(factor 4).
Another example is the long-standing
exclusion for excluded scrap metal
(processed scrap metal, unprocessed
home scrap metal, and unprocessed
prompt scrap metal) being recycled (40
CFR 261.4(a)(13)). Excluded scrap metal
that contains recoverable metals would
provide a useful contribution to the
product of the recycling process (factor
1) and, as long as the recycling process
produces a valuable metal product
(factor 2), the recycling would meet the
first two legitimacy factors. If the
recycler uses appropriate handling and
good management practices to store and
manage the excluded scrap metal to
prevent releases of hazardous secondary
materials to the environment, the
recycler would generally meet factor 3
for managing the scrap metal as a
valuable commodity.
EPA notes that managing scrap metal
as a valuable commodity can include
situations where it is stored on the
ground. Scrap metal stored on the
ground is subject to occasional
precipitation runoff that consists
essentially of water, with trace amounts
of hazardous constituents. As long as
the hazardous secondary material itself
is not swept away by the runoff, this
transport via precipitation runoff would
not generally be a concern. However, if
metal dust, debris and pieces of scrap
metal were released into the
environment, for example, by metal
falling into a waterway (as has
happened in one damage case
documented by EPA), this would not be
considered managed as a valuable
commodity. Finally, as long as the
recovered metal meets widelyrecognized commodity standards/
specifications for the metal product,
factor 4 would be satisfied.
The conditions developed for the
recycling exclusions in § 261.4(a) were
found to be necessary under materialspecific rulemakings that determined
when the particular hazardous
secondary material in question is not a
solid waste. When EPA originally made
the decision that these materials are not
solid waste, the Agency took into
account the relevant factors about the
hazardous secondary materials,
including how the material was
managed and what toxic chemicals were
present.
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In the 2011 DSW proposal, EPA
explicitly did not reopen comment on
any substantive provisions of the
previous recycling exclusions or
exemptions and facilities with pre-2008
exclusions can generally follow the
normal good business practices that
were considered when the exclusions
were granted and still be considered to
be legitimate recycling. If the facility is
complying with the terms of the
exclusion and following industry best
practices to engage in legitimate
recycling activity, this would generally
not raise questions as to its legitimacy.
All these examples support EPA’s
determination that most current
recycling under existing exclusions is
legitimate, and that companies
complying with the conditions of
exclusions would generally not need to
take action to show that their recycling
meets the legitimacy factors.
However, at the same time, these
material-specific exclusions from the
definition of solid waste do not negate
the basic requirement that the
hazardous secondary material must be
legitimately recycled. Recycling that is
not legitimate is not recycling at all, but
rather ‘‘sham recycling’’—discard in the
guise of recycling. Regarding the
existing exclusions in the regulations,
EPA acknowledges that, in establishing
a specific exclusion, we have already
determined in the rulemaking record
that the specific recycling practice is
excluded from the definition of solid
waste provided all the conditions of the
rule are met. However, the Agency has
always enforced its rules on the basis
that any recycling must be legitimate
(See U.S. v. Self, 2 F. 3d 1071, 1079
(10th Cir. 1993); U.S. v. Marine Shale
Processors, 81 F. 3d 1361, 1366 (5th Cir.
1996): Marine Shale Processors v. EPA,
81 F. 3d 1371, 1381–83 (5th Cir. 1996)).
This is meant to prevent a company
from claiming to be operating under an
existing exclusion and simply using that
as a way to avoid full RCRA Subtitle C
regulation.
For example, under EPA’s historic
guidance, a facility could not plausibly
claim the zinc fertilizer product
exclusion at 40 CFR 261.4(a)(21) for a
hazardous secondary material that
contained absolutely no or minimal
levels of zinc, even if all the conditions
of the zinc fertilizer exclusion were met.
The exclusion was developed to
encourage legitimate recycling of zinccontaining hazardous secondary
materials and the legitimacy provision
prevents hazardous waste from being
discarded into purported fertilizer in the
name of recycling when the hazardous
secondary material provides no
recognizable benefit to the product.
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Similarly, if a facility accepted zinccontaining hazardous waste, claiming to
make zinc fertilizer, but failed to
produce a product that was actually
sold or was otherwise valuable, such a
process would not be legitimate
recycling in the historic legitimacy
guidance, even if the management
conditions and the constituent levels in
the zinc fertilizer exclusion were met.
The consequences of the latter example
are illustrated in one of the damage
cases in the environmental problems
study. A facility whose primary
business was mixing electric arc furnace
dust (K061) with agricultural lime for
sale as a micronutrient lost its
customers and could not sell its
product. However, the facility
continued to accept K061, and, after
approximately seven months, the
facility had accepted over 60,000 tons of
this hazardous waste and stored it on
the ground in piles up to 30 feet high,
with no prospect of it being used to
produce a product and, thus,
legitimately recycled. While the initial
recycling of the K061 hazardous waste
was legitimate, when the facility failed
to produce a product that was actually
sold, the K061 could no longer be
considered legitimately recycled. Even
if the recycler were to claim that the
material may be recycled at some point
in the future, the material was being
speculatively accumulated and thus, a
solid and hazardous waste at that point.
In summary, all hazardous secondary
materials recycling and hazardous waste
recycling, whether such recycling
remains under hazardous waste
regulations or is excluded from the
definition of solid waste, must be
legitimate. This has been our longstanding policy and it is well known
throughout the regulated community
and the implementing state regulatory
agencies. To reinforce that concept and
make it clear in the regulations, we are
today codifying our policy that
hazardous secondary materials being
sham recycled are discarded and thus,
are solid waste. To do this, EPA has
decided to codify the following
statement in § 261.2 (the definition of
solid waste) instead of adding a
reference to legitimacy in each of the
recycling exclusions and exemptions (as
was suggested in the proposed rule): ‘‘A
hazardous secondary material found to
be sham recycled is considered
discarded and a solid waste. Sham
recycling is recycling that is not
legitimate recycling as defined in
§ 260.43.’’
For persons interested in an in-depth
analysis of the evolution of EPA’s
concept of legitimate recycling from
policy and preamble statements to
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regulations, EPA provided this analysis
in the 2008 DSW final rule that
described how the promulgated
legitimacy factors compare to the
previous primary guidance on
legitimacy and the Lowrance Memo.
EPA continues to maintain that the
legitimate recycling provision is
substantively the same as existing
policy because we developed the
legitimacy factors in 40 CFR 260.43 by
closely examining the questions and
sub-questions in the Lowrance Memo
and in the Federal Register preambles
and converting them into four more
direct factors. For a detailed explanation
of how each of the four factors is
derived from the Lowrance Memo and
other existing policy statements, see 73
FR 64708 –64710, October 30, 2008.
2. All Factors Mandatory
The structure of the legitimacy
standard codified in the 2008 DSW final
rule (specifically for the exclusions
promulgated in that rulemaking) had
two parts. The first part included a
requirement that hazardous secondary
materials being recycled must provide a
useful contribution to the recycling
process or to the product of the
recycling process and a requirement that
the product of the recycling process
must be valuable. At the time, EPA
considered those two factors to make up
the core of legitimacy and, therefore, a
process that did not conform to them
could not be a legitimate recycling
process, but would be considered sham
recycling. The second part of legitimacy
in the 2008 DSW final rule included two
factors that must be considered, but not
necessarily met, when a recycler is
making a legitimacy determination. In
this final rule, the Agency is changing
the structure and the application of the
legitimate recycling provision so that all
four factors are written as mandatory
requirements that must be met, except
as otherwise noted. The Agency has
determined that this action will improve
the effectiveness and protectiveness of
the legitimacy provision. The Agency’s
experience with implementing the
legitimate recycling structure finalized
in the 2008 DSW final rule has led us
to this realization. Even though we
stressed the importance of considering
each factor in the 2008 DSW final rule,
some stakeholders continue to be under
the mistaken impression that the factors
defined as ‘‘to be considered’’ were
actually optional and could be ignored.
We made it clear in the 2008 DSW final
rule that failing to meet a ‘‘nonmandatory’’ factor could, in some cases,
be enough to determine that a recycling
process is not legitimate. We did not
intend for the ‘‘to-be-considered’’ factors
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to be less important and thus, have
determined that the only way to correct
this perception and give these factors
the proper weight is to make them
requirements that must be met, except
as otherwise noted, on equal footing
with the other legitimacy factors.
However, to address concerns raised,
both factor 3 (managed as a valuable
commodity) and factor 4 (products must
have comparable levels of hazardous
constituents) have been revised from the
2008 DSW final rule to add flexibility to
address situations where the recycling is
legitimate, but the specific situation
might not meet the legitimacy factor .
For example, under factor 3, we
proposed and are finalizing the
following language to more closely
reflect the intent of the provision:
‘‘Where there is an analogous raw
material, the hazardous secondary
material, must be managed, at a
minimum, in a manner consistent with
the management of the raw material or
in an equally protective manner.’’ Thus,
a generator or recycler would meet this
factor if their hazardous secondary
material is stored in a different manner
than the analogous raw material, as long
as that storage is as protective as the
way the analogous raw material is
stored.
Under factor 4, we have also added
more explanation and flexibility for
situations where there is no analogous
product to compare to the product made
from hazardous secondary materials.
For example, in some cases, the Agency
will consider a product of a recycling
process that meets widely-recognized
commodity standards/specifications,
such as scrap metal, to meet factor 4.
Within factor 4, the Agency is also
creating a provision for hazardous
secondary materials that are recycled by
being returned to the original process
from which they were generated, such
as in a closed-loop recycling process, to
meet the factor. The specific changes to
factor 3 and factor 4 are described in
greater detail below.
In making all legitimacy factors
mandatory requirements, the first
sentence of the regulatory language of
both factors was revised to indicate that
these factors must be met. For factor 3,
the first sentence now reads as follows:
‘‘The generator and the recycler must
manage the hazardous secondary
material as a valuable commodity when
it is under their control.’’ For factor 4,
the first sentence now reads as follows:
‘‘The product of the recycling process
must be comparable to a legitimate
product or intermediate.’’
In the 2011 DSW proposal, we
proposed a petition process for facilities
that believe their recycling is legitimate
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despite not meeting one or both of these
two factors. After review and
consideration of the public comment on
this issue, the Agency has decided that
instead of a petition process, facilities
that do not meet factor 4 and yet are still
legitimately recycling must notify the
Regional Administrator (or State
Director, if the state is authorized) and
keep documentation and a certification
in their files explaining how the
recycling is still legitimate.30 See
section VIII.B.6 below for a full
discussion of the documentation and
notification process under factor 4.
3. Factor 1: Useful Contribution—
§ 260.43(a)(1)
(1) Legitimate recycling must involve
a hazardous secondary material that
provides a useful contribution to the
recycling process or to a product or
intermediate of the recycling process.
The hazardous secondary material
provides a useful contribution if it:
(i) Contributes valuable ingredients to
a product or intermediate; or
(ii) Replaces a catalyst or carrier in the
recycling process; or
(iii) Is the source of a valuable
constituent recovered in the recycling
process; or
(iv) Is recovered or regenerated by the
recycling process; or
(v) Is used as an effective substitute
for a commercial product.
This factor expresses the principle
that hazardous secondary materials
must contribute value to the recycling
process. Providing a useful contribution
is an essential element to legitimate
recycling because real or legitimate
recycling is not occurring if the
hazardous secondary material being
added or recovered does not add to the
process. This factor is intended to
prevent the practice of adding a
hazardous secondary material to a
recycling process simply as a means of
disposing of it, or recovering only small
amounts of a constituent, which EPA
would consider sham recycling.
Paragraphs (i) through (v) of
§ 260.43(a)(1) list five ways that a
hazardous secondary material can
provide a useful contribution: (i)
Contributing valuable ingredients to a
product or intermediate; (ii) replacing a
catalyst or carrier in the recycling
process; (iii) providing a valuable
constituent to be recovered; (iv) being
30 As noted above, and as described in more detail
in Section VIII.B.6, products of a recycling process
that meet widely-recognized commodity standards/
specifications and hazardous secondary materials
that are recycled by being returned to the original
process from which they were generated are
considered to meet factor 4 of the legitimacy
standard.
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regenerated; or (v) being used as an
effective substitute for a commercial
product. Any one of these can
demonstrate that the hazardous
secondary material provides a useful
contribution.
An important note in applying this
factor is that not every constituent or
component of the hazardous secondary
material has to make a contribution to
the recycling activity to meet the useful
contribution factor. For example, a
legitimate recycling operation involving
precious metals might not recover all of
the components of the hazardous
secondary material, but would recover
precious metals with sufficient value to
consider the recycling process
legitimate. In addition, the recycling
activity does not have to involve the
hazardous component of the hazardous
secondary materials if the value of the
contribution of the non-hazardous
component justifies the recycling
activity. One example of this factor from
an existing exemption is where
hazardous secondary materials
containing large amounts of zinc, a nonhazardous component, are recycled into
zinc micronutrient fertilizers. However,
in cases where the hazardous
component is not being used or
recycled, the Agency stresses that the
recycler is responsible for the proper
management of any hazardous residuals
of the recycling process.
In a situation where more than one
hazardous secondary material is used in
a single recycling process and the
hazardous secondary materials are
mixed or blended as a part of the
process, each hazardous secondary
material would need to satisfy the
useful contribution factor. This
requirement prevents situations where a
worthless hazardous secondary material
could be mixed with valuable and
useful hazardous secondary materials in
an attempt to disguise and dispose of it.
In addition, a situation in which
hazardous secondary materials that can
be useful to a process, but are added to
that process in much greater amounts
than needed to make the end-product or
to otherwise provide its useful
contribution, would also be sham
recycling.
Another way the usefulness of the
hazardous secondary material’s
contribution could be demonstrated is
by looking at the efficiency of the
material’s use in the recycling process—
that is, how much of the constituent in
a hazardous secondary material is
actually being used. As an example, if
there is a constituent in the hazardous
secondary material that could add value
to the recycling process, but, due to
process design, most of it is not being
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recovered, but is being disposed of in
the residuals, this would be a possible
indicator of not meeting this factor and
thus, could be sham recycling. However,
this consideration must take the actual
process being considered into account
as there are certainly recycling scenarios
where a low recovery rate could still be
legitimate. For example, under an
existing exclusion, if the concentration
in a metal-bearing hazardous secondary
material is low (e.g., 2–4%) and a
recycling process was able to recover a
large percentage of the target metal, this
factor could be met and the recycling
may be legitimate (depending on the
outcome of the analysis of the other
legitimacy factors).
When evaluating a hazardous
secondary material’s useful
contribution, the process can be
compared to typical industry recovery
rates from raw materials to determine if
the recycling process is reasonably
efficient. This method should involve
an examination of the overall process,
not just a single step of the process. For
example, if one step in the process
recovers a small percentage of the
constituent, but the overall process
recovers a much larger percentage, the
Agency would consider the overall
efficiency of the recycling process in
determining whether hazardous
secondary materials are providing a
useful contribution.
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4. Factor 2: Valuable Product or
Intermediate—§ 260.43(a)(2)
The recycling process must produce a
valuable product or intermediate. The
product or intermediate is valuable if it
is: (i) Sold to a third party or (ii) used
by the recycler or the generator as an
effective substitute for a commercial
product or as an ingredient or
intermediate in an industrial process.
This factor expresses the principle
that the product or intermediate coming
out of the recycling process should be
a material of value, either to a third
party who buys it from the recycler, or
to the generator or recycler itself, who
can use it as a substitute for another
material that it would otherwise have to
buy or obtain for its industrial process.
Legitimate recycling is not occurring if
the product or intermediate from the
process is not of use to anyone and,
therefore, is not a real product. This
factor is intended to prevent the practice
of running a hazardous secondary
material through an industrial
production process to make something
just for the purpose of avoiding the costs
of hazardous waste management, rather
than for the purpose of using the
product or intermediate of the recycling
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activity. Such a practice would be sham
recycling.
For the purpose of this factor, a
recyclable product may be considered
‘‘valuable’’ if it can be shown to have
either economic value or intrinsic value
to the end user. Evaluations of
‘‘valuable’’ for the purpose of this factor
should be done on a case-by-case basis,
but one way to determine that the
recycling process yields a valuable
product would be if the product of the
recycling process is sold to a third party.
This transaction could include money
changing hands or, in other
circumstances, may involve trade or
barter. A recycler that has not yet
arranged for the sale of its product to a
third party could establish value by
demonstrating that it can replace
another product or intermediate that is
available in the marketplace. A product
of the recycling process may be sold at
a loss in some circumstances, but the
recycler should be able to demonstrate
how the product is clearly valuable to
the purchaser.
EPA also knows that many recycling
processes produce outputs that are not
sold or traded to another party, but are
instead used by the generator or
recycler. A product of the recycling
process may be used as a feedstock in
a manufacturing process, but have no
established monetary value in the
marketplace. Such recycled products or
intermediates would be considered to
have intrinsic value, though it might be
less straightforward in this situation to
demonstrate value if it is necessary to
do so. Demonstrations of intrinsic value
could involve showing that the product
of the recycling process or intermediate
replaces an alternative product that
would otherwise have to be purchased
or could involve a showing that the
product of the recycling process or
intermediate meets specific product
specifications or specific industry
standards. Another approach could be
to compare the product or
intermediate’s physical and chemical
properties or efficacy for certain uses
with those of comparable products or
intermediates made from raw materials.
Some recycling processes may consist
of multiple steps that may occur at
separate facilities. In some cases, each
processing step will yield a valuable
product or intermediate, such as when
a metal-bearing hazardous secondary
material is processed to reclaim a
precious metal and is then put through
another process to reclaim a different
mineral. When each step in the process
yields a valuable product or
intermediate that is salable or usable in
that form, the recycling activity would
conform to this factor.
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Like the other factors, this factor
should be examined and evaluated on a
case-by-case basis looking at the specific
facts of a recycling activity. If, for
instance, a recycling activity produces a
product or intermediate that is used by
the recycler itself, but does not serve
any purpose and is just being used so
that the product or intermediate appears
valuable, that would be an indicator of
sham recycling. An example of this
would be a recycler that reclaims a
hazardous secondary material and then
uses that material to make blocks or
building materials for which it has no
market and then ‘‘uses’’ those building
materials to make a warehouse in which
it stores the remainder of the building
materials that it is unable to sell.
5. Factor 3: Managed as a Valuable
Commodity—§ 260.43(a)(3)
The generator and the recycler must
manage the hazardous secondary
material as a valuable commodity when
it is under their control. Where there is
an analogous raw material, the
hazardous secondary material must be
managed, at a minimum, in a manner
consistent with the management of the
raw material or in an equally protective
manner. Where there is no analogous
raw material, the hazardous secondary
material must be contained. Hazardous
secondary materials that are released to
the environment and are not recovered
immediately are discarded.
This factor expresses the principle
that hazardous secondary materials
being recycled should be managed in
the same manner as other valuable
materials. This factor requires those
making a legitimacy determination to
look at how the hazardous secondary
material is managed before it enters the
recycling process. In EPA’s view, a
recycler will value hazardous secondary
materials that provide an important
contribution to its process or product
and, therefore, will manage those
hazardous secondary materials in a
manner consistent with how it manages
a valuable feedstock. If, on the other
hand, the recycler does not manage the
hazardous secondary materials as it
would a valuable feedstock, the
hazardous secondary materials might
not be recycled, but rather released into
the environment and discarded, thereby
indicating sham recycling.
This factor may be particularly
important in the case where a recycler
has been paid by a generator to take its
materials as a result of the economic
incentives in the hazardous secondary
materials market. By looking at the
management of the hazardous secondary
material before it enters the recycler’s
process, the entity making the
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legitimacy determination can tell that a
material being managed like an
analogous raw material is, in fact,
valued by the recycler. If the hazardous
secondary material is not being
managed like a valuable raw material
because it is uncontrolled or is being
released, that indicates that the fee the
recycler obtains for taking the hazardous
secondary material may be its only
value to that recycler. If the fee received
were the only value to the recycler, it
could mean that discard was taking
place.
This factor addresses the management
of hazardous secondary materials in two
distinct situations. The first situation is
when a hazardous secondary material is
analogous to a raw material which it is
replacing in the process. In this case, the
hazardous secondary material should be
managed prior to recycling similarly to
the way the analogous raw materials are
managed in the course of normal
manufacturing, or in an equally
protective manner.
EPA expects that all parties handling
hazardous secondary materials destined
for recycling—generators, transporters,
intermediate facilities and reclamation
facilities—will handle them in generally
the same manner in which valuable raw
materials would otherwise be handled if
used in the process. ‘‘Analogous raw
material’’ is a raw material for which the
hazardous secondary material
substitutes and which serves the same
function and has similar physical and
chemical properties as the hazardous
secondary material.
EPA proposed and is finalizing an
addition to the language of this factor as
compared to the 2008 DSW final rule to
include the words ‘‘or in an equally
protective manner.’’ This change means
that a recycling process would meet this
factor if the hazardous secondary
material is stored in a different manner
than the analogous raw material as long
as that storage was as protective as the
way the analogous raw material was
stored.
For example, a hazardous secondary
material in powder form that is shipped
in a woven super sack in good condition
(i.e., that does not leak or spill) and
stored in an indoor containment area
would be considered managed ‘‘in an
equally protective manner’’ as an
analogous raw material that is shipped
and stored in drums.
In addition, managing a hazardous
secondary material in a manner
consistent with the management of an
analogous raw material can include
situations where the raw material and
the hazardous secondary material (e.g.,
scrap metal) are both stored on the
ground.
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The second situation the factor
addresses is the case where there is no
analogous raw material that the
hazardous secondary material is
replacing. This could be either because
the process is designed around a
particular hazardous secondary
material—that is, the hazardous
secondary material is not replacing
anything—or it could be because of
physical or chemical differences
between the hazardous secondary
material and the raw material that are
too significant for them to be considered
‘‘analogous.’’
Hazardous secondary materials that
have significantly different physical or
chemical properties when compared to
the raw material would not be
considered analogous even if they serve
the same function because it may not be
appropriate to manage them in the same
way. In this situation, the hazardous
secondary material would have to be
contained for this factor to be met. The
term ‘‘contained’’ as discussed in
section V of this preamble, means that
the unit in which the material is stored
is in good condition, with no leaks or
releases to the environment, and that
the unit is designed to prevent such
releases. In addition, to meet the
contained standard, the unit must be
labeled or have a system to identify the
hazardous secondary material in it and
must not hold incompatible materials or
pose a risk of fires. Hazardous
secondary materials in units that meet
the applicable requirements of 40 CFR
parts 264 or 265 are presumed to be
contained. Land-based units can meet
the definition of contained.
The requirement that a hazardous
secondary material be contained when
there is no analogous raw material to
compare it to is consistent with the idea
that normal manufacturing would
ensure that the valuable material inputs
are managed properly, rather than allow
them to be released into the
environment.
An example of when this provision
would be used would be if a
manufacturer decided to replace a dry
raw material in its process with a liquid
having the same constituents. It would
not be sufficient, nor would it make
sense, for the liquid to be managed in
supersacks, like a dry material might.
Instead, the liquid would have to be
contained (for example, in a tank or
container).
An important part of this factor is the
statement in the regulatory text
clarifying that hazardous secondary
materials that are released to the
environment and are not recovered
immediately are discarded. Valuable
feedstocks or products should not be
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allowed to escape into the environment
through poor management and this
factor clarifies that those hazardous
secondary materials that are released
(and are not immediately recovered) are
clearly discarded and a solid waste.
Either a large release or ongoing releases
of smaller amounts could indicate that,
in general, the hazardous secondary
material is not being managed as a
valuable product, which could indicate
sham recycling. Hazardous secondary
materials that are immediately
recovered before they disperse into the
environment—air, soil, or water—and
are reintroduced in the recycling
process are not discarded. This
determination on factor 3 must be made
on a case-by-case basis, however.
In EPA’s 2008 DSW final rule, this
factor was one of the two factors that
was ‘‘to be considered’’ rather than one
of the two mandatory factors because
EPA believed that there may be some
situations in which this factor was not
met, but the recycling was still
legitimate. With the addition of the
language clarifying that the materials
can be managed in a different way than
the analogous raw material as long as
that management system is equally
protective, EPA has determined that
there is no reason that a facility that is
legitimately using a hazardous
secondary material that has value to
them in a recycling process would not
meet this factor. EPA’s intent with this
factor is that hazardous secondary
materials are managed in the same
manner as materials that have been
purchased or obtained at some cost, as
raw materials are. Just as it is good
business practice to ensure that raw
materials enter the manufacturing
process rather than being spilled or
released, we would expect hazardous
secondary materials to be managed
effectively and efficiently in order that
their full value to the manufacturing
process would be realized.
6. Factor 4: Comparison of Toxics in the
Product—§ 260.43(a)(4)
The product of the recycling process
must be comparable to a legitimate
product or intermediate:
(i) Where there is an analogous
product or intermediate, the product of
the recycling process is comparable to a
legitimate product or intermediate if:
(A) The product of the recycling
process does not exhibit a hazardous
characteristic (as defined in part 261
subpart C) that analogous products do
not exhibit, and
(B) The concentrations of any
hazardous constituents found in
Appendix VIII of part 261 of this
chapter that are in the product or
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intermediate are at levels that are
comparable to or lower than those found
in analogous products or at levels that
meet widely-recognized commodity
standards and specifications, in the case
where the commodity standards and
specifications include levels that
specifically address those hazardous
constituents.
(ii) Where there is no analogous
product, the product of the recycling
process is comparable to a legitimate
product or intermediate if:
(A) The product of the recycling
process is a commodity that meets
widely recognized commodity standards
and specifications (e.g., commodity
specification grades for common
metals), or
(B) The hazardous secondary
materials being recycled are returned to
the original process or processes from
which they were generated to be reused
(e.g., closed loop recycling).
(iii) If the product of the recycling
process has levels of hazardous
constituents that are not comparable to
or unable to be compared to a legitimate
product or intermediate per
subparagraphs (i) or (ii) of this
paragraph, the recycling still may be
shown to be legitimate, if it meets the
requirements specified below. The
person performing the recycling must
conduct the necessary assessment and
prepare documentation showing why
the recycling is, in fact, still legitimate.
The recycling can be shown to be
legitimate based on lack of exposure
from toxics in the product, lack of the
bioavailability of the toxics in the
product, or other relevant
considerations which show that the
recycled product does not contain levels
of hazardous constituents that pose a
significant human health or
environmental risk. The documentation
must include a certification statement
that the recycling is legitimate and must
be maintained on-site for three years
after the recycling operation has ceased.
The person performing the recycling
must notify the Regional Administrator
of this activity using EPA Form 8700–
12.
This factor requires that those making
a legitimacy determination look at the
concentrations of the hazardous
constituents found in the product made
from hazardous secondary materials
and, except where otherwise specified,
compare them to the concentrations of
hazardous constituents in analogous
products. A product that contains high
levels of hazardous constituents that
originate in a hazardous secondary
material feedstock could indicate that
the recycler incorporated hazardous
constituents into the final product when
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they were not needed to make that
product effective as a way to avoid
proper disposal of that material, which
would be sham recycling. This factor,
therefore, is designed to determine
when toxics that are ‘‘along for the ride’’
are discarded in a final product and the
hazardous secondary material is not
being legitimately recycled.
As proposed, factor 4 was
unsatisfactory to many of the
stakeholders of this rulemaking. Many
representatives from the industrial
sector argued that they would not be
able to meet factor 4 or would not be
able to easily know if they met factor 4.
EPA had expected that a small number
of facilities would have this concern
and had proposed a petition process to
address this problem, but many
commenters argued that petitions would
take a long time to be processed,
creating uncertainty in the industrial
sector, and that a petition process would
be a drain on state and industry
resources.
As a result of comments received on
the proposal, EPA has made some
revisions to this factor to ensure that
long-standing legitimate recycling
processes will still be considered
legitimate under this factor. The
requirements that are being promulgated
today are described in full below and
include different requirements for when
there is an analogous product and when
there is not, provisions for using widelyrecognized commodity standards and
specifications to meet this factor, a
provision to address recycling that
includes hazardous secondary materials
being put back into the process from
which they came, and a documentation,
certification and notification process for
facilities that cannot meet these
requirements, but still believe their
recycling is legitimate. A full
description of how the requirement
being finalized differs from what was
proposed in the 2011 DSW proposal can
be found in section VIII.C.3 of the
preamble.
In addition to these changes, EPA has
also retained the proposed language of
this factor that states that the
concentrations of hazardous
constituents in the product of the
recycling process must be ‘‘comparable
to’’ or lower than those found in
analogous products. This is a change
from the 2008 DSW final rule, which
used language stating that the
concentrations of hazardous
constituents should not be
‘‘significantly higher’’ than
concentrations in analogous products.
Factor 4 starts with the statement that
the product of the recycling process
made from hazardous secondary
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materials must be comparable to a
legitimate product or intermediate. It is
important to note that the comparison
that EPA is requiring here involves the
product that comes out of a recycling
process. That is, a recycler will
ordinarily compare the product of the
recycling process to an analogous
product made of raw materials. For
example, if a recycling process produces
paint, the levels of hazardous
constituents in the paint will be
compared with the levels of the same
constituents found in similar paint
made from virgin raw materials.
However, a recycler is also allowed to
perform this evaluation by comparing
the hazardous constituents in the
hazardous secondary material feedstock
with those in an analogous raw material
feedstock. If the hazardous secondary
material feedstock contains
concentrations of hazardous
constituents that are comparable to or
lower than the concentrations in the raw
material feedstock, then the end product
of the recycling process would not
contain excess hazardous constituents
‘‘along for the ride’’ either. This method
of showing that the product meets factor
4 is acceptable. There may be cases in
which it is easier to compare feedstocks
than it is to compare products because
the recycler knows that the hazardous
secondary material is very similar in
profile to the raw material. A
comparison of feedstocks may also be
easier in cases where the recycler
creates an intermediate which is later
processed again and may end up in two
or more products, when there is no
analogous product, or when production
of the product of the recycling process
has not yet begun. Note, however, that
EPA is allowing other ways to make the
comparable demonstration in cases
where there is no analogous product, as
described below in section VIII.B.6.b.
a. Factor 4 when there is an
analogous product. Paragraph
260.43(a)(4)(i) describes how a facility
can meet factor 4 when the recycled
product can be compared to an
analogous product that is made without
the use of hazardous secondary material
as a feedstock. First, the product of the
recycling process cannot exhibit any of
the hazardous characteristics that
analogous products do not exhibit. Most
issues associated with ‘‘toxics along for
the ride’’ involve the presence of
hazardous constituents rather than the
characteristics of hazardous waste. It is
possible, however, that the use of
hazardous secondary materials as an
ingredient could cause a product to
exhibit a hazardous characteristic, such
as corrosivity, that is not exhibited by
analogous products.
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The hazardous characteristics are
found in 40 CFR part 261 subpart C and
are used to identify those materials that
are hazardous wastes, but that EPA has
not specifically listed in part 261
subpart D. The characteristics are
ignitability, corrosivity, reactivity, and
toxicity. The toxicity characteristic
includes a list of 40 contaminants and
the levels at which the material would
be considered hazardous waste when
tested using the Toxicity Characteristic
Leaching Procedure. If a product
produced with hazardous secondary
material exhibited a characteristic of
hazardous waste that an analogous
product did not exhibit, this would be
an indication that sham recycling could
be occurring as a significant hazardous
constituent or characteristic would be in
the product only as a result of the
recycling of the hazardous secondary
material. This requirement is in
§ 260.43(a)(4)(i)(A). In most cases, a
recycler will be familiar enough with
the material it is producing to be able to
easily determine whether it would meet
any of these characteristics, but if there
are any questions, the methods for
testing for the characteristics are found
in 40 CFR part 261 subpart C.
In addition to this requirement, the
product of the recycling process must
also meet § 260.43(a)(4)(i)(B). This
paragraph can be met in two ways. The
first way is if the concentrations of any
hazardous constituent (as defined by
Appendix VIII to part 261) that is in the
recycled product is comparable to or
lower than those found in analogous
products. This provision is what EPA
proposed in the 2011 DSW proposal,
which included a discussion of how
meeting product specifications could
indicate that a recycling process is
legitimate, as well as a request for
comments on how EPA should
determine what ‘‘comparable’’ levels of
hazardous constituents are when
determining the legitimacy of a
recycling process. In response to
comments received on this point, EPA
has added to this paragraph that the
product of the recycling process would
be comparable if it meets widelyrecognized commodity standards that
include levels that specifically address
the hazardous constituents that are in
the product.
As stated above, the first part of
§ 260.43(a)(4)(i)(B) is similar to the
provision that EPA proposed in the
2011 DSW proposal. In this provision,
EPA has decided to finalize language
replacing the terms ‘‘significant’’ and
‘‘significantly elevated,’’ which were
promulgated in the 2008 DSW final rule,
with the phrase ‘‘comparable to or
lower’’ because it more clearly reflects
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the intent of this factor. ‘‘Comparable to
or lower than’’ means that any
contaminants present in the product
made from hazardous secondary
materials are present at levels at or
lower than the levels contained in an
analogous product, or if higher, would
be within a small acceptable range. This
language is consistent with the
Identification of Non-Hazardous
Secondary Materials that are Solid
Wastes final rule (76 FR 15456, March
21, 2011). However, we are not changing
the basic meaning of this factor.
Operationally, the terms ‘‘comparable’’
and ‘‘not significant’’ or ‘‘not
significantly elevated’’ are the same for
hazardous secondary materials recycling
and the examples the Agency provided
in the 2008 DSW final rule preamble
that explained how the Agency
envisions this factor working are still
appropriate. Those examples are
repeated here.
• If paint made from reclaimed solvent
contains significant amounts of cadmium,
but the same type of paint made from virgin
raw materials does not contain cadmium, it
could indicate that the cadmium serves no
useful purpose and is being passed though
the recycling process and discarded in the
product. Thus, the levels of cadmium would
not be considered ‘‘comparable’’ and the
paint would fail this legitimacy factor, unless
the recycler can conduct the necessary
analysis and prepare documentation stating
why the recycling is still legitimate. In
addition, the recycler would need to certify
and provide notice to the implementing
agency of this activity.
• If a lead-bearing hazardous secondary
material was reclaimed and then that
material was used as an ingredient in making
ceramic tiles and the amount of lead in the
tiles was significantly higher than the
amount of lead found in similar tiles made
from virgin raw materials, the recycler
should look more closely at the factors to
determine the overall legitimacy of the
process. The significantly higher levels of
lead may indicate that the recycled product
is not comparable to an analogous product
and, thus, the recycling process is really a
sham. Alternatively, the recycler may be able
to demonstrate the recycling is still legitimate
even though it does not contain lead at
comparable levels by, for example, showing
the toxics are not bioavailable. If this is the
case, the recycler would need to document
the analysis and certify the legitimacy of the
recycling practice, as well as provide notice
to the implementing agency.
• If zinc galvanizing metal made from
hazardous secondary materials that are
reclaimed contains 500 parts per million
(ppm) of lead, while the same zinc product
made from raw materials typically contains
475 ppm, the levels would be considered
comparable since they are within a small
acceptable range and, thus, the product
would meet this factor. If, on the other hand,
the lead levels in the zinc product made from
reclaimed hazardous secondary materials
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were considerably higher, these levels may
not be comparable, and would require the
recycler to look more closely at this factor
since it may indicate that the product was
being used to illegally dispose of the lead and
that the activity is sham recycling, unless the
recycler can conduct the necessary
assessment and prepare documentation
stating why the recycling is still legitimate.
In addition, the recycler would need to
certify and provide notice to the
implementing agency of this activity.
• If a ‘‘virgin’’ solvent contains no
detectable amounts of barium, while spent
solvent that has been reclaimed contains a
minimal amount of barium (e.g., 1 ppm), this
difference would likely be considered
comparable.
The second part of § 260.43(a)(4)(i)(B)
relies not on a comparison of levels of
hazardous constituents between a
product of the recycling process and an
analogous product, but on the product
of the recycling process meeting widelyrecognized commodity standards and
specifications. In this case, meeting a
widely-recognized standard and
specification would indicate that the
recycling is legitimate if that standard
and specification includes levels for the
hazardous constituents that are found in
the product of the recycling process.
EPA decided that using a product’s
ability to meet product specifications as
an indicator of legitimate recycling
would make the determination of
legitimate recycling straight-forward in
many cases where the product of the
recycling is clearly a commodity in
wide use in commerce. Although not
spelled out in the regulatory language
used in the 2008 DSW final rule,
consideration of whether the product of
a recycling process meets quality
specifications has been part of the
legitimacy determination since the
Lowrance Memo in 1989, which
included several questions to this effect
as part of its determination of whether
there is a guaranteed market for the
product (i.e., Are there industry
recognized product specifications for
the product? Is it listed in industry news
letters? Is the reclaimed product a
recognized commodity?). Including this
provision on product specifications as
part of this final rulemaking will limit
uncertainty from recyclers about
whether their processes are legitimate.
However, despite the value of product
standards, EPA did not want to state
that meeting any product specification
was an indicator of legitimacy because
any recycler could design its own
specification and point to that as a way
to circumvent the requirement.
Therefore, this requirement requires that
the commodity standards being met be
widely-recognized. By ‘‘widelyrecognized commodity standard,’’ EPA
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means a standard that is used
throughout an industry to describe a
certain product and that is widelyavailable to anyone producing the
product. A specific example of such a
widely-recognized standard agency
would be ASTM International, which
has standards covering a wide variety of
manufactured goods.31 However, for
specialty batch chemical manufacturers
or other types of specialty
manufacturing where widely-recognized
commodity standards are not available,
customer specifications would be
sufficient.
In addition, for this part of factor 4,
the commodity standards and
specifications being referenced must
specifically address those hazardous
constituents that may be different
between the analogous product and the
product generated from using the
hazardous secondary material in the
recycling process. EPA is making this
explicit in the regulations to avoid a
situation in which a product from a
process that is recycling hazardous
secondary materials meets a widelyrecognized product specification, but
does not include any levels for the
hazardous constituents that are in the
hazardous secondary material. A
product specification could have been
developed without any thought that the
feedstock for that product might include
some hazardous constituents that could
be toxic to human health and the
environment and, therefore, not include
them. We are concerned with the
potential that the analogous product
could be substituted with the recycled
product without full disclosure of
potential toxics that may be in the
recycled product. Using a standard or
specification that does not address the
hazardous constituents of concern to
demonstrate meeting factor 4 of the
legitimacy requirements where there is
an analogous product would ignore the
primary concern of this factor and
would allow elevated levels of toxics
from the hazardous secondary material
into the final product.
b. Factor 4 when there is no
analogous product. Commenters on
EPA’s 2011 DSW proposal expressed
concern that, in many cases of
hazardous secondary materials
recycling, there may not be an
analogous product with which a facility
31 ASTM International, formerly known as the
American Society for Testing and Materials
(ASTM), develops and delivers international
voluntary consensus standards. Its Web site states
that 12,000 ASTM standards are used around the
world to improve product quality, enhance safety,
facilitate market access and trade, and build
consumer confidence. https://www.astm.org/
ABOUT/aboutASTM.html.
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can compare the product of the
recycling process. Commenters
described recycling processes that were
designed to use a specific hazardous
secondary material to make a useful
product and processes that always
incorporated a hazardous secondary
material back into the generating
process during manufacturing.
Paragraph 260.43(a)(4)(ii) describes how
a facility can meet factor 4 in these
situations.
EPA had not previously identified a
separate methodology for meeting factor
4 in the situation where there is no
analogous product, but the support in
the comments in response to EPA’s
request for input on the use of product
specifications made it clear that this
approach could be effective in the case
where there is no analogous product.
Therefore, EPA is stating in
§ 260.43(a)(4)(ii)(A) that a product of the
recycling process is comparable to a
legitimate product or intermediate when
‘‘the product of the recycling process is
a commodity that meets widelyrecognized commodity standards and
specifications.’’ EPA gives the example
in the regulatory text of commodity
specification grades for common metals,
which would be relevant to scrap metal
recyclers, among other metal recyclers.
As stated above for paragraph (A),
EPA decided that using a product’s
ability to meet product standards and
specifications as an indicator of
legitimate recycling would make the
determination of legitimate recycling
more straight-forward in many cases
where the product of the recycling is
clearly a commodity in wide use in
commerce. This would limit uncertainty
from recyclers about whether their
processes are legitimate.
However, despite the value of product
standards and specifications, EPA did
not want to state that meeting any
product standard or specification was
an indicator of legitimacy because any
recycler could design its own
specification and point to that as a way
to circumvent the requirement.
Therefore, this requirement requires that
the commodity standards and
specifications being met be widelyrecognized. By ‘‘widely-recognized
commodity standard and specification,’’
EPA means a standard or specification
that is used throughout an industry to
describe a certain product and that is
widely-available to anyone producing
the product. A specific example of such
a widely-recognized standard agency
would be ASTM International, which
has standards covering a wide variety of
manufactured goods. Note, for this part
of factor 4, the commodity standard or
specification must be widely
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recognized, but would not necessarily
address a specific hazardous
constituent, since there is no analogous
product to compare it to. EPA has
determined that recycled products that
do not have analogous products can
‘‘stand alone’’ in that they are not
substitutes for virgin products and thus,
either succeed or fail based on their
inherent characteristics, including any
hazardous constituents contained
therein. Therefore, EPA has determined
that market forces appropriately dictate
whether these types of recycled
products meet the technical provisions
of factor 4.
EPA also wanted to address the
situation in which a manufacturing
process produces a hazardous secondary
material that is then recycled back into
the process from which they were
generated. In some cases, the product is
always manufactured using this kind of
feedback loop and, therefore, there is no
analogous product with which it can be
compared. EPA has included in today’s
final rule a provision that states that
when ‘‘hazardous secondary materials
being recycled are returned to the
original process or processes from
which there were generated to be
reused, the product of the recycling
process is comparable to a legitimate
product or intermediate.’’ That is, in
those situations, the recycling process
meets factor 4.
Recycling that takes place under
EPA’s closed loop recycling exclusion at
§ 261.4(a)(8) would be an example of
manufacturing that would consistently
include the hazardous secondary
material being returned to the original
process from which it was generated
and that would meet the legitimacy
factors being discussed here. Another
situation about which commenters
expressed concern was mineral
processing to produce primary metals,
because these processes always include
materials looping back into the process
to ensure that all the valuable metals
that can be extracted from the ore are
being collected for use. For example, in
precious metals production, hazardous
secondary materials from various stages
in the process contain concentrations of
both precious metals and hazardous
constituents that are higher than
concentrations in ore. The
concentrations of hazardous
constituents and precious metals in
these hazardous secondary materials
vary depending on the makeup of the
ore from which they came. In order to
glean the most valuable product from
processing the ore, these hazardous
secondary materials are routinely put
back into the production units that
process the virgin materials and are put
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through the process again. Commenters
from the precious metals industry
argued in their comments that they
consider this legitimate recycling of
secondary materials (that may be
hazardous) and that because of the
variation in the makeup of the materials
going back into the process, determining
whether factor 4 has been met would be
difficult. Thus, EPA has determined that
the recycling process in these
situations—that is, in which the
hazardous secondary material is
returned to the original production
process, or the processes from which it
was generated—would meet factor 4.
EPA has determined that recycling
hazardous secondary materials in this
manner is not a concern as far as ‘‘toxics
along for the ride’’ are concerned
because the hazardous secondary
materials came out of the very same
process and contain the same hazardous
constituents that are already in the
manufacturing process. These
hazardous constituents originated in the
raw materials of the process that are
being used with or without the recycling
loop. Prohibiting the recycling of
hazardous secondary materials in these
situations because of factor 4 would not
be changing the amount or nature of
hazardous constituents in the product
that comes out of the manufacturing
process. In addition, that kind of
prohibition would be misguided from a
resource conservation perspective
because it could limit the recycling of
these materials back into a process,
which leads to a more efficient process
and therefore conserves the use of raw
materials in manufacturing.
c. Documentation, certification and
notice process for factor 4. EPA
designed the provisions above to make
it more clear how a material can meet
factor 4. In addition, they provide
additional flexibility to this factor,
where it makes environmental and
economic sense. These added
provisions address most of the
comments that EPA received stating that
a particular sector or industry would
have trouble meeting factor 4.
EPA recognizes, however, that despite
these changes, there may still be
instances where recycling is legitimate,
but is unable to meet the technical
provisions of factor 4 as it is written
because the product of the recycling
process has levels that are not
comparable to analogous products or
because the product of the recycling
process cannot be compared to an
analogous product, but does not fit
under § 260.43(a)(4)(ii).32
32 Note
that a recycling facility can also compare
the hazardous constituents in the hazardous
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It is critical that the legitimacy
regulations be flexible enough to allow
for situations like this, particularly with
the regulations applying to all recycling.
In this final rulemaking, EPA has
replaced the petition process that it
proposed in the 2011 DSW proposal
with a documentation, certification and
notice process for factor 4.
Specifically, when a recycling facility
has determined that it must take
advantage of the documentation,
certification and notice process, either
because the product of the recycling
process has levels that are not
comparable to analogous products or
because the product of the recycling
process cannot be compared to an
analogous product (and § 260.43(a)(4)(ii)
does not apply), it must determine that
its recycling process is legitimate
despite the levels of hazardous
constituents in the product. The
regulatory text for this provision
explains that in doing this analysis, the
facility making the determination can
consider ‘‘lack of exposure from toxics
in the product, lack of the
bioavailability of the toxics in the
product, or other relevant
considerations which show that the
recycled product does not contain levels
of hazardous constituents that pose a
significant human health or
environmental risk.’’
A consideration of lack of exposure
from the toxics in a product would
involve an assessment of the process to
determine if the hazardous constituents
are likely to come into contact with
humans or the environment in a way
that will harm them. For example, a
product that is more of an intermediate
in a recycling process and stays within
an industrial setting where it is
contained and where everyone coming
into contact with it is familiar with any
hazards that it poses could be
considered a candidate for this
certification because there is limited
exposure to human health and the
environment from the product. A
consumer product, on the other hand,
that will be leaving an industrial setting
and entering the market where certain
hazardous constituents may not be
expected and may not have limited
exposure to human health and the
environment is unlikely to be eligible
for this exception to factor 4.
For example, as previously explained
in the 2008 DSW final rule and the 2011
DSW proposed rule, EPA has
determined that the reuse of lead
contaminated foundry sands may or
secondary material to an analogous feedstock, if
that approach works better for a particular recycling
process.
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may not be legitimate, depending on the
use. The use and reuse of foundry sands
for mold making in a facility’s sand loop
using a non-thermal reclamation process
under normal industry practices has
been found to be legitimate because the
sand is part of an industrial process
where there is little chance of the
hazardous constituents being released
into the environment or causing damage
to human health and the environment
when it is kept inside, because there is
lead throughout the foundry’s process,
and because there is a clear value to
reusing the sand, even though the levels
of hazardous constituents in the sands
may not be comparable to the analogous
product. However, in the case of lead
contaminated foundry sand used as
children’s play sand, the same high
levels of lead would disqualify this use
from being considered legitimate
recycling.
An assessment of lack of the
bioavailability of toxics in the product
could be a more complicated analysis
that would examine whether the
hazardous constituents in the final
product are bound up with the other
constituents in such a way that they
would not be released when coming
into contact with humans or the
environment over the lifetime of the
product. Although this would be a
sophisticated assessment, a facility
wishing to perform this kind of analysis
to inform a legitimacy determination
under this certification process can do
so.
EPA has included the phrase ‘‘other
relevant considerations which show that
the recycled product does not contain
levels of hazardous constituents that
pose a significant human health or
environmental risk’’ in the regulation to
account for other situations that may
arise. An example that was submitted in
the comments to the proposal that could
be an ‘‘other relevant consideration’’ in
making this determination is when the
reclaimed product contains compounds
that are not in analogous products, but
the products exhibit similar physical
and chemical risk profiles and therefore
are not posing an increased risk. There
may be other considerations regarding
factor 4 like these that could also be
relevant to the legitimacy of a recycling
process; however, the Agency thinks
these are limited.
After determining that its process is
still legitimate, the recycling facility
would prepare documentation
explaining its assessment. This should
take the form of a description of the
process in question and an explanation
of the analysis performed to determine
legitimacy, including any relevant
diagrams and flow charts, as well as any
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relevant sampling data. In addition, the
documentation must include a
certification statement that states that
recycling is legitimate and that is signed
by the responsible official at the
recycling facility. The language for the
certification is not mandated in the
regulations, but an acceptable example
would be ‘‘I certify that the hazardous
secondary recycling process described
in these pages is a legitimate recycling
process.’’
The documentation and certification
of legitimate recycling would have to be
maintained or available on-site for as
long as the recycling process is
operating at the site and for three years
after the recycling operation has ceased.
In addition to preparing and
maintaining this documentation, the
recycling facility would notify its
Regional Administrator (or State
Director, in authorized states) that it is
taking advantage of this provision by
reporting the type of hazardous
secondary material and the recycling
process being used to produce a product
with elevated levels of hazardous
constituents (or a product that has no
widely-known commodity standards for
the hazardous constituents) through
EPA Form 8700–12, otherwise known as
the Site ID form.33 When a facility
documents, certifies, and submits notice
under factor 4, it is addressing factor 4
for the purposes of the introductory
language of § 260.43, which requires
that all requirements of the paragraph be
addressed.
EPA has decided to finalize this selfimplementing certification process
rather than the proposed petition
process to reduce burden on facilities
who are taking advantage of this
provision, as well as on the regulatory
agencies implementing the regulations.
Because this requirement for
documentation and a certification that
must be maintained on-site does not
include an approval process, facilities
do not have to wait for any decisions
from their implementing agencies about
whether their recycling is legitimate.
However, the notification aspect of
the legitimacy regulations being
finalized today adds some limited, but
important, oversight to a process that
would otherwise be taking place out of
sight of the regulating agencies all
together, that is, the decision that a
recycling process that does not meet
factor 4 is still legitimate. The
notification gives EPA and the
authorized states information about
which recycling facilities are producing
33 EPA will revise EPA form 8700–12 to
incorporate this notification. In the interim, persons
may notify using the ‘‘Comments’’ box on the form.
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products from recycled hazardous
secondary materials that have elevated
levels of hazardous constituents when
compared to non-recycled products (or
are producing recycled products that
have no non-recycled analogue and no
widely recognized commodity
specifications). This notification
facilitates oversight and inspections of
the recycling facility concerning the
legitimacy of the recycling process,
allowing EPA and authorized states to
continue to use existing authorities to
determine whether the recycling is
legitimate.
EPA has chosen this approach
because it maintains the selfimplementing nature of the regulations,
while providing enough information to
EPA and the authorized states to gather
the necessary information. In these
ways, this approach addresses the main
concerns raised by the stakeholders in
the comments to this rulemaking.
A facility that claims to be operating
a recycling process that is legitimate
under this provision could be subject to
an enforcement action if the Agency
determines that the recycling is sham.
As always, a facility with questions
about the regulated status of its
hazardous secondary material can
contact its implementing agency for
assistance in making a waste
determination.
C. Changes From the Proposal
1. Prohibition of Sham Recycling
In today’s final rule, EPA is codifying
the requirement that all hazardous
secondary material recycling must be
legitimate. However, instead of
amending the text of each recycling
exemption and exclusion, we are
instead codifying a provision in
§ 261.2(g) that states that any hazardous
secondary material found to be sham
recycled is discarded and thus, a solid
waste. This more clearly reflects our
intent and our long-standing policy that
only those facilities truly recycling
should be eligible for an exclusion
based on recycling the hazardous
secondary materials. We did not intend
to cause facilities that are legitimately
recycling to revisit their practices or for
state agencies to revisit past legitimacy
determinations. However, we do want to
make clear that sham recycling is not
real recycling and thus, any hazardous
secondary material being sham recycled
is a solid and potentially a hazardous
waste. By making a clear statement in
the definition of solid waste, the Agency
is placing the appropriate emphasis on
this issue, that is, that sham recycling is
discard.
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2. Documentation
When the Agency codified the
legitimacy standard in the 2008 DSW
final rule, we did not require specific
documentation regarding the legitimacy
determination, although the regulatory
language stated that persons claiming to
be excluded from hazardous waste
regulation because they are engaged in
reclamation must be able to demonstrate
that the recycling is legitimate. In the
2011 DSW proposal, we proposed to
require that persons who perform
recycling include documentation in
their paperwork to explain how their
hazardous secondary materials are
legitimately recycled.
After reviewing the public comments,
we have decided that, as a general
matter, documentation of legitimacy is
not necessary for most hazardous
secondary materials recycling. Instead,
we will continue to rely on the current
provision in § 261.2(f) that requires
respondents to demonstrate that the
material is not a waste. Section 261.2(f)
requires persons claiming that materials
are not solid waste or are conditionally
exempt from RCRA Subtitle C regulation
to provide appropriate documentation
of these claims.
However, we are finalizing two
exceptions to the general case where
documentation of legitimate recycling is
not required. The first is that we are
finalizing a requirement for facilities
reclaiming hazardous secondary
materials under the control of the
generator, that is, any facility claiming
the exclusion at § 261.4(a)(23), to
document the legitimacy of the
reclamation process. We have
determined that it is important for those
facilities to document the legitimacy of
their recycling process, given the wide
variety of hazardous secondary
materials and industrial processes that
can claim to be operating under the
generator-controlled exclusion with
relatively few conditions. After
implementing the DSW exclusions in
several states since its promulgation in
October 2008, we have determined that
documentation of legitimacy for this
particular exclusion is important in
ensuring compliance and will make
oversight and enforcement more
effective. We are therefore requiring that
persons who perform reclamation under
the control of the generator to include
documentation and explain how their
hazardous secondary materials are
legitimately reclaimed. We expect this
documentation to be a narrative
description, which could include
photographs or other illustrations or
process diagrams of how the
reclamation of their hazardous
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secondary materials meets the
legitimacy factors. Reclaimers of
hazardous secondary materials will
need to maintain this documentation
on-site where the reclamation occurs for
the duration of the reclamation
operations and for three years after the
reclamation operations cease. Written
documentation will provide an easily
available explanation of the facility’s
rationale for the legitimacy of its process
that is available to the implementing
agency on regular inspections or as part
of compliance assistance.
The other exception where
documentation is required is for those
facilities whose product made from
recycled hazardous secondary materials
does not meet factor 4, but would still
be considered a legitimately recycled
product. Those facilities would need to
maintain documentation as to why, in
fact, the recycling is still legitimate as it
relates to factor 4. For a more detailed
explanation of that documentation
requirement, refer to section VIII.B.6
above.
3. Factor 4
In the 2011 DSW proposal, EPA’s
proposed factor 4 contained two main
requirements to ensure that hazardous
constituents were not ‘‘along for the
ride’’ and being discarded in a final
product under the guise of recycling.
The proposed regulation stated that the
product of the recycling process would
have to have concentrations of
hazardous constituents that are at levels
comparable to or lower than those found
in analogous products. In addition, the
proposal stated that the product of the
recycling process could not exhibit a
hazardous characteristic that analogous
products did not also exhibit.34 EPA
recognized that there would be some
legitimate recycling operations that may
not meet this requirement, and so
proposed to address this situation
through a petition process in which a
facility that did not meet factor 4 could
petition its implementing agency,
whether that be a state environmental
agency or an EPA Region, and get
agreement from that agency that its
operations were legitimate.
Although this approach would
provide a way for operations that are
legitimate, but don’t meet factor 4 to
still operate, commenters from both the
industrial sector, as well as from state
regulatory agencies, commented that
34 The language in the proposed regulatory text
for this paragraph mistakenly included an ‘‘or’’
instead of an ‘‘and’’ between these two
requirements of factor 4 although the preamble
discussion on page 76 FR 44124, column 2,
correctly used ‘‘and.’’ Several commenters pointed
this error out to the Agency in their comments.
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this approach was not ideal.
Commenters from industry suggested
that there would be more petitioners
under this provision than EPA had
anticipated because certain large sectors
of industry would likely be uncertain
about whether their recycling would
meet the factor as written and would be
compelled to petition their
implementing agencies. Commenters
provided some real world examples to
illustrate their concerns with factor 4
that EPA closely examined when
redrafting the language for this
provision.
Commenters also were concerned that
the petition process itself might take too
long if the implementing agencies
receive petitions from many facilities
and that the response time might end up
being very lengthy. Several of the states
that could be responsible for replying to
these petitions also commented that
they were not in favor of a petition
process because the resources that
would be required to respond to the
petitions are not available in the state
program offices.
EPA made several changes to factor 4
in response to these comments and has
determined that factor 4, as we are
finalizing it today, better addresses the
wide variety of industrial recycling
processes. There are four main changes
to the final language of factor 4 as
compared to the 2011 DSW proposed
regulation.
First, instead of the two basic
proposed provisions that depend on a
comparison with an analogous product,
factor 4 as finalized acknowledges that
sometimes there is no analogous
product available for a comparison.
Subparagraph (i) covers how a recycling
process meets the factor if there is an
analogous product whereas
subparagraph (ii), which was not part of
the proposed regulatory language,
covers how a product with no analogous
product can meet factor 4.
Secondly, the finalized regulatory
language has provisions for how widelyrecognized industry standards and
specifications can be used to meet factor
4. EPA took comment on the usefulness
of specifications for evaluating
hazardous constituents in the product
and has determined that as long as the
standards and specifications being
relied upon are widely recognized
industry wide standards and
specifications for a product (and in the
case of (i), that they address the
hazardous constituents in question),
meeting them would be appropriate to
show that hazardous constituents are
not being discarded under the guise of
recycling. This should make
determinations regarding factor 4
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simpler for a wide range of industries
producing common industrial
commodities. EPA did not intend to
interfere with long-standing legitimate
recycling in these industries and this
addition to the regulatory language
should clarify for those industries that
when they are meeting the extensive
commodity standards and specifications
for their products, they meet factor 4 as
well.
The third change is the addition
under § 260.43(a)(4)(ii)(B) of language
that states that hazardous secondary
materials that are being recycled by
being returned to the original
process(es) from which they were
generated meet factor 4. In closed loop
recycling and in several other kinds of
recycling, such as in mining and
mineral processing, hazardous
secondary materials generated from an
industrial process are regularly returned
to that same process to remove more of
the valuable constituent from them. The
hazardous constituents in the secondary
material are no different than what is
already in the process and returning
them makes the entire manufacturing
process more efficient since it requires
fewer raw materials.
EPA has stated in the past that it
would not consider this practice a
concern from the perspective of factor 4
because the comparison in question is
supposed to be between final products,
but it was clear from the comments to
the proposal that this question was still
a concern to many facilities. When
adding subparagraph (ii) for situations
where there is no analogous product for
a comparison, EPA also added this
language to make it clear that processes
in which the hazardous secondary
materials are returned to the original
process do meet factor 4.
Collectively, these changes to the
language of factor 4 are an improvement
from EPA’s 2011 proposal as the
changes clarify when factor 4 is met for
a wide variety of industrial processes.
Furthermore, a generator can use its
knowledge of the materials it uses and
of the recycling process to make
legitimacy determinations under factor
4. Thus, testing would be rarely
required for a recycler to meet this
factor because it would only be
necessary when the product of the
recycling does not meet widelyrecognized specifications, is not an inprocess material, and when the recycler
does not sufficiently know what is in
their final product to make a
determination using generator
knowledge.
Finally, EPA has changed proposed
factor 4 to require any facility that does
not meet the technical provisions of this
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factor and yet is still legitimately
recycling to document, certify, and
provide notice that even though the
recycling process does not meet the
technical provisions of this factor, the
recycling process is nevertheless
legitimate. This requirement replaces
the proposed petition process. The
comments EPA received on the petition
process expressed concern that the
process would be expensive for facilities
who wanted to take advantage of it and
would place too much of a burden on
implementing agencies. Comments also
argued that EPA’s estimate of the
number of facilities that would be likely
to submit petitions was overly
conservative. Although the changes to
factor 4 described here will address the
concerns of many of the facilities who
stated that they would have to submit a
petition, the Agency also determined
that a self-implementing process to
allow those recyclers to address factor 4
would be more in keeping with the
existing policy on legitimacy.
The certification process requires that
a facility go through the same thought
process and assessment about hazardous
constituents that are incorporated into
the final product that would have been
required by the petition process (and
that is currently consistent with the
Agency’s legitimacy policy in the
Lowrance Memo). However, instead of
having to submit a petition to an
implementing agency when the process
is legitimate despite not meeting the
technical provisions of factor 4, the
facility can document and certify the
assessment that it has done and submit
a notification on the Site ID form. This
is a minimal burden, particularly as the
Site ID form is a form that many of these
facilities are already submitting to EPA
for other reasons. In addition, these
facilities are not left waiting for a
response from an agency as they may
have had to under the proposed petition
procedure.
All in all, these changes to factor 4
will make this part of the legitimacy
requirement consistent with the current
policy in the Lowrance Memo and
Federal Register preamble discussions
and allow for all four legitimacy factors
to be requirements that must be met
without adversely affecting existing
legitimate recycling.
IX. Revisions to Solid Waste Variances
and Non-Waste Determinations
The Agency is finalizing today several
modifications to the regulation of solid
waste variances and non-waste
determinations at 40 CFR 260.31(c), 40
CFR 260.33, and 40 CFR 260.34 to
ensure protection of human health and
the environment and foster greater
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consistency on the part of implementing
agencies. These final revisions include:
(1) Revise 40 CFR 260.33(c) to require
facilities to send a notice to the
Administrator (or the State Director, if
the state is authorized) in the event of
a change in circumstances that affects
how a hazardous secondary material
meets the relevant criteria upon which
a variance or non-waste determination
has been based. The Administrator may
issue a determination that the hazardous
secondary material continues to meet
the relevant criteria of the variance or
non-waste determination or may require
the facility to re-apply for the variance
or non-waste determination;
(2) Include a provision at 40 CFR
260.33(d) that variances and non-waste
determinations shall be effective for a
fixed term not to exceed ten years. No
later than six months prior to the end of
this term, facilities must re-apply if they
want to maintain the variance or nonwaste determination;
(3) Include a provision at 40 CFR
260.33(e) stating that facilities receiving
a variance or non-waste determination
must provide notification as required by
40 CFR 260.42;
(4) Revise the criteria for the partial
reclamation variance in 40 CFR
260.31(c) to clarify when the variance
applies and to require, among other
things, that the all criteria for this
variance must met; and
(5) Revise the criteria for the nonwaste determination in 40 CFR 260.34
to require that petitioners explain or
demonstrate why their hazardous
secondary materials cannot meet, or
should not have to meet, the existing
DSW exclusions under 40 CFR 261.2 or
261.4.
A discussion of the public comments
on the 2011 DSW proposal and Agency
responses can be found in section XVIII
of this preamble and the full response
to comment document is in the docket
for the rulemaking.
A. Revisions to Procedures for Variances
and Non-Waste Determinations in 40
CFR 260.33
Under the current regulatory
framework, 40 CFR 260.30 provides the
Administrator with the authority to
grant a variance from the definition of
solid waste or a non-waste
determination on a case-by-case basis if
the hazardous secondary materials are
recycled in a particular manner. The
practical effect of both the solid waste
variances and the non-waste
determinations is the same; once a
petition is granted by EPA, or the
authorized state, the hazardous
secondary material is not regulated as a
solid or hazardous waste. The
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procedures for these variances and nonwaste determinations are found in 40
CFR 260.33.
In today’s rule, EPA is finalizing three
changes to 40 CFR 260.33. First, EPA is
requiring in 40 CFR 260.33(c) that
facilities send a notice to the
Administrator (or the State Director, if
the state is authorized) in the event of
a change in circumstances that affect
how a hazardous secondary material
meets the relevant criteria upon which
a variance or non-waste determination
has been based. Second, EPA is
establishing in 40 CFR 260.33(d) an
effective term limit of ten years for
variances and non-waste determinations
unless the petitioner re-applies to the
Agency to have the variance or nonwaste determination renewed. Third,
EPA is requiring in 40 CFR 260.33(e)
that facilities re-notify every two years
under 40 CFR 260.42.
1. Requirement That an Applicant Send
Notice in the Event the Material No
Longer Meets the Relevant Criteria
EPA is modifying 40 CFR 260.33(c) to
require, in the event of a change in
circumstances that affects how a
hazardous secondary material meets the
relevant criteria contained in 40 CFR
260.31, 260.32, or 260.34 upon which a
variance or non-waste determination
has been based, the applicant must send
a description of the change in
circumstances to the Administrator (or
the State Director, if the state is
authorized). The Administrator then
may issue a determination that the
hazardous secondary material continues
to meet the relevant criteria of the
variance or non-waste determination or
may require the facility to re-apply for
the variance or non-waste
determination.
The requirement that the hazardous
secondary materials must continue to
meet the relevant criteria of a solid
waste variance or non-waste
determination is inherent in the
regulations. Failure to meet the criteria
could indicate that the hazardous
secondary materials are discarded and a
solid waste and would trigger the need
to re-examine the circumstances of the
recycling. EPA is codifying this change
to 40 CFR 260.33(c) to ensure that if
there are changes that may impact how
the hazardous secondary material meets
the relevant criteria, that such changes
be considered by the regulatory
authority to ensure that those criteria
continue to be met. This requirement
will ensure clarity and consistency by
providing an administrative procedure
for reconsidering a variance or nonwaste determination in the event that
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the hazardous secondary material no
longer meets the relative criteria.
In some cases, a full re-application for
a variance or non-waste determination
may not be necessary. Under today’s
final rule, in the event of a change, the
facility must send a description of the
change in circumstances to the
regulatory authority and it is the
regulatory authority that will determine
whether the facility must re-apply for a
variance or non-waste determination.
This change in procedure allows the
regulatory authority to avoid spending
unnecessary resources re-reviewing
petitions where the change in
circumstances is found to be of no
consequence to the original variance or
non-waste determination the regulatory
authority has granted.
2. Term Limit on Variances and NonWaste Determinations
EPA is adding a provision to 40 CFR
260.33(d) that solid waste variances and
non-waste determinations shall be
effective for a fixed term not to exceed
ten years. No later than six months prior
to the end of this term, facilities must
re-apply for a variance or non-waste
determination if they want to maintain
the variance or non-waste
determination. A facility may continue
to operate under an expired variance or
non-waste determination if they have
submitted an application for a new
variance or non-waste determination six
months prior to the end of the term limit
and have not yet received a final
decision on that application from their
regulatory authority.
Variances and non-waste
determinations are granted based on the
case-by-case circumstances of a
particular hazardous secondary material
being recycled. Many of the variance
and non-waste determination criteria
specifically consider factors such as, the
manner in which the hazardous
secondary material is recycled, the
market factors of the recycling process,
the value of the hazardous secondary
material, and contractual arrangements.
However, these factors do not remain
static and, instead, tend to change and
evolve over time. It is therefore prudent
that regulatory authorities periodically
review these case-by-case situations to
ensure that the hazardous secondary
material continues to meet the criteria of
the variance or non-waste
determination.
Variances and non-waste
determinations are granted for a fixed
term not to exceed ten years from the
date the facility is granted a variance or
non-waste determination. If, for
example, due to a change in
circumstances, a facility is required to
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re-apply for a variance or non-waste
determination within the 10-year time
limit of its initial petition, then an
automatic re-application would not be
initiated until ten years after its second
variance or non-waste determination is
granted, unless otherwise specified by
the regulatory authority. Additionally,
regulators may stipulate time limits of
less than 10 years, if warranted.
3. Re-Notification Requirement
EPA is adding a provision to 40 CFR
260.33(e) to require facilities receiving
variances or non-waste determinations
to send a notification of this activity
prior to operating under the regulatory
provision and by March 1 of each evennumbered year thereafter to the
Regional Administrator (or State
Director, if the state is authorized) using
EPA Form 8700–12 in compliance with
40 CFR 260.42. Additionally, these
facilities must notify within 30 days of
stopping management of hazardous
secondary materials under the variance
or non-waste determination.
The intent of the notification is to
enable variances and non-waste
determinations to be tracked nationally
and over time, which facilitates state-tostate consistency in determinations.
Additionally, notifications enable
effective oversight of facilities receiving
variances and non-waste determinations
because it provides regulatory
authorities with a mechanism for
receiving regularly updated information
(such as information regarding
quantities of hazardous secondary
materials managed under the
determination). Additionally, this
information can be used to identify
facilities which may have undergone
changes to their reclamation process
significant enough to trigger a review of
the determination under 40 CFR
260.33(c).
EPA finds that the notification
requirement under 40 CFR 260.42 has
worked well in enabling regulatory
authorities to monitor compliance of
facilities operating under the 2008 DSW
final rule. Regulatory authorities receive
information on the name and location of
the facilities operating under the
exclusion and the types and quantities
of hazardous secondary materials the
facility is managing, which allows the
regulatory authority to prioritize
inspections, as well as create a list of
facilities that would benefit from
training and compliance assistance on
the rule. Additionally, notification has
allowed regulatory authorities to
identify problems so as to intervene
early to prevent potential
mismanagement. EPA is convinced of
the value of the notification provision in
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ensuring proper implementation of its
rules. Therefore, notification for
variances and non-waste determinations
will increase transparency and oversight
of facilities receiving a variance or nonwaste determination.
B. Revisions to Partial Reclamation
Variance in 40 CFR 260.30(c)
The ‘‘partial reclamation’’ variance in
40 CFR 260.30(c) applies to hazardous
secondary materials that have been
reclaimed, but must be reclaimed
further before the materials are
completely recovered (i.e., ‘‘partial
reclamation’’). In turn, 40 CFR 260.31(c)
provides the specific standards that a
partially-reclaimed material must meet
in order to be eligible for a variance
from classification from solid waste.
In this final rule, EPA is revising the
partial reclamation variance provision
of 40 CFR 260.31(c) to clarify when
partially-reclaimed materials are not
solid waste because they are
commodity-like. The objectives of the
revisions are to clarify the regulatory
language, foster consistent application
of the variance criteria, and emphasize
that the variance should be granted only
when partial reclamation has produced
a commodity-like material. EPA’s
modifications to 40 CFR 260.31(c)
include: (1) Revising the introductory
text to clarify when the variance
applies; (2) revising the introductory
text to require that all of the decision
criteria must be met; (3) revising the
language of all of the decision criteria to
provide greater clarity; and (4)
eliminating the sixth criterion, ‘‘other
relevant factors.’’
1. Purpose of Revisions to Partial
Reclamation Variance
When the partial reclamation variance
was promulgated in 1985, EPA’s
original intent was to provide a
mechanism for determining if a
hazardous secondary material had
undergone sufficient reclamation (a type
of processing) to produce a material that
was more like a commodity than a solid
waste. The variance would be
applicable if the material was
commodity-like, even though some
further reclamation was required before
the material became a commercial
product. EPA intended that the variance
would be applied at the point that the
commodity-like material was produced.
After that point, the material would be
managed as a commodity rather than as
a solid and hazardous waste. Prior to the
point that partial reclamation produced
a commodity-like material, the material
would have to be managed as a
hazardous waste.
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However, EPA has become aware that
authorized states across the country
have applied the variance provision
differently in similar circumstances.
These differences may be due to: (1) The
wide discretion allowed to the
regulatory authority to weigh any or all
of the decision criteria in any way it
sees fit; (2) lack of clarity in the decision
criteria themselves; or (3) the general
sixth criterion ‘‘other relevant factors.’’
As a result, variances have been
granted under 40 CFR 260.31(c) for
some materials that are not commoditylike. Therefore, EPA is finalizing
revisions to the variance criteria to
address the inconsistency among
authorized states, remove ambiguities,
and clearly convey the intent of the
partial reclamation variance that only
partially reclaimed hazardous secondary
materials that have produced
commodity-like materials are eligible for
a variance from classification as solid
waste. Consistent and appropriate
application of the partial reclamation
variance is necessary so that the
hazardous waste program provides the
level of protection of human health and
the environment required by the RCRA
statute in all communities in all areas of
the country.
An illustration of how the revised
variance provision would be applied to
a commonly reclaimed hazardous waste
example is included in the ‘‘Background
Document: Providing Context—The
Example of F006 Electroplating
Sludges,’’ 35 which is included in the
docket for this rulemaking. This
document includes a detailed
description of how the revised variance
provision would be used to make
determinations about whether a
variance would be appropriate for the
listed hazardous waste F006
(wastewater treatment sludges from
electroplating operations) at various
steps in the reclamation process.
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2. Revisions to Introductory Text of 40
CFR 260.31(c)
EPA revised the introductory text of
40 CFR 260.31(c) to clarify when a
partial reclamation variance is
applicable and to identify what factors
must be used to make a determination
that a partially-reclaimed material is
commodity-like. The revised text states:
The Administrator may grant requests for
a variance from classifying as a solid waste
those hazardous secondary materials that
have been partially reclaimed, but must be
reclaimed further before recovery is
completed, if the partial reclamation has
produced a commodity-like material. A
determination that a partially-reclaimed
35 Docket
ID: EPA–HQ–RCRA–2010–0742–0016.
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material for which the variance is sought is
commodity-like will be based on whether the
hazardous secondary material is legitimately
recycled as specified in § 260.43 of this part
and on whether all of the following decision
criteria are satisfied:
As noted above, the revised text
replaces the word ‘‘reclaimed’’ with
‘‘partially-reclaimed’’ and clarifies that
the variance is applicable at the point
that partial reclamation ‘‘has produced
a commodity-like material.’’ These
changes clarify and reflect EPA’s intent
that the variance applies only after
partial reclamation has produced a
commodity-like material and does not
apply prior to producing a commoditylike material.
To make a determination that a
partially-reclaimed material is
commodity-like, EPA revised the
introductory text to require that such a
determination will be based on whether
the hazardous secondary material is
legitimately recycled and whether all
the decision criteria are satisfied.
3. Revisions to Criteria for Partial
Reclamation Variance
Each criterion under 40 CFR 260.31(c)
has been revised to begin with the word
‘‘whether’’ to require that the regulatory
authority must make a yes or no
determination as to whether the
material meets each criterion. In
addition, each criterion has been revised
to clarify and incorporate the
characteristics of a commodity-like
material.
The first criterion in 40 CFR
260.31(c)(1) asks whether the degree of
partial reclamation the material has
undergone is substantial as
demonstrated by using a partial
reclamation process other than the
process that generated the hazardous
waste. By using a partial reclamation
process other than the process that
generated the hazardous waste, the more
likely that the material will be
commodity-like. Changes from the
original language of the criterion
include (1) replacing the general word
‘‘processing’’ with the words ‘‘partial
reclamation’’; and (2) removing from the
criterion ambiguity that could lead a
regulatory authority to apply the
variance after the initial partial
reclamation process when a commoditylike material is not produced until
completion of further reclamation.
The second criterion in 40 CFR
261.31(c)(2) asks whether the partiallyreclaimed material has sufficient
economic value that it will be
purchased for further reclamation.
Changes from the original language of
the criteria include: (1) Adding the word
‘‘partially-’’ before the word
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‘‘reclaimed’’ to clarify that the criterion
applies to the partially-reclaimed
material, not the fully-reclaimed
material produced later in the process;
and (2) revising the wording to reflect
the fundamental characteristic that a
commodity-like material has sufficient
economic value that it will be
purchased for further reclamation. EPA
notes that the value of a material
produced at a later stage of reclamation
cannot be used to justify a variance for
the partially-reclaimed material
produced earlier in the process. In other
words, the criterion must be applied to
the ‘‘partially-reclaimed’’ material at the
specific point in the reclamation process
where application of the variance is
requested. Evidence to support this
criterion may include sales information;
demand for the materials; and business
contracts, such as contracts specifying
quantities of material sold, details of the
transaction, and the effective price paid
for the partially-reclaimed material by
purchasers. The price paid for the
partially-reclaimed material should be
calculated after subtracting
transportation costs and any other goods
or services rendered in exchange for the
material purchased.
The third criterion in 40 CFR
260.31(c)(3) asks whether the partiallyreclaimed material is a viable substitute
for a product or intermediate produced
from virgin or raw materials and which
is used in subsequent production steps.
Changes from the original language of
the criteria include (1) adding the word
‘‘partially-’’ before the word
‘‘reclaimed’’ to clarify that the criterion
applies to the partially-reclaimed
material, not the fully-reclaimed
material produced later in the process;
and (2) replacing the phrase ‘‘is like an
analogous raw material’’ with the phrase
‘‘is a viable substitute for a product or
intermediate produced from virgin or
raw materials which is used in
subsequent production steps.’’ This
revision is intended to demonstrate that
a partially-reclaimed, commodity-like
material is one that will be used as a
viable substitute for a product or
intermediate in production. Evidence to
support this criterion would include a
comparison of the physical and
chemical characteristics of the partiallyreclaimed material being considered for
the variance to those of products or
intermediates produced from virgin raw
materials.
The fourth criterion in 40 CFR
260.31(c)(4) asks whether there is a
market for the partially-reclaimed
material as demonstrated by known
customer(s) who are further reclaiming
the material (e.g., records of sales and/
or contracts and evidence of subsequent
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use, such as bills of lading). Changes
from the original language of the criteria
include (1) adding the word ‘‘partially’’ before the word ‘‘reclaimed’’ to clarify
that the criterion applies to the
partially-reclaimed material, not the
fully-reclaimed material produced later
in the process; (2) deleting the word
‘‘guaranteed’’ since markets are often
unpredictable; (3) deleting the word
‘‘end’’ prior to the word ‘‘market’’ since
the partially-reclaimed material could
be sold to another reclaimer before it is
sold to a final manufacturer or final
reclaimer; and (4) adding the phrase, ‘‘as
demonstrated by known customer(s)
who are further reclaiming the material
(e.g. record of sales and/or contracts,
and evidence of subsequent use, such as
bills of lading),’’ to clarify how a facility
may demonstrate a market for the
partially-reclaimed material.
Additionally, this change ensures that
the partially-reclaimed material is being
shipped for further reclamation rather
than being potentially stockpiled by the
partial reclaimer. Evidence to support
this criterion may include the material’s
value as an input to a production
process; traditional usage of quantities
of the partially-reclaimed material; and
the likely stability of markets for the
material. A market for further reclaimed
material produced at a later stage of
reclamation cannot be used to justify a
variance for a partially-reclaimed
material. For example, if a facility
requests a variance for an incoming
partially-reclaimed hazardous waste, the
market that would have to be evaluated
is the market for the incoming partiallyreclaimed hazardous waste itself, not
the final product.
The fifth criterion in 40 CFR
260.31(c)(5) asks whether the partiallyreclaimed material is handled to
minimize loss. Changes from the
original language of the criteria includes
adding the word ‘‘partially-’’ before the
word ‘‘reclaimed’’ to clarify that the
criterion applies to the partiallyreclaimed material, not the fullyreclaimed material produced later in the
process. Specifically, this criterion
requires evaluation of how the partiallyreclaimed material is handled before it
is further reclaimed. Handling a
partially-reclaimed material to minimize
loss indicates that the material is
commodity-like. Generally, persons
handling hazardous secondary materials
with little or no economic value do not
have the same incentives to minimize
loss as persons handling commodities.
The management of materials produced
at later stages of the reclamation process
is not relevant to whether the partiallyreclaimed material is eligible for a
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variance. Evidence to support this
criterion may include documentation of
facility procedures used to minimize
loss (e.g., inspections, training) and
storage and management equipment
designed to minimize loss.
Finally, in today’s final rule, EPA is
removing the sixth criterion in 40 CFR
260.31(c)(6), which allowed the
regulatory authority to consider other
relevant factors when deciding whether
a partially-reclaimed materials is
commodity-like. When the partial
reclamation variance was promulgated
in 1985, EPA believed that this criterion
could help determine whether a
material is commodity-like. However,
based on experience with the variance
provision, EPA has learned that this
criterion may have contributed to
different determinations of whether the
same partially-reclaimed material is
commodity-like. Accordingly, EPA has
determined that the appropriate and
complete set of criteria to consider
when determining whether a partiallyreclaimed material is commodity-like
are criteria (1)–(5).
C. Revisions to Non-Waste
Determinations Found in 40 CFR 260.34
In today’s final rule, EPA is adding a
criterion to non-waste determinations in
40 CFR 260.34 that require facilities
applying for a non-waste determination
to explain or demonstrate why they
cannot meet, or should not have to
meet, the existing DSW exclusions
under 40 CFR 261.2 or 261.4.36
Commenters to the 2009 DSW public
meeting notice have argued that the
non-waste determinations may be
burdensome to states, and thus,
requiring applicants to formally
consider and explain why they are not
eligible for an existing DSW exclusion
will reduce the burden on states in two
ways: (1) It requires facilities to consider
existing exclusions and standards first,
before pursuing a non-waste
determination, which can, in turn, lead
to facilities discovering that their
intended recycling fits under an existing
exclusion and therefore a non-waste
determination petition is not needed;
and (2) this criterion informs the
regulatory authority why a facility
believes it cannot meet an existing
exclusion, which is likely to be the
regulatory authority’s first question
before evaluating a non-waste
determination petition. Petitioners also
would be allowed to seek a non-waste
36 The two types of non-waste determinations are
(1) a determination for hazardous secondary
materials reclaimed in a continuous industrial
process and (2) a determination for hazardous
secondary materials that are indistinguishable in all
relevant aspects from a product or intermediate.
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determination if they could demonstrate
that they should not have to meet the
conditions of another exclusion, but
rather should be allowed to operate
under a non-waste determination with
fewer or different conditions. However,
if EPA or the authorized state
determines that an applicant may, in
fact, use an existing solid waste
exclusion under 40 CFR 261.2 or 261.4,
this may be grounds for denying a nonwaste determination on the basis that
regulatory relief has already been
provided.
X. Effect on Facilities Currently
Operating Under Solid Waste
Exclusions
A. Effect on Pre-2008 Solid Waste
Exclusions
The final rule does not supersede any
of the pre-2008 solid waste exclusions
or other prior solid waste
determinations or variances, including
determinations made in letters of
interpretation and inspection reports. If
a hazardous secondary material has
been determined not to be a solid waste
for whatever reason, such a
determination remains in effect, unless
the authorized state decides to revisit
the regulatory determination under their
current authority. In addition, if a
hazardous secondary material has been
excluded from hazardous waste
regulations—for example, under the
Bevill exclusion in 40 CFR 261.4(b)(7)—
the regulatory status of that material
will not be affected by today’s rule.
However, there are two revisions to
the regulations that, while they do not
directly affect the regulatory status of
excluded hazardous secondary
materials, may impact facilities’
responsibilities under an existing
exclusion. These two revisions are (1) a
new recordkeeping requirement for
speculative accumulation; and (2) a
documentation, certification, and
notification requirement for recycling
processes which are legitimate despite
having levels of hazardous constituents
that are not comparable to or unable to
be compared to a legitimate product.
These requirements must be met by the
effective date of the rule, which is July
13, 2015.
1. Revised Speculative Accumulation
Requirement
Under the revised speculative
accumulation requirement in
§ 261.1(c)(8), all persons subject to the
speculative accumulation requirements
(for example, persons reclaiming
characteristic by-products and sludges
under 40 CFR 261.2(c)(3) and persons
reclaiming hazardous secondary
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materials under a definition of solid
waste exclusion under 40 CFR 261.4(a),
such as the sulfuric acid exclusion at
§ 261.4(a)(7) or the generator-controlled
exclusion at § 261.4(a)(23)) must label
their storage unit(s) by indicating the
first date that the material began to be
accumulated. If placing a label on the
storage unit is not practicable, the
accumulation period must be
documented through an inventory log or
other appropriate method.
2. Prohibition of Sham Recycling and
Definition of Legitimate Recycling
The codification of the prohibition of
sham recycling (§ 261.2(g)), and the
definition of legitimate recycling
(§ 260.43) being finalized today will not
impose any new requirements on
persons recycling under the pre-2008
recycling exclusions, except in the case
where the product of the recycling
process (1) has levels of hazardous
constituents that are not comparable to
or lower than those in a legitimate
product (i.e., are significantly elevated)
or (2) is unable to be compared to a
legitimate product and the product of
the recycling process is not a widely
recognized commodity (e.g., scrap
metal) and is not returned to the original
production process (e.g., closed loop
recycling).
In this case, the person performing the
recycling must conduct the necessary
analysis and prepare documentation
stating why the recycling is still
legitimate. Persons may consider
exposure from toxics in the product, the
bioavailability of the toxics in the
product, and other relevant
considerations which show that the
recycled product does not contain levels
of hazardous constituents that pose a
significant human health or
environmental risk. The documentation
must include a certification statement
that the recycling is legitimate and must
be maintained on-site. The person
performing the recycling must also
notify his Regional Administrator (or
State Director, if the state is authorized)
of this activity using EPA Form 8700–
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B. Effect on Facilities Operating Under
the 2008 Solid Waste Exclusions
1. Facilities Operating Under GeneratorControlled Exclusion (40 CFR
261.2(a)(2)(ii) or 261.4(a)(23)) 37
Because today’s rule includes more
stringent standards for the generatorcontrolled exclusion at 40 CFR
37 Today’s rule consolidates the 2008 generatorcontrolled exclusion at 40 CFR 261.2(a)(2)(ii) and
40 CFR 261.4(a)(23) into one exclusion at 40 CFR
261.4(a)(23).
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261.4(a)(23), facilities that are currently
managing hazardous secondary
materials under these provisions must
ensure they are complying with the
more stringent standards by the effective
date of the rule, which is July 13, 2015
(or in an authorized state, by the
effective date in that state). The new
provisions include (1) complying with
the regulatory definition of ‘‘contained’’
found in 40 CFR 260.10; (2) maintaining
shipping records for reclamation under
same-company and toll manufacturing
agreements; (3) (for the person
performing the recycling) documenting
how the recycling meets all four factors
of the legitimacy definition in 40 CFR
260.43,38 and (4) meeting the new
emergency preparedness and response
conditions.
Under the new regulatory definition
of contained, a hazardous secondary
material is contained if it is managed in
a unit (which can include a land-based
unit such as a pile) that meets the
following criteria: (1) The unit is in
good condition, with no leaks or other
continuing or intermittent unpermitted
releases of the hazardous secondary
materials to the environment, and is
designed, as appropriate for the
hazardous secondary material, to
prevent releases of the hazardous
secondary material to the environment.
Unpermitted releases are releases that
are not covered by a permit (such as a
permit to discharge to water or air) and
may include, but are not limited to,
releases through surface transport by
precipitation runoff, releases to soil and
groundwater, wind-blown dust, fugitive
air emissions, and catastrophic unit
failures; (2) the unit is properly labeled
or otherwise has a system (such as a log)
to immediately identify the hazardous
secondary materials in the unit; and (3)
the unit holds hazardous secondary
materials that are compatible with other
hazardous secondary materials placed
in the unit and is compatible with the
materials used to construct the unit and
addresses any potential risks of fires or
explosions. Hazardous secondary
materials in units that meet the
38 As part of the requirement of meeting 40 CFR
260.43, if the product of recycling contains levels
of hazardous constituents that are not comparable
to or are unable to be compared to a legitimate
product, the person performing the recycling must
document, certify and notify the appropriate
Regional Administrator of why the recycling is still
legitimate. Where there is no analogous product
made from virgin materials, the product of the
recycling process is comparable to a legitimate
product or intermediate if the product of the
recycling process is a commodity that meets widely
recognized commodity standards and
specifications, or the hazardous secondary materials
being recycled are returned to the original process
or processes from which they were generated to be
reused.
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applicable requirements of 40 CFR part
264 or 265 (e.g., tanks and containers)
are presumptively contained.
Under the new requirements to
document shipments for reclamation
performed under the same-company and
toll manufacturing provisions of the
generator-controlled exclusion at 40
CFR 261.4(a)(23), generating and
receiving facilities must maintain
records of hazardous secondary
materials sent or received under this
exclusion at their facilities for no less
than three years. The records must
contain the name of the transporter, the
date of the shipment, and the type and
quantity of the hazardous secondary
material shipped or received. The
requirements may be satisfied by
routine business records (e.g., financial
records, bills of lading, copies of DOT
shipping papers, or electronic
confirmations).
Persons performing the recycling of
hazardous secondary materials under
the generator-controlled exclusion of 40
CFR 261.4(a)(23) must also maintain
documentation of their legitimacy
determination on-site. Documentation
must be a written description of how the
recycling meets all four factors in 40
CFR 260.43(a). Documentation must be
maintained for three years after the
recycling operation has ceased.
The Agency is not requiring any
particular format for the documentation
of legitimacy; however, we expect that
the recycler would have written
documentation describing the recycling
process and how it meets each
legitimacy factor. For example:
• Useful contribution legitimacy factor—
the recycler would document how the
hazardous secondary material(s) provides a
useful contribution to the recycling process
or to the product or intermediate of the
recycling process. The regulatory text for this
factor provides five ways in which a useful
contribution can be achieved. The recycler
would need to document how the hazardous
secondary material(s) add value and/or are
useful to the recycling process in one or more
of these ways: (i) Contributing valuable
ingredients to a product or intermediate; (ii)
replacing a catalyst or carrier in the recycling
process; (iii) providing a valuable constituent
to be recovered; (iv) being regenerated; or (v)
being used as an effective substitute for a
commercial product. For example, if the
hazardous secondary material is a source of
a valuable constituent, such as a precious
metal, the document would explain the
specific precious metal(s) recovered and their
value to the process.
• Valuable product or intermediate
legitimacy factor—the recycler would explain
how the product or intermediate made from
hazardous secondary material is valuable,
either in a monetary sense or through its
intrinsic value. If the product made from
hazardous secondary material is sold, the
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documentation of sale could be proof of the
value of the material to a third party. Such
documentation could be in the form of a
selection of receipts or contracts and
agreements that establish the terms of the
sale or transaction. A recycler that has not yet
arranged for the sale also could demonstrate
value by showing that the product or
intermediate can replace another product or
intermediate that is available in the
marketplace. Demonstrating intrinsic value
may be less straightforward than
demonstrating the value of products that are
sold in the marketplace, but could involve an
explanation of the industrial process that
shows how the product of the recycling
process or intermediate replaces an
alternative product that would otherwise
have to be purchased.
• Managed as a valuable commodity
legitimacy factor—the recycler would
include a description of how the hazardous
secondary material is managed and explain
how this management is similar or provides
equivalent protection to the management of
an analogous raw material. That is, the
documentation would describe how the
hazardous secondary material is stored and
handled prior to being inserted into the
recycling process. Where there is no
analogous raw material, the recycler would
explain how the management of the
hazardous secondary material ensures that
the material is contained as discussed in 40
CFR 260.10.
Comparison of comparability of the
product of recycling to a legitimate
product factor—the recycler would
include any data or information that
shows that (1) the levels of hazardous
constituents in the product are
comparable to or lower than those found
in analogous products, or are
comparable to levels that meet widelyrecognized commodity standards (in the
case where the commodity standards
include levels that specifically address
those hazardous constituents), or (2) if
there is no analogous product, that the
product meets widely recognized
commodity standards, or that hazardous
secondary materials being recycled are
returned to the original process or
processes from which they were
generated to be reused. If the product of
the recycling process has levels of
hazardous constituents that are not
comparable to or unable to be compared
to a legitimate product, but the recycling
is still legitimate, the person performing
the recycling must conduct the
necessary analysis and prepare
documentation stating why the
recycling is, in fact, still legitimate.
Persons can consider exposure from
toxics in the product, the bioavailability
of the toxics in the product, and other
relevant considerations which show that
the recycled product does not contain
levels of hazardous constituents that
pose a significant human health or
environmental risk. The documentation
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must include a certification statement
that the recycling is legitimate and must
be maintained on-site. In addition, the
person performing the recycling must
notify his Regional Administrator (or
the State Director, if the state is
authorized) of this activity using EPA
Form 8700–12.
Finally, under the new standards for
emergency preparedness and response
found in 40 CFR part 261 subpart M,
generators that accumulate less than or
equal to 6,000 kg of hazardous
secondary material on site must comply
with the emergency preparedness and
response requirements equivalent to
those in part 265 subpart C, which
discuss maintaining appropriate
emergency equipment on site, having
access to alarm systems, maintaining
needed aisle space, and making
arrangements with local emergency
authorities. A generator must also have
a designated emergency coordinator
who must respond to emergencies and
must post certain information next to
the telephone in the event of an
emergency. For generators that
accumulate more than 6,000 kg of
hazardous secondary material on site,
EPA is requiring that generators comply
with requirements equivalent to those in
part 265 subparts C and D, which
includes all the requirements already
discussed above for those accumulating
less than or equal to 6,000 kg, as well
as requiring a contingency plan and
sharing the plan with local emergency
responders.
2. Facilities Operating Under TransferBased Exclusion (40 CFR 261.4(a)(24) or
(25))
Because today’s rule replaces the
transfer-based exclusion at 40 CFR
261.4(a)(24) and (25) with a verified
recycler exclusion, facilities that are
currently managing hazardous
secondary materials under the transferbased exclusion at 40 CFR 261.4(a)(24)
must meet the terms of the verified
recycler exclusion by the effective date
of the rule, which is July 13, 2015 (or
in an authorized state, by the effective
date in that state). That is, facilities
operating under the transfer-based
exclusion who wish to continue
operating under the verified recycler
exclusion must send in a new
notification form and meet the
additional conditions in the verified
recycler exclusion, including the
emergency preparedness and response
condition. In addition, any reclamation
facility or intermediate facility that does
not have a RCRA permit or is not
operating under interim status must
stop managing the hazardous secondary
material under the transfer-based
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exclusion until they apply for and
receive a variance from either EPA or
the authorized state under the verified
recycling exclusion. (As of February
2014, there were no facilities without a
RCRA Subtitle C permit recycling under
the transfer-based exclusion, so EPA
does not expect this impact to occur).
Because the verified recycler
exclusion is limited to recycling in the
United States, facilities exporting
hazardous secondary material under 40
CFR 261.4(a)(25) must cease operating
under this exclusion by the effective
date of the rule. The facility must notify
his Regional Administrator (or State
Director, if the state is authorized) using
EPA Form 8700–12 that they have
stopped managing hazardous secondary
materials under the exclusion in
accordance with 40 CFR 260.42(b).
Facilities must submit this notification
within 30 days of stopping management
of hazardous secondary materials under
this exclusion. Note that facilities that
manage hazardous secondary materials
under both the export exclusion at 40
CFR 261.4(a)(25) and the transfer-based
exclusion at 40 CFR 261.4(a)(24) and/or
and the generator-controlled exclusion
at 40 CFR 261.4(a)(23) would not notify
that they have stopped managing
hazardous secondary materials, but
would instead update their notification
to make it clear they are no longer using
the export exclusion at 40 CFR
261.4(a)(25).
XI. Effect on Spent Petroleum Catalysts
In the 2008 DSW final rule, EPA
deferred the question of whether spent
petroleum catalysts should be eligible
for the exclusions pending further
consideration of the pyrophoric
properties of the spent petroleum
catalysts (73 FR 64714). EPA noted that
the Agency was planning to propose—
in a separate rulemaking from the 2008
DSW final rule—an amendment to its
hazardous waste regulations to
conditionally exclude from the
definition of solid waste spent
hydrotreating and hydrorefining
catalysts generated in the petroleum
refining industry when these hazardous
secondary materials are reclaimed.
Spent hydrotreating and hydrorefining
catalysts generated in the petroleum
refining industry are routinely recycled
by regenerating the catalyst so that it
may be used again as a catalyst. When
regeneration is no longer possible, these
spent catalysts are either treated and
disposed of as listed hazardous wastes
or sent to RCRA-permitted reclamation
facilities, where metals, such as
vanadium, molybdenum, cobalt, and
nickel are reclaimed from the spent
catalysts. EPA originally added spent
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hydrotreating and hydrorefining
catalysts (waste codes K171 and K172)
to the list of RCRA hazardous wastes
found in 40 CFR 261.31 on the basis of
toxicity (i.e., these materials were
shown to pose unacceptable risk to
human health and the environment
when mismanaged) (63 FR 42110,
August 6, 1998). In addition, EPA based
its decision to list these materials as
hazardous due to the fact that these
spent catalysts can at times exhibit
pyrophoric properties (i.e., can ignite
spontaneously in contact with air).
It was largely because of these
pyrophoric properties that the spent
petroleum catalysts exhibit that EPA
deferred the question of whether spent
petroleum catalysts should be included
in the 2008 DSW final rule exclusions.
While spent petroleum catalysts can be
a valuable source of recoverable metals,
the risk of these hazardous secondary
materials spontaneously igniting when
in contact with air is not a property that
most metal recyclers would be expected
to address, and thus, present additional
risks that are not presented by other
types of metal-bearing hazardous
secondary materials and therefore may
be most appropriately managed as
hazardous waste when recycled.
Under today’s final rule, EPA has
added a regulatory definition of the
‘‘contained’’ standard as it applied to
the generator controlled exclusion (40
CFR 261.4(a)(23)) and to the verified
recycler exclusion (40 CFR 261.4(a)(24)).
This new definition includes a
requirement to address the risk of fires
and explosions. This provision
addresses the pyrophoric properties of
the spent petroleum catalysts (as well as
other types of ignitibility or reactivity)
for the purposes of the generatorcontrolled exclusion and the verified
recycler exclusion. Therefore, EPA has
revised the generator-controlled
exclusion to allow spent petroleum
catalysts to be eligible for that
exclusion, and is also allowing spent
petroleum catalysts to be eligible for the
verified recycler exclusion.
XII. Effect on CERCLA
A primary purpose of today’s final
rule is to encourage the safe, beneficial
reclamation of hazardous secondary
materials. In 1999, Congress enacted the
Superfund Recycling Equity Act
(SREA), explicitly defining those
hazardous substance recycling activities
that may be exempted from liability
under the Comprehensive
Environmental Response, Compensation
and Liability Act (CERCLA) (CERCLA
section 127). Today’s final rule does not
change the universe of recycling
activities that could be exempted from
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CERCLA liability pursuant to CERCLA
section 127. Today’s final rule only
changes the definition of solid waste for
purposes of the RCRA Subtitle C
requirements. The final rule also does
not limit or otherwise affect EPA’s
ability to pursue potentially responsible
persons under section 107 of CERCLA
for releases or threatened releases of
hazardous substances.
XIII. General Comments on the 2011
Proposed Revisions to the Definition of
Solid Waste
EPA received hundreds of comments
on the July 2011 DSW proposal, most of
which were quite detailed and raised
multiple issues. Below is an overview of
some of the major comments on general
aspects of the proposals and a summary
of EPA’s responses to those comments.
For a complete discussion of all the
comments and EPA’s responses to those
comments, please see 2014 Revisions to
the Definition of Solid Waste Final Rule
Response to Comment Document found
in the docket for today’s rulemaking.
A. EPA’s Legal Authority To Regulate
Hazardous Waste Recycling
Comments: EPA’s Authority
EPA received many comments that
asserted that EPA has no authority to
regulate legitimate recycling, because
commenters believe that hazardous
secondary materials sent for recycling
are not discarded and therefore, are not
solid wastes. The comments state that
EPA has misread the intent of Congress,
citing previous court cases, noting the
‘‘analysis of the statute reveals clear
Congressional intent to extend EPA’s
authority only to materials that are truly
discarded, disposed of, thrown away, or
abandoned’’ (AMC I, 824 F.2d at 1190).
They go on to argue that materials being
recycled do not fall into one of these
enumerated activities.
Specifically, many of the comments
cite the ABR decision (which in turn
cites earlier court decisions), where the
court noted that EPA’s authority is
‘‘limited to materials that are ‘discarded’
by virtue of being disposed of,
abandoned, or thrown away’’ and that
‘‘[s]econdary materials destined for
recycling are obviously not of that sort.
Rather than throwing them away, the
producer saves them, rather than
abandoning them, the producer reuses
them’’ (ABR 208 F.3d at 1051). The
court also noted that ‘‘To say that when
something is saved it is thrown away is
an extraordinary distortion of the
English language’’ (Id. at 1053).
Many commenters took issue with
EPA’s decision to withdraw the transferbased exclusion. These comments
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criticize EPA’s rationale that
‘‘subsequent activities are more likely to
involve discard, given that the generator
has relinquished control of the
hazardous secondary material’’ (72 FR
14178). In particular, commenters cited
Safe Food and Fertilizer, stating that the
D.C. Circuit addressed an argument by
the petitioners in the case that ‘‘material
that is transferred to another firm or
industry for subsequent recycling’’ is
discarded and subject to RCRA
regulation. 350 F.3d 1263, 1268 (D.C.
Cir. 2003). The court said:
[W]e have never said that RCRA compels
the conclusion that material destined for
recycling in another industry is necessarily
‘discarded.’ . . . Although ordinary language
seems inconsistent with treating immediate
reuse within an industry’s ongoing industrial
process as a ‘discard’ . . . the converse is not
true. As firms have ample reasons to avoid
complete vertical integration . . . firm-tofirm transfers are hardly good indicia of a
‘discard’ as the term is ordinarily understood.
Id.
EPA’s Response: EPA’s Authority
EPA disagrees with the comments that
Congress did not intend to give EPA the
authority to regulate hazardous waste
recycling. As EPA noted in the July
2011 DSW proposal, the RCRA statute
and the legislative history suggest that
Congress expected EPA to regulate as
solid and hazardous wastes certain
materials that are destined for recycling
(see 76 FR 44097, citing numerous
sections of the statute and U.S. Brewers’
Association v. EPA, 600 F. 2d 974 (D.C.
Cir. 1979); 48 FR 14502–04, April 3,
1983; and 50 FR 616–618). Moreover,
the case law discussed above clearly
shows instances where EPA properly
regulated the recycling of solid and
hazardous wastes.
EPA also disagrees with comments
that EPA cannot consider the fact that
the generator has relinquished control of
the hazardous secondary material (along
with other factors that indicate discard)
in deciding to withdraw the transferbased exclusion. EPA’s authority to
regulate such transfers is clear: As the
Court noted in Safe Food, ‘‘materials
destined for future recycling by another
industry may be considered ‘discarded’;
the statutory definition does not
preclude application of RCRA to such
materials if they can reasonably be
considered part of the waste disposal
problem’’ (350 F.3d at 1268).
EPA’s record for today’s rulemaking
demonstrates that third-party recycling
of hazardous secondary materials has
been and continues to be part of the
waste disposal problem. As noted in the
July 2011 DSW proposal, EPA has
already evaluated these hazardous
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secondary materials (for example,
during a hazardous waste listing
determination) and determined them to
be solid and hazardous wastes. (76 FR
44109) Therefore, a conditional
exclusion must reasonably be expected
not to result in the excluded hazardous
secondary material being discarded. Of
the 250 damage cases evaluated in the
2014 environmental problems study,
229 (or approximately 92%) were from
reclamation activities of off-site thirdparty recyclers, with clear instances of
discard resulting in risk to human
health and the environment, including
cases of large-scale soil and ground
water contamination with remediation
costs in some instances in the tens of
millions of dollars.39
In addition, the market forces study in
the docket for the 2008 DSW final rule
supports the conclusion that the pattern
of discard at off-site, third-party
reclaimers is a result of inherent
differences between commercial
recycling and normal manufacturing. As
opposed to manufacturing, where the
cost of raw materials or intermediates
(or inputs) is greater than zero and
revenue is generated primarily from the
sale of the output, hazardous secondary
materials recycling can involve
generating revenue primarily from the
receipt of the hazardous secondary
materials. Recyclers of hazardous
secondary materials in this situation
may thus respond differently from
traditional manufacturers to economic
forces and incentives, accumulating
more inputs (hazardous secondary
materials) than can be processed
(reclaimed). In addition, commercial
third-party recyclers have less flexibility
than in-house recyclers in changing how
they manage their hazardous secondary
materials (e.g., during price fluctuations,
in-house recyclers can more easily
switch from recycling to disposal or
from recycled inputs to virgin inputs,
while commercial third-party recyclers
cannot switch to disposal without
obtaining a RCRA permit) (73 FR
64674).
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B. Supporting Record
Comments: Environmental Problems
Study
Many commenters raised issues with
EPA’s use of the environmental
problems study as part of the record for
today’s rule.40 Some commenters argued
that EPA should not use 1982 as the cut39 U.S. EPA, An Assessment of Environmental
Problems Associated with Recycling of Hazardous
Secondary Materials (Updated) December 2014.
40 An Assessment of Environmental Problems
Associated With Recycling of Hazardous Secondary
Materials (EPA–HQ–RCRA–2002–0031–0355).
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off year for investigating ‘‘relatively
recent’’ damage cases. These
commenters said that, given that the
first major set of Subtitle C regulations
were promulgated in 1980, going back to
1982 unfairly and inappropriately stacks
the deck in favor of finding a higher
number of damage cases because it took
many years for companies to figure out
who was subject to the RCRA Subtitle
C regulations. Additionally, these
commenters noted that the vast majority
of damage cases began operation prior to
1982 and thus contamination on these
sites was likely the result of historic
poor management during a period of
little to no oversight. Commenters
believed that the early 1990s would be
a more appropriate cut-off date than
1982. One of the commenters also
argued that the damage cases are not
reliable, either from a lack of
information, because they reflect
outdated and inapplicable management
practices, or have been greatly
mischaracterized and should not be
used to support any of the proposed
changes to the DSW rule.
Other commenters argued that the
large majority of damage cases
identified by EPA were caused by either
a lack of knowledge of RCRA, blatant
disregard for the law, or unavoidable
accidents. These commenters noted that
many of the damage cases involved civil
or criminal violations, indicating that
the problem was non-compliance with
the regulations, not from a lack of
regulations.
Another commenter disagreed with
EPA’s negative portrayal of the waste
management industry and argued that
EPA should have conducted more
research to obtain an understanding of
the necessary and positive role of the
hazardous waste management industry.
EPA’s Response: Environmental
Problems Study
The Agency maintains that the scope
of the environmental problems study is
appropriate for the purpose of the DSW
rulemaking effort. Specifically, we
continue to find that 1982 is an
appropriate cut-off year for the damage
case study as it best reflects the point
where companies became aware of their
responsibilities and liabilities for safe
management of their hazardous
secondary materials intended for
recycling.41 While the CERCLA statute
and the initial RCRA hazardous waste
regulations became effective in 1980,
there was an initial ‘‘phase in’’ period
41 We would note, however, that even if EPA
changed the date to the 1990’s, EPA still identified
dozens of damage cases, and thus, changing the cutoff date, as some commenters suggest, would not
impact the study’s overall findings.
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during which industry and other
affected entities began to change their
practices with regard to hazardous
material recycling, and during which
federal and state agencies were
developing guidelines and procedures
for implementing these new authorities.
Thus, we deliberately did not include a
number of recycling damage cases that
occurred during the early 1980s that
appeared to have been caused by
companies and individuals who were
not cognizant of their new
responsibilities and potential liabilities
under RCRA and CERCLA.
As to the issue that there are facilities
in the report that began operations prior
to 1982, we agree that the facilities
themselves may have begun operating
earlier than the timeframe. However, the
methodology for the analysis only
includes facilities where the recycling
operations occurred after 1982, and the
environmental damages associated with
those operations occurred after 1982. As
a result, more than 600 damage cases
were removed from consideration,
leaving only those cases that EPA was
confident have a clear link between
post-1982 recycling practices and
environmental damage.
Of the damage cases that met our
criteria, we agree that for certain types
of damage, such as groundwater or soil
contamination, determining when
exactly the damage occurred and which
property owner caused the damage is
difficult. However, in general, the
damage cases include multiple types of
damage and certain damage, such as
abandonment of materials or observed
violations of proper storage and
containment, can be easily attributed to
current facility owners and to post-1982
activities. For example, Alco Pacific, a
lead recycling facility may have started
operations in 1954, but it was 1990
when the company abandoned 98
drums and left over 1,300 cubic yards of
lead-contaminated rubber debris and
sand with no containment to prevent
dispersal from wind or rainwater.
Additionally, it was 1989 when Myers
Drum, a drum reconditioning facility,
was found to be storing 95% of their
20,000 drums on their side and that
spillage, sump overflows, and structural
failures were observed. In 1986,
Continental Steel, which manufactured
wire and rod products from scrap metal,
abandoned their facility leaving 220
drums of product material and 50
containers of lead-cadmium batteries
on-site. These damages occurred well
after RCRA and CERCLA became
effective.
Regarding the lack of information in
some of its damage cases, as EPA stated
in its 2007 environmental problem
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study, many of the cases that were
investigated were well documented.
This was the case, for example, for
many of the Superfund National Priority
List (NPL) sites. However, in many other
cases, it was not possible given the
limitations of the study to document all
facts. Often, there was considerable
technical information as to the nature
and extent of the contamination at the
site, but relatively little information
regarding the activities and
circumstances that originally caused it.
For some of the sites, we were able to
collect only very basic information.
However, for each site that was
identified in the environmental
problems study, we had sufficient
information to determine that the
damage resulted from recycling
operations. Thus, we continue to
maintain that the environmental
problems study is appropriate to use in
the development of the final rule.
EPA also disagrees with the
commenter who argued that the
environmental problems study only
demonstrates non-compliance of
existing regulations and therefore does
not justify the promulgation of tighter
requirements under today’s final rule.
On the contrary, the frequency of the
damage cases, including violations of
regulations demonstrates the need for
greater, not less, oversight.
Furthermore, as part of a separate
analysis, EPA has considered whether
recycling of hazardous secondary
materials under the 2008 DSW final rule
could result in increased risk to human
health and the environment and
determined it is a complex issue
because of the interactions between how
the regulations are written and how they
are implemented. Under the 2008 DSW
final rule, EPA presumed that the
conditions of the rule would prevent
any increase in risk. However, what the
2008 DSW analysis failed to take into
account was whether the conditions of
the rule would operate as effectively in
the real world as the more detailed
requirements of the RCRA hazardous
waste regulations.
A more detailed comparative analysis
of the regulatory requirements under the
2008 DSW final rule with the hazardous
waste regulations reveals potentially
significant gaps in environmental
protection under the 2008 DSW final
rule. Examples of these gaps include the
absence of measures to ensure
compliance, incentives to accumulate
larger volumes of hazardous secondary
materials, the potential for increased
releases, such as during storage and
transportation of the hazardous
secondary materials, the lack of
prescriptive standards for storage and
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containment, potential issues associated
with the interstate transport of
hazardous secondary materials for
recycling, and reduction in access to
information and the opportunity for
public participation. RCRA is a
preventative statute and by design seeks
to prevent damage before it occurs;
relying solely on enforcement without
addressing the root causes of the
damage could needlessly increase the
frequency, severity, and cost of damage
cases. Therefore, EPA has chosen to
finalize the changes to the 2008 DSW
final rule being promulgated today.
Finally, EPA disagrees with
comments stating we have not
considered the positive role of the
hazardous waste management industry.
In development of the DSW
rulemakings, the Agency specifically
conducted a study of successful
recycling that examined how
responsible generators and recyclers of
hazardous secondary materials ensures
that recycling is done in an
environmentally safe manner.42
However, as EPA noted in the 2008
DSW final rule, the successful recycling
study indicates that many responsible
generators examine the recycler’s
technical capabilities, business viability,
environmental track record, and other
relevant questions before sending
hazardous secondary materials for
recycling. Currently, these recycler
audits, which can be thought of as a
form of environmental ‘‘due diligence,’’
are in essence a precaution to minimize
the prospect of incurring CERCLA
liability in the event that the recycling,
or lack thereof, results in the release of
material to the environment. However,
the fact that these companies are willing
to incur the expense of auditing
recyclers as a business practice is of
itself a marketplace affirmation that
sending hazardous secondary materials
to other companies for recycling
involves some degree of risk. (73 FR
64683)
Comments: Correlation of Recycling
Damage Cases With Regulatory
Exclusions, Exemptions or Alternative
Standards
Although at least one commenter
supported the analysis titled
‘‘Correlation of Recycling Damage Cases
with Regulatory Exclusions,
Exemptions, or Alternative
Standards,’’ 43 which is included in the
docket for this rulemaking. However,
most commenters argued that this
42 U.S. EPA, An Assessment of Good Current
Practices for Recycling of Hazardous Secondary
Materials, November 2006 (EPA–HQ–RCRA–2002–
0031–0354).
43 Docket ID: EPA–HQ–RCRA–2010–0742–0010.
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analysis was flawed and that EPA
should gather information in a more
responsible manner, such as with an
information collection request (ICR).
Many commenters pointed out that
EPA only identified seven exclusions
that were ‘‘likely’’ correlated to some
damage cases, yet EPA in its 2011 DSW
proposal considered adding
requirements to 32 exclusions. These
commenters argued that this record was
insufficient for justifying additional
conditions.
Some commenters also took issue
with how EPA assigned regulatory
exclusions to certain damage cases. For
example, a few commenters said that
none of the five damage cases correlated
to precious metals involved recycling of
in-process secondary materials as part of
precious metals mining and primary
mineral processing, but rather involved
off-site entities that were attempting to
recover precious metals from
photographic film, circuit boards, and
other secondary materials generated by
industry.
One commenter said that EPA
identifies 35 cases that allegedly involve
spent batteries; however, two of these
involve non-lead batteries and thus are
irrelevant and a third involves printed
circuit boards. This commenter goes on
to say that, of the remaining 32 leadacid battery-related facilities for which
EPA has identified known dates of
operation, none began business
operations after the 1982 and 1985
adoption of the RCRA regulations that
control lead-acid battery collection and
recycling. This commenter believed that
the primary contamination at these sites
almost certainly pre-dated RCRA and
thus EPA cannot use these cases to
support changes to 40 CFR 266.80.
Another commenter said that none of
the environmental damage associated
with 52 damage cases could be shown
to be the result of companies ‘‘likely’’
operating under the 261.4(a)(13) scrap
metal exclusion and/or the
261.6(a)(3)(ii) scrap metal recycling
exemption.
A few commenters argued that EPA
has not compared the number of damage
cases to the total number of recyclers
and thus we do not know what
percentage of all facilities the damage
cases represent. Another commenter
noted that the 132 damage cases that
EPA correlated to the pre-2008 recycling
exclusions makes up only 2.5% of the
5,321 facilities that EPA estimates are
using the exclusions (a total number
which this commenter believes EPA
underestimates).
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EPA’s Response: Correlation of
Recycling Damage Cases With
Regulatory Exclusions, Exemptions or
Alternative Standards
The goal of EPA’s analysis to correlate
damage cases with existing exclusions
was to assess whether certain hazardous
secondary material recycling exclusions,
exemptions, or alternate standards are
adequately protecting human health and
the environment. Because the majority
of exclusions, exemptions, and
alternative standards do not include
notification requirements, EPA does not
have precise data regarding which and
how many facilities are recycling
hazardous secondary materials under
reduced regulation. This lack of data
hinders EPA’s ability to collect
information regarding what regulations
a specific facility was operating under
when damage occurred. Because this
information is limited, the Agency had
developed a methodology that correlates
the type of hazardous secondary
materials identified in the damage cases
to regulations that likely governed the
management of the hazardous secondary
material. EPA used this methodology to
identify patterns related to the types of
hazardous secondary material involved
in damage cases and whether those
materials were likely to be managed
under an exclusion, exemption, or
alternate standard.
EPA understands commenters’
concerns regarding the limitations of
this analysis, including that EPA could
only correlate with confidence 7 of the
32 recycling exclusions to damage cases
in its environmental problems study.
This result is more a lack of precision
in the data and less that some recycling
exclusions have no damage cases. For
example, because notification is not
required for these exclusions, we can
only conservatively identify damage
case correlations where the type of
hazardous secondary material very
clearly matches to an exclusion (e.g.,
scrap metal). We lack information to
make inferences for broadly applicable
exclusions, (e.g., use/reuse) or for
broadly defined hazardous secondary
materials (e.g., metal-bearing wastes).
Therefore, by virtue of some exclusions’
broad applicability, we were unable to
correlate them to specific damage cases.
Additionally, due to the lack of data, it
is difficult to analyze current trends in
damage cases, and thus even more
difficult to accurately project what the
number of future damage cases might be
under different scenarios. However,
although it is difficult to assign specific
damage cases to certain exclusions, we
note that in the environmental problems
study only nine of the damage cases
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were operating under a RCRA permit at
the time of damage. Thus, EPA can
generally conclude that the majority of
the damage cases at third party recyclers
were operating outside of RCRA,
inferring these facilities were either
operating illegally or operating under an
exclusion, exemption, or alternate
standard, or no standard.
Regarding other comments on the
analysis, including comments on
specific damage case-to-exclusion
pairings and on comparing the number
of damage cases to the total number of
affected entities, EPA agrees with
commenters that more information is
needed prior to taking final action on
specific conditions of the pre-2008
recycling provisions. EPA finds it may
need to consider each exclusion in
terms of evaluating specific regulatory
gaps and whether additional conditions
are needed to ensure protection of
human health and the environment.
Therefore, we are not finalizing specific
conditions for the pre-2008 recycling
provisions in today’s rule and are
instead deferring action until EPA can
more adequately address commenters’
concerns, including comments on the
record. Before the Agency would take
any such action, the Agency would
provide the regulated community, as
well as other stakeholders the
opportunity for notice and comment.
XIV. Major Comments on the Exclusion
for Hazardous Secondary Materials
Legitimately Reclaimed Under the
Control of the Generator and
Recordkeeping for Speculative
Accumulation
A. Proposed Changes to 2008 Final Rule
In its July 2011 DSW proposal, EPA
proposed or solicited comment on
certain changes to the 2008 DSW
exclusion from the definition of solid
waste for hazardous secondary materials
legitimately reclaimed under the control
of the generator. The first change was
adding a regulatory definition of
‘‘contained’’ for units storing hazardous
secondary materials. The definition
included factors which, if met, would
demonstrate that the unit was
contained. Under the proposal, a storage
unit is contained if it is in good
condition, with no leaks or other
continuing or intermittent unpermitted
releases of the hazardous secondary
material to the environment, and is
designed, as appropriate for the
hazardous secondary materials to
prevent releases of hazardous secondary
material to the environment. Such
releases may include, but are not
limited to, releases through surface
transport by precipitation runoff,
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releases to soil and groundwater, windblown dust, fugitive air emissions, and
catastrophic unit failures. The unit must
also be properly labeled or otherwise
have a system (such as a log) to
immediately identify the hazardous
secondary materials in the unit. Finally,
the unit must not hold incompatible
materials and must address any
potential risks of fires or explosions.
The definition also stated that
hazardous secondary materials stored in
units that meet the applicable
requirements of 40 CFR parts 264 or 265
are considered to be contained.
The second change concerned new
recordkeeping requirements for
speculative accumulation, ‘‘samecompany’’ recycling, and recycling
under certain tolling arrangements.
With respect to speculative
accumulation, EPA proposed to require
generators and reclaimers operating
under the generator-controlled
exclusion to post accumulation start
dates to allow inspectors and other
regulatory authorities to quickly
ascertain how long hazardous secondary
materials had been in storage. If placing
a label on the storage unit is not
practicable, the first date that the
excluded hazardous secondary material
began to be accumulated must be
entered in an inventory log. We also
solicited comment on whether to add
the proposed recordkeeping
requirement to the general speculative
accumulation provision at 40 CFR
261.1(c)(8), thereby extending the
requirement to all recyclers subject to
that provision. We also proposed a
recordkeeping requirement for tolling
contractors and toll manufacturers
operating under the tolling exclusion,
which would require maintaining
records of hazardous secondary
materials sent or received pursuant to
the tolling contract. We also solicited
comment on whether to add a similar
recordkeeping requirement to generators
and reclaimers operating under the
‘‘same-company’’ exclusion.
The third change concerned making
notification a condition rather than a
requirement of the exclusions. In
addition, we proposed two structural
changes. These were (1) placing the
requirements for land-based units and
non-land-based units in one regulatory
provision (40 CFR 261.4(a)(23)), since
the requirements for both types of units
are the same; and (2) placing most
definitions applicable to the generatorcontrolled exclusion in 40 CFR
261.4(a)(23) (together with the
requirements) instead of in 40 CFR
260.10.
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Comments: Authority for Proposed
Changes
Many commenters supported all or
some of these changes, either as
proposed or with suggested
modifications. Their comments are
discussed below in reference to the
specific changes that the Agency
proposed. Some commenters, however,
stated that EPA did not have the
authority to impose conditions
(particularly the ‘‘contained’’ standard)
on hazardous secondary materials
recycled under the control of the
generator. These commenters generally
believed that materials recycled under
these exclusions are not discarded, and
that EPA provided no new evidence that
would justify the proposed changes.
According to these commenters, the
proposed changes are tantamount to
treating the materials as wastes instead
of valuable commodities, and are
inconsistent with the ABR decision.
One commenter noted that generators
already have incentives to prevent
releases of hazardous secondary
materials because of potential liability,
corporate values of stewardship and
environmental responsibility, and
public relations.
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EPA’s Response: Authority for Proposed
Changes
The Agency has determined that the
conditions proposed in our July 2011
DSW proposal are needed in order to
ensure that the exclusion operates as
intended and does not result in
discarded hazardous secondary material
posing significant risk to human health
and the environment. We agree that
generators and reclaimers operating
under the generator-controlled
exclusion have incentives to ensure that
the hazardous secondary materials are
safely managed. Nevertheless, the
conditions we proposed are needed to
ensure that the generator-controlled
exclusion will correctly function to
exclude only hazardous secondary
material that is not discarded.
Specifically, the proposed
‘‘contained’’ requirement is a key
provision for determining whether a
hazardous secondary material is being
managed as a valuable commodity. Such
materials that are not contained and are
instead released to the environment are
not destined for recycling and are
clearly discarded. The proposed
definition specifies factors which, if
met, demonstrate that the hazardous
secondary materials in a unit are
handled as valuable raw materials,
intermediates, or products and thus are
not discarded. We note that the criteria
in proposed 40 CFR 261.4(a)(23)(i) are
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all performance measures, as opposed to
specific technical standards, suggested
by commenters in response to the June
2009 public meeting on the 2008 DSW
final rule. These criteria also exemplify
practices discussed in the preamble to
the 2008 DSW final rule regarding
containment of hazardous secondary
materials, such as ways to prevent
releases and operation and maintenance
of the storage unit in the same manner
as a production unit.
The proposed recordkeeping
requirement for speculative
accumulation (which would require
posting of accumulation start dates on
the storage unit or in an inventory log)
would allow inspectors and other
regulatory authorities to quickly
ascertain how long a facility has been
storing an excluded hazardous
secondary material, and whether the
storage time exceeds existing limits
under 40 CFR 261.1(c)(8). If such limits
have been exceeded, the material would
be discarded. The proposed
recordkeeping requirement for the
tolling exclusion (which would require
records of shipments sent and received
under tolling contracts) would also aid
regulatory agencies in determining if
tolling contractors and manufacturers
are in compliance with the requirements
for the exclusion and whether the
hazardous secondary materials in
question have been properly accounted
for. A similar requirement to keep
records of shipments sent and received
under ‘‘same-company’’ recycling (for
which the Agency solicited comment in
the July 2011 DSW proposal) would
serve the same purpose. Finally,
submitting a notification to EPA is the
only formal indication of a facility’s
prospective intent to reclaim a
hazardous secondary material under
this exclusion. For these reasons, EPA
has determined that its proposed
changes to the generator-controlled
exclusion are necessary to demonstrate
that hazardous secondary materials have
not been discarded. The changes are
therefore within the Agency’s RCRA
authority.
Comments: Scope of Proposed Changes
One commenter noted that the
proposed rule would allow lead-acid
battery recyclers to operate under the
generator-controlled exclusion instead
of the requirements in 40 CFR 266.80(b).
This commenter believed that the latter
requirements, specifically tailored to
battery recyclers, are more appropriate
for these facilities.
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EPA’s Response: Scope of Proposed
Changes
In response to this comment, it was
not the Agency’s intent that spent leadacid batteries be managed under the
generator-controlled exclusion. The
2008 DSW final rule contained a
provision (40 CFR 261.2(c)(4)(iv))
stating that spent lead-acid batteries
were not eligible for the generatorcontrolled exclusion (nor were materials
subject to material-specific standards
under 261.4(a) or the listed hazardous
wastes K171 or K172). The omission of
this provision from the July 2011 DSW
proposal as related to spent lead-acid
batteries and material-specific standards
was inadvertent, and EPA is therefore
retaining it in this final rule (see 40 CFR
261.4(a)(23)(ii)(E)). However, for reasons
discussed in section XI of this preamble,
listed hazardous wastes K171 and K172
should be eligible for the generatorcontrolled exclusion; therefore, we are
not including those wastes in this
provision.
Comments: Exports
Another commenter noted that the
text of proposed 40 CFR
261.4(a)(23)(i)(B) could initially be read
to suggest that hazardous secondary
materials may be transferred to a
location outside the United States or its
territories as long as the foreign
receiving facility is under the control of
the generator. It is not until one reads
proposed 40 CFR 261.4(a)(23)(ii)(A) that
the reader learns that the receiving
facility must be in the United States or
its territories. This commenter suggested
revising the introductory text of 40 CFR
261.4(a)(23) to refer to recycling within
the United States or its territories and
deleting the subsequent condition.
EPA’s Response: Exports
EPA agrees with this commenter who
suggested modifying the introductory
text of the generator-controlled
exclusion to include a reference to the
requirement that hazardous secondary
materials legitimately reclaimed under
the exclusions must be recycled within
the United States or its territories. We
have therefore revised 40 CFR
261.4(a)(23) to read as follows:
‘‘Hazardous secondary material
generated and legitimately reclaimed
within the United States or its territories
and under the control of the generator,
provided that the material complies
with paragraphs (a)(23)(i) and (ii) of this
section.’’ We have also deleted the
condition in proposed CFR
261.4(a)(23)(ii)(A) and renumbered the
following subparagraphs.
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B. Exclusion for Materials Recycled OnSite
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Comments: On-Site Exclusion
In the 2008 DSW final rule, EPA
promulgated an exclusion from the
definition of solid waste for hazardous
secondary materials that are generated
and legitimately reclaimed at the
generating facility. In the July 2011
DSW proposal, the Agency did not
propose any changes to the scope of this
exclusion. Commenters on the proposal
generally supported excluding on-site
recycling from the definition of solid
waste, stating that such recycling did
not involve discard and was not likely
to pose environmental risks. However,
one commenter argued that the
exclusion for hazardous secondary
materials recycled under the control of
the generator was too broad and should
be narrowed to materials recycled under
a ‘‘continuous industrial process,’’ i.e.,
recycled in the same process of which
they are a byproduct, by the same
generator, and at the same generating
facility. If the exclusion was narrowed
to this extent, it would preclude ‘‘samecompany’’ or tolling recycling from
being eligible for the exclusions. It
would presumably also preclude certain
types of on-site recycling that might
involve different processes from being
excluded under the definition of solid
waste.
EPA’s Response: On-Site Exclusion
EPA has determined that if hazardous
secondary materials are generated and
legitimately reclaimed at the generating
facility (as well as a facility within the
same company) under the conditions
specified in today’s rule, these materials
have not been discarded. We do not
agree with the comment that the
exclusion should be limited to recycling
of hazardous secondary materials under
a ‘‘continuous industrial process,’’ i.e.,
it takes place in the same process of
which the materials are a byproduct, by
the same generator and at the same
generating facility. If hazardous
secondary materials are recycled on-site
at the generating facility using different
processes, this circumstance does not
mean that the generator has
relinquished control of the materials or
that they have been discarded. We are
therefore finalizing this provision as
proposed at 40 CFR 261.4(23)(i)(A).
C. Exclusion for Materials Recycled by
the Same Company
In the 2008 DSW final rule, EPA
promulgated an exclusion from the
definition of solid waste for hazardous
secondary materials that were generated
and legitimately reclaimed off-site by
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the same ‘‘person’’ as defined in 40 CFR
260.10, if the generator performed one
of two certifications. Under the first
certification, the generating facility
certified that it controlled the
reclaiming facility; under the second
certification, the generating facility
certified that it was under common
control with the reclaiming facility. In
the July 2011 DSW proposal, the Agency
solicited comment on whether to add a
recordkeeping requirement to this
exclusion that would require both the
generating and reclaiming facilities to
retain records for no less than three
years of all hazardous secondary
material shipped under the exclusion.
The records would have to contain
information which could be satisfied by
routine business records (e.g., financial
records, bills of lading, copies of DOT
shipping papers, or electronic
confirmations). There was general
support for this condition from those
commenters who addressed it.
Comments: Same-Company Exclusion
Some commenters supported this
exclusion. They believed that generators
using the exclusion have strong
incentives to ensure that hazardous
secondary materials are not discarded
by maintaining control over, and
potential liability for, the reclamation
process. However, other commenters
believed that any off-site transport of
hazardous secondary materials involved
environmental risks that should be
addressed by (at the least) requiring a
hazardous waste manifest or by
subjecting ‘‘same-company’’ off-site
recycling to the proposed alternative
Subtitle C standards for hazardous
secondary materials that are transferred
for the purpose of reclamation. Some
commenters said that when hazardous
secondary materials are transported offsite, the generator has little de facto
control over such materials.
One commenter noted that proposed
40 CFR 261.4(a)(23)(i)(B) omitted the
alternative certification for samecompany recycling that occurs when the
generating facility and the reclaiming
facility are under common control. This
certification was included in the 2008
DSW final rule.
EPA’s Response: Same-Company
Exclusion
The Agency continues to find that
same-company recycling does not
involve discard since it occurs under
the control of the generator. Such
control means that both the generating
facility and the reclamation facility are
familiar with the hazardous secondary
materials and the company would be
ultimately liable for any
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mismanagement of the hazardous
secondary materials. Under these
circumstances, the incentive to avoid
such mismanagement would be
sufficiently strong to greatly reduce the
risks of transport, thus rendering
unnecessary the use of the hazardous
waste manifest or requiring the
hazardous secondary materials to be
reclaimed under the verified recycling
exclusion. However, as noted above, the
Agency solicited comment in its July
2011 DSW proposal on a recordkeeping
requirement that would require both the
generating and reclaiming facilities to
retain records for no less than three
years of all hazardous secondary
material shipped under the exclusion.
The records would have to contain the
name of the transporter, the date of the
shipment, and the type and quantity of
the hazardous secondary material
shipped or received under the
exclusion. This requirement could be
satisfied by routine business records
(e.g., financial records, bills of lading,
copies of DOT shipping papers, or
electronic confirmations). Such a
provision would facilitate enforcement
of the same-company exclusion and
would allow tracking of all hazardous
secondary materials recycled under the
exclusion to ensure that such materials
were properly accounted for. EPA agrees
with the commenters who supported
this requirement and finds that adding
this recordkeeping requirement to the
same-company exclusion is sufficient to
address any risks involved in off-site
transport of hazardous secondary
materials. We are therefore finalizing
the same company exclusion to include
this requirement (see 40 CFR
261.4(a)(23)(i)(B)).
The Agency also agrees with the
commenter who suggested that the
alternative certification for facilities
under common control that was
included in the 2008 DSW final rule
should be added to the exclusion. The
omission of this provision from the July
2011 DSW proposal was inadvertent
and the Agency will therefore simply
retain the alternative certification in the
regulations (see 40 CFR
261.4(a)(23)(i)(B)).
D. Tolling Exclusion
In its July 2011 DSW proposal, EPA
proposed to add a recordkeeping
requirement to the exclusion for
hazardous secondary materials
legitimately reclaimed under certain
contractual tolling arrangements.
Specifically, we proposed to require the
tolling contractor to maintain at its
facility for no less than three years
records of all hazardous secondary
materials received pursuant to the
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written contract with the tolling
manufacturer. It would also require the
tolling manufacturer to maintain at its
facility for no less than three years
records of materials shipped pursuant to
its written contract with the tolling
contractor. In both cases, the records
must contain the name of the
transporter, the date of the shipment,
and the type and quantity of the
hazardous secondary material shipped
or received pursuant to the written
contract. These requirements may be
satisfied by routine business records
(e.g., financial records, bills of lading,
copies of DOT shipping papers, or
electronic confirmations). EPA solicited
comment on whether the proposed
requirement would make the exclusion
easier to enforce. We also solicited
comment on whether the tolling
exclusion should be retained or
eliminated. We noted that no facilities
appeared to be operating under the
tolling exclusion as of the date of the
proposed rule, and that the definitions
and certifications involved in this
exclusion were complicated. However,
we also noted that if the tolling
exclusion were eliminated, the tolling
contractor conducting the reclamation
might need to obtain a RCRA storage
permit. This necessity could discourage
recycling under tolling arrangements
and prevent sustainable reclamation
practices.
commenters doubted that recycling
under tolling arrangements was actually
under the ‘‘control’’ of the tolling
contractor, given that a different
corporate entity at a different physical
location operates the production
process. Some commenters raised
similar concerns with the risks involved
in off-site transportation of hazardous
secondary materials that were raised in
connection with ‘‘same-company’’
recycling.
Some commenters, on the other hand,
urged EPA to retain the exclusion for
tolling contracts. These commenters
argued that hazardous secondary
materials legitimately reclaimed under
the tolling exclusion are managed as
valuable products and not discarded.
They also said that utilization of the
exclusion could increase with time,
particularly if more states picked up
EPA’s revisions to the definition of solid
waste and if regulatory uncertainty were
avoided. One commenter noted that the
economic incentives under tolling
contracts are such that there is no
incentive for discard, since the tolling
manufacturer is paid when it returns the
hazardous secondary material to the
contractor. Some commenters indicated
that eliminating the tolling exclusion,
by requiring tolling contractors to obtain
RCRA storage permits, would operate as
a severe disincentive to reclamation
under tolling arrangements.
Comments: Tolling Exclusion
Those commenters who addressed the
proposed recordkeeping requirement
generally supported it, but many
commenters believed that the tolling
exclusion should be eliminated and that
tolling should be regulated under EPA’s
proposed alternative Subtitle C
regulatory standards for hazardous
recyclable materials. Another
commenter argued that if the Agency
retained the tolling exclusion, we
should require use of the hazardous
waste manifest, financial assurance, and
other Subtitle C requirements. Some of
these commenters emphasized the
absence of utilization of the tolling
exclusion and said that federal
regulations should address activities of
national importance. One commenter
noted that the exclusion could result in
an inefficient use of enforcement
resources as regulators would have to be
trained and familiar with a regulatory
concept with which they are not
familiar. Another commenter argued
that the assumption of liability for
mismanagement by the tolling
contractor was unlikely and could result
in litigation. Other commenters
emphasized environmental concerns
with the tolling exclusion. These
EPA’s Response: Tolling Exclusion
EPA generally agrees with the
commenters who supported retention of
the tolling exclusion. We find that
hazardous secondary materials are not
discarded if they are legitimately
reclaimed under the conditions
specified in our tolling exclusion,
particularly since participants in tolling
contracts have strong incentives to
handle such materials as valuable
commodities rather than mismanage
them. We also have determined that the
conditions of the generator-controlled
tolling exclusion, including the
recordkeeping requirement for
hazardous secondary materials sent and
received under tolling contracts, are
sufficient to prevent discard, thus
rendering unnecessary the use of the
hazardous waste manifest or other
RCRA permit requirements for
reclaimers. We have also concluded that
retention or elimination of this
exclusion should not depend on how
frequently the exclusion is currently
utilized, because determining frequency
of utilization in the future is necessarily
speculative. Additional states could
pick up EPA’s revisions to the definition
of solid waste, and tolling arrangements
could become more common due to
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increases in certain kinds of
manufacturing or other technological
developments. Regulatory authorities
would then become more familiar with
implementation of the provision. We are
also concerned that eliminating the
tolling exclusion could discourage the
reclamation of valuable hazardous
secondary materials that might
otherwise be destroyed by incineration.
This result would be inconsistent with
our goal of encouraging the sustainable
management of hazardous secondary
materials. For these reasons, we are
retaining the tolling exclusion in this
final rule and finalizing the proposed
recordkeeping requirement for this
exclusion (see 40 CFR
261.4(a)(23)(i)(C)).
E. The Contained Standard
In its July 2011 DSW proposal, EPA
proposed a regulatory definition of the
contained standard. Under this
proposed definition, a unit storing
hazardous secondary materials is
‘‘contained’’ if it is in good condition,
with no leaks or other continuing or
intermittent unpermitted releases of the
hazardous secondary materials to the
environment, and is designed, as
appropriate for the hazardous secondary
materials, to prevent releases of
hazardous secondary materials to the
environment. Such releases may
include, but are not limited to, releases
through surface transport by
precipitation runoff, releases to soil and
groundwater, wind-blown dust, fugitive
air emissions, and catastrophic unit
failures. The unit must also be properly
labeled or otherwise have a system
(such as a log) to immediately identify
the hazardous secondary materials in
the unit. Finally, the unit must not hold
incompatible materials and must
address any potential risks of fires or
explosions. Hazardous secondary
materials stored in units that meet the
applicable requirements of 40 CFR parts
264 or 265 are considered to be
contained.
In addition, the Agency also proposed
placing the requirements for land-based
units and non-land-based units in one
regulatory provision (40 CFR
261.4(a)(23)), since the requirements for
both types of units are the same. To
clarify the regulatory status of units
from which releases have occurred, the
Agency also proposed a provision
stating that: (1) A hazardous secondary
material released to the environment is
discarded and a solid waste unless it is
immediately recovered for the purpose
of reclamation and (2) hazardous
secondary material managed in a unit
with leaks or other continuing or
intermittent releases of the hazardous
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secondary material to the environment
is discarded and a solid waste.
Comments: Codification of the
Contained Standard
Many commenters (particularly states)
supported the codification of the
contained standard. Under the 2008
DSW final rule, these commenters
argued the only definitive way to
determine whether a material was
contained was an evaluation after a
release had already occurred. They
believed that codifying a definition of
‘‘contained’’ would make it easier for
regulatory authorities and the regulated
community to decide whether a unit
meets the standard. Some commenters,
however, believed that a regulatory
definition of ‘‘contained’’ was not
needed because the concept of what is
contained was self-evident: To the
extent clarification is needed, it could
be provided in guidance.
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EPA’s Response: Codification of the
Contained Standard
EPA agrees with those commenters
who argued that codification of the
contained standard is desirable. Based
on comments and inquiries received
from regulatory authorities and the
regulated community after promulgation
of the 2008 DSW final rule, we have
determined that merely requiring that a
unit be ‘‘contained’’ (without providing
a regulatory definition) does not give
regulatory certainty about how to
comply with the standard. The number
of comments and inquiries to this effect
would seem to refute the idea that the
concept of contained is self-evident. It
was never the Agency’s intent that
violation of the standard could be
addressed only after a significant release
and subsequent environmental damage
had occurred. More detailed regulatory
criteria, such as those proposed in our
July 2011 DSW proposal, will help all
affected parties determine whether a
unit adequately controls the movement
of hazardous secondary materials. Such
determinations will be of great benefit to
regulatory authorities and to facilities
operating under the generator-controlled
exclusion. We are therefore retaining the
codification of contained in this final
rule.
Comments: Land-Based Storage
Some commenters believed that
storage in land-based units should be
prohibited completely under the
generator-controlled exclusion. Other
commenters supported allowing landbased units, but only if the Agency
required periodic inspections,
groundwater monitoring, or other
measures. Other commenters
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emphasized that the Agency had no
jurisdiction over land-based production
units, and requested that EPA clarify in
the preamble that we do not regulate
such units.
EPA’s Response: Land-Based Storage
EPA does not agree that land-based
units should be categorically prohibited
under the generator-controlled
exclusion. We have determined that
hazardous secondary materials, if they
are stored in land-based units that meet
the conditions specified in today’s rule,
have not been discarded. That is, if they
are legitimately reclaimed as specified
in today’s rule, if they are contained and
not speculatively accumulated, and if
they have submitted the required
notification, they are being managed as
valuable commodities, rather than
wastes. Indeed, the ABR decision
expressed criticism of EPA for
prohibiting any land placement, even
‘‘for a few minutes’’. 208 F.3rd at 1051.
EPA interprets the court’s discussion as
a warning to the Agency to examine all
factors, not just one (e.g., land
placement), when deciding whether a
material is a waste. For the same reason,
we do not find that it is necessary or
appropriate to require groundwater
monitoring, inspections at specified
intervals, or other Subtitle C controls for
hazardous secondary materials that are
legitimately reclaimed under the control
of the generator under these conditions,
even for land-based units. These
hazardous secondary materials are being
managed under the control of the
generator; by maintaining control over,
and potential liability for, the hazardous
secondary materials and the reclamation
process, the generator ensures that such
materials have not been discarded. We
also note that the definition of ‘‘landbased unit’’ in 40 CFR 260.10 means an
area where hazardous secondary
materials are placed in or on the land
before recycling, but the definition
explicitly excludes land-based
production units. Examples of landbased units include surface
impoundments and piles.
Comments: Requirements for Non-LandBased Units
Some commenters believed that the
proposed standard was still too
imprecise, or not sufficiently protective.
These commenters generally suggested
that EPA require storage units to meet
the standards of 40 CFR 262.34(a)(1), or
parts 264 or 265 for tanks, containers, or
containment buildings. Some of these
commenters argued that since
hazardous secondary materials sent for
reclamation were identical in
composition to analogous materials sent
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1745
for disposal, the storage standards
should be the same for both disposal
and recycling. Another commenter
noted that EPA was considering tank
standards for solvents under the
proposed remanufacturing exclusion,
and said that standards at least as
stringent should be considered for other
hazardous secondary materials sent for
reclamation. Commenters also
emphasized the ease of enforceability
and implementation of standards with
which the regulatory authorities and the
regulated community are already
familiar.
EPA’s Response: Requirements for NonLand-Based Units
In response to those commenters who
suggested Subtitle C requirements for
non-land-based units (such as tanks,
containers and containment buildings)
that store hazardous secondary
materials under the generator-controlled
exclusion, the Agency also finds that
imposing these requirements is
unnecessary for such materials meeting
the conditions of the exclusion
promulgated today. EPA is aware that
implementation of program
requirements would be simpler if units
storing hazardous waste and those
storing hazardous secondary materials
were subject to the same requirements,
and we are also aware that the chemical
composition of hazardous secondary
materials sent for disposal can be
similar to that of hazardous secondary
materials sent for legitimate recycling.
Nevertheless, hazardous secondary
materials that are legitimately reclaimed
under the control of the generator have
not been discarded, and such materials
have value that provides generators with
strong incentives to maintain safe
management and handling. Imposing
the Subtitle C requirements on these
hazardous secondary materials could
discourage legitimate reclamation,
encourage disposal, and would be
inconsistent with EPA’s goal of fostering
sustainable materials management. In
response to the commenter who
suggested that such requirements
should be imposed because the Agency
was considering them for the
remanufacturing exclusion, we note that
the generator-controlled exclusion
covers a wide variety of hazardous
secondary materials, rather than the
solvents covered by the remanufacturing
exclusion, for which tanks or container
standards are appropriate for reasons
described in section VII of this
preamble.
Comments: Releases
Some commenters believed that the
proposed regulatory definition of
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‘‘contained’’ constituted a ‘‘no-leak’’
standard (including storm water runoff
or fugitive air emissions) and that even
a single release that was immediately
recovered could lead to the hazardous
secondary material remaining in the
unit being considered discarded and a
solid waste. Other commenters,
however, said that all units will suffer
a release at some point and that it would
be unreasonable to categorically classify
any release of whatever nature as
discard.
In the preamble to the 2011 DSW
proposal, EPA stated that certain units
may be subject to occasional
precipitation runoff that consists
essentially of water, with trace amounts
of hazardous constituents. The Agency
noted that as long as such runoff does
not contain hazardous secondary
materials (e.g., it is essentially rainwater
with trace amounts of metals), it would
not be considered a ‘‘release of a
hazardous secondary material.’’ On the
other hand, if the hazardous secondary
material itself is swept away by the
runoff (e.g., if the hazardous secondary
material consists of fine particulate
matter, such as electric arc furnace
dust), this transport via precipitation
runoff could be considered a ‘‘release of
a hazardous secondary material’’ and
that pile may not be considered
contained. Some commenters argued
that even trace amounts of hazardous
substances (such as through stormwater
runoff) should be considered illegal
releases from storage units. One of these
commenters objected to our regulatory
definition partly because it would allow
releases that were not ‘‘continuing’’ or
‘‘intermittent.’’
Another commenter, however, argued
that the existence of stormwater runoff
(regulated under the Clean Water Act) or
fugitive air emissions and dust
(regulated under the Clean Air Act) does
not mean that materials are not being
managed as a valuable commodity and
so cannot be used to justify a
determination that a hazardous
secondary material is subject to the fully
applicable Subtitle C RCRA
requirements. This interpretation would
amount to an illegal expansion of RCRA
authority, according to the commenter.
The commenter also noted that EPA’s
distinction between runoff containing
hazardous constituents and runoff
containing the waste itself was
irrelevant and that EPA should return to
the ‘‘significant release’’ standard of the
2008 DSW final rule. Another
commenter suggested that the Agency
specify what concentration of hazardous
secondary material would need to be
detected to constitute a release.
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EPA’s Response: Releases
EPA does not agree with those
commenters who argued that the
proposed definition of ‘‘contained’’
imposed a strict, categorical, and
impracticable ‘‘no leaks’’ standard,
either for land-based units or non-landbased units. We note that the language
of the proposed definition reads that the
unit must be in good condition, ‘‘with
no leaks or other continuing or
intermittent unpermitted releases of
hazardous secondary materials to the
environment. . .’’ (emphasis added).
This language clearly does not mean
that any single release of whatever
nature would automatically place the
hazardous secondary materials
remaining in the unit under Subtitle C
regulation. In fact, we agree with those
commenters who argue that most units
will suffer a release at some point and
that it would be unreasonable to
categorically classify any release of
whatever nature as discard.
Nor does EPA agree with those
commenters who appeared to believe
that any release should lead to loss of
the generator-controlled exclusion and
full regulation under RCRA Subtitle C.
A single release that is quickly cleaned
up would not generally affect the
regulatory status of the hazardous
secondary materials still contained in
the unit. For example, sometimes a
hazardous secondary material may
escape from primary containment and
may be captured by secondary
containment or some other mechanism
that would prevent the hazardous
secondary materials from being released
to the environment or would allow
immediate recovery of the materials. In
that case, the unit would not be subject
to the RCRA hazardous waste
regulations and the hazardous
secondary materials in the unit would
still be excluded from the definition of
solid waste, even though any such
materials that had been released and not
immediately recovered would be
considered discarded.
With respect to precipitation runoff,
the Agency does not agree with those
commenters who said that even trace
amounts of hazardous substances (such
as through stormwater runoff) should be
considered illegal releases from storage
units. Some units are inevitably subject
to occasional precipitation runoff that
consists essentially of water, with trace
amounts of hazardous constituents. As
long as the hazardous secondary
material itself is not swept away by the
runoff, this transport via precipitation
runoff would not be a release of such a
material and the unit could be
considered contained. A contrary
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interpretation could place all such units
under Subtitle C regulation and
eliminate their eligibility for the
generator-controlled exclusion, which is
not the Agency’s intent. EPA has
determined that hazardous secondary
materials placed in such units that are
destined for legitimate recycling have
not been discarded if they meet the
conditions of these exclusions. EPA also
agrees with the commenter who said
that the existence of stormwater runoff
(regulated under the Clean Water Act)
and fugitive air emissions and dust
(regulated under the Clean Air Act) does
not automatically mean that materials
are not being managed as a valuable
commodity.
EPA also does not agree with the
commenter who suggested that the
Agency should return to the
‘‘significance’’ criterion for determining
whether a release has occurred (in part
to distinguish between runoff
containing hazardous constituents and
runoff containing the hazardous
secondary material itself). The Agency
does not agree that using this criterion,
without further definition, would clarify
this distinction. We also do not find that
it is practicable to establish a
concentration of hazardous secondary
materials that could be used to
determine whether a release has
occurred, since such appropriate
concentrations would vary for different
materials and a single concentration
limit would not be flexible enough to
allow an accurate determination of
‘‘contained’’ for the wide variety of
hazardous secondary materials.
Comments: Other ‘‘Contained’’ Issues
A few commenters suggested that EPA
establish a petition process or a sitespecific variance for facilities to
demonstrate the appropriateness of sitespecific alternative storage standards for
their units (including land-based units).
Some commenters believed that our
reference to 40 CFR parts 264 and 265
meant that units were required to
comply with those provisions. One of
these commenters suggested that we
specify that units meeting the
requirements of 40 CFR parts 264 or 265
are ‘‘presumptively’’ contained. Other
commenters said that the proposed
definition of ‘‘contained’’ seemed more
appropriate for hazardous secondary
materials in flowable form, but not for
solid materials such as scrap metal, for
which a container is not necessarily
needed. One of these commenters
suggested that we clarify that a ‘‘unit’’
may include a designated location.
A few commenters suggested editorial
revisions to the definition of contained.
One commenter said that EPA should
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clarify this provision to better indicate
that the unit must not contain materials
that are incompatible with the other
wastes or materials placed in the unit or
the materials of construction that
comprise the unit. Another commenter
said the examples of release should
include soil contamination because
contamination should not be allowed to
pass through the soil to the groundwater
before it is considered a release. Two
commenters said the proposed text at 40
CFR 261.4(a)(23)(ii)(B) uses the word
‘‘recycling’’ in place of ‘‘reclamation’’
and omits the phrase ‘‘or intermittent
unpermitted,’’ which does not comport
with the preamble language.
EPA’s Response: Other ‘‘Contained’’
Issues
In response to those commenters who
suggested a mechanism (such as a
petition process or variance) to provide
alternative or site-specific containment
requirements for certain facilities, such
a mechanism is unnecessary because the
definition of ‘‘contained’ in today’s rule
establishes minimum requirements that
all units storing hazardous secondary
materials should be able to meet. We
have designed the ‘‘contained’’ criteria
to be flexible enough to cover a wide
range of units.
In response to comments that
suggested the reference to 40 CFR parts
264 and 265 means that units were
required to comply with those
provisions, EPA did not intend to imply
that meeting such standards was
required. In response to the commenter
who suggested stating that units meeting
the applicable requirements of 40 CFR
parts 264 or 265 are ‘‘presumptively’’
contained, EPA agrees that this language
better reflects EPA’s intent than the
proposed language and is changing the
proposed definition of ‘‘contained’’
accordingly. However, we do not agree
with the commenter who suggested
adding that solid hazardous secondary
materials may be stored in ‘‘designated
locations.’’ We have determined that our
definition of ‘‘contained’’ (which
includes land-based units) is
sufficiently flexible to cover solid
material, such as scrap metal or furnace
bricks which are not stored in tanks,
containers, or containment buildings.
We have also made clear in the
preamble the circumstances under
which such materials could be
considered ‘‘contained.’’
For the reasons stated above, EPA is
finalizing the definition of ‘‘contained’’
as proposed, but replacing the statement
that ‘‘hazardous secondary materials
meeting the applicable requirements of
40 CFR parts 264 or 265 are considered
to be contained’’ with ‘‘hazardous
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secondary materials that meet the
applicable requirements of 40 CFR parts
264 or 265 are presumptively
contained’’ (see 40 CFR 260.10).
EPA agrees with commenters who
suggested editorial changes to the
definition of contained and has
incorporated these changes into today’s
rule.
F. Notification as a Condition
In the July 2011 proposal, EPA
proposed to make the notification
requirement in 40 CFR 260.42 a
condition, rather than a requirement, of
the generator-controlled exclusion in 40
CFR 261.4(a)(23). At issue are the
consequences an entity would face for
failing to notify. Thus, notification as a
requirement of the exclusion means that
failure to notify would constitute a
violation of the notification regulations.
On the other hand, notification as a
condition of the exclusion means failure
to notify could potentially result in the
loss of the exclusion for the hazardous
secondary materials (i.e., the hazardous
secondary materials would become
solid and hazardous wastes and subject
to full Subtitle C requirements). EPA
also requested comment on whether
notification should be a condition of the
remanufacturing exclusion and of the
pre-2008 recycling exclusions. (For
EPA’s response to comments for
notification as a condition of the pre2008 recycling exclusions, see section
XIX.)
Comments: Notification as a Condition
Commenters were split on this issue.
Many commenters supported EPA’s
proposed change to make notification a
condition of the exclusion. These
commenters argued that notification as
a condition would decrease the
incentives for a facility to evade
enforcement by not notifying. A few
commenters agreed that states would
use enforcement discretion to
distinguish between facilities that failed
to notify due to an inadvertent oversight
or from a blatant disregard for the
requirement. One commenter urged EPA
to clarify that a facility submitting a
notification does not need to wait for
any response from the implementing
agency prior to using exclusion.
On the other hand, many commenters
did not support this proposed change
and argued that notification should
remain a requirement of the exclusion,
as it is currently. These commenters
argued that notification, or the absence
thereof, is not indicative of discard and
that the information of who is using the
exclusion should not impact the
determination of whether a material is
discarded. Some commenters argued
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that enforcement discretion is not
exercised in a consistent and reasonable
manner and that the proposed change
would subject generators who are
legitimately recycling their hazardous
secondary materials to undue severe
enforcement consequences. Other
commenters argued that there are
innocent reasons why a facility would
not notify, for example, because of
confusion surrounding the point when a
virgin material becomes a secondary
material. Still other commenters
believed that it is highly unrealistic to
believe that any facility operating under
the provisions would intentionally fail
to notify EPA in an attempt to evade
enforcement. Other commenters argued
that there is already sufficient incentive
to notify because facilities’ would
already incur significant penalties under
RCRA 3007 for failing to notify.
Additionally, one commenter noted that
making notification a condition of the
exclusion differs from how other
paperwork violations are treated.
EPA’s Response: Notification as a
Condition
EPA agrees with commenters who
supported making notification a
condition of the exclusion. The
notification provision is the only formal
indication of a facility’s intent to
reclaim a hazardous secondary material
under the conditional exclusion. For
example, if during an inspection of a
large quantity generator of hazardous
waste, EPA were to discover a
hazardous secondary material that had
been stored on-site for more than 90
days without a RCRA permit (an act that
would typically be a violation of the
hazardous waste regulations), a
previously filed notification would be
an indication that the facility was
planning to reclaim the hazardous
secondary material under the conditions
of the exclusion. Absent such
notification, it would be difficult for the
facility to justify its true intentions for
the hazardous secondary material.
Failure to meet the notification
provision is a strong indication that the
facility either did not intend to comply
with or was unaware of the provisions
of the exclusion. In both cases, the lack
of notification could indicate that the
hazardous secondary material was being
mismanaged.
EPA agrees with commenters that
making notification a condition of the
rule would further discourage facilities
from trying to evade enforcement by not
notifying because, under the final rule,
the costs and consequences of not
notifying are significantly higher than if
notification remains a requirement.
Notification is essential to keep
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regulators and the public informed
about hazardous secondary materials
activity and to enable effective
compliance monitoring. Making
notification a condition provides states
and EPA the ability to properly enforce
those that intentionally fail to notify in
order to evade enforcement, while
leaving the flexibility to tailor
enforcement appropriately in those
cases involving an unintentional
oversight. Therefore, EPA is making the
notification provision in 40 CFR 260.42
a condition of the generator-controlled
exclusion in 40 CFR 261.4(a)(23), as
well as a condition of the
remanufacturing exclusion in 40 CFR
261.4(a)(27).
In response to opposing comments,
EPA does not agree that failing to notify
is not indicative of discard. As noted,
notification serves as a formal
declaration that a facility is not
managing a hazardous waste but, rather,
an excluded hazardous secondary
material under the conditions of the
exclusion. Notification, thus, documents
the generator’s decision to not discard
its hazardous secondary materials,
which is the inherent first step in any
exclusion from the definition of solid
waste.
EPA also does not agree that the
notification condition would be
inappropriately enforced. EPA notes
that notification as a condition subjects
only those generators who failed to
notify to enforcement consequences;
generators who submit notifications as
required, and meet the conditions of the
final rule exclusions, would not face
enforcement consequences. EPA does
not find this to be unduly burdensome
to the regulated community.
EPA also finds that the commenter’s
example of an innocent reason for
failing to notify (because of confusion
surrounding the point when a virgin
material becomes a secondary material)
as further reason to strengthen the
notification provision. That is, in order
to comply with the final rule, a
generator must know which hazardous
secondary materials are being managed
according to the specific conditions of
the exclusion. In other words, a
generator has to make a choice to
manage hazardous secondary materials
under the conditions of the rule before
they are considered ‘‘excluded.’’
(Notification, in fact, clearly documents
this choice.) Therefore, EPA finds it
difficult to believe that a generator
could innocently fail to notify under the
final rule because the generator is
unclear about when a virgin material
becomes a hazardous secondary
material that it must manage under the
exclusion. These ambiguities must be
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resolved prior to the facility availing
itself of the exclusion.
EPA also disagrees with commenters
that argued it is highly unrealistic to
believe that any facility operating under
the provisions would intentionally fail
to notify EPA, as well as commenters
that argued that sufficient incentives to
notify already exist. We note that there
is likely an economic incentive for some
facilities to fail to notify and simply
consider the paperwork violation as a
cost of doing business. Where an
economic incentive exists, EPA
maintains that regulation is appropriate
in order to adequately discourage
undesirable behavior.
Finally, although notification as a
condition may differ from how other
paperwork requirements are applied in
the hazardous waste regulations, it does
not differ from how other paperwork
requirements are applied in conditional
exclusions from the definition of solid
waste. For example, notification is a
condition of the zinc fertilizer exclusion
in 40 CFR 261.4(a)(20). Additionally,
EPA confirms that the conditional
exclusions at 40 CFR 261.4(a)(23) and
40 CFR 261.4(a)(27) are selfimplementing and thus facilities do not
need to wait for any response from the
implementing agency prior to using
exclusion.
G. Recordkeeping for Speculative
Accumulation
In the July 2011 DSW proposal, EPA
proposed to amend the generatorcontrolled exclusion to require persons
operating under the exclusion to place
a label on the storage unit indicating the
first date that the excluded hazardous
secondary material began to be
accumulated. In cases where placing a
label on the storage unit is not
practicable (e.g., if the hazardous
secondary materials are stored in a
surface impoundment), we proposed as
an alternative to require persons
operating under the generator-controlled
exclusion to document in an inventory
log the first date that the excluded
hazardous secondary material began to
be accumulated. EPA noted that
enforcement personnel had suggested
that ease of enforcement would be
greatly facilitated if persons subject to
the speculative accumulation
requirement were required to post a
start date for the accumulation. In this
way, inspectors and other regulatory
authorities could quickly ascertain how
long a facility has been storing an
excluded hazardous secondary material,
and, therefore, whether that facility was
in compliance with the applicable
storage time. The Agency also noted that
placing labels on storage units or
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entering accumulation start dates in
inventory logs is likely to be already
part of normal business operations at
many facilities. For this reason, the
proposed requirement would not be
unduly burdensome and would provide
a greater degree of clarity both to the
regulated community and to regulatory
authorities who need to determine
whether excluded hazardous secondary
materials meet the speculative
accumulation limits.
Since the same arguments for tracking
accumulation start dates could be made
more broadly for all recycling subject to
the speculative accumulation limits,
EPA also requested comment on
whether to add this recordkeeping
requirement to the speculative
accumulation provision in 40 CFR
261.1(c)(8) itself. The Agency did not
propose or solicit comment on changing
the substantive requirements of the
speculative accumulation provision,
such as the time allowed for storage or
the amount that is required to be
recycled within a calendar year.
Comments: Recordkeeping for
Speculative Accumulation
Many commenters, particularly states,
supported the proposed recordkeeping
requirement and also supported
extending the requirement to all persons
currently subject to the speculative
accumulation requirements at 40 CFR
261.1(c)(8). These commenters generally
believed that posting accumulation start
dates (or using some other mechanism,
such as an inventory log) provides
assurance both to generators and
inspectors that the generator in question
is in compliance with the speculative
accumulation provision, and that the
proposed requirement would not be
burdensome to the regulated
community. One commenter supported
requiring accumulation start dates to be
posted in storage areas within a
specified number of feet from the
storage unit, since reference to logs
distant from storage units could make
enforcement difficult. Facilities that
prefer a centrally located log could
maintain such a ‘‘master’’ log in
addition to the record maintained near
the actual storage unit, this commenter
suggested.
Some commenters, however, opposed
the proposed recordkeeping provision
for speculative accumulation, either for
the generator-controlled exclusion or for
other persons subject to 40 CFR
261.1(c)(8). Some of these commenters
argued that 40 CFR 261.2(f) already
requires respondents in enforcement
actions who are claiming that a material
is not a solid waste to demonstrate that
they meet the terms of an exclusion or
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exemption, by, among other things,
providing appropriate documentation.
Some commenters apparently believed
that the proposed requirement would
mandate sending a notification to EPA,
or posting the quantity of the hazardous
secondary material and the precise time
it was generated, or posting ‘‘finish’’
dates, as well as ‘‘start’’ dates for
accumulation. In addition, some
commenters expressed concern about
the potential difficulty of posting
accumulation start dates for hazardous
secondary materials that are recycled
rapidly in continuous processes with
little or no prior storage.
EPA’s Response: Recordkeeping for
Speculative Accumulation
After evaluating the comments
received, EPA has concluded that the
proposed recordkeeping requirements
for speculative accumulation provide
considerable benefits to both regulatory
authorities and the regulated
community and that the burden on the
regulated community will be minimal.
Posting accumulation start dates (or
using another mechanism, such as an
inventory log) is a simple and effective
way to provide useful information about
likely compliance with the speculative
accumulation provision, and that the
cost to facilities does not outweigh this
benefit. We also find that all of the
reasons for adopting this requirement
for the generator-controlled exclusion
apply equally to the question of whether
to adopt it for all persons subject to 40
CFR 261.1(c)(8). In response to the
commenter who supported also
requiring the posting of accumulation
start dates in storage areas within a
specified number of feet from the
storage unit, EPA is not convinced that
such a requirement would be necessary
for all facilities, and the appropriate
distance from the storage unit might
also vary for different facilities. We are
therefore not adopting this requirement.
In response to those commenters who
argued that the proposed recordkeeping
requirement is redundant with
§ 261.2(f), we note that that provision
applies to respondents in enforcement
actions and does not provide specific
guidance on how to determine
compliance with the speculative
accumulation provisions in the case of
routine inspections. We therefore do not
agree that the proposed recordkeeping
requirement is redundant with 40 CFR
261.2(f). Today’s revision to the
speculative accumulation provision at
40 CFR 261.1(c)(8) does not entail
submitting notifications to EPA, posting
the quantity of the hazardous secondary
material and the time it was generated,
or posting finish dates. The final
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definition of ‘‘contained’’ specifies that
a unit must be properly labeled or
otherwise have a system (such as a log)
to immediately identify the hazardous
secondary materials in the unit. Neither
such a label nor the posting of an
accumulation start date requires
detailed information. In response to the
commenters who were concerned about
hazardous secondary materials that
were continuously recycled without
prior storage, we agree with those
commenters and are revising the
proposed recordkeeping requirement to
allow ‘‘other appropriate methods’’ to be
used to document the accumulation
period.
For the reasons given above, EPA is
amending 40 CFR 261.1(c)(8) to require
that all persons subject to that provision
must place materials in a storage unit
with a label indicating the first date that
the excluded hazardous secondary
material began to be accumulated. If
placing a label on the storage unit is not
practicable, the accumulation period
must be documented through an
inventory log or other appropriate
method.
XV. Major Comments on the
Replacement of the Exclusion for
Hazardous Secondary Materials That
Are Transferred for the Purpose of
Reclamation
Summary of Comments: Replacement of
the Transfer-Based Exclusion With the
Alternative Subtitle C Recycling
Standards
Environmental and community
organizations, as well as many state
commenters, supported withdrawing
the transfer-based exclusion because
this would remove the possibility of
hazardous secondary materials being
sent to unpermitted reclaimers without
a manifest. These commenters agreed
with EPA’s rationale that transfers of
most types of hazardous secondary
materials to other companies for
reclamation involve discard, and that
the 2008 DSW transfer-based exclusion
could result in adverse impacts to
human health and the environment
from discarded material. Commenters
noted that, prior to reclamation
occurring, hazardous secondary
materials have limited inherent value.
Some commenters in particular were
concerned about how the transfer-based
exclusion made the generator
responsible for verifying the safety and
legitimacy of the recycler’s operations,
when most generators would not have
the expertise to make such a
determination. One commenter
examined the compliance history of the
facilities currently operating under the
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1749
2008 DSW exclusions and noted that a
large percentage have been the subject
of enforcement actions in the past five
years, and many have been subject to
clean-up authorities under either RCRA
or CERCLA for past contamination.
Most states supported the alternative
hazardous waste standards as a
replacement for the transfer-based
exclusion as an approach that would
help encourage recycling, while
maintaining protection of human health
and the environment. States generally
supported the longer accumulation
period, but some state commenters
suggested replacing it with the
speculative accumulation limits.
Finally, while, as noted above,
environmental groups supported
removing the transfer-based exclusion
because of the potential hazards from
third-party recycling, they did not
support the alternative standards
because they believed that the longer
accumulation times would not be as
protective as full Subtitle C regulation.
In contrast, most industry
commenters and a few states opposed
replacing the transfer-based exclusion
with alternative hazardous waste
standards. These commenters argued
that the withdrawal would significantly
hinder reclamation and therefore, the
lifecycle environmental benefits from
recycling, contrary to the resource
conservation goals of RCRA. One
commenter reported that retaining the
generator-controlled exclusion but not
allowing off-site transfers limits
generator flexibility if, due to
unforeseen circumstances (e.g.,
equipment malfunctions), the generator
is not able to recycle on-site. Several
industry commenters opposed the
alternative standards, saying that the
added compliance requirements (e.g.,
the reclamation plan) are likely to
outweigh any benefit provided by the
relaxed accumulation time limits. Two
commenters suggested that EPA apply
the alternative standards to the
reclamation facility, but reduce the
requirements that apply to the
generator, given that the majority of the
damage cases occurred at the recycling
facility.
Commenters also argued that EPA’s
record does not support repealing the
transfer-based exclusion, stating that
EPA did not present any new data that
the 2008 DSW transfer-based exclusion
would cause environmental harm and
noting that the 2011 DSW proposal
stated that facilities currently operating
under the exclusion do not appear to
have any problems from hazardous
materials recycling. Comments included
discussions of the conditions of the
2008 DSW transfer-based exclusion and
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why such conditions would be adequate
to protect human health and the
environment, and suggested if EPA was
concerned about the conditions, the
solution would be to strengthen the
conditions, not withdraw the exclusion.
In particular, the Pennsylvania
Department of Environmental
Protection, which oversees 27 of the 65
facilities operating under the transferbased exclusion, commented strongly in
favor of keeping the transfer-based
exclusion and suggested that EPA add a
condition that recyclers have a RCRA
Subtitle C permit.
EPA’s Response: EPA agrees with
those comments stating that the 2008
transfer-based exclusion could result in
adverse impacts to human health and
the environment from discarded
material, but disagrees that all off-site
transfers for reclamation requires
Subtitle C hazardous waste regulation,
because imposing Subtitle C hazardous
waste regulation would result in
regulating hazardous secondary material
that is currently being legitimately
recycled and not discarded as hazardous
waste. Instead, EPA agrees with those
commenters that support retaining an
exclusion from the definition of solid
waste for off-site recycling with
additional conditions which will
address the potential for discard
happening in the future.
As discussed in more detail in Section
VI of this preamble, EPA has identified
several regulatory gaps in the 2008
transfer-based exclusion that could
result in significant risk to human
health and the environment from
discarded material. Specifically, the
conditions for the transfer-based
exclusion for recyclers lack the ability to
provide oversight before management
begins and do not allow public
participation in the environmental
decision-making process, thereby
decreasing the likelihood of compliance
and increasing the potential for risk to
human health and the environment
from discarded hazardous secondary
material. The evidence of past damage
cases at third-party recycling facilities
leading to significant risk to human
health and the environment from
hazardous secondary materials
originally intended for recycling and the
underlying perverse incentives of the
recycling market to over-accumulate
such hazardous secondary materials
intended for recycling, resulting in
discard of the material, demonstrates
the need for such additional oversight
and public participation. In other
words, the transfer-based exclusion can
exacerbate financial incentives for small
and/or inexperienced businesses to take
in more hazardous secondary materials
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than they actually can use, mishandle it,
and even go out of business, as shown
by the fact that bankruptcies or other
types of business failures were
associated with 66% of the recycling
damage cases, resulting in multi-million
dollar cleanups.
At the same time, as EPA noted in the
2011 DSW proposal and as was echoed
in the public comments, EPA has also
carefully monitored the implementation
of the 2008 DSW final rule since it came
into effect in December 2008, and to
date, no environmental problems have
been reported at facilities claiming the
DSW exclusions. As of April 2014, a
total of 65 facilities are operating under
the transfer-based exclusion, 56 of
which are generators transferring off-site
and 7 which are reclamation facilities.44
All seven reclamation facilities are
RCRA permitted. (There are no
reclaimers without a Subtitle C permit
currently operating under the transferbased exclusion). Of the 56 generators
operating under the transfer-based
exclusion, 32 generators appear to have
either started or substantially increased
their recycling as a result of the 2008
DSW exclusions. These include
generators that had previously reported
in their 2007, 2009, or 2011 biennial
report that they sent their solvents
offsite for fuel blending, and then
notified that they are sending their
spent solvents for reclamation under the
2008 DSW final rule. In addition, in at
least five cases, facilities have switched
from sending spent pickle liquor to
landfilling or deep well injection to
recycling under the 2008 DSW rule. In
total, the 2008 DSW notifications
document that over 57,000 tons of
hazardous secondary material were
reclaimed under the 2008 DSW rule
during 2011.45 In addition, the fact that
the Pennsylvania Department of
Environmental Protection (PA DEP),
which oversees 27 of the 65 facilities
operating under the transfer-based
exclusion, commented strongly in favor
of keeping the transfer-based exclusion,
supports the idea that an exclusion for
off-site reclamation can be safely
implemented. At the same time, given
that the transfer-based exclusion has
been achieving its intended purpose of
encourage safe, legitimate recycling,
withdrawing the transfer-based
exclusion and replacing it with RCRA
Subtitle C hazardous waste
requirements is unnecessary and would
44 Some of these facilities are also managing
hazardous secondary materials under the generatorcontrolled exclusion.
45 U.S. EPA, EPA’s Evaluation of Data Collected
from Notifications Submitted under the 2008
Definition of Solid Waste Exclusions, April 11,
2014.
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result in hazardous secondary material
that is currently being legitimately
recycled and not discarded being
regulated as hazardous waste. Because
Subtitle C regulation would be more
stringent than the current exclusion, if
EPA were to finalize the alternative
Subtitle C standards, Pennsylvania (and
other states that have adopted the 2008
DSW rule) would have to change their
programs and regulate this material as
hazardous waste, despite the fact that it
is currently being legitimately recycled
and not discarded.
However, the fact that the comments
from PA DEP went on to recommend
that the transfer-based exclusion be
limited to RCRA-permitted recycling
facilities also supports EPA’s
determination that the selfimplementing measures of the transferbased exclusion have the potential to
result in significant risk to human
health and the environment. Because all
recycling under the transfer-based
exclusion has been (to date) performed
at RCRA permitted facilities, EPA is
unable to extrapolate what would
happen at facilities without a RCRA
Subtitle C permit if the transfer-based
exclusion were fully implemented.
Given the evidence of past damage cases
leading to significant risk to human
health and the environment from
hazardous secondary materials
originally intended for recycling and the
underlying perverse incentives of the
recycling market to over-accumulate
such hazardous secondary materials
intended for recycling, resulting in
discard of the material, additional
oversight of recycling beyond the selfimplementing measures of the transferbased exclusion are needed to ensure
that the hazardous secondary material is
legitimately recycled and not discarded.
EPA is therefore replacing the
transfer-based exclusion currently found
in 40 CFR 261.4(a)(24) and (25) with the
verified recycler exclusion in 40 CFR
261.4(a)(24). This replacement strikes an
appropriate balance between
encouraging the safe and legitimate
recycling of hazardous secondary
materials and allowing the appropriate
oversight to ensure the exclusion works
as intended. It also addresses the issue
of allowing a generator flexibility to
recycle on site or off site as
circumstances require (as long as the
generator notifies under both the
generator-controlled exclusion and the
verified recycler exclusion). As
discussed in section VI. D of the
preamble, the verified recycler
exclusion retains the conditions from
the transfer-based exclusion that were
intended to help identify hazardous
secondary material that is legitimate
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recycled and not discarded, and adds
conditions that address the regulatory
gaps identified in the 2011 DSW
proposal.
XVI. Major Comments on the
Remanufacturing Exclusion
A. List of Eligible Solvents
In the July 2011 DSW proposal, EPA
requested comments on excluding 18
spent solvents when they are
remanufactured back into higher value
commercial-grade solvents under the
conditions of the exclusion. The
solvents were: Toluene, xylenes,
ethylbenzene, 1,2,4-trimethylbenzene,
chlorobenzene, n-hexane, cyclohexane,
methyl tert-butyl ether, acetonitrile,
chloroform, chloromethane,
dichloromethane, methyl isobutyl
ketone, N,N-dimethylformamide,
tetrahydrofuran, n-butyl alcohol,
ethanol, and methanol. EPA chose these
18 spent solvent chemicals to limit the
exclusion to higher-value materials and
processes that resemble manufacturing
more than waste management. EPA also
requested comment on whether there
are other solvents, chemicals or other
types of hazardous secondary materials
that should be included in the
remanufacturing exclusion. In
particular, EPA requested comments on
opportunities for remanufacturing other
types of non-renewable hazardous
secondary materials, such as metal
catalysts or other types of metal-bearing
hazardous secondary materials.
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Comments: List of Eligible Solvents
Many commenters supported the
current list of spent solvents and did not
support expanding the list in any way.
These commenters cautioned against
expanding the list of chemicals until
EPA could determine the effectiveness
of this exclusion. Several other
comments did not focus on adding
solvents or other hazardous secondary
materials, but focused on the toxicity or
market structure of the 18 listed spent
solvents. One commenter questioned
the claim of ‘‘higher-value’’ for
chloroform, chloromethane, ethyl
benzene, xylene, methanol and MTBE.
Another commenter stated they no
longer use many of the 18 listed spent
solvents because the solvents are
defined as a toxic substance and a
hazardous air pollutant under other
environmental statutes. The commenter
continued by saying that members of
their association now use more
‘‘environmentally friendly’’ solvents.
The remaining commenters discussed
adding solvents or other hazardous
secondary materials. Some commenters
suggested expanding the solvent list to
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include benzene, acetone, isopropyl
alcohol, or all solvents used in reactors,
extractors, purifiers or blending
equipment in pharmaceutical, organic,
chemical, or plastics and resins
manufacturing. Finally other
commenters suggested adding
additional hazardous secondary
materials that were not solvents. The
hazardous secondary materials
suggested for addition were metalbearing hazardous secondary material,
F006 and spent hydroprocessing
catalysts.
EPA’s Response: List of Eligible
Solvents
EPA agrees with those commenters
who supported the remanufacturing
exclusion and limiting it to the list of 18
spent solvents, at least at this point in
time. EPA determined that these 18
spent solvents are good candidates for
remanufacturing because they are used
in large volumes as processing aids and
because there are existing markets for all
these solvents to be remanufactured to
serve similar purposes to those of the
original commercial-grade materials.
EPA does not agree with comments that
suggested adding chemicals to the list,
but did not provide specific data or
information that would lead the Agency
to add these chemicals to the list at this
point in time. While EPA may expand
the list of eligible hazardous secondary
materials for the remanufacturing
exclusion based on additional data (see
section VII of this preamble), the
currently available information only
supports the inclusion of the proposed
list of 18 spent solvents.
EPA disagrees with those commenters
who did not support including many of
the identified solvents on the list
because of their toxicity. In the 2011
DSW proposal, EPA acknowledged that
the eligible solvents have suspected or
recognized hazardous health effects
associated with their manufacture,
processing, and use.46 Although EPA
and industry have been working to find
substitutes for the more hazardous of
these solvents, or find ways to use less
of them, this has not yet been widely
achieved.47 48 With respect to the
pharmaceutical sector in particular,
complex chemical processes already
46 Allen, D., Shonnard, D., Green Engineering:
Environmentally Conscious Design of Chemical
Processes, Risk Concepts, chapter 2, pgs 35–62,
Austin, S., U.S. EPA Editor, Published by PrenticeHall, 2001.
47 For information on U.S. EPA’s Green Chemistry
Program, see https://www.epa.gov/gcc/.
48 Information on the American Chemical
Society’s Green Chemistry Institute’s
Pharmaceutical Roundtable is available via the ACS
Web site https://portal.acs.org/portal/acs/corg/
content.
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registered with the Food and Drug
Administration are involved, and EPA
has found this a very challenging area
to address in terms of chemical
substitution and process changes. In
addition, some of these solvents are
building blocks and primary
intermediate chemicals, making them
difficult to replace. Until lower-risk
substitutes for these solvents are found,
it is helpful from a health risk
standpoint to minimize the volume of
solvents manufactured and to limit
exposure to those already manufactured.
This is something that the
remanufacturing exclusion can achieve.
B. List of Eligible Industry Sectors
Under the 2011 DSW proposal, EPA
identified the operations of four
manufacturing sectors as candidates for
the remanufacturing exclusion. The
eligible sectors were pharmaceutical
manufacturing (NAICS 325412), basic
organic chemical manufacturing (NAICS
325199), plastics and resins
manufacturing (NAICS 325211), and the
paints and coatings manufacturing
sector (NAICS 325510). These four
sectors were selected because their
primary business is manufacturing
rather than waste management.
Furthermore, these sectors are closely
associated with the chemical functions
identified in the remanufacturing
exclusion and currently use a high
volume of the solvents identified for the
functional purposes included in this
exclusion. EPA also asked for comment
on whether there were other industry
sectors that should be included in the
remanufacturing exclusion.
Comments: List of Eligible Industry
Sectors
Several commenters suggested
specific industries for EPA to add to the
remanufacturing exclusion. The
suggested industries were K061
recyclers, the biofuels sector, recyclers
with a part B permit like Safety-Kleen,
petroleum refineries (NAICS 324110),
petrochemical manufacturers (NAICS
325110), synthetic rubber manufacturers
(NAICS 325212), fiber glass
manufacturers, and electronic
manufacturers. K061 recyclers and the
biofuels sector were suggested due to
their active markets and potential
impacts on the environment if
hazardous secondary materials were
managed improperly. Companies, such
as Safety-Kleen, with a part B permit,
were suggested because these recyclers
encourage sustainable materials
management through remanufacturing.
Petroleum refineries (NAICS 324110),
petrochemical manufacturers (NAICS
325110) and synthetic rubber
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manufacturers (NAICS 325212) were
suggested due to their significant
generation of spent solvents. The
commenter believed these industry
sectors’ spent solvents should be
eligible just like the solvents from the
proposed industry sectors. Another
commenter suggested adding fiber glass
manufacturers because they operate
refractory recycling programs and
refractories are higher-value hazardous
secondary materials. Finally, the
electronics sector was recommended for
its recycling of precious metals.
EPA’s Response: List of Eligible
Industry Sectors
EPA acknowledges that the industry
sectors that were nominated for
inclusion in the remanufacturing
exclusion participate in recycling
activities; however, these sectors’
recycling activities do not include the
types of practices or functions that were
within the scope of the remanufacturing
exclusion. Under the remanufacturing
exclusion, a manufacturer may send
their hazardous secondary material to
another manufacturer, from one of the
permissible industry sectors, provided
that the remanufacturer uses the
hazardous secondary material in one of
the four permissible functions. The
commenters all suggested industries
that send their hazardous secondary
materials to a third party, who is not
necessarily a manufacturer, but a facility
that would recover the solvent or other
hazardous secondary material and who
would then sell the recycled product to
another person.
As discussed in the market forces
study, it is generally in the best interest
of commercial third party recyclers to
maximize the amount of hazardous
secondary material they can accept to
increase profits. This market structure
creates a perverse market incentive to
over-accumulate hazardous secondary
materials, which can result in discard,
which the remanufacturing exclusion
seeks to avoid. In contrast, the market
forces study shows that facilities
engaged in industrial intra-company
recycling, where companies generate
hazardous secondary materials as byproducts of their main production
processes and recycle the hazardous
secondary materials used in production,
have more flexibility in waste
management decisions than a
commercial recycler does. When a
commercial recycler’s primary or entire
income is from accepting hazardous
secondary materials for recycling and
selling recycled products, there is no
economic alternative if the market
crashes to stay in business unless the
company can afford the cost of a
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hazardous waste management permit
and the cost of becoming a hazardous
waste disposal facility.
Remanufacturers, on the other hand, as
a type of intra-industry recycler, profit
primarily from the sale of their product
and can switch their inputs between
raw materials and hazardous secondary
materials if market conditions shift.
It is also not clear that the suggested
industry sectors will know what
function their hazardous secondary
materials will be used for after
remanufacturing. As discussed
previously, the remanufacturing
exclusion encourages higher-value
materials to be remanufactured and then
used in high-value processes again.
Furthermore, this exclusion focuses on
the functions of aiding chemical
manufacturing and processing because
the solvents performing these functions
retain their original physical and
chemical properties. In these functions,
the solvents are not contaminated by
substances, such as inks and greases,
which are difficult to separate, but only
mixed with pure product ingredients,
from which they can be separated
readily in a commercially feasible
manner. Unfortunately, the suggested
industry sectors provided by
commenters do not appear to coincide
with the intent of remanufacturing
hazardous secondary materials that
retain their original physical and
chemical properties. Therefore, these
additional sectors will not be included
in the remanufacturing exclusion.
However, EPA notes that these sectors
would be eligible to participate in the
verified recycler exclusion (40 CFR
261.4(a)(24)) if they meet the conditions
of that exclusion.
C. Regulatory Language
In the July 2011 DSW proposal, EPA
did not specifically include regulatory
language for the remanufacturing
exclusion, but EPA did include a
streamlined version of the scope,
applicability and conditions of the
exclusion followed by a very detailed
explanation of the exclusion that
included the reasoning for each
condition.
Comments: Regulatory Language
Many commenters said they were
unable to comment on the
remanufacturing exclusion because
there was no regulatory language
included in the proposal. Almost all
commenters supported the concept of
the remanufacturing exclusion, but
requested that EPA re-propose the
remanufacturing exclusion in a separate
rulemaking with regulatory text, so
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commenters could accurately comment
on the exclusion.
EPA’s Response: Regulatory Language
The preamble language discussing the
remanufacturing exclusion contained
adequate detail and information to
allow comment on the proposed
remanufacturing exclusion. In the July
2011 DSW proposal, the
remanufacturing exclusion was
presented in a narrative form that
closely resembles the regulatory
language being finalized today. The
proposed rule also included a large
amount of detail on the scope,
applicability, and conditions of the
remanufacturing exclusion. The
proposal laid out exactly what solvents,
industry sectors, and chemical functions
were permissible in the remanufacturing
exclusion. The proposal then clearly
stated what was required for the
notification, remanufacturing plan,
records of shipments and confirmations
of receipts, tanks and container
management standards and the
speculative accumulation requirement.
EPA has determined that between the
narrative and detailed explanation of
the remanufacturing exclusion,
commenters were provided more than
enough information to comment on the
remanufacturing exclusion, and thus,
we are finalizing it in today’s final rule.
XVII. Major Comments on Legitimacy
A. Codifying Legitimacy for All
Recycling
Comments: Codification of Legitimacy
Comments from industry across the
board (including waste management
companies) vehemently opposed
codifying the legitimacy provision at
§ 260.43 for the pre-2008 recycling
exclusions and exemptions, arguing that
this action, combined with making
factor 3 and factor 4 mandatory, is a
drastic change in policy and likely will
end much of the current recycling that
is occurring under RCRA. Industry
commenters argued that this would be
a huge administrative burden with little
environmental benefit and that
recycling has been taking place under
these exclusions largely without
problems for many years. Some industry
commenters expressed their opinion
that the codified legitimacy factors are
significantly different than EPA’s
existing legitimacy policy and therefore,
the legitimacy analysis that would have
to be undertaken is not substantively the
same. Other commenters opined that
applying the codified legitimacy
standard to the pre-2008 exclusions and
exemptions would function as a
disincentive to recycling by adding
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paperwork burden and increasing
compliance difficulties, especially for
generators who would be exposed to
potential RCRA enforcement due to
subsequent noncompliance by the
recycler. One commenter stated that
inspectors could miss the more obvious
cases of sham recycling because Agency
resources would be expended in
reviewing the large amount of required
documentation and inspecting the more
frequently used pre-existing exclusions,
such as the use/reuse exclusion in
261.2(e) and the closed loop recycling
exclusion in 261.4(a)(8) to the detriment
of investigating other potentially more
problematic recycling.
Many of the specific industry
commenters on this issue were scrap
metal recyclers who argued that
although they have been legitimately
recycling for decades, expecting them to
prove that their recycling operations
were legitimate for the first time would
be prohibitively expensive, timeconsuming and unworkable. The scrap
metal recycling industry had particular
issues with factor 4 as drafted in the
2011 DSW proposal and had many
questions on how to do the comparable
demonstration.
With respect to the states, a number
of states were supportive of codifying
one legitimacy standard for all
hazardous secondary material recycling
activities. They argued that codifying
the legitimacy provision would give
industry and states a definitive standard
to evaluate recycling and that industries
operating under the pre-2008 recycling
exclusions and exemptions should not
have any problems documenting
compliance with the legitimate
recycling provision of § 260.43, if their
recycling is truly legitimate. On the
other hand, a number of states, the
Association of State and Territorial
Solid Waste Management Officials
(ASTSWMO), and the Northeast Waste
Management Officials’ Association
(NEWMOA) all expressed concerns over
applying the codified legitimacy
standard to certain long-standing
recycling exclusions, including leadacid batteries, circuit boards, scrap
metal, and closed loop recycling, with
one state arguing that this additional
regulatory burden was not necessary for
the 2008 pre-existing exclusions and
exemptions.
Several environmental and
community organizations supported
codification of the legitimate recycling
provision for all hazardous secondary
materials recycling, but did not provide
a detailed explanation of their position.
In addition, whereas one environmental
organization acknowledged that EPA
did not solicit comment on the
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elimination of these exclusions, this
organization stated that they believed a
re-examination of all of the exclusions
by the Agency, including the pre-2008
exclusions and exemptions should be
conducted as soon as possible.
EPA’s Response: Codification of
Legitimacy
In response to the many comments
that were submitted, the Agency is
making a number of changes to the 2011
DSW proposal. Specifically, EPA is
codifying a general statement in
§ 261.2(g) that makes it clear that a
hazardous secondary material found to
be sham recycled is discarded and thus,
is a solid waste. However, we are not
codifying a reference to the legitimacy
provisions at 40 CFR 260.43 in each of
the pre-2008 recycling exclusions/
exemptions, as we proposed to do in the
2011 DSW proposal. On further
reflection, we have determined that the
sham recycling prohibition in § 261.2(g)
more clearly defines the Agency’s view
on legitimate recycling and the pre-2008
recycling exclusions and exemptions.
We also agree with those commenters
who pointed out that we generally
looked at the legitimacy of the recycling
activity when we promulgated the
material-specific or industry-specific
exclusions and, therefore, we are not
requiring facilities to revisit past
legitimacy determinations. However, by
codifying a prohibition on sham
recycling that applies to all hazardous
secondary materials being recycled, we
are confirming that we expect anyone
operating under a recycling exclusion or
exemption to do so legitimately. (As we
discuss later in this section and in
section VIII, the Agency also has made
a number of other revisions to the
legitimacy standard to address the
concerns raised in the comments.)
Comments: Effect on Existing
Legitimacy Determinations
Many industry commenters argued
that EPA or the states have already
made legitimate recycling
determinations for their specific
recyclable materials. Some commenters
also noted that EPA considered
legitimacy at the time their materialspecific exclusion was promulgated and
had already made legitimacy
determinations for those recyclable
materials (e.g., the zinc fertilizer
exclusion, precious metal exclusion,
etc.). These commenters also argued that
as part of rulemaking for the materialspecific exclusions, the Agency had
determined what conditions were
necessary to ensure legitimacy. Some
argued that overlaying the general
legitimacy factors on the 2008 pre-
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existing conditional exclusions and
exemptions is unnecessary and
duplicative and would create significant
disincentives to recycling.
EPA’s Response: Effect on Current
Legitimacy Determinations
In response to the concerns expressed
that the codified legitimacy factors
would lead to practices previously
considered legitimate now being
considered sham operations, in general,
the Agency is clarifying that it does not
intend for the current recycling
legitimacy determinations to change due
to the codification of the legitimacy
factors. We consider the factors we are
finalizing today to be consistent with
the criteria in the Lowrance Memo and
previous preamble statements on
legitimate recycling. Therefore, we
generally do not anticipate that
implementing agencies will revisit past
legitimacy determinations. If recycling
was considered legitimate under the
Lowrance Memo, its status should not
change as a result of today’s rule. To
make its intent more clear, the Agency
is codifying a prohibition against sham
recycling in § 261.2(g) instead of adding
a provision in each of the pre-2008
exclusions and exemptions referring to
the legitimacy provision in § 260.43.
This codification will give
implementing agencies a clear
regulatory statement that can be used to
enforce against sham recyclers, yet not
require the vast majority of recyclers
that are performing legitimate recycling
under the pre-2008 exclusions and
exemptions to revisit previously-made
legitimacy determinations.
Any existing legitimate recycling
determination should not change due to
the codification of the legitimacy
factors. In addition, examples that were
provided in the public comments
helped inform our decision-making and
led us to revise factor 4 significantly to
address this issue. The final regulatory
text is consistent with the pre-existing
legitimacy guidance and the manner in
which legitimacy determinations have
been made by the EPA Regions and
authorized states. Thus, we do not
expect implementing agencies to revisit
past legitimacy determinations.
Regarding the existing exclusions and
exemptions in the regulations, EPA
acknowledges that, in establishing a
specific exclusion or exemption, we
have already determined in the
rulemaking record that the specific
recycling practice is excluded from the
definition of solid waste provided all
the conditions of the rule are met.
However, the Agency has always
enforced its rules on the basis that any
recycling must be legitimate (See U.S. v.
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Self, 2 F.3d 1071, 1079 (10th Cir. 1993);
U.S. v. Marine Shale Processors, 81 F.3d
1361, 1366 (5th Cir. 1996); Marine Shale
Processors v. EPA, 81 F.3d 1371, 1381–
83 (5th Cir. 1996)). This is meant to
prevent a company from claiming to be
operating under an existing exclusion or
exemption and simply using that as a
way to avoid full RCRA Subtitle C
regulation. Thus, since EPA is not
modifying the existing exclusions and
exemptions, there is no change
regarding legitimacy determinations,
except that the factors are now codified.
A company’s ability to claim a recycling
exclusion or exemption has always
depended on the recycling being
legitimate.
B. Making All Four Legitimacy Factors
Mandatory
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Comments: Mandatory Factors
For the most part, states commenting
on this part of the proposal supported
all the legitimacy factors being
mandatory (the exceptions being
Tennessee and Louisiana), although
several states went on to say that they
either opposed the petition process or
are concerned about it for the following
reasons: (1) The resources necessary for
addressing incoming petitions, (2) the
possibility of using the petition process
as a potential backdoor out of
legitimacy, and/or (3) the potential for
the petition process to lead to
inconsistencies among states on
legitimacy determinations. Most states
have supported making all four factors
mandatory in past proposals and
continue to do so here, arguing that
codifying the legitimacy factors in the
rule (instead of only in rule preamble
and in policy documents) will provide
clearer instruction to the regulated
community and will strengthen the
ability of state programs to enforce the
criteria in situations where recycling is
not legitimate. This, the states claim,
will reduce the potential risk to human
health and the environment from
mismanagement of hazardous secondary
materials and from elevated
concentrations of contaminants in
recycled products. They also argue that
making all four factors mandatory will
remove a serious flaw in the
enforceability of legitimacy. Other
commenters noted that requiring all four
legitimacy factors to be met is critical to
ensure reclamation is being conducted
at a qualified facility and to minimize
the potential for creation of future
damage cases. Most states found it hard
to conceive of a legitimate recycler that
would not be able to satisfy all four
factors.
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Although some commenters
representing the hazardous waste
recycling industry did support making
all the factors mandatory, the majority
of industry commenters did not support
this provision. Those commenters who
did support a requirement that all four
factors be met argued that this structure
would be fairer and more enforceable.
On the other hand, many of the
commenters that argued against making
all factors mandatory stated that this
would discourage much of the current
recycling and would be too hard to
meet. Commenters particularly singled
out factor 4 (toxics along for the ride) as
problematic for implementation.
Specifically, we got comments from
multiple members of the mining and
mineral processing industry arguing that
factor 4 is not applicable to their
industry and from scrap metal recyclers
asking how factor 4 would apply at their
facilities.
Many commenters also argued that
the petition process was not an adequate
mechanism for those processes that do
not meet all four factors because there
will be too many petitions for the states
and EPA to be able to process and
because shutting down recycling
operations during the time spent
waiting for petitions to be processed
would be very expensive and wasteful.
Another important consideration is
what the Agency has learned since
implementing the 2008 DSW final rule,
which finalized the legitimacy factors as
a condition of the generator-controlled
and transfer-based exclusions, with two
factors that are mandatory and two
factors that must be considered. Since
that rule became effective, the Agency
has become aware of a misconception
regarding the ‘‘to be considered’’ factors.
It has become clear that some industry
stakeholders believe those factors to be
less important, stating that they are
optional or even can be ignored. This
was not the Agency’s intention at all.
The Agency tried to make it clear that
they must be considered and could, in
fact, indicate sham recycling on their
own. However, through public comment
and stakeholder meetings, we have
repeatedly heard that industry views
these factors as optional.
Another argument against making all
the factors mandatory requirements is
that the overall determination is made
on a case-by-case basis, which is often
facility-specific, and not all legitimate
recycling can fit into such a rigid
system. Commenters argue that making
all four factors mandatory removes the
flexibility necessary for the broad
universe of hazardous secondary
materials being recycled.
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EPA’s Response: Mandatory Factors
After much consideration and review
of the public comments, the Agency has
decided to make all four legitimacy
factors mandatory with adjustments to
the factors themselves to account for the
variability and diversity of legitimate
hazardous secondary material recycling.
As explained above in sections VIII.B.5
and VIII.B.6, we have adjusted the
regulatory language of factor 4 to build
in more flexibility for meeting this
factor,49 but are also making it clear in
the regulatory language that it is
important that each factor be met,
except as otherwise noted.50 Since
finalizing the legitimacy factors in the
2008 DSW final rule, our experience
with implementation has made us
realize the importance of requiring all
factors be met. Even though we stressed
the importance of considering each
factor in the 2008 DSW final rule, many
of the stakeholders are under the
misimpression that the factors that were
to be considered could actually be
ignored. We did not mean to give the
impression that factor 3 and factor 4
were optional and thus, have decided
that the best way to give the proper
weight to these factors is to make them
mandatory with additional flexibility to
address the various recycling scenarios.
In addition, instead of a petition
process for those legitimate recycling
scenarios that don’t meet factor 4, we
are finalizing a documentation,
certification, and notification process.
We continue to find that legitimacy
determinations are best made on a caseby-case basis, which has always been
the case, with the facts of a specific
recycling situation in hand. If a person
has any questions as to the legitimacy of
a particular recycling activity, he can
always approach the appropriate
regulatory agency for assistance in
making a legitimacy determination.
C. Documentation of Legitimate
Recycling
When the Agency codified the
legitimacy standard in the 2008 DSW
final rule, we did not require specific
documentation regarding the legitimate
recycling determination. In the 2011
DSW proposal, in addition to proposing
that the legitimacy standard apply to all
49 In addition, we are also finalizing in the
regulatory language the additional flexibility that
was proposed in factor 3 to the legitimacy
provision.
50 As we discuss in Section VIII.B.6.c, the Agency
has included a self-implementing process that
would allow the person performing the recycling to
document, certify, and notify the appropriate
Regional Administrator that even though the
hazardous secondary material does not meet factor
4, the recycling is still considered legitimate.
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hazardous secondary material recycling
and that all four legitimacy factors must
be met, EPA proposed a new
documentation requirement for persons
performing the recycling. We proposed
that the recyclers include a narrative
description of how their hazardous
secondary materials are legitimately
recycled and that this documentation be
maintained on-site for the duration of
the recycling operations and for three
years after the recycling operations
cease. However, as explained above in
section VIII.C.2, we are only finalizing
the requirement to document a
legitimate recycling determination for
those recyclers operating under the
generator-controlled exclusion and for
those recyclers that are legitimately
recycling, but do not meet factor 4—that
is, they must document why the
recycling operation is legitimate even if
they do not meet factor 4.
Comments: Documentation
ASTSWMO, NEWMOA, and most
other states supported requiring
documentation of legitimate recycling
for both the generator and recycler (with
exceptions noted in their comments
about certain long-standing recycling
exclusions and exemptions, including
lead-acid batteries, circuit boards, scrap
metal, and closed loop recycling). Most
state environmental agencies cited the
ability to implement and enforce the
RCRA recycling program as the primary
reason why documentation is needed.
However, a few states did not support
requiring documentation for any of the
pre-2008 recycling exclusions and
exemptions. One state agreed that some
documentation may be necessary for
inspections, but also stated that
common business records would likely
suffice in most cases. An environmental
organization coalition suggested we
provide a consistent format and require
documentation of both generators and
recyclers. Industry generally opposed
the documentation requirement and felt
that it would pose significant practical
challenges, especially for factor 4. Some
industry commenters felt that ‘‘upfront’’ documentation is not necessary
since EPA can rely on § 261.2(f) for
documentation. Other commenters
argued that for companies that rely
heavily on the existing exclusions and
exemptions, it would be easy to
inadvertently miss documenting every
instance (i.e., closed loop recycling) and
the consequences could be severe. In
fact, one industry association argued
that documentation may actually cause
more non-compliance due to the huge
administrative burden, especially for
large facilities that utilize many of the
recycling exclusions and that the
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voluminous paperwork could result in
inspectors missing more obvious sham
recycling.
Other commenters objected to any
recordkeeping requirements
documenting that a recycling activity is
legitimate, arguing the policy is not new
so, therefore, no new documentation
should be required. They argued that
since EPA already believes most
recycling is legitimate, requiring
documentation for all recycling is overly
burdensome, expensive, and not
necessary. Some industry commenters
argued that EPA offered no evidence in
the record that documenting the
legitimacy of a recycling practice would
have any additional environmental
benefit. A few commenters asserted that
requiring documentation for all
recycling might actually cause more
non-compliance, especially for the more
frequently used recycling exclusions,
such as the use/reuse and closed-loop
recycling exclusions.
Finally, there was ample confusion in
the comments on who would be
required to put together and provide the
documentation. The Agency proposed
that the requirement would apply to the
‘‘persons performing the recycling.’’
That is, if the generator sent his
hazardous secondary materials off-site
to a recycler, then the recycler would be
the one responsible for maintaining the
documentation. If, on the other hand,
the generator recycled his hazardous
secondary materials on-site, then the
generator would be responsible for
documenting that the recycling activity
was legitimate. However, some
commenters still expressed confusion
over who would be responsible for the
documentation.
EPA’s Response: Documentation
As discussed previously, the Agency
has determined that, for purposes of the
existing pre-2008 recycling exclusions
and exemptions, documentation is not
required, unless the facility has
determined it is legitimately recycling,
but does not meet Factor 4. In the vast
majority of cases, recycling under the
existing exclusions is legitimate and
documentation is not necessary. The
Agency has previously acknowledged
the legitimacy of these recycling
practices when it first promulgated the
material-specific and industry-specific
exclusions and exemptions, when at
that time it took into consideration the
legitimacy of the recycling practices.
After review of the public comment, the
Agency has determined that routine
documentation of legitimacy is an
unnecessary burden for persons
legitimately recycling under the pre-
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2008 recycling exclusions and
exemptions.
However, the Agency is requiring
documentation on legitimacy
determinations under two
circumstances: (1) Persons operating
under the generator-controlled
exclusion originally finalized in the
2008 DSW final rule, and (2) persons
legitimately recycling under any
recycling exclusion or exemption where
the hazardous constituents in the
recycled products are not comparable or
are unable to be compared to those in
analogous products (unless the recycled
product meets widely recognized
commodity specifications or the
hazardous secondary material is
returned to the production process). In
these cases, the persons recycling would
be required to keep documentation of
the legitimacy of their recycling.
Specifically, the Agency has
determined that requiring
documentation under the generatorcontrolled exclusion is appropriate
because this exclusion is generic and
can be used by a wide variety of
industries recycling any of a number of
hazardous secondary materials. In
addition, as explained above in section
VIII.B.6.c, the Agency has also
determined that documentation is
necessary for those rare cases of
legitimate recycling that has
significantly higher levels of hazardous
constituents in the recycled product
than in an analogous product, or has no
analogous product, has no widelyrecognized commodity specifications for
the recycled product, and is not
returned to the production process. In
those cases, due to the selfimplementing nature of the legitimacy
determinations, it is important that the
recycler perform the proper assessment
and document how the recycling is still
legitimate.
Finally we would note that 40 CFR
261.2(f) applies whenever a person is
claiming that a hazardous secondary
material is not a solid waste, which
oftentimes is because the material is
being recycled. Section 261.2(f) states
that, in the context of an enforcement
action to implement Subtitle C of RCRA,
a person claiming that a material is not
a solid waste or is conditionally exempt
from regulation is responsible for
showing that they meet the terms of the
exclusion or exemption and must
provide appropriate documentation to
show why they are eligible. For the
legitimacy requirement finalized today,
under § 261.2(f), in the event of an
enforcement action, persons claiming
that their recycling activity is legitimate
would have the burden to provide
documentation showing how the
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recycling meets all four factors, except
as otherwise noted. That is, they would
need to show how the recyclable
hazardous secondary materials provide
a useful contribution to the recycling
process and are stored as valuable
commodities, and how the product of
the recycling activity is valuable and
comparable to a legitimate product.
D. Factor 3: Language and
Implementation
Comments: Factor 3
Many commenters supported the
regulatory language revisions to factor 3,
particularly the following additional
italicized language: ‘‘Where there is an
analogous raw material, the hazardous
secondary material, must be managed, at
a minimum, in a manner consistent
with the management of the raw
material or in an equally protective
manner.’’ Some commenters argued,
however, that the real change to factor
3 was the proposed revision to the
contained standard because the second
part of factor 3 reads: ‘‘Where there is
no analogous raw material, the
hazardous secondary material must be
contained.’’ These commenters
expressed concern that by making factor
3 mandatory and by revising the
contained definition, the Agency was in
effect making factor 3 more stringent.
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EPA’s Response: Factor 3
The Agency disagrees with the
comments that the revised contained
standard is more stringent and thus,
results in a more stringent factor 3. First,
as noted by the commenters, the
contained standard only applies in cases
where there is no analogous raw
material to compare the management of
the hazardous secondary material to.
More importantly, however, as
explained in more detail is section V,
while the revised contained standard is
more clear and more definitive, it is not
more stringent, but is consistent with
the contained standard previously
discussed and described in the
preamble to the 2008 DSW final rule.
Thus, EPA finds that overall the
revisions to factor 3 are reasonable and
consistent with the Agency’s previous
positions on legitimacy. Therefore, the
Agency is finalizing the regulatory
language for factor 3 as proposed and
has determined the added flexibility
will allow existing legitimate recycling
to continue without any negative impact
on environmental protection.
E. Factor 4: Language and
Implementation
In the 2011 DSW proposal, EPA
proposed to change the wording within
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the regulatory language for factor 4 from
‘‘significant’’ and ‘‘significantly
elevated’’ to ‘‘comparable to or lower
than’’ and explained that this language
more clearly reflects the intent of this
factor. In addition to this language
change, other proposed changes to the
legitimacy provision impact the design
and implementation of factor 4. The
proposal to make all four legitimacy
factors mandatory led many
commenters to discuss specific concerns
they had about factor 4 and what
problems they would have meeting the
factor as it was proposed. In this
section, EPA examines some of those
comments, as well as provides the
Agency’s responses and the changes that
were made to the proposal in this final
rule to make factor 4 more workable.
In concert with many of the
comments about the difficulties of
meeting the proposed factor 4, EPA also
received many comments about its
proposed petition process for when a
recycling process does not meet either
factor 3 or factor 4. EPA is thus, also
addressing those comments in this
section of the preamble because the
documentation, certification and
notification process that will be
replacing the proposed petition process
is found within factor 4 of the
legitimacy provision.
Comments: ‘‘Comparable’’
EPA’s proposal to change the
language within factor 4 that describes
the comparison of levels of
contaminants between products made
from recycling of hazardous secondary
materials and products using raw
materials was supported by most of the
states that commented on factor 4 and
opposed by many of the industry
commenters. The states that supported
the change stated that the term
‘‘comparable’’ is better because it is
more specific, though several of these
commenters also asked for further
guidance on the language.
Industry commenters who opposed
this change to factor 4 stated that there
was not a good reason in the preamble
for the change in the language and that
they do not think that ‘‘comparable’’
means the same thing as ‘‘not
significantly higher,’’ arguing that if the
terms mean the same thing there was no
reason for EPA to change them. Several
commenters argued that this change in
language makes the factor more
stringent and/or less flexible.
EPA’s Response: ‘‘Comparable’’
EPA is finalizing the proposed
language in this factor and using the
term ‘‘comparable’’ in discussing levels
of hazardous constituents. This term
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means any contaminants present in the
product made from hazardous
secondary materials are present at levels
comparable to or lower than the levels
in the analogous product, although
levels can be slightly higher than those
found in the analogous product, but
must be within a small acceptable range.
This change in language is not a change
from its long-standing policy and it is
also consistent with the legitimacy
provisions in the Identification of NonHazardous Secondary Materials that are
Solid Wastes final rule (76 FR 15456,
March 21, 2011).
In response to comments requesting
further guidance and those that state
that this language change is making
factor 4 too stringent, first we have
repeated in section VIII of the preamble
the examples that we included in the
2008 DSW final rule which explains
how the Agency envisions this factor
working. Moreover, the additional
changes that it made to factor 4 in this
final rule, describing several situations
under which a product of a recycling
process would be considered
comparable to a legitimate product or
intermediate, address both these
concerns. As EPA determined in
previous rulemakings, promulgating an
exact numerical cut-off for what would
be considered ‘‘comparable’’ is not
practicable for the legitimacy provision
because it applies to a wide variety of
recycling scenarios. EPA may provide
future guidance on the application of
this provision if needed.
Comments: Uncertainty About
Compliance
Many of the comments that EPA
received from industry regarding factor
4 stated that facilities are concerned
about this factor, particularly if it were
to become mandatory, because it would
be difficult to determine if a given
recycling process is in compliance.
Many of these commenters stated the
high cost of testing for 40 CFR part 261
Appendix VIII constituents as one of
their concerns.
EPA’s Response: Uncertainty About
Compliance
First, we are reiterating in this final
rule that testing of the recycled product
is generally not required under factor 4
of legitimacy. A generator can use its
knowledge of the materials it uses and
of the recycling process to make
legitimacy determinations, although
they may choose to test if they are
uncertain if the product from their
hazardous secondary materials contains
elevated levels of hazardous
constituents when compared to nonrecycled products. In addition, factor 4
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as finalized today presents no greater
compliance issues than it would under
the 2008 DSW final rule, because under
the 2008 legitimacy definition, a facility
still had to consider the hazardous
constituents in Appendix VIII of part
261 in determining whether factor 4 is
met, and be able to demonstrate why
recycling was still legitimate even if it
was not met. Furthermore, as we have
noted elsewhere, we have made certain
revisions to factor 4, in response to
comments, for facilities to determine
that they are in compliance with this
factor. Specifically, the provisions in
§ 260.43(a)(4) state that products that
meet widely recognized commodity
standards and specifications would be
considered comparable and meet factor
4 and hazardous secondary materials
that are recycled back into the original
generating process would be considered
comparable and also meet factor 4,
which is intended to make compliance
with factor 4 simpler across many of the
industries in which much industrial
recycling takes place.
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Comments: No Analogous Product To
Compare
Many of the comments regarding
factor 4, including many of the
examples that were sent in to describe
the difficulties of complying with factor
4, described recycling situations in
which there is no analogous product
and argued that it would be very
difficult to meet the proposed factor 4
in a situation where there is no
analogous product.
EPA’s Response: No Analogous Product
To Compare
After examining the comments
submitted, including the examples
provided, EPA agrees with the
commenters that the design of proposed
factor 4 did not adequately take into
consideration recycling scenarios that
either always includes some form of
recycled hazardous secondary material
or that would be considered closed loop
recycling. As a result of these
comments, EPA modified the structure
of factor 4 to include provisions
specifically for the situation where there
are no analogous products, (found in
§ 260.43(a)(4)(ii)). The finalized
provisions state that when there is no
analogous product, the product of the
recycling process is comparable to a
legitimate product or intermediate when
the product is a commodity meeting
widely recognized commodity standards
and specifications or when the
hazardous secondary materials being
recycling are returned to the original
process or processes from which they
were generated.
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This change to factor 4 provides the
necessary flexibility to those persons
who recycle hazardous secondary
materials for which there is not an
analogous product for comparison.
However, EPA has also included a
documentation, certification, and notice
provision for cases that do not fit these
two scenarios. Under this provision, the
recycler can perform an assessment of
the hazardous secondary material and
still determine that its recycling is
legitimate despite not meeting factor 4.
This finding must be documented and
certified by a responsible facility official
and a copy kept on-site for as long as the
recycling continues, and for 3 years after
the recycling operations cease. Also, a
notice of this finding must be sent to the
appropriate Regional Administrator (or
State Director, in an authorized state),
using the Site ID form.
Comments: Petition Process
As stated above in this section, many
commenters argued that the petition
process was not an adequate mechanism
for relief for those processes that do not
meet all four factors and therefore, they
opposed the proposed petition process.
They argued that there would be too
many petitions for the states and EPA to
process efficiently, which could result
in shutting down recycling operations
during the time spent waiting for
petitions to be processed, which would
be very expensive and wasteful. States
were particularly concerned about the
amount of resources that would be
needed to process the incoming
petitions.
EPA’s Response: Petition Process
In response to the arguments
presented by the commenters in
opposition to the petition process and
the concerns with how implementation
of the petition process could impact
recycling, EPA is not finalizing the
petition process in this final rule.
Instead, EPA has made two changes to
its proposal to account for the situations
that the petition process was meant to
cover. The first is the additional
provisions in factor 4 (already discussed
above in this section) that describe the
specific situations in which EPA
considers a product of a recycling
process to be comparable to an
analogous product or intermediate. The
second is the documentation,
certification, and notice provision for
products that have levels of hazardous
constituents that are not comparable to
or lower than an analogous product or
intermediate or that are unable to be
compared, but which are not covered by
the new provisions.
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Under the documentation,
certification, and notice process, a
recycler must determine that its
recycling is still legitimate despite the
levels of hazardous constituents in the
recycled product not being comparable
to those in an analogous product or
intermediate. This determination can
take into account exposure of toxics in
the product, bioavailability of toxics in
the product or other relevant
considerations that show the recycled
product does not contain levels of
hazardous constituents that pose a risk
to human health or the environment.
The facility then must prepare
documentation explaining its
assessment and include a certification
that the recycling is legitimate. In
addition, the facility would need to
notify the appropriate Regional
Administrator (or State Director, in an
authorized state) of this finding.
This provision is a less burdensome
process for both recyclers and the states
implementing the RCRA program
because it maintains the selfimplementing nature of the legitimacy
requirement. However, because facilities
will still have to provide notice to the
regulatory agency, it also allows
implementing agencies to perform
oversight and inspections of recycling
facilities if they are concerned about the
legitimacy of a specific recycling
process.
XVIII. Major Comments on the
Revisions to Solid Waste Variances and
Non-Waste Determinations
In the July 2011 DSW proposed rule,
EPA proposed several modifications to
the existing regulations for solid waste
variances and non-waste determinations
in 40 CFR 260.31(c), 40 CFR 260.33 and
40 CFR 260.34 to ensure protection of
human health and the environment and
foster greater consistency on the part of
implementing agencies.
A. Requiring Facilities To Re-Apply for
a Variance or Non-Waste Determination
In the July 2011 DSW proposal, EPA
proposed to revise 40 CFR 260.33(c) to
require facilities to re-apply for a
variance in the event of a change in
circumstances that affects how a
material meets the criteria upon which
a solid waste variance has been based,
as is currently required for non-waste
determinations. Additionally, EPA
requested comment on whether to
require variances and non-waste
determinations to be renewed
periodically, and, if so, what time
period would be appropriate (e.g., two
or five years as suggested in the
preamble to the 2011 July DSW
proposal).
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Comments: Re-Apply for a Variance in
the Event of a Change
The majority of commenters
supported EPA’s proposed change to
require facilities to re-apply for a
variance in the event of change in
circumstances that affects how a
hazardous secondary material meets the
criteria upon which a solid waste
variance has been based. The
commenters believe the change
promoted clarity and consistency in the
regulations and that it made sense to
ensure the hazardous secondary
materials continued to meet the
conditions of the exclusion over time.
Other commenters, however, while
supporting such a provision, urged EPA
to require a re-certification rather than
a full application process so as to reduce
the burden on states and the regulated
community.
A few commenters disagreed with this
provision, as they argued that
administrative authorities already use
discretion to review changes in
circumstances.
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EPA’s Response: Re-Apply for a
Variance in the Event of a Change
EPA agrees with the majority of
commenters that finalizing a
requirement to require facilities to take
action in the event of a change in
circumstances will ensure the
hazardous secondary material remains
eligible for a variance and continues to
meet the variance criteria over time.
EPA also agrees with those commenters
that suggested ways to reduce the
administrative burden on states and the
regulated community. Therefore, in
today’s final rule, EPA is requiring that,
in the event of a change, the facility
must send a description of the change
to the regulatory authority and the
regulatory authority will determine
whether the facility must re-apply for a
variance. This change in procedure
allows both the regulatory authority and
regulated community to avoid spending
unnecessary resources where the change
in circumstances is found to be of no
consequence to the original variance
that the regulatory authority has
granted. EPA notes that re-applying for
a variance should be less burdensome
than the initial application because a
facility would only have to update its
original application.
EPA disagrees with those commenters
who opposed this change on the basis
that regulatory authorities already use
discretion to review changes in
circumstances. First, the changes that
EPA made to the final rule would not
automatically require a person to reapply for the variance, but make the
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regulatory authority aware of the change
so that an informed decision could be
made as to whether the variance is still
appropriate. Moreover, relying on caseby-case discretion to require notice in
the event of a change could allow
certain hazardous secondary materials
to remain excluded from regulation
under Subtitle C of RCRA, even though
based on the changed circumstances,
the variance is no longer appropriate,
and could present a risk to human
health and the environment. It would
also contradict the Agency’s goal to
foster greater consistency on the part of
implementing agencies.
Comments: Periodic Renewal of
Variances and Non-Waste
Determinations
A number of commenters did not
support requiring periodic renewals of
variances and non-waste
determinations. Commenters opposed
this change because of the additional
burden on both the states and the
regulated community and the fact that
this would not be needed if EPA
finalized its proposed change to require
a renewal or recertification in the event
of a change. Additionally, some
commenters argued that the
administrative authority already has
discretion to set renewal timeframes as
a condition of the variance. One
commenter argued that facilities make
significant business investments based
on regulatory certainty and, thus, if
variances are subject to repeal, this may
prevent investment in recycling
activities.
A few commenters, however,
supported a renewal requirement and
argued that reapplying in the event of a
change is not the same as a periodic
renewal. This commenter argued that
the requirement to re-apply in the event
of a change relies almost entirely on the
facility to self-report on a change in
circumstances, of which the facility may
have an economic incentive not to do.
Other commenters suggested that
generators ‘‘re-certify,’’ rather than reapply, on an annual or biennial basis
that they continue to meet the
conditions of a variance or non-waste
determination in order to reduce
administrative burden.
EPA’s Response: Periodic Renewal of
Variances and Non-Waste
Determinations
EPA agrees with the commenters that
supported a renewal requirement for
solid waste variances and non-waste
determinations. Variances and nonwaste determinations are granted based
on case-specific circumstances of a
particular hazardous secondary material
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being recycled. Many of the variance
and non-waste determination criteria
specifically consider factors such as, the
manner in which the hazardous
secondary material is recycled, the
market factors of the recycling process,
the value of the hazardous secondary
material, and contractual arrangements.
However, these factors are not static
and, instead, change and evolve over
time. It is therefore prudent that
regulatory authorities periodically
review these case-specific situations to
ensure that the hazardous secondary
material continues to meet the criteria of
the variance or non-waste
determination. Therefore, EPA is adding
a provision to 40 CFR 260.33(d) that
solid waste variances and non-waste
determinations shall be effective for a
fixed term not to exceed 10 years, which
is the same term limit for RCRA
hazardous waste permits under 40 CFR
270.50(a).
EPA is establishing a time limit of 10
years (rather than two or five years, as
suggested in the July 2011 proposal)
considering the need to provide
regulatory certainty to support business
investment, as well as the fact that 10
years is the same as the duration of
RCRA permits under 40 CFR 270.50(a).
The 10-year time frame also ensures that
renewals occur regularly enough in
order to evaluate significant changes in
recycling processes, technologies, and
market factors that may affect the terms
of a variance or non-waste
determination.
EPA disagrees with those commenters
who argued that periodic renewals
would not be needed if EPA finalized
the proposed change to require notice in
the event of a change in circumstances
that affect how a hazardous secondary
material meets the conditions of a
variance or, as currently required for a
non-waste determination. As one
commenter noted, the requirement to
provide notice in the event of a change
relies on a facility self-reporting that
change and thus, this requirement may
not be consistently implemented. A
periodic time limit, in this case 10
years, however, triggers a re-review of
the circumstances without relying on
self-reporting by the facility.
Furthermore, EPA disagrees with
commenters who opposed this change
on the basis that regulatory authorities
already use discretion to review changes
in circumstances. (See response to this
comment in EPA’s Response to ‘‘ReApply for a Variance in the Event of a
Change.) Regarding the commenter that
argued that periodic renewals would
disrupt business investment, EPA finds
that a time limit of ten years (rather than
two or five years, as suggested in the
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July 2011 proposal) is a sufficient
amount of time to provide regulatory
certainty to support business
investment, given that ten years is the
same as the duration of RCRA permits.
B. Requiring Notification for Facilities
Operating Under Variances and NonWaste Determinations
In the July 2011 DSW proposal, EPA
proposed to add a provision under 40
CFR 260.33 stating that facilities
receiving a variance or non-waste
determination must provide notification
as required under 40 CFR 260.42. This
would require facilities to send a
notification prior to operating under the
regulatory provision and by March 1 of
each even-numbered year thereafter to
the EPA or the State Director, if the state
was authorized, using EPA Form 8700–
12.
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Comments: Requiring Notification for
Facilities Operating Under Variances
and Non-Waste Determinations
Commenters were split on this issue.
Many commenters supported requiring
facilities receiving a solid waste
variance or non-waste determination to
submit notifications in compliance with
40 CFR 260.42. These commenters
believed that the notification would
provide updated information about a
facility’s activities and would enable
better compliance monitoring. These
commenters also agreed that notification
would improve transparency, because
the notifications could be available
online.
However, many commenters opposed
requiring facilities that receive a
variance from being a solid waste or
non-waste determination to submit
notifications. These commenters argued
that the act of applying for and receiving
a variance or non-waste determination
constitutes adequate notification for
regulatory authorities. These
commenters also argued that
notification would increase the burden
on facilities and was not necessary if
EPA finalized its proposal to require
facilities to re-apply in the event of a
change.
EPA’s Response: Requiring Notification
for Facilities Operating Under Variances
and Non-Waste Determinations
Although EPA recognizes the
arguments both for and against
notification, EPA agrees with those
commenters who support notification in
order to enable better compliance
monitoring and to improve
transparency. Therefore, EPA is
finalizing a requirement in 40 CFR
260.33(e) that facilities receiving a
variance or non-waste determination
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must provide notification as required by
40 CFR 260.42.
This requirement serves to meet
EPA’s goal to foster greater consistency
on the part of implementing agencies
and to help ensure the proper
implementation of the solid waste
variances and non-waste
determinations. The intent of the
notification is to enable variances and
non-waste determinations to be tracked
nationally and over time, which
facilitates state-to-state consistency in
determinations. Additionally,
notification enables effective oversight
of facilities receiving solid waste
variances and non-waste determinations
because it provides regulatory
authorities with a mechanism for
receiving regularly updated information
(such as information regarding
quantities of hazardous secondary
materials managed under the
determination). Furthermore, this
information can be used to identify
facilities which may have undergone
changes to their reclamation process
significant enough to trigger a review of
the determination under 40 CFR
260.33(c).
EPA does not agree that the solid
waste variance or non-waste
determination application itself
constitutes adequate notification.
Currently, individual facility
applications are not tracked nationally
and there exist no consolidated list of
facilities operating under a solid waste
variance or non-waste determination.
Notification, using EPA Form 8700–12,
ensures that standard information
regarding facilities receiving solid waste
variances and non-waste determinations
can be collected, stored, and used to
enable compliance monitoring and to
foster consistency in implementing the
regulations.
We also do not agree that the
notification requirement is duplicative
of the requirement to send notice in the
event of a change because the two
requirements serve different purposes
and require different information. In the
event of a change, facilities must send
a description of the change in
circumstances to EPA or the authorized
state, who then make an evaluation as
to whether a facility should re-apply for
a solid waste variance or non-waste
determination. Under 40 CFR 260.42,
facilities submit information, such as
type and quantity of hazardous
secondary material being managed,
using EPA Form 8700–12, which
enables the information to be entered
into EPA’s database where it can be
accessed by both EPA and state
regulatory authorities.
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Furthermore, EPA does not agree that
notification using EPA Form 8700–12
poses an undue burden. The form is
relatively simple to complete and is
currently being used for facilities
excluded from the definition of solid
waste under 40 CFR 261.4(a)(23).
Additionally, EPA is currently
developing an electronic submission
process, which will further reduce
reporting burden.
C. Revisions to the Partial Reclamation
Variance
In the July 2011 DSW proposal, EPA
proposed to revise the partial
reclamation variance provision of 40
CFR 260.31(c) to clarify when partiallyreclaimed materials are not solid waste
because they are commodity-like.
Specifically, EPA proposed to: (1)
Revise the introductory text to clarify
when the variance applies; (2) revise the
introductory text to require that all of
the decision criteria must be met; (3)
revise the language of all of the decision
criteria; and (4) eliminate the sixth
criterion, that is, ‘‘other relevant
factors.’’
Comments: General Comments on
Proposed Changes to Partial
Reclamation Variance
Many commenters supported EPA’s
proposed changes to the partial
reclamation variance. In fact, two of
these commenters argued that existing
variances that do not meet the new
criteria should be rescinded or revised.
A few commenters, however, did not
support the proposed changes. These
commenters argued that EPA does not
have the record to support its finding
that states are inconsistently and
incorrectly applying the partial
reclamation variance criteria and that
variances granted by the states are not
protective of human health and the
environment. Additionally, one
commenter argued that EPA provided
no documentation for public review to
substantiate how EPA intended the
variance criteria to apply when it
promulgated the variance in 1985.
Another commenter argued that the
proposed changes will restrict recycling.
EPA’s Response: General Comments on
Proposed Changes to Partial
Reclamation Variance
EPA agrees with commenters who
supported the proposed changes. Not
finalizing the proposed revisions to the
partial reclamation variance would only
result in a continuation of inconsistency
among state determinations, which in
some cases, allow partially-reclaimed
materials to be excluded from the
definition of solid waste when they are
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clearly not commodity-like, but rather
hazardous wastes. EPA notes, however,
that the final changes to the partial
reclamation variance criteria only apply
to facilities receiving variances after the
effective date of today’s rule. The
changes are not retroactive and thus
would not apply to facilities currently
operating under existing partial
reclamation variances, unless and until
the facility’s variance came up for
renewal. Thus, the Agency does not
agree with those commenters who
suggested that any variance that does
not meet the revised criteria should be
rescinded or revised immediately.
EPA estimates that the states have
granted between 15 to 20 partial
reclamation variances, including
variances granted in Indiana, Louisiana,
Ohio, Oregon, Pennsylvania, Texas and
Washington. EPA itself has also issued
a partial reclamation variance to World
Resource Company (WRC) in Arizona.
(See list of partial reclamation variances
issues by the states in today’s docket.)
Some of the partial reclamation
variances were granted as the Agency
intended and have required RCRA Part
B storage and treatment permits for the
incoming hazardous waste material.
Other states, however, have issued
partial reclamation variances which
contradict the intention of the partial
reclamation variance. For example, EPA
publicly expressed its disagreement in a
November 18, 2010, letter to Indiana’s
Department of Environmental
Management (IDEM) concerning the
tentative approval of a facility’s request
for a partial reclamation variance, a
copy of which is found in today’s
docket. In our letter, we made clear that
we did not believe IDEM should grant
a partial reclamation variance to
incoming hazardous wastes that were
not ‘‘sufficiently commodity-like to
qualify for the variance.’’
EPA also disagrees with commenters
who argued that EPA’s record does not
provide adequate basis for how the
Agency intended the partial reclamation
variance to operate. In the preamble to
the 1985 DSW final rule (January 4,
1985; 50 FR 655), the Agency made
clear that incoming materials to a partial
reclamation facility were hazardous
wastes and that the facility processing
these incoming materials must obtain
appropriate RCRA Part B storage and
treatment permits. (Furthermore, these
facilities are also subject to biennial
reporting under 40 CFR 264.75.)
Additionally, the Agency points to the
partial reclamation variance it issued to
WRC on August 13, 2002 (67 FR 52617)
as a public example of the how the
Agency intended for the partial
reclamation variance to be
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implemented. In this case, the Agency’s
partial reclamation variance to WRC for
the partial reclamation of F006
electroplating sludges required WRC to
obtain RCRA Part B storage and
treatment permits for the incoming
hazardous waste.
In addition, EPA disagrees that the
final rule changes will unnecessarily
restrict recycling. Today’s changes
clarify how the partial reclamation
variance has always been intended to
operate; thus, any recycling that is
consequentially restricted from the
variance as a result of the changes was
never intended to be excluded from
hazardous waste requirements. EPA
maintains that hazardous waste must be
managed under appropriate hazardous
waste requirements in order to ensure
protection of human health and the
environment.
Comments: Revisions to Introductory
Text
Most commenters supported the
proposed changes to the introductory
text, including requiring that all criteria
must be met and requiring compliance
with the legitimacy criteria in 40 CFR
260.43. One commenter, while
supporting the proposed changes said
that EPA should define vague words
such as ‘‘commodity-like,’’ ‘‘sufficient
economic value,’’ and ‘‘substantial.’’
Another commenter said that
commodity-like partially-reclaimed
material must be marketable to the
general public, that is, it must be a
material that could be marketed to more
than one facility.
Some commenters did not agree that
all the criteria must be met. One
commenter argued that this conflicts
with EPA’s 1985 preamble in which
EPA said the Regional Administrator
can weigh factors and may rely on any
or all of them to reach a decision.
Additionally, the WRC variance that
EPA issued acknowledged that the
partial reclamation steps being
performed were ‘‘not elaborate.’’
However, the partial reclamation
involved by WRC was sufficiently
substantial to produce a commodity-like
material as verified by contracts, sales,
and subsequent management of the
commodity-like material. Other
commenters believed EPA’s proposed
changes to the introductory text
imposed prescriptive conditions which
conflict with the intent of the variance
by restricting the administrative
authority’s decision-making discretion.
EPA’s Response: Revisions to
Introductory Text
EPA agrees with those commenters
who supported the proposed changes to
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the introductory text, including
requiring that all criteria must be met
and requiring compliance with the
legitimacy factors in 40 CFR 260.43. In
response to the one commenter who
believed that certain terms are vague, it
is EPA’s intent with this final rule to
clarify how the partial reclamation
variance should be applied. Although,
specific definitions would be difficult to
promulgate given the broad
applicability of the terms, EPA notes
that today’s preamble discussion along
with today’s regulatory revisions to the
variance criteria serve to better define
how EPA is using these terms in the
partial reclamation variance,
particularly when a material becomes
commodity-like. For example, EPA
notes in its preamble that criteria 2–5
define the fundamental characteristics
that indicate whether a partiallyreclaimed material is ‘‘commodity-like.’’
Regarding comments that argued
against requiring all criteria to be met,
EPA has determined that in order to
reduce the inconsistency in state-tostate partial reclamation variances, the
criteria must be made more prescriptive.
Balancing the factors, as was EPA’s
original direction in 1985, has resulted
in subjective interpretations that differ
across states and which, in some cases,
do not align with the original intent of
the partial reclamation variance. EPA
finds that requiring all criteria to be met
is a more effective framework for
determining when a partially-reclaimed
material is commodity-like and
therefore not a solid waste.
Comments: General Comments on
Revisions to Variance Criteria
Many commenters supported the
changes to the criteria of the partial
reclamation variance. However, a few
commenters disagreed with inserting
the word ‘‘whether’’ at the beginning of
each criterion because it implied the
criterion was more prescriptive. A few
commenters also argued that EPA’s
proposed insertion of the word
‘‘partially’’ before ‘‘reclaimed’’
disregards the fact that EPA has
acknowledged that more than one
processing step may be necessary before
the inherent value of a usable product
is recovered.
EPA’s Response: General Comments on
Revisions to Variance Criteria
EPA agrees with the many
commenters that supported the
proposed changes to the variance
criteria. Regarding EPA’s proposed
insertion of the word ‘‘whether’’ in each
criterion, the intent of this change is to
make the criteria more prescriptive in
order to reduce the inconsistency of
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partial reclamation variance
determinations. EPA also disagrees that
adding the word ‘‘partially’’ in front of
‘‘reclaimed’’ disregards the fact that EPA
has acknowledged that more than one
processing step may be necessary before
the inherent value of a usable product
is recovered. EPA recognizes that
reclamation of hazardous secondary
materials may involve multiple steps
and hazardous waste may be recycled in
any number of steps in accordance with
the hazardous waste regulations.
However, EPA maintains that a variance
from the definition of solid waste is
appropriate only for partially-reclaimed
material that is commodity-like, as
demonstrated by satisfaction of the
partial reclamation criteria.
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Comments: Proposed Criterion (1)—
Whether the Degree of Partial
Reclamation the Material Has
Undergone Is Substantial
For the first proposed criterion, two
commenters argued that EPA’s use of
‘‘partial reclamation’’ in place of
‘‘processing’’ did not provide additional
clarification. Another commenter stated
the criterion should state EPA’s intent
on 76 FR 44129 and read ‘‘whether the
degree of partial reclamation the
material has undergone is substantial
and the material produced is not the
original hazardous waste.’’ Other
commenters were concerned regarding
the term ‘‘substantial,’’ because it is
subjective and needs a better definition.
These commenters argued that EPA has
not provided a standard regarding when
a material is ‘‘no longer the original
hazardous waste.’’
EPA’s Response: Proposed Criterion
(1)—Whether the Degree of Partial
Reclamation the Material Has
Undergone Is Substantial
EPA disagrees with those commenters
who argued that EPA’s use of ‘‘partial
reclamation’’ in place of ‘‘processing’’
did not provide additional clarification.
The term ‘‘processing’’ is a broad,
general term that can refer to a number
of processes, such as the process used
to generate the hazardous waste.
However, the intention of the partial
reclamation variance is to evaluate,
specifically, the degree of partial
reclamation and therefore it makes
sense to use ‘‘partial reclamation’’ in
criterion 1. Additionally, this revised
language for the first criterion conforms
to the revised changes in the
introductory text of the partial
reclamation variance.
EPA agrees with commenters that
adding a clarifying statement to
criterion (1) is helpful and has added
‘‘as demonstrated by using a partial
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reclamation process other than the
process that generated the hazardous
waste’’ after ‘‘substantial.’’ We believe
this language clarifies (and responds to
the comment regarding the term
‘‘substantial’’) that the process used to
generate the hazardous waste (such as
dewatering of sludge) would not be
considered ‘‘substantial’’ under this
criterion. Therefore, by emphasizing
that the partial reclamation process
must be substantial in the first criterion,
the Agency is reiterating that the
material produced by the partial
reclamation process must be
commodity-like as supported by also
meeting criteria (2)–(5).
Under the final rule, EPA is finalizing
the first criterion to read: ‘‘Whether the
degree of partial reclamation the
material has undergone is substantial as
demonstrated by using a partial
reclamation process other than the
process that generated the hazardous
waste.’’
Comments: Proposed Criterion (2)—
Whether the Partially-Reclaimed
Material Has Sufficient Economic Value
That it Will Be Purchased for Final
Reclamation
For the second proposed criterion,
one commenter supported EPA’s
emphasis in the preamble on the
existence of contracts for the sale of the
partially-reclaimed material. This
commenter argued that such emphasis
is important to ensure that partial
reclaimers do not accumulate significant
quantities of material without assurance
that a willing buyer actually exists. This
commenter stated that an example of
excess accumulation risk is shown by
the variance recently granted by IDEM
to the facility, ShoreMet, in which the
variance was granted on the basis that
a market for the partially-reclaimed
material would exist solely because
other reclaimers had sold fullyreclaimed F006 (wastewater treatment
sludges from electroplating operations)
and F019 (wastewater treatment sludges
from aluminum coating processes). This
commenter argued that such an analysis
does not ensure that ShoreMet can
market its partially-reclaimed material.
Another commenter argued that
reclamation may involve more than one
processing step and that the proposed
changes to this criterion limit the
administrative authority’s ability to
consider the value of the partiallyreclaimed material and the usable end
products. This commenter also argued
that the term ‘‘value’’ in 40 CFR 260.43
means sold to a third party or used as
an effective substitute, which may not
apply here. Still another commenter
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noted the F006 reclamation guidance 51
allows the use of theoretical ‘‘on paper’’
value of precious metals present,
despite that substantial processing
might be needed before those precious
metals realize market value.
EPA’s Response: Proposed Criterion
(2)—Whether the Partially-Reclaimed
Material Has Sufficient Economic Value
That it Will Be Purchased for Final
Reclamation
EPA agrees with the commenter that
supported EPA’s emphasis in the
preamble on the existence of contracts
for the sale of the partially-reclaimed
material as demonstrating the second
criterion is being met.
As we have stated previously, the
partial reclamation variance is for those
hazardous secondary materials that have
been partially-reclaimed but, must be
reclaimed further, as long as the partial
reclamation has produced a commoditylike material. That is, if the partiallyreclaimed material is being purchased
for further reclamation, the Agency
considers the partially-reclaimed
material to have sufficient economic
value, regardless of how each party
calculates the value to be paid. Evidence
to support this criterion may include
sales information; demand for the
materials; and business contracts, such
as contracts specifying quantities of
material sold, details of the transaction,
and the effective price paid for the
partially reclaimed material by
purchasers (i.e., after subtracting
transportation costs and any other goods
or services rendered in exchange for the
material purchased).
EPA is making one change to the
proposed second criterion. As noted
above, EPA understands that
reclamation of hazardous waste may
involve multiple steps and thus EPA
finds it is more appropriate to ensure
that the partially-reclaimed material is
purchased for ‘‘further reclamation’’
rather than ‘‘final reclamation’’ to allow
for processes that use more than one
reclamation step in processing the
partially-reclaimed material. Therefore,
the final second criterion in today’s rule
reads: ‘‘Whether the partially-reclaimed
material has sufficient economic value
that it will be purchased for further
reclamation.’’
51 U.S. EPA, ‘‘Background Document: Providing
Context—The Example of F006 Electroplating
Sludges,’’ June 2011. Docket ID: EPA–HQ–RCRA–
2010–0742–0016.
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Comments: Proposed Criterion (3)—
Whether the Partially-Reclaimed
Material Is a Viable Substitute for a
Product or Intermediate Produced From
Virgin or Raw Materials Which Feeds
Subsequent Production Steps
For the third criterion, one
commenter disagreed with the proposed
wording change because it restricts the
authority’s ability to consider the
benefit provided by subsequent
processing of the partially-reclaimed
material and directs the authority only
to consider whether it is immediately a
substitute or product before further
processing. Another commenter
suggested replacing the phrase ‘‘which
feed subsequent production steps’’ with
the phrase ‘‘that is used in a subsequent
manufacturing process’’ to be more
clear. Still another commenter suggested
that this criterion should state more
plainly that ‘‘it is a substitute for
ingredients, intermediates, or
commercially available virgin/raw
materials.’’
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EPA’s Response: Proposed Criterion
(3)—Whether the Partially-Reclaimed
Material Is a Viable Substitute for a
Product or Intermediate Produced From
Virgin or Raw Materials Which Feeds
Subsequent Production Steps
EPA maintains that the partial
reclamation variance is for those
materials that have been partiallyreclaimed, but must be reclaimed
further, as long as the partial
reclamation has produced a commoditylike material. Thus, whether or not a
material is produced at a later stage of
reclamation as a viable substitute for a
product or intermediate is not relevant
in determining whether a partiallyreclaimed material produced earlier is
commodity-like.
EPA agrees with the commenter who
suggested replacing the phrase ‘‘which
feed subsequent production steps,’’ with
the commenters suggested wording,
with certain modifications, in order to
improve clarity. Therefore, the Agency
is modifying this criterion to read,
‘‘whether the partially-reclaimed
material is a viable substitute for a
product or intermediate produced from
virgin or raw materials, which is used
in subsequent production steps.’’ With
this clarification, the Agency is making
clear that, while multiple steps may be
involved in producing a commodity-like
material, it is only when the partiallyreclaimed material is a viable substitute
for a product or intermediate is it
considered ‘‘commodity-like.’’
EPA is not making the suggested
change to state that the partiallyreclaimed material ‘‘is a substitute for
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ingredients, intermediates, or
commercially available virgin/raw
materials’’ because EPA is concerned
that this language may introduce
confusion in distinguishing between
when a partially-reclaimed material is
‘‘commodity-like’’ as compared to raw
or virgin material that would need to
undergo substantial processing before
meeting this definition. Therefore, EPA
is maintaining the proposed language to
read ‘‘is a viable substitute for a product
or intermediate produced from virgin or
raw materials.’’
Comments: Proposed Criterion (4)—
Whether There Is a Guaranteed Market
for the Partially-Reclaimed Material
For the fourth proposed criterion,
whether there is a guaranteed market for
the partially-reclaimed material, a few
commenters argued that EPA is not
specific enough to meet its objective and
suggested that the criterion should read
‘‘whether there is a guaranteed and
secure long-term market for the
partially-reclaimed material.’’ These
commenters also stated that EPA should
include in the final rule more empirical
and measurable ways to define this
concept, for example including markets
with consistent positive profit margins
for a minimum of ten years.
materials and be managed exactly like
any other commodity.
EPA’s Response: Proposed Criterion
(5)—Whether the Partially-Reclaimed
Material Is Handled To Minimize Loss
EPA does not find that the phrase
‘‘minimize loss’’ needs to be better
defined. As we have discussed
elsewhere and in the preamble to the
2011 July DSW proposal, evidence to
support this criterion may include
documentation of facility procedures
used to minimize loss (e.g., inspections,
training) and storage and management
equipment designed to minimize loss.
Additionally, under today’s final rule,
partially-reclaimed materials must meet
the legitimate recycling standard in 40
CFR 260.43, which requires that the
hazardous secondary materials be
managed as a valuable commodity. This
criterion explains that, where there is an
analogous raw material, the hazardous
secondary materials must be managed,
at a minimum, in a manner consistent
with the management of the raw
material or in an equally protective
manner. Where there is no analogous
raw material, the hazardous secondary
material should be contained, as defined
in 40 CFR 260.10.
EPA’s Response: Proposed Criterion
(4)—Whether There Is a Guaranteed
Market for the Partially-Reclaimed
Material
EPA agrees that clarity is needed and
has modified the fourth criterion to
include examples of how a market for
the partially-reclaimed material can be
demonstrated. The fourth criterion now
reads, ‘‘whether there is a market for the
partially-reclaimed material as
demonstrated by known customer(s)
who are further reclaiming the material
(e.g. record of sales and/or contracts,
and evidence of subsequent use, such as
bills of lading).’’ In response to the
commenter who urged EPA to include
more empirical and measurable ways to
define this concept, the Agency has
determined that examination of the
contracts, record of sales, and bills of
lading between the partial reclaimer and
its customers will provide adequate
evidence of whether this criterion is
satisfied.
Comments: Revision To Eliminate Sixth
Criterion
Many commenters supported EPA’s
proposal to eliminate the sixth criterion
concerning other relevant factors. One
commenter stated that criterion six has
been and is currently being used as a
primary basis for granting partial
reclamation variances for hazardous
secondary materials, and has led to the
creation of unfair and illegal advantages
for some reclaimers.
A few commenters, however,
disagreed with the proposed change.
One commenter argued that removing
criterion six conflicts with the intent of
the partial reclamation variance by
restricting the administrative authority’s
discretion. Other commenters argued
that the overall situation should be
considered and that an applicant’s
history of compliance would be an
‘‘other relevant factor’’ that should be
considered when evaluating an
application for a partial reclamation
variance.
Comments: Proposed Criterion (5)—
Whether the Partially-Reclaimed
Material Is Handled To Minimize Loss
For the fifth proposed criterion, one
commenter argued that ‘‘minimize loss’’
should be better defined and that, at a
minimum, the partially-reclaimed
material should meet the ‘‘contained’’
standard for hazardous secondary
EPA’s Response: Revision To Eliminate
Sixth Criterion
EPA agrees with those commenters
that supported the elimination of the
sixth criterion. The sixth criterion has
resulted in subjective interpretations
which have led, in the Agency’s view,
to incorrect application of the partial
reclamation variance and therefore, EPA
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is removing it from the list of criteria.
We do not agree with the commenter
who argued that removing this criterion
would restrict the administrative
authority’s discretion. For example, EPA
agrees with those commenters who said
that an applicant’s history of
compliance could be considered as part
of a partial reclamation variance
determination. However, rather than
requiring that compliance be considered
under a sixth criterion, EPA notes that
compliance would likely be a factor in
determining how the facility is meeting
the legitimate recycling factors in 40
CFR 260.43 and the partial reclamation
variance criteria (1)–(5). For example,
regulatory compliance could be used
regarding whether the partiallyreclaimed material is handled to
minimize loss.
D. Revision to the Criteria for NonWaste Determinations To Require
Petitioners To Demonstrate Why Their
Material Cannot Meet an Existing
Exclusion
EPA proposed to revise the criteria for
the non-waste determination in 40 CFR
260.34 to require that petitioners
explain or demonstrate why their
hazardous secondary materials cannot
meet, or should not have to meet, the
existing DSW exclusions under 40 CFR
261.2 or 40 CFR 261.4.
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Comments: Non-Waste Determination
Criteria To Require Petitioners To
Demonstrate Why Their Material Cannot
Meet an Existing Exclusion
Many commenters agreed with this
proposed change. These commenters
noted that, as a practical matter, it
would seem facilities seeking such a
determination would have already
evaluated the existing exclusions and
thus, requiring this information should
not be overly burdensome.
A few commenters, however,
disagreed with this proposed change.
One commenter argued that petitioners
will be unwilling to provide
justification at the risk of
disqualification of an accepted
exclusion in another state or EPA region
for the same process. Another
commenter noted that there may be
legitimate reasons where the use of an
exclusion might be too close to call and
the facility wants greater comfort in a
determination. A third commenter
argued it is unreasonable for EPA to
place the burden of interpreting EPA’s
regulations on those who are regulated
prior to consenting to review a request
for a non-waste determination.
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EPA’s Response: Non-Waste
Determination Criteria To Require
Petitioners To Demonstrate Why Their
Material Cannot Meet an Existing
Exclusion
EPA agrees with those commenters
who supported this proposed change to
require that petitioners explain or
demonstrate why their hazardous
secondary materials cannot meet, or
should not have to meet, the existing
DSW exclusions under 40 CFR 261.2 or
40 CFR 261.4. EPA agrees that this type
of evaluation should already have been
conducted by facilities that are formally
petitioning the state or EPA for a nonwaste determination. This provision
provides the regulatory authority with
the information it needs, while helping
to reduce the number of applications
because facilities will be forced to
evaluate whether an existing selfimplementing exclusion may be used.
EPA does not agree with the opposing
arguments presented by the commenters
as a basis for not finalizing the proposed
change. These arguments, including that
a facility may want more comfort in a
determination and that EPA shouldn’t
put the burden on facilities to interpret
regulations, are precisely why EPA and
authorized states would benefit from
receiving an explanation or
demonstration from the facility why
they cannot or should not have to meet
an existing exclusion. This information
would enable regulatory authorities to
review and resolve questions regarding
whether a non-waste determination may
be warranted. Additionally, EPA does
not find convincing the argument that a
facility may be unwilling to provide
justification at the risk of
disqualification of an accepted
exclusion in another state or EPA
region. In fact, by finalizing this change,
EPA is fostering greater consistency in
state-to-state interpretations.
E. Designation of the Regional
Administrator as the EPA Recipient of
Petitions for Variances and Non-Waste
Determinations
In the July 2011 DSW proposal, EPA
proposed to change the word
‘‘Administrator’’ to ‘‘Regional
Administrator’’ in 40 CFR 260.30,
260.31, 260.32, 260.33, and 260.34. Due
to the case-specific nature of the
variances and non-waste
determinations, EPA believed that these
decisions may be better made by the
Regional Administrator.
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Comments: Designation of the Regional
Administrator as the EPA Recipient of
Petitions for Variance and Non-Waste
Determinations
Most of the comments on this issue
opposed the proposed change arguing
that there are significant differences in
regional interpretations just as there are
differences in state interpretations and
that the change will lead to increased
inconsistency in the implementation of
variances and non-waste
determinations. Other commenters
urged EPA to clarify that petitions for
solid waste variances and non-waste
determinations may be sent to Directors
of authorized states, just as the petition
process works currently. These
commenters argued that states are
delegated by EPA to administer the
hazardous waste regulations and,
therefore, states have a role in reviewing
solid waste variance and non-waste
determination petitions.
Only a few commenters supported the
proposed change.
EPA’s Response: Designation of the
Regional Administrator as the EPA
Recipient of Petitions for Variance and
Non-Waste Determinations
EPA recognizes the commenters’
concerns who argued that designating
the Regional Administrator, rather than
the Administrator, as the person
responsible for evaluating such petitions
and deciding whether to grant a solid
waste variance or a non-waste
determination may increase
inconsistency by virtue of there being
ten Regional Administrators as
compared to the one Administrator.
Because the Agency is striving for as
much consistency as possible, we have
decided not to finalize this proposed
change. We would also note that the
rule does not change in any way the
delegation of authority to states
authorized to administer the hazardous
waste regulations and thus, authorized
states that have adopted these
provisions may continue to evaluate and
decide whether to grant a solid waste
variance or a non-waste determination,
as they do currently.
F. Requirement To Share Copies of
Variances and Non-Waste
Determinations
In the July 2011 DSW proposal, EPA
requested comment on whether to
require states to share copies of any
solid waste variance and non-waste
determination petitions and the
tentative decisions with EPA for review
and comment in order to encourage
collaboration and national consistency.
Formalizing collaboration would have
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the benefit of reinforcing existing
working relationships between EPA and
the states.
Comments: Requirement To Share
Copies of Variances and Non-Waste
Determinations
A number of comments did not
support a requirement for states to share
copies of solid waste variance and nonwaste determination petitions with EPA
for comment. These commenters argued
that another layer of bureaucracy would
delay the process. One commenter was
concerned with protecting a company’s
confidential business information.
Another commenter argued that EPA
has not made an adequate case for the
need for national approvals and that
there may be legitimate reasons for
arriving at different conclusions, for
different variance petitions.
Some commenters, however,
supported EPA’s efforts to collect solid
waste variance and non-waste
determination decisions and to share
the information with other states.
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EPA’s Response: Requirement To Share
Copies of Variances and Non-Waste
Determinations
EPA recognizes commenters’ concerns
who argued that requiring states to share
copies of solid waste variance and nonwaste determination petitions with EPA
for review and comment would likely
increase the duration of the petition
process. Therefore, EPA is not codifying
this requirement in the final rule. EPA,
however, will likely continue to work
with the states in order to increase stateto-state consistency in such
determinations and may pursue nonregulatory efforts to collect and share
solid waste variances and non-waste
determinations as part of implementing
the final rule.
XIX. Major Comments on the Proposed
Revisions to Pre-2008 Recycling
Exclusions
In the 2011 DSW proposed rule, EPA
considered whether additional
requirements should be codified for
recycling exclusions and exemptions
that EPA promulgated prior to the 2008
DSW final rule. Specifically, EPA
requested comment on codifying the
legitimate recycling standard in 40 CFR
260.43, the contained standard in 40
CFR 260.10, and the notification
provision in 40 CFR 260.42 for 32
regulatory provisions that exclude or
exempt certain types of recycling from
full Subtitle C regulations.52
52 EPA also proposed additional recordkeeping
requirements in the speculative accumulation
standard in 40 CFR 261.1(c)(8). See section XIV for
responses to these comments.
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However, EPA explicitly did not
reopen comment on any substantive
provisions of the regulatory exclusions
or exemptions. The inclusion of
requirements for legitimacy,
containment, and notification were
strictly meant as means to better enforce
the regulations.
The request for comment stemmed
from EPA’s analysis of a report it
developed as part of the DSW
rulemaking, ‘‘An Assessment of
Environmental Problems Associated
with Recycling of Hazardous Secondary
Materials’’ (environmental problems
study), which analyzed 218 recycling
damage cases.53 The goal of the
environmental problems study was to
identify and characterize environmental
problems that have been attributed to
hazardous secondary material recycling
activities. EPA then used the findings
from this study to craft a number of
conditions for the 2008 DSW final rule,
which were specifically designed to
target the major causes of damage and
thus help define ‘‘discard’’ of hazardous
secondary materials. These conditions,
however, were applied only to the 2008
DSW exclusions.
EPA reviewed and analyzed each
damage case in the environmental
problems study and determined the
regulatory provision that likely, or
potentially, governed the management
of the hazardous secondary materials.54
This analysis was based on the type of
hazardous secondary material and the
date of the damage case related to the
effective date of the regulatory
provision. From this analysis, EPA had
concluded that over half of the damage
cases in the environmental problems
study were associated with hazardous
secondary materials that were likely
excluded or exempted from Subtitle C
regulation under an existing (pre-2008)
regulatory provision.55 For example,
53 The original environmental problems study,
published January 11, 2007, reviewed 208 damage
cases. Based on information submitted by
commenters to the 2007 DSW supplemental
proposed rule, EPA reviewed an additional ten
recycling damage cases in an addendum to the
environmental problems study, published July 14,
2008. A second addendum was published in June
2011. As part of this DSW final rule, EPA updated
the environmental problems study to combine all of
the information compiled from the 2007 study, the
2008 and 2011 addenda, and new information
collected by EPA since June 2011. This 2014
updated study includes information on 250 damage
cases and can be found in the docket for today’s
rule.
54 U.S. EPA Correlation of Recycling Damage
Cases with Regulatory Exclusions, Exemptions or
Alternative Standards.
55 The determination that the hazardous
secondary materials were ‘‘likely’’ associated with
pre-2008 recycling exclusions and exemptions was
based on the waste description and the fact that
most recyclers did not appear to have a RCRA
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EPA reported in the 2011 DSW
proposed rule that 52 damage cases
(23%) are associated with scrap metal
that is likely excluded under
§ 261.4(a)(13) and/or § 261.6(a)(3)(ii),
while drum reconditioning accounted
for 23 damage cases (10%), in which the
residuals are likely excluded under 40
CFR 261.7. Additionally, 35 damage
cases (16%) were associated with
batteries that are likely managed under
40 CFR 273.2 and/or 40 CFR part 266
subpart G. Based on these results, and
given that many of the pre-2008
recycling exclusions do not directly
specify conditions that are necessary to
ensure discard is not occurring, we
concluded that these provisions may not
be adequately enforceable in order to
protect human health and the
environment. Thus, in the 2011 DSW
proposal, we requested comment on
whether EPA should codify additional
conditions for these recycling
exclusions.
Many comments in response to EPA’s
request for comment on whether the
Agency should codify additional
conditions to the pre-2008 recycling
provisions were unfavorable, although a
number of comments indicated support
for the codification.
Comments: Potential Impact of
Additional Requirements
Industry commenters, and scrap metal
recyclers in particular, strongly opposed
adding conditions, arguing that the
additional conditions will pose an
undue burden on businesses without
any environmental benefit and will
discourage recycling. For example,
commenters argued that scrap metal
recyclers go to great lengths to ensure
that they do not handle hazardous
waste. These commenters said that, if
EPA were to add conditions to the scrap
metal exclusion, a scrap metal recycler
would be required to obtain additional
insurance, local licenses, training, new
inspection procedures, lawyers, and
consultants in order to maintain
compliance and to prepare for an
inadvertent loss of the exclusion, which
would make it a handler of hazardous
waste. Commenters argued that many
scrap metal businesses are small and
family-owned and cannot afford these
new requirements and thus, these
regulations will severely affect business
and jobs.
Many commenters also argued that
the contained standard is not necessary
or practical and would be expensive.
Commenters believed that the one-sizepermit. EPA did not specifically verify if the
damage case facility was operating under an
exclusion or exemption.
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fits-all approach that EPA requested
comment on fails to reflect EPA’s
recognition over the years of the need to
tailor any conditions for regulatory
exclusions to the specific characteristics
of the recycling activities. For example,
one commenter argued that the
contained standard is redundant for the
spent wood preservatives exclusion
under 40 CFR 261.4(a)(9), which already
requires facilities to manage solutions
and wastewater ‘‘to prevent release to
either land or groundwater or both’’ and
to construct recycling units so ‘‘prior to
reuse they can be visually or otherwise
determined to prevent such release.’’
This commenter also noted that drip
pads must comply with 40 CFR part 265
subpart W. Other commenters noted
that applying the contained standard to
lead-acid batteries is inappropriate and
unnecessary because EPA, on several
occasions, has recognized that
individual lead-acid batteries qualify as
‘‘containers,’’ citing a November 17,
1989, memo from Sylvia Lowrance (RO
13339). Furthermore, these commenters
argued that the contained standard
duplicates § 266.80(b).
Regarding notification, many
commenters did not support adding
notification to the pre-2008 exclusions.
These commenters argued that the EPA
Form 8700–12 (Site Identification Form)
and, in particular the Addendum to the
Site Identification Form, which is used
to notify under 40 CFR 260.42, is too
burdensome for facilities operating
under a pre-2008 exemption/exclusion.
For example, the Addendum requires
facilities to list their hazardous
secondary materials using EPA
hazardous waste codes. In some cases,
particularly for scrap metal recyclers,
facilities would be required to
determine which secondary material
would be considered a hazardous
secondary material, which may involve
extensive testing in order to determine
which hazardous waste code to report
on the form. Additionally, the
Addendum also requires facilities to
report quantities of hazardous
secondary material managed under the
exclusions, but commenters explained
that facilities operating under a pre2008 exclusion have not generally
determined which secondary material
would be considered a hazardous
secondary material, and therefore, any
quantity estimates, which are required
on the Addendum, would not be
reliable for programmatic decisions.
Moreover, commenters argued that
notification would be difficult for
facilities with multiple excluded
processes. For example, one commenter
explained that one facility in Tennessee
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has more than a hundred closed-loop
recycling processes and thus it would be
extremely onerous to report each
process on a notification.
Commenters also argued that it is
difficult to estimate the number of
facilities operating under the exclusions
and thus the impact on the state
implementers of the notification
program is uncertain. For example,
notification would impact all forms of
scrap metal handling (junk yards, scrap
dealers, steel-makers), generators and
handlers managing lead-acid batteries
(vehicle repair facilities, retailers) and
precious metals destined for
reclamation (x-ray facilities, dentists,
vets, jewelers). These commenters
argued that most states are already
under resource constraints and will be
unable to cope with the tens of
thousands of new forms that would
need processing if EPA were to codify
notification as a condition of the
exclusions. Some state commenters
suggested ways to reduce the burden on
states, including not requiring periodic
notifications on the same day that
biennial reports are due and by
implementing a process whereby
notifications could be submitted
electronically. Commenters also noted
that the re-notification requirement for
excluded facilities would be more
stringent than what is currently required
for hazardous waste small quantity
generators.
EPA’s Response: Potential Impact of
Additional Requirements
EPA did not believe at the time of the
proposal that the additional
requirements—meeting the legitimate
recycling standard, the contained
standard, and the notification
requirement—would present an undue
burden on facilities. As discussed in
more detail below, this is because EPA
considers certain requirements, like
legitimate recycling and containment,
inherent in the definition of solid waste
recycling exclusions and assumes that
the regulated community already meets
these standards. Notification was
considered to be a simple reporting
requirement that would pose minimal
additional burden.
However, upon reviewing the
comments, EPA has determined that
more study is needed before taking
action. Therefore, EPA is not making
any changes to the language of the 32
recycling exclusions and exemptions at
this time. In the case of the legitimacy
provision, EPA is instead codifying a
general prohibition against sham
recycling. In the case of the contained
standard and notification requirement,
EPA is deferring any action until further
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1765
study is conducted. EPA’s response to
comments regarding burden
implications of each of the provisions is
discussed in more detail below.
(1) Legitimacy. With respect to
legitimacy, it has been EPA’s longstanding policy that all recycling of
hazardous secondary materials must be
legitimate. If a facility is engaged in
sham recycling, this, by definition, is
not real recycling and that material is
being discarded. Additionally, EPA
considers the four legitimacy factors
codified in 40 CFR 260.43 to be
substantively the same as the existing
legitimacy policy, which has been
articulated in the 1989 Lowrance Memo
and in various DSW Federal Register
notices.
In proposing to codify the legitimate
recycling standard for all exclusions, we
did not intend to raise questions about
the status of general legitimacy
determinations that underlie these
existing exclusions from the definition
of solid waste, or about case-specific
determinations that have already been
made by EPA or the states. As noted in
the comments, EPA generally
considered the legitimacy of the
recycling process when the original
determinations were promulgated, and
the Agency did not intend to force
companies to have to reexamine long
standing legitimate recycling practices.
Therefore EPA is not revising the pre2008 exclusions and exemptions to
include a legitimacy requirement.
However, as discussed in section VIII,
these material-specific exclusions from
the definition of solid waste do not
negate the basic requirement that the
hazardous secondary material must be
legitimately recycled. Therefore, EPA is
codifying a general statement in
§ 261.2(g) that makes it clear that a
hazardous secondary material found to
be sham recycled is discarded and thus,
is a solid waste. By codifying a
prohibition on sham recycling that
applies to all hazardous secondary
materials being recycled, we are
confirming that we expect anyone
operating under a recycling exclusion or
exemption to be doing so legitimately.
EPA finds that this will give
implementing agencies a clear
regulatory statement that can be used to
enforce against sham recyclers, yet not
require the vast majority of recyclers
that are performing legitimate recycling
under the pre-2008 exclusions and
exemptions to revisit previously-made
legitimacy determinations.
Additionally, the Agency has, based
on the public comments, made
adjustments to the legitimacy factors to
build in more flexibility for meeting
each factor and thus, ease the use of the
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standard. For example, EPA has
modified factor 4 to rely on widelyrecognized commodity standards and
specifications in the case where there is
no analogous product as a way of
recognizing industry standards that
ensure their products are legitimate.
EPA gives the example in the regulatory
text of commodity specification grades
for common metals, which would be
relevant to scrap metal recyclers, among
other metal recyclers. EPA has also
included a provision that states that
when ‘‘hazardous secondary materials
being recycled are returned to the
original process or processes from
which they were generated to be reused,
the product of the recycling process is
comparable to a legitimate product or
intermediate,’’ and thus would meet
factor 4. This revision addresses
concerns regarding the closed loop
exemption at § 261.4(a)(8), as well as
mineral processing to produce primary
metals, because these processes always
include materials looping back into the
process to ensure that all the valuable
metals that can be extracted from the ore
are being collected for use.
For more information and responses
to comments on legitimacy, please see
section XVII in today’s preamble.
(2) Contained. With respect to the
contained standard, EPA has long
determined that hazardous secondary
materials that are released to the
environment and are not destined for
recycling are clearly discarded. Based
on the environmental problems study,
the results of which showed
mismanagement of hazardous secondary
materials as one of the major causes of
damage, EPA requested comment in the
2011 DSW proposed rule on applying
the proposed contained standard to all
hazardous secondary materials. EPA
assumes that the vast majority of
recycling facilities ‘‘contain’’ their
hazardous secondary materials and thus
would already meet the contained
standard. Therefore, EPA assumed that
the contained standard would not
present any additional burden to the
regulated community, especially since
the contained standard is ‘‘performancebased’’ and provides much flexibility,
but could be used to enforce against
those facilities that were mismanaging
their materials.
However, as the commenters’ noted,
EPA has already promulgated certain
management standards for some
exclusions based on the case-specific
characteristics of the hazardous
secondary material or recycling process
(e.g., drip pads used to manage
wastewaters and/or spent wood
preserving solutions under 40 CFR
261.4(a)(9)). Thus, EPA understands that
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simply applying the contained standard
wholesale across the 32 recycling
provisions, may not be the most
efficient or effective course of action as
EPA would not be considering how the
contained standard would work within
each specific exclusion and its existing
conditions. Therefore, EPA is deferring
action on applying the contained
standard to the pre-2008 exclusions and
exemptions until we can more
adequately address commenters’
concerns.
(3) Notification. With respect to
notification, EPA’s intent was to provide
basic information to regulatory
authorities in order to enable adequate
compliance monitoring of the
exclusions. EPA had requested
comment on requiring notification
under 40 CFR 260.42 using the Site ID
Form (EPA Form 8700–12), which is the
same provision used for the 2008 DSW
final rule exclusions. Given that this
form is familiar to the regulated
community, we had not considered this
requirement to pose an undue burden.
However, based on comments we
received, we understand that using the
same notification requirement
developed for hazardous secondary
materials that were recently excluded in
2008 presents challenges when used for
hazardous secondary materials that have
been excluded for many decades. For
example, the notification provision in
40 CFR 260.42 requires information on
types of hazardous secondary materials
(using hazardous waste codes) and
quantities of these materials. However,
as noted by commenters, this is
difficult, for example, for scrap metal
recyclers, because these facilities
currently do not distinguish between
non-hazardous scrap metal and scrap
metal that would be hazardous waste
were it not for the exclusion. Requiring
notification in this instance may infer
that scrap metal recyclers would be
required to extensively test their
hazardous secondary material in order
to determine if the scrap metal was
hazardous, and therefore excluded, and
to determine which hazardous waste
code to report on the form.
Additionally, the notification presents
challenges for facilities with numerous
closed-loop recycling processes because
the form would require these facilities
to specifically list each process. We also
understand commenters’ concerns
regarding the burden on states that must
review and process these forms. Because
the majority of the pre-2008 exclusions
and exemptions do not include
notification requirements, EPA does not
have precise data regarding how many
facilities are recycling hazardous
secondary materials under these
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exclusions and exemptions. This lack of
data hinders EPA’s ability to more
precisely estimate the burden on states
and whether such a requirement would
be environmentally beneficial.
Therefore, EPA is deferring action on
applying notification to the pre-2008
exclusions and exemptions until we can
more adequately address commenters’
concerns.
Comments: EPA’s Authority To Add
Requirements to Pre-2008 Exclusions
Commenters stated that EPA lacks
jurisdiction to add requirements to
materials that are not solid wastes and,
if EPA is changing its position on the
waste status of these materials, the
Agency must provide a reasoned
explanation for disregarding facts and
circumstances that underlay the prior
policy. Some commenters argued that
EPA had evaluated each of the
hazardous secondary materials at the
time it promulgated the exclusions and
thus, EPA must demonstrate why
management in compliance with the
existing conditions constitutes discard.
EPA’s Response: EPA’s Authority To
Add Requirements to Pre-2008
Exclusions
EPA disagrees with comments that
argue that EPA does not have the
authority to require conditions for
hazardous secondary materials being
recycled. As noted in the Background
section of this preamble, in the Safe
Food court case, the D.C. Circuit upheld
an EPA rule that excludes from the
definition of solid waste hazardous
secondary materials used to make zinc
fertilizers, and the fertilizers
themselves, as long as the recycled
materials meet certain handling, storage,
and reporting conditions and the
resulting fertilizers have concentration
levels for certain hazardous constituents
that fall below specified thresholds. It is
therefore within EPA’s discretion to
determine conditions under which a
hazardous secondary material is not
being discarded and thus may be
excluded from hazardous waste
regulation.
However, EPA agrees that more
information is needed before
determining whether adding
requirements to the pre-2008 exclusions
and exemptions is needed to make them
more enforceable. EPA’s request for
comment on this issue was based on
conclusions drawn from the
environmental problems study, which
evaluated over 200 damage cases, and
the Correlation of Recycling Damage
Cases with Regulatory Exclusions,
Exemptions or Alternative Standards,
which analyzed which damage cases
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were likely operating under a pre-2008
exclusion and exemption. From these
studies, EPA concluded that over half of
the damage cases were likely operating
under an existing exclusion and
exemption. However, EPA did not
examine the specific underlying causes
of the damage cases (whether they were
based on the lack of oversight of the pre2008 exclusions and exemptions or on
other causes). Thus EPA has decided
that additional information is needed to
determine whether additional regulatory
action is needed, or whether the
problems should be addressed through
some other method, such as outreach
and compliance assistance.
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Comments: Record Support
Many commenters argued that EPA’s
record does not support this regulatory
change and that EPA failed to conduct
a thorough analysis. For example,
commenters argued that EPA’s record
needs to show that significant
environmental problems have been
caused by a meaningful number of
facilities operating in compliance with
the pre-2008 exclusions and
exemptions. These commenters noted
that many of the damage cases involve
civil or criminal violations, indicating
that the problem was non-compliance
with the regulations, not from a lack of
regulations. Thus, these commenters
believed that EPA already has sufficient
authority to enforce against bad actors.
Additionally, EPA’s own analysis only
links damage cases to just seven
exclusions, yet EPA is considering
adding conditions to 32 exclusions.
EPA’s Response: Record Support
EPA disagrees with comments that
argue that since the environmental
problems study includes cases with
civil or criminal violations, this
demonstrates existing regulations are
adequately enforceable. On the contrary,
the frequency of violations in the
damage cases may demonstrate the need
for greater, not less, oversight,
particularly in the case of sham
recycling, where discard via overaccumulation of material can become a
major problem before the Agency can
take action.
For example, in one of the damage
cases, a facility whose primary business
was mixing electric arc furnace dust
(K061) with agricultural lime for sale as
a micronutrient lost its customers and
could not sell its product. However, the
facility continued to accept K061, and,
after approximately seven months, the
facility had accepted over 60,000 tons of
this hazardous waste and stored it on
the ground in piles up to 30 feet high,
with no prospect of it being used to
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produce a product and, thus,
legitimately recycled. While the initial
recycling of the K061 hazardous waste
was legitimate, when the facility failed
to produce a product that was actually
sold, the K061 could no longer be
considered legitimately recycled,
resulting in significant risk to human
health and the environment from
discarded material. Therefore EPA is
codifying a general probation against
sham recycling, in order to prevent such
cases from occurring.
However, in the case of containment
and notification, EPA agrees with
commenters and has determined that
additional information about the
underlying causes of the damage cases
would be useful to determine whether
additional regulatory action is needed,
or whether the problems should be
addressed through some other method,
such as outreach and compliance
assistance.
EPA also understands commenters’
concerns regarding the limitations of the
correlation analysis, including the fact
that EPA could only correlate with
confidence 7 of the 32 recycling
exclusions and exemptions to damage
cases in its environmental problems
study. The analysis was hampered by a
lack of precision in the data. For
example, because notification is not
required for the majority of pre-2008
exclusions and exemptions, we can only
conservatively identify damage case
correlations where the type of
hazardous secondary material very
clearly matches to an exclusion (e.g.,
scrap metal). We lack information to
make inferences for broadly applicable
exclusions, (e.g., use/reuse) or for
broadly defined hazardous secondary
materials (e.g., metal-bearing wastes).
Therefore, by virtue of some exclusions’
broad applicability, we were unable to
correlate them to specific damage cases.
Although it is difficult to assign
specific damage cases to certain
exclusions, we note that in the
environmental problems study only
nine of the damage cases were operating
under a RCRA permit at the time of
damage. Thus, EPA can generally
conclude that the majority of the
damage cases were operating outside of
RCRA, inferring these facilities were
either operating illegally or likely
operating under an exclusion,
exemption, alternate standard, or no
standard at all. In the case of
containment and notification, EPA has
determined that additional information
about the underlying causes of the
damage cases would be useful to
determine whether additional regulatory
action is needed, or whether the
problems should be addressed through
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1767
some other method, such as outreach
and compliance assistance.
Comments: Time To Comment
Industry commenters argued that they
did not have adequate time to comment.
Further, they had no forewarning of the
changes EPA was considering before the
proposal was issued. EPA’s request for
comment did not involve prior
discussions with stakeholders, as is
typical when developing proposed
rules. Moreover, this issue was not part
of the 2008 DSW final rulemaking,
Sierra Club’s petition, or part of EPA’s
settlement agreement with the Sierra
Club. Many commenters urged EPA to
meet with industry representatives in
order to better understand industry
practices.
Commenters also argued that if EPA
codified a notification as a condition of
the exclusions, thousands of facilities
would be at risk of losing the exclusion
due to failure to notify, which could
result in civil fines and solid waste
management fees for the facility. These
commenters stated that notification as a
condition in this instance presents acute
risks to facilities operating under an
exclusion, because, up to this point,
these facilities have not been required to
comply with the RCRA hazardous waste
requirements. Thus, commenters said
many facilities may fail to notify simply
because they were unaware the
regulations had changed.
EPA’s Response: Time To Comment
EPA understands commenters that
argued they did not have adequate time
to comment on applying the contained
standard and notification for pre-2008
recycling exclusions and exemptions.
Contrary to the legitimate recycling
standard, which has been EPA’s longstanding policy and has been articulated
in the 1989 Lowrance memo and
various Federal Register notices, EPA
had not previously indicated it was
considering the contained standard and
notification for pre-2008 exclusions and
exemptions prior to the 2011 DSW
proposal. Although the 2011 proposed
rule provided an opportunity for public
comment, EPA understands
commenters’ concerns, with notification
in particular, as these provisions would
impact thousands of businesses, many
of which may not be closely following
DSW rulemaking activity. EPA agrees
that a more inclusive approach to a
potential rulemaking that involves
stakeholders in upfront discussions
would likely result in gainful
information, more effective strategies for
addressing issues, and better
communication with the regulated
community.
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Comments: Support for Adding
Requirements to Existing Exclusions
Some commenters, including
environmental organizations, supported
adding conditions to the pre-2008
exclusions and exemptions, arguing that
EPA must adopt the regulatory
conditions, including the legitimacy
standard in light of the risks posed by
the 32 recycling exclusions and the
historical pattern of environmental
contamination at facilities that are
exempt from RCRA. These commenters
believed that the prevention of one
damage case every two years would
more than offset the compliance costs.
Some state commenters also supported
adding conditions to the pre-2008
exclusions and exemptions, although
some argued that EPA should exempt
certain types of hazardous secondary
materials, like scrap metal, spent leadacid batteries, closed-loop recycling,
and printed circuit boards, from the
requirements.
Other commenters supported adding
notification to the pre-2008 recycling
provisions. These commenters argued
that states may not be aware of excluded
activities unless they are occurring at
facilities that are otherwise regulated or
are the subject of a citizen complaint.
These commenters said that
notifications would allow states to
periodically evaluate these facilities to
ensure they are meeting the terms of the
exclusion and that, while the initial
burden on states might be quite heavy,
the long-term benefit of knowing where
these facilities are justifies this burden.
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EPA’s Response: Support for Adding
Requirements to Existing Exclusions
EPA acknowledges commenters who
support additional requirements for the
pre-2008 exclusions and exemptions in
order to avoid potential damage cases
and protect human health and the
environment. However, based on the
comments received, the EPA has
determined that it does not have enough
information to determine if adding
requirements to the existing pre-2008
recycling exclusions and exemptions
would be the most effective method for
addressing the damage cases or whether
a more targeted approach would be
more appropriate.
Regarding legitimacy, in lieu of
adding a legitimacy requirement to the
specific recycling exclusions, EPA is
instead codifying a general statement in
§ 261.2(g) that makes it clear that a
hazardous secondary material found to
be sham recycled is discarded and thus,
is a solid waste. EPA finds that this will
give implementing agencies a clear
regulatory statement that can be used to
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enforce against sham recyclers, yet not
require the vast majority of recyclers
that are performing legitimate recycling
under the pre-2008 exclusions and
exemptions to revisit previously-made
legitimacy determinations. EPA also
notes that today’s final legitimacy
standard includes modifications that
address implementation concerns for
certain hazardous secondary materials
and processes, such as scrap metal and
closed-loop recycling. For more
information on these modifications,
please see the other sections on
legitimacy in this preamble.
Regarding the contained standard and
notification, for reasons stated above,
the Agency is deferring action on
applying the contained standard and
notification to the pre-2008 exclusions
and exemptions in order to consider
how best to implement these conditions
in the context of the case-specific
circumstances of the regulatory
provisions.
XX. State Authorization
A. Applicability of Rules in Authorized
States
Under section 3006 of RCRA, EPA
may authorize a qualified state to
administer and enforce a hazardous
waste program within the state in lieu
of the federal program, and to issue and
enforce permits in the state. A state may
receive authorization by following the
approval process described in 40 CFR
271.21 (see 40 CFR part 271 for the
overall standards and requirements for
authorization). EPA continues to have
independent authority to bring
enforcement actions under RCRA
sections 3007, 3008, 3013, and 7003. An
authorized state also continues to have
independent authority to bring
enforcement actions under state law.
After a state receives initial
authorization, new federal requirements
promulgated under RCRA authority
existing prior to the 1984 Hazardous
and Solid Waste Amendments (HSWA)
do not apply in that state until the state
adopts and receives authorization for
equivalent state requirements. In
contrast, under RCRA section 3006(g)
(42 U.S.C. 6926(g)), new federal
requirements and prohibitions
promulgated pursuant to HSWA
provisions take effect in authorized
states at the same time that they take
effect in unauthorized states. As such,
EPA carries out the HSWA requirements
and prohibitions in authorized states,
including the issuance of new permits
implementing those requirements, until
EPA authorizes the state to do so.
Authorized states are required to
modify their programs only when EPA
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enacts federal requirements that are
more stringent or broader in scope than
the existing federal requirements. RCRA
section 3009 allows the states to impose
standards more stringent than those in
the federal program (see also 40 FR
271.1(i)). Therefore, authorized states
are not required to adopt federal
regulations, both HSWA and nonHSWA, that are considered less
stringent than previous federal
regulations or that narrow the scope of
the RCRA program and Subtitle C
hazardous waste regulations would
continue to apply in those states.
B. Effect on State Authorization of Final
Rule
The regulations finalized in today’s
notice are not promulgated under the
authority of HSWA. Thus, the standards
will be applicable on the effective date
only in those states that do not have
final authorization of their base RCRA
programs. Moreover, authorized states
are required to modify their programs
only when EPA promulgates federal
regulations that are more stringent or
broader in scope than the authorized
state regulations. For those changes that
are less stringent, states are not required
to modify their program. This is a result
of section 3009 of RCRA, which allows
states to impose more stringent
regulations than the federal program.
The revisions to the definition of solid
waste being finalized today are more
stringent than those promulgated under
the 2008 DSW final rule, so those states
which have adopted the 2008 DSW final
rule would be required to modify their
programs. However, when compared to
the federal program that was in place
when the 2008 DSW final rule was
finalized, many of today’s revisions
would be considered less stringent (e.g.,
the revised generator-controlled
exclusion, the verified recycler
exclusion, and the remanufacturing
exclusion). Therefore, authorized states
that have not adopted the 2008 DSW
final rule are not required to modify
their programs to adopt these exclusions
and the federally authorized state
hazardous waste regulations applying
the full subtitle C requirements will
continue to apply in those states. As
noted in footnote 58 of the proposed
rule, final decisions regarding whether a
state rule is more stringent under 40
CFR 271.1(i)(1) or broader in scope than
the federal program under 40 CFR
271.1(i)(2) are made when the Agency
authorizes state programs. However, the
revisions to the definition of legitimacy
and the prohibition of sham recycling,
as discussed in section VIII of the
preamble, are more stringent than the
current federal hazardous waste
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program because they codify implicit
requirements that have been largely
implemented through guidance. Also,
the additional recordkeeping
requirement in the speculative
accumulation provision in 40 CFR
261.1(c)(8), as discussed in section V of
the preamble, is also more stringent
than the current federal hazardous
waste program. Finally, the changes to
the standards and criteria for variances
from classification as a solid waste
discussed in section IX are more
stringent than the current federal
hazardous waste program. In these
cases, all authorized states will be
required to modify their programs to
adopt equivalent, consistent and no less
stringent requirements.
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XXI. Statutory and Executive Order
(EO) Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
Under Executive Order 12866 (58 FR
51735, October 4, 1993), this action is a
‘‘significant regulatory action’’ because
it is likely to ‘‘raise novel legal or policy
issues’’ under section 3(f)(4) of
Executive Order 12866. Accordingly,
EPA submitted this action to the Office
of Management and Budget (OMB) for
review under Executive Orders 12866
and 13563 (76 FR 3821, January 21,
2011) and any changes made in
response to OMB recommendations
have been documented in the docket for
this action.
In addition, EPA prepared an analysis
of the potential costs and benefits
associated with this action. This
analysis is contained in EPA’s
background document for today’s action
titled ‘‘Regulatory Impact Analysis’’
(RIA). A copy of the analysis is available
in the docket for this action and the
analysis is briefly summarized here.
EPA estimates that the 2014 DSW rule
will result in a future annual costs
savings of $1.0 to $2.0 million per year,
depending on discount rate used, as
compared to a baseline of full
implementation of the 2008 DSW rule.
This cost savings is based on the
assumption that same number of states
would adopt the 2014 DSW rule as
would adopt the 2008 DSW rule.
However, because the 2014 DSW rule
addresses many of the concerns states
raised about the 2008 DSW rule, there
is a potential that more states would
adopt it, thus increasing the upper
bound of annual cost savings to $17.5
million to $59 million per year.
In addition to estimating the cost
savings of today’s action, the RIA also
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provides qualitative (i.e., nonmonetized) descriptions of three
categories of expected future benefits for
today’s action consisting of: (1)
Reduction in future environmental
damages associated with industrial
recycling of hazardous secondary
materials; (2) improved industry
environmental compliance; (3) indirect
legal & financial benefits to industry
consisting of reduced liability, less
uncertainty for regulated entities, and
lower legal and financial credit costs.
unless it displays a currently valid OMB
control number. The OMB control
numbers for EPA’s regulations in 40
CFR are listed in 40 CFR part 9. When
this ICR is approved by OMB, the
Agency will publish a technical
amendment to 40 CFR part 9 in the
Federal Register to display the OMB
control number for the approved
information collection requirements
contained in this final rule.
B. Paperwork Reduction Act
(Information Collection Request)
The information collection
requirements in this rule will be
submitted for approval to the Office of
Management and Budget (OMB) under
the Paperwork Reduction Act, 44 U.S.C.
3501 et seq. The information collection
requirements are not enforceable until
OMB approves them. The information
collection request has been updated
since the July 22 proposed rule to reflect
the final rule requirements and to
respond to public comments. The EPA
ICR number for this next submission
will be 2310.03 and the OMB control
number will be 2050–0202.
Several information requirements
established for this action are voluntary
to the extent that the conditional
exclusions being finalized today are
voluntary and represent an overall
reduction in burden, as compared with
the alternative information requirements
associated with managing hazardous
secondary materials as hazardous waste.
The information requirements help
ensure that: (1) Entities operating under
today’s rule are held accountable to the
applicable requirements; and (2)
inspectors can verify compliance with
the conditions of today’s rule when
needed.
EPA estimates the total annual burden
to respondents under the new
paperwork requirements as a result of
the final rule changes to be 34,454 hours
and $68,071 in operations and
maintenance costs ($2,378,111,
including labor costs), respectively.
Burden and costs continuing from the
2008 ICR No. 2310.02 include 2,034
hours and $299 in operations and
maintenance ($144,235, including labor
costs), respectively. The total annual
burden and operations and maintenance
costs are estimated at 36,488 hours and
$68,370 in operations and maintenance
costs, or 109,464 hours and $205,110 in
operations and maintenance over three
years. Burden is defined at 5 CFR
1320.3(b).
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
The Regulatory Flexibility Act (RFA)
generally requires an agency to prepare
a regulatory flexibility analysis of any
rule subject to notice and comment
rulemaking requirements under the
Administrative Procedure Act or any
other statute unless the agency certifies
that the rule will not have a significant
economic impact on a substantial
number of small entities. Small entities
include small businesses, small
organizations, and small governmental
jurisdictions.
For purposes of assessing the impacts
of today’s rule on small entities, small
entity is defined as: (1) A small business
based on small size standards defined
by the Small Business Administration’s
(SBA) regulations at 13 CFR 121.201 for
27 NAICS codes with the largest number
of affected entities; (2) a small
governmental jurisdiction that is a
government of a city, county, town,
school district or special district with a
population of less than 50,000; and (3)
a small organization that is any not-forprofit enterprise which is independently
owned and operated and is not
dominant in its field.
After considering the economic
impacts of today’s final rule on small
entities, I certify that this action will not
have a significant economic impact on
a substantial number of small entities.
The small entities directly regulated by
this final rule are primarily small
businesses in the manufacturing sector
(i.e., NAICS codes 32 and 33). We have
determined that the average annual
impact on small businesses is estimated
to be significantly less than 1% of
annual business sales for all small
entities.
Although this final rule will not have
a significant economic impact on a
substantial number of small entities,
EPA nonetheless has tried to reduce the
impact of this rule on small entities.
Comments were requested, and the
comment period was extended once
until October 20, 2011. In September
2011, EPA held two public meetings to
accept public comment on the proposal
in Philadelphia, PA and in Chicago, IL.
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C. Regulatory Flexibility Act
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D. Unfunded Mandates Reform Act
This rule does not contain a Federal
mandate that may result in expenditures
of $100 million or more for state, local,
and Tribal governments, in the
aggregate, or the private sector in any
one year. EPA’s RIA for today’s action
estimates the maximum state
government share of future direct costs
for complying with today’s action is
$0.3 million per year. No impacts are
expected for local or Tribal
governments. Because these direct costs
are well below the $100 million annual
direct cost threshold, this rule is not
subject to the requirements of sections
202 or 205 of UMRA.
This rule is also not subject to the
requirements of section 203 of UMRA
because it contains no regulatory
requirements that might significantly or
uniquely affect small governments.
E. Executive Order 13132: Federalism
This action does not have federalism
implications. It will not have substantial
direct effects on the States, on the
relationship between the national
government and the States, or on the
distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132.
The RIA estimates that the state
government share of future annualized
direct costs is $0.3 million per year. No
added costs are expected for local or
tribal governments. Because these direct
costs are well below the $25 million
Federalism test threshold, EPA
concludes that Executive Order 13132
does not apply to today’s action.
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F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
Subject to the Executive Order 13175
(65 FR 67249, November 9, 2000), EPA
may not issue a regulation that has tribal
implications, that imposes substantial
direct compliance costs, and that is not
required by statute, unless the Federal
government provides the funds
necessary to pay the direct compliance
costs incurred by tribal governments, or
EPA consults with tribal officials early
in the process of developing the
regulation and develops a tribal
summary impact statement.
EPA has concluded that this action
may have tribal implications. However,
it will neither impose substantial direct
compliance costs on tribal governments,
nor preempt tribal law. Under the RCRA
statute, the federal government
implements hazardous waste
regulations directly in Indian Country.
Thus, the changes to the hazardous
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waste regulations promulgated today
would not impose any direct costs on
tribal governments. In addition,
currently there are no facilities
operating on land controlled by tribal
governments, but if such facilities did
locate in such areas, then this action
could have tribal implications, to the
extent that the rule is intended to
address potential adverse impacts of the
2008 DSW final rule.
EPA consulted with tribal officials
early in the process of developing this
regulation to ensure they had an
opportunity for meaningful and timely
input into its development. Specifically,
tribal representatives participated in the
public meetings EPA held on the draft
environmental justice methodology and
noted that the Bureau of Census data
used as the basis for the demographic
analysis may undercount indigenous
populations. EPA also sent a
consultation letter to all federally
recognized tribes requesting a
consultation on the 2011 DSW proposal
and held a tribes-only live webinar on
August 11, 2011 to allow tribal official
the opportunity to ask questions and
offer input into the proposed rule. EPA
did not receive formal comments from
tribal officials during the consultation
process.
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
This action is not subject to EO 13045
(62 FR 19885, April 23, 1997) because
it is not economically significant as
defined in EO 12866, and because the
Agency does not believe the
environmental health or safety risks
addressed by this action present a
disproportionate risk to children. This
action’s health and risk assessments are
contained in the Potential Adverse
Impacts Under the Definition of Solid
Waste Exclusions (Including Potential
Disproportionate Adverse Impacts to
Minority and Low-Income Populations)
in the docket for today’s rule.
H. Executive Order 13211: Actions That
Significantly Affect Energy Supply,
Distribution, or Use
This action is not a ‘‘significant
energy action’’ as defined in Executive
Order 13211 (66 FR 28355, May 22,
2001), because it is not likely to have a
significant adverse effect on the supply,
distribution, or use of energy. EPA does
not expect today’s final rule to adversely
affect the supply, distribution, or use of
energy.
On the contrary, EPA expects that at
least two elements of today’s final rule
may provide future annual energy
savings by (a) inducing under today’s
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solvent remanufacturing exclusion
larger future annual quantities of
industrial processing solvents which get
recycled rather than disposed (i.e.,
incinerated) thereby reducing the
relatively higher lifecycle energy and
other lifecycle resource impacts
associated with manufacturing virgin
solvents, and (b) inducing more state
governments to adopt the other DSW
exclusions which are revised under
today’s final rule, thereby generally
stimulating other types of industrial
recycling of hazardous secondary
materials (HSM), which EPA also
expects may reduce adverse lifecycle
impacts on the economy and
environment compared to the lifecycle
impacts of producing virgin materials
for which larger future annual quantities
of recycled HSM may substitute. Thus,
Executive Order 13211 does not apply
to this rule.
I. National Technology Transfer and
Advancement Act
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (NTTAA), Public Law 104–
113, 12(d) (15 U.S.C. 272 note) directs
EPA to use voluntary consensus
standards in its regulatory activities
unless to do so would be inconsistent
with applicable law or otherwise
impractical. Voluntary consensus
standards are technical standards (e.g.,
materials specifications, test methods,
sampling procedures, and business
practices) that are developed or adopted
by voluntary consensus standards
bodies. NTTAA directs EPA to provide
Congress, through OMB, explanations
when the Agency decides not to use
available and applicable voluntary
consensus standards.
This action does not involve technical
standards. Therefore, EPA did not
consider the use of any voluntary
consensus standards.
J. Executive Order 12898:
Environmental Justice
Executive Order 12898 (59 FR 7629
(Feb. 16, 1994)) establishes federal
executive policy on environmental
justice. Its main provision directs
federal agencies, to the greatest extent
practicable and permitted by law, to
make environmental justice part of their
mission by identifying and addressing,
as appropriate, disproportionately high
and adverse human health or
environmental effects of their programs,
policies, and activities on minority
populations and low-income
populations in the United States.
EPA has determined that this final
rule will not have disproportionately
high and adverse human health or
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environmental effects on minority or
low-income populations because it
increases the level of environmental
protection for all affected populations
without having any disproportionately
high and adverse human health or
environmental effects on any
population, including any minority or
low-income population. The purpose of
this final rule is to revise the 2008 DSW
final rule in such a way that reduces
potential adverse impacts, including
potential disproportionate impacts to
minority and low-impact communities.
For further information on the potential
for disproportionate impacts to minority
and low-income populations, see the
Potential Adverse Impacts Under the
Definition of Solid Waste Exclusions
(Including Potential Disproportionate
Adverse Impacts to Minority and LowIncome Populations) in the docket for
today’s rule.
K. Congressional Review Act
The Congressional Review Act, 5
U.S.C. 801 et seq., as added by the Small
Business Regulatory Enforcement
Fairness Act of 1996, generally provides
that before a rule may take effect, the
agency promulgating the rule must
submit a rule report, which includes a
copy of the rule, to each House of the
Congress and to the Comptroller General
of the United States. EPA will submit a
report containing this rule and other
required information to the U.S. Senate,
the U.S. House of Representatives, and
the Comptroller General of the United
States prior to publication of the rule in
the Federal Register. A Major rule
cannot take effect until 60 days after it
is published in the Federal Register.
This action is not a ‘‘major rule’’ as
defined by 5 U.S.C. 804(2). This rule
will be effective on July 13, 2015.
List of Subjects
40 CFR Part 260
Environmental protection,
Administrative practice and procedure,
Confidential business information,
Hazardous waste, Reporting and
recordkeeping requirements.
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40 CFR Part 261
Environmental protection, Hazardous
waste, Incorporation by reference,
Recycling, Solid waste.
Dated: December 10, 2014.
Gina McCarthy,
Administrator.
For the reasons set out in the
preamble, title 40, chapter I of the Code
of Federal Regulations is amended as
follows:
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PART 260—HAZARDOUS WASTE
MANAGEMENT SYSTEM: GENERAL
1. The authority citation for part 260
continues to read as follows:
■
Authority: 42 U.S.C. 6905, 6912(a), 6921–
6927, 6930, 6935, 6937, 6938, 6939 and 6974.
1771
was generated from the use of a
commercial-grade material in a
manufacturing process and can be
remanufactured into a similar
commercial-grade material.
*
*
*
*
*
Subpart C—Rulemaking Petitions
Subpart B—Definitions
3. Section 260.30 is amended by
adding paragraph (f) to read as follows:
■
2. Section 260.10 is amended as
follows:
■ a. Add in alphabetical order the
definition of ‘‘Contained;’’
■ b. Remove the definition of
‘‘Hazardous secondary material
generated and reclaimed under the
control of the generator;’’ and
■ c. Add in alphabetical order the
definition of ‘‘Remanufacturing,’’
The additions read as follows:
■
§ 260.10
Definitions
*
*
*
*
*
Contained means held in a unit
(including a land-based unit as defined
in this subpart) that meets the following
criteria:
(1) The unit is in good condition, with
no leaks or other continuing or
intermittent unpermitted releases of the
hazardous secondary materials to the
environment, and is designed, as
appropriate for the hazardous secondary
materials, to prevent releases of
hazardous secondary materials to the
environment. Unpermitted releases are
releases that are not covered by a permit
(such as a permit to discharge to water
or air) and may include, but are not
limited to, releases through surface
transport by precipitation runoff,
releases to soil and groundwater, windblown dust, fugitive air emissions, and
catastrophic unit failures;
(2) The unit is properly labeled or
otherwise has a system (such as a log)
to immediately identify the hazardous
secondary materials in the unit; and
(3) The unit holds hazardous
secondary materials that are compatible
with other hazardous secondary
materials placed in the unit and is
compatible with the materials used to
construct the unit and addresses any
potential risks of fires or explosions.
(4) Hazardous secondary materials in
units that meet the applicable
requirements of 40 CFR parts 264 or 265
are presumptively contained.
*
*
*
*
*
Remanufacturing means processing a
higher-value hazardous secondary
material in order to manufacture a
product that serves a similar functional
purpose as the original commercialgrade material. For the purpose of this
definition, a hazardous secondary
material is considered higher-value if it
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§ 260.30 Non-waste determinations and
variances from classification as a solid
waste.
*
*
*
*
*
(f) Hazardous secondary materials that
are transferred for reclamation under
§ 261.4(a)(24) and are managed at a
verified reclamation facility or
intermediate facility where the
management of the hazardous secondary
materials is not addressed under a
RCRA Part B permit or interim status
standards.
■ 4. Section 260.31 is amended by
revising paragraph (c) and adding
paragraph (d) to read as follows:
§ 260.31 Standards and criteria for
variances from classification as a solid
waste.
*
*
*
*
*
(c) The Administrator may grant
requests for a variance from classifying
as a solid waste those hazardous
secondary materials that have been
partially reclaimed, but must be
reclaimed further before recovery is
completed, if the partial reclamation has
produced a commodity-like material. A
determination that a partially-reclaimed
material for which the variance is
sought is commodity-like will be based
on whether the hazardous secondary
material is legitimately recycled as
specified in § 260.43 of this part and on
whether all of the following decision
criteria are satisfied:
(1) Whether the degree of partial
reclamation the material has undergone
is substantial as demonstrated by using
a partial reclamation process other than
the process that generated the hazardous
waste;
(2) Whether the partially-reclaimed
material has sufficient economic value
that it will be purchased for further
reclamation;
(3) Whether the partially-reclaimed
material is a viable substitute for a
product or intermediate produced from
virgin or raw materials which is used in
subsequent production steps;
(4) Whether there is a market for the
partially-reclaimed material as
demonstrated by known customer(s)
who are further reclaiming the material
(e.g., records of sales and/or contracts
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and evidence of subsequent use, such as
bills of lading);
(5) Whether the partially-reclaimed
material is handled to minimize loss.
(d) The Administrator may grant
requests for a variance from classifying
as a solid waste those hazardous
secondary materials that are transferred
for reclamation under § 261.4(a)(24) and
are managed at a verified reclamation
facility or intermediate facility where
the management of the hazardous
secondary materials is not addressed
under a RCRA Part B permit or interim
status standards. The Administrator’s
decision will be based on the following
criteria:
(1) The reclamation facility or
intermediate facility must demonstrate
that the reclamation process for the
hazardous secondary materials is
legitimate pursuant to § 260.43;
(2) The reclamation facility or
intermediate facility must satisfy the
financial assurance condition in
§ 261.4(a)(24)(vi)(F);
(3) The reclamation facility or
intermediate facility must not be subject
to a formal enforcement action in the
previous three years and not be
classified as a significant non-complier
under RCRA Subtitle C, or must provide
credible evidence that the facility will
manage the hazardous secondary
materials properly. Credible evidence
may include a demonstration that the
facility has taken remedial steps to
address the violations and prevent
future violations, or that the violations
are not relevant to the proper
management of the hazardous secondary
materials;
(4) The intermediate or reclamation
facility must have the equipment and
trained personnel needed to safely
manage the hazardous secondary
material and must meet emergency
preparedness and response
requirements under 40 CFR part 261
subpart M;
(5) If residuals are generated from the
reclamation of the excluded hazardous
secondary materials, the reclamation
facility must have the permits required
(if any) to manage the residuals, have a
contract with an appropriately
permitted facility to dispose of the
residuals or present credible evidence
that the residuals will be managed in a
manner that is protective of human
health and the environment, and
(6) The intermediate or reclamation
facility must address the potential for
risk to proximate populations from
unpermitted releases of the hazardous
secondary material to the environment
(i.e., releases that are not covered by a
permit, such as a permit to discharge to
water or air), which may include, but
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are not limited to, potential releases
through surface transport by
precipitation runoff, releases to soil and
groundwater, wind-blown dust, fugitive
air emissions, and catastrophic unit
failures), and must include
consideration of potential cumulative
risks from other nearby potential
stressors.
5. Section 260.33 is amended by
revising paragraph (c) and adding
paragraphs (d) and (e) to read as follows:
■
§ 260.33 Procedures for variances from
classification as a solid waste, for variances
to be classified as a boiler, or for non-waste
determinations.
*
*
*
*
*
(c) In the event of a change in
circumstances that affect how a
hazardous secondary material meets the
relevant criteria contained in § 260.31,
§ 260.32, or § 260.34 upon which a
variance or non-waste determination
has been based, the applicant must send
a description of the change in
circumstances to the Administrator. The
Administrator may issue a
determination that the hazardous
secondary material continues to meet
the relevant criteria of the variance or
non-waste determination or may require
the facility to re-apply for the variance
or non-waste determination.
(d) Variances and non-waste
determinations shall be effective for a
fixed term not to exceed ten years. No
later than six months prior to the end of
this term, facilities must re-apply for a
variance or non-waste determination. If
a facility re-applies for a variance or
non-waste determination within six
months, the facility may continue to
operate under an expired variance or
non-waste determination until receiving
a decision on their re-application from
the Administrator.
(e) Facilities receiving a variance or
non-waste determination must provide
notification as required by § 260.42 of
this chapter.
6. Section 260.34 is amended by
revising paragraphs (b)(4) and (c)(5) to
read as follows:
■
§ 260.34 Standards and criteria for nonwaste determinations.
*
*
*
*
*
(b) * * *
(4) Other relevant factors that
demonstrate the hazardous secondary
material is not discarded, including why
the hazardous secondary material
cannot meet, or should not have to
meet, the conditions of an exclusion
under § 261.2 or § 261.4 of this chapter.
(c) * * *
(5) Other relevant factors that
demonstrate the hazardous secondary
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material is not discarded, including why
the hazardous secondary material
cannot meet, or should not have to
meet, the conditions of an exclusion
under § 261.2 or § 261.4 of this chapter.
7. Section 260.42 is amended by
revising paragraphs (a) introductory
text, (a)(4) through (9), removing
paragraph (a)(10), and revising
paragraph (b).
The revisions read as follows:
■
§ 260.42 Notification requirement for
hazardous secondary materials.
(a) Facilities managing hazardous
secondary materials under §§ 260.30,
261.4(a)(23), 261.4(a)(24), or 261.4(a)(27)
must send a notification prior to
operating under the regulatory provision
and by March 1 of each even-numbered
year thereafter to the Regional
Administrator using EPA Form 8700–12
that includes the following information:
*
*
*
*
*
(4) The regulation under which the
hazardous secondary materials will be
managed;
(5) When the facility began or expects
to begin managing the hazardous
secondary materials in accordance with
the regulation;
(6) A list of hazardous secondary
materials that will be managed
according to the regulation (reported as
the EPA hazardous waste numbers that
would apply if the hazardous secondary
materials were managed as hazardous
wastes);
(7) For each hazardous secondary
material, whether the hazardous
secondary material, or any portion
thereof, will be managed in a land-based
unit;
(8) The quantity of each hazardous
secondary material to be managed
annually; and
(9) The certification (included in EPA
Form 8700–12) signed and dated by an
authorized representative of the facility.
(b) If a facility managing hazardous
secondary materials has submitted a
notification, but then subsequently
stops managing hazardous secondary
materials in accordance with the
regulation(s) listed above, the facility
must notify the Regional Administrator
within thirty (30) days using EPA Form
8700–12. For purposes of this section, a
facility has stopped managing
hazardous secondary materials if the
facility no longer generates, manages
and/or reclaims hazardous secondary
materials under the regulation(s) above
and does not expect to manage any
amount of hazardous secondary
materials for at least 1 year.
■ 8. Section 260.43 is amended by
revising the section heading and
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paragraph (a) and removing and
reserving paragraphs (b) and (c).
The revision reads as follows:
asabaliauskas on DSK5VPTVN1PROD with NOTICES
§ 260.43 Legitimate recycling of hazardous
secondary materials.
(a) Recycling of hazardous secondary
materials for the purpose of the
exclusions or exemptions from the
hazardous waste regulations must be
legitimate. Hazardous secondary
material that is not legitimately recycled
is discarded material and is a solid
waste. In determining if their recycling
is legitimate, persons must address all
the requirements of this paragraph.
(1) Legitimate recycling must involve
a hazardous secondary material that
provides a useful contribution to the
recycling process or to a product or
intermediate of the recycling process.
The hazardous secondary material
provides a useful contribution if it:
(i) Contributes valuable ingredients to
a product or intermediate; or
(ii) Replaces a catalyst or carrier in the
recycling process; or
(iii) Is the source of a valuable
constituent recovered in the recycling
process; or
(iv) Is recovered or regenerated by the
recycling process; or
(v) Is used as an effective substitute
for a commercial product.
(2) The recycling process must
produce a valuable product or
intermediate. The product or
intermediate is valuable if it is:
(i) Sold to a third party; or
(ii) Used by the recycler or the
generator as an effective substitute for a
commercial product or as an ingredient
or intermediate in an industrial process.
(3) The generator and the recycler
must manage the hazardous secondary
material as a valuable commodity when
it is under their control. Where there is
an analogous raw material, the
hazardous secondary material must be
managed, at a minimum, in a manner
consistent with the management of the
raw material or in an equally protective
manner. Where there is no analogous
raw material, the hazardous secondary
material must be contained. Hazardous
secondary materials that are released to
the environment and are not recovered
immediately are discarded.
(4) The product of the recycling
process must be comparable to a
legitimate product or intermediate:
(i) Where there is an analogous
product or intermediate, the product of
the recycling process is comparable to a
legitimate product or intermediate if:
(A) The product of the recycling
process does not exhibit a hazardous
characteristic (as defined in part 261
subpart C) that analogous products do
not exhibit, and
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(B) The concentrations of any
hazardous constituents found in
appendix VIII of part 261 of this chapter
that are in the product or intermediate
are at levels that are comparable to or
lower than those found in analogous
products or at levels that meet widelyrecognized commodity standards and
specifications, in the case where the
commodity standards and specifications
include levels that specifically address
those hazardous constituents.
(ii) Where there is no analogous
product, the product of the recycling
process is comparable to a legitimate
product or intermediate if:
(A) The product of the recycling
process is a commodity that meets
widely recognized commodity standards
and specifications (e.g., commodity
specification grades for common
metals), or
(B) The hazardous secondary
materials being recycled are returned to
the original process or processes from
which they were generated to be reused
(e.g., closed loop recycling).
(iii) If the product of the recycling
process has levels of hazardous
constituents that are not comparable to
or unable to be compared to a legitimate
product or intermediate per paragraph
(a)(4)(i) or (ii) of this section, the
recycling still may be shown to be
legitimate, if it meets the following
specified requirements. The person
performing the recycling must conduct
the necessary assessment and prepare
documentation showing why the
recycling is, in fact, still legitimate. The
recycling can be shown to be legitimate
based on lack of exposure from toxics in
the product, lack of the bioavailability
of the toxics in the product, or other
relevant considerations which show that
the recycled product does not contain
levels of hazardous constituents that
pose a significant human health or
environmental risk. The documentation
must include a certification statement
that the recycling is legitimate and must
be maintained on-site for three years
after the recycling operation has ceased.
The person performing the recycling
must notify the Regional Administrator
of this activity using EPA Form 8700–
12.
*
*
*
*
*
PART 261—IDENTIFICATION AND
LISTING OF HAZARDOUS WASTE
9. The authority citation for part 261
continues to read as follows:
■
Authority: 42 U.S.C. 6905, 6912(a), 6921,
6922, 6924(y) and 6938.
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Subpart A—General
10. Section 261.1 is amended by
revising paragraphs (c)(4) and (8) to read
as follows:
■
§ 261.1
Purpose and scope.
*
*
*
*
*
(c) * * *
(4) A material is ‘‘reclaimed’’ if it is
processed to recover a usable product,
or if it is regenerated. Examples are
recovery of lead values from spent
batteries and regeneration of spent
solvents. In addition, for purposes of
§ 261.4(a)(23) and (24), smelting,
melting, and refining furnaces are
considered to be solely engaged in
metals reclamation if the metal recovery
from the hazardous secondary materials
meets the same requirements as those
specified for metals recovery from
hazardous waste found in
§ 266.100(d)(1) through (3) of this
chapter, and if the residuals meet the
requirements specified in § 266.112 of
this chapter.
*
*
*
*
*
(8) A material is ‘‘accumulated
speculatively’’ if it is accumulated
before being recycled. A material is not
accumulated speculatively, however, if
the person accumulating it can show
that the material is potentially
recyclable and has a feasible means of
being recycled; and that—during the
calendar year (commencing on January
1)—the amount of material that is
recycled, or transferred to a different
site for recycling, equals at least 75
percent by weight or volume of the
amount of that material accumulated at
the beginning of the period. Materials
must be placed in a storage unit with a
label indicating the first date that the
material began to be accumulated. If
placing a label on the storage unit is not
practicable, the accumulation period
must be documented through an
inventory log or other appropriate
method. In calculating the percentage of
turnover, the 75 percent requirement is
to be applied to each material of the
same type (e.g., slags from a single
smelting process) that is recycled in the
same way (i.e., from which the same
material is recovered or that is used in
the same way). Materials accumulating
in units that would be exempt from
regulation under § 261.4(c) are not to be
included in making the calculation.
Materials that are already defined as
solid wastes also are not to be included
in making the calculation. Materials are
no longer in this category once they are
removed from accumulation for
recycling, however.
*
*
*
*
*
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11. Section 261.2 is amended as
follows:
■ a. Remove and reserve paragraph
(a)(2)(ii);
■ b. Revise paragraph (b)(3);
■ c. Add paragraph (b)(4);
■ d. Revise paragraph (c)(3) and table 1
in paragraph (c)(4); and
■ e. Add paragraph (g).
The revisions and additions text reads
as follows:
■
§ 261.2
Definition of solid waste.
(c) * * *
(3) Reclaimed. Materials noted with a
‘‘–’’ in column 3 of Table 1 are not solid
wastes when reclaimed. Materials noted
with an ‘‘*’’ in column 3 of Table 1 are
solid wastes when reclaimed unless
they meet the requirements of
§§ 261.4(a)(17), or 261.4(a)(23),
261.4(a)(24), or 261.4(a)(27).
(4) * * *
*
*
*
*
*
(b) * * *
(3) Accumulated, stored, or treated
(but not recycled) before or in lieu of
being abandoned by being disposed of,
burned or incinerated; or
(4) Sham recycled, as explained in
paragraph (g) of this section.
*
*
*
*
*
TABLE 1
Use
constituting
disposal
(§ 261.2(c)(1))
Energy
recovery/fuel
(§ 261.2(c)(2))
Reclamation
(§ 261.2(c)(3)),
except as
provided in
§§ 261.4(a)(17),
261.4(a)(23),
261.4(a)(24) or
261.4(a)(27)
1
2
3
4
(*)
(*)
(*)
(*)
(*)
(*)
(*)
(*)
(*)
(*)
(*)
(*)
(*)
(*)
(*)
(*)
.........................
(*)
.........................
.........................
(*)
(*)
(*)
(*)
(*)
(*)
........................
(*)
Spent Materials ..............................................................................................
Sludges (listed in 40 CFR Part 261.31 or 261.32) ........................................
Sludges exhibiting a characteristic of hazardous waste ................................
By-products (listed in 40 CFR 261.31 or 261.32) ..........................................
By-products exhibiting a characteristic of hazardous waste ..........................
Commercial chemical products listed in 40 CFR 261.33 ...............................
Scrap metal that is not excluded under 40 CFR 261.4(a)(13) ......................
Speculative
accumulation
(§ 261.2(c)(4))
Note: The terms ‘‘spent materials,’’ ‘‘sludges,’’ ‘‘by-products,’’ and ‘‘scrap metal’’ and ‘‘processed scrap metal’’ are defined in § 261.1.
*
*
*
*
*
(g) Sham recycling. A hazardous
secondary material found to be sham
recycled is considered discarded and a
solid waste. Sham recycling is recycling
that is not legitimate recycling as
defined in § 260.43.
■ 12. Section 261.4 is amended as
follows:
■ a. Republish paragraph (a)
introductory text;
■ b. Revise paragraph (a)(23) and (24);
■ c. Remove and reserve paragraph
(a)(25); and
■ d. Add paragraph (a)(27).
The revisions and addition as follows:
asabaliauskas on DSK5VPTVN1PROD with NOTICES
§ 261.4
Exclusions.
(a) Materials which are not solid
wastes. The following materials are not
solid wastes for the purpose of this part:
*
*
*
*
*
(23) Hazardous secondary material
generated and legitimately reclaimed
within the United States or its territories
and under the control of the generator,
provided that the material complies
with paragraphs (a)(23)(i) and (ii) of this
section:
(i)(A) The hazardous secondary
material is generated and reclaimed at
the generating facility (for purposes of
this definition, generating facility means
all contiguous property owned, leased,
or otherwise controlled by the
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hazardous secondary material
generator); or
(B) The hazardous secondary material
is generated and reclaimed at different
facilities, if the reclaiming facility is
controlled by the generator or if both the
generating facility and the reclaiming
facility are controlled by a person as
defined in § 260.10 of this chapter, and
if the generator provides one of the
following certifications: ‘‘on behalf of
[insert generator facility name], I certify
that this facility will send the indicated
hazardous secondary material to [insert
reclaimer facility name], which is
controlled by [insert generator facility
name] and that [insert name of either
facility] has acknowledged full
responsibility for the safe management
of the hazardous secondary material,’’ or
‘‘on behalf of [insert generator facility
name], I certify that this facility will
send the indicated hazardous secondary
material to [insert reclaimer facility
name], that both facilities are under
common control, and that [insert name
of either facility] has acknowledged full
responsibility for the safe management
of the hazardous secondary material.’’
For purposes of this paragraph,
‘‘control’’ means the power to direct the
policies of the facility, whether by the
ownership of stock, voting rights, or
otherwise, except that contractors who
operate facilities on behalf of a different
person as defined in § 260.10 shall not
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be deemed to ‘‘control’’ such facilities.
The generating and receiving facilities
must both maintain at their facilities for
no less than three years records of
hazardous secondary materials sent or
received under this exclusion. In both
cases, the records must contain the
name of the transporter, the date of the
shipment, and the type and quantity of
the hazardous secondary material
shipped or received under the
exclusion. These requirements may be
satisfied by routine business records
(e.g., financial records, bills of lading,
copies of DOT shipping papers, or
electronic confirmations); or
(C) The hazardous secondary material
is generated pursuant to a written
contract between a tolling contractor
and a toll manufacturer and is reclaimed
by the tolling contractor, if the tolling
contractor certifies the following: ‘‘On
behalf of [insert tolling contractor
name], I certify that [insert tolling
contractor name] has a written contract
with [insert toll manufacturer name] to
manufacture [insert name of product or
intermediate] which is made from
specified unused materials, and that
[insert tolling contractor name] will
reclaim the hazardous secondary
materials generated during this
manufacture. On behalf of [insert tolling
contractor name], I also certify that
[insert tolling contractor name] retains
ownership of, and responsibility for, the
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hazardous secondary materials that are
generated during the course of the
manufacture, including any releases of
hazardous secondary materials that
occur during the manufacturing
process’’. The tolling contractor must
maintain at its facility for no less than
three years records of hazardous
secondary materials received pursuant
to its written contract with the tolling
manufacturer, and the tolling
manufacturer must maintain at its
facility for no less than three years
records of hazardous secondary
materials shipped pursuant to its
written contract with the tolling
contractor. In both cases, the records
must contain the name of the
transporter, the date of the shipment,
and the type and quantity of the
hazardous secondary material shipped
or received pursuant to the written
contract. These requirements may be
satisfied by routine business records
(e.g., financial records, bills of lading,
copies of DOT shipping papers, or
electronic confirmations). For purposes
of this paragraph, tolling contractor
means a person who arranges for the
production of a product or intermediate
made from specified unused materials
through a written contract with a toll
manufacturer. Toll manufacturer means
a person who produces a product or
intermediate made from specified
unused materials pursuant to a written
contract with a tolling contractor.
(ii)(A) The hazardous secondary
material is contained as defined in
§ 260.10 of this chapter. A hazardous
secondary material released to the
environment is discarded and a solid
waste unless it is immediately recovered
for the purpose of reclamation.
Hazardous secondary material managed
in a unit with leaks or other continuing
or intermittent unpermitted releases is
discarded and a solid waste.
(B) The hazardous secondary material
is not speculatively accumulated, as
defined in § 261.1(c)(8).
(C) Notice is provided as required by
§ 260.42 of this chapter.
(D) The material is not otherwise
subject to material-specific management
conditions under paragraph (a) of this
section when reclaimed, and it is not a
spent lead-acid battery (see § 266.80 and
§ 273.2 of this chapter).
(E) Persons performing the recycling
of hazardous secondary materials under
this exclusion must maintain
documentation of their legitimacy
determination on-site. Documentation
must be a written description of how the
recycling meets all four factors in
§ 260.43(a). Documentation must be
maintained for three years after the
recycling operation has ceased.
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(F) The emergency preparedness and
response requirements found in subpart
M of this part are met.
(24) Hazardous secondary material
that is generated and then transferred to
a verified reclamation facility for the
purpose of reclamation is not a solid
waste, provided that:
(i) The material is not speculatively
accumulated, as defined in § 261.1(c)(8);
(ii) The material is not handled by any
person or facility other than the
hazardous secondary material generator,
the transporter, an intermediate facility
or a reclaimer, and, while in transport,
is not stored for more than 10 days at
a transfer facility, as defined in § 260.10
of this chapter, and is packaged
according to applicable Department of
Transportation regulations at 49 CFR
parts 173, 178, and 179 while in
transport;
(iii) The material is not otherwise
subject to material-specific management
conditions under this paragraph (a)
when reclaimed, and it is not a spent
lead-acid battery (see §§ 266.80 and
273.2 of this chapter);
(iv) The reclamation of the material is
legitimate, as specified under § 260.43
of this chapter;
(v) The hazardous secondary material
generator satisfies all of the following
conditions:
(A) The material must be contained as
defined in § 260.10. A hazardous
secondary material released to the
environment is discarded and a solid
waste unless it is immediately recovered
for the purpose of recycling. Hazardous
secondary material managed in a unit
with leaks or other continuing releases
is discarded and a solid waste.
(B) The hazardous secondary material
generator must arrange for transport of
hazardous secondary materials to a
verified reclamation facility (or
facilities) in the United States. A
verified reclamation facility is a facility
that has been granted a variance under
§ 260.31(d), or a reclamation facility
where the management of the hazardous
secondary materials is addressed under
a RCRA Part B permit or interim status
standards. If the hazardous secondary
material will be passing through an
intermediate facility, the intermediate
facility must have been granted a
variance under § 260.31(d) or the
management of the hazardous secondary
materials at that facility must be
addressed under a RCRA Part B permit
or interim status standards, and the
hazardous secondary material generator
must make contractual arrangements
with the intermediate facility to ensure
that the hazardous secondary material is
sent to the reclamation facility
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identified by the hazardous secondary
material generator.
(C) The hazardous secondary material
generator must maintain at the
generating facility for no less than three
(3) years records of all off-site shipments
of hazardous secondary materials. For
each shipment, these records must, at a
minimum, contain the following
information:
(1) Name of the transporter and date
of the shipment;
(2) Name and address of each
reclaimer and, if applicable, the name
and address of each intermediate facility
to which the hazardous secondary
material was sent;
(3) The type and quantity of
hazardous secondary material in the
shipment.
(D) The hazardous secondary material
generator must maintain at the
generating facility for no less than three
(3) years confirmations of receipt from
each reclaimer and, if applicable, each
intermediate facility for all off-site
shipments of hazardous secondary
materials. Confirmations of receipt must
include the name and address of the
reclaimer (or intermediate facility), the
type and quantity of the hazardous
secondary materials received and the
date which the hazardous secondary
materials were received. This
requirement may be satisfied by routine
business records (e.g., financial records,
bills of lading, copies of DOT shipping
papers, or electronic confirmations of
receipt);
(E) The hazardous secondary material
generator must comply with the
emergency preparedness and response
conditions in subpart M of this part.
(vi) Reclaimers of hazardous
secondary material excluded from
regulation under this exclusion and
intermediate facilities as defined in
§ 260.10 of this chapter satisfy all of the
following conditions:
(A) The reclaimer and intermediate
facility must maintain at its facility for
no less than three (3) years records of all
shipments of hazardous secondary
material that were received at the
facility and, if applicable, for all
shipments of hazardous secondary
materials that were received and
subsequently sent off-site from the
facility for further reclamation. For each
shipment, these records must at a
minimum contain the following
information:
(1) Name of the transporter and date
of the shipment;
(2) Name and address of the
hazardous secondary material generator
and, if applicable, the name and address
of the reclaimer or intermediate facility
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which the hazardous secondary
materials were received from;
(3) The type and quantity of
hazardous secondary material in the
shipment; and
(4) For hazardous secondary materials
that, after being received by the
reclaimer or intermediate facility, were
subsequently transferred off-site for
further reclamation, the name and
address of the (subsequent) reclaimer
and, if applicable, the name and address
of each intermediate facility to which
the hazardous secondary material was
sent.
(B) The intermediate facility must
send the hazardous secondary material
to the reclaimer(s) designated by the
hazardous secondary materials
generator.
(C) The reclaimer and intermediate
facility must send to the hazardous
secondary material generator
confirmations of receipt for all off-site
shipments of hazardous secondary
materials. Confirmations of receipt must
include the name and address of the
reclaimer (or intermediate facility), the
type and quantity of the hazardous
secondary materials received and the
date which the hazardous secondary
materials were received. This
requirement may be satisfied by routine
business records (e.g., financial records,
bills of lading, copies of DOT shipping
papers, or electronic confirmations of
receipt).
(D) The reclaimer and intermediate
facility must manage the hazardous
secondary material in a manner that is
at least as protective as that employed
for analogous raw material and must be
contained. An ‘‘analogous raw material’’
is a raw material for which a hazardous
secondary material is a substitute and
serves the same function and has similar
physical and chemical properties as the
hazardous secondary material.
(E) Any residuals that are generated
from reclamation processes will be
managed in a manner that is protective
of human health and the environment.
If any residuals exhibit a hazardous
characteristic according to subpart C of
40 CFR part 261, or if they themselves
are specifically listed in subpart D of 40
CFR part 261, such residuals are
hazardous wastes and must be managed
in accordance with the applicable
requirements of 40 CFR parts 260
through 272.
(F) The reclaimer and intermediate
facility have financial assurance as
required under subpart H of 40 CFR part
261,
(G) The reclaimer and intermediate
facility have been granted a variance
under § 260.31(d) or have a RCRA Part
B permit or interim status standards that
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address the management of the
hazardous secondary materials; and
(vii) All persons claiming the
exclusion under this paragraph (a)(24)
of this section provide notification as
required under § 260.42 of this chapter.
*
*
*
*
*
(27) Hazardous secondary material
that is generated and then transferred to
another person for the purpose of
remanufacturing is not a solid waste,
provided that:
(i) The hazardous secondary material
consists of one or more of the following
spent solvents: Toluene, xylenes,
ethylbenzene, 1,2,4-trimethylbenzene,
chlorobenzene, n-hexane, cyclohexane,
methyl tert-butyl ether, acetonitrile,
chloroform, chloromethane,
dichloromethane, methyl isobutyl
ketone, NN-dimethylformamide,
tetrahydrofuran, n-butyl alcohol,
ethanol, and/or methanol;
(ii) The hazardous secondary material
originated from using one or more of the
solvents listed in paragraph (a)(27)(i) of
this section in a commercial grade for
reacting, extracting, purifying, or
blending chemicals (or for rinsing out
the process lines associated with these
functions) in the pharmaceutical
manufacturing (NAICS 325412), basic
organic chemical manufacturing (NAICS
325199), plastics and resins
manufacturing (NAICS 325211), and/or
the paints and coatings manufacturing
sectors (NAICS 325510).
(iii) The hazardous secondary
material generator sends the hazardous
secondary material spent solvents listed
in paragraph (a)(27)(i) of this section to
a remanufacturer in the pharmaceutical
manufacturing (NAICS 325412), basic
organic chemical manufacturing (NAICS
325199), plastics and resins
manufacturing (NAICS 325211), and/or
the paints and coatings manufacturing
sectors (NAICS 325510).
(iv) After remanufacturing one or
more of the solvents listed in paragraph
(a)(27)(i) of this section, the use of the
remanufactured solvent shall be limited
to reacting, extracting, purifying, or
blending chemicals (or for rinsing out
the process lines associated with these
functions) in the pharmaceutical
manufacturing (NAICS 325412), basic
organic chemical manufacturing (NAICS
325199), plastics and resins
manufacturing (NAICS 325211), and the
paints and coatings manufacturing
sectors (NAICS 325510) or to using them
as ingredients in a product. These
allowed uses correspond to chemical
functional uses enumerated under the
Chemical Data Reporting Rule of the
Toxic Substances Control Act (40 CFR
parts 704, 710–711), including
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Industrial Function Codes U015
(solvents consumed in a reaction to
produce other chemicals) and U030
(solvents become part of the mixture);
(v) After remanufacturing one or more
of the solvents listed in paragraph
(a)(27)(i) of this section, the use of the
remanufactured solvent does not
involve cleaning or degreasing oil,
grease, or similar material from textiles,
glassware, metal surfaces, or other
articles. (These disallowed continuing
uses correspond to chemical functional
uses in Industrial Function Code U029
under the Chemical Data Reporting Rule
of the Toxics Substances Control Act.);
and
(vi) Both the hazardous secondary
material generator and the
remanufacturer must:
(A) Notify EPA or the State Director,
if the state is authorized for the
program, and update the notification
every two years per 40 CFR 260.42;
(B) Develop and maintain an up-todate remanufacturing plan which
identifies:
(1) The name, address and EPA ID
number of the generator(s) and the
remanufacturer(s),
(2) The types and estimated annual
volumes of spent solvents to be
remanufactured,
(3) The processes and industry sectors
that generate the spent solvents,
(4) The specific uses and industry
sectors for the remanufactured solvents,
and
(5) A certification from the
remanufacturer stating ‘‘on behalf of
[insert remanufacturer facility name], I
certify that this facility is a
remanufacturer under pharmaceutical
manufacturing (NAICS 325412), basic
organic chemical manufacturing (NAICS
325199), plastics and resins
manufacturing (NAICS 325211), and/or
the paints and coatings manufacturing
sectors (NAICS 325510), and will accept
the spent solvent(s) for the sole purpose
of remanufacturing into commercialgrade solvent(s) that will be used for
reacting, extracting, purifying, or
blending chemicals (or for rinsing out
the process lines associated with these
functions) or for use as product
ingredient(s). I also certify that the
remanufacturing equipment, vents, and
tanks are equipped with and are
operating air emission controls in
compliance with the appropriate Clean
Air Act regulations under 40 CFR part
60, part 61 or part 63, or, absent such
Clean Air Act standards for the
particular operation or piece of
equipment covered by the
remanufacturing exclusion, are in
compliance with the appropriate
standards in 40 CFR part 261, subparts
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AA (vents), BB (equipment) and CC
(tank storage),’’;
(C) Maintain records of shipments and
confirmations of receipts for a period of
three years from the dates of the
shipments;
(D) Prior to remanufacturing, store the
hazardous spent solvents in tanks or
containers that meet technical standards
found in subparts I and J of 40 CFR part
261, with the tanks and containers being
labeled or otherwise having an
immediately available record of the
material being stored;
(E) During remanufacturing, and
during storage of the hazardous
secondary materials prior to
remanufacturing, the remanufacturer
certifies that the remanufacturing
equipment, vents, and tanks are
equipped with and are operating air
emission controls in compliance with
the appropriate Clean Air Act
regulations under 40 CFR part 60, part
61 or part 63; or, absent such Clean Air
Act standards for the particular
operation or piece of equipment covered
by the remanufacturing exclusion, are in
compliance with the appropriate
standards in 40 CFR part 261 subparts
AA (vents), BB (equipment) and CC
(tank storage); and
(F) Meet the requirements prohibiting
speculative accumulation per 40 CFR
261.1(c)(8).
*
*
*
*
*
■ 13. Part 261 is amended by:
■ a. Adding Subparts I and J;
■ b. Adding reserved Subparts K and L;
■ c. Adding Subpart M;
■ d. Adding reserved Subparts N
through Z; and
■ e. Adding Subparts AA through CC.
The additions read as follows:
asabaliauskas on DSK5VPTVN1PROD with NOTICES
Subpart I—Use and Management of
Containers
Sec.
261.170 Applicability.
261.171 Condition of containers.
261.172 Compatibility of hazardous
secondary materials with containers.
261.173 Management of containers.
261.175 Containment.
261.176 Special requirements for ignitable
or reactive hazardous secondary
material.
261.177 Special requirements for
incompatible materials.
261.179 Air emission standards.
Subpart J—Tank Systems
261.190 Applicability.
261.191 Assessment of existing tank
system’s integrity.
261.192 [Reserved]
261.193 Containment and detection of
releases.
261.194 General operating requirements.
261.195 [Reserved]
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261.196 Response to leaks or spills and
disposition of leaking or unfit-for-use
tank systems.
261.197 Termination of remanufacturing
exclusion.
261.198 Special requirements for ignitable
or reactive materials.
261.199 Special requirements for
incompatible materials.
261.200 Air emission standards.
Subparts K–L
[Reserved]
Subpart M—Emergency Preparedness and
Response for Management of Excluded
Hazardous Secondary Materials
261.400 Applicability.
261.410 Preparedness and prevention
261.411 Emergency procedures for facilities
generating or accumulating of 6000 kg or
less of hazardous secondary material.
261.420 Contingency planning and
emergency procedures for facilities
generating or accumulating more than
6000 kg of hazardous secondary material.
Subparts N–Z
[Reserved]
Subpart AA—Air Emission Standards for
Process Vents
261.1030 Applicability.
261.1031 Definitions.
261.1032 Standards: Process vents.
261.1033 Standards: Closed-vent systems
and control devices.
261.1034 Test methods and procedures.
261.1035 Recordkeeping requirements.
261.1036–261.1049 [Reserved]
Subpart BB—Air Emission Standards for
Equipment Leaks
261.1050 Applicability.
261.1051 Definitions.
261.1052 Standards: Pumps in light liquid
service.
261.1053 Standards: Compressors.
261.1054 Standards: Pressure relief devices
in gas/vapor service.
261.1055 Standards: Sampling connection
systems.
261.1056 Standards: Open-ended valves or
lines.
261.1057 Standards: Valves in gas/vapor
service or in light liquid service.
261.1058 Standards: Pumps and valves in
heavy liquid service, pressure relief
devices in light liquid or heavy liquid
service, and flanges and other
connectors.
261.1059 Standards: Delay of repair.
261.1060 Standards: Closed-vent systems
and control devices.
261.1061 Alternative standards for valves in
gas/vapor service or in light liquid
service: percentage of valves allowed to
leak.
261.1062 Alternative standards for valves in
gas/vapor service or in light liquid
service: skip period leak detection and
repair.
261.1063 Test methods and procedures.
261.1064 Recordkeeping requirements.
261.1065–261.1079 [Reserved]
Subpart CC—Air Emission Standards for
Tanks and Containers
261.1080 Applicability.
261.1081 Definitions.
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261.1082 Standards: General.
261.1083 Material determination
procedures.
261.1084 Standards: Tanks.
261.1085 [Reserved]
261.1086 Standards: Containers.
261.1087 Standards: Closed-vent systems
and control devices.
261.1088 Inspection and monitoring
requirements.
261.1089 Recordkeeping requirements.
261.1090 [Reserved]
Subpart I—Use and Management of
Containers
§ 261.170
Applicability.
This subpart applies to hazardous
secondary materials excluded under the
remanufacturing exclusion at
§ 261.4(a)(27) and stored in containers.
§ 261.171
Condition of containers.
If a container holding hazardous
secondary material is not in good
condition (e.g., severe rusting, apparent
structural defects) or if it begins to leak,
the hazardous secondary material must
be transferred from this container to a
container that is in good condition or
managed in some other way that
complies with the requirements of this
part.
§ 261.172 Compatibility of hazardous
secondary materials with containers.
The container must be made of or
lined with materials which will not
react with, and are otherwise
compatible with, the hazardous
secondary material to be stored, so that
the ability of the container to contain
the material is not impaired.
§ 261.173
Management of containers.
(a) A container holding hazardous
secondary material must always be
closed during storage, except when it is
necessary to add or remove the
hazardous secondary material.
(b) A container holding hazardous
secondary material must not be opened,
handled, or stored in a manner which
may rupture the container or cause it to
leak.
§ 261.175
Containment.
(a) Container storage areas must have
a containment system that is designed
and operated in accordance with
paragraph (b) of this section.
(b) A containment system must be
designed and operated as follows:
(1) A base must underlie the
containers which is free of cracks or
gaps and is sufficiently impervious to
contain leaks, spills, and accumulated
precipitation until the collected material
is detected and removed;
(2) The base must be sloped or the
containment system must be otherwise
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designed and operated to drain and
remove liquids resulting from leaks,
spills, or precipitation, unless the
containers are elevated or are otherwise
protected from contact with
accumulated liquids;
(3) The containment system must
have sufficient capacity to contain 10%
of the volume of containers or the
volume of the largest container,
whichever is greater.
(4) Run-on into the containment
system must be prevented unless the
collection system has sufficient excess
capacity in addition to that required in
paragraph (b)(3) of this section to
contain any run-on which might enter
the system; and
(5) Spilled or leaked material and
accumulated precipitation must be
removed from the sump or collection
area in as timely a manner as is
necessary to prevent overflow of the
collection system.
§ 261.176 Special requirements for
ignitable or reactive hazardous secondary
material.
Containers holding ignitable or
reactive hazardous secondary material
must be located at least 15 meters (50
feet) from the facility’s property line.
§ 261.177 Special requirements for
incompatible materials.
(a) Incompatible materials must not be
placed in the same container.
(b) Hazardous secondary material
must not be placed in an unwashed
container that previously held an
incompatible material.
(c) A storage container holding a
hazardous secondary material that is
incompatible with any other materials
stored nearby must be separated from
the other materials or protected from
them by means of a dike, berm, wall, or
other device.
§ 261.179
Air emission standards.
The remanufacturer or other person
that stores or treats the hazardous
secondary material shall manage all
hazardous secondary material placed in
a container in accordance with the
applicable requirements of subparts AA,
BB, and CC of this part.
Subpart J—Tank Systems
asabaliauskas on DSK5VPTVN1PROD with NOTICES
§ 261.190
Applicability.
(a) The requirements of this subpart
apply to tank systems for storing or
treating hazardous secondary material
excluded under the remanufacturing
exclusion at § 261.4(a)(27).
(b) Tank systems, including sumps, as
defined in § 260.10, that serve as part of
a secondary containment system to
collect or contain releases of hazardous
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secondary materials are exempted from
the requirements in § 261.193(a).
§ 261.191 Assessment of existing tank
system’s integrity.
(a) Tank systems must meet the
secondary containment requirements of
§ 261.193, or the remanufacturer or
other person that handles the hazardous
secondary material must determine that
the tank system is not leaking or is unfit
for use. Except as provided in paragraph
(c) of this section, a written assessment
reviewed and certified by a qualified
Professional Engineer must be kept on
file at the remanufacturer’s facility or
other facility that stores or treats the
hazardous secondary material that
attests to the tank system’s integrity.
(b) This assessment must determine
that the tank system is adequately
designed and has sufficient structural
strength and compatibility with the
material(s) to be stored or treated, to
ensure that it will not collapse, rupture,
or fail. At a minimum, this assessment
must consider the following:
(1) Design standard(s), if available,
according to which the tank and
ancillary equipment were constructed;
(2) Hazardous characteristics of the
material(s) that have been and will be
handled;
(3) Existing corrosion protection
measures;
(4) Documented age of the tank
system, if available (otherwise, an
estimate of the age); and
(5) Results of a leak test, internal
inspection, or other tank integrity
examination such that:
(i) For non-enterable underground
tanks, the assessment must include a
leak test that is capable of taking into
account the effects of temperature
variations, tank end deflection, vapor
pockets, and high water table effects,
and
(ii) For other than non-enterable
underground tanks and for ancillary
equipment, this assessment must
include either a leak test, as described
above, or other integrity examination
that is certified by a qualified
Professional Engineer that addresses
cracks, leaks, corrosion, and erosion.
Note to paragraph (b)(5)(ii): The practices
described in the American Petroleum
Institute (API) Publication, Guide for
Inspection of Refinery Equipment, Chapter
XIII, ‘‘Atmospheric and Low-Pressure Storage
Tanks,’’ 4th edition, 1981, may be used,
where applicable, as guidelines in
conducting other than a leak test.
(c) If, as a result of the assessment
conducted in accordance with
paragraph (a) of this section, a tank
system is found to be leaking or unfit for
use, the remanufacturer or other person
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that stores or treats the hazardous
secondary material must comply with
the requirements of § 261.196.
§ 261.192
[Reserved]
§ 261.193
releases.
Containment and detection of
(a) Secondary containment systems
must be:
(1) Designed, installed, and operated
to prevent any migration of materials or
accumulated liquid out of the system to
the soil, ground water, or surface water
at any time during the use of the tank
system; and
(2) Capable of detecting and collecting
releases and accumulated liquids until
the collected material is removed.
Note to paragraph (a): If the collected
material is a hazardous waste under part 261
of this chapter, it is subject to management
as a hazardous waste in accordance with all
applicable requirements of parts 262 through
265, 266, and 268 of this chapter. If the
collected material is discharged through a
point source to waters of the United States,
it is subject to the requirements of sections
301, 304, and 402 of the Clean Water Act, as
amended. If discharged to a Publicly Owned
Treatment Works (POTW), it is subject to the
requirements of section 307 of the Clean
Water Act, as amended. If the collected
material is released to the environment, it
may be subject to the reporting requirements
of 40 CFR part 302.
(b) To meet the requirements of
paragraph (a) of this section, secondary
containment systems must be at a
minimum:
(1) Constructed of or lined with
materials that are compatible with the
materials(s) to be placed in the tank
system and must have sufficient
strength and thickness to prevent failure
owing to pressure gradients (including
static head and external hydrological
forces), physical contact with the
material to which it is exposed, climatic
conditions, and the stress of daily
operation (including stresses from
nearby vehicular traffic);
(2) Placed on a foundation or base
capable of providing support to the
secondary containment system,
resistance to pressure gradients above
and below the system, and capable of
preventing failure due to settlement,
compression, or uplift;
(3) Provided with a leak-detection
system that is designed and operated so
that it will detect the failure of either
the primary or secondary containment
structure or the presence of any release
of hazardous secondary material or
accumulated liquid in the secondary
containment system at the earliest
practicable time; and
(4) Sloped or otherwise designed or
operated to drain and remove liquids
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resulting from leaks, spills, or
precipitation. Spilled or leaked material
and accumulated precipitation must be
removed from the secondary
containment system within 24 hours, or
in as timely a manner as is possible to
prevent harm to human health and the
environment.
(c) Secondary containment for tanks
must include one or more of the
following devices:
(1) A liner (external to the tank);
(2) A vault; or
(3) A double-walled tank.
(d) In addition to the requirements of
paragraphs (a), (b), and (c) of this
section, secondary containment systems
must satisfy the following requirements:
(1) External liner systems must be:
(i) Designed or operated to contain
100 percent of the capacity of the largest
tank within its boundary;
(ii) Designed or operated to prevent
run-on or infiltration of precipitation
into the secondary containment system
unless the collection system has
sufficient excess capacity to contain
run-on or infiltration. Such additional
capacity must be sufficient to contain
precipitation from a 25-year, 24-hour
rainfall event.
(iii) Free of cracks or gaps; and
(iv) Designed and installed to
surround the tank completely and to
cover all surrounding earth likely to
come into contact with the material if
the material is released from the tank(s)
(i.e., capable of preventing lateral as
well as vertical migration of the
material).
(2) Vault systems must be:
(i) Designed or operated to contain
100 percent of the capacity of the largest
tank within its boundary;
(ii) Designed or operated to prevent
run-on or infiltration of precipitation
into the secondary containment system
unless the collection system has
sufficient excess capacity to contain
run-on or infiltration. Such additional
capacity must be sufficient to contain
precipitation from a 25-year, 24-hour
rainfall event;
(iii) Constructed with chemicalresistant water stops in place at all
joints (if any);
(iv) Provided with an impermeable
interior coating or lining that is
compatible with the stored material and
that will prevent migration of material
into the concrete;
(v) Provided with a means to protect
against the formation of and ignition of
vapors within the vault, if the material
being stored or treated is ignitable or
reactive; and
(vi) Provided with an exterior
moisture barrier or be otherwise
designed or operated to prevent
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migration of moisture into the vault if
the vault is subject to hydraulic
pressure.
(3) Double-walled tanks must be:
(i) Designed as an integral structure
(i.e., an inner tank completely
enveloped within an outer shell) so that
any release from the inner tank is
contained by the outer shell;
(ii) Protected, if constructed of metal,
from both corrosion of the primary tank
interior and of the external surface of
the outer shell; and
(iii) Provided with a built-in
continuous leak detection system
capable of detecting a release within 24
hours, or at the earliest practicable time.
Note to paragraph (d)(3): The provisions
outlined in the Steel Tank Institute’s (STI)
‘‘Standard for Dual Wall Underground Steel
Storage Tanks’’ may be used as guidelines for
aspects of the design of underground steel
double-walled tanks.
(e) [Reserved]
(f) Ancillary equipment must be
provided with secondary containment
(e.g., trench, jacketing, double-walled
piping) that meets the requirements of
paragraphs (a) and (b) of this section
except for:
(1) Aboveground piping (exclusive of
flanges, joints, valves, and other
connections) that are visually inspected
for leaks on a daily basis;
(2) Welded flanges, welded joints, and
welded connections that are visually
inspected for leaks on a daily basis;
(3) Sealless or magnetic coupling
pumps and sealless valves that are
visually inspected for leaks on a daily
basis; and
(4) Pressurized aboveground piping
systems with automatic shut-off devices
(e.g., excess flow check valves, flow
metering shutdown devices, loss of
pressure actuated shut-off devices) that
are visually inspected for leaks on a
daily basis.
§ 261.194
General operating requirements.
(a) Hazardous secondary materials or
treatment reagents must not be placed in
a tank system if they could cause the
tank, its ancillary equipment, or the
containment system to rupture, leak,
corrode, or otherwise fail.
(b) The remanufacturer or other
person that stores or treats the
hazardous secondary material must use
appropriate controls and practices to
prevent spills and overflows from tank
or containment systems. These include
at a minimum:
(1) Spill prevention controls (e.g.,
check valves, dry disconnect couplings);
(2) Overfill prevention controls (e.g.,
level sensing devices, high level alarms,
automatic feed cutoff, or bypass to a
standby tank); and
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(3) Maintenance of sufficient
freeboard in uncovered tanks to prevent
overtopping by wave or wind action or
by precipitation.
(c) The remanufacturer or other
person that stores or treats the
hazardous secondary material must
comply with the requirements of
§ 261.196 of this subpart if a leak or spill
occurs in the tank system.
§ 261.195
[Reserved]
§ 261.196 Response to leaks or spills and
disposition of leaking or unfit-for-use tank
systems.
A tank system or secondary
containment system from which there
has been a leak or spill, or which is
unfit for use, must be removed from
service immediately, and the
remanufacturer or other person that
stores or treats the hazardous secondary
material must satisfy the following
requirements:
(a) Cessation of use; prevent flow or
addition of materials. The
remanufacturer or other person that
stores or treats the hazardous secondary
material must immediately stop the flow
of hazardous secondary material into
the tank system or secondary
containment system and inspect the
system to determine the cause of the
release.
(b) Removal of material from tank
system or secondary containment
system. (1) If the release was from the
tank system, the remanufacturer or other
person that stores or treats the
hazardous secondary material must,
within 24 hours after detection of the
leak or, if the remanufacturer or other
person that stores or treats the
hazardous secondary material
demonstrates that it is not possible, at
the earliest practicable time, remove as
much of the material as is necessary to
prevent further release of hazardous
secondary material to the environment
and to allow inspection and repair of
the tank system to be performed.
(2) If the material released was to a
secondary containment system, all
released materials must be removed
within 24 hours or in as timely a
manner as is possible to prevent harm
to human health and the environment.
(c) Containment of visible releases to
the environment. The remanufacturer or
other person that stores or treats the
hazardous secondary material must
immediately conduct a visual
inspection of the release and, based
upon that inspection:
(1) Prevent further migration of the
leak or spill to soils or surface water;
and
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(2) Remove, and properly dispose of,
any visible contamination of the soil or
surface water.
(d) Notifications, reports. (1) Any
release to the environment, except as
provided in paragraph (d)(2) of this
section, must be reported to the
Regional Administrator within 24 hours
of its detection. If the release has been
reported pursuant to 40 CFR part 302,
that report will satisfy this requirement.
(2) A leak or spill of hazardous
secondary material is exempted from
the requirements of this paragraph if it
is:
(i) Less than or equal to a quantity of
1 pound, and
(ii) Immediately contained and
cleaned up.
(3) Within 30 days of detection of a
release to the environment, a report
containing the following information
must be submitted to the Regional
Administrator:
(i) Likely route of migration of the
release;
(ii) Characteristics of the surrounding
soil (soil composition, geology,
hydrogeology, climate);
(iii) Results of any monitoring or
sampling conducted in connection with
the release (if available). If sampling or
monitoring data relating to the release
are not available within 30 days, these
data must be submitted to the Regional
Administrator as soon as they become
available.
(iv) Proximity to downgradient
drinking water, surface water, and
populated areas; and
(v) Description of response actions
taken or planned.
(e) Provision of secondary
containment, repair, or closure. (1)
Unless the remanufacturer or other
person that stores or treats the
hazardous secondary material satisfies
the requirements of paragraphs (e)(2)
through (4) of this section, the tank
system must cease to operate under the
remanufacturing exclusion at 40 CFR
261.4(a)(27).
(2) If the cause of the release was a
spill that has not damaged the integrity
of the system, the remanufacturer or
other person that stores or treats the
hazardous secondary material may
return the system to service as soon as
the released material is removed and
repairs, if necessary, are made.
(3) If the cause of the release was a
leak from the primary tank system into
the secondary containment system, the
system must be repaired prior to
returning the tank system to service.
(4) If the source of the release was a
leak to the environment from a
component of a tank system without
secondary containment, the
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remanufacturer or other person that
stores or treats the hazardous secondary
material must provide the component of
the system from which the leak
occurred with secondary containment
that satisfies the requirements of
§ 261.193 before it can be returned to
service, unless the source of the leak is
an aboveground portion of a tank system
that can be inspected visually. If the
source is an aboveground component
that can be inspected visually, the
component must be repaired and may
be returned to service without
secondary containment as long as the
requirements of paragraph (f) of this
section are satisfied. Additionally, if a
leak has occurred in any portion of a
tank system component that is not
readily accessible for visual inspection
(e.g., the bottom of an inground or
onground tank), the entire component
must be provided with secondary
containment in accordance with
§ 261.193 of this subpart prior to being
returned to use.
(f) Certification of major repairs. If the
remanufacturer or other person that
stores or treats the hazardous secondary
material has repaired a tank system in
accordance with paragraph (e) of this
section, and the repair has been
extensive (e.g., installation of an
internal liner; repair of a ruptured
primary containment or secondary
containment vessel), the tank system
must not be returned to service unless
the remanufacturer or other person that
stores or treats the hazardous secondary
material has obtained a certification by
a qualified Professional Engineer that
the repaired system is capable of
handling hazardous secondary materials
without release for the intended life of
the system. This certification must be
kept on file at the facility and
maintained until closure of the facility.
Note 1 to § 261.196: The Regional
Administrator may, on the basis of any
information received that there is or has been
a release of hazardous secondary material or
hazardous constituents into the environment,
issue an order under RCRA section 7003(a)
requiring corrective action or such other
response as deemed necessary to protect
human health or the environment.
Note 2 to § 261.196: 40 CFR part 302 may
require the owner or operator to notify the
National Response Center of certain releases.
§ 261.197 Termination of remanufacturing
exclusion.
Hazardous secondary material stored
in units more than 90 days after the unit
ceases to operate under the
remanufacturing exclusion at 40 CFR
261.4(a)(27) or otherwise ceases to be
operated for manufacturing, or for
storage of a product or a raw material,
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then becomes subject to regulation as
hazardous waste under parts 261
through 266, 268, 270, 271, and 124 of
this chapter, as applicable.
§ 261.198 Special requirements for
ignitable or reactive materials.
(a) Ignitable or reactive material must
not be placed in tank systems, unless
the material is stored or treated in such
a way that it is protected from any
material or conditions that may cause
the material to ignite or react.
(b) The remanufacturer or other
person that stores or treats hazardous
secondary material which is ignitable or
reactive must store or treat the
hazardous secondary material in a tank
that is in compliance with the
requirements for the maintenance of
protective distances between the
material management area and any
public ways, streets, alleys, or an
adjoining property line that can be built
upon as required in Tables 2–1 through
2–6 of the National Fire Protection
Association’s ‘‘Flammable and
Combustible Liquids Code,’’ (1977 or
1981), (incorporated by reference, see
§ 260.11).
§ 261.199 Special requirements for
incompatible materials.
(a) Incompatible materials must not be
placed in the same tank system.
(b) Hazardous secondary material
must not be placed in a tank system that
has not been decontaminated and that
previously held an incompatible
material.
§ 261.200
Air emission standards.
The remanufacturer or other person
that stores or treats the hazardous
secondary material shall manage all
hazardous secondary material placed in
a tank in accordance with the applicable
requirements of subparts AA, BB, and
CC of this part.
Subparts K–L
[Reserved]
Subpart M—Emergency Preparedness
and Response for Management of
Excluded Hazardous Secondary
Materials
§ 261.400
Applicability.
The requirements of this subpart
apply to those areas of an entity
managing hazardous secondary
materials excluded under § 261.4(a)(23)
and/or (24) where hazardous secondary
materials are generated or accumulated
on site.
(a) A generator of hazardous
secondary material, or an intermediate
or reclamation facility operating under a
verified recycler variance under
§ 260.31(d), that accumulates 6000 kg or
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less of hazardous secondary material at
any time must comply with §§ 261.410
and 261.411.
(b) A generator of hazardous
secondary material, or an intermediate
or reclamation facility operating under a
verified recycler variance under
§ 260.31(d) that accumulates more than
6000 kg of hazardous secondary
material at any time must comply with
§§ 261.410 and 261.420.
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§ 261.410
Preparedness and prevention.
(a) Maintenance and operation of
facility. Facilities generating or
accumulating hazardous secondary
material must be maintained and
operated to minimize the possibility of
a fire, explosion, or any unplanned
sudden or non-sudden release of
hazardous secondary materials or
hazardous secondary material
constituents to air, soil, or surface water
which could threaten human health or
the environment.
(b) Required equipment. All facilities
generating or accumulating hazardous
secondary material must be equipped
with the following, unless none of the
hazards posed by hazardous secondary
material handled at the facility could
require a particular kind of equipment
specified below:
(1) An internal communications or
alarm system capable of providing
immediate emergency instruction (voice
or signal) to facility personnel;
(2) A device, such as a telephone
(immediately available at the scene of
operations) or a hand-held two-way
radio, capable of summoning emergency
assistance from local police
departments, fire departments, or state
or local emergency response teams;
(3) Portable fire extinguishers, fire
control equipment (including special
extinguishing equipment, such as that
using foam, inert gas, or dry chemicals),
spill control equipment, and
decontamination equipment; and
(4) Water at adequate volume and
pressure to supply water hose streams,
or foam producing equipment, or
automatic sprinklers, or water spray
systems.
(c) Testing and maintenance of
equipment. All facility communications
or alarm systems, fire protection
equipment, spill control equipment, and
decontamination equipment, where
required, must be tested and maintained
as necessary to assure its proper
operation in time of emergency.
(d) Access to communications or
alarm system. (1) Whenever hazardous
secondary material is being poured,
mixed, spread, or otherwise handled, all
personnel involved in the operation
must have immediate access to an
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internal alarm or emergency
communication device, either directly
or through visual or voice contact with
another employee, unless such a device
is not required under paragraph (b) of
this section.
(2) If there is ever just one employee
on the premises while the facility is
operating, he must have immediate
access to a device, such as a telephone
(immediately available at the scene of
operation) or a hand-held two-way
radio, capable of summoning external
emergency assistance, unless such a
device is not required under paragraph
(b) of this section.
(e) Required aisle space. The
hazardous secondary material generator
or intermediate or reclamation facility
operating under a verified recycler
variance under § 260.31(d) must
maintain aisle space to allow the
unobstructed movement of personnel,
fire protection equipment, spill control
equipment, and decontamination
equipment to any area of facility
operation in an emergency, unless aisle
space is not needed for any of these
purposes.
(f) Arrangements with local
authorities. (1) The hazardous
secondary material generator or an
intermediate or reclamation facility
operating under a verified recycler
variance under § 260.31(d) must attempt
to make the following arrangements, as
appropriate for the type of waste
handled at his facility and the potential
need for the services of these
organizations:
(i) Arrangements to familiarize police,
fire departments, and emergency
response teams with the layout of the
facility, properties of hazardous
secondary material handled at the
facility and associated hazards, places
where facility personnel would
normally be working, entrances to roads
inside the facility, and possible
evacuation routes;
(ii) Where more than one police and
fire department might respond to an
emergency, agreements designating
primary emergency authority to a
specific police and a specific fire
department, and agreements with any
others to provide support to the primary
emergency authority;
(iii) Agreements with state emergency
response teams, emergency response
contractors, and equipment suppliers;
and
(iv) Arrangements to familiarize local
hospitals with the properties of
hazardous waste handled at the facility
and the types of injuries or illnesses
which could result from fires,
explosions, or releases at the facility.
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(2) Where state or local authorities
decline to enter into such arrangements,
the hazardous secondary material
generator or an intermediate or
reclamation facility operating under a
verified recycler variance under
§ 260.31(d) must document the refusal
in the operating record.
§ 261.411 Emergency procedures for
facilities generating or accumulating 6000
kg or less of hazardous secondary material.
A generator or an intermediate or
reclamation facility operating under a
verified recycler variance under
§ 260.31(d) that generates or
accumulates 6000 kg or less of
hazardous secondary material must
comply with the following
requirements:
(a) At all times there must be at least
one employee either on the premises or
on call (i.e., available to respond to an
emergency by reaching the facility
within a short period of time) with the
responsibility for coordinating all
emergency response measures specified
in paragraph (d) of this section. This
employee is the emergency coordinator.
(b) The generator or intermediate or
reclamation facility operating under a
verified recycler variance under
§ 260.31(d) must post the following
information next to the telephone:
(1) The name and telephone number
of the emergency coordinator;
(2) Location of fire extinguishers and
spill control material, and, if present,
fire alarm; and
(3) The telephone number of the fire
department, unless the facility has a
direct alarm.
(c) The generator or an intermediate
or reclamation facility operating under a
verified recycler variance under
§ 260.31(d) must ensure that all
employees are thoroughly familiar with
proper waste handling and emergency
procedures, relevant to their
responsibilities during normal facility
operations and emergencies;
(d) The emergency coordinator or his
designee must respond to any
emergencies that arise. The applicable
responses are as follows:
(1) In the event of a fire, call the fire
department or attempt to extinguish it
using a fire extinguisher;
(2) In the event of a spill, contain the
flow of hazardous waste to the extent
possible, and as soon as is practicable,
clean up the hazardous waste and any
contaminated materials or soil;
(3) In the event of a fire, explosion, or
other release which could threaten
human health outside the facility or
when the generator or an intermediate
or reclamation facility operating under a
verified recycler variance under
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§ 260.31(d) has knowledge that a spill
has reached surface water, the generator
or an intermediate or reclamation
facility operating under a verified
recycler variance under § 260.31(d)
must immediately notify the National
Response Center (using their 24-hour
toll free number 800/424–8802). The
report must include the following
information:
(i) The name, address, and U.S. EPA
Identification Number of the facility;
(ii) Date, time, and type of incident
(e.g., spill or fire);
(iii) Quantity and type of hazardous
waste involved in the incident;
(iv) Extent of injuries, if any; and
(v) Estimated quantity and disposition
of recovered materials, if any.
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§ 261.420 Contingency planning and
emergency procedures for facilities
generating or accumulating more than 6000
kg of hazardous secondary material.
A generator or an intermediate or
reclamation facility operating under a
verified recycler variance under
§ 260.31(d) that generates or
accumulates more than 6000 kg of
hazardous secondary material must
comply with the following
requirements:
(a) Purpose and implementation of
contingency plan. (1) Each generator or
an intermediate or reclamation facility
operating under a verified recycler
variance under § 260.31(d) that
accumulates more than 6000 kg of
hazardous secondary material must
have a contingency plan for his facility.
The contingency plan must be designed
to minimize hazards to human health or
the environment from fires, explosions,
or any unplanned sudden or nonsudden release of hazardous secondary
material or hazardous secondary
material constituents to air, soil, or
surface water.
(2) The provisions of the plan must be
carried out immediately whenever there
is a fire, explosion, or release of
hazardous secondary material or
hazardous secondary material
constituents which could threaten
human health or the environment.
(b) Content of contingency plan. (1)
The contingency plan must describe the
actions facility personnel must take to
comply with paragraphs (a) and (f) in
response to fires, explosions, or any
unplanned sudden or non-sudden
release of hazardous secondary material
or hazardous secondary material
constituents to air, soil, or surface water
at the facility.
(2) If the generator or an intermediate
or reclamation facility operating under a
verified recycler variance under
§ 260.31(d) accumulating more than
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6000 kg of hazardous secondary
material has already prepared a Spill
Prevention, Control, and
Countermeasures (SPCC) Plan in
accordance with part 112 of this
chapter, or some other emergency or
contingency plan, he need only amend
that plan to incorporate hazardous
waste management provisions that are
sufficient to comply with the
requirements of this part. The hazardous
secondary material generator or an
intermediate or reclamation facility
operating under a verified recycler
variance under § 260.31(d) may develop
one contingency plan which meets all
regulatory requirements. EPA
recommends that the plan be based on
the National Response Team’s
Integrated Contingency Plan Guidance
(‘‘One Plan’’). When modifications are
made to non-RCRA provisions in an
integrated contingency plan, the
changes do not trigger the need for a
RCRA permit modification.
(3) The plan must describe
arrangements agreed to by local police
departments, fire departments,
hospitals, contractors, and State and
local emergency response teams to
coordinate emergency services,
pursuant to § 262.410(f).
(4) The plan must list names,
addresses, and phone numbers (office
and home) of all persons qualified to act
as emergency coordinator (see
paragraph (e) of this section), and this
list must be kept up-to-date. Where
more than one person is listed, one must
be named as primary emergency
coordinator and others must be listed in
the order in which they will assume
responsibility as alternates.
(5) The plan must include a list of all
emergency equipment at the facility
(such as fire extinguishing systems, spill
control equipment, communications
and alarm systems (internal and
external), and decontamination
equipment), where this equipment is
required. This list must be kept up to
date. In addition, the plan must include
the location and a physical description
of each item on the list, and a brief
outline of its capabilities.
(6) The plan must include an
evacuation plan for facility personnel
where there is a possibility that
evacuation could be necessary. This
plan must describe signal(s) to be used
to begin evacuation, evacuation routes,
and alternate evacuation routes (in cases
where the primary routes could be
blocked by releases of hazardous waste
or fires).
(c) Copies of contingency plan. A
copy of the contingency plan and all
revisions to the plan must be:
(1) Maintained at the facility; and
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(2) Submitted to all local police
departments, fire departments,
hospitals, and State and local
emergency response teams that may be
called upon to provide emergency
services.
(d) Amendment of contingency plan.
The contingency plan must be reviewed,
and immediately amended, if necessary,
whenever:
(1) Applicable regulations are revised;
(2) The plan fails in an emergency;
(3) The facility changes—in its design,
construction, operation, maintenance, or
other circumstances—in a way that
materially increases the potential for
fires, explosions, or releases of
hazardous secondary material or
hazardous secondary material
constituents, or changes the response
necessary in an emergency;
(4) The list of emergency coordinators
changes; or
(5) The list of emergency equipment
changes.
(e) Emergency coordinator. At all
times, there must be at least one
employee either on the facility premises
or on call (i.e., available to respond to
an emergency by reaching the facility
within a short period of time) with the
responsibility for coordinating all
emergency response measures. This
emergency coordinator must be
thoroughly familiar with all aspects of
the facility’s contingency plan, all
operations and activities at the facility,
the location and characteristics of waste
handled, the location of all records
within the facility, and the facility
layout. In addition, this person must
have the authority to commit the
resources needed to carry out the
contingency plan. The emergency
coordinator’s responsibilities are more
fully spelled out in paragraph (f).
Applicable responsibilities for the
emergency coordinator vary, depending
on factors such as type and variety of
hazardous secondary material(s)
handled by the facility, and type and
complexity of the facility.
(f) Emergency procedures. (1)
Whenever there is an imminent or
actual emergency situation, the
emergency coordinator (or his designee
when the emergency coordinator is on
call) must immediately:
(i) Activate internal facility alarms or
communication systems, where
applicable, to notify all facility
personnel; and
(ii) Notify appropriate State or local
agencies with designated response roles
if their help is needed.
(2) Whenever there is a release, fire,
or explosion, the emergency coordinator
must immediately identify the
character, exact source, amount, and
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areal extent of any released materials.
He may do this by observation or review
of facility records or manifests and, if
necessary, by chemical analysis.
(3) Concurrently, the emergency
coordinator must assess possible
hazards to human health or the
environment that may result from the
release, fire, or explosion. This
assessment must consider both direct
and indirect effects of the release, fire,
or explosion (e.g., the effects of any
toxic, irritating, or asphyxiating gases
that are generated, or the effects of any
hazardous surface water run-offs from
water or chemical agents used to control
fire and heat-induced explosions).
(4) If the emergency coordinator
determines that the facility has had a
release, fire, or explosion which could
threaten human health, or the
environment, outside the facility, he
must report his findings as follows:
(i) If his assessment indicates that
evacuation of local areas may be
advisable, he must immediately notify
appropriate local authorities. He must
be available to help appropriate officials
decide whether local areas should be
evacuated; and
(ii) He must immediately notify either
the government official designated as
the on-scene coordinator for that
geographical area, or the National
Response Center (using their 24-hour
toll free number 800/424–8802). The
report must include:
(A) Name and telephone number of
reporter;
(B) Name and address of facility;
(C) Time and type of incident (e.g.,
release, fire);
(D) Name and quantity of material(s)
involved, to the extent known;
(E) The extent of injuries, if any; and
(F) The possible hazards to human
health, or the environment, outside the
facility.
(5) During an emergency, the
emergency coordinator must take all
reasonable measures necessary to ensure
that fires, explosions, and releases do
not occur, recur, or spread to other
hazardous secondary material at the
facility. These measures must include,
where applicable, stopping processes
and operations, collecting and
containing released material, and
removing or isolating containers.
(6) If the facility stops operations in
response to a fire, explosion or release,
the emergency coordinator must
monitor for leaks, pressure buildup, gas
generation, or ruptures in valves, pipes,
or other equipment, wherever this is
appropriate.
(7) Immediately after an emergency,
the emergency coordinator must provide
for treating, storing, or disposing of
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recovered secondary material,
contaminated soil or surface water, or
any other material that results from a
release, fire, or explosion at the facility.
Unless the hazardous secondary
material generator can demonstrate, in
accordance with § 261.3(c) or (d) of this
chapter, that the recovered material is
not a hazardous waste, the owner or
operator becomes a generator of
hazardous waste and must manage it in
accordance with all applicable
requirements of parts 262, 263, and 265
of this chapter.
(8) The emergency coordinator must
ensure that, in the affected area(s) of the
facility:
(i) No secondary material that may be
incompatible with the released material
is treated, stored, or disposed of until
cleanup procedures are completed; and
(ii) All emergency equipment listed in
the contingency plan is cleaned and fit
for its intended use before operations
are resumed.
(9) The hazardous secondary material
generator must note in the operating
record the time, date, and details of any
incident that requires implementing the
contingency plan. Within 15 days after
the incident, he must submit a written
report on the incident to the Regional
Administrator. The report must include:
(i) Name, address, and telephone
number of the hazardous secondary
material generator;
(ii) Name, address, and telephone
number of the facility;
(iii) Date, time, and type of incident
(e.g., fire, explosion);
(iv) Name and quantity of material(s)
involved;
(v) The extent of injuries, if any;
(vi) An assessment of actual or
potential hazards to human health or
the environment, where this is
applicable; and
(vii) Estimated quantity and
disposition of recovered material that
resulted from the incident.
Subparts N–Z [Reserved]
Subpart AA—Air Emission Standards
for Process Vents
§ 261.1030
Applicability.
The regulations in this subpart apply
to process vents associated with
distillation, fractionation, thin-film
evaporation, solvent extraction, or air or
stream stripping operations that manage
hazardous secondary materials excluded
under the remanufacturing exclusion at
§ 261.4(a)(27) with concentrations of at
least 10 ppmw, unless the process vents
are equipped with operating air
emission controls in accordance with
the requirements of an applicable Clean
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Air Act regulation codified under 40
CFR part 60, part 61, or part 63.
§ 261.1031
Definitions.
As used in this subpart, all terms not
defined herein shall have the meaning
given them in the Resource
Conservation and Recovery Act and
parts 260–266.
Air stripping operation is a desorption
operation employed to transfer one or
more volatile components from a liquid
mixture into a gas (air) either with or
without the application of heat to the
liquid. Packed towers, spray towers, and
bubble-cap, sieve, or valve-type plate
towers are among the process
configurations used for contacting the
air and a liquid.
Bottoms receiver means a container or
tank used to receive and collect the
heavier bottoms fractions of the
distillation feed stream that remain in
the liquid phase.
Closed-vent system means a system
that is not open to the atmosphere and
that is composed of piping, connections,
and, if necessary, flow-inducing devices
that transport gas or vapor from a piece
or pieces of equipment to a control
device.
Condenser means a heat-transfer
device that reduces a thermodynamic
fluid from its vapor phase to its liquid
phase.
Connector means flanged, screwed,
welded, or other joined fittings used to
connect two pipelines or a pipeline and
a piece of equipment. For the purposes
of reporting and recordkeeping,
connector means flanged fittings that are
not covered by insulation or other
materials that prevent location of the
fittings.
Continuous recorder means a datarecording device recording an
instantaneous data value at least once
every 15 minutes.
Control device means an enclosed
combustion device, vapor recovery
system, or flare. Any device the primary
function of which is the recovery or
capture of solvents or other organics for
use, reuse, or sale (e.g., a primary
condenser on a solvent recovery unit) is
not a control device.
Control device shutdown means the
cessation of operation of a control
device for any purpose.
Distillate receiver means a container
or tank used to receive and collect
liquid material (condensed) from the
overhead condenser of a distillation unit
and from which the condensed liquid is
pumped to larger storage tanks or other
process units.
Distillation operation means an
operation, either batch or continuous,
separating one or more feed stream(s)
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into two or more exit streams, each exit
stream having component
concentrations different from those in
the feed stream(s). The separation is
achieved by the redistribution of the
components between the liquid and
vapor phase as they approach
equilibrium within the distillation unit.
Double block and bleed system means
two block valves connected in series
with a bleed valve or line that can vent
the line between the two block valves.
Equipment means each valve, pump,
compressor, pressure relief device,
sampling connection system, openended valve or line, or flange or other
connector, and any control devices or
systems required by this subpart.
Flame zone means the portion of the
combustion chamber in a boiler
occupied by the flame envelope.
Flow indicator means a device that
indicates whether gas flow is present in
a vent stream.
First attempt at repair means to take
rapid action for the purpose of stopping
or reducing leakage of organic material
to the atmosphere using best practices.
Fractionation operation means a
distillation operation or method used to
separate a mixture of several volatile
components of different boiling points
in successive stages, each stage
removing from the mixture some
proportion of one of the components.
Hazardous secondary material
management unit shutdown means a
work practice or operational procedure
that stops operation of a hazardous
secondary material management unit or
part of a hazardous secondary material
management unit. An unscheduled
work practice or operational procedure
that stops operation of a hazardous
secondary material management unit or
part of a hazardous secondary material
management unit for less than 24 hours
is not a hazardous secondary material
management unit shutdown. The use of
spare equipment and technically
feasible bypassing of equipment without
stopping operation are not hazardous
secondary material management unit
shutdowns.
Hot well means a container for
collecting condensate as in a steam
condenser serving a vacuum-jet or
steam-jet ejector.
In gas/vapor service means that the
piece of equipment contains or contacts
a hazardous secondary material stream
that is in the gaseous state at operating
conditions.
In heavy liquid service means that the
piece of equipment is not in gas/vapor
service or in light liquid service.
In light liquid service means that the
piece of equipment contains or contacts
a material stream where the vapor
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pressure of one or more of the organic
components in the stream is greater than
0.3 kilopascals (kPa) at 20 °C, the total
concentration of the pure organic
components having a vapor pressure
greater than 0.3 kilopascals (kPa) at 20
°C is equal to or greater than 20 percent
by weight, and the fluid is a liquid at
operating conditions.
In situ sampling systems means
nonextractive samplers or in-line
samplers.
In vacuum service means that
equipment is operating at an internal
pressure that is at least 5 kPa below
ambient pressure.
Malfunction means any sudden
failure of a control device or a
hazardous secondary material
management unit or failure of a
hazardous secondary material
management unit to operate in a normal
or usual manner, so that organic
emissions are increased.
Open-ended valve or line means any
valve, except pressure relief valves,
having one side of the valve seat in
contact with hazardous secondary
material and one side open to the
atmosphere, either directly or through
open piping.
Pressure release means the emission
of materials resulting from the system
pressure being greater than the set
pressure of the pressure relief device.
Process heater means a device that
transfers heat liberated by burning fuel
to fluids contained in tubes, including
all fluids except water that are heated to
produce steam.
Process vent means any open-ended
pipe or stack that is vented to the
atmosphere either directly, through a
vacuum-producing system, or through a
tank (e.g., distillate receiver, condenser,
bottoms receiver, surge control tank,
separator tank, or hot well) associated
with hazardous secondary material
distillation, fractionation, thin-film
evaporation, solvent extraction, or air or
steam stripping operations.
Repaired means that equipment is
adjusted, or otherwise altered, to
eliminate a leak.
Sampling connection system means
an assembly of equipment within a
process or material management unit
used during periods of representative
operation to take samples of the process
or material fluid. Equipment used to
take non-routine grab samples is not
considered a sampling connection
system.
Sensor means a device that measures
a physical quantity or the change in a
physical quantity, such as temperature,
pressure, flow rate, pH, or liquid level.
Separator tank means a device used
for separation of two immiscible liquids.
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Solvent extraction operation means an
operation or method of separation in
which a solid or solution is contacted
with a liquid solvent (the two being
mutually insoluble) to preferentially
dissolve and transfer one or more
components into the solvent.
Startup means the setting in operation
of a hazardous secondary material
management unit or control device for
any purpose.
Steam stripping operation means a
distillation operation in which
vaporization of the volatile constituents
of a liquid mixture takes place by the
introduction of steam directly into the
charge.
Surge control tank means a largesized pipe or storage reservoir sufficient
to contain the surging liquid discharge
of the process tank to which it is
connected.
Thin-film evaporation operation
means a distillation operation that
employs a heating surface consisting of
a large diameter tube that may be either
straight or tapered, horizontal or
vertical. Liquid is spread on the tube
wall by a rotating assembly of blades
that maintain a close clearance from the
wall or actually ride on the film of
liquid on the wall.
Vapor incinerator means any enclosed
combustion device that is used for
destroying organic compounds and does
not extract energy in the form of steam
or process heat.
Vented means discharged through an
opening, typically an open-ended pipe
or stack, allowing the passage of a
stream of liquids, gases, or fumes into
the atmosphere. The passage of liquids,
gases, or fumes is caused by mechanical
means such as compressors or vacuumproducing systems or by process-related
means such as evaporation produced by
heating and not caused by tank loading
and unloading (working losses) or by
natural means such as diurnal
temperature changes.
§ 261.1032
Standards: Process vents.
(a) The remanufacturer or other
person that stores or treats hazardous
secondary materials in hazardous
secondary material management units
with process vents associated with
distillation, fractionation, thin-film
evaporation, solvent extraction, or air or
steam stripping operations managing
hazardous secondary material with
organic concentrations of at least 10
ppmw shall either:
(1) Reduce total organic emissions
from all affected process vents at the
facility below 1.4 kg/h (3 lb/h) and 2.8
Mg/yr (3.1 tons/yr), or
(2) Reduce, by use of a control device,
total organic emissions from all affected
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§ 261.1033 Standards: Closed-vent
systems and control devices.
(a)(1) The remanufacturer or other
person that stores or treats the
hazardous secondary materials in
hazardous secondary material
management units using closed-vent
systems and control devices used to
comply with provisions of this part
shall comply with the provisions of this
section.
(2) [Reserved]
(b) A control device involving vapor
recovery (e.g., a condenser or adsorber)
shall be designed and operated to
recover the organic vapors vented to it
with an efficiency of 95 weight percent
or greater unless the total organic
emission limits of § 261.1032(a)(1) for
all affected process vents can be
attained at an efficiency less than 95
weight percent.
(c) An enclosed combustion device
(e.g., a vapor incinerator, boiler, or
process heater) shall be designed and
operated to reduce the organic
emissions vented to it by 95 weight
percent or greater; to achieve a total
organic compound concentration of 20
ppmv, expressed as the sum of the
actual compounds, not carbon
equivalents, on a dry basis corrected to
3 percent oxygen; or to provide a
minimum residence time of 0.50
seconds at a minimum temperature of
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760 °C. If a boiler or process heater is
used as the control device, then the vent
stream shall be introduced into the
flame zone of the boiler or process
heater.
(d)(1) A flare shall be designed for and
operated with no visible emissions as
determined by the methods specified in
paragraph (e)(1) of this section, except
for periods not to exceed a total of 5
minutes during any 2 consecutive
hours.
(2) A flare shall be operated with a
flame present at all times, as determined
by the methods specified in paragraph
(f)(2)(iii) of this section.
(3) A flare shall be used only if the net
heating value of the gas being
combusted is 11.2 MJ/scm (300 Btu/scf)
or greater if the flare is steam-assisted or
air-assisted; or if the net heating value
of the gas being combusted is 7.45 MJ/
scm (200 Btu/scf) or greater if the flare
is nonassisted. The net heating value of
the gas being combusted shall be
determined by the methods specified in
paragraph (e)(2) of this section.
(4)(i) A steam-assisted or nonassisted
flare shall be designed for and operated
with an exit velocity, as determined by
the methods specified in paragraph
(e)(3) of this section, less than 18.3 m/
s (60 ft/s), except as provided in
paragraphs (d)(4)(ii) and (iii) of this
section.
(ii) A steam-assisted or nonassisted
flare designed for and operated with an
exit velocity, as determined by the
methods specified in paragraph (e)(3) of
this section, equal to or greater than 18.3
m/s (60 ft/s) but less than 122 m/s (400
ft/s) is allowed if the net heating value
of the gas being combusted is greater
than 37.3 MJ/scm (1,000 Btu/scf).
(iii) A steam-assisted or nonassisted
flare designed for and operated with an
exit velocity, as determined by the
methods specified in paragraph (e)(3) of
this section, less than the velocity, Vmax,
as determined by the method specified
in paragraph (e)(4) of this section and
less than 122 m/s (400 ft/s) is allowed.
(5) An air-assisted flare shall be
designed and operated with an exit
velocity less than the velocity, Vmax, as
determined by the method specified in
paragraph (e)(5) of this section.
(6) A flare used to comply with this
section shall be steam-assisted, airassisted, or nonassisted.
(e)(1) Reference Method 22 in 40 CFR
part 60 shall be used to determine the
compliance of a flare with the visible
emission provisions of this subpart. The
observation period is 2 hours and shall
be used according to Method 22.
(2) The net heating value of the gas
being combusted in a flare shall be
calculated using the following equation:
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Where:
HT = Net heating value of the sample, MJ/
scm; where the net enthalpy per mole of
offgas is based on combustion at 25 °C
and 760 mm Hg, but the standard
temperature for determining the volume
corresponding to 1 mol is 20 °C;
K = Constant, 1.74 × 10¥7 (1/ppm) (g mol/
scm) (MJ/kcal) where standard
temperature for (g mol/scm) is 20 °C;
Ci = Concentration of sample component i in
ppm on a wet basis, as measured for
organics by Reference Method 18 in 40
CFR part 60 and measured for hydrogen
and carbon monoxide by ASTM D 1946–
82 (incorporated by reference as
specified in § 260.11); and
Hi = Net heat of combustion of sample
component i, kcal/9 mol at 25 °C and 760
mm Hg. The heats of combustion may be
determined using ASTM D 2382–83
(incorporated by reference as specified in
§ 260.11) if published values are not
available or cannot be calculated.
(3) The actual exit velocity of a flare
shall be determined by dividing the
volumetric flow rate (in units of
standard temperature and pressure), as
determined by Reference Methods 2,
2A, 2C, or 2D in 40 CFR part 60 as
appropriate, by the unobstructed (free)
cross-sectional area of the flare tip.
(4) The maximum allowed velocity in
m/s, Vmax, for a flare complying with
paragraph (d)(4)(iii) of this section shall
be determined by the following
equation:
Log10(Vmax) = (HT + 28.8)/31.7
Where:
28.8 = Constant,
31.7 = Constant,
HT = The net heating value as determined in
paragraph (e)(2) of this section.
(5) The maximum allowed velocity in
m/s, Vmax, for an air-assisted flare shall
be determined by the following
equation:
Vmax = 8.706 + 0.7084 (HT)
Where:
8.706 = Constant,
0.7084 = Constant,
HT = The net heating value as determined in
paragraph (e)(2) of this section.
(f) The remanufacturer or other person
that stores or treats the hazardous
secondary material shall monitor and
inspect each control device required to
comply with this section to ensure
proper operation and maintenance of
the control device by implementing the
following requirements:
(1) Install, calibrate, maintain, and
operate according to the manufacturer’s
specifications a flow indicator that
provides a record of vent stream flow
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process vents at the facility by 95 weight
percent.
(b) If the remanufacturer or other
person that stores or treats the
hazardous secondary material installs a
closed-vent system and control device
to comply with the provisions of
paragraph (a) of this section the closedvent system and control device must
meet the requirements of § 261.1033.
(c) Determinations of vent emissions
and emission reductions or total organic
compound concentrations achieved by
add-on control devices may be based on
engineering calculations or performance
tests. If performance tests are used to
determine vent emissions, emission
reductions, or total organic compound
concentrations achieved by add-on
control devices, the performance tests
must conform with the requirements of
§ 261.1034(c).
(d) When a remanufacturer or other
person that stores or treats the
hazardous secondary material and the
Regional Administrator do not agree on
determinations of vent emissions and/or
emission reductions or total organic
compound concentrations achieved by
add-on control devices based on
engineering calculations, the procedures
in § 261.1034(c) shall be used to resolve
the disagreement.
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from each affected process vent to the
control device at least once every hour.
The flow indicator sensor shall be
installed in the vent stream at the
nearest feasible point to the control
device inlet but before the point at
which the vent streams are combined.
(2) Install, calibrate, maintain, and
operate according to the manufacturer’s
specifications a device to continuously
monitor control device operation as
specified below:
(i) For a thermal vapor incinerator, a
temperature monitoring device
equipped with a continuous recorder.
The device shall have an accuracy of ±1
percent of the temperature being
monitored in °C or ±0.5 °C, whichever
is greater. The temperature sensor shall
be installed at a location in the
combustion chamber downstream of the
combustion zone.
(ii) For a catalytic vapor incinerator,
a temperature monitoring device
equipped with a continuous recorder.
The device shall be capable of
monitoring temperature at two locations
and have an accuracy of ±1 percent of
the temperature being monitored in °C
or ±0.5 °C, whichever is greater. One
temperature sensor shall be installed in
the vent stream at the nearest feasible
point to the catalyst bed inlet and a
second temperature sensor shall be
installed in the vent stream at the
nearest feasible point to the catalyst bed
outlet.
(iii) For a flare, a heat sensing
monitoring device equipped with a
continuous recorder that indicates the
continuous ignition of the pilot flame.
(iv) For a boiler or process heater
having a design heat input capacity less
than 44 MW, a temperature monitoring
device equipped with a continuous
recorder. The device shall have an
accuracy of ±1 percent of the
temperature being monitored in °C or
±0.5 °C, whichever is greater. The
temperature sensor shall be installed at
a location in the furnace downstream of
the combustion zone.
(v) For a boiler or process heater
having a design heat input capacity
greater than or equal to 44 MW, a
monitoring device equipped with a
continuous recorder to measure a
parameter(s) that indicates good
combustion operating practices are
being used.
(vi) For a condenser, either:
(A) A monitoring device equipped
with a continuous recorder to measure
the concentration level of the organic
compounds in the exhaust vent stream
from the condenser, or
(B) A temperature monitoring device
equipped with a continuous recorder.
The device shall be capable of
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monitoring temperature with an
accuracy of ±1 percent of the
temperature being monitored in degrees
Celsius (°C) or ±0.5 °C, whichever is
greater. The temperature sensor shall be
installed at a location in the exhaust
vent stream from the condenser exit
(i.e., product side).
(vii) For a carbon adsorption system
that regenerates the carbon bed directly
in the control device such as a fixed-bed
carbon adsorber, either:
(A) A monitoring device equipped
with a continuous recorder to measure
the concentration level of the organic
compounds in the exhaust vent stream
from the carbon bed, or
(B) A monitoring device equipped
with a continuous recorder to measure
a parameter that indicates the carbon
bed is regenerated on a regular,
predetermined time cycle.
(3) Inspect the readings from each
monitoring device required by
paragraphs (f)(1) and (2) of this section
at least once each operating day to
check control device operation and, if
necessary, immediately implement the
corrective measures necessary to ensure
the control device operates in
compliance with the requirements of
this section.
(g) A remanufacturer or other person
that stores or treats hazardous secondary
material in a hazardous secondary
material management unit using a
carbon adsorption system such as a
fixed-bed carbon adsorber that
regenerates the carbon bed directly
onsite in the control device shall replace
the existing carbon in the control device
with fresh carbon at a regular,
predetermined time interval that is no
longer than the carbon service life
established as a requirement of
§ 261.1035(b)(4)(iii)(F).
(h) A remanufacturer or other person
that stores or treats hazardous secondary
material in a hazardous secondary
material management unit using a
carbon adsorption system such as a
carbon canister that does not regenerate
the carbon bed directly onsite in the
control device shall replace the existing
carbon in the control device with fresh
carbon on a regular basis by using one
of the following procedures:
(1) Monitor the concentration level of
the organic compounds in the exhaust
vent stream from the carbon adsorption
system on a regular schedule, and
replace the existing carbon with fresh
carbon immediately when carbon
breakthrough is indicated. The
monitoring frequency shall be daily or
at an interval no greater than 20 percent
of the time required to consume the
total carbon working capacity
established as a requirement of
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§ 261.1035(b)(4)(iii)(G), whichever is
longer.
(2) Replace the existing carbon with
fresh carbon at a regular, predetermined
time interval that is less than the design
carbon replacement interval established
as a requirement of
§ 261.1035(b)(4)(iii)(G).
(i) An alternative operational or
process parameter may be monitored if
it can be demonstrated that another
parameter will ensure that the control
device is operated in conformance with
these standards and the control device’s
design specifications.
(j) A remanufacturer or other person
that stores or treats hazardous secondary
material at an affected facility seeking to
comply with the provisions of this part
by using a control device other than a
thermal vapor incinerator, catalytic
vapor incinerator, flare, boiler, process
heater, condenser, or carbon adsorption
system is required to develop
documentation including sufficient
information to describe the control
device operation and identify the
process parameter or parameters that
indicate proper operation and
maintenance of the control device.
(k) A closed-vent system shall meet
either of the following design
requirements:
(1) A closed-vent system shall be
designed to operate with no detectable
emissions, as indicated by an
instrument reading of less than 500
ppmv above background as determined
by the procedure in § 261.1034(b) of this
subpart, and by visual inspections; or
(2) A closed-vent system shall be
designed to operate at a pressure below
atmospheric pressure. The system shall
be equipped with at least one pressure
gauge or other pressure measurement
device that can be read from a readily
accessible location to verify that
negative pressure is being maintained in
the closed-vent system when the control
device is operating.
(l) The remanufacturer or other person
that stores or treats the hazardous
secondary material shall monitor and
inspect each closed-vent system
required to comply with this section to
ensure proper operation and
maintenance of the closed-vent system
by implementing the following
requirements:
(1) Each closed-vent system that is
used to comply with paragraph (k)(1) of
this section shall be inspected and
monitored in accordance with the
following requirements:
(i) An initial leak detection
monitoring of the closed-vent system
shall be conducted by the
remanufacturer or other person that
stores or treats the hazardous secondary
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material on or before the date that the
system becomes subject to this section.
The remanufacturer or other person that
stores or treats the hazardous secondary
material shall monitor the closed-vent
system components and connections
using the procedures specified in
§ 261.1034(b) of this subpart to
demonstrate that the closed-vent system
operates with no detectable emissions,
as indicated by an instrument reading of
less than 500 ppmv above background.
(ii) After initial leak detection
monitoring required in paragraph
(l)(1)(i) of this section, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall inspect and monitor the
closed-vent system as follows:
(A) Closed-vent system joints, seams,
or other connections that are
permanently or semi-permanently
sealed (e.g., a welded joint between two
sections of hard piping or a bolted and
gasketed ducting flange) shall be
visually inspected at least once per year
to check for defects that could result in
air pollutant emissions. The
remanufacturer or other person that
stores or treats the hazardous secondary
material shall monitor a component or
connection using the procedures
specified in § 261.1034(b) of this subpart
to demonstrate that it operates with no
detectable emissions following any time
the component is repaired or replaced
(e.g., a section of damaged hard piping
is replaced with new hard piping) or the
connection is unsealed (e.g., a flange is
unbolted).
(B) Closed-vent system components or
connections other than those specified
in paragraph (l)(1)(ii)(A) of this section
shall be monitored annually and at
other times as requested by the Regional
Administrator, except as provided for in
paragraph (o) of this section, using the
procedures specified in § 261.1034(b) of
this subpart to demonstrate that the
components or connections operate
with no detectable emissions.
(iii) In the event that a defect or leak
is detected, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
repair the defect or leak in accordance
with the requirements of paragraph
(l)(3) of this section.
(iv) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
maintain a record of the inspection and
monitoring in accordance with the
requirements specified in § 261.1035 of
this subpart.
(2) Each closed-vent system that is
used to comply with paragraph (k)(2) of
this section shall be inspected and
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Jkt 235001
monitored in accordance with the
following requirements:
(i) The closed-vent system shall be
visually inspected by the
remanufacturer or other person that
stores or treats the hazardous secondary
material to check for defects that could
result in air pollutant emissions. Defects
include, but are not limited to, visible
cracks, holes, or gaps in ductwork or
piping or loose connections.
(ii) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
perform an initial inspection of the
closed-vent system on or before the date
that the system becomes subject to this
section. Thereafter, the remanufacturer
or other person that stores or treats the
hazardous secondary material shall
perform the inspections at least once
every year.
(iii) In the event that a defect or leak
is detected, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
repair the defect in accordance with the
requirements of paragraph (l)(3) of this
section.
(iv) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
maintain a record of the inspection and
monitoring in accordance with the
requirements specified in § 261.1035 of
this subpart.
(3) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
repair all detected defects as follows:
(i) Detectable emissions, as indicated
by visual inspection, or by an
instrument reading greater than 500
ppmv above background, shall be
controlled as soon as practicable, but
not later than 15 calendar days after the
emission is detected, except as provided
for in paragraph (l)(3)(iii) of this section.
(ii) A first attempt at repair shall be
made no later than 5 calendar days after
the emission is detected.
(iii) Delay of repair of a closed-vent
system for which leaks have been
detected is allowed if the repair is
technically infeasible without a process
unit shutdown, or if the remanufacturer
or other person that stores or treats the
hazardous secondary material
determines that emissions resulting
from immediate repair would be greater
than the fugitive emissions likely to
result from delay of repair. Repair of
such equipment shall be completed by
the end of the next process unit
shutdown.
(iv) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
maintain a record of the defect repair in
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1787
accordance with the requirements
specified in § 261.1035 of this subpart.
(m) Closed-vent systems and control
devices used to comply with provisions
of this subpart shall be operated at all
times when emissions may be vented to
them.
(n) The owner or operator using a
carbon adsorption system to control air
pollutant emissions shall document that
all carbon that is a hazardous waste and
that is removed from the control device
is managed in one of the following
manners, regardless of the average
volatile organic concentration of the
carbon:
(1) Regenerated or reactivated in a
thermal treatment unit that meets one of
the following:
(i) The owner or operator of the unit
has been issued a final permit under 40
CFR part 270 which implements the
requirements of subpart X of this part;
or
(ii) The unit is equipped with and
operating air emission controls in
accordance with the applicable
requirements of subparts AA and CC of
either this part or of 40 CFR part 265;
or
(iii) The unit is equipped with and
operating air emission controls in
accordance with a national emission
standard for hazardous air pollutants
under 40 CFR part 61 or 40 CFR part 63.
(2) Incinerated in a hazardous waste
incinerator for which the owner or
operator either:
(i) Has been issued a final permit
under 40 CFR part 270 which
implements the requirements of subpart
O of this part; or
(ii) Has designed and operates the
incinerator in accordance with the
interim status requirements of 40 CFR
part 265, subpart O.
(3) Burned in a boiler or industrial
furnace for which the owner or operator
either:
(i) Has been issued a final permit
under 40 CFR part 270 which
implements the requirements of 40 CFR
part 266, subpart H; or
(ii) Has designed and operates the
boiler or industrial furnace in
accordance with the interim status
requirements of 40 CFR part 266,
subpart H.
(o) Any components of a closed-vent
system that are designated, as described
in § 261.1035(c)(9) of this subpart, as
unsafe to monitor are exempt from the
requirements of paragraph (l)(1)(ii)(B) of
this section if:
(1) The remanufacturer or other
person that stores or treats the
hazardous secondary material in a
hazardous secondary material
management unit using a closed-vent
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system determines that the components
of the closed-vent system are unsafe to
monitor because monitoring personnel
would be exposed to an immediate
danger as a consequence of complying
with paragraph (l)(1)(ii)(B) of this
section; and
(2) The remanufacturer or other
person that stores or treats the
hazardous secondary material in a
hazardous secondary material
management unit using a closed-vent
system adheres to a written plan that
requires monitoring the closed-vent
system components using the procedure
specified in paragraph (l)(1)(ii)(B) of this
section as frequently as practicable
during safe-to-monitor times.
§ 261.1034
Test methods and procedures.
(a) Each remanufacturer or other
person that stores or treats the
hazardous secondary material subject to
the provisions of this subpart shall
comply with the test methods and
procedural requirements provided in
this section.
(b) When a closed-vent system is
tested for compliance with no detectable
emissions, as required in § 261.1033(l)
of this subpart, the test shall comply
with the following requirements:
(1) Monitoring shall comply with
Reference Method 21 in 40 CFR part 60.
Where:
Eh= Total organic mass flow rate, kg/h;
Q2sd= Volumetric flow rate of gases entering
or exiting control device, as determined
by Method 2, dscm/h;
n = Number of organic compounds in the
vent gas;
Ci= Organic concentration in ppm, dry basis,
of compound i in the vent gas, as
determined by Method 18;
MWi= Molecular weight of organic
compound i in the vent gas, kg/kg-mol;
0.0416 = Conversion factor for molar volume,
kg-mol/m3 (@293 K and 760 mm Hg);
10¥6 = Conversion from ppm
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(B) For sources utilizing Method 25A.
Eh= (Q)(C)(MW)(0.0416)(10¥6)
Where:
Eh= Total organic mass flow rate, kg/h;
Q = Volumetric flow rate of gases entering or
exiting control device, as determined by
Method 2, dscm/h;
C = Organic concentration in ppm, dry basis,
as determined by Method 25A;
MW = Molecular weight of propane, 44;
0.0416 = Conversion factor for molar volume,
kg-mol/m3 (@293 K and 760 mm Hg);
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(2) The detection instrument shall
meet the performance criteria of
Reference Method 21.
(3) The instrument shall be calibrated
before use on each day of its use by the
procedures specified in Reference
Method 21.
(4) Calibration gases shall be:
(i) Zero air (less than 10 ppm of
hydrocarbon in air).
(ii) A mixture of methane or n-hexane
and air at a concentration of
approximately, but less than, 10,000
ppm methane or n-hexane.
(5) The background level shall be
determined as set forth in Reference
Method 21.
(6) The instrument probe shall be
traversed around all potential leak
interfaces as close to the interface as
possible as described in Reference
Method 21.
(7) The arithmetic difference between
the maximum concentration indicated
by the instrument and the background
level is compared with 500 ppm for
determining compliance.
(c) Performance tests to determine
compliance with § 261.1032(a) and with
the total organic compound
concentration limit of § 261.1033(c)
shall comply with the following:
(1) Performance tests to determine
total organic compound concentrations
and mass flow rates entering and exiting
control devices shall be conducted and
data reduced in accordance with the
following reference methods and
calculation procedures:
(i) Method 2 in 40 CFR part 60 for
velocity and volumetric flow rate.
(ii) Method 18 or Method 25A in 40
CFR part 60, appendix A, for organic
content. If Method 25A is used, the
organic HAP used as the calibration gas
must be the single organic HAP
representing the largest percent by
volume of the emissions. The use of
Method 25A is acceptable if the
response from the high-level calibration
gas is at least 20 times the standard
deviation of the response from the zero
calibration gas when the instrument is
zeroed on the most sensitive scale.
(iii) Each performance test shall
consist of three separate runs; each run
conducted for at least 1 hour under the
conditions that exist when the
hazardous secondary material
management unit is operating at the
highest load or capacity level reasonably
expected to occur. For the purpose of
determining total organic compound
concentrations and mass flow rates, the
average of results of all runs shall apply.
The average shall be computed on a
time-weighted basis.
(iv) Total organic mass flow rates
shall be determined by the following
equation:
(A) For sources utilizing Method 18.
10¥6 = Conversion from ppm.
be necessary to determine the
conditions of the performance tests.
Operations during periods of startup,
shutdown, and malfunction shall not
constitute representative conditions for
the purpose of a performance test.
(3) The remanufacturer or other
person that stores or treats the
hazardous secondary material at an
affected facility shall provide, or cause
to be provided, performance testing
facilities as follows:
(i) Sampling ports adequate for the
test methods specified in paragraph
(c)(1) of this section.
(ii) Safe sampling platform(s).
(iii) Safe access to sampling
platform(s).
(iv) Utilities for sampling and testing
equipment.
(4) For the purpose of making
compliance determinations, the timeweighted average of the results of the
three runs shall apply. In the event that
a sample is accidentally lost or
conditions occur in which one of the
(v) The annual total organic emission
rate shall be determined by the
following equation:
EA=(Eh)(H)
Where:
EA=Total organic mass emission rate, kg/y;
Eh=Total organic mass flow rate for the
process vent, kg/h;
H=Total annual hours of operations for the
affected unit, h.
(vi) Total organic emissions from all
affected process vents at the facility
shall be determined by summing the
hourly total organic mass emission rates
(Eh, as determined in paragraph
(c)(1)(iv) of this section) and by
summing the annual total organic mass
emission rates (EA, as determined in
paragraph (c)(1)(v) of this section) for all
affected process vents at the facility.
(2) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
record such process information as may
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three runs must be discontinued
because of forced shutdown, failure of
an irreplaceable portion of the sample
train, extreme meteorological
conditions, or other circumstances
beyond the remanufacturer’s or other
person’s that stores or treats the
hazardous secondary material control,
compliance may, upon the Regional
Administrator’s approval, be
determined using the average of the
results of the two other runs.
(d) To show that a process vent
associated with a hazardous secondary
material distillation, fractionation, thinfilm evaporation, solvent extraction, or
air or steam stripping operation is not
subject to the requirements of this
subpart, the remanufacturer or other
person that stores or treats the
hazardous secondary material must
make an initial determination that the
time-weighted, annual average total
organic concentration of the material
managed by the hazardous secondary
material management unit is less than
10 ppmw using one of the following two
methods:
(1) Direct measurement of the organic
concentration of the material using the
following procedures:
(i) The remanufacturer or other person
that stores or treats the hazardous
secondary material must take a
minimum of four grab samples of
material for each material stream
managed in the affected unit under
process conditions expected to cause
the maximum material organic
concentration.
(ii) For material generated onsite, the
grab samples must be collected at a
point before the material is exposed to
the atmosphere such as in an enclosed
pipe or other closed system that is used
to transfer the material after generation
to the first affected distillation,
fractionation, thin-film evaporation,
solvent extraction, or air or steam
stripping operation. For material
generated offsite, the grab samples must
be collected at the inlet to the first
material management unit that receives
the material provided the material has
been transferred to the facility in a
closed system such as a tank truck and
the material is not diluted or mixed
with other material.
(iii) Each sample shall be analyzed
and the total organic concentration of
the sample shall be computed using
Method 9060A (incorporated by
reference under 40 CFR 260.11) of ‘‘Test
Methods for Evaluating Solid Waste,
Physical/Chemical Methods,’’ EPA
Publication SW–846, or analyzed for its
individual organic constituents.
(iv) The arithmetic mean of the results
of the analyses of the four samples shall
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apply for each material stream managed
in the unit in determining the timeweighted, annual average total organic
concentration of the material. The timeweighted average is to be calculated
using the annual quantity of each
material stream processed and the mean
organic concentration of each material
stream managed in the unit.
(2) Using knowledge of the material to
determine that its total organic
concentration is less than 10 ppmw.
Documentation of the material
determination is required. Examples of
documentation that shall be used to
support a determination under this
provision include production process
information documenting that no
organic compounds are used,
information that the material is
generated by a process that is identical
to a process at the same or another
facility that has previously been
demonstrated by direct measurement to
generate a material stream having a total
organic content less than 10 ppmw, or
prior speciation analysis results on the
same material stream where it can also
be documented that no process changes
have occurred since that analysis that
could affect the material total organic
concentration.
(e) The determination that distillation,
fractionation, thin-film evaporation,
solvent extraction, or air or steam
stripping operations manage hazardous
secondary materials with timeweighted, annual average total organic
concentrations less than 10 ppmw shall
be made as follows:
(1) By the effective date that the
facility becomes subject to the
provisions of this subpart or by the date
when the material is first managed in a
hazardous secondary material
management unit, whichever is later,
and
(2) For continuously generated
material, annually, or
(3) Whenever there is a change in the
material being managed or a change in
the process that generates or treats the
material.
(f) When a remanufacturer or other
person that stores or treats the
hazardous secondary material and the
Regional Administrator do not agree on
whether a distillation, fractionation,
thin-film evaporation, solvent
extraction, or air or steam stripping
operation manages a hazardous
secondary material with organic
concentrations of at least 10 ppmw
based on knowledge of the material, the
dispute may be resolved by using direct
measurement as specified at paragraph
(d)(1) of this section.
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§ 261.1035
1789
Recordkeeping requirements.
(a)(1) Each remanufacturer or other
person that stores or treats the
hazardous secondary material subject to
the provisions of this subpart shall
comply with the recordkeeping
requirements of this section.
(2) A remanufacturer or other person
that stores or treats the hazardous
secondary material of more than one
hazardous secondary material
management unit subject to the
provisions of this subpart may comply
with the recordkeeping requirements for
these hazardous secondary material
management units in one recordkeeping
system if the system identifies each
record by each hazardous secondary
material management unit.
(b) The remanufacturer or other
person that stores or treats the
hazardous secondary material must
keep the following records on-site:
(1) For facilities that comply with the
provisions of § 261.1033(a)(2), an
implementation schedule that includes
dates by which the closed-vent system
and control device will be installed and
in operation. The schedule must also
include a rationale of why the
installation cannot be completed at an
earlier date. The implementation
schedule must be kept on-site at the
facility by the effective date that the
facility becomes subject to the
provisions of this subpart.
(2) Up-to-date documentation of
compliance with the process vent
standards in § 261.1032, including:
(i) Information and data identifying
all affected process vents, annual
throughput and operating hours of each
affected unit, estimated emission rates
for each affected vent and for the overall
facility (i.e., the total emissions for all
affected vents at the facility), and the
approximate location within the facility
of each affected unit (e.g., identify the
hazardous secondary material
management units on a facility plot
plan).
(ii) Information and data supporting
determinations of vent emissions and
emission reductions achieved by add-on
control devices based on engineering
calculations or source tests. For the
purpose of determining compliance,
determinations of vent emissions and
emission reductions must be made
using operating parameter values (e.g.,
temperatures, flow rates, or vent stream
organic compounds and concentrations)
that represent the conditions that result
in maximum organic emissions, such as
when the hazardous secondary material
management unit is operating at the
highest load or capacity level reasonably
expected to occur. If the remanufacturer
or other person that stores or treats the
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hazardous secondary material takes any
action (e.g., managing a material of
different composition or increasing
operating hours of affected hazardous
secondary material management units)
that would result in an increase in total
organic emissions from affected process
vents at the facility, then a new
determination is required.
(3) Where a remanufacturer or other
person that stores or treats the
hazardous secondary material chooses
to use test data to determine the organic
removal efficiency or total organic
compound concentration achieved by
the control device, a performance test
plan must be developed and include:
(i) A description of how it is
determined that the planned test is
going to be conducted when the
hazardous secondary material
management unit is operating at the
highest load or capacity level reasonably
expected to occur. This shall include
the estimated or design flow rate and
organic content of each vent stream and
define the acceptable operating ranges
of key process and control device
parameters during the test program.
(ii) A detailed engineering description
of the closed-vent system and control
device including:
(A) Manufacturer’s name and model
number of control device.
(B) Type of control device.
(C) Dimensions of the control device.
(D) Capacity.
(E) Construction materials.
(iii) A detailed description of
sampling and monitoring procedures,
including sampling and monitoring
locations in the system, the equipment
to be used, sampling and monitoring
frequency, and planned analytical
procedures for sample analysis.
(4) Documentation of compliance
with § 261.1033 shall include the
following information:
(i) A list of all information references
and sources used in preparing the
documentation.
(ii) Records, including the dates, of
each compliance test required by
§ 261.1033(k).
(iii) If engineering calculations are
used, a design analysis, specifications,
drawings, schematics, and piping and
instrumentation diagrams based on the
appropriate sections of ‘‘APTI Course
415: Control of Gaseous Emissions’’
(incorporated by reference as specified
in § 260.11) or other engineering texts
acceptable to the Regional
Administrator that present basic control
device design information.
Documentation provided by the control
device manufacturer or vendor that
describes the control device design in
accordance with paragraphs
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(b)(4)(iii)(A) through (G) of this section
may be used to comply with this
requirement. The design analysis shall
address the vent stream characteristics
and control device operation parameters
as specified below.
(A) For a thermal vapor incinerator,
the design analysis shall consider the
vent stream composition, constituent
concentrations, and flow rate. The
design analysis shall also establish the
design minimum and average
temperature in the combustion zone and
the combustion zone residence time.
(B) For a catalytic vapor incinerator,
the design analysis shall consider the
vent stream composition, constituent
concentrations, and flow rate. The
design analysis shall also establish the
design minimum and average
temperatures across the catalyst bed
inlet and outlet.
(C) For a boiler or process heater, the
design analysis shall consider the vent
stream composition, constituent
concentrations, and flow rate. The
design analysis shall also establish the
design minimum and average flame
zone temperatures, combustion zone
residence time, and description of
method and location where the vent
stream is introduced into the
combustion zone.
(D) For a flare, the design analysis
shall consider the vent stream
composition, constituent
concentrations, and flow rate. The
design analysis shall also consider the
requirements specified in § 261.1033(d).
(E) For a condenser, the design
analysis shall consider the vent stream
composition, constituent
concentrations, flow rate, relative
humidity, and temperature. The design
analysis shall also establish the design
outlet organic compound concentration
level, design average temperature of the
condenser exhaust vent stream, and
design average temperatures of the
coolant fluid at the condenser inlet and
outlet.
(F) For a carbon adsorption system
such as a fixed-bed adsorber that
regenerates the carbon bed directly
onsite in the control device, the design
analysis shall consider the vent stream
composition, constituent
concentrations, flow rate, relative
humidity, and temperature. The design
analysis shall also establish the design
exhaust vent stream organic compound
concentration level, number and
capacity of carbon beds, type and
working capacity of activated carbon
used for carbon beds, design total steam
flow over the period of each complete
carbon bed regeneration cycle, duration
of the carbon bed steaming and cooling/
drying cycles, design carbon bed
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temperature after regeneration, design
carbon bed regeneration time, and
design service life of carbon.
(G) For a carbon adsorption system
such as a carbon canister that does not
regenerate the carbon bed directly onsite
in the control device, the design
analysis shall consider the vent stream
composition, constituent
concentrations, flow rate, relative
humidity, and temperature. The design
analysis shall also establish the design
outlet organic concentration level,
capacity of carbon bed, type and
working capacity of activated carbon
used for carbon bed, and design carbon
replacement interval based on the total
carbon working capacity of the control
device and source operating schedule.
(iv) A statement signed and dated by
the remanufacturer or other person that
stores or treats the hazardous secondary
material certifying that the operating
parameters used in the design analysis
reasonably represent the conditions that
exist when the hazardous secondary
material management unit is or would
be operating at the highest load or
capacity level reasonably expected to
occur.
(v) A statement signed and dated by
the remanufacturer or other person that
stores or treats the hazardous secondary
material certifying that the control
device is designed to operate at an
efficiency of 95 percent or greater unless
the total organic concentration limit of
§ 261.1032(a) is achieved at an
efficiency less than 95 weight percent or
the total organic emission limits of
§ 261.1032(a) for affected process vents
at the facility can be attained by a
control device involving vapor recovery
at an efficiency less than 95 weight
percent. A statement provided by the
control device manufacturer or vendor
certifying that the control equipment
meets the design specifications may be
used to comply with this requirement.
(vi) If performance tests are used to
demonstrate compliance, all test results.
(c) Design documentation and
monitoring, operating, and inspection
information for each closed-vent system
and control device required to comply
with the provisions of this part shall be
recorded and kept up-to-date at the
facility. The information shall include:
(1) Description and date of each
modification that is made to the closedvent system or control device design.
(2) Identification of operating
parameter, description of monitoring
device, and diagram of monitoring
sensor location or locations used to
comply with § 261.1033 (f)(1) and (2).
(3) Monitoring, operating, and
inspection information required by
§ 261.1033(f) through (k).
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(4) Date, time, and duration of each
period that occurs while the control
device is operating when any monitored
parameter exceeds the value established
in the control device design analysis as
specified below:
(i) For a thermal vapor incinerator
designed to operate with a minimum
residence time of 0.50 second at a
minimum temperature of 760 °C, period
when the combustion temperature is
below 760 °C.
(ii) For a thermal vapor incinerator
designed to operate with an organic
emission reduction efficiency of 95
weight percent or greater, period when
the combustion zone temperature is
more than 28 °C below the design
average combustion zone temperature
established as a requirement of
paragraph (b)(4)(iii)(A) of this section.
(iii) For a catalytic vapor incinerator,
period when:
(A) Temperature of the vent stream at
the catalyst bed inlet is more than 28 °C
below the average temperature of the
inlet vent stream established as a
requirement of paragraph (b)(4)(iii)(B) of
this section, or
(B) Temperature difference across the
catalyst bed is less than 80 percent of
the design average temperature
difference established as a requirement
of paragraph (b)(4)(iii)(B) of this section.
(iv) For a boiler or process heater,
period when:
(A) Flame zone temperature is more
than 28 °C below the design average
flame zone temperature established as a
requirement of paragraph (b)(4)(iii)(C) of
this section, or
(B) Position changes where the vent
stream is introduced to the combustion
zone from the location established as a
requirement of paragraph (b)(4)(iii)(C) of
this section.
(v) For a flare, period when the pilot
flame is not ignited.
(vi) For a condenser that complies
with § 261.1033(f)(2)(vi)(A), period
when the organic compound
concentration level or readings of
organic compounds in the exhaust vent
stream from the condenser are more
than 20 percent greater than the design
outlet organic compound concentration
level established as a requirement of
paragraph (b)(4)(iii)(E) of this section.
(vii) For a condenser that complies
with § 261.1033(f)(2)(vi)(B), period
when:
(A) Temperature of the exhaust vent
stream from the condenser is more than
6 °C above the design average exhaust
vent stream temperature established as
a requirement of paragraph (b)(4)(iii)(E)
of this section; or
(B) Temperature of the coolant fluid
exiting the condenser is more than 6 °C
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above the design average coolant fluid
temperature at the condenser outlet
established as a requirement of
paragraph (b)(4)(iii)(E) of this section.
(viii) For a carbon adsorption system
such as a fixed-bed carbon adsorber that
regenerates the carbon bed directly onsite in the control device and complies
with § 261.1033(f)(2)(vii)(A), period
when the organic compound
concentration level or readings of
organic compounds in the exhaust vent
stream from the carbon bed are more
than 20 percent greater than the design
exhaust vent stream organic compound
concentration level established as a
requirement of paragraph (b)(4)(iii)(F) of
this section.
(ix) For a carbon adsorption system
such as a fixed-bed carbon adsorber that
regenerates the carbon bed directly onsite in the control device and complies
with § 261.1033(f)(2)(vii)(B), period
when the vent stream continues to flow
through the control device beyond the
predetermined carbon bed regeneration
time established as a requirement of
paragraph (b)(4)(iii)(F) of this section.
(5) Explanation for each period
recorded under paragraph (c)(4) of the
cause for control device operating
parameter exceeding the design value
and the measures implemented to
correct the control device operation.
(6) For a carbon adsorption system
operated subject to requirements
specified in § 261.1033(g) or (h)(2), date
when existing carbon in the control
device is replaced with fresh carbon.
(7) For a carbon adsorption system
operated subject to requirements
specified in § 261.1033(h)(1), a log that
records:
(i) Date and time when control device
is monitored for carbon breakthrough
and the monitoring device reading.
(ii) Date when existing carbon in the
control device is replaced with fresh
carbon.
(8) Date of each control device startup
and shutdown.
(9) A remanufacturer or other person
that stores or treats the hazardous
secondary material designating any
components of a closed-vent system as
unsafe to monitor pursuant to
§ 261.1033(o) of this subpart shall
record in a log that is kept at the facility
the identification of closed-vent system
components that are designated as
unsafe to monitor in accordance with
the requirements of § 261.1033(o) of this
subpart, an explanation for each closedvent system component stating why the
closed-vent system component is unsafe
to monitor, and the plan for monitoring
each closed-vent system component.
(10) When each leak is detected as
specified in § 261.1033(l) of this
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1791
subpart, the following information shall
be recorded:
(i) The instrument identification
number, the closed-vent system
component identification number, and
the operator name, initials, or
identification number.
(ii) The date the leak was detected
and the date of first attempt to repair the
leak.
(iii) The date of successful repair of
the leak.
(iv) Maximum instrument reading
measured by Method 21 of 40 CFR part
60, appendix A after it is successfully
repaired or determined to be
nonrepairable.
(v) ‘‘Repair delayed’’ and the reason
for the delay if a leak is not repaired
within 15 calendar days after discovery
of the leak.
(A) The remanufacturer or other
person that stores or treats the
hazardous secondary material may
develop a written procedure that
identifies the conditions that justify a
delay of repair. In such cases, reasons
for delay of repair may be documented
by citing the relevant sections of the
written procedure.
(B) If delay of repair was caused by
depletion of stocked parts, there must be
documentation that the spare parts were
sufficiently stocked on-site before
depletion and the reason for depletion.
(d) Records of the monitoring,
operating, and inspection information
required by paragraphs (c)(3) through
(10) of this section shall be maintained
by the owner or operator for at least 3
years following the date of each
occurrence, measurement, maintenance,
corrective action, or record.
(e) For a control device other than a
thermal vapor incinerator, catalytic
vapor incinerator, flare, boiler, process
heater, condenser, or carbon adsorption
system, the Regional Administrator will
specify the appropriate recordkeeping
requirements.
(f) Up-to-date information and data
used to determine whether or not a
process vent is subject to the
requirements in § 261.1032 including
supporting documentation as required
by § 261.1034(d)(2) when application of
the knowledge of the nature of the
hazardous secondary material stream or
the process by which it was produced
is used, shall be recorded in a log that
is kept at the facility.
§§ 261.1036–261.1049
[Reserved]
Subpart BB—Air Emission Standards
for Equipment Leaks
§ 261.1050
Applicability.
(a) The regulations in this subpart
apply to equipment that contains
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hazardous secondary materials excluded
under the remanufacturing exclusion at
§ 261.4(a)(27), unless the equipment
operations are subject to the
requirements of an applicable Clean Air
Act regulation codified under 40 CFR
part 60, part 61, or part 63.
§ 261.1051
Definitions.
As used in this subpart, all terms shall
have the meaning given them in
§ 261.1031, the Resource Conservation
and Recovery Act, and 40 CFR parts
260–266.
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§ 261.1052 Standards: Pumps in light
liquid service.
(a)(1) Each pump in light liquid
service shall be monitored monthly to
detect leaks by the methods specified in
§ 261.1063(b), except as provided in
paragraphs (d), (e), and (f) of this
section.
(2) Each pump in light liquid service
shall be checked by visual inspection
each calendar week for indications of
liquids dripping from the pump seal.
(b)(1) If an instrument reading of
10,000 ppm or greater is measured, a
leak is detected.
(2) If there are indications of liquids
dripping from the pump seal, a leak is
detected.
(c)(1) When a leak is detected, it shall
be repaired as soon as practicable, but
not later than 15 calendar days after it
is detected, except as provided in
§ 261.1059.
(2) A first attempt at repair (e.g.,
tightening the packing gland) shall be
made no later than five calendar days
after each leak is detected.
(d) Each pump equipped with a dual
mechanical seal system that includes a
barrier fluid system is exempt from the
requirements of paragraph (a) of this
section, provided the following
requirements are met:
(1) Each dual mechanical seal system
must be:
(i) Operated with the barrier fluid at
a pressure that is at all times greater
than the pump stuffing box pressure, or
(ii) Equipped with a barrier fluid
degassing reservoir that is connected by
a closed-vent system to a control device
that complies with the requirements of
§ 261.1060, or
(iii) Equipped with a system that
purges the barrier fluid into a hazardous
secondary material stream with no
detectable emissions to the atmosphere.
(2) The barrier fluid system must not
be a hazardous secondary material with
organic concentrations 10 percent or
greater by weight.
(3) Each barrier fluid system must be
equipped with a sensor that will detect
failure of the seal system, the barrier
fluid system, or both.
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(4) Each pump must be checked by
visual inspection, each calendar week,
for indications of liquids dripping from
the pump seals.
(5)(i) Each sensor as described in
paragraph (d)(3) of this section must be
checked daily or be equipped with an
audible alarm that must be checked
monthly to ensure that it is functioning
properly.
(ii) The remanufacturer or other
person that stores or treats the
hazardous secondary material must
determine, based on design
considerations and operating
experience, a criterion that indicates
failure of the seal system, the barrier
fluid system, or both.
(6)(i) If there are indications of liquids
dripping from the pump seal or the
sensor indicates failure of the seal
system, the barrier fluid system, or both
based on the criterion determined in
paragraph (d)(5)(ii) of this section, a leak
is detected.
(ii) When a leak is detected, it shall
be repaired as soon as practicable, but
not later than 15 calendar days after it
is detected, except as provided in
§ 261.1059.
(iii) A first attempt at repair (e.g.,
relapping the seal) shall be made no
later than five calendar days after each
leak is detected.
(e) Any pump that is designated, as
described in § 261.1064(g)(2), for no
detectable emissions, as indicated by an
instrument reading of less than 500 ppm
above background, is exempt from the
requirements of paragraphs (a), (c), and
(d) of this section if the pump meets the
following requirements:
(1) Must have no externally actuated
shaft penetrating the pump housing.
(2) Must operate with no detectable
emissions as indicated by an instrument
reading of less than 500 ppm above
background as measured by the methods
specified in § 261.1063(c).
(3) Must be tested for compliance
with paragraph (e)(2) of this section
initially upon designation, annually,
and at other times as requested by the
Regional Administrator.
(f) If any pump is equipped with a
closed-vent system capable of capturing
and transporting any leakage from the
seal or seals to a control device that
complies with the requirements of
§ 261.1060, it is exempt from the
requirements of paragraphs (a) through
(e) of this section.
§ 261.1053
Standards: Compressors.
(a) Each compressor shall be equipped
with a seal system that includes a
barrier fluid system and that prevents
leakage of total organic emissions to the
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atmosphere, except as provided in
paragraphs (h) and (i) of this section.
(b) Each compressor seal system as
required in paragraph (a) of this section
shall be:
(1) Operated with the barrier fluid at
a pressure that is at all times greater
than the compressor stuffing box
pressure, or
(2) Equipped with a barrier fluid
system that is connected by a closedvent system to a control device that
complies with the requirements of
§ 261.1060, or
(3) Equipped with a system that
purges the barrier fluid into a hazardous
secondary material stream with no
detectable emissions to atmosphere.
(c) The barrier fluid must not be a
hazardous secondary material with
organic concentrations 10 percent or
greater by weight.
(d) Each barrier fluid system as
described in paragraphs (a) through (c)
of this section shall be equipped with a
sensor that will detect failure of the seal
system, barrier fluid system, or both.
(e)(1) Each sensor as required in
paragraph (d) of this section shall be
checked daily or shall be equipped with
an audible alarm that must be checked
monthly to ensure that it is functioning
properly unless the compressor is
located within the boundary of an
unmanned plant site, in which case the
sensor must be checked daily.
(2) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
determine, based on design
considerations and operating
experience, a criterion that indicates
failure of the seal system, the barrier
fluid system, or both.
(f) If the sensor indicates failure of the
seal system, the barrier fluid system, or
both based on the criterion determined
under paragraph (e)(2) of this section, a
leak is detected.
(g)(1) When a leak is detected, it shall
be repaired as soon as practicable, but
not later than 15 calendar days after it
is detected, except as provided in
§ 261.1059.
(2) A first attempt at repair (e.g.,
tightening the packing gland) shall be
made no later than 5 calendar days after
each leak is detected.
(h) A compressor is exempt from the
requirements of paragraphs (a) and (b) of
this section if it is equipped with a
closed-vent system capable of capturing
and transporting any leakage from the
seal to a control device that complies
with the requirements of § 261.1060,
except as provided in paragraph (i) of
this section.
(i) Any compressor that is designated,
as described in § 261.1064(g)(2), for no
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detectable emissions as indicated by an
instrument reading of less than 500 ppm
above background is exempt from the
requirements of paragraphs (a) through
(h) of this section if the compressor:
(1) Is determined to be operating with
no detectable emissions, as indicated by
an instrument reading of less than 500
ppm above background, as measured by
the method specified in § 261.1063(c).
(2) Is tested for compliance with
paragraph (i)(1) of this section initially
upon designation, annually, and at other
times as requested by the Regional
Administrator.
§ 261.1054 Standards: Pressure relief
devices in gas/vapor service.
(a) Except during pressure releases,
each pressure relief device in gas/vapor
service shall be operated with no
detectable emissions, as indicated by an
instrument reading of less than 500 ppm
above background, as measured by the
method specified in § 261.1063(c).
(b)(1) After each pressure release, the
pressure relief device shall be returned
to a condition of no detectable
emissions, as indicated by an
instrument reading of less than 500 ppm
above background, as soon as
practicable, but no later than 5 calendar
days after each pressure release, except
as provided in § 261.1059.
(2) No later than 5 calendar days after
the pressure release, the pressure relief
device shall be monitored to confirm the
condition of no detectable emissions, as
indicated by an instrument reading of
less than 500 ppm above background, as
measured by the method specified in
§ 261.1063(c).
(c) Any pressure relief device that is
equipped with a closed-vent system
capable of capturing and transporting
leakage from the pressure relief device
to a control device as described in
§ 261.1060 is exempt from the
requirements of paragraphs (a) and (b) of
this section.
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§ 261.1055 Standards: Sampling
connection systems.
(a) Each sampling connection system
shall be equipped with a closed-purge,
closed-loop, or closed-vent system. This
system shall collect the sample purge
for return to the process or for routing
to the appropriate treatment system.
Gases displaced during filling of the
sample container are not required to be
collected or captured.
(b) Each closed-purge, closed-loop, or
closed-vent system as required in
paragraph (a) of this section shall meet
one of the following requirements:
(1) Return the purged process fluid
directly to the process line;
(2) Collect and recycle the purged
process fluid; or
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(3) Be designed and operated to
capture and transport all the purged
process fluid to a material management
unit that complies with the applicable
requirements of §§ 261.1084 through
264.1086 of this subpart or a control
device that complies with the
requirements of § 261.1060 of this
subpart.
(c) In-situ sampling systems and
sampling systems without purges are
exempt from the requirements of
paragraphs (a) and (b) of this section.
§ 261.1056
or lines.
Standards: Open-ended valves
(a)(1) Each open-ended valve or line
shall be equipped with a cap, blind
flange, plug, or a second valve.
(2) The cap, blind flange, plug, or
second valve shall seal the open end at
all times except during operations
requiring hazardous secondary material
stream flow through the open-ended
valve or line.
(b) Each open-ended valve or line
equipped with a second valve shall be
operated in a manner such that the
valve on the hazardous secondary
material stream end is closed before the
second valve is closed.
(c) When a double block and bleed
system is being used, the bleed valve or
line may remain open during operations
that require venting the line between the
block valves but shall comply with
paragraph (a) of this section at all other
times.
§ 261.1057 Standards: Valves in gas/vapor
service or in light liquid service.
(a) Each valve in gas/vapor or light
liquid service shall be monitored
monthly to detect leaks by the methods
specified in § 261.1063(b) and shall
comply with paragraphs (b) through (e)
of this section, except as provided in
paragraphs (f), (g), and (h) of this section
and §§ 261.1061 and 261.1062.
(b) If an instrument reading of 10,000
ppm or greater is measured, a leak is
detected.
(c)(1) Any valve for which a leak is
not detected for two successive months
may be monitored the first month of
every succeeding quarter, beginning
with the next quarter, until a leak is
detected.
(2) If a leak is detected, the valve shall
be monitored monthly until a leak is not
detected for two successive months,
(d)(1) When a leak is detected, it shall
be repaired as soon as practicable, but
no later than 15 calendar days after the
leak is detected, except as provided in
§ 261.1059.
(2) A first attempt at repair shall be
made no later than 5 calendar days after
each leak is detected.
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(e) First attempts at repair include,
but are not limited to, the following best
practices where practicable:
(1) Tightening of bonnet bolts.
(2) Replacement of bonnet bolts.
(3) Tightening of packing gland nuts.
(4) Injection of lubricant into
lubricated packing.
(f) Any valve that is designated, as
described in § 261.1064(g)(2), for no
detectable emissions, as indicated by an
instrument reading of less than 500 ppm
above background, is exempt from the
requirements of paragraph (a) of this
section if the valve:
(1) Has no external actuating
mechanism in contact with the
hazardous secondary material stream.
(2) Is operated with emissions less
than 500 ppm above background as
determined by the method specified in
§ 261.1063(c).
(3) Is tested for compliance with
paragraph (f)(2) of this section initially
upon designation, annually, and at other
times as requested by the Regional
Administrator.
(g) Any valve that is designated, as
described in § 261.1064(h)(1), as an
unsafe-to-monitor valve is exempt from
the requirements of paragraph (a) of this
section if:
(1) The remanufacturer or other
person that stores or treats the
hazardous secondary material
determines that the valve is unsafe to
monitor because monitoring personnel
would be exposed to an immediate
danger as a consequence of complying
with paragraph (a) of this section.
(2) The remanufacturer or other
person that stores or treats the
hazardous secondary material adheres
to a written plan that requires
monitoring of the valve as frequently as
practicable during safe-to-monitor
times.
(h) Any valve that is designated, as
described in § 261.1064(h)(2), as a
difficult-to-monitor valve is exempt
from the requirements of paragraph (a)
of this section if:
(1) The remanufacturer or other
person that stores or treats the
hazardous secondary material
determines that the valve cannot be
monitored without elevating the
monitoring personnel more than 2
meters above a support surface.
(2) The hazardous secondary material
management unit within which the
valve is located was in operation before
January 13, 2015.
(3) The owner or operator of the valve
follows a written plan that requires
monitoring of the valve at least once per
calendar year.
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Federal Register / Vol. 80, No. 8 / Tuesday, January 13, 2015 / Rules and Regulations
§ 261.1058 Standards: Pumps and valves
in heavy liquid service, pressure relief
devices in light liquid or heavy liquid
service, and flanges and other connectors.
(a) Pumps and valves in heavy liquid
service, pressure relief devices in light
liquid or heavy liquid service, and
flanges and other connectors shall be
monitored within five days by the
method specified in § 261.1063(b) if
evidence of a potential leak is found by
visual, audible, olfactory, or any other
detection method.
(b) If an instrument reading of 10,000
ppm or greater is measured, a leak is
detected.
(c)(1) When a leak is detected, it shall
be repaired as soon as practicable, but
not later than 15 calendar days after it
is detected, except as provided in
§ 261.1059.
(2) The first attempt at repair shall be
made no later than 5 calendar days after
each leak is detected.
(d) First attempts at repair include,
but are not limited to, the best practices
described under § 261.1057(e).
(e) Any connector that is inaccessible
or is ceramic or ceramic-lined (e.g.,
porcelain, glass, or glass-lined) is
exempt from the monitoring
requirements of paragraph (a) of this
section and from the recordkeeping
requirements of § 261.1064 of this
subpart.
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§ 261.1059
Standards: Delay of repair.
(a) Delay of repair of equipment for
which leaks have been detected will be
allowed if the repair is technically
infeasible without a hazardous
secondary material management unit
shutdown. In such a case, repair of this
equipment shall occur before the end of
the next hazardous secondary material
management unit shutdown.
(b) Delay of repair of equipment for
which leaks have been detected will be
allowed for equipment that is isolated
from the hazardous secondary material
management unit and that does not
continue to contain or contact
hazardous secondary material with
organic concentrations at least 10
percent by weight.
(c) Delay of repair for valves will be
allowed if:
(1) The remanufacturer or other
person that stores or treats the
hazardous secondary material
determines that emissions of purged
material resulting from immediate
repair are greater than the emissions
likely to result from delay of repair.
(2) When repair procedures are
effected, the purged material is collected
and destroyed or recovered in a control
device complying with § 261.1060.
(d) Delay of repair for pumps will be
allowed if:
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(1) Repair requires the use of a dual
mechanical seal system that includes a
barrier fluid system.
(2) Repair is completed as soon as
practicable, but not later than 6 months
after the leak was detected.
(e) Delay of repair beyond a hazardous
secondary material management unit
shutdown will be allowed for a valve if
valve assembly replacement is necessary
during the hazardous secondary
material management unit shutdown,
valve assembly supplies have been
depleted, and valve assembly supplies
had been sufficiently stocked before the
supplies were depleted. Delay of repair
beyond the next hazardous secondary
material management unit shutdown
will not be allowed unless the next
hazardous secondary material
management unit shutdown occurs
sooner than 6 months after the first
hazardous secondary material
management unit shutdown.
§ 261.1060 Standards: Closed-vent
systems and control devices.
(a) The remanufacturer or other
person that stores or treats the
hazardous secondary material in a
hazardous secondary material
management units using closed-vent
systems and control devices subject to
this subpart shall comply with the
provisions of § 261.1033 of this part.
(b)(1) The remanufacturer or other
person that stores or treats the
hazardous secondary material at an
existing facility who cannot install a
closed-vent system and control device
to comply with the provisions of this
subpart on the effective date that the
facility becomes subject to the
provisions of this subpart must prepare
an implementation schedule that
includes dates by which the closed-vent
system and control device will be
installed and in operation. The controls
must be installed as soon as possible,
but the implementation schedule may
allow up to 30 months after the effective
date that the facility becomes subject to
this subpart for installation and startup.
(2) Any unit that begins operation
after July 13, 2015 and is subject to the
provisions of this subpart when
operation begins, must comply with the
rules immediately (i.e., must have
control devices installed and operating
on startup of the affected unit); the 30month implementation schedule does
not apply.
(3) The remanufacturer or other
person that stores or treats the
hazardous secondary material at any
facility in existence on the effective date
of a statutory or regulatory amendment
that renders the facility subject to this
subpart shall comply with all
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requirements of this subpart as soon as
practicable but no later than 30 months
after the amendment’s effective date.
When control equipment required by
this subpart cannot be installed and
begin operation by the effective date of
the amendment, the facility owner or
operator shall prepare an
implementation schedule that includes
the following information: Specific
calendar dates for award of contracts or
issuance of purchase orders for the
control equipment, initiation of on-site
installation of the control equipment,
completion of the control equipment
installation, and performance of any
testing to demonstrate that the installed
equipment meets the applicable
standards of this subpart. The
remanufacturer or other person that
stores or treats the hazardous secondary
material shall keep a copy of the
implementation schedule at the facility.
(4) Remanufacturers or other persons
that store or treat the hazardous
secondary materials at facilities and
units that become newly subject to the
requirements of this subpart after
January 13, 2015, due to an action other
than those described in paragraph (b)(3)
of this section must comply with all
applicable requirements immediately
(i.e., must have control devices installed
and operating on the date the facility or
unit becomes subject to this subpart; the
30-month implementation schedule
does not apply).
§ 261.1061 Alternative standards for
valves in gas/vapor service or in light liquid
service: percentage of valves allowed to
leak.
(a) A remanufacturer or other person
that stores or treats the hazardous
secondary material subject to the
requirements of § 261.1057 may elect to
have all valves within a hazardous
secondary material management unit
comply with an alternative standard
that allows no greater than 2 percent of
the valves to leak.
(b) The following requirements shall
be met if a remanufacturer or other
person that stores or treats the
hazardous secondary material decides to
comply with the alternative standard of
allowing 2 percent of valves to leak:
(1) A performance test as specified in
paragraph (c) of this section shall be
conducted initially upon designation,
annually, and at other times requested
by the Regional Administrator.
(2) If a valve leak is detected, it shall
be repaired in accordance with
§ 261.1057(d) and (e).
(c) Performance tests shall be
conducted in the following manner:
(1) All valves subject to the
requirements in § 261.1057 within the
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hazardous secondary material
management unit shall be monitored
within 1 week by the methods specified
in § 261.1063(b).
(2) If an instrument reading of 10,000
ppm or greater is measured, a leak is
detected.
(3) The leak percentage shall be
determined by dividing the number of
valves subject to the requirements in
§ 261.1057 for which leaks are detected
by the total number of valves subject to
the requirements in § 261.1057 within
the hazardous secondary material
management unit.
asabaliauskas on DSK5VPTVN1PROD with NOTICES
§ 261.1062 Alternative standards for
valves in gas/vapor service or in light liquid
service: skip period leak detection and
repair.
(a) A remanufacturer or other person
that stores or treats the hazardous
secondary material subject to the
requirements of § 261.1057 may elect for
all valves within a hazardous secondary
material management unit to comply
with one of the alternative work
practices specified in paragraphs (b)(2)
and (3) of this section.
(b)(1) A remanufacturer or other
person that stores or treats the
hazardous secondary material shall
comply with the requirements for
valves, as described in § 261.1057,
except as described in paragraphs (b)(2)
and (3) of this section.
(2) After two consecutive quarterly
leak detection periods with the
percentage of valves leaking equal to or
less than two percent, a remanufacturer
or other person that stores or treats the
hazardous secondary material may
begin to skip one of the quarterly leak
detection periods (i.e., monitor for leaks
once every six months) for the valves
subject to the requirements in
§ 261.1057 of this subpart.
(3) After five consecutive quarterly
leak detection periods with the
percentage of valves leaking equal to or
less than two percent, a remanufacturer
or other person that stores or treats the
hazardous secondary material may
begin to skip three of the quarterly leak
detection periods (i.e., monitor for leaks
once every year) for the valves subject
to the requirements in § 261.1057 of this
subpart.
(4) If the percentage of valves leaking
is greater than two percent, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall monitor monthly in
compliance with the requirements in
§ 261.1057, but may again elect to use
this section after meeting the
requirements of § 261.1057(c)(1).
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§ 261.1063
Test methods and procedures.
(a) Each remanufacturer or other
person that stores or treats the
hazardous secondary material subject to
the provisions of this subpart shall
comply with the test methods and
procedures requirements provided in
this section.
(b) Leak detection monitoring, as
required in §§ 261.1052–261.1062, shall
comply with the following
requirements:
(1) Monitoring shall comply with
Reference Method 21 in 40 CFR part 60.
(2) The detection instrument shall
meet the performance criteria of
Reference Method 21.
(3) The instrument shall be calibrated
before use on each day of its use by the
procedures specified in Reference
Method 21.
(4) Calibration gases shall be:
(i) Zero air (less than 10 ppm of
hydrocarbon in air).
(ii) A mixture of methane or n-hexane
and air at a concentration of
approximately, but less than, 10,000
ppm methane or n-hexane.
(5) The instrument probe shall be
traversed around all potential leak
interfaces as close to the interface as
possible as described in Reference
Method 21.
(c) When equipment is tested for
compliance with no detectable
emissions, as required in §§ 261.1052(e),
261.1053(i), 261.1054, and 261.1057(f),
the test shall comply with the following
requirements:
(1) The requirements of paragraphs
(b)(1) through (4) of this section shall
apply.
(2) The background level shall be
determined as set forth in Reference
Method 21.
(3) The instrument probe shall be
traversed around all potential leak
interfaces as close to the interface as
possible as described in Reference
Method 21.
(4) The arithmetic difference between
the maximum concentration indicated
by the instrument and the background
level is compared with 500 ppm for
determining compliance.
(d) A remanufacturer or other person
that stores or treats the hazardous
secondary material must determine, for
each piece of equipment, whether the
equipment contains or contacts a
hazardous secondary material with
organic concentration that equals or
exceeds 10 percent by weight using the
following:
(1) Methods described in ASTM
Methods D 2267–88, E 169–87, E 168–
88, E 260–85 (incorporated by reference
under § 260.11);
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(2) Method 9060A (incorporated by
reference under 40 CFR 260.11) of ‘‘Test
Methods for Evaluating Solid Waste,’’
EPA Publication SW–846, for
computing total organic concentration
of the sample, or analyzed for its
individual organic constituents; or
(3) Application of the knowledge of
the nature of the hazardous secondary
material stream or the process by which
it was produced. Documentation of a
material determination by knowledge is
required. Examples of documentation
that shall be used to support a
determination under this provision
include production process information
documenting that no organic
compounds are used, information that
the material is generated by a process
that is identical to a process at the same
or another facility that has previously
been demonstrated by direct
measurement to have a total organic
content less than 10 percent, or prior
speciation analysis results on the same
material stream where it can also be
documented that no process changes
have occurred since that analysis that
could affect the material total organic
concentration.
(e) If a remanufacturer or other person
that stores or treats the hazardous
secondary material determines that a
piece of equipment contains or contacts
a hazardous secondary material with
organic concentrations at least 10
percent by weight, the determination
can be revised only after following the
procedures in paragraph (d)(1) or (2) of
this section.
(f) When a remanufacturer or other
person that stores or treats the
hazardous secondary material and the
Regional Administrator do not agree on
whether a piece of equipment contains
or contacts a hazardous secondary
material with organic concentrations at
least 10 percent by weight, the
procedures in paragraph (d)(1) or (2) of
this section can be used to resolve the
dispute.
(g) Samples used in determining the
percent organic content shall be
representative of the highest total
organic content hazardous secondary
material that is expected to be contained
in or contact the equipment.
(h) To determine if pumps or valves
are in light liquid service, the vapor
pressures of constituents may be
obtained from standard reference texts
or may be determined by ASTM D–
2879–86 (incorporated by reference
under § 260.11).
(i) Performance tests to determine if a
control device achieves 95 weight
percent organic emission reduction
shall comply with the procedures of
§ 261.1034(c)(1) through (4).
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§ 261.1064
Federal Register / Vol. 80, No. 8 / Tuesday, January 13, 2015 / Rules and Regulations
Recordkeeping requirements.
(a)(1) Each remanufacturer or other
person that stores or treats the
hazardous secondary material subject to
the provisions of this subpart shall
comply with the recordkeeping
requirements of this section.
(2) A remanufacturer or other person
that stores or treats the hazardous
secondary material in more than one
hazardous secondary material
management unit subject to the
provisions of this subpart may comply
with the recordkeeping requirements for
these hazardous secondary material
management units in one recordkeeping
system if the system identifies each
record by each hazardous secondary
material management unit.
(b) Remanufacturer’s and other
person’s that store or treat the hazardous
secondary material must record and
keep the following information at the
facility:
(1) For each piece of equipment to
which subpart BB of part 261 applies:
(i) Equipment identification number
and hazardous secondary material
management unit identification.
(ii) Approximate locations within the
facility (e.g., identify the hazardous
secondary material management unit on
a facility plot plan).
(iii) Type of equipment (e.g., a pump
or pipeline valve).
(iv) Percent-by-weight total organics
in the hazardous secondary material
stream at the equipment.
(v) Hazardous secondary material
state at the equipment (e.g., gas/vapor or
liquid).
(vi) Method of compliance with the
standard (e.g., ‘‘monthly leak detection
and repair’’ or ‘‘equipped with dual
mechanical seals’’).
(2) For facilities that comply with the
provisions of § 261.1033(a)(2), an
implementation schedule as specified in
§ 261.1033(a)(2).
(3) Where a remanufacturer or other
person that stores or treats the
hazardous secondary material chooses
to use test data to demonstrate the
organic removal efficiency or total
organic compound concentration
achieved by the control device, a
performance test plan as specified in
§ 261.1035(b)(3).
(4) Documentation of compliance
with § 261.1060, including the detailed
design documentation or performance
test results specified in § 261.1035(b)(4).
(c) When each leak is detected as
specified in §§ 261.1052, 261.1053,
261.1057, and 261.1058, the following
requirements apply:
(1) A weatherproof and readily visible
identification, marked with the
equipment identification number, the
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date evidence of a potential leak was
found in accordance with § 261.1058(a),
and the date the leak was detected, shall
be attached to the leaking equipment.
(2) The identification on equipment,
except on a valve, may be removed after
it has been repaired.
(3) The identification on a valve may
be removed after it has been monitored
for two successive months as specified
in § 261.1057(c) and no leak has been
detected during those two months.
(d) When each leak is detected as
specified in §§ 261.1052, 261.1053,
261.1057, and 261.1058, the following
information shall be recorded in an
inspection log and shall be kept at the
facility:
(1) The instrument and operator
identification numbers and the
equipment identification number.
(2) The date evidence of a potential
leak was found in accordance with
§ 261.1058(a).
(3) The date the leak was detected and
the dates of each attempt to repair the
leak.
(4) Repair methods applied in each
attempt to repair the leak.
(5) ‘‘Above 10,000’’ if the maximum
instrument reading measured by the
methods specified in § 261.1063(b) after
each repair attempt is equal to or greater
than 10,000 ppm.
(6) ‘‘Repair delayed’’ and the reason
for the delay if a leak is not repaired
within 15 calendar days after discovery
of the leak.
(7) Documentation supporting the
delay of repair of a valve in compliance
with § 261.1059(c).
(8) The signature of the
remanufacturer or other person that
stores or treats the hazardous secondary
material (or designate) whose decision it
was that repair could not be effected
without a hazardous secondary material
management unit shutdown.
(9) The expected date of successful
repair of the leak if a leak is not repaired
within 15 calendar days.
(10) The date of successful repair of
the leak.
(e) Design documentation and
monitoring, operating, and inspection
information for each closed-vent system
and control device required to comply
with the provisions of § 261.1060 shall
be recorded and kept up-to-date at the
facility as specified in § 261.1035(c).
Design documentation is specified in
§ 261.1035(c)(1) and (2) and monitoring,
operating, and inspection information in
§ 261.1035(c)(3) through (8).
(f) For a control device other than a
thermal vapor incinerator, catalytic
vapor incinerator, flare, boiler, process
heater, condenser, or carbon adsorption
system, the Regional Administrator will
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specify the appropriate recordkeeping
requirements.
(g) The following information
pertaining to all equipment subject to
the requirements in §§ 261.1052 through
261.1060 shall be recorded in a log that
is kept at the facility:
(1) A list of identification numbers for
equipment (except welded fittings)
subject to the requirements of this
subpart.
(2)(i) A list of identification numbers
for equipment that the remanufacturer
or other person that stores or treats the
hazardous secondary material elects to
designate for no detectable emissions, as
indicated by an instrument reading of
less than 500 ppm above background,
under the provisions of §§ 261.1052(e),
261.1053(i), and 261.1057(f).
(ii) The designation of this equipment
as subject to the requirements of
§§ 261.1052(e), 261.1053(i), or
261.1057(f) shall be signed by the
remanufacturer or other person that
stores or treats the hazardous secondary
material.
(3) A list of equipment identification
numbers for pressure relief devices
required to comply with § 261.1054(a).
(4)(i) The dates of each compliance
test required in §§ 261.1052(e),
261.1053(i), 261.1054, and 261.1057(f).
(ii) The background level measured
during each compliance test.
(iii) The maximum instrument
reading measured at the equipment
during each compliance test.
(5) A list of identification numbers for
equipment in vacuum service.
(6) Identification, either by list or
location (area or group) of equipment
that contains or contacts hazardous
secondary material with an organic
concentration of at least 10 percent by
weight for less than 300 hours per
calendar year.
(h) The following information
pertaining to all valves subject to the
requirements of § 261.1057(g) and (h)
shall be recorded in a log that is kept at
the facility:
(1) A list of identification numbers for
valves that are designated as unsafe to
monitor, an explanation for each valve
stating why the valve is unsafe to
monitor, and the plan for monitoring
each valve.
(2) A list of identification numbers for
valves that are designated as difficult to
monitor, an explanation for each valve
stating why the valve is difficult to
monitor, and the planned schedule for
monitoring each valve.
(i) The following information shall be
recorded in a log that is kept at the
facility for valves complying with
§ 261.1062:
(1) A schedule of monitoring.
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(2) The percent of valves found
leaking during each monitoring period.
(j) The following information shall be
recorded in a log that is kept at in the
facility:
(1) Criteria required in
§§ 261.1052(d)(5)(ii) and 261.1053(e)(2)
and an explanation of the design
criteria.
(2) Any changes to these criteria and
the reasons for the changes.
(k) The following information shall be
recorded in a log that is kept at the
facility for use in determining
exemptions as provided in the
applicability section of this subpart and
other specific subparts:
(1) An analysis determining the
design capacity of the hazardous
secondary material management unit.
(2) A statement listing the hazardous
secondary material influent to and
effluent from each hazardous secondary
material management unit subject to the
requirements in §§ 261.1052 through
261.1060 and an analysis determining
whether these hazardous secondary
materials are heavy liquids.
(3) An up-to-date analysis and the
supporting information and data used to
determine whether or not equipment is
subject to the requirements in
§§ 261.1052 through 261.1060. The
record shall include supporting
documentation as required by
§ 261.1063(d)(3) when application of the
knowledge of the nature of the
hazardous secondary material stream or
the process by which it was produced
is used. If the remanufacturer or other
person that stores or treats the
hazardous secondary material takes any
action (e.g., changing the process that
produced the material) that could result
in an increase in the total organic
content of the material contained in or
contacted by equipment determined not
to be subject to the requirements in
§§ 261.1052 through 261.1060, then a
new determination is required.
(l) Records of the equipment leak
information required by paragraph (d) of
this section and the operating
information required by paragraph (e) of
this section need be kept only three
years.
(m) The remanufacturer or other
person that stores or treats the
hazardous secondary material at a
facility with equipment that is subject to
this subpart and to regulations at 40
CFR part 60, part 61, or part 63 may
elect to determine compliance with this
subpart either by documentation
pursuant to § 261.1064 of this subpart,
or by documentation of compliance
with the regulations at 40 CFR part 60,
part 61, or part 63 pursuant to the
relevant provisions of the regulations at
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40 part 60, part 61, or part 63. The
documentation of compliance under
regulations at 40 CFR part 60, part 61,
or part 63 shall be kept with or made
readily available at the facility.
§§ 261.1065–261.1079
[Reserved]
Subpart CC—Air Emission Standards
for Tanks and Containers
§ 261.1080
Applicability.
(a) The regulations in this subpart
apply to tanks and containers that
contain hazardous secondary materials
excluded under the remanufacturing
exclusion at § 261.4(a)(27), unless the
tanks and containers are equipped with
and operating air emission controls in
accordance with the requirements of an
applicable Clean Air Act regulations
codified under 40 CFR part 60, part 61,
or part 63.
(b) [Reserved]
§ 261.1081
Definitions.
As used in this subpart, all terms not
defined herein shall have the meaning
given to them in the Resource
Conservation and Recovery Act and
parts 260 through 266 of this chapter.
Average volatile organic
concentration or average VO
concentration means the mass-weighted
average volatile organic concentration of
a hazardous secondary material as
determined in accordance with the
requirements of § 261.1084 of this
subpart.
Closure device means a cap, hatch,
lid, plug, seal, valve, or other type of
fitting that blocks an opening in a cover
such that when the device is secured in
the closed position it prevents or
reduces air pollutant emissions to the
atmosphere. Closure devices include
devices that are detachable from the
cover (e.g., a sampling port cap),
manually operated (e.g., a hinged access
lid or hatch), or automatically operated
(e.g., a spring-loaded pressure relief
valve).
Continuous seal means a seal that
forms a continuous closure that
completely covers the space between
the edge of the floating roof and the wall
of a tank. A continuous seal may be a
vapor-mounted seal, liquid-mounted
seal, or metallic shoe seal. A continuous
seal may be constructed of fastened
segments so as to form a continuous
seal.
Cover means a device that provides a
continuous barrier over the hazardous
secondary material managed in a unit to
prevent or reduce air pollutant
emissions to the atmosphere. A cover
may have openings (such as access
hatches, sampling ports, gauge wells)
that are necessary for operation,
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inspection, maintenance, and repair of
the unit on which the cover is used. A
cover may be a separate piece of
equipment which can be detached and
removed from the unit or a cover may
be formed by structural features
permanently integrated into the design
of the unit.
Empty hazardous secondary material
container means:
(1) A container from which all
hazardous secondary materials have
been removed that can be removed
using the practices commonly employed
to remove materials from that type of
container, e.g., pouring, pumping, and
aspirating, and no more than 2.5
centimeters (one inch) of residue remain
on the bottom of the container or inner
liner;
(2) A container that is less than or
equal to 119 gallons in size and no more
than 3 percent by weight of the total
capacity of the container remains in the
container or inner liner; or
(3) A container that is greater than 119
gallons in size and no more than 0.3
percent by weight of the total capacity
of the container remains in the
container or inner liner.
Enclosure means a structure that
surrounds a tank or container, captures
organic vapors emitted from the tank or
container, and vents the captured
vapors through a closed-vent system to
a control device.
External floating roof means a
pontoon-type or double-deck type cover
that rests on the surface of the material
managed in a tank with no fixed roof.
Fixed roof means a cover that is
mounted on a unit in a stationary
position and does not move with
fluctuations in the level of the material
managed in the unit.
Floating membrane cover means a
cover consisting of a synthetic flexible
membrane material that rests upon and
is supported by the hazardous
secondary material being managed in a
surface impoundment.
Floating roof means a cover consisting
of a double deck, pontoon single deck,
or internal floating cover which rests
upon and is supported by the material
being contained, and is equipped with
a continuous seal.
Hard-piping means pipe or tubing that
is manufactured and properly installed
in accordance with relevant standards
and good engineering practices.
In light material service means the
container is used to manage a material
for which both of the following
conditions apply: The vapor pressure of
one or more of the organic constituents
in the material is greater than 0.3
kilopascals (kPa) at 20 °C; and the total
concentration of the pure organic
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constituents having a vapor pressure
greater than 0.3 kPa at 20 °C is equal to
or greater than 20 percent by weight.
Internal floating roof means a cover
that rests or floats on the material
surface (but not necessarily in complete
contact with it) inside a tank that has a
fixed roof.
Liquid-mounted seal means a foam or
liquid-filled primary seal mounted in
contact with the hazardous secondary
material between the tank wall and the
floating roof continuously around the
circumference of the tank.
Malfunction means any sudden,
infrequent, and not reasonably
preventable failure of air pollution
control equipment, process equipment,
or a process to operate in a normal or
usual manner. Failures that are caused
in part by poor maintenance or careless
operation are not malfunctions.
Material determination means
performing all applicable procedures in
accordance with the requirements of
§ 261.1084 of this subpart to determine
whether a hazardous secondary material
meets standards specified in this
subpart. Examples of a material
determination include performing the
procedures in accordance with the
requirements of § 261.1084 of this
subpart to determine the average VO
concentration of a hazardous secondary
material at the point of material
origination; the average VO
concentration of a hazardous secondary
material at the point of material
treatment and comparing the results to
the exit concentration limit specified for
the process used to treat the hazardous
secondary material; the organic
reduction efficiency and the organic
biodegradation efficiency for a
biological process used to treat a
hazardous secondary material and
comparing the results to the applicable
standards; or the maximum volatile
organic vapor pressure for a hazardous
secondary material in a tank and
comparing the results to the applicable
standards.
Maximum organic vapor pressure
means the sum of the individual organic
constituent partial pressures exerted by
the material contained in a tank, at the
maximum vapor pressure-causing
conditions (i.e., temperature, agitation,
pH effects of combining materials, etc.)
reasonably expected to occur in the
tank. For the purpose of this subpart,
maximum organic vapor pressure is
determined using the procedures
specified in § 261.1084(c) of this
subpart.
Metallic shoe seal means a continuous
seal that is constructed of metal sheets
which are held vertically against the
wall of the tank by springs, weighted
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levers, or other mechanisms and is
connected to the floating roof by braces
or other means. A flexible coated fabric
(envelope) spans the annular space
between the metal sheet and the floating
roof.
No detectable organic emissions
means no escape of organics to the
atmosphere as determined using the
procedure specified in § 261.1084(d) of
this subpart.
Point of material origination means as
follows:
(1) When the remanufacturer or other
person that stores or treats the
hazardous secondary material is the
generator of the hazardous secondary
material, the point of material
origination means the point where a
material produced by a system, process,
or material management unit is
determined to be a hazardous secondary
material excluded under § 261.4(a)(27).
Note to paragraph (1) of the definition
of Point of material origination: In this
case, this term is being used in a manner
similar to the use of the term ‘‘point of
generation’’ in air standards established
under authority of the Clean Air Act in
40 CFR parts 60, 61, and 63.
(2) When the remanufacturer or other
person that stores or treats the
hazardous secondary material is not the
generator of the hazardous secondary
material, point of material origination
means the point where the
remanufacturer or other person that
stores or treats the hazardous secondary
material accepts delivery or takes
possession of the hazardous secondary
material.
Safety device means a closure device
such as a pressure relief valve, frangible
disc, fusible plug, or any other type of
device which functions exclusively to
prevent physical damage or permanent
deformation to a unit or its air emission
control equipment by venting gases or
vapors directly to the atmosphere
during unsafe conditions resulting from
an unplanned, accidental, or emergency
event. For the purpose of this subpart,
a safety device is not used for routine
venting of gases or vapors from the
vapor headspace underneath a cover
such as during filling of the unit or to
adjust the pressure in this vapor
headspace in response to normal daily
diurnal ambient temperature
fluctuations. A safety device is designed
to remain in a closed position during
normal operations and open only when
the internal pressure, or another
relevant parameter, exceeds the device
threshold setting applicable to the air
emission control equipment as
determined by the remanufacturer or
other person that stores or treats the
hazardous secondary material based on
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manufacturer recommendations,
applicable regulations, fire protection
and prevention codes, standard
engineering codes and practices, or
other requirements for the safe handling
of flammable, ignitable, explosive,
reactive, or hazardous materials.
Single-seal system means a floating
roof having one continuous seal. This
seal may be vapor-mounted, liquidmounted, or a metallic shoe seal.
Vapor-mounted seal means a
continuous seal that is mounted such
that there is a vapor space between the
hazardous secondary material in the
unit and the bottom of the seal.
Volatile organic concentration or VO
concentration means the fraction by
weight of the volatile organic
compounds contained in a hazardous
secondary material expressed in terms
of parts per million (ppmw) as
determined by direct measurement or by
knowledge of the material in accordance
with the requirements of § 261.1084 of
this subpart. For the purpose of
determining the VO concentration of a
hazardous secondary material, organic
compounds with a Henry’s law constant
value of at least 0.1 mole-fraction-in-thegas-phase/mole-fraction-in the liquidphase (0.1 Y/X) (which can also be
expressed as 1.8 × 10¥6atmospheres/
gram-mole/m3) at 25 degrees Celsius
must be included.
§ 261.1082
Standards: General.
(a) This section applies to the
management of hazardous secondary
material in tanks and containers subject
to this subpart.
(b) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
control air pollutant emissions from
each hazardous secondary material
management unit in accordance with
standards specified in §§ 261.1084
through 261.1087 of this subpart, as
applicable to the hazardous secondary
material management unit, except as
provided for in paragraph (c) of this
section.
(c) A tank or container is exempt from
standards specified in §§ 261.1084
through 261.1087 of this subpart, as
applicable, provided that the hazardous
secondary material management unit is
a tank or container for which all
hazardous secondary material entering
the unit has an average VO
concentration at the point of material
origination of less than 500 parts per
million by weight (ppmw). The average
VO concentration shall be determined
using the procedures specified in
§ 261.1083(a) of this subpart. The
remanufacturer or other person that
stores or treats the hazardous secondary
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material shall review and update, as
necessary, this determination at least
once every 12 months following the date
of the initial determination for the
hazardous secondary material streams
entering the unit.
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§ 261.1083 Material determination
procedures.
(a) Material determination procedure
to determine average volatile organic
(VO) concentration of a hazardous
secondary material at the point of
material origination. (1) Determining
average VO concentration at the point
of material origination. A
remanufacturer or other person that
stores or treats the hazardous secondary
material shall determine the average VO
concentration at the point of material
origination for each hazardous
secondary material placed in a
hazardous secondary material
management unit exempted under the
provisions of § 261.1082(c)(1) of this
subpart from using air emission controls
in accordance with standards specified
in §§ 261.1084 through 261.1087 of this
subpart, as applicable to the hazardous
secondary material management unit.
(i) An initial determination of the
average VO concentration of the
material stream shall be made before the
first time any portion of the material in
the hazardous secondary material
stream is placed in a hazardous
secondary material management unit
exempted under the provisions of
§ 261.1082(c)(1) of this subpart from
using air emission controls, and
thereafter an initial determination of the
average VO concentration of the
material stream shall be made for each
averaging period that a hazardous
secondary material is managed in the
unit; and
(ii) Perform a new material
determination whenever changes to the
source generating the material stream
are reasonably likely to cause the
average VO concentration of the
hazardous secondary material to
increase to a level that is equal to or
greater than the applicable VO
concentration limits specified in
§ 261.1082 of this subpart.
(2) Determination of average VO
concentration using direct measurement
or knowledge. For a material
determination that is required by
paragraph (a)(1) of this section, the
average VO concentration of a
hazardous secondary material at the
point of material origination shall be
determined using either direct
measurement as specified in paragraph
(a)(3) of this section or by knowledge as
specified in paragraph (a)(4) of this
section.
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(3) Direct measurement to determine
average VO concentration of a
hazardous secondary material at the
point of material origination—(i)
Identification. The remanufacturer or
other person that stores or treats the
hazardous secondary material shall
identify and record in a log that is kept
at the facility the point of material
origination for the hazardous secondary
material.
(ii) Sampling. Samples of the
hazardous secondary material stream
shall be collected at the point of
material origination in a manner such
that volatilization of organics contained
in the material and in the subsequent
sample is minimized and an adequately
representative sample is collected and
maintained for analysis by the selected
method.
(A) The averaging period to be used
for determining the average VO
concentration for the hazardous
secondary material stream on a massweighted average basis shall be
designated and recorded. The averaging
period can represent any time interval
that the remanufacturer or other person
that stores or treats the hazardous
secondary material determines is
appropriate for the hazardous secondary
material stream but shall not exceed 1
year.
(B) A sufficient number of samples,
but no less than four samples, shall be
collected and analyzed for a hazardous
secondary material determination. All of
the samples for a given material
determination shall be collected within
a one-hour period. The average of the
four or more sample results constitutes
a material determination for the material
stream. One or more material
determinations may be required to
represent the complete range of material
compositions and quantities that occur
during the entire averaging period due
to normal variations in the operating
conditions for the source or process
generating the hazardous secondary
material stream. Examples of such
normal variations are seasonal
variations in material quantity or
fluctuations in ambient temperature.
(C) All samples shall be collected and
handled in accordance with written
procedures prepared by the
remanufacturer or other person that
stores or treats the hazardous secondary
material and documented in a site
sampling plan. This plan shall describe
the procedure by which representative
samples of the hazardous secondary
material stream are collected such that
a minimum loss of organics occurs
throughout the sample collection and
handling process, and by which sample
integrity is maintained. A copy of the
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written sampling plan shall be
maintained at the facility. An example
of acceptable sample collection and
handling procedures for a total volatile
organic constituent concentration may
be found in Method 25D in 40 CFR part
60, appendix A.
(D) Sufficient information, as
specified in the ‘‘site sampling plan’’
required under paragraph (a)(3)(ii)(C) of
this section, shall be prepared and
recorded to document the material
quantity represented by the samples
and, as applicable, the operating
conditions for the source or process
generating the hazardous secondary
material represented by the samples.
(iii) Analysis. Each collected sample
shall be prepared and analyzed in
accordance with Method 25D in 40 CFR
part 60, appendix A for the total
concentration of volatile organic
constituents, or using one or more
methods when the individual organic
compound concentrations are identified
and summed and the summed material
concentration accounts for and reflects
all organic compounds in the material
with Henry’s law constant values at
least 0.1 mole-fraction-in-the-gas-phase/
mole-fraction-in-the-liquid-phase (0.1
Y/X) [which can also be expressed as
1.8 × 10¥6atmospheres/gram-mole/m3]
at 25 degrees Celsius. At the discretion
of the remanufacturer or other person
that stores or treats the hazardous
secondary material, the test data
obtained may be adjusted by any
appropriate method to discount any
contribution to the total volatile organic
concentration that is a result of
including a compound with a Henry’s
law constant value of less than 0.1 Y/X
at 25 degrees Celsius. To adjust these
data, the measured concentration of
each individual chemical constituent
contained in the material is multiplied
by the appropriate constituent-specific
adjustment factor (fm25D). If the
remanufacturer or other person that
stores or treats the hazardous secondary
material elects to adjust the test data,
the adjustment must be made to all
individual chemical constituents with a
Henry’s law constant value greater than
or equal to 0.1 Y/X at 25 degrees Celsius
contained in the material. Constituentspecific adjustment factors (fm25D) can
be obtained by contacting the Waste and
Chemical Processes Group, Office of Air
Quality Planning and Standards,
Research Triangle Park, NC 27711.
Other test methods may be used if they
meet the requirements in paragraph
(a)(3)(iii)(A) or (B) of this section and
provided the requirement to reflect all
organic compounds in the material with
Henry’s law constant values greater than
or equal to 0.1 Y/X [which can also be
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expressed as 1.8 × 10¥6atmospheres/
gram-mole/m3] at 25 degrees Celsius, is
met.
(A) Any EPA standard method that
has been validated in accordance with
‘‘Alternative Validation Procedure for
EPA Waste and Wastewater Methods,’’
40 CFR part 63, appendix D.
(B) Any other analysis method that
has been validated in accordance with
the procedures specified in Section 5.1
or Section 5.3, and the corresponding
calculations in Section 6.1 or Section
6.3, of Method 301 in 40 CFR part 63,
appendix A. The data are acceptable if
they meet the criteria specified in
Section 6.1.5 or Section 6.3.3 of Method
301. If correction is required under
section 6.3.3 of Method 301, the data are
acceptable if the correction factor is
within the range 0.7 to 1.30. Other
sections of Method 301 are not required.
(iv) Calculations. (A) The average VO
concentration (C) on a mass-weighted
basis shall be calculated by using the
results for all material determinations
conducted in accordance with
paragraphs (a)(3)(ii) and (iii) of this
section and the following equation:
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Where:
C = Average VO concentration of the
hazardous secondary material at the
point of material origination on a massweighted basis, ppmw.
i = Individual material determination ‘‘i’’ of
the hazardous secondary material.
n = Total number of material determinations
of the hazardous secondary material
conducted for the averaging period (not
to exceed 1 year).
Qi = Mass quantity of hazardous secondary
material stream represented by Ci, kg/hr.
QT = Total mass quantity of hazardous
secondary material during the averaging
period, kg/hr.
Ci = Measured VO concentration of material
determination ‘‘i’’ as determined in
accordance with the requirements of
paragraph (a)(3)(iii) of this section (i.e.
the average of the four or more samples
specified in paragraph (a)(3)(ii)(B) of this
section), ppmw.
(B) For the purpose of determining Ci,
for individual material samples
analyzed in accordance with paragraph
(a)(3)(iii) of this section, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall account for VO
concentrations determined to be below
the limit of detection of the analytical
method by using the following VO
concentration:
(1) If Method 25D in 40 CFR part 60,
appendix A is used for the analysis,
one-half the blank value determined in
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the method at section 4.4 of Method 25D
in 40 CFR part 60, appendix A.
(2) If any other analytical method is
used, one-half the sum of the limits of
detection established for each organic
constituent in the material that has a
Henry’s law constant values at least 0.1
mole-fraction-in-the-gas-phase/molefraction-in-the-liquid-phase (0.1 Y/X)
[which can also be expressed as 1.8 ×
10¥6atmospheres/gram-mole/m3] at 25
degrees Celsius.
(4) Use of knowledge by the
remanufacturer or other person that
stores or treats the hazardous secondary
material to determine average VO
concentration of a hazardous secondary
material at the point of material
origination. (i) Documentation shall be
prepared that presents the information
used as the basis for the knowledge by
the remanufacturer or other person that
stores or treats the hazardous secondary
material of the hazardous secondary
material stream’s average VO
concentration. Examples of information
that may be used as the basis for
knowledge include: Material balances
for the source or process generating the
hazardous secondary material stream;
constituent-specific chemical test data
for the hazardous secondary material
stream from previous testing that are
still applicable to the current material
stream; previous test data for other
locations managing the same type of
material stream; or other knowledge
based on information included in
shipping papers or material certification
notices.
(ii) If test data are used as the basis
for knowledge, then the remanufacturer
or other person that stores or treats the
hazardous secondary material shall
document the test method, sampling
protocol, and the means by which
sampling variability and analytical
variability are accounted for in the
determination of the average VO
concentration. For example, a
remanufacturer or other person that
stores or treats the hazardous secondary
material may use organic concentration
test data for the hazardous secondary
material stream that are validated in
accordance with Method 301 in 40 CFR
part 63, appendix A as the basis for
knowledge of the material.
(iii) A remanufacturer or other person
that stores or treats the hazardous
secondary material using chemical
constituent-specific concentration test
data as the basis for knowledge of the
hazardous secondary material may
adjust the test data to the corresponding
average VO concentration value which
would have been obtained had the
material samples been analyzed using
Method 25D in 40 CFR part 60,
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appendix A. To adjust these data, the
measured concentration for each
individual chemical constituent
contained in the material is multiplied
by the appropriate constituent-specific
adjustment factor (fm25D).
(iv) In the event that the Regional
Administrator and the remanufacture or
other person that stores or treats the
hazardous secondary material disagree
on a determination of the average VO
concentration for a hazardous secondary
material stream using knowledge, then
the results from a determination of
average VO concentration using direct
measurement as specified in paragraph
(a)(3) of this section shall be used to
establish compliance with the
applicable requirements of this subpart.
The Regional Administrator may
perform or request that the
remanufacturer or other person that
stores or treats the hazardous secondary
material perform this determination
using direct measurement. The
remanufacturer or other person that
stores or treats the hazardous secondary
material may choose one or more
appropriate methods to analyze each
collected sample in accordance with the
requirements of paragraph (a)(3)(iii) of
this section.
(b) [Reserved]
(c) Procedure to determine the
maximum organic vapor pressure of a
hazardous secondary material in a tank.
(1) A remanufacturer or other person
that stores or treats the hazardous
secondary material shall determine the
maximum organic vapor pressure for
each hazardous secondary material
placed in a tank using Tank Level 1
controls in accordance with standards
specified in § 261.1084(c) of this
subpart.
(2) A remanufacturer or other person
that stores or treats the hazardous
secondary material shall use either
direct measurement as specified in
paragraph (c)(3) of this section or
knowledge of the waste as specified by
paragraph (c)(4) of this section to
determine the maximum organic vapor
pressure which is representative of the
hazardous secondary material
composition stored or treated in the
tank.
(3) Direct measurement to determine
the maximum organic vapor pressure of
a hazardous secondary material.
(i) Sampling. A sufficient number of
samples shall be collected to be
representative of the hazardous
secondary material contained in the
tank. All samples shall be collected and
handled in accordance with written
procedures prepared by the
remanufacturer or other person that
stores or treats the hazardous secondary
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material and documented in a site
sampling plan. This plan shall describe
the procedure by which representative
samples of the hazardous secondary
material are collected such that a
minimum loss of organics occurs
throughout the sample collection and
handling process and by which sample
integrity is maintained. A copy of the
written sampling plan shall be
maintained at the facility. An example
of acceptable sample collection and
handling procedures may be found in
Method 25D in 40 CFR part 60,
appendix A.
(ii) Analysis. Any appropriate one of
the following methods may be used to
analyze the samples and compute the
maximum organic vapor pressure of the
hazardous secondary material:
(A) Method 25E in 40 CFR part 60
appendix A;
(B) Methods described in American
Petroleum Institute Publication 2517,
Third Edition, February 1989,
‘‘Evaporative Loss from External
Floating-Roof Tanks,’’ (incorporated by
reference—refer to § 260.11 of this
chapter);
(C) Methods obtained from standard
reference texts;
(D) ASTM Method 2879–92
(incorporated by reference—refer to
§ 260.11 of this chapter); and
(E) Any other method approved by the
Regional Administrator.
(4) Use of knowledge to determine the
maximum organic vapor pressure of the
hazardous secondary material.
Documentation shall be prepared and
recorded that presents the information
used as the basis for the knowledge by
the remanufacturer or other person that
stores or treats the hazardous secondary
material that the maximum organic
vapor pressure of the hazardous
secondary material is less than the
maximum vapor pressure limit listed in
§ 261.1085(b)(1)(i) of this subpart for the
applicable tank design capacity
category. An example of information
that may be used is documentation that
the hazardous secondary material is
generated by a process for which at
other locations it previously has been
determined by direct measurement that
the hazardous secondary material’s
waste maximum organic vapor pressure
is less than the maximum vapor
pressure limit for the appropriate tank
design capacity category.
(d) Procedure for determining no
detectable organic emissions for the
purpose of complying with this subpart:
(1) The test shall be conducted in
accordance with the procedures
specified in Method 21 of 40 CFR part
60, appendix A. Each potential leak
interface (i.e., a location where organic
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vapor leakage could occur) on the cover
and associated closure devices shall be
checked. Potential leak interfaces that
are associated with covers and closure
devices include, but are not limited to:
The interface of the cover and its
foundation mounting; the periphery of
any opening on the cover and its
associated closure device; and the
sealing seat interface on a spring-loaded
pressure relief valve.
(2) The test shall be performed when
the unit contains a hazardous secondary
material having an organic
concentration representative of the
range of concentrations for the
hazardous secondary material expected
to be managed in the unit. During the
test, the cover and closure devices shall
be secured in the closed position.
(3) The detection instrument shall
meet the performance criteria of Method
21 of 40 CFR part 60, appendix A,
except the instrument response factor
criteria in section 3.1.2(a) of Method 21
shall be for the average composition of
the organic constituents in the
hazardous secondary material placed in
the hazardous secondary management
unit, not for each individual organic
constituent.
(4) The detection instrument shall be
calibrated before use on each day of its
use by the procedures specified in
Method 21 of 40 CFR part 60, appendix
A.
(5) Calibration gases shall be as
follows:
(i) Zero air (less than 10 ppmv
hydrocarbon in air), and
(ii) A mixture of methane or n-hexane
and air at a concentration of
approximately, but less than, 10,000
ppmv methane or n-hexane.
(6) The background level shall be
determined according to the procedures
in Method 21 of 40 CFR part 60,
appendix A.
(7) Each potential leak interface shall
be checked by traversing the instrument
probe around the potential leak
interface as close to the interface as
possible, as described in Method 21 of
40 CFR part 60, appendix A. In the case
when the configuration of the cover or
closure device prevents a complete
traverse of the interface, all accessible
portions of the interface shall be
sampled. In the case when the
configuration of the closure device
prevents any sampling at the interface
and the device is equipped with an
enclosed extension or horn (e.g., some
pressure relief devices), the instrument
probe inlet shall be placed at
approximately the center of the exhaust
area to the atmosphere.
(8) The arithmetic difference between
the maximum organic concentration
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indicated by the instrument and the
background level shall be compared
with the value of 500 ppmv except
when monitoring a seal around a
rotating shaft that passes through a
cover opening, in which case the
comparison shall be as specified in
paragraph (d)(9) of this section. If the
difference is less than 500 ppmv, then
the potential leak interface is
determined to operate with no
detectable organic emissions.
(9) For the seals around a rotating
shaft that passes through a cover
opening, the arithmetic difference
between the maximum organic
concentration indicated by the
instrument and the background level
shall be compared with the value of
10,000 ppmw. If the difference is less
than 10,000 ppmw, then the potential
leak interface is determined to operate
with no detectable organic emissions.
§ 261.1084
Standards: tanks.
(a) The provisions of this section
apply to the control of air pollutant
emissions from tanks for which
§ 261.1082(b) of this subpart references
the use of this section for such air
emission control.
(b) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
control air pollutant emissions from
each tank subject to this section in
accordance with the following
requirements as applicable:
(1) For a tank that manages hazardous
secondary material that meets all of the
conditions specified in paragraphs
(b)(1)(i) through (iii) of this section, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall control air pollutant
emissions from the tank in accordance
with the Tank Level 1 controls specified
in paragraph (c) of this section or the
Tank Level 2 controls specified in
paragraph (d) of this section.
(i) The hazardous secondary material
in the tank has a maximum organic
vapor pressure which is less than the
maximum organic vapor pressure limit
for the tank’s design capacity category
as follows:
(A) For a tank design capacity equal
to or greater than 151 m3, the maximum
organic vapor pressure limit for the tank
is 5.2 kPa.
(B) For a tank design capacity equal
to or greater than 75 m3 but less than
151 m3, the maximum organic vapor
pressure limit for the tank is 27.6 kPa.
(C) For a tank design capacity less
than 75 m3, the maximum organic vapor
pressure limit for the tank is 76.6 kPa.
(ii) The hazardous secondary material
in the tank is not heated by the
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remanufacturer or other person that
stores or treats the hazardous secondary
material to a temperature that is greater
than the temperature at which the
maximum organic vapor pressure of the
hazardous secondary material is
determined for the purpose of
complying with paragraph (b)(1)(i) of
this section.
(2) For a tank that manages hazardous
secondary material that does not meet
all of the conditions specified in
paragraphs (b)(1)(i) through (iii) of this
section, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
control air pollutant emissions from the
tank by using Tank Level 2 controls in
accordance with the requirements of
paragraph (d) of this section. An
example of tanks required to use Tank
Level 2 controls is a tank for which the
hazardous secondary material in the
tank has a maximum organic vapor
pressure that is equal to or greater than
the maximum organic vapor pressure
limit for the tank’s design capacity
category as specified in paragraph
(b)(1)(i) of this section.
(c) Remanufacturers or other persons
that store or treats the hazardous
secondary material controlling air
pollutant emissions from a tank using
Tank Level 1 controls shall meet the
requirements specified in paragraphs
(c)(1) through (4) of this section:
(1) The remanufacturer or other
person that stores or treats that
hazardous secondary material shall
determine the maximum organic vapor
pressure for a hazardous secondary
material to be managed in the tank using
Tank Level 1 controls before the first
time the hazardous secondary material
is placed in the tank. The maximum
organic vapor pressure shall be
determined using the procedures
specified in § 261.1083(c) of this
subpart. Thereafter, the remanufacturer
or other person that stores or treats the
hazardous secondary material shall
perform a new determination whenever
changes to the hazardous secondary
material managed in the tank could
potentially cause the maximum organic
vapor pressure to increase to a level that
is equal to or greater than the maximum
organic vapor pressure limit for the tank
design capacity category specified in
paragraph (b)(1)(i) of this section, as
applicable to the tank.
(2) The tank shall be equipped with
a fixed roof designed to meet the
following specifications:
(i) The fixed roof and its closure
devices shall be designed to form a
continuous barrier over the entire
surface area of the hazardous secondary
material in the tank. The fixed roof may
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be a separate cover installed on the tank
(e.g., a removable cover mounted on an
open-top tank) or may be an integral
part of the tank structural design (e.g.,
a horizontal cylindrical tank equipped
with a hatch).
(ii) The fixed roof shall be installed in
a manner such that there are no visible
cracks, holes, gaps, or other open spaces
between roof section joints or between
the interface of the roof edge and the
tank wall.
(iii) Each opening in the fixed roof,
and any manifold system associated
with the fixed roof, shall be either:
(A) Equipped with a closure device
designed to operate such that when the
closure device is secured in the closed
position there are no visible cracks,
holes, gaps, or other open spaces in the
closure device or between the perimeter
of the opening and the closure device;
or
(B) Connected by a closed-vent system
that is vented to a control device. The
control device shall remove or destroy
organics in the vent stream, and shall be
operating whenever hazardous
secondary material is managed in the
tank, except as provided for in
paragraphs (c)(2)(iii)(B)(1) and (2) of this
section.
(1) During periods when it is
necessary to provide access to the tank
for performing the activities of
paragraph (c)(2)(iii)(B)(2) of this section,
venting of the vapor headspace
underneath the fixed roof to the control
device is not required, opening of
closure devices is allowed, and removal
of the fixed roof is allowed. Following
completion of the activity, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall promptly secure the
closure device in the closed position or
reinstall the cover, as applicable, and
resume operation of the control device.
(2) During periods of routine
inspection, maintenance, or other
activities needed for normal operations,
and for removal of accumulated sludge
or other residues from the bottom of the
tank.
(iv) The fixed roof and its closure
devices shall be made of suitable
materials that will minimize exposure of
the hazardous secondary material to the
atmosphere, to the extent practical, and
will maintain the integrity of the fixed
roof and closure devices throughout
their intended service life. Factors to be
considered when selecting the materials
for and designing the fixed roof and
closure devices shall include: organic
vapor permeability, the effects of any
contact with the hazardous secondary
material or its vapors managed in the
tank; the effects of outdoor exposure to
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wind, moisture, and sunlight; and the
operating practices used for the tank on
which the fixed roof is installed.
(3) Whenever a hazardous secondary
material is in the tank, the fixed roof
shall be installed with each closure
device secured in the closed position
except as follows:
(i) Opening of closure devices or
removal of the fixed roof is allowed at
the following times:
(A) To provide access to the tank for
performing routine inspection,
maintenance, or other activities needed
for normal operations. Examples of such
activities include those times when a
worker needs to open a port to sample
the liquid in the tank, or when a worker
needs to open a hatch to maintain or
repair equipment. Following completion
of the activity, the remanufacturer or
other person that stores or treats the
hazardous secondary material shall
promptly secure the closure device in
the closed position or reinstall the
cover, as applicable, to the tank.
(B) To remove accumulated sludge or
other residues from the bottom of tank.
(ii) Opening of a spring-loaded
pressure-vacuum relief valve,
conservation vent, or similar type of
pressure relief device which vents to the
atmosphere is allowed during normal
operations for the purpose of
maintaining the tank internal pressure
in accordance with the tank design
specifications. The device shall be
designed to operate with no detectable
organic emissions when the device is
secured in the closed position. The
settings at which the device opens shall
be established such that the device
remains in the closed position whenever
the tank internal pressure is within the
internal pressure operating range
determined by the remanufacturer or
other person that stores or treats the
hazardous secondary material based on
the tank manufacturer
recommendations, applicable
regulations, fire protection and
prevention codes, standard engineering
codes and practices, or other
requirements for the safe handling of
flammable, ignitable, explosive,
reactive, or hazardous materials.
Examples of normal operating
conditions that may require these
devices to open are during those times
when the tank internal pressure exceeds
the internal pressure operating range for
the tank as a result of loading operations
or diurnal ambient temperature
fluctuations.
(iii) Opening of a safety device, as
defined in § 261.1081, is allowed at any
time conditions require doing so to
avoid an unsafe condition.
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(4) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
inspect the air emission control
equipment in accordance with the
following requirements.
(i) The fixed roof and its closure
devices shall be visually inspected by
the remanufacturer or other person that
stores or treats the hazardous secondary
material to check for defects that could
result in air pollutant emissions. Defects
include, but are not limited to, visible
cracks, holes, or gaps in the roof
sections or between the roof and the
tank wall; broken, cracked, or otherwise
damaged seals or gaskets on closure
devices; and broken or missing hatches,
access covers, caps, or other closure
devices.
(ii) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
perform an initial inspection of the
fixed roof and its closure devices on or
before the date that the tank becomes
subject to this section. Thereafter, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall perform the inspections at
least once every year except under the
special conditions provided for in
paragraph (l) of this section.
(iii) In the event that a defect is
detected, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
repair the defect in accordance with the
requirements of paragraph (k) of this
section.
(iv) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
maintain a record of the inspection in
accordance with the requirements
specified in § 261.1089(b) of this
subpart.
(d) Remanufacturers or other persons
that store or treat the hazardous
secondary material controlling air
pollutant emissions from a tank using
Tank Level 2 controls shall use one of
the following tanks:
(1) A fixed-roof tank equipped with
an internal floating roof in accordance
with the requirements specified in
paragraph (e) of this section;
(2) A tank equipped with an external
floating roof in accordance with the
requirements specified in paragraph (f)
of this section;
(3) A tank vented through a closedvent system to a control device in
accordance with the requirements
specified in paragraph (g) of this
section;
(4) A pressure tank designed and
operated in accordance with the
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requirements specified in paragraph (h)
of this section; or
(5) A tank located inside an enclosure
that is vented through a closed-vent
system to an enclosed combustion
control device in accordance with the
requirements specified in paragraph (i)
of this section.
(e) The remanufacturer or other
person that stores or treats the
hazardous secondary material who
controls air pollutant emissions from a
tank using a fixed roof with an internal
floating roof shall meet the requirements
specified in paragraphs (e)(1) through
(3) of this section.
(1) The tank shall be equipped with
a fixed roof and an internal floating roof
in accordance with the following
requirements:
(i) The internal floating roof shall be
designed to float on the liquid surface
except when the floating roof must be
supported by the leg supports.
(ii) The internal floating roof shall be
equipped with a continuous seal
between the wall of the tank and the
floating roof edge that meets either of
the following requirements:
(A) A single continuous seal that is
either a liquid-mounted seal or a
metallic shoe seal, as defined in
§ 261.1081; or
(B) Two continuous seals mounted
one above the other. The lower seal may
be a vapor-mounted seal.
(iii) The internal floating roof shall
meet the following specifications:
(A) Each opening in a noncontact
internal floating roof except for
automatic bleeder vents (vacuum
breaker vents) and the rim space vents
is to provide a projection below the
liquid surface.
(B) Each opening in the internal
floating roof shall be equipped with a
gasketed cover or a gasketed lid except
for leg sleeves, automatic bleeder vents,
rim space vents, column wells, ladder
wells, sample wells, and stub drains.
(C) Each penetration of the internal
floating roof for the purpose of sampling
shall have a slit fabric cover that covers
at least 90 percent of the opening.
(D) Each automatic bleeder vent and
rim space vent shall be gasketed.
(E) Each penetration of the internal
floating roof that allows for passage of
a ladder shall have a gasketed sliding
cover.
(F) Each penetration of the internal
floating roof that allows for passage of
a column supporting the fixed roof shall
have a flexible fabric sleeve seal or a
gasketed sliding cover.
(2) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
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operate the tank in accordance with the
following requirements:
(i) When the floating roof is resting on
the leg supports, the process of filling,
emptying, or refilling shall be
continuous and shall be completed as
soon as practical.
(ii) Automatic bleeder vents are to be
set closed at all times when the roof is
floating, except when the roof is being
floated off or is being landed on the leg
supports.
(iii) Prior to filling the tank, each
cover, access hatch, gauge float well or
lid on any opening in the internal
floating roof shall be bolted or fastened
closed (i.e., no visible gaps). Rim space
vents are to be set to open only when
the internal floating roof is not floating
or when the pressure beneath the rim
exceeds the manufacturer’s
recommended setting.
(3) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
inspect the internal floating roof in
accordance with the procedures
specified as follows:
(i) The floating roof and its closure
devices shall be visually inspected by
the remanufacture or other person that
stores or treats the hazardous secondary
material to check for defects that could
result in air pollutant emissions. Defects
include, but are not limited to: The
internal floating roof is not floating on
the surface of the liquid inside the tank;
liquid has accumulated on top of the
internal floating roof; any portion of the
roof seals have detached from the roof
rim; holes, tears, or other openings are
visible in the seal fabric; the gaskets no
longer close off the hazardous secondary
material surface from the atmosphere; or
the slotted membrane has more than 10
percent open area.
(ii) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
inspect the internal floating roof
components as follows except as
provided in paragraph (e)(3)(iii) of this
section:
(A) Visually inspect the internal
floating roof components through
openings on the fixed-roof (e.g.,
manholes and roof hatches) at least once
every 12 months after initial fill, and
(B) Visually inspect the internal
floating roof, primary seal, secondary
seal (if one is in service), gaskets, slotted
membranes, and sleeve seals (if any)
each time the tank is emptied and
degassed and at least every 10 years.
(iii) As an alternative to performing
the inspections specified in paragraph
(e)(3)(ii) of this section for an internal
floating roof equipped with two
continuous seals mounted one above the
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other, the remanufacturer or other
person that stores or treats the
hazardous secondary material may
visually inspect the internal floating
roof, primary and secondary seals,
gaskets, slotted membranes, and sleeve
seals (if any) each time the tank is
emptied and degassed and at least every
five years.
(iv) Prior to each inspection required
by paragraph (e)(3)(ii) or (iii) of this
section, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
notify the Regional Administrator in
advance of each inspection to provide
the Regional Administrator with the
opportunity to have an observer present
during the inspection. The
remanufacturer or other person that
stores or treats the hazardous secondary
material shall notify the Regional
Administrator of the date and location
of the inspection as follows:
(A) Prior to each visual inspection of
an internal floating roof in a tank that
has been emptied and degassed, written
notification shall be prepared and sent
by the remanufacturer or other person
that stores or treats the hazardous
secondary material so that it is received
by the Regional Administrator at least
30 calendar days before refilling the
tank except when an inspection is not
planned as provided for in paragraph
(e)(3)(iv)(B) of this section.
(B) When a visual inspection is not
planned and the remanufacturer or
other person that stores or treats the
hazardous secondary material could not
have known about the inspection 30
calendar days before refilling the tank,
the remanufacturer or other person that
stores or treats the hazardous secondary
material shall notify the Regional
Administrator as soon as possible, but
no later than seven calendar days before
refilling of the tank. This notification
may be made by telephone and
immediately followed by a written
explanation for why the inspection is
unplanned. Alternatively, written
notification, including the explanation
for the unplanned inspection, may be
sent so that it is received by the
Regional Administrator at least seven
calendar days before refilling the tank.
(v) In the event that a defect is
detected, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
repair the defect in accordance with the
requirements of paragraph (k) of this
section.
(vi) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
maintain a record of the inspection in
accordance with the requirements
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specified in § 261.1089(b) of this
subpart.
(4) Safety devices, as defined in
§ 261.1081, may be installed and
operated as necessary on any tank
complying with the requirements of
paragraph (e) of this section.
(f) The remanufacturer or other person
that stores or treats the hazardous
secondary material who controls air
pollutant emissions from a tank using
an external floating roof shall meet the
requirements specified in paragraphs
(f)(1) through (3) of this section.
(1) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
design the external floating roof in
accordance with the following
requirements:
(i) The external floating roof shall be
designed to float on the liquid surface
except when the floating roof must be
supported by the leg supports.
(ii) The floating roof shall be
equipped with two continuous seals,
one above the other, between the wall
of the tank and the roof edge. The lower
seal is referred to as the primary seal,
and the upper seal is referred to as the
secondary seal.
(A) The primary seal shall be a liquidmounted seal or a metallic shoe seal, as
defined in 40 CFR 261.1081. The total
area of the gaps between the tank wall
and the primary seal shall not exceed
212 square centimeters (cm2) per meter
of tank diameter, and the width of any
portion of these gaps shall not exceed
3.8 centimeters (cm). If a metallic shoe
seal is used for the primary seal, the
metallic shoe seal shall be designed so
that one end extends into the liquid in
the tank and the other end extends a
vertical distance of at least 61
centimeters above the liquid surface.
(B) The secondary seal shall be
mounted above the primary seal and
cover the annular space between the
floating roof and the wall of the tank.
The total area of the gaps between the
tank wall and the secondary seal shall
not exceed 21.2 square centimeters
(cm2) per meter of tank diameter, and
the width of any portion of these gaps
shall not exceed 1.3 centimeters (cm).
(iii) The external floating roof shall
meet the following specifications:
(A) Except for automatic bleeder vents
(vacuum breaker vents) and rim space
vents, each opening in a noncontact
external floating roof shall provide a
projection below the liquid surface.
(B) Except for automatic bleeder
vents, rim space vents, roof drains, and
leg sleeves, each opening in the roof
shall be equipped with a gasketed cover,
seal, or lid.
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(C) Each access hatch and each gauge
float well shall be equipped with a
cover designed to be bolted or fastened
when the cover is secured in the closed
position.
(D) Each automatic bleeder vent and
each rim space vent shall be equipped
with a gasket.
(E) Each roof drain that empties into
the liquid managed in the tank shall be
equipped with a slotted membrane
fabric cover that covers at least 90
percent of the area of the opening.
(F) Each unslotted and slotted guide
pole well shall be equipped with a
gasketed sliding cover or a flexible
fabric sleeve seal.
(G) Each unslotted guide pole shall be
equipped with a gasketed cap on the
end of the pole.
(H) Each slotted guide pole shall be
equipped with a gasketed float or other
device which closes off the liquid
surface from the atmosphere.
(I) Each gauge hatch and each sample
well shall be equipped with a gasketed
cover.
(2) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
operate the tank in accordance with the
following requirements:
(i) When the floating roof is resting on
the leg supports, the process of filling,
emptying, or refilling shall be
continuous and shall be completed as
soon as practical.
(ii) Except for automatic bleeder
vents, rim space vents, roof drains, and
leg sleeves, each opening in the roof
shall be secured and maintained in a
closed position at all times except when
the closure device must be open for
access.
(iii) Covers on each access hatch and
each gauge float well shall be bolted or
fastened when secured in the closed
position.
(iv) Automatic bleeder vents shall be
set closed at all times when the roof is
floating, except when the roof is being
floated off or is being landed on the leg
supports.
(v) Rim space vents shall be set to
open only at those times that the roof is
being floated off the roof leg supports or
when the pressure beneath the rim seal
exceeds the manufacturer’s
recommended setting.
(vi) The cap on the end of each
unslotted guide pole shall be secured in
the closed position at all times except
when measuring the level or collecting
samples of the liquid in the tank.
(vii) The cover on each gauge hatch or
sample well shall be secured in the
closed position at all times except when
the hatch or well must be opened for
access.
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(viii) Both the primary seal and the
secondary seal shall completely cover
the annular space between the external
floating roof and the wall of the tank in
a continuous fashion except during
inspections.
(3) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
inspect the external floating roof in
accordance with the procedures
specified as follows:
(i) The remanufacturer or other person
that stores or treats the hazardous
secondary material shall measure the
external floating roof seal gaps in
accordance with the following
requirements:
(A) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
perform measurements of gaps between
the tank wall and the primary seal
within 60 calendar days after initial
operation of the tank following
installation of the floating roof and,
thereafter, at least once every 5 years.
(B) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
perform measurements of gaps between
the tank wall and the secondary seal
within 60 calendar days after initial
operation of the tank following
installation of the floating roof and,
thereafter, at least once every year.
(C) If a tank ceases to hold hazardous
secondary material for a period of 1 year
or more, subsequent introduction of
hazardous secondary material into the
tank shall be considered an initial
operation for the purposes of paragraphs
(f)(3)(i)(A) and (B) of this section.
(D) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
determine the total surface area of gaps
in the primary seal and in the secondary
seal individually using the following
procedure:
(1) The seal gap measurements shall
be performed at one or more floating
roof levels when the roof is floating off
the roof supports.
(2) Seal gaps, if any, shall be
measured around the entire perimeter of
the floating roof in each place where a
0.32-centimeter (cm) diameter uniform
probe passes freely (without forcing or
binding against the seal) between the
seal and the wall of the tank and
measure the circumferential distance of
each such location.
(3) For a seal gap measured under
paragraph (f)(3) of this section, the gap
surface area shall be determined by
using probes of various widths to
measure accurately the actual distance
from the tank wall to the seal and
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multiplying each such width by its
respective circumferential distance.
(4) The total gap area shall be
calculated by adding the gap surface
areas determined for each identified gap
location for the primary seal and the
secondary seal individually, and then
dividing the sum for each seal type by
the nominal diameter of the tank. These
total gap areas for the primary seal and
secondary seal are then compared to the
respective standards for the seal type as
specified in paragraph (f)(1)(ii) of this
section.
(E) In the event that the seal gap
measurements do not conform to the
specifications in paragraph (f)(1)(ii) of
this section, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
repair the defect in accordance with the
requirements of paragraph (k) of this
section.
(F) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
maintain a record of the inspection in
accordance with the requirements
specified in § 261.1089(b) of this
subpart.
(ii) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
visually inspect the external floating
roof in accordance with the following
requirements:
(A) The floating roof and its closure
devices shall be visually inspected by
the remanufacturer or other person that
stores or treats the hazardous secondary
material to check for defects that could
result in air pollutant emissions. Defects
include, but are not limited to: Holes,
tears, or other openings in the rim seal
or seal fabric of the floating roof; a rim
seal detached from the floating roof; all
or a portion of the floating roof deck
being submerged below the surface of
the liquid in the tank; broken, cracked,
or otherwise damaged seals or gaskets
on closure devices; and broken or
missing hatches, access covers, caps, or
other closure devices.
(B) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
perform an initial inspection of the
external floating roof and its closure
devices on or before the date that the
tank becomes subject to this section.
Thereafter, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
perform the inspections at least once
every year except for the special
conditions provided for in paragraph (l)
of this section.
(C) In the event that a defect is
detected, the remanufacturer or other
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person that stores or treats the
hazardous secondary material shall
repair the defect in accordance with the
requirements of paragraph (k) of this
section.
(D) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
maintain a record of the inspection in
accordance with the requirements
specified in § 261.1089(b) of this
subpart.
(iii) Prior to each inspection required
by paragraph (f)(3)(i) or (ii) of this
section, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
notify the Regional Administrator in
advance of each inspection to provide
the Regional Administrator with the
opportunity to have an observer present
during the inspection. The
remanufacturer or other person that
stores or treats the hazardous secondary
material shall notify the Regional
Administrator of the date and location
of the inspection as follows:
(A) Prior to each inspection to
measure external floating roof seal gaps
as required under paragraph (f)(3)(i) of
this section, written notification shall be
prepared and sent by the
remanufacturer or other person that
stores or treats the hazardous secondary
material so that it is received by the
Regional Administrator at least 30
calendar days before the date the
measurements are scheduled to be
performed.
(B) Prior to each visual inspection of
an external floating roof in a tank that
has been emptied and degassed, written
notification shall be prepared and sent
by the remanufacturer or other person
that stores or treats the hazardous
secondary material so that it is received
by the Regional Administrator at least
30 calendar days before refilling the
tank except when an inspection is not
planned as provided for in paragraph
(f)(3)(iii)(C) of this section.
(C) When a visual inspection is not
planned and the remanufacturer or
other person that stores or treats the
hazardous secondary material could not
have known about the inspection 30
calendar days before refilling the tank,
the owner or operator shall notify the
Regional Administrator as soon as
possible, but no later than seven
calendar days before refilling of the
tank. This notification may be made by
telephone and immediately followed by
a written explanation for why the
inspection is unplanned. Alternatively,
written notification, including the
explanation for the unplanned
inspection, may be sent so that it is
received by the Regional Administrator
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at least seven calendar days before
refilling the tank.
(4) Safety devices, as defined in
§ 261.1081, may be installed and
operated as necessary on any tank
complying with the requirements of
paragraph (f) of this section.
(g) The remanufacturer or other
person that stores or treats the
hazardous secondary material who
controls air pollutant emissions from a
tank by venting the tank to a control
device shall meet the requirements
specified in paragraphs (g)(1) through
(3) of this section.
(1) The tank shall be covered by a
fixed roof and vented directly through a
closed-vent system to a control device
in accordance with the following
requirements:
(i) The fixed roof and its closure
devices shall be designed to form a
continuous barrier over the entire
surface area of the liquid in the tank.
(ii) Each opening in the fixed roof not
vented to the control device shall be
equipped with a closure device. If the
pressure in the vapor headspace
underneath the fixed roof is less than
atmospheric pressure when the control
device is operating, the closure devices
shall be designed to operate such that
when the closure device is secured in
the closed position there are no visible
cracks, holes, gaps, or other open spaces
in the closure device or between the
perimeter of the cover opening and the
closure device. If the pressure in the
vapor headspace underneath the fixed
roof is equal to or greater than
atmospheric pressure when the control
device is operating, the closure device
shall be designed to operate with no
detectable organic emissions.
(iii) The fixed roof and its closure
devices shall be made of suitable
materials that will minimize exposure of
the hazardous secondary material to the
atmosphere, to the extent practical, and
will maintain the integrity of the fixed
roof and closure devices throughout
their intended service life. Factors to be
considered when selecting the materials
for and designing the fixed roof and
closure devices shall include: Organic
vapor permeability, the effects of any
contact with the liquid and its vapor
managed in the tank; the effects of
outdoor exposure to wind, moisture,
and sunlight; and the operating
practices used for the tank on which the
fixed roof is installed.
(iv) The closed-vent system and
control device shall be designed and
operated in accordance with the
requirements of § 261.1087 of this
subpart.
(2) Whenever a hazardous secondary
material is in the tank, the fixed roof
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shall be installed with each closure
device secured in the closed position
and the vapor headspace underneath the
fixed roof vented to the control device
except as follows:
(i) Venting to the control device is not
required, and opening of closure devices
or removal of the fixed roof is allowed
at the following times:
(A) To provide access to the tank for
performing routine inspection,
maintenance, or other activities needed
for normal operations. Examples of such
activities include those times when a
worker needs to open a port to sample
liquid in the tank, or when a worker
needs to open a hatch to maintain or
repair equipment. Following completion
of the activity, the remanufacturer or
other person that stores or treats the
hazardous secondary material shall
promptly secure the closure device in
the closed position or reinstall the
cover, as applicable, to the tank.
(B) To remove accumulated sludge or
other residues from the bottom of a tank.
(ii) Opening of a safety device, as
defined in § 261.1081, is allowed at any
time conditions require doing so to
avoid an unsafe condition.
(3) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
inspect and monitor the air emission
control equipment in accordance with
the following procedures:
(i) The fixed roof and its closure
devices shall be visually inspected by
the remanufacturer or other person that
stores or treats the hazardous secondary
material to check for defects that could
result in air pollutant emissions. Defects
include, but are not limited to, visible
cracks, holes, or gaps in the roof
sections or between the roof and the
tank wall; broken, cracked, or otherwise
damaged seals or gaskets on closure
devices; and broken or missing hatches,
access covers, caps, or other closure
devices.
(ii) The closed-vent system and
control device shall be inspected and
monitored by the remanufacturer or
other person that stores or treats the
hazardous secondary material in
accordance with the procedures
specified in § 261.1087 of this subpart.
(iii) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
perform an initial inspection of the air
emission control equipment on or before
the date that the tank becomes subject
to this section. Thereafter, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall perform the inspections at
least once every year except for the
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special conditions provided for in
paragraph (l) of this section.
(iv) In the event that a defect is
detected, the remanufacture or other
person that stores or treats the
hazardous secondary material shall
repair the defect in accordance with the
requirements of paragraph (k) of this
section.
(v) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
maintain a record of the inspection in
accordance with the requirements
specified in § 261.1089(b) of this
subpart.
(h) The remanufacturer or other
person that stores or treats the
hazardous secondary material who
controls air pollutant emissions by
using a pressure tank shall meet the
following requirements.
(1) The tank shall be designed not to
vent to the atmosphere as a result of
compression of the vapor headspace in
the tank during filling of the tank to its
design capacity.
(2) All tank openings shall be
equipped with closure devices designed
to operate with no detectable organic
emissions as determined using the
procedure specified in § 261.1083(d) of
this subpart.
(3) Whenever a hazardous secondary
material is in the tank, the tank shall be
operated as a closed system that does
not vent to the atmosphere except under
either or the following conditions as
specified in paragraph (h)(3)(i) or
(h)(3)(ii) of this section.
(i) At those times when opening of a
safety device, as defined in § 261.1081
of this subpart, is required to avoid an
unsafe condition.
(ii) At those times when purging of
inerts from the tank is required and the
purge stream is routed to a closed-vent
system and control device designed and
operated in accordance with the
requirements of § 261.1087 of this
subpart.
(i) The remanufacturer or other person
that stores or treats the hazardous
secondary material who controls air
pollutant emissions by using an
enclosure vented through a closed-vent
system to an enclosed combustion
control device shall meet the
requirements specified in paragraphs
(i)(1) through (4) of this section.
(1) The tank shall be located inside an
enclosure. The enclosure shall be
designed and operated in accordance
with the criteria for a permanent total
enclosure as specified in ‘‘Procedure
T—Criteria for and Verification of a
Permanent or Temporary Total
Enclosure’’ under 40 CFR 52.741,
appendix B. The enclosure may have
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permanent or temporary openings to
allow worker access; passage of material
into or out of the enclosure by conveyor,
vehicles, or other mechanical means;
entry of permanent mechanical or
electrical equipment; or direct airflow
into the enclosure. The remanufacturer
or other person that stores or treats the
hazardous secondary material shall
perform the verification procedure for
the enclosure as specified in Section 5.0
to ‘‘Procedure T—Criteria for and
Verification of a Permanent or
Temporary Total Enclosure’’ initially
when the enclosure is first installed
and, thereafter, annually.
(2) The enclosure shall be vented
through a closed-vent system to an
enclosed combustion control device that
is designed and operated in accordance
with the standards for either a vapor
incinerator, boiler, or process heater
specified in § 261.1087 of this subpart.
(3) Safety devices, as defined in
§ 261.1081, may be installed and
operated as necessary on any enclosure,
closed-vent system, or control device
used to comply with the requirements of
paragraphs (i)(1) and (2) of this section.
(4) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
inspect and monitor the closed-vent
system and control device as specified
in § 261.1087 of this subpart.
(j) The remanufacturer or other person
that stores or treats the hazardous
secondary material shall transfer
hazardous secondary material to a tank
subject to this section in accordance
with the following requirements:
(1) Transfer of hazardous secondary
material, except as provided in
paragraph (j)(2) of this section, to the
tank from another tank subject to this
section shall be conducted using
continuous hard-piping or another
closed system that does not allow
exposure of the hazardous secondary
material to the atmosphere. For the
purpose of complying with this
provision, an individual drain system is
considered to be a closed system when
it meets the requirements of 40 CFR part
63, subpart RR—National Emission
Standards for Individual Drain Systems.
(2) The requirements of paragraph
(j)(1) of this section do not apply when
transferring a hazardous secondary
material to the tank under any of the
following conditions:
(i) The hazardous secondary material
meets the average VO concentration
conditions specified in § 261.1082(c)(1)
of this subpart at the point of material
origination.
(ii) The hazardous secondary material
has been treated by an organic
destruction or removal process to meet
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the requirements in § 261.1082(c)(2) of
this subpart.
(iii) The hazardous secondary
material meets the requirements of
§ 261.1082(c)(4) of this subpart.
(k) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
repair each defect detected during an
inspection performed in accordance
with the requirements of paragraph
(c)(4), (e)(3), (f)(3), or (g)(3) of this
section as follows:
(1) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
make first efforts at repair of the defect
no later than 5 calendar days after
detection, and repair shall be completed
as soon as possible but no later than 45
calendar days after detection except as
provided in paragraph (k)(2) of this
section.
(2) Repair of a defect may be delayed
beyond 45 calendar days if the
remanufacturer or other person that
stores or treats the hazardous secondary
material determines that repair of the
defect requires emptying or temporary
removal from service of the tank and no
alternative tank capacity is available at
the site to accept the hazardous
secondary material normally managed
in the tank. In this case, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall repair the defect the next
time the process or unit that is
generating the hazardous secondary
material managed in the tank stops
operation. Repair of the defect shall be
completed before the process or unit
resumes operation.
(l) Following the initial inspection
and monitoring of the cover as required
by the applicable provisions of this
subpart, subsequent inspection and
monitoring may be performed at
intervals longer than 1 year under the
following special conditions:
(1) In the case when inspecting or
monitoring the cover would expose a
worker to dangerous, hazardous, or
other unsafe conditions, then the
remanufacturer or other person that
stores or treats the hazardous secondary
material may designate a cover as an
‘‘unsafe to inspect and monitor cover’’
and comply with all of the following
requirements:
(i) Prepare a written explanation for
the cover stating the reasons why the
cover is unsafe to visually inspect or to
monitor, if required.
(ii) Develop and implement a written
plan and schedule to inspect and
monitor the cover, using the procedures
specified in the applicable section of
this subpart, as frequently as practicable
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during those times when a worker can
safely access the cover.
(2) In the case when a tank is buried
partially or entirely underground, a
remanufacturer or other person that
stores or treats the hazardous secondary
material is required to inspect and
monitor, as required by the applicable
provisions of this section, only those
portions of the tank cover and those
connections to the tank (e.g., fill ports,
access hatches, gauge wells, etc.) that
are located on or above the ground
surface.
§ 261.1085
[Reserved]
§ 261.1086
Standards: containers.
(a) Applicability. The provisions of
this section apply to the control of air
pollutant emissions from containers for
which § 261.1082(b) of this subpart
references the use of this section for
such air emission control.
(b) General requirements. (1) The
remanufacturer or other person that
stores or treats the hazardous secondary
material shall control air pollutant
emissions from each container subject to
this section in accordance with the
following requirements, as applicable to
the container.
(i) For a container having a design
capacity greater than 0.1 m3 and less
than or equal to 0.46 m3, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall control air pollutant
emissions from the container in
accordance with the Container Level 1
standards specified in paragraph (c) of
this section.
(ii) For a container having a design
capacity greater than 0.46 m3 that is not
in light material service, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall control air pollutant
emissions from the container in
accordance with the Container Level 1
standards specified in paragraph (c) of
this section.
(iii) For a container having a design
capacity greater than 0.46 m3 that is in
light material service, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall control air pollutant
emissions from the container in
accordance with the Container Level 2
standards specified in paragraph (d) of
this section.
(2) [Reserved]
(c) Container Level 1 standards. (1) A
container using Container Level 1
controls is one of the following:
(i) A container that meets the
applicable U.S. Department of
Transportation (DOT) regulations on
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packaging hazardous materials for
transportation as specified in paragraph
(f) of this section.
(ii) A container equipped with a cover
and closure devices that form a
continuous barrier over the container
openings such that when the cover and
closure devices are secured in the
closed position there are no visible
holes, gaps, or other open spaces into
the interior of the container. The cover
may be a separate cover installed on the
container (e.g., a lid on a drum or a
suitably secured tarp on a roll-off box)
or may be an integral part of the
container structural design (e.g., a
‘‘portable tank’’ or bulk cargo container
equipped with a screw-type cap).
(iii) An open-top container in which
an organic-vapor suppressing barrier is
placed on or over the hazardous
secondary material in the container
such that no hazardous secondary
material is exposed to the atmosphere.
One example of such a barrier is
application of a suitable organic-vapor
suppressing foam.
(2) A container used to meet the
requirements of paragraph (c)(1)(ii) or
(iii) of this section shall be equipped
with covers and closure devices, as
applicable to the container, that are
composed of suitable materials to
minimize exposure of the hazardous
secondary material to the atmosphere
and to maintain the equipment integrity,
for as long as the container is in service.
Factors to be considered in selecting the
materials of construction and designing
the cover and closure devices shall
include: Organic vapor permeability; the
effects of contact with the hazardous
secondary material or its vapor managed
in the container; the effects of outdoor
exposure of the closure device or cover
material to wind, moisture, and
sunlight; and the operating practices for
which the container is intended to be
used.
(3) Whenever a hazardous secondary
material is in a container using
Container Level 1 controls, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall install all covers and
closure devices for the container, as
applicable to the container, and secure
and maintain each closure device in the
closed position except as follows:
(i) Opening of a closure device or
cover is allowed for the purpose of
adding hazardous secondary material or
other material to the container as
follows:
(A) In the case when the container is
filled to the intended final level in one
continuous operation, the
remanufacturer or other person that
stores or treats the hazardous secondary
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material shall promptly secure the
closure devices in the closed position
and install the covers, as applicable to
the container, upon conclusion of the
filling operation.
(B) In the case when discrete
quantities or batches of material
intermittently are added to the container
over a period of time, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall promptly secure the
closure devices in the closed position
and install covers, as applicable to the
container, upon either the container
being filled to the intended final level;
the completion of a batch loading after
which no additional material will be
added to the container within 15
minutes; the person performing the
loading operation leaving the immediate
vicinity of the container; or the
shutdown of the process generating the
hazardous secondary material being
added to the container, whichever
condition occurs first.
(ii) Opening of a closure device or
cover is allowed for the purpose of
removing hazardous secondary material
from the container as follows:
(A) For the purpose of meeting the
requirements of this section, an empty
hazardous secondary material container
may be open to the atmosphere at any
time (i.e., covers and closure devices on
such a container are not required to be
secured in the closed position).
(B) In the case when discrete
quantities or batches of material are
removed from the container, but the
container is not an empty hazardous
secondary material container, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall promptly secure the
closure devices in the closed position
and install covers, as applicable to the
container, upon the completion of a
batch removal after which no additional
material will be removed from the
container within 15 minutes or the
person performing the unloading
operation leaves the immediate vicinity
of the container, whichever condition
occurs first.
(iii) Opening of a closure device or
cover is allowed when access inside the
container is needed to perform routine
activities other than transfer of
hazardous secondary material.
Examples of such activities include
those times when a worker needs to
open a port to measure the depth of or
sample the material in the container, or
when a worker needs to open a manhole
hatch to access equipment inside the
container. Following completion of the
activity, the remanufacturer or other
person that stores or treats the
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hazardous secondary material shall
promptly secure the closure device in
the closed position or reinstall the
cover, as applicable to the container.
(iv) Opening of a spring-loaded
pressure-vacuum relief valve,
conservation vent, or similar type of
pressure relief device which vents to the
atmosphere is allowed during normal
operations for the purpose of
maintaining the internal pressure of the
container in accordance with the
container design specifications. The
device shall be designed to operate with
no detectable organic emissions when
the device is secured in the closed
position. The settings at which the
device opens shall be established such
that the device remains in the closed
position whenever the internal pressure
of the container is within the internal
pressure operating range determined by
the remanufacturer or other persons that
stores or treats the hazardous secondary
material based on container
manufacturer recommendations,
applicable regulations, fire protection
and prevention codes, standard
engineering codes and practices, or
other requirements for the safe handling
of flammable, ignitable, explosive,
reactive, or hazardous materials.
Examples of normal operating
conditions that may require these
devices to open are during those times
when the internal pressure of the
container exceeds the internal pressure
operating range for the container as a
result of loading operations or diurnal
ambient temperature fluctuations.
(v) Opening of a safety device, as
defined in 40 CFR 261.1081, is allowed
at any time conditions require doing so
to avoid an unsafe condition.
(4) The remanufacturer or other
person that stores or treats the
hazardous secondary material using
containers with Container Level 1
controls shall inspect the containers and
their covers and closure devices as
follows:
(i) In the case when a hazardous
secondary material already is in the
container at the time the remanufacturer
or other person that stores or treats the
hazardous secondary material first
accepts possession of the container at
the facility and the container is not
emptied within 24 hours after the
container is accepted at the facility (i.e.,
is not an empty hazardous secondary
material container) the remanufacturer
or other person that stores or treats the
hazardous secondary material shall
visually inspect the container and its
cover and closure devices to check for
visible cracks, holes, gaps, or other open
spaces into the interior of the container
when the cover and closure devices are
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secured in the closed position. The
container visual inspection shall be
conducted on or before the date that the
container is accepted at the facility (i.e.,
the date the container becomes subject
to the subpart CC container standards).
(ii) In the case when a container used
for managing hazardous secondary
material remains at the facility for a
period of 1 year or more, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall visually inspect the
container and its cover and closure
devices initially and thereafter, at least
once every 12 months, to check for
visible cracks, holes, gaps, or other open
spaces into the interior of the container
when the cover and closure devices are
secured in the closed position. If a
defect is detected, the remanufacturer or
other person that stores or treats the
hazardous secondary material shall
repair the defect in accordance with the
requirements of paragraph (c)(4)(iii) of
this section.
(iii) When a defect is detected for the
container, cover, or closure devices, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall make first efforts at repair
of the defect no later than 24 hours after
detection and repair shall be completed
as soon as possible but no later than 5
calendar days after detection. If repair of
a defect cannot be completed within 5
calendar days, then the hazardous
secondary material shall be removed
from the container and the container
shall not be used to manage hazardous
secondary material until the defect is
repaired.
(5) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
maintain at the facility a copy of the
procedure used to determine that
containers with capacity of 0.46 m3 or
greater, which do not meet applicable
DOT regulations as specified in
paragraph (f) of this section, are not
managing hazardous secondary material
in light material service.
(d) Container Level 2 standards. (1) A
container using Container Level 2
controls is one of the following:
(i) A container that meets the
applicable U.S. Department of
Transportation (DOT) regulations on
packaging hazardous materials for
transportation as specified in paragraph
(f) of this section.
(ii) A container that operates with no
detectable organic emissions as defined
in § 261.1081 and determined in
accordance with the procedure specified
in paragraph (g) of this section.
(iii) A container that has been
demonstrated within the preceding 12
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months to be vapor-tight by using 40
CFR part 60, appendix A, Method 27 in
accordance with the procedure specified
in paragraph (h) of this section.
(2) Transfer of hazardous secondary
material in or out of a container using
Container Level 2 controls shall be
conducted in such a manner as to
minimize exposure of the hazardous
secondary material to the atmosphere, to
the extent practical, considering the
physical properties of the hazardous
secondary material and good
engineering and safety practices for
handling flammable, ignitable,
explosive, reactive, or other hazardous
materials. Examples of container
loading procedures that the EPA
considers to meet the requirements of
this paragraph include using any one of
the following: a submerged-fill pipe or
other submerged-fill method to load
liquids into the container; a vaporbalancing system or a vapor-recovery
system to collect and control the vapors
displaced from the container during
filling operations; or a fitted opening in
the top of a container through which the
hazardous secondary material is filled
and subsequently purging the transfer
line before removing it from the
container opening.
(3) Whenever a hazardous secondary
material is in a container using
Container Level 2 controls, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall install all covers and
closure devices for the container, and
secure and maintain each closure device
in the closed position except as follows:
(i) Opening of a closure device or
cover is allowed for the purpose of
adding hazardous secondary material or
other material to the container as
follows:
(A) In the case when the container is
filled to the intended final level in one
continuous operation, the
remanufacture or other person that
stores or treats the hazardous secondary
material shall promptly secure the
closure devices in the closed position
and install the covers, as applicable to
the container, upon conclusion of the
filling operation.
(B) In the case when discrete
quantities or batches of material
intermittently are added to the container
over a period of time, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall promptly secure the
closure devices in the closed position
and install covers, as applicable to the
container, upon either the container
being filled to the intended final level;
the completion of a batch loading after
which no additional material will be
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added to the container within 15
minutes; the person performing the
loading operation leaving the immediate
vicinity of the container; or the
shutdown of the process generating the
material being added to the container,
whichever condition occurs first.
(ii) Opening of a closure device or
cover is allowed for the purpose of
removing hazardous secondary material
from the container as follows:
(A) For the purpose of meeting the
requirements of this section, an empty
hazardous secondary material container
may be open to the atmosphere at any
time (i.e., covers and closure devices are
not required to be secured in the closed
position on an empty container).
(B) In the case when discrete
quantities or batches of material are
removed from the container, but the
container is not an empty hazardous
secondary materials container, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall promptly secure the
closure devices in the closed position
and install covers, as applicable to the
container, upon the completion of a
batch removal after which no additional
material will be removed from the
container within 15 minutes or the
person performing the unloading
operation leaves the immediate vicinity
of the container, whichever condition
occurs first.
(iii) Opening of a closure device or
cover is allowed when access inside the
container is needed to perform routine
activities other than transfer of
hazardous secondary material.
Examples of such activities include
those times when a worker needs to
open a port to measure the depth of or
sample the material in the container, or
when a worker needs to open a manhole
hatch to access equipment inside the
container. Following completion of the
activity, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
promptly secure the closure device in
the closed position or reinstall the
cover, as applicable to the container.
(iv) Opening of a spring-loaded,
pressure-vacuum relief valve,
conservation vent, or similar type of
pressure relief device which vents to the
atmosphere is allowed during normal
operations for the purpose of
maintaining the internal pressure of the
container in accordance with the
container design specifications. The
device shall be designed to operate with
no detectable organic emission when
the device is secured in the closed
position. The settings at which the
device opens shall be established such
that the device remains in the closed
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position whenever the internal pressure
of the container is within the internal
pressure operating range determined by
the remanufacturer or other person that
stores or treats the hazardous secondary
material based on container
manufacturer recommendations,
applicable regulations, fire protection
and prevention codes, standard
engineering codes and practices, or
other requirements for the safe handling
of flammable, ignitable, explosive,
reactive, or hazardous materials.
Examples of normal operating
conditions that may require these
devices to open are during those times
when the internal pressure of the
container exceeds the internal pressure
operating range for the container as a
result of loading operations or diurnal
ambient temperature fluctuations.
(v) Opening of a safety device, as
defined in § 261.1081, is allowed at any
time conditions require doing so to
avoid an unsafe condition.
(4) The remanufacture or other person
that stores or treats the hazardous
secondary material using containers
with Container Level 2 controls shall
inspect the containers and their covers
and closure devices as follows:
(i) In the case when a hazardous
secondary material already is in the
container at the time the remanufacturer
or other person that stores or treats the
hazardous secondary material first
accepts possession of the container at
the facility and the container is not
emptied within 24 hours after the
container is accepted at the facility (i.e.,
is not an empty hazardous secondary
material container), the remanufacturer
or other person that stores or treats the
hazardous secondary material shall
visually inspect the container and its
cover and closure devices to check for
visible cracks, holes, gaps, or other open
spaces into the interior of the container
when the cover and closure devices are
secured in the closed position. The
container visual inspection shall be
conducted on or before the date that the
container is accepted at the facility (i.e.,
the date the container becomes subject
to the subpart CC container standards).
(ii) In the case when a container used
for managing hazardous secondary
material remains at the facility for a
period of 1 year or more, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall visually inspect the
container and its cover and closure
devices initially and thereafter, at least
once every 12 months, to check for
visible cracks, holes, gaps, or other open
spaces into the interior of the container
when the cover and closure devices are
secured in the closed position. If a
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defect is detected, the remanufacturer or
other person that stores or treats the
hazardous secondary material shall
repair the defect in accordance with the
requirements of paragraph (d)(4)(iii) of
this section.
(iii) When a defect is detected for the
container, cover, or closure devices, the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall make first efforts at repair
of the defect no later than 24 hours after
detection, and repair shall be completed
as soon as possible but no later than 5
calendar days after detection. If repair of
a defect cannot be completed within 5
calendar days, then the hazardous
secondary material shall be removed
from the container and the container
shall not be used to manage hazardous
secondary material until the defect is
repaired.
(e) Container Level 3 standards. (1) A
container using Container Level 3
controls is one of the following:
(i) A container that is vented directly
through a closed-vent system to a
control device in accordance with the
requirements of paragraph (e)(2)(ii) of
this section.
(ii) A container that is vented inside
an enclosure which is exhausted
through a closed-vent system to a
control device in accordance with the
requirements of paragraphs (e)(2)(i) and
(ii) of this section.
(2) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
meet the following requirements, as
applicable to the type of air emission
control equipment selected by the
remanufacturer or other person that
stores or treats the hazardous secondary
material:
(i) The container enclosure shall be
designed and operated in accordance
with the criteria for a permanent total
enclosure as specified in ‘‘Procedure
T—Criteria for and Verification of a
Permanent or Temporary Total
Enclosure’’ under 40 CFR 52.741,
appendix B. The enclosure may have
permanent or temporary openings to
allow worker access; passage of
containers through the enclosure by
conveyor or other mechanical means;
entry of permanent mechanical or
electrical equipment; or direct airflow
into the enclosure. The remanufacturer
or other person that stores or treats the
hazardous secondary material shall
perform the verification procedure for
the enclosure as specified in Section 5.0
to ‘‘Procedure T—Criteria for and
Verification of a Permanent or
Temporary Total Enclosure’’ initially
when the enclosure is first installed
and, thereafter, annually.
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(ii) The closed-vent system and
control device shall be designed and
operated in accordance with the
requirements of § 261.1087 of this
subpart.
(3) Safety devices, as defined in
§ 261.1081, may be installed and
operated as necessary on any container,
enclosure, closed-vent system, or
control device used to comply with the
requirements of paragraph (e)(1) of this
section.
(4) Remanufacturers or other persons
that store or treat the hazardous
secondary material using Container
Level 3 controls in accordance with the
provisions of this subpart shall inspect
and monitor the closed-vent systems
and control devices as specified in
§ 261.1087 of this subpart.
(5) Remanufacturers or other persons
that store or treat the hazardous
secondary material that use Container
Level 3 controls in accordance with the
provisions of this subpart shall prepare
and maintain the records specified in
§ 261.1089(d) of this subpart.
(6) Transfer of hazardous secondary
material in or out of a container using
Container Level 3 controls shall be
conducted in such a manner as to
minimize exposure of the hazardous
secondary material to the atmosphere, to
the extent practical, considering the
physical properties of the hazardous
secondary material and good
engineering and safety practices for
handling flammable, ignitable,
explosive, reactive, or other hazardous
materials. Examples of container
loading procedures that the EPA
considers to meet the requirements of
this paragraph include using any one of
the following: a submerged-fill pipe or
other submerged-fill method to load
liquids into the container; a vaporbalancing system or a vapor-recovery
system to collect and control the vapors
displaced from the container during
filling operations; or a fitted opening in
the top of a container through which the
hazardous secondary material is filled
and subsequently purging the transfer
line before removing it from the
container opening.
(f) For the purpose of compliance
with paragraph (c)(1)(i) or (d)(1)(i) of
this section, containers shall be used
that meet the applicable U.S.
Department of Transportation (DOT)
regulations on packaging hazardous
materials for transportation as follows:
(1) The container meets the applicable
requirements specified in 49 CFR part
178 or part 179.
(2) Hazardous secondary material is
managed in the container in accordance
with the applicable requirements
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specified in 49 CFR part 107, subpart B
and 49 CFR parts 172, 173, and 180.
(3) For the purpose of complying with
this subpart, no exceptions to the 49
CFR part 178 or part 179 regulations are
allowed.
(g) To determine compliance with the
no detectable organic emissions
requirement of paragraph (d)(1)(ii) of
this section, the procedure specified in
§ 261.1083(d) of this subpart shall be
used.
(1) Each potential leak interface (i.e.,
a location where organic vapor leakage
could occur) on the container, its cover,
and associated closure devices, as
applicable to the container, shall be
checked. Potential leak interfaces that
are associated with containers include,
but are not limited to: the interface of
the cover rim and the container wall;
the periphery of any opening on the
container or container cover and its
associated closure device; and the
sealing seat interface on a spring-loaded
pressure-relief valve.
(2) The test shall be performed when
the container is filled with a material
having a volatile organic concentration
representative of the range of volatile
organic concentrations for the
hazardous secondary materials expected
to be managed in this type of container.
During the test, the container cover and
closure devices shall be secured in the
closed position.
(h) Procedure for determining a
container to be vapor-tight using
Method 27 of 40 CFR part 60, appendix
A for the purpose of complying with
paragraph (d)(1)(iii) of this section.
(1) The test shall be performed in
accordance with Method 27 of 40 CFR
part 60, appendix A of this chapter.
(2) A pressure measurement device
shall be used that has a precision of ±2.5
mm water and that is capable of
measuring above the pressure at which
the container is to be tested for vapor
tightness.
(3) If the test results determined by
Method 27 indicate that the container
sustains a pressure change less than or
equal to 750 Pascals within 5 minutes
after it is pressurized to a minimum of
4,500 Pascals, then the container is
determined to be vapor-tight.
§ 261.1087 Standards: Closed-vent
systems and control devices.
(a) This section applies to each
closed-vent system and control device
installed and operated by the
remanufacturer or other person who
stores or treats the hazardous secondary
material to control air emissions in
accordance with standards of this
subpart.
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(b) The closed-vent system shall meet
the following requirements:
(1) The closed-vent system shall route
the gases, vapors, and fumes emitted
from the hazardous secondary material
in the hazardous secondary material
management unit to a control device
that meets the requirements specified in
paragraph (c) of this section.
(2) The closed-vent system shall be
designed and operated in accordance
with the requirements specified in
§ 261.1033(k) of this part.
(3) In the case when the closed-vent
system includes bypass devices that
could be used to divert the gas or vapor
stream to the atmosphere before
entering the control device, each bypass
device shall be equipped with either a
flow indicator as specified in paragraph
(b)(3)(i) of this section or a seal or
locking device as specified in paragraph
(b)(3)(ii) of this section. For the purpose
of complying with this paragraph, low
leg drains, high point bleeds, analyzer
vents, open-ended valves or lines,
spring loaded pressure relief valves, and
other fittings used for safety purposes
are not considered to be bypass devices.
(i) If a flow indicator is used to
comply with paragraph (b)(3) of this
section, the indicator shall be installed
at the inlet to the bypass line used to
divert gases and vapors from the closedvent system to the atmosphere at a point
upstream of the control device inlet. For
this paragraph, a flow indicator means
a device which indicates the presence of
either gas or vapor flow in the bypass
line.
(ii) If a seal or locking device is used
to comply with paragraph (b)(3) of this
section, the device shall be placed on
the mechanism by which the bypass
device position is controlled (e.g., valve
handle, damper lever) when the bypass
device is in the closed position such
that the bypass device cannot be opened
without breaking the seal or removing
the lock. Examples of such devices
include, but are not limited to, a car-seal
or a lock-and-key configuration valve.
The remanufacturer or other person that
stores or treats the hazardous secondary
material shall visually inspect the seal
or closure mechanism at least once
every month to verify that the bypass
mechanism is maintained in the closed
position.
(4) The closed-vent system shall be
inspected and monitored by the
remanufacturer or other person that
stores or treats the hazardous secondary
material in accordance with the
procedure specified in § 261.1033(l).
(c) The control device shall meet the
following requirements:
(1) The control device shall be one of
the following devices:
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(i) A control device designed and
operated to reduce the total organic
content of the inlet vapor stream vented
to the control device by at least 95
percent by weight;
(ii) An enclosed combustion device
designed and operated in accordance
with the requirements of § 261.1033(c)
of this part; or
(iii) A flare designed and operated in
accordance with the requirements of
§ 261.1033(d) of this part.
(2) The remanufacturer or other
person that stores or treats the
hazardous secondary material who
elects to use a closed-vent system and
control device to comply with the
requirements of this section shall
comply with the requirements specified
in paragraphs (c)(2)(i) through (vi) of
this section.
(i) Periods of planned routine
maintenance of the control device,
during which the control device does
not meet the specifications of paragraph
(c)(1)(i), (ii), or (iii) of this section, as
applicable, shall not exceed 240 hours
per year.
(ii) The specifications and
requirements in paragraphs (c)(1)(i)
through (iii) of this section for control
devices do not apply during periods of
planned routine maintenance.
(iii) The specifications and
requirements in paragraphs (c)(1)(i)
through (iii) of this section for control
devices do not apply during a control
device system malfunction.
(iv) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
demonstrate compliance with the
requirements of paragraph (c)(2)(i) of
this section (i.e., planned routine
maintenance of a control device, during
which the control device does not meet
the specifications of paragraph (c)(1)(i),
(ii), or (iii) of this section, as applicable,
shall not exceed 240 hours per year) by
recording the information specified in
§ 261.1089(e)(1)(v) of this subpart.
(v) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
correct control device system
malfunctions as soon as practicable after
their occurrence in order to minimize
excess emissions of air pollutants.
(vi) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
operate the closed-vent system such that
gases, vapors, or fumes are not actively
vented to the control device during
periods of planned maintenance or
control device system malfunction (i.e.,
periods when the control device is not
operating or not operating normally)
except in cases when it is necessary to
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vent the gases, vapors, and/or fumes to
avoid an unsafe condition or to
implement malfunction corrective
actions or planned maintenance actions.
(3) The remanufacturer or other
person that stores or treats the
hazardous secondary material using a
carbon adsorption system to comply
with paragraph (c)(1) of this section
shall operate and maintain the control
device in accordance with the following
requirements:
(i) Following the initial startup of the
control device, all activated carbon in
the control device shall be replaced
with fresh carbon on a regular basis in
accordance with the requirements of
§ 261.1033(g) or (h) of this part.
(ii) All carbon that is hazardous waste
and that is removed from the control
device shall be managed in accordance
with the requirements of § 261.1033(n),
regardless of the average volatile organic
concentration of the carbon.
(4) A remanufacturer or other person
that stores or treats the hazardous
secondary material using a control
device other than a thermal vapor
incinerator, flare, boiler, process heater,
condenser, or carbon adsorption system
to comply with paragraph (c)(1) of this
section shall operate and maintain the
control device in accordance with the
requirements of § 261.1033(j) of this
part.
(5) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
demonstrate that a control device
achieves the performance requirements
of paragraph (c)(1) of this section as
follows:
(i) A remanufacturer or other person
that stores or treats the hazardous
secondary material shall demonstrate
using either a performance test as
specified in paragraph (c)(5)(iii) of this
section or a design analysis as specified
in paragraph (c)(5)(iv) of this section the
performance of each control device
except for the following:
(A) A flare;
(B) A boiler or process heater with a
design heat input capacity of 44
megawatts or greater;
(C) A boiler or process heater into
which the vent stream is introduced
with the primary fuel;
(ii) A remanufacturer or other person
that stores or treats the hazardous
secondary material shall demonstrate
the performance of each flare in
accordance with the requirements
specified in § 261.1033(e).
(iii) For a performance test conducted
to meet the requirements of paragraph
(c)(5)(i) of this section, the
remanufacturer or other person that
stores or treats the hazardous secondary
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material shall use the test methods and
procedures specified in § 261.1034(c)(1)
through (4).
(iv) For a design analysis conducted
to meet the requirements of paragraph
(c)(5)(i) of this section, the design
analysis shall meet the requirements
specified in § 261.1035(b)(4)(iii).
(v) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
demonstrate that a carbon adsorption
system achieves the performance
requirements of paragraph (c)(1) of this
section based on the total quantity of
organics vented to the atmosphere from
all carbon adsorption system equipment
that is used for organic adsorption,
organic desorption or carbon
regeneration, organic recovery, and
carbon disposal.
(6) If the remanufacturer or other
person that stores or treats the
hazardous secondary material and the
Regional Administrator do not agree on
a demonstration of control device
performance using a design analysis
then the disagreement shall be resolved
using the results of a performance test
performed by the remanufacturer or
other person that stores or treats the
hazardous secondary material in
accordance with the requirements of
paragraph (c)(5)(iii) of this section. The
Regional Administrator may choose to
have an authorized representative
observe the performance test.
(7) The closed-vent system and
control device shall be inspected and
monitored by the remanufacture or
other person that stores or treats the
hazardous secondary material in
accordance with the procedures
specified in § 261.1033(f)(2) and (l). The
readings from each monitoring device
required by § 261.1033(f)(2) shall be
inspected at least once each operating
day to check control device operation.
Any necessary corrective measures shall
be immediately implemented to ensure
the control device is operated in
compliance with the requirements of
this section.
§ 261.1088 Inspection and monitoring
requirements.
(a) The remanufacturer or other
person that stores or treats the
hazardous secondary material shall
inspect and monitor air emission
control equipment used to comply with
this subpart in accordance with the
applicable requirements specified in
§§ 261.1084 through 261.1087 of this
subpart.
(b) The remanufacture or other person
that stores or treats the hazardous
secondary material shall develop and
implement a written plan and schedule
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to perform the inspections and
monitoring required by paragraph (a) of
this section. The remanufacturer or
other person that stores or treats the
hazardous secondary material shall keep
the plan and schedule at the facility.
§ 261.1089
Recordkeeping requirements.
(a) Each remanufacturer or other
person that stores or treats the
hazardous secondary material subject to
requirements of this subpart shall record
and maintain the information specified
in paragraphs (b) through (j) of this
section, as applicable to the facility.
Except for air emission control
equipment design documentation and
information required by paragraphs (i)
and (j) of this section, records required
by this section shall be maintained at
the facility for a minimum of 3 years.
Air emission control equipment design
documentation shall be maintained at
the facility until the air emission control
equipment is replaced or otherwise no
longer in service. Information required
by paragraphs (i) and (j) of this section
shall be maintained at the facility for as
long as the hazardous secondary
material management unit is not using
air emission controls specified in
§§ 261.1084 through 261.1087 of this
subpart in accordance with the
conditions specified in § 261.1080(b)(7)
or (d) of this subpart, respectively.
(b) The remanufacturer or other
person that stores or treats the
hazardous secondary material using a
tank with air emission controls in
accordance with the requirements of
§ 261.1084 of this subpart shall prepare
and maintain records for the tank that
include the following information:
(1) For each tank using air emission
controls in accordance with the
requirements of § 261.1084 of this
subpart, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
record:
(i) A tank identification number (or
other unique identification description
as selected by the remanufacturer or
other person that stores or treats the
hazardous secondary material).
(ii) A record for each inspection
required by § 261.1084 of this subpart
that includes the following information:
(A) Date inspection was conducted.
(B) For each defect detected during
the inspection: The location of the
defect, a description of the defect, the
date of detection, and corrective action
taken to repair the defect. In the event
that repair of the defect is delayed in
accordance with the requirements of
§ 261.1084 of this subpart, the
remanufacturer or other person that
stores or treats the hazardous secondary
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material shall also record the reason for
the delay and the date that completion
of repair of the defect is expected.
(2) In addition to the information
required by paragraph (b)(1) of this
section, the remanufacturer or other
person that stores or treats the
hazardous secondary material shall
record the following information, as
applicable to the tank:
(i) The remanufacturer or other person
that stores or treats the hazardous
secondary material using a fixed roof to
comply with the Tank Level 1 control
requirements specified in § 261.1084(c)
of this subpart shall prepare and
maintain records for each determination
for the maximum organic vapor pressure
of the hazardous secondary material in
the tank performed in accordance with
the requirements of § 261.1084(c) of this
subpart. The records shall include the
date and time the samples were
collected, the analysis method used, and
the analysis results.
(ii) The remanufacturer or other
person that stores or treats the
hazardous secondary material using an
internal floating roof to comply with the
Tank Level 2 control requirements
specified in § 261.1084(e) of this subpart
shall prepare and maintain
documentation describing the floating
roof design.
(iii) Remanufacturer or other persons
that store or treat the hazardous
secondary material using an external
floating roof to comply with the Tank
Level 2 control requirements specified
in § 261.1084(f) of this subpart shall
prepare and maintain the following
records:
(A) Documentation describing the
floating roof design and the dimensions
of the tank.
(B) Records for each seal gap
inspection required by § 261.1084(f)(3)
of this subpart describing the results of
the seal gap measurements. The records
shall include the date that the
measurements were performed, the raw
data obtained for the measurements, and
the calculations of the total gap surface
area. In the event that the seal gap
measurements do not conform to the
specifications in § 261.1084(f)(1) of this
subpart, the records shall include a
description of the repairs that were
made, the date the repairs were made,
and the date the tank was emptied, if
necessary.
(iv) Each remanufacturer or other
person that stores or treats the
hazardous secondary material using an
enclosure to comply with the Tank
Level 2 control requirements specified
in § 261.1084(i) of this subpart shall
prepare and maintain the following
records:
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18:13 Jan 12, 2015
Jkt 235001
(A) Records for the most recent set of
calculations and measurements
performed by the remanufacturer or
other person that stores or treats the
hazardous secondary material to verify
that the enclosure meets the criteria of
a permanent total enclosure as specified
in ‘‘Procedure T—Criteria for and
Verification of a Permanent or
Temporary Total Enclosure’’ under 40
CFR 52.741, appendix B.
(B) Records required for the closedvent system and control device in
accordance with the requirements of
paragraph (e) of this section.
(c) [Reserved]
(d) The remanufacturer or other
person that stores or treats the
hazardous secondary material using
containers with Container Level 3 air
emission controls in accordance with
the requirements of § 261.1086 of this
subpart shall prepare and maintain
records that include the following
information:
(1) Records for the most recent set of
calculations and measurements
performed by the remanufacturer or
other person that stores or treats the
hazardous secondary material to verify
that the enclosure meets the criteria of
a permanent total enclosure as specified
in ‘‘Procedure T—Criteria for and
Verification of a Permanent or
Temporary Total Enclosure’’ under 40
CFR 52.741, appendix B.
(2) Records required for the closedvent system and control device in
accordance with the requirements of
paragraph (e) of this section.
(e) The remanufacturer or other
person that stores or treats the
hazardous secondary material using a
closed-vent system and control device
in accordance with the requirements of
§ 261.1087 of this subpart shall prepare
and maintain records that include the
following information:
(1) Documentation for the closed-vent
system and control device that includes:
(i) Certification that is signed and
dated by the remanufacturer or other
person that stores or treats the
hazardous secondary material stating
that the control device is designed to
operate at the performance level
documented by a design analysis as
specified in paragraph (e)(1)(ii) of this
section or by performance tests as
specified in paragraph (e)(1)(iii) of this
section when the tank or container is or
would be operating at capacity or the
highest level reasonably expected to
occur.
(ii) If a design analysis is used, then
design documentation as specified in
§ 261.1035(b)(4). The documentation
shall include information prepared by
the remanufacturer or other person that
PO 00000
Frm 00121
Fmt 4701
Sfmt 4700
1813
stores or treats the hazardous secondary
material or provided by the control
device manufacturer or vendor that
describes the control device design in
accordance with § 261.1035(b)(4)(iii)
and certification by the remanufacturer
or other person that stores or treats the
hazardous secondary material that the
control equipment meets the applicable
specifications.
(iii) If performance tests are used,
then a performance test plan as
specified in § 261.1035(b)(3) and all test
results.
(iv) Information as required by
§§ 261.1035(c)(1) and 261.1035(c)(2), as
applicable.
(v) A remanufacturer or other person
that stores or treats the hazardous
secondary material shall record, on a
semiannual basis, the information
specified in paragraphs (e)(1)(v)(A) and
(B) of this section for those planned
routine maintenance operations that
would require the control device not to
meet the requirements of
§ 261.1087(c)(1)(i), (ii), or (iii) of this
subpart, as applicable.
(A) A description of the planned
routine maintenance that is anticipated
to be performed for the control device
during the next 6-month period. This
description shall include the type of
maintenance necessary, planned
frequency of maintenance, and lengths
of maintenance periods.
(B) A description of the planned
routine maintenance that was performed
for the control device during the
previous 6-month period. This
description shall include the type of
maintenance performed and the total
number of hours during those 6 months
that the control device did not meet the
requirements of § 261.1087(c)(1)(i), (ii),
or (iii) of this subpart, as applicable, due
to planned routine maintenance.
(vi) A remanufacturer or other person
that stores or treats the hazardous
secondary material shall record the
information specified in paragraphs
(e)(1)(vi)(A) through (C) of this section
for those unexpected control device
system malfunctions that would require
the control device not to meet the
requirements of § 261.1087(c)(1)(i), (ii),
or (iii) of this subpart, as applicable.
(A) The occurrence and duration of
each malfunction of the control device
system.
(B) The duration of each period
during a malfunction when gases,
vapors, or fumes are vented from the
hazardous secondary material
management unit through the closedvent system to the control device while
the control device is not properly
functioning.
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Federal Register / Vol. 80, No. 8 / Tuesday, January 13, 2015 / Rules and Regulations
asabaliauskas on DSK5VPTVN1PROD with NOTICES
(C) Actions taken during periods of
malfunction to restore a malfunctioning
control device to its normal or usual
manner of operation.
(vii) Records of the management of
carbon removed from a carbon
adsorption system conducted in
accordance with § 261.1087(c)(3)(ii) of
this subpart.
(f) The remanufacturer or other person
that stores or treats the hazardous
secondary material using a tank or
container exempted under the
hazardous secondary material organic
concentration conditions specified in
§ 261.1082(c)(1) or (c)(2)(i) through (vi)
of this subpart, shall prepare and
maintain at the facility records
documenting the information used for
each material determination (e.g., test
results, measurements, calculations, and
other documentation). If analysis results
for material samples are used for the
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18:13 Jan 12, 2015
Jkt 235001
material determination, then the
remanufacturer or other person that
stores or treats the hazardous secondary
material shall record the date, time, and
location that each material sample is
collected in accordance with applicable
requirements of § 261.1083 of this
subpart.
(2) [Reserved]
(g) A remanufacturer or other person
that stores or treats the hazardous
secondary material designating a cover
as ‘‘unsafe to inspect and monitor’’
pursuant to § 261.1084(l) or
§ 261.1085(g) of this subpart shall record
and keep at facility the following
information: The identification numbers
for hazardous secondary material
management units with covers that are
designated as ‘‘unsafe to inspect and
monitor,’’ the explanation for each cover
stating why the cover is unsafe to
inspect and monitor, and the plan and
PO 00000
Frm 00122
Fmt 4701
Sfmt 9990
schedule for inspecting and monitoring
each cover.
(h) The remanufacturer or other
person that stores or treats the
hazardous secondary material that is
subject to this subpart and to the control
device standards in 40 CFR part 60,
subpart VV, or 40 CFR part 61, subpart
V, may elect to demonstrate compliance
with the applicable sections of this
subpart by documentation either
pursuant to this subpart, or pursuant to
the provisions of 40 CFR part 60,
subpart VV or 40 CFR part 61, subpart
V, to the extent that the documentation
required by 40 CFR parts 60 or 61
duplicates the documentation required
by this section.
§ 261.1090
[Reserved]
[FR Doc. 2014–30382 Filed 1–12–15; 8:45 am]
BILLING CODE 6560–50–P
E:\FR\FM\13JAR2.SGM
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Agencies
[Federal Register Volume 80, Number 8 (Tuesday, January 13, 2015)]
[Rules and Regulations]
[Pages 1693-1814]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2014-30382]
[[Page 1693]]
Vol. 80
Tuesday,
No. 8
January 13, 2015
Part II
Environmental Protection Agency
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40 CFR Parts 260 and 261
Definition of Solid Waste; Final Rule
Federal Register / Vol. 80 , No. 8 / Tuesday, January 13, 2015 /
Rules and Regulations
[[Page 1694]]
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Parts 260 and 261
[EPA-HQ-RCRA-2010-0742; FRL-9728-5-OSWER]
RIN 2050-AG62
Definition of Solid Waste
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
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SUMMARY: The Environmental Protection Agency (EPA, or the Agency) is
publishing a final rule that revises several recycling-related
provisions associated with the definition of solid waste used to
determine hazardous waste regulation under Subtitle C of the Resource
Conservation and Recovery Act (RCRA). The purpose of these revisions is
to ensure that the hazardous secondary materials recycling regulations,
as implemented, encourage reclamation in a way that does not result in
increased risk to human health and the environment from discarded
hazardous secondary material.
DATES: This final rule is effective on July 13, 2015.
ADDRESSES: EPA has established a docket for this action under Docket ID
No. EPA-HQ-RCRA-2010-0742. All documents in the docket are listed in
the www.regulations.gov index. Although listed in the index, some
information is not publicly available, such as Confidential Business
Information (CBI) or other information whose disclosure is restricted
by statute. Certain other material, such as copyrighted material, is
not placed on the internet and will be publicly available only in hard
copy form. Publicly available docket materials are available either
electronically at www.regulations.gov or in hard copy at the RCRA
Docket, EPA/DC, William Jefferson Clinton Building West, Room 3334,
1301 Constitution Ave. NW., Washington, DC. The Public Reading Room is
open from 8:30 a.m. to 4:30 p.m. Monday through Friday, excluding legal
holidays. The telephone number for the Public Reading Room is (202)
566-1744 and the telephone number for the RCRA Docket is (202) 566-
0276.
FOR FURTHER INFORMATION CONTACT: Tracy Atagi, Office of Resource
Conservation and Recovery, Materials Recovery and Waste Management
Division, MC 5304P, Environmental Protection Agency, 1200 Pennsylvania
Ave. NW., Washington, DC 20460, at (703) 308-8672,
(atagi.tracy@epa.gov) or Amanda Kohler, Office of Resource Conservation
and Recovery, Materials Recovery and Waste Management Division, MC
5304P, Environmental Protection Agency, 1200 Pennsylvania Ave. NW.,
Washington, DC 20460, at (703) 347-8975, (kohler.amanda@epa.gov).
SUPPLEMENTARY INFORMATION:
A. Does this action apply to me?
Entities potentially affected by today's action include over 5,000
industrial facilities in 634 industries (at the 6-digit North American
Industry Classification System (NAICS) code level) that generate or
recycle hazardous secondary materials (HSM). Most of these 634
industries have relatively few entities that are potentially affected.
The top-5 economic sectors (at the 2-digit NAICS code level) with the
largest number of potentially affected entities are as follows: (1) 41%
in NAICS code 33--the manufacturing sector, which consists of metals,
metal products, machinery, computer & electronics, electrical
equipment, transportation equipment, furniture, and miscellaneous
manufacturing subsectors, (2) 23% in NAICS code 32--the manufacturing
sector, which consists of wood products, paper, printing, petroleum &
coal products, chemicals plastics & rubber products, and nonmetallic
mineral products manufacturing subsectors, (3) 3.0% in NAICS code 92--
the public administration sector, (4) 2.9% in NAICS code 61--the
educational services sector, and (5) 2.8% in NAICS code 54--the
professional, scientific and technical services sector.
Information on the estimated future economic impacts of today's
action is presented in section XXI of this notice, as well as in the
RIA available in the docket for today's action.
Preamble Outline
I. Statutory Authority
II. Which revisions to the regulations is EPA finalizing?
III. History of the Definition of Solid Waste
IV. When will the final rule become effective?
V. Revisions to the Exclusion for Hazardous Secondary Materials That
Are Legitimately Reclaimed Under the Control of the Generator
VI. Verified Recycler Exclusion Replacing the Exclusion for
Hazardous Secondary Materials That Are Transferred for the Purpose
of Reclamation
VII. Remanufacturing eXclusion
VIII. Revisions to the Definition of Legitimacy and Prohibition of
Sham Recycling
IX. Revisions to Solid Waste Variances and Non-Waste Determinations
X. Effect on Facilities Currently Operating Under Solid Waste
Exclusions
XI. Effect on Spent Petroleum Catalysts
XII. Effect on CERCLA
XIII. General Comments on the 2011 Proposed Revisions to the
Definition of Solid Waste
XIV. Major Comments on the Exclusion for Hazardous Secondary
Materials Legitimately Reclaimed Under the Control of the Generator
and Recordkeeping for Speculative Accumulation
XV. Major Comments on the Replacement of the Exclusion for Hazardous
Secondary Materials That Are Transferred for the Purpose of
Reclamation
XVI. Major Comments on the Remanufacturing Exclusion
XVII. Major Comments on Legitimacy
XVIII. Major Comments on the Revisions to Solid Waste Variances and
Non-Waste Determinations
XIX. Major Comments on the Proposed Revisions to Pre-2008 Recycling
Exclusions
XX. State Authorization
XXI. Statutory and Executive Order (E.O.) Reviews
I. Statutory Authority
These regulations are promulgated under the authority of sections
2002, 3001, 3002, 3003, 3004, 3007, 3010, and 3017 of the Solid Waste
Disposal Act of 1970, as amended by the Resource Conservation and
Recovery Act of 1976 (RCRA), as amended by the Hazardous and Solid
Waste Amendments of 1984 (HSWA), 42 U.S.C. 6921, 6922, 6923, and 6924.
This statute is commonly referred to as ``RCRA.''
II. Which revisions to the regulations is EPA finalizing?
In today's rule, EPA is revising a number of provisions related to
the definition of solid waste as it applies to the regulation of
hazardous waste under Subtitle C of RCRA (42 U.S.C. 6921 through
6939(e)). These revisions affect certain types of hazardous secondary
materials that are currently conditionally excluded from the definition
of solid waste when reclaimed. These exclusions were promulgated in
October 2008 (73 FR 64688, October 30, 2008) and were intended to
encourage the recovery and reuse of valuable resources as an
alternative to land disposal or incineration, while at the same time
maintaining protection of human health and the environment. In response
to concerns raised by stakeholders about potential increases in risks
to human health and the environment from hazardous secondary materials,
today's rule revises the 2008 DSW final rule in order to ensure that
the rule, as implemented, encourages reclamation in a way that protects
human health and the environment from the
[[Page 1695]]
mismanagement of hazardous secondary materials.
The six major regulatory areas are summarized below.\1\ The intent
of this summary is to give a brief overview of the actions EPA is
taking today. More detailed discussions, including the Agency's
rationale for the changes, are found in later sections of this
preamble.
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\1\ Any provisions promulgated in the 2008 DSW rule that are not
addressed in this final rule remain in effect.
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A. Exclusion for Hazardous Secondary Materials That Are Legitimately
Reclaimed Under the Control of the Generator
Under today's final rule, EPA is retaining the exclusion for
hazardous secondary materials that are legitimately reclaimed under the
control of the generator (``generator-controlled exclusion''), with
certain revisions from the 2008 DSW final rule. These revisions include
(1) adding a codified definition of ``contained,'' (2) adding
recordkeeping requirements for same-company and toll manufacturing
reclamation, (3) making notification a condition of the exclusion, (4)
adding a requirement to document that recycling under the exclusion is
legitimate, and (5) adding emergency preparedness and response
conditions. In addition, we have amended the speculative accumulation
provisions to add a recordkeeping requirement. This requirement applies
to all persons subject to speculative accumulation.
The generator-controlled exclusion (40 CFR 261.4(a)(23)) excludes
certain hazardous secondary materials (i.e., listed sludges, listed by-
products, and spent materials) from the definition of solid waste if
they are generated and legitimately reclaimed within the United States
or its territories under the control of the generator. Specifically,
hazardous secondary materials are excluded if (1) the reclamation
process meets the definition of legitimate recycling under 40 CFR
260.43; (2) the materials are not speculatively accumulated as defined
in 40 CFR 261.1(c)(8) (including a new recordkeeping requirement, being
finalized today); (3) they meet the notification condition under 40 CFR
260.42; (4) they are managed in a unit that meets the new definition of
``contained'' in 40 CFR 260.10, which specifies that storage units must
be in good condition, properly labeled, do not hold incompatible
materials, and address potential risks of fires or explosions; and (5)
the generator satisfies certain emergency preparedness and response
conditions. Further discussion of the generator-controlled exclusion
can be found in section V of this preamble.
B. Verified Recycler Exclusion Replacing the Exclusion for Hazardous
Secondary Materials That Are Transferred for the Purpose of Legitimate
Reclamation
EPA is replacing the exclusions at 40 CFR 261.4(a)(24) and (25) for
hazardous secondary materials that are transferred from the generator
to other persons for the purpose of reclamation with an exclusion for
hazardous secondary materials sent for reclamation to a verified
recycler. By this change, EPA intends to promote safe and sustainable
reclamation of these materials. Under this new exclusion, generators
who want to recycle their hazardous secondary materials without having
them become hazardous wastes must send their materials to either a
RCRA-permitted reclamation facility or to a verified recycler of
hazardous secondary materials who has obtained a solid waste variance
from EPA or the authorized state. In order to obtain a variance from
EPA or the authorized state, the recycler must (1) demonstrate their
recycling is legitimate; (2) have financial assurance in place to
properly manage the hazardous secondary material when the facility
closes; (3) not be subject to a formal enforcement action in the
previous three years and not be classified as a significant non-
complier under RCRA Subtitle C, or must provide credible evidence that
the facility will manage the hazardous secondary materials properly;
(4) have the proper equipment and trained personnel, and meet emergency
preparedness and response conditions to safely recycle the material;
(5) manage the residuals from recycling properly; and (6) take steps to
protect nearby communities and reduce risk of potential unpermitted
releases of the hazardous secondary material to the environment (i.e.,
releases that are not covered by a permit (such as a permit to
discharge to water or air). Further discussion of the replacement of
the transfer-based exclusion with the verified recycler exclusion can
be found in section VI of this preamble.
C. Remanufacturing Exclusion
EPA is also finalizing an exclusion from the definition of solid
waste for certain higher-value solvents transferred from one
manufacturer to another for the purpose of extending the useful life of
the solvent by remanufacturing the spent solvent back into the
commercial grade solvent. This remanufacturing exclusion will help
promote sustainable materials management by extending the productive
use of these materials, which reduces the need for raw materials used
and the environmental impacts associated with production of these
materials. In addition, EPA is also making clear that a rulemaking
petition pursuant to 40 CFR 260.20 can be submitted for adding other
higher-value hazardous secondary materials that are destined to be
remanufactured into similarly higher-value products. Further discussion
of this exclusion can be found in section VII of this preamble.
D. Prohibition of Sham Recycling and Revisions to the Definition of
Legitimacy
In this final rulemaking, EPA is codifying in its regulations at 40
CFR 261.2(g) the long-standing policy that hazardous secondary
materials found to be sham recycled are discarded and solid wastes,
thereby prohibiting materials that are sham recycled from being
excluded from the definition of solid waste.
In addition, EPA has changed the definition of legitimate recycling
in Sec. 260.43 to make clear that all four factors identified in Sec.
260.43 must be met, but also to provide some flexibility in determining
legitimacy for certain types of recycling. In particular, in cases
where there is no analogous product made from raw materials, EPA has
clarified that the product of recycling is still a legitimate product
when it meets widely recognized commodity standards (e.g., commodity-
grade scrap metal) or when the hazardous secondary material is recycled
back into the production process from which it was generated (e.g.,
closed-loop recycling). In addition, for cases in which the product of
the recycling process has levels of hazardous constituents that are not
comparable to analogous products, the revised legitimacy standard
includes a process that allows the facility to document and certify
that the recycling is still legitimate, keep such documentation at the
facility, and send a notification to the regulatory authority to that
effect. Further discussion of legitimacy can be found in section VIII
of this preamble.
E. Revisions to Solid Waste Variances and Non-Waste Determinations
Today's rule finalizes revisions to the solid waste variances and
non-waste determinations found in 40 CFR 260.30-260.34 in order to
ensure protection of human health and the environment and foster
greater consistency on the part of implementing agencies. Revisions
include (1) requiring facilities to send a notice to the Administrator
(or State Director, if the state is authorized) and
[[Page 1696]]
potentially re-apply for a variance in the event of a change in
circumstances that affects how a hazardous secondary material meets the
criteria upon which a solid waste variance has been based; (2)
establishing a fixed term not to exceed ten years for variance and non-
waste determinations, at the end of which facilities must re-apply for
a variance or non-waste determination, (3) requiring facilities to re-
notify every two years with updated information; (4) revising the
criteria for the partial reclamation variance to clarify when the
variance applies and to require, among other things, that all the
criteria for this variance must be met; and (5) for the non-waste
determinations in 40 CFR 260.34, requiring that petitioners demonstrate
why the existing solid waste exclusions would not apply to their
hazardous secondary materials. EPA is not finalizing the proposed
change to designate the Regional Administrator as the EPA recipient of
petitions for all variances and non-waste determinations. Further
discussion of these revisions can be found in section IX of this
preamble.
F. Deferral on Revisions to Pre-2008 Recycling Exclusions
EPA is not finalizing revisions to the pre-2008 recycling
exclusions and exemptions to include the contained standard or to
require notification.\2\ EPA is instead deferring action until EPA can
more adequately address commenters' concerns. For further discussion,
see section X for more information.
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\2\ EPA requested comment on adding these requirements to a list
of 32 existing recycling exclusions in the 2011 proposed rule (76 FR
44139, July 22, 2011).
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III. History of the Definition of Solid Waste
A. Background
RCRA gives EPA the authority to regulate hazardous wastes (see RCRA
sections 3001-3004). The original statutory designation of the subtitle
for the hazardous waste program was Subtitle C and the national
hazardous waste program is referred to as the RCRA Subtitle C program.
Subtitle C is codified at 42 U.S.C. 6921 through 6939f. Subtitle C
regulations are found at 40 CFR parts 260 through 279. Hazardous wastes
are those that, because of their quantity, concentration, physical, or
chemical characteristics, may (1) cause, or significantly contribute to
an increase in mortality or an increase in serious irreversible or
incapacitating reversible illness or (2) pose a substantial present or
potential hazard to human health or the environment when improperly
treated, stored, transported, or disposed of, or otherwise managed (see
RCRA section 1004(5)). Hazardous wastes are a subset of solid wastes.
Materials that are not solid wastes are not subject to regulation
as hazardous wastes under RCRA Subtitle C. Thus, the definition of
solid waste plays a key role in defining the scope of EPA's authorities
under Subtitle C of RCRA. The statute defines ``solid waste'' as ``. .
. any garbage, refuse, sludge from a waste treatment plant, water
supply treatment plant, or air pollution control facility and other
discarded material . . . resulting from industrial, commercial, mining,
and agricultural operations, and from community activities . . .''
(RCRA section 1004 (27) (emphasis added)).
Since 1980, EPA has interpreted ``solid waste'' under its Subtitle
C regulations to encompass both materials that are destined for final,
permanent treatment and placement in disposal units, as well as certain
materials that are destined for recycling (see 45 FR 33090-95, May 19,
1980; 50 FR 604-656, January 4, 1985 (see in particular pages 616-
618)). EPA has offered three arguments in support of this
interpretation:
The statute and the legislative history suggest that
Congress expected EPA to regulate certain materials that are
destined for recycling as solid and hazardous wastes (see 45 FR
33091, citing numerous sections of the statute and U.S. Brewers'
Association v. EPA, 600 F. 2d 974 (D.C. Cir. 1979); 48 FR 14502-04,
April 3, 1983; and 50 FR 616-618, January 4, 1985).
Hazardous secondary materials stored or transported
prior to recycling have the potential to present the same types of
threats to human health and the environment as hazardous wastes
stored or transported prior to disposal. In fact, EPA has found that
recycling operations have accounted for a number of significant
damage incidents. For example, hazardous secondary materials
destined for recycling were involved in one-third of the first 60
filings under RCRA's imminent and substantial endangerment authority
and in 20 of the initial 160 hazardous material sites listed for
potential clean up under the Comprehensive Environmental Response,
Compensation and Liability Act (CERCLA) (48 FR 14474, April 4,
1983). Congress also cited some damage cases which involve recycling
(H.R. Rep. 94-1491, 94th Cong., 2d Sess., at 17, 18, 22). Additional
data (i.e., information on damage incidents occurring after 1982)
included in the rulemaking docket for today's rule corroborate the
fact that recycling operations can and have resulted in significant
damage incidents.
Excluding all hazardous secondary materials destined
for recycling would allow materials to move in and out of the
hazardous waste management system depending on what any person
handling the hazardous secondary materials intended to do with them,
which is inconsistent with the RCRA mandate to track hazardous
wastes and control them from ``cradle to grave.''
Hence, RCRA confers on EPA the authority to regulate discarded
hazardous secondary materials even if they are destined for recycling
and may be beneficially reused. The Agency has therefore developed in
part 261 of 40 CFR a definition of ``solid waste'' for Subtitle C
regulatory purposes. (Note: This definition is narrower than the
definition of ``solid waste'' for RCRA endangerment and information-
gathering authorities. (See 40 CFR 261.1(b)). Also Connecticut Coastal
Fishermen's Association v. Remington Arms Co., 989 F.2d 1305, 1315 (2d
Cir. 1993) holds that EPA's use of a narrower and more specific
definition of solid waste for Subtitle C purposes is a reasonable
interpretation of the statute. (See also Military Toxics Project v.
EPA, 146 F.3d 948 (D.C. Cir. 1998).))
EPA has consistently asserted that hazardous secondary materials
are not excluded from regulation as solid wastes merely because of a
claim that they will be recycled. EPA has consistently considered
hazardous secondary materials intended for ``sham recycling'' (i.e.,
disposal performed in the guise of recycling) to be discarded and,
hence, to be solid wastes for Subtitle C purposes (see 45 FR 33093, May
19, 1980; 50 FR 638-639, January 4, 1985). The U.S. Court of Appeals
for the D.C. Circuit has agreed that materials undergoing sham
recycling are discarded and, consequently, are solid wastes under RCRA
(see American Petroleum Institute v. EPA, 216 F.3d 50, 58-59 (D.C. Cir.
2000)).
B. A Series of D.C. Circuit Court Decisions on the Definition of Solid
Waste
Because the interpretation of what constitutes a solid waste is the
foundation of the hazardous waste regulatory program, there has been
quite a bit of litigation over the meaning of ``solid waste'' under
Subtitle C of RCRA. Specifically, industries representing mining and
oil refining interests challenged EPA's January 1985 regulatory
definition of solid waste. In 1987, the D.C. Circuit held that EPA
exceeded its authority ``in seeking to bring materials that are not
discarded or otherwise disposed of within the compass of `waste' ''
(American Mining Congress v. EPA (``AMC I''), 824 F.2d 1177, 1178 (D.C.
Cir. 1987)). The Court held that certain materials EPA was seeking to
regulate were not ``discarded materials'' under RCRA section
[[Page 1697]]
1004(27). The Court also held that Congress used the term ``discarded''
in its ordinary sense, to mean ``disposed of'' or ``abandoned'' (824
F.2d at 1188-89). The Court further held that the term ``discarded
materials'' could not include materials ``destined for beneficial reuse
or recycling in a continuous process by the generating industry itself
(because they) are not yet part of the waste disposal problem'' (824
F.2d at 1190). The Court held that Congress had directly spoken to this
issue, so that EPA's definition was not entitled to deference under
Chevron U.S.A., Inc. v. NRDC, 467 U.S. 837 (1984) (824 F.2d at 1183,
1189-90, 1193).
At the same time, the Court held that recycled materials could be
regulated as discarded materials. The Court mentioned at least two
examples of recycled materials that may be regulated as wastes, noting
that used oil can be considered a solid waste (824 F.3d at 1187 (fn
14)). Also, the Court suggested that materials disposed of and recycled
as part of a waste management program may be regulated as solid wastes
(824 F. 2d at 1179).
Subsequent decisions by the D.C. Circuit also indicate that some
materials destined for recycling may be considered ``discarded.'' In
particular, the Court held that emission control dust from steelmaking
operations listed as hazardous waste ``K061'' is a solid waste, even
when sent to a metals reclamation facility, at least where that is the
treatment method required under EPA's land disposal restrictions
program (American Petroleum Institute v. EPA (``API I''), 906 F.2d 729
(D.C. Cir. 1990)). In addition, the Court held that it is reasonable
for EPA to consider as discarded (and solid wastes) listed wastes
managed in units that are in part wastewater treatment units,
especially where it is not clear that the industry actually reuses the
materials (AMC II, 907 F.2d 1179 (D.C. Cir. 1990)).
It also is worth noting that two other Circuits also have held that
EPA may regulate as solid wastes under RCRA at least some materials
destined for reclamation rather than final discard. The U.S. Court of
Appeals for the Eleventh Circuit found that ``[i]t is unnecessary to
read into the term `discarded' a congressional intent that the waste in
question must finally and forever be discarded'' (U.S. v. ILCO, 996
F.2d 1126, 1132 (Eleventh Cir. 1993) (finding that used lead batteries
sent to a reclaimer have been ``discarded once'' by the entity that
sent the battery to the reclaimer)). In addition, the Fourth Circuit
found that slag held on the ground untouched for six months before sale
for use as road bed could be a solid waste (Owen Electric Steel Co. v.
EPA, 37 F.3d 146, 150 (4th Cir. 1994)).
In 1998, EPA promulgated a rule in which EPA regulated hazardous
secondary materials recycled by reclamation within the mineral
processing industry, the ``LDR Phase IV rule'' (63 FR 28556, May 26,
1998), under Subtitle C of RCRA. In that rule, EPA promulgated a
conditional exclusion for all types of mineral processing hazardous
secondary materials destined for reclamation. As a condition of the
exclusion, EPA prohibited the land-based storage of these mineral
processing secondary materials prior to reclamation because it
considered hazardous secondary materials from the mineral processing
industry that were stored on the land to be solid wastes (63 FR 28581,
May 26, 1998). The conditional exclusion decreased regulation over
spent materials stored prior to reclamation, but increased regulation
over by-products and sludges that exhibit a hazardous characteristic
and that are stored prior to reclamation. EPA noted that the statute
does not authorize it to regulate ``materials that are destined for
immediate reuse in another phase of the industry's ongoing production
process.'' EPA, however, took the position that hazardous secondary
materials that are removed from a production process for storage are
not ``immediately reused,'' and therefore are ``discarded'' (63 FR
28580, May 26, 1998).
The mining industry challenged the rule, and the D.C. Circuit
vacated the provisions that expanded EPA regulation over characteristic
by-products and sludges destined for reclamation (Association of
Battery Recyclers v. EPA (``ABR''), 208 F.3d 1047 (D.C. Cir. 2000)).
The Court held that it had already resolved this issue in its opinion
in AMC I, where it found that ``Congress unambiguously expressed its
intent that `solid waste' (and therefore EPA's regulatory authority) be
limited to materials that are `discarded' by virtue of being disposed
of, abandoned, or thrown away'' (208 F.2d at 1051). The Court also did
not find that storage before reclamation automatically makes materials
discarded. Rather, it repeated that materials reused within an ongoing
industrial process are neither disposed of nor abandoned (208 F.3d at
1051-52) and that ``at least some of the secondary material EPA seeks
to regulate as solid waste (in the mineral processing rule) is destined
for reuse as part of a continuous industrial process and thus is not
abandoned or thrown away'' (208 F.3d at 1056). It explained that the
intervening API I and AMC II decisions had not narrowed the holding in
AMC I (208 F.3d at 1054-1056).
In its most recent opinion dealing with the definition of solid
waste, Safe Food and Fertilizer v. EPA (``Safe Food''), 350 F.3d 1263
(D.C. Cir. 2003), the D.C. Circuit upheld an EPA rule that excludes
from the definition of solid waste hazardous secondary materials used
to make zinc fertilizers, and the fertilizers themselves, as long as
the hazardous secondary materials meet certain handling, storage, and
reporting conditions and the resulting fertilizers have concentration
levels for lead, arsenic, mercury, cadmium, chromium, and dioxins that
fall below specified thresholds (Final Rule, ``Zinc Fertilizers Made
From Recycled Hazardous Secondary Materials'' (``Fertilizer Rule''), 67
FR 48393, July 24, 2002). EPA determined that if these conditions are
met, the hazardous secondary materials used to make such fertilizer
have not been discarded. The conditions also apply to a number of
recycled materials not produced in the fertilizer production industry,
including certain zinc-bearing hazardous secondary materials, such as
brass foundry dusts.
EPA's reasoning was that market participants, consistent with the
EPA-required conditions in the rule, would treat the excluded materials
more like valuable products than like negatively-valued wastes and,
thus, would manage them in ways inconsistent with discard. In addition,
the fertilizers derived from these recycled feedstocks are chemically
indistinguishable from analogous commercial products made from raw
materials (350 F.3d at 1269). The Court held that EPA's explanation
that market participants manage materials in ways inconsistent with
discard, and the fact that the levels of contaminants in the recycled
fertilizers were ``identical'' to the fertilizers made with virgin raw
materials (also called ``the identity principle'') as reasonable. The
Court also held that this interpretation of ``discard'' was reasonable
and consistent with the statutory purpose. The Court noted that the
identity principle was defensible because the differences in health and
environmental risks between the two types of fertilizers are so slight
as to be substantively meaningless.
In addition, the Court stated that it ``need not consider whether a
material could be classified as a non-discard exclusively on the basis
of the market-participation theory'' (350 F.3d at 1269). The Court only
determined that the combination of market participants' treatment of
the materials, EPA-required management standards, and the ``identity
principle'' constitutes a reasonable set of tools to establish that
[[Page 1698]]
the recycled hazardous secondary materials and fertilizers are not
discarded.
C. October 2003 Proposal To Revise the Definition of Solid Waste
Prompted by concerns articulated in various Court opinions decided
up to that point, in October 2003, EPA proposed a rule which defined
those circumstances under which hazardous secondary materials would be
excluded from RCRA's hazardous waste regulations because they are
generated and reclaimed in a continuous process within the same
industry. In addition, the Agency also clarified in a regulatory
context the concept of ``legitimate recycling,'' which has been a key
component of RCRA's regulatory program for hazardous material
recycling, but which up to that point, had been implemented without
specific regulatory criteria (68 FR 61558, October 28, 2003).
In response to the October 2003 DSW proposal, a number of
commenters criticized the Agency for not having conducted a study of
the potential impacts of the proposed regulatory changes. These
commenters expressed the general concern that deregulating hazardous
secondary materials that are reclaimed in the manner proposed could
result in the mismanagement of these materials and could create new
cases of environmental damage that would require remedial action under
federal or state authorities. Some of the commenters further cited a
number of examples of environmental damage that were attributed to
hazardous secondary material recycling, including sites listed on the
Superfund National Priorities List (NPL).
Other commenters to the 2003 DSW proposal expressed the view that
the great majority of these cases of recycling-related environmental
problems occurred before RCRA, CERCLA, or other environmental programs
were established in the early 1980s. These commenters argued that these
environmental programs--most notably, RCRA's hazardous waste
regulations and the liability provisions of CERCLA--have created strong
incentives for proper management of recyclable hazardous secondary
materials and recycling residuals. Several commenters further noted
that, because of these developments, industrial recycling practices
have changed substantially since the early 1980s and present day
generators and recyclers are much better environmental stewards than in
the pre-RCRA/-CERCLA era. Thus, they argued that cases of
``historical'' recycling-related environmental damage are not
particularly relevant when modifying the current RCRA hazardous waste
regulations for hazardous secondary materials recycling.
D. Recycling Studies
In light of these comments on the 2003 DSW proposal, and in
deliberating on how to proceed with the rulemaking effort, the Agency
decided that additional information on hazardous secondary material
recycling would benefit its regulatory decision-making and would
provide stakeholders with a clearer picture of the hazardous secondary
material recycling industry in this country. Accordingly, the Agency
examined three issues that we believed were of particular importance to
revising the definition of solid waste:
How do responsible generators and recyclers of
hazardous secondary materials ensure that recycling is done in an
environmentally safe manner?
To what extent have hazardous secondary material
recycling practices resulted in environmental problems since
enactment of major waste management statutes, and why?
Are there certain economic forces or incentives
specific to hazardous secondary material recycling that can explain
why environmental problems can sometimes originate from such
recycling activities?
Reports documenting these studies are available in the docket for
the 2008 DSW final rule under the following titles:
An Assessment of Good Current Practices for Recycling of
Hazardous Secondary Materials (EPA-HQ-RCRA-2002-0031-0354) (``study
of successful recycling'')
An Assessment of Environmental Problems Associated With
Recycling of Hazardous Secondary Materials (EPA-HQ-RCRA-2002-0031-
0355) (``environmental problems study'')
A Study of Potential Effects of Market Forces on the
Management of Hazardous Secondary Materials Intended for Recycling
(EPA-HQ-RCRA-2002-0031-0358) (``market forces study'')
In the study of successful recycling, EPA found that responsible
recycling practices used by generators and recyclers to manage
hazardous secondary materials fall into two general categories. The
first category includes the audit activities and inquiries performed by
a generator of a hazardous secondary material to determine whether the
entity to which it is sending such material is equipped to manage it
responsibly without the risk of releases or other environmental damage.
These recycling and waste audits of other companies' facilities are
common to those generators that responsibly recycle in the hazardous
secondary materials market. The second category of responsible
recycling practices consists of the control practices that ensure
responsible management of any given shipment of hazardous secondary
material, such as the contracts under which the transaction takes place
and the tracking systems that can inform a generator that its hazardous
secondary material has been properly managed.
The goal of the environmental problems study was to identify and
characterize environmental problems associated with some types of
hazardous secondary material recycling that are relevant for the
purpose of this rulemaking effort. To address commenters' concerns that
historic damages are irrelevant to current practices because
environmental programs (post-RCRA and -CERCLA implementation) have
created strong incentives for proper management of recyclable hazardous
secondary materials, EPA only included cases where damages occurred
after 1982. The study identifies 208 cases in which environmental
damages of some kind occurred from some type of recycling activity and
that otherwise fit the scope of the study.\3\
---------------------------------------------------------------------------
\3\ EPA initially identified over 800 potential damage cases,
most of which were not included in the analysis because (1) the
damages occurred before 1982, (2) the damages were not caused by
recycling, or (3) there was not enough information to determine when
the damages occurred or whether recycling contributed to the
damages. The cases EPA considered, but did not include, were listed
in an appendix to the report to allow the public to comment on
whether additional cases should be included in the analysis. As a
result of public comment to the 2011 DSW proposal, EPA has updated
the damage case information using the same methodology, resulting in
a total of 250 damage cases as of 2012. EPA has determined that the
new damage case information is consistent with the damage cases
previously cited in the study.
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The Agency has determined that the occurrence of certain types of
environmental problems associated with post-1982 recycling practices
shows that discard has occurred. In particular, instances where
hazardous secondary materials were abandoned (e.g., in warehouses) and
which required removal, oversight by a government agency and the
expenditure of public funds clearly demonstrate that the hazardous
secondary material was discarded. Of the 208 damage cases presented in
the original damage case study, 69 cases (33%) involve abandoned
materials. The relatively high incidence of abandoned materials likely
reflects the fact that bankruptcies or other types of business failures
were associated with 138 (66%) of the cases.
In addition, the pattern of environmental damages that resulted
from the mismanagement of recyclable
[[Page 1699]]
materials (including contamination of soils, groundwater, surface water
and air) is a strong indication that the hazardous secondary materials
were generally not managed as valuable commodities and were discarded.
Of the 208 damage cases presented in the original damage case study, 81
cases (40%) primarily resulted from the mismanagement of recyclable
hazardous secondary materials, while mismanagement of recycling
residuals was the primary cause in 71 cases (34%). Often, in the case
of mismanagement of recycling residuals, reclamation processes
generated residuals in which the toxic components of the recycled
materials were separated from the non-toxic components, and these
portions of the hazardous secondary material were then mismanaged and
discarded. Examples of this include a number of drum reconditioning
facilities, where large numbers of used drums were cleaned out to
remove small amounts of remaining product, such as solvent, and these
wastes were then improperly stored or disposed, while the drums were
reused or recycled.
The market forces study used accepted economic theory to describe
how various market incentives can influence a firm's decision-making
process when recycling hazardous secondary materials. This study helps
explain some of the possible fundamental economic drivers of both
successful and unsuccessful recycling practices.
As pointed out by some commenters to the 2003 DSW proposed rule,
the economic forces shaping the behavior of firms that recycle
hazardous secondary materials are often different from those at play in
manufacturing processes using virgin materials. The market forces study
used economic theory to provide information on how certain
characteristics can influence three different recycling models to
encourage or discourage an optimal outcome. The three recycling models
examined were (1) commercial recycling, where the primary business of
the firm is the recycling of hazardous secondary materials that are
accepted from off-site industrial sources (which usually pay a fee);
(2) industrial intra-company recycling, where firms generate hazardous
secondary materials as by-products of their main production processes
and recycle the hazardous secondary materials for sale or for their own
reuse in production; and (3) industrial inter-company recycling, where
firms either use or recycle hazardous secondary materials obtained from
other firms, with the objective of reducing the cost of their
production inputs. The report also looked at how the outcome from each
model is potentially affected by three market characteristics: (1) The
value of the recycled product, (2) the price stability of recycling
output or inputs, and (3) the net worth of the firm.
An individual firm's decision-making is based on many factors and
extrapolating a firm's likely behavior from a few factors could be an
over-simplification. However, when used in conjunction with other
information, the economic theory can be quite illuminating. For
example, according to the market forces study, industrial intra- and
inter-company recyclers have more flexibility in adjusting to unstable
recycling markets (e.g., during price fluctuations, these companies can
more easily switch from recycling to disposal or from recycled inputs
to virgin inputs). Therefore, they would be expected to be less likely
to have environmental problems from over-accumulated materials.
On the other hand, in certain types of commercial recycling, the
product has low value, the prices are unstable, and/or the firm has a
low net worth. Facilities in these situations can be more susceptible
to environmental problems from the over-accumulation or mishandling of
hazardous secondary materials, especially when compared to recycling by
a well-capitalized firm that yields a product with high value. In
short, commercial recyclers depend on revenue from two sources: (1)
Accepting hazardous secondary materials for recycling, and (2) selling
the recycled product. When recycled product prices fall, commercial
recyclers rely on profits from accepting hazardous waste, which can
result in over-accumulation, mismanagement, sham recycling, and
abandonment of hazardous secondary materials. Further, because these
facilities often have little capital at risk, they can go bankrupt
leaving environmental damages behind. These predicted outcomes appear
to be supported by the results of the environmental problems study,
which showed the vast majority of environmental damages--approximately
94%--occur at off-site commercial recyclers.
However, as shown by the study of successful recycling, generators
who could otherwise bear a large liability from poorly-managed
recycling at other companies have addressed this issue by carefully
examining the recyclers to which they send their hazardous secondary
materials, such as through audits to ensure that they are technically
and financially capable of performing the recycling. In addition, we
have seen that successful recyclers (both commercial and industrial)
have often taken advantage of mechanisms, such as long-term contracts
to help stabilize price fluctuations, allowing recyclers to plan their
operations more effectively.
Further discussion of the recycling studies, including the
methodology and limitations of the studies, can be found in the March
2007 DSW supplemental proposal (72 FR 14178-83) and the October 2008
DSW final rule (73 FR 64673-74), and the studies themselves can be
found in the docket for the 2008 DSW final rule (EPA-HQ-RCRA-2002-0031-
0355).
E. March 2007 Supplemental Proposal To Revise the Definition of Solid
Waste
In March 2007, EPA published a supplemental proposal that provided
the public the opportunity to comment on these studies. The Agency also
re-structured the proposed rule and proposed (1) two exclusions for
hazardous secondary materials recycled under the control of the
generator (one exclusion would apply to hazardous secondary materials
managed in non-land-based units, and the other exclusion would apply to
hazardous secondary materials managed in land-based units) and (2) an
exclusion for hazardous secondary materials transferred to another
party for reclamation. The Agency also proposed a non-waste
determination petition process, and re-proposed the legitimacy
criteria, with certain modifications (72 FR 14172, March 26, 2007).
For the exclusions of hazardous secondary materials reclaimed under
the control of the generator, EPA described three circumstances under
which we believed that discard does not take place and where the
potential for environmental releases is low. The three situations
involve hazardous secondary materials that are generated and
legitimately reclaimed at the generating facility, legitimately
reclaimed at a different facility within the same company, or
legitimately reclaimed through a tolling arrangement. Under all three
circumstances, the hazardous secondary materials must be generated and
reclaimed within the United States or its territories. Because the
hazardous secondary material generator in these situations still
retains control of the hazardous secondary materials, finds value in
them, and intends to use them, EPA proposed to exclude these materials
from the definition of solid waste and, thus, from regulation under
Subtitle C of RCRA, provided the reclamation is legitimate and the
[[Page 1700]]
hazardous secondary materials are contained and not speculatively
accumulated. In addition, EPA proposed that facilities generating and
reclaiming hazardous secondary materials under the control of the
generator must submit notification to their regulatory authority.
For the exclusion of hazardous secondary materials transferred to
another party for reclamation (referred to as the transfer-based
exclusion), the Agency proposed conditions that, when met, would
indicate that these hazardous secondary materials were not discarded.
Specifically, the generator would need to make reasonable efforts, a
form of due diligence, to determine that its hazardous secondary
materials would be properly and legitimately recycled (and that the
hazardous secondary material would not be discarded). Another condition
would require the reclamation facility to have adequate financial
assurance (thus demonstrating that the hazardous secondary material
would not be abandoned). In addition, EPA proposed that both the
generator and reclaimer would be required to maintain shipping records
(to demonstrate that the hazardous secondary material was sent for
reclamation and was received by the reclaimer). Furthermore, the
reclaimer would be subject to additional storage and residual
management standards (to address the instances of discard observed at
off-site reclamation facilities in the damage cases). Finally,
facilities operating under the transfer-based exclusion must also
submit notification to their regulatory authority.
In addition, the 2007 DSW supplemental proposal included a case-by-
case non-waste determination petition process that would allow
applicants to receive a formal determination from EPA that their
hazardous secondary materials were not discarded and therefore were not
solid wastes. The case-by-case petition process would allow EPA or the
authorized state to take into account the particular fact pattern of
the recycling and to determine that the hazardous secondary materials
in question were not solid wastes. The petition process for the non-
waste determination was the same as that for the variances from the
definition of solid waste found at 40 CFR 260.31.
Finally, EPA proposed a definition of legitimate recycling that
restructured the legitimacy factors originally proposed in October
2003. The proposed legitimacy factors would be used to determine that
the recycling of hazardous secondary materials is not a ``sham'' and
thus, does not constitute discard.
F. October 2008 Final Rule To Revise the Definition of Solid Waste
In October 2008, EPA promulgated a final rule largely as proposed
in March 2007, with some revisions and clarifications, including (1)
clarifying that hazardous secondary materials held at a transfer
facility for less than 10 days are considered to be in transport (and
therefore such transfer facilities are not considered to be storing the
hazardous secondary materials for the purpose of the DSW exclusion),
(2) allowing the use of intermediate facilities that store hazardous
secondary materials for more than 10 days under the transfer-based
exclusion, provided the facilities comply with the same conditions
applicable to reclamation facilities, (3) codifying financial assurance
language in 40 CFR 261 subpart H for the transfer-based exclusion
applicable to intermediate and reclamation facilities without RCRA
permits, (4) requiring facilities operating under the generator-
controlled and/or the transfer-based exclusion to notify their
regulatory authority prior to operating under the exclusion and every
other year thereafter, and (5) making legitimacy a condition of the
exclusions and the non-waste determinations in that rule, but not
finalizing the legitimacy language for all recycling activities.
G. Section 7004 Petition Submitted by the Sierra Club and Industry
Response
On January 29, 2009, the Sierra Club submitted an administrative
petition under RCRA section 7004(a), 42 U.S.C. 6974(a), to the
Administrator of EPA requesting that the Agency repeal the October 2008
revisions to the definition of solid waste rule and stay the
implementation of the rule.
The administrative petition was submitted at the same time that the
American Petroleum Institute (API) and Sierra Club filed judicial
Petitions for Review under RCRA section 7006(a), 42 U.S.C. 6976(a)
challenging the rule in the United States Court of Appeals for the
District of Columbia Circuit (D.C. Circuit). These cases, designated as
Docket Nos. 09-1038 and 1041, respectively, are currently before the
D.C. Circuit.\4\
---------------------------------------------------------------------------
\4\ In its lawsuit, API claimed that EPA had improperly decided
that certain petroleum catalysts, when recycled are hazardous
wastes. See 73 FR 64714 for EPA's decision to defer a decision on
the eligibility of those catalysts for the 2008 DSW final rule. API
argued, among other things, that these catalysts should be treated
the same as other materials that were receiving the transfer-based
exclusion. API's challenge proceeded to briefing and argument before
the Court of Appeals. By order of June 8, 2012, the Court
reconsidered and decided to hold API's challenge in abeyance until
EPA issued this rule in final form. Since EPA is removing the
transfer-based exclusion and making spent petroleum catalysts
eligible for the generator-controlled and verified recycler
exclusions, API's challenge that the Agency failed to treat the
catalysts as other excluded materials is now moot. See section XI
below for further discussion on the effect of this rule on spent
petroleum catalysts.
---------------------------------------------------------------------------
The Sierra Club petition argued that the revised regulations are
unlawful and that they increase threats to public health and the
environment without producing compensatory benefits and, therefore,
should be repealed. Among other things, the petition singled out the
lack of regulatory definitions for key conditions of the rule and
disagreed with the Agency's findings that the rule would have no
adverse environmental impacts, including the finding there would be no
adverse impact to environmental justice communities or children's
health.
On March 6, 2009, a coalition of industry associations (``industry
coalition'') submitted a letter to the Administrator of EPA in response
to the Sierra Club petition. This letter requested that EPA deny Sierra
Club's petition on the grounds that the 2008 DSW final rule comports
with court cases construing the scope of the definition of solid waste
under RCRA, and that the 2008 DSW final rule achieves significant
economic and conservation benefits, while imposing significant controls
on the hazardous secondary material recycling industry that are fully
protective of the environment. The letter also responds to each of the
specific points raised by Sierra Club in its petition.
H. June 2009 Public Meeting and the Draft DSW Environmental Justice
Analysis Methodology
In response to Sierra Club's administrative petition and the
industry coalition's letter to the Administrator of EPA, a May 27,
2009, Federal Register notice (74 FR 25200) was issued describing
possible actions and optional paths forward, as well as announcing a
public meeting on June 30, 2009, to allow the public and interested
stakeholders the opportunity to provide input to the decision-making
process.
In the May 27, 2009, Federal Register notice announcing the public
meeting, EPA described the scope of possible actions, which is governed
by the concept of ``discard.'' As stated in RCRA section 1004(27),
``solid waste'' is defined as ``any garbage, refuse, sludge from a
waste treatment plant, water supply treatment plant, or air pollution
control facility and other discarded material . . . resulting from
industrial, commercial, mining and agricultural
[[Page 1701]]
activities.'' The May 2009 public meeting notice said that
[b]ecause the final revisions to the definition of solid waste are
closely tied to EPA's interpretation of the concept of ``discard,''
EPA does not plan to repeal the rule in whole or stay its
implementation. Such an action could result in hazardous secondary
materials that are not discarded being regulated as hazardous waste.
In particular, EPA does not expect to repeal either the exclusion
for hazardous secondary materials reclaimed under the control of the
generator or the non-waste determination petition process. However,
EPA believes there may be other opportunities to revise or clarify
the definition of solid waste rule, particularly with respect to the
definition of legitimacy and the transfer-based exclusion, in ways
that could improve implementation and enforcement of the provisions,
thus increase environmental protection, while still appropriately
defining when a hazardous secondary material being reclaimed is a
solid waste and subject to hazardous waste regulation. (74 FR
25203).
Thirty-three people spoke at the public meeting and approximately
4,000 written comments were received, of which the majority were from
private citizens who wrote in via a mass email campaign to repeal the
rule. The remaining comments came from state and local governments
(17), companies that generate hazardous secondary materials that are
recycled (i.e., the generating industry) (28), the waste management/
recycling industry (15), environmental, public health and community
organizations (12), and academics (2). Comments from the generating
industry were uniformly in favor of denying the Sierra Club petition to
repeal the rule, citing legal issues and the protectiveness of the
rule's conditions. Environmental and community organizations, on the
other hand, were uniformly in favor of repealing the rule, expressing
concerns over the protectiveness, enforceability, and environmental
justice and children's health impacts of the rule. Waste management/
recycling industry comments were split, with hazardous waste recyclers
generally advocating that EPA retain and improve the rule with more
stringent standards. Other waste management industry comments,
particularly those from companies representing landfills and
incinerators, were in favor of repealing the rule. State comments
expressed concerns about implementing the rule, particularly given the
economic climate, and generally were in favor of repealing or
significantly revising the transfer-based exclusion. A copy of the
public meeting transcript and the comments submitted in response to the
public meeting notice are available in the docket for the public
meeting (Docket ID number EPA-HQ-RCRA-2009-0315).
Many of the commenters (including those at the public meeting and
those who responded with written comments) expressed strong concerns
that the Agency did not adequately address environmental justice in the
rulemaking. In response to the concerns over the environmental justice
analysis, EPA committed to perform a more rigorous and thorough
analysis of the environmental justice impacts of the 2008 DSW final
rule. On January 15, 2010, EPA released for public input a draft
methodology for conducting the DSW Environmental Justice Analysis. The
draft methodology was presented to the National Environmental Justice
Advisory Committee (NEJAC) and discussed at three public roundtable
meetings, and was used to develop the draft environmental justice
analysis for the DSW rulemaking.
I. Settlement Agreement With the Sierra Club
1. Overview of Settlement Agreement
On September 7, 2010, EPA signed a settlement agreement with the
Sierra Club under which the Sierra Club agreed to withdraw their
administrative petition and EPA agreed to (1) prepare a notice of
proposed rulemaking to be signed no later than June 30, 2011,\5\ which
would address, at a minimum, the issues raised in the Sierra Club's
administrative petition and (2) take final administrative action
concerning the notice of proposed rulemaking to be signed no later than
December 31, 2012. The settlement agreement did not specify the outcome
of the final rule or what regulatory changes EPA would propose. The
settlement agreement was approved by the court on January 11, 2011.
Although EPA was unable to make the settlement agreement deadline for a
final administrative action, today's rule does address all issues
raised in Sierra Club's administrative petition, including the four
issues discussed in the May 27, 2009, public meeting Federal Register
notice (74 FR 25200). Specifically, the four issues in the settlement
agreement are (1) the definition of ``contained'' (which includes the
issue of defining ``significant releases'') (addressed in section V of
this preamble), (2) notification before operating under the exclusion
(also addressed in section V of this preamble), (3) the definition of
``legitimacy'' (addressed in section VIII of this preamble) and (4) the
transfer-based exclusion (addressed in section VI of this preamble).
Other issues presented in the administrative petition are discussed
below.
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\5\ The proposed rulemaking was signed by the Administrator of
EPA on June 30, 2011.
---------------------------------------------------------------------------
2. Request to Immediately Stay the Implementation of and Revoke the
2008 DSW Rule
The Sierra Club's administrative petition included a request to
immediately stay and revoke the 2008 DSW final rule. To support this
request, the petition asserted that the damage case study demonstrates
that hazardous waste recycling has caused substantial harm to health
and the environment and that the 2008 DSW final rule increases the
likelihood of greater future harm. The petition also asserted that the
2008 DSW final rule does not account for the possibility that unstable
recycling markets or financial conditions increase the risk of
hazardous waste abandonment. In addition, the petition asserted that
the 2008 DSW final rule will not substantially increase recycling and
that the economic benefits are few and will only accrue to deregulated
industries. Furthermore, the petition claimed that there would be job
losses in the hazardous waste treatment industry and increased worker
health problems as a result of the rule.
EPA addressed Sierra Club's request to revoke the 2008 DSW final
rule in whole and stay its implementation in the May 27, 2009, public
meeting notice, which continues to reflect EPA's current thinking. In
that notice, EPA stated at 74 FR 25202:
The scope of possible changes to the definition of solid waste
is governed by the concept of ``discard.'' As discussed in the
preamble to the DSW final rule, EPA used the concept of discard as
the central organizing idea behind the October 2008 revisions to the
definition of solid waste. As stated in RCRA section 1004(27),
``solid waste'' is defined as ``. . . any garbage, refuse, sludge
from a waste treatment plant, water supply treatment plant, or air
pollution control facility and other discarded material . . .
resulting from industrial, commercial, mining and agricultural
activities'' (emphasis added). Therefore, in the context of the DSW
final rule, a key issue relates to the circumstances under which a
hazardous secondary material that is recycled by reclamation is or
is not discarded (73 FR 64675). In exercising its discretion in the
DSW final rule to define what constitutes ``discard'' for hazardous
secondary materials reclamation, EPA included an explanation of how
each provision of the final rule relates to discard (73 FR 64676-
64679).
For example, in the DSW final rule, EPA determined that if the
generator maintains control over the recycled hazardous secondary
material and if the material is legitimately recycled under the
standards established in the final rule and not
[[Page 1702]]
speculatively accumulated within the meaning of EPA's regulations,
then the hazardous secondary material is not discarded. This is
because the hazardous secondary material is being treated as a
valuable commodity rather than as a waste. By maintaining control
over, and potential liability for, the reclamation process, the
generator ensures that the hazardous secondary materials are not
discarded. (See 73 FR 64676.)
Because the final revisions to the definition of solid waste are
closely tied to EPA's interpretation of the concept of ``discard,''
EPA does not plan to repeal the rule in whole or stay its
implementation. Such an action could result in hazardous secondary
materials that are not discarded being regulated as hazardous
wastes. In particular, EPA does not expect to repeal either the
exclusion for hazardous secondary materials reclaimed under the
control of the generator or the non-waste determination petition
process.
Today's final rule includes several changes to the generator-
controlled exclusion and to the non-waste determination petition
process, but, for the reasons stated above, EPA did not stay the rule
and is not withdrawing either provision.
3. Adequacy of EPA's Analyses
Finally, the Sierra Club's petition asserted that EPA's conclusion
that the 2008 DSW final rule would have no adverse environmental
impacts, and therefore would have no disproportional adverse impacts to
minority and low-income communities, is unsupported by the
administrative record. In response to these comments and similar
comments by other stakeholders at the June 2009 public meeting, EPA
committed to producing an expanded analysis of the potential
disproportionate impacts of the 2008 DSW final rule. A draft
methodology for the analysis was shared with the public in January
2010, and three public roundtable discussions were held to discuss the
draft methodology and were addressed in the development of the draft
DSW environmental justice analysis.\6\
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\6\ U.S. EPA. Draft Environmental Justice Methodology for the
Definition of Solid Waste Rule, January 2010, https://www.epa.gov/epawaste/hazard/dsw/ej.htm.
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J. Draft DSW Environmental Justice Analysis
As part of the development of the 2011 DSW proposal, EPA conducted
a revised environmental justice analysis, following the methodology
discussed with stakeholders during the 2010 roundtable discussions. The
purpose of the draft DSW environmental justice analysis was two-fold.
First, the analysis represents a systematic examination of the
potential for an increase in adverse impacts under the 2008 DSW final
rule (considered independently from which communities might be
impacted). Second, the analysis includes a demographic assessment,
characterizing the extent any potential adverse impacts are likely to
affect minority and/or low-income communities. The results of this
analysis were intended to inform EPA's decision-making on which
regulatory options to pursue, within the scope of the Agency's
authority to regulate hazardous waste.
The results of the draft DSW environmental justice analysis
demonstrate that hazardous secondary material recycling can pose
significant potential hazards to human health and the environment, and
that it is reasonable to conclude that the potential for hazards from
hazardous secondary materials recycling adversely impacting human
health and the environment could increase under the 2008 DSW final
rule. Of particular concern are (1) the absence of required measures
(e.g., weekly inspections, training, contingency plans) at hazardous
secondary materials reclaimers to prevent problems (e.g., spills,
fires, explosions), (2) the incentives to accumulate larger volumes of
hazardous secondary materials due to longer storage time limits, and
(3) the reduction in access to information and opportunity for public
participation.
Moreover, the analysis demonstrates that some of the communities
potentially impacted are minority and low-income communities, and in
most cases, the populations potentially impacted are disproportionately
minority and/or low income. In particular, the population-level
analysis shows a statistically significant potential disproportionate
impact to minority and low-income populations. In addition, underlying
vulnerabilities traditionally associated with minority and low-income
communities can pose the potential to exacerbate potential adverse
impacts of the 2008 DSW final rule. The ability of communities to
participate in the decision-making process and the potential for
multiple and cumulative effects are of particular concern.
The analysis has undergone peer review, and the draft environmental
justice analysis and peer review comments were presented for public
comment as part of the supporting documentation for the 2011 DSW
proposal.
K. July 2011 Proposal To Revise the Definition of Solid Waste
On July 22, 2011, EPA published a proposal to revise the definition
of solid waste. Comments were requested, and the comment period was
extended until October 20, 2011. In September 2011, EPA held two public
meetings to accept public comment on the proposal in Philadelphia, PA
and in Chicago, IL. The goal of the 2011 DSW proposal was to re-examine
the 2008 DSW final rule to determine if any changes are needed to
ensure that the rule, as implemented, protects human health and the
environment from the mismanagement of hazardous secondary materials,
while at the same time promote sustainability by encouraging the
reclamation of such materials. The proposed rule consisted of six
possible actions, which are summarized below.
1. Revisions to the Exclusion for Hazardous Secondary Materials
Reclaimed Under the Control of the Generator
In the 2011 DSW proposal, EPA proposed to retain the exclusion for
hazardous secondary materials reclaimed under the control of the
generator found at 40 CFR 261.4(a)(23), with certain revisions.
Proposed revisions to the 2008 DSW rule generator-controlled exclusion
include (1) adding a regulatory definition of ``contained,'' (2) making
notification a condition of the exclusion, (3) adding a recordkeeping
requirement for speculative accumulation, and (4) adding a
recordkeeping requirement for reclamation under toll manufacturing
agreements. In addition, EPA requested comment on other ways to
strengthen the generator-controlled exclusion in order to protect human
health and the environment.
2. Exclusion for Hazardous Secondary Materials That Are Transferred for
the Purpose of Reclamation
EPA proposed to replace the exclusion for hazardous secondary
materials that are transferred from the generator to other persons for
the purpose of reclamation found at 40 CFR 261.4(a)(24) and(25) with an
alternative Subtitle C regulatory scheme. EPA's analyses of potential
hazards posed by the 2008 DSW rule indicate that, when implemented, the
transfer-based exclusion may adversely impact human health and the
environment from hazardous secondary materials that may become
discarded, and that minority and low-income populations may be
disproportionately affected by these impacts.
Under the proposed alternative Subtitle C requirements, the
hazardous recyclable materials would be managed in accordance with the
current RCRA Subtitle C requirements, including
[[Page 1703]]
manifesting and hazardous waste permits for storage. However, an
exception to these proposed requirements would allow generators to
accumulate hazardous recyclable materials for up to a year without a
RCRA permit if they make advance arrangements for legitimate
reclamation and document those arrangements in a reclamation plan.
EPA also requested comment on alternative approaches that would
address the concerns regarding the potential risk under the transfer-
based exclusion to human health and the environment from discarded
hazardous secondary material, such as including additional conditions.
3. Remanufacturing Exclusion
In addition, EPA requested comment on an exclusion from the
definition of solid waste for certain types of higher-value solvents
sent for remanufacturing into similarly higher-value products. Further,
the action requested comment on a petition process for adding other
higher-value hazardous secondary materials that are destined to be
remanufactured into similarly higher-value products.
4. Proposed Revisions to the Definition of Legitimacy
EPA also proposed revisions to the definition of legitimacy found
at 40 CFR 260.43 for the purpose of distinguishing genuine recycling
from ``sham recycling.'' Proposed revisions to the 2008 DSW final rule
legitimacy definition include (1) applying the codified ``legitimacy''
definition to all hazardous secondary material recycling activities;
(2) making all legitimacy factors mandatory, with a petition process
for those instances that a factor is not met even when the recycling is
legitimate; and (3) requiring documentation of legitimacy.
5. Proposed Revisions to Solid Waste Variances and Non-Waste
Determinations
EPA also proposed revisions to the case-by-case solid waste
variances and non-waste determinations found at 40 CFR 260.30-260.34 in
order to ensure protection of human health and the environment and
foster greater consistency among the implementing agencies. Proposed
revisions affect both the non-waste determinations from the 2008 DSW
final rule and pre-2008 existing variances. Specific proposed revisions
include (1) requiring facilities which were granted a variance to re-
apply for the variance in the event of a change in circumstances that
affects how that hazardous secondary material meets the criteria for
the variance; (2) requiring facilities to re-notify every two years
with updated information; (3) revising the criteria for the partial
reclamation variance to clarify when the variance applies and to
require, among other things, that all the criteria for this variance
must be met; (4) revising the criteria for the non-waste determination
in 40 CFR 260.34 to require that petitioners demonstrate why the
existing solid waste exclusions would not apply to their hazardous
secondary materials; and (5) designating the Regional Administrator as
the EPA recipient of petitions for variances and non-waste
determinations.
6. Request for Comment on Revisions to Other Recycling Exclusions and
Exemptions
Finally, EPA requested comment on revisions that would affect other
(pre-2008) solid waste exclusions and hazardous waste exemptions for
recyclable materials. These possible revisions include (1)
recordkeeping for speculative accumulation as applicable; (2) requiring
facilities to re-notify every two years with updated information on
their operating status under the various exclusions and exemptions; and
(3) containment standards for excluded hazardous secondary materials.
IV. When will the final rule become effective?
This final rule is effective on July 13, 2015.
V. Revisions to the Exclusion for Hazardous Secondary Materials That
Are Legitimately Reclaimed Under the Control of the Generator
In today's final rule, EPA is retaining and revising the
conditional exclusion from the definition of solid waste at 40 CFR
261.4(a)(23) for those hazardous secondary materials that are
legitimately reclaimed within the United States or its territories
under the control of the generator. Revisions to the generator-
controlled exclusion include (1) adding a codified definition of
``contained;'' (2) adding recordkeeping requirements for same company
and toll manufacturing reclamation; (3) making notification a condition
of the exclusion; (4) adding a requirement to document that recycling
under the exclusion is legitimate; and (5) adding emergency
preparedness and response conditions. In addition, we have amended the
speculative accumulation provisions to add a recordkeeping requirement.
A discussion of the public comments on the July 2011 DSW proposal and
the Agency's responses can be found in section XIV of this preamble and
the full response to comment document in the docket for this
rulemaking.
A. Scope of the Exclusion
The definition of ``hazardous secondary material generated and
reclaimed under the control of the generator'' is found at 40 CFR
261.4(a)(23) for both land-based and non-land-based units, since the
requirements for both types of units are the same. A land-based unit is
defined in 40 CFR 260.10 as an area where hazardous secondary materials
are placed in or on the land before recycling, but this definition does
not include land-based production units. Examples of land-based units
include surface impoundments and piles. Examples of non-land-based
units include tanks, containers, and containment buildings.
Hazardous secondary materials are considered ``under the control of
the generator'' under the following circumstances:
They are generated and then reclaimed at the generating
facility; or
they are generated and reclaimed at different
facilities, if the generator certifies that the hazardous secondary
materials are sent either to a facility controlled by the generator
or to a facility under common control with the generator, and that
either the generator or the reclaimer has acknowledged
responsibility for the safe management of the hazardous secondary
materials. In addition, the generating and receiving facilities must
maintain at their facilities for no less than three years records of
hazardous secondary materials sent or received under this exclusion.
The records must contain the name of the transporter, the date of
the shipment, and the type and quantity of the hazardous secondary
material shipped or received. The requirements may be satisfied by
routine business records (e.g., financial records, bills of lading,
copies of DOT shipping papers, or electronic confirmations); or
they are generated and reclaimed pursuant to a written
agreement between a tolling contractor and toll manufacturer, if the
tolling contractor certifies that it has entered into a tolling
contract with a toll manufacturer and that the tolling contractor
retains ownership of, and responsibility for, the hazardous
secondary materials generated during the course of the manufacture,
including any releases of hazardous secondary materials that occur
during the manufacturing process. The tolling contractor and the
toll manufacturer must maintain at their facilities for no less than
three years records of hazardous secondary materials sent or
received under this exclusion. The records must contain the name of
the transporter, the date of the shipment, and the type and quantity
of the hazardous secondary material shipped or received. The
requirements may be satisfied by routine business records (e.g.,
financial records, bills of lading, copies of DOT shipping papers,
or electronic confirmations).
[[Page 1704]]
Materials subject to material-specific management conditions under
the other exclusions of 40 CFR 261.4(a) when reclaimed and spent lead-
acid batteries are not eligible for the generator-controlled exclusion
at 40 CFR 261.4(a)(23).
In addition, materials managed under the generator-controlled
exclusion at 40 CFR 261.4(a)(23) must be contained, may not be
speculatively accumulated, and are subject to a notification provision
and documentation of legitimacy determinations, which must be
maintained on site. Furthermore, the generator must satisfy certain
emergency preparedness and response conditions. These conditions and
any changes from the 2008 DSW final rule are explained below.
B. EPA's Rationale for Retaining and Revising the Generator-Controlled
Exclusion
In the 2008 DSW final rule, EPA determined that if the generator
maintains control over the recycled hazardous secondary material, the
material is legitimately recycled under the conditions of the
exclusion, and the material is not speculatively accumulated within the
meaning of EPA's regulations, then the hazardous secondary material is
not discarded. Under these circumstances, the hazardous secondary
material is being treated as a valuable commodity rather than as a
waste. By maintaining control over, and potential liability for, the
recycling process, the generator ensures that the hazardous secondary
materials are not discarded (see ABR 208 F.3d 1051 (``Rather than
throwing these materials [destined for recycling] away, the producers
saves them; rather than abandoning them, the producer reuses them.''))
(73 FR 64676-7).
In today's final rule, EPA reaffirms its determination that when a
generator legitimately recycles hazardous secondary materials under its
control under the conditions of the exclusion, the generator has not
abandoned the material and has every opportunity and incentive to
maintain oversight of, and responsibility for, the hazardous secondary
material that is reclaimed.
EPA is however making several revisions to the generator-controlled
exclusion, the rationale for each of which is explained below.
1. Contained Definition
Under the generator-controlled exclusion, hazardous secondary
materials must be contained pursuant to the definition in 40 CFR
260.10, regardless of whether they are stored in land-based units or
non-land-based units. Under that definition, a hazardous secondary
material is contained if it is managed in a unit that meets the
following criteria: (1) The unit is in good condition, with no leaks or
other continuing or intermittent unpermitted releases of the hazardous
secondary materials to the environment, and is designed, as appropriate
for the hazardous secondary material, to prevent releases of the
hazardous secondary materials to the environment. Unpermitted releases
are releases that are not covered by a permit (such as a permit to
discharge to water or air) and may include, but are not limited to,
releases through surface transport by precipitation runoff, releases to
soil and groundwater, wind-blown dust, fugitive air emissions, and
catastrophic unit failures; (2) the unit is properly labeled or
otherwise has a system (such as a log) to immediately identify the
hazardous secondary materials in the unit; and (3) the unit holds
hazardous secondary materials that are compatible with other hazardous
secondary materials placed in the unit and is compatible with the
materials used to construct the unit and addresses any potential risks
of fires or explosions. Hazardous secondary materials in units that
meet the applicable requirements of 40 CFR parts 264 or 265 are
presumptively contained.
The codification of these regulatory criteria will help regulatory
authorities and facilities operating under the exclusion to determine
whether a unit adequately controls the movement of hazardous secondary
materials. The contained standard is a key provision for determining
that a hazardous secondary material is not discarded. Hazardous
secondary materials that are not contained and are instead released to
the environment are not destined for recycling and are clearly
discarded.
In today's final rule, EPA is retaining the ``contained'' condition
based on the rationale that hazardous secondary materials released to
the environment are not destined for recycling and are clearly
discarded, but is adding a regulatory definition of contained to make
it easier for implementing agencies and the regulatory community to
determine that a material is contained. In the preamble to the 2008 DSW
final rule (73 FR 64681), the Agency stated that a hazardous secondary
material is ``contained'' if it is placed in a unit that controls the
movement of the hazardous secondary materials out of the unit and into
the environment. However, EPA did not provide more specific guidance on
how an implementing agency or the regulated community would determine
if a unit did adequately control the movement of hazardous secondary
materials and meet the contained standard.
As EPA noted in the 2011 DSW proposal and as reflected in many of
the public comments, of particular concern is the lack of preventative
measures in the contained standard in the 2008 DSW final rule. This is
noted as a major regulatory gap in EPA's assessment of the potential
for adverse impacts from the 2008 DSW final rule, including adverse
impacts to minority and low income communities. Given that the
contained standard is one of the major requirements for determining
that hazardous secondary materials reclaimed under the generator-
controlled exclusion are not discarded, this lack of specificity could
undermine the exclusion. That is, if the primary or only way to
determine that the hazardous secondary material is not contained is to
wait until it is released to the environment, then the 2008 DSW final
rule increases the likelihood of discard for these materials.
The Agency therefore is adding a regulatory definition of
``contained'' that resolves this uncertainty without sacrificing the
flexibility that would allow the implementing authority to take into
account a wide variety of case-specific circumstances when necessary.
This definition specifies factors which, if met, demonstrate that the
hazardous secondary materials in a unit are handled as valuable raw
materials, intermediates, or products and thus are not being discarded.
We note that the elements of the contained definition are all measures
that are used to prevent releases and ensure operation and maintenance
of the storage unit in the same manner as a production unit.
If these criteria were not met, the materials remaining in the unit
would be considered solid and hazardous wastes and the unit would be
subject to the appropriate hazardous waste regulations.
Also, to clarify the regulatory status of units from which releases
have occurred, the Agency is also adding to 40 CFR 261.4(a)(23) the
following language: (1) A hazardous secondary material released to the
environment is discarded and a solid waste unless it is immediately
recovered for the purpose of reclamation; and (2) hazardous secondary
material managed in a unit with leaks or other continuing or
intermittent unpermitted releases of the hazardous secondary material
to the environment is discarded and a solid waste.
[[Page 1705]]
2. Notification as a Condition
Under today's rule, generators, reclaimers, tolling contractors,
and toll manufacturers operating under the generator-controlled
exclusion at 40 CFR 261.4(a)(23) are required to submit a notification
prior to operating under these exclusions and by March 1 of each even-
numbered year thereafter to their regulatory authority. Facilities must
also notify their regulatory authority within 30 days of stopping
management of hazardous secondary materials under the rule. The
notification provisions are found at 40 CFR 260.42.
The substance of the notification provisions is essentially the
same as that under the 2008 DSW final rule. However, under today's
rule, such notification is a condition of the exclusion rather than a
requirement. At issue here are not the specifics of the notification in
40 CFR 260.42, but rather the consequences an entity would face for
failing to notify. Thus, if notification is a requirement under the
authority of RCRA section 3007 (as specified under the 2008 DSW final
rule), it means that failure to notify would constitute a violation of
the notification regulations. On the other hand, if notification is a
condition of the exclusion, it means failure to notify would
potentially result in the loss of the exclusion for the hazardous
secondary materials (i.e., the hazardous secondary materials may become
solid and hazardous wastes and subject to full Subtitle C regulation).
EPA is finalizing the notification provision as a condition of the
generator-controlled exclusion because it is the only formal indication
of a facility's intent to reclaim a hazardous secondary material under
the conditional exclusion rather than to discard it. For example, if
during an inspection of a large quantity generator of hazardous waste,
EPA were to discover a hazardous secondary material that had been
stored on-site for more than 90 days without a RCRA permit (an act that
would typically be a violation of the hazardous waste regulations), a
previously filed notification would be an indication that the facility
was planning to reclaim the hazardous secondary material under the
conditions of the exclusion. Absent such a notification, it would be
difficult for the facility to justify its true intentions for the
hazardous secondary material. Failure to meet the notification
provision would be a strong indication that the facility either did not
intend to comply with or was unaware of the provisions of the
exclusion, since it failed to comply with the first step for claiming
the exclusion. In both cases, the lack of notification shows that the
hazardous secondary material may be discarded. Making notification a
condition of the rule would further discourage facilities from trying
to evade enforcement by not notifying because the costs of not
notifying could be significantly higher than if notification remains a
requirement. Finally, notification is important for informing
regulators and the public about hazardous secondary materials activity
and, without such notification, regulators are unable to effectively
monitor compliance. This notification condition will keep regulators
and the public informed about hazardous secondary materials activity
and will enable effective compliance monitoring.
3. Recordkeeping for Speculative Accumulation
Under today's rule, all persons subject to the speculative
accumulation requirements at 40 CFR 261.1(c)(8) (including, but not
limited to, persons operating under the generator-controlled exclusion
at Sec. 261.4(a)(23)) must place materials subject to those
requirements in a storage unit with a label indicating the first date
that the material began to be accumulated. If placing a label on the
storage unit is not practicable, the accumulation period must be
documented through an inventory log or other appropriate method. This
provision will allow inspectors and other regulatory authorities to
quickly ascertain how long a facility has been storing an excluded
hazardous secondary material, and, therefore, whether that facility is
in compliance with the accumulation time limits of Sec. 261.1(c)(8).
EPA notes that the speculative accumulation provision only applies
to persons who are accumulating hazardous secondary materials.
Processes involving hazardous secondary materials being returned to the
original process via pipes are not considered to accumulate hazardous
secondary materials and thus the speculative accumulation provision
(and recordkeeping therein) would not apply to these scenarios.
4. Other Recordkeeping
Today's exclusion for tolling and ``same-company'' recycling
requires recordkeeping for shipments sent and received under the
exclusion. The records must contain the name of the transporter, the
date of the shipment, and the type and quantity of hazardous secondary
material shipped or received. These records may consist of normal
business records. Such recordkeeping will facilitate enforcement of the
exclusion and will allow tracking of hazardous secondary materials to
ensure that these materials remain under the control of the generator
and are not discarded.
5. Documentation of Legitimacy Determinations
Persons performing the recycling of hazardous secondary materials
under the generator-controlled exclusion of 40 CFR 261.4(a)(23) must
maintain documentation of their legitimacy determination on-site.
Documentation must be a written description of how the recycling meets
all four factors in 40 CFR 260.43(a), except as otherwise noted in 40
CFR 260.43(d). Documentation must be maintained for three years after
the recycling operation has ceased.
The Agency has determined that requiring documentation under the
generator-controlled exclusion to demonstrate that the hazardous
secondary materials are legitimately recycled and not discarded is
appropriate because this exclusion is generic and can be used by a wide
variety of industries recycling any of a number of hazardous secondary
materials.
6. Emergency Preparedness and Response
Many of the environmental and human health damages identified by
the environmental problems study were caused by fires and explosions
and the lack of specific requirements to prevent and respond to such
problems is a significant gap in the 2008 DSW exclusion.\7\ Fires and
explosions at industrial recyclers can threaten the lives and health of
both facility employees and the general public and can cause lasting
damage to the local environment. Recent catastrophic chemical accidents
in the United States, such as the 2013 fire and explosion in West,
Texas, that killed 15 people, the 2010 explosion and fire at Tesoro
Refinery in Anacortes, Washington, that killed seven employees, and the
2012 Chevron Refinery hydrocarbon fire in Richmond, California, that
affected 15,000 people in the surrounding area, highlight the need for
continued improvement in a number of areas related to chemical facility
safety. To address these concerns, the President issued Executive Order
13650--Improving Chemical Facility Safety and
[[Page 1706]]
Security (EO) on August 1, 2013. The EO directed the Department of
Homeland Security, EPA, the Department of Labor, the Department of
Justice, the Department of Agriculture, and the Department of
Transportation to identify ways to improve operational coordination
with state, local, tribal, and territorial partners; enhance federal
agency coordination and information sharing; modernize policies,
regulations, and standards to enhance safety and security in chemical
facilities; and work with stakeholders to identify best practices to
reduce safety and security risks in the production and storage of
potentially harmful chemicals.
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\7\ Taken together, leaks, spills, fires, explosions, or other
accidents caused environmental damage at 19% of the 250
environmental damage sites. U.S. EPA ``An Assessment of
Environmental Problems Associated with Recycling of Hazardous
Secondary Materials (Updated)'' December 2014.
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EPA finds that planning and preparing for an emergency demonstrates
a generator's intent to not only protect human health and the
environment but to reduce potential loss of valuable hazardous
secondary materials. In the absence of such requirements, hazardous
secondary materials pose a greater risk of being released and discarded
to the environment.
Therefore, EPA is adding a condition to the generator-controlled
exclusion that generators must follow certain emergency preparedness
and response regulations, found in 40 CFR part 261 subpart M, which are
dependent on the amount of hazardous secondary material the generator
accumulates on site at any time. Under the final rule, generators that
accumulate less than or equal to 6,000 kg of hazardous secondary
material on site must meet regulations like the emergency preparedness
and response regulations currently required for small quantity
generators of hazardous waste. Generators that accumulate more than
6,000 kg of hazardous secondary material on site must meet regulations
like the emergency preparedness regulations currently required for
large quantity generators of hazardous waste. EPA chose to set the
threshold at 6,000 kg based on the current hazardous waste generator
regulations, which require generators that accumulate greater than
6,000 kg of hazardous waste on site to comply with large quantity
generator regulations, including emergency preparedness and response
regulations. EPA finds that generators that accumulate greater amounts
of hazardous secondary material on site inherently pose greater risk to
human health and the environment from a potential release caused by a
fire or explosion and thus it is more appropriate for these generators
to take additional steps to prepare for such events.
Specifically, EPA is requiring that generators that accumulate less
than or equal to 6,000 kg of hazardous secondary material on site
comply with the emergency preparedness and response requirements
equivalent to those in part 265 subpart C, which discuss maintaining
appropriate emergency equipment on site, having access to alarm
systems, maintaining needed aisle space, and making arrangements with
local emergency authorities. A generator must also have a designated
emergency coordinator who must respond to emergencies and must post
certain information next to the telephone in the event of an emergency.
For generators that accumulate more than 6,000 kg of hazardous
secondary material on site, EPA is requiring that generators comply
with requirements equivalent to those in part 265 subparts C and D,
which includes all the requirements already discussed above for those
accumulating less than or equal to 6,000 kg, as well as requiring a
contingency plan and sharing the plan with local emergency responders.
EPA recommends that the contingency plan be based on the National
Response Team's Integrated Contingency Plan Guidance (One Plan),
discussed in the Federal Register on June 5, 1996 (61 FR 28642). Under
the One Plan Guidance, the generator can develop one contingency plan
that meets all the regulatory standards for the various statutory and
regulatory provisions for contingency planning, such as EPA's Oil
Pollution Prevention Regulation or Risk Management Programs
regulations, the U.S. Coast Guard's (USCG) Facility Response Plan
regulations, OSHA's Hazardous Waste Operations and Emergency Response
(HAZWOPER) regulations, and several others.
EPA has determined that adding these emergency preparedness and
response conditions to the generator-controlled exclusion meets the
goals of the Chemical Safety EO and also will ensure that those
facilities managing hazardous secondary material under the exclusion
will be doing so in a manner that allows them to safely recycle the
hazardous secondary material and limit loss of materials that are
supposed to be recycled into the environment. These provisions are the
common-sense steps that a facility that manages hazardous materials
should take to reduce risk to their workers and the public.
Additionally, EPA has determined that structuring the emergency
preparedness and response conditions of the generator-controlled
exclusion after the existing hazardous waste requirements serves to
reduce burden on generators, as generators are likely already familiar
and complying with this regulations.
VI. Verified Recycler Exclusion Replacing the Exclusion for Hazardous
Secondary Materials That Are Transferred for the Purpose of Reclamation
Based on comments received and further assessment, EPA has decided
to replace the 2008 DSW exclusion for hazardous secondary materials
that are transferred for the purpose of legitimate reclamation (i.e.,
the transfer-based exclusion) with an exclusion for hazardous secondary
materials sent for reclamation at a verified recycler (i.e., the
verified recycler exclusion). The verified recycler exclusion is being
finalized instead of the proposed Subtitle C alternative recycling
standards because EPA has determined that such an exclusion will
address the regulatory gaps identified in the 2008 DSW rule in a way
that appropriately identifies hazardous secondary materials that will
be legitimately recycled and not discarded. Based on the evidence from
states currently implementing the transfer-based exclusion, hazardous
secondary materials transferred to another party for recycling can be
legitimately recycled and not discarded, provided that there is a
mechanism for adequate oversight at the recycling facility. Subtitle C
regulation of this activity is unnecessary and would result in EPA
regulating as hazardous waste some materials that have not been
discarded. By adding the condition of requiring the recycler to obtain
a solid waste variance or have a RCRA permit, EPA is addressing the
potential for future discard while allowing the legitimate recycling
activities that are already occurring to continue. (A discussion of the
public comments on the July 2011 proposal and the Agency's responses
can be found in section XV of this preamble and the full response to
comment document is in the docket for this rulemaking.)
A. Summary of Transfer-Based Exclusion
The 2008 exclusion for hazardous secondary materials that are
transferred for the purpose of legitimate reclamation, which EPA is
withdrawing today and replacing with the verified recycler exclusion,
applied to hazardous secondary materials (i.e., spent materials, listed
sludges, and listed by-products) that are generated and subsequently
transferred to a different person or company for the purpose of
[[Page 1707]]
reclamation. This exclusion was found at 40 CFR 261.4(a)(24) and
(25).\8\
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\8\ 40 CFR 261.4(a)(24) is the primary transfer-based exclusion
and 40 CFR 261.4(a)(25) contains the export requirements for the
transfer-based exclusion.
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General conditions for hazardous secondary material generators,
reclaimers, and intermediate facilities \9\ under this exclusion
included the following:
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\9\ Intermediate facilities are those facilities that do not
reclaim hazardous secondary materials, but store them for more than
10 days.
Entities must submit a notification prior to operating
under the exclusion and by March 1 of each even-numbered year
thereafter reporting types and quantities of hazardous secondary
materials being reclaimed, and
hazardous secondary materials managed at such
facilities must not be speculatively accumulated as defined in Sec.
261.1(c)(8) and must be legitimately reclaimed as specified in Sec.
260.43.
Conditions applicable to generators of hazardous secondary
materials included the following:
Containment of such hazardous secondary materials,
reasonable efforts, a form of due diligence, to ensure
that the intermediate facility or reclaimer intends to properly
manage and legitimately recycle the hazardous secondary material,
and
retention of records of off-site shipments for three
years.
Conditions applicable to intermediate facilities and reclaimers
included the following:
Containment of hazardous secondary materials,
transmittal of confirmations of receipt to generators,
retention of records for hazardous secondary materials
received and sent off-site,
financial assurance equivalent to that required of
hazardous waste facilities, and
(for reclaimers) proper management of any residuals
generated from the reclamation activities.
In addition, for any hazardous secondary materials excluded under
40 CFR 261.4(a)(24) generated and then exported to another country for
reclamation, the exporter must notify and obtain consent from the
receiving country and file an annual report per 40 CFR 261.4(a)(25).
B. EPA's Rationale for Requiring Conditions for Transfers of Hazardous
Secondary Materials Sent for Reclamation
In the 2008 DSW rule, EPA determined that, absent specific
conditions, it is reasonable to conclude that transfers of hazardous
secondary materials to third-party recyclers generally involve discard
except for instances where EPA has evaluated and promulgated a case-
specific exclusion that a hazardous secondary material is not a solid
waste. Generators of hazardous secondary materials who do not reclaim
these materials themselves often ship these materials to a commercial
facility or another manufacturer for reclamation in order to avoid the
costs of disposing of the material. Because of the low commercial value
and the high potential liability associated with most types of
hazardous secondary materials (i.e., spent materials and listed
hazardous waste by-products and sludges), generators will typically pay
the reclamation facility to accept these hazardous secondary materials
or receive a salvage fee that only partially offsets the cost of
transporting and managing them. In such situations, the generator has
relinquished control of the hazardous secondary materials and the
entity receiving such materials may not have the same incentives to
manage them as a useful product. (Note that this determination is
unchanged from the 2008 DSW final rule; see 73 FR 64675.)
Evidence of hazardous secondary materials not being managed as a
valuable product is shown in the results of the environmental problems
study, found in the docket of the 2008 DSW final rule. Of the 208
damage cases discussed in the 2008 DSW final rule, 195 (or
approximately 94%) were from reclamation activities of off-site third-
party recyclers, with clear instances of discard resulting in risk to
human health and the environment, including cases of large-scale soil
and ground water contamination with remediation costs in some instances
in the tens of millions of dollars (73 FR 64673).
In addition, the market forces study in the docket for the 2008 DSW
final rule supports the conclusion that the pattern of discard at off-
site third-party reclaimers is a result of inherent differences between
commercial recycling and normal manufacturing. As opposed to
manufacturing, where the cost of raw materials or intermediates (or
inputs) is greater than zero and revenue is generated primarily from
the sale of the output, hazardous secondary materials recycling can
involve generating revenue primarily from the receipt of the hazardous
secondary materials. Recyclers of hazardous secondary materials in this
situation thus respond differently than traditional manufacturers to
economic forces and incentives, accumulating more inputs (hazardous
secondary materials) than can be processed (reclaimed). In addition,
commercial recyclers have less flexibility than in-house recyclers in
changing how they manage their hazardous secondary materials (e.g.,
during price fluctuations, in-house recyclers can more easily switch
from recycling to disposal or from recycled inputs to virgin inputs,
while commercial recyclers cannot switch to disposal without obtaining
a RCRA permit) (73 FR 64674). In other words, third-party recyclers
have economic incentives to accumulate waste beyond their ability to
deal with it.
C. Regulatory Gaps in the 2008 DSW Rule
The 2008 DSW final rule attempted to address this pattern of
adverse impacts to human health and the environment from hazardous
secondary materials transferred to a third party for recycling by
setting conditions for the transfer-based exclusion. The intent of
these conditions was to define when transfers to third-party recyclers
would not result in discard. The link between each of the conditions
and their ability to prevent discard is discussed in detail in the 2008
DSW final rule preamble at 73 FR 64675-79.
However, EPA failed to take into account how the conditions of the
2008 transfer-based exclusion would work when actually implemented.
EPA's analysis of the 2008 DSW final rule was based on the assumption
that DSW conditions would be implemented to the same degree as Subtitle
C hazardous waste regulations, without taking into consideration
whether the 2008 DSW rule would provide EPA and the authorized states
the ability for the same level of oversight as the fully applicable
Subtitle C hazardous waste regulations, which leads to the second part
of EPA's rationale for its 2011 proposal to replace the transfer-based
exclusion with an alternative Subtitle C regulatory scheme.
Before excluding hazardous secondary materials that have already
been determined to be hazardous wastes when discarded, the Agency needs
adequate assurance that the conditional exclusion will not result in
discarded hazardous materials posing significant risks to human health
and the environment (e.g., fires/explosion, soil and water
contamination, air emissions, and abandoned hazardous secondary
materials). Because EPA has already evaluated these hazardous secondary
materials (for example, during a hazardous waste listing determination)
and determined them to be solid and hazardous wastes when discarded,
the Agency must be able to reasonably expect that hazardous secondary
materials managed under a conditional exclusion will not be discarded.
[[Page 1708]]
Over the years, EPA has developed many such conditional exclusions
(found in 40 CFR 261.4(a)). In each of these cases, EPA did so by
examining the specific hazardous secondary material or the specific
recycling practice, or both, before making a determination that the
hazardous secondary material is not solid waste. However, unlike these
types of specific transfer-based exclusions from the definition of
solid waste, the 2008 transfer-based exclusion in 40 CFR 261.4(a)(24)
and (25) did not focus on the chemical or physical properties of any
particular type of hazardous secondary material or on how it is
typically managed. Instead, the transfer-based exclusion is broadly
applicable to a wide range of hazardous spent materials and listed by-
products and sludges. Thus, while other solid waste exclusions were
developed based on EPA's knowledge of the specific hazardous secondary
materials, the industries generating them, or the current recycling
management practice for those hazardous secondary materials, the 2008
DSW transfer-based exclusion relied entirely on the conditions that
were developed by EPA operating as the Agency anticipates they should.
The conditions themselves were developed in a reasoned manner,\10\ but
without evidence that they would work as intended (i.e., would not
result in significant risk to human health and the environment from
discarded materials).
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\10\ See Chapter 11, Regulatory Impact Analysis: EPA's 2008
Final Rule Amendments to the Industrial Recycling Exclusions of the
RCRA Definition of Solid Waste, EPA-HQ-RCRA-2002-0031-0602.
---------------------------------------------------------------------------
However, the conditions for the transfer-based exclusion in the
2008 DSW final rule lack several important implementation provisions
that the Subtitle C requirements for treatment, storage, and disposal
facilities provide. These provisions ensure a greater level of
oversight, which ensures that EPA or the state has reviewed a
facility's planned operations before management begins and which allows
public participation in the environmental decision-making process,
thereby increasing the likelihood of compliance and decreasing the
potential for risk to human health and the environment from discarded
hazardous secondary material. EPA has performed a detailed regulatory
comparison of the 2008 DSW final rule with the fully applicable
Subtitle C hazardous waste regulations, identifying significant
differences that could lead to the potential for an increased
likelihood of environmental and public health hazards, including fires/
explosion, soil and water contamination, air emissions, and abandoned
hazardous secondary materials.\11\
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\11\ See Chapter 2 and Appendix A of Potential Adverse Impacts
Under the Definition of Solid Waste Exclusions (Including Potential
Disproportionate Adverse Impacts to Minority and Low-Income
Populations): Volume 1--Hazard Characterization, available in the
docket for today's rule.
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D. Rationale for the Verified Recycler Exclusion
Based on this reconsideration of the DSW transfer-based exclusion
conditions, EPA has determined that hazardous secondary materials
transferred off-site to third party reclaimers for the purpose of
legitimate reclamation are most appropriately covered under a system
that allows for oversight and public participation prior to the start
of operations to help ensure that (1) the hazardous secondary material
will be legitimately reclaimed and not discarded and (2) the potential
risk of releases from the facility impacting the surrounding community
will be minimized. The need for such additional oversight and public
participation is demonstrated by (1) evidence of past damage cases
leading to significant risk to human health and the environment from
hazardous secondary materials originally intended for recycling and (2)
the underlying perverse incentives of the recycling market to over-
accumulate such hazardous secondary materials intended for recycling,
resulting in discard of the material. In other words, the transfer-
based exclusion can exacerbate financial incentives for small and/or
inexperienced businesses to take in more hazardous secondary materials
than they actually can use, mishandle it, and even go out of business,
as shown by the fact that bankruptcies or other types of business
failures were associated with 66% of the recycling damage cases,
resulting in multi-million dollar cleanups.
At the same time, as EPA noted in the 2011 DSW proposal and as was
echoed in the public comments, EPA has also carefully monitored the
implementation of the 2008 DSW final rule since it came into effect in
December 2008, and to date, no environmental problems have been
reported by states related to 2008 transfer-based exclusion. As of
April 2014, a total of 65 facilities are operating under the transfer-
based exclusion, 56 of which are generators transferring off-site and 7
which are reclamation facilities.\12\ All seven reclamation facilities
are RCRA permitted. Of the 56 generators operating under the transfer-
based exclusion, 32 generators appear to have either started or
substantially increased their recycling as a result of the 2008 DSW
exclusions. These include generators that had previously reported in
their 2007, 2009, or 2011 biennial report that they sent their solvents
off site for fuel blending, and then notified that they are sending
their spent solvents for reclamation under the 2008 DSW final rule. In
addition, in at least five cases, facilities have switched from sending
spent pickle liquor to landfilling or deep well injection to recycling
under the 2008 DSW rule. In total, the 2008 DSW notifications document
that over 57,000 tons of hazardous secondary material were reclaimed
under the 2008 DSW rule during 2011.\13\
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\12\ Some of these facilities are also managing hazardous
secondary materials under the generator-controlled exclusion.
\13\ U.S. EPA, EPA's Evaluation of Data Collected From
Notifications Submitted Under the 2008 Definition of Solid Waste
Exclusions, April 11, 2014.
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In addition, it should be noted that the Department of
Environmental Protection for the State of Pennsylvania (PA DEP), where
27 of the 65 facilities operating under the transfer-based exclusion
are located, commented strongly in favor of keeping the transfer-based
exclusion: ``PA DEP has experienced no compliance problems or issues of
any nature with those generators or reclamation facilities operating
under this conditional exclusion, known as the transfer-based
exclusion. In addition, under the transfer-based exclusion, large
quantities of hazardous solvents have been diverted to reclamation and
reuse rather than being burned for energy recovery, resulting in
greater resource conservation.'' \14\
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\14\ Comment to the docket from Vincent J. Brisini, Acting
Deputy Secretary for Waste, Air, Radiation and Remediation,
Pennsylvania Department of Environmental Protection, October 20,
2011 (EPA-HQ-RCRA-2010-0742-0271).
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Given that the transfer-based exclusion has been achieving its
intended purpose of encourage safe, legitimate recycling, withdrawing
the transfer-based exclusion and replacing it with RCRA Subtitle C
hazardous waste requirements is unnecessary and would result in
hazardous secondary material that is currently being legitimately
recycled and not discarded being regulated as hazardous waste. Because
Subtitle C regulation would be more stringent that the current
exclusion, if EPA were to finalize the alternative Subtitle C
standards, Pennsylvania (and other states that have adopted the 2008
DSW rule) would have to regulate this material as hazardous waste,
despite the
[[Page 1709]]
fact that according to the state it is currently being legitimately
recycled and not discarded.
However, it is important to note that the comments from PA DEP went
on to recommend that the transfer-based exclusion be limited to RCRA-
permitted facilities. Because all recycling under the transfer-based
exclusion has been (to date) performed at RCRA-permitted facilities,
EPA is unable to extrapolate what would happen at facilities without
RCRA Subtitle C permits if the transfer-based exclusion were fully
implemented. Given the evidence of past damage cases leading to
significant risk to human health and the environment from hazardous
secondary materials originally intended for recycling and the
underlying perverse incentives of the recycling market to over-
accumulate such hazardous secondary materials intended for recycling,
resulting in discard of the material, additional oversight of recycling
beyond the self-implementing measures of the transfer-based exclusion
is needed to ensure that the hazardous secondary material is
legitimately recycled and not discarded.
To address this issue, EPA is requiring as a condition of the new
verified recycler exclusion that generators must send their hazardous
secondary materials to a RCRA-permitted recycler or intermediate
facility \15\ or to a verified hazardous secondary materials recycler
or intermediate facility who has obtained a solid waste variance from
EPA or the authorized state using the procedures found in 40 CFR
260.33. The verified recycler exclusion uses the solid waste variance
procedure to determine if a facility will properly manage the hazardous
secondary materials as commodities and legitimately recycle rather than
discard them. The variance addresses the same criteria currently
required for the reasonable efforts environmental audit under the 2008
transfer-based exclusion (see discussion below). However, the variance
process would allow EPA or the authorized state to evaluate the
facility before it begins recycling hazardous secondary materials and
would also give the affected community the opportunity to provide input
prior to a decision as to whether the variance should be granted, thus
addressing a major regulatory gap in the transfer-based exclusion that
could result in significant risk to human health and the environment
from discarded hazardous secondary material.
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\15\ Intermediate facilities are those facilities that do not
reclaim hazardous secondary materials, but store them for more than
10 days.
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In addition, as described below, the verified recycler exclusion
retains those conditions from the 2008 transfer-based exclusion that
EPA determined are necessary to properly identify hazardous secondary
material that is legitimately recycled and not discarded, and also
includes the new conditions that apply to the generator-controlled
exclusion being finalized today.
EPA expects that all facilities that are currently recycling
hazardous secondary materials under the 2008 transfer-based exclusion
will be able to continue to recycle these materials under the verified
recycler exclusion, because all recycling under the transfer-based
exclusion is being done at RCRA-permitted facilities, which also
qualify for the verified recycler exclusion. Moreover, the additional
conditions of the verified recycler exclusion address the regulatory
gaps EPA identified in the 2011 DSW proposal that could have resulted
in significant risk to human health and the environment from discarded
material, if the 2008 DSW had been fully implemented to include
facilities without RCRA permits or other regulatory oversight prior to
beginning recycling.
Finally, EPA notes that facilities managing excluded hazardous
secondary materials under the verified recycling exclusion are still
potentially subject to RCRA enforcement actions if they fail to meet
the conditions of the exclusion. Persons that handle these hazardous
secondary materials are responsible for maintaining the exclusion by
ensuring that the conditions are met. If the hazardous secondary
materials are not managed pursuant to these restrictions, they are not
excluded. They would then be considered solid and hazardous wastes if
they were listed or they exhibited a hazardous waste characteristic for
RCRA Subtitle C purposes.
E. Conditions of the Verified Recycler Exclusion
The conditions discussed below describe EPA's evaluation of each of
the conditions under the 2008 transfer-based exclusion that EPA is
retaining in the verified recycler exclusion, as well as the additional
conditions EPA has determined are necessary to address the regulatory
gaps identified in the transfer-based exclusion in order to ensure that
the verified recycler exclusion identifies hazardous secondary
materials that are legitimately recycled and not discarded. By
including these conditions, EPA is identifying those hazardous
secondary materials that will be legitimately recycled and not
discarded.
1. Provisions Applicable to the Hazardous Secondary Materials
Generator, the Reclamation Facility, and any Intermediate Facility
Prohibition on speculative accumulation. As a condition of the
verified recycler exclusion, hazardous secondary materials cannot be
speculatively accumulated (40 CFR 261.1(c)(8)) at the hazardous
secondary material generator, reclamation facility, or intermediate
facility. Restrictions on speculative accumulation have been an
important element of the RCRA hazardous waste recycling regulations
since they were promulgated on January 4, 1985. According to this
regulatory provision, hazardous secondary materials are accumulated
speculatively if the person accumulating them cannot show that the
material is potentially recyclable. Further, the person accumulating
the hazardous secondary material must show that during a calendar year
(beginning January 1) the amount of such material that is recycled or
transferred to a different site for recycling is at least 75% by weight
or volume of the amount of the hazardous secondary material present at
the beginning of the period. It is also the same prohibition that is
being promulgated today for the generator-controlled exclusions.
Furthermore, under today's rule, all persons subject to the
speculative accumulation requirements at 40 CFR 261.1(c)(8) (including,
but not limited to, persons operating under the verified recycler
exclusion at Sec. 261.4(a)(24)) must place materials subject to those
requirements in a storage unit with a label indicating the first date
that the material began to be accumulated. If placing a label on the
storage unit is not practicable, the accumulation period must be
documented through an inventory log or other appropriate method.
This provision will allow inspectors and other regulatory
authorities to quickly ascertain how long a facility has been storing
an excluded hazardous secondary material, and, therefore, whether that
facility is in compliance with the accumulation time limits of Sec.
261.1(c)(8).This provision is being retained in the verified recycler
exclusion to ensure that the hazardous secondary materials will be
recycled rather than discarded through speculative accumulation and
abandonment.
Notification. Under today's verified recycler exclusion, as a
condition of the exclusion, hazardous secondary
[[Page 1710]]
material generators, reclaimers, and intermediate facilities must send
a notification prior to operating under this exclusion and by March 1
of each even-numbered year thereafter to the EPA Regional Administrator
using EPA form 8700-12. In states authorized by EPA to administer the
RCRA Subtitle C hazardous waste program, notifications may be sent to
the State Director. The notice must include the following:
The name, address, and EPA ID number (if applicable) of
the facility;
The name and telephone number of a contact person;
The NAICS code of the facility;
The exclusion under which the hazardous secondary
materials will be managed;
When the facility expects to begin managing the
hazardous secondary materials in accordance with the exclusion;
A list of hazardous secondary materials that will be
managed according to the exclusion (reported as the EPA hazardous
waste numbers that would apply if the hazardous secondary materials
were managed as hazardous waste);
For each hazardous secondary material, whether the
material, or any portion thereof, will be managed in a land-based
unit;
The quantity of each hazardous secondary material to be
managed annually; and
The certification (included in EPA form 8700-12) signed
and dated by an authorized representative of the facility.
If a facility has submitted a notification, but then subsequently
stops managing hazardous secondary materials in accordance with the
exclusion, the facility must re-notify the Regional Administrator
within 30 days using the same EPA Form 8700-12. We consider a facility
to have `stopped' managing hazardous secondary materials when a
facility no longer generates, manages and/or reclaims hazardous
secondary materials under the exclusion and does not expect to manage
any amount of hazardous secondary material under the exclusion for at
least one year. Of course, a facility could certainly choose to begin
managing hazardous secondary materials again and would simply have to
submit a notification in compliance with 40 CFR 260.42.
This notification condition is the same as the notification
condition for the generator-controlled exclusion and is an indication
that the facility is planning to legitimately recycle the hazardous
secondary materials and not discard them. As with the generator-
controlled exclusion, EPA is finalizing the notification provision as a
condition of the transfer-based exclusion because it is the only formal
indication of a facility's intent to reclaim a hazardous secondary
material under the conditional exclusion rather than to discard it. For
further discussion on the notification, including examples of when a
facility must re-notify that it has stopped managing hazardous
secondary materials, see section V.B.2 of today's preamble.
Hazardous secondary materials must be contained. Another condition
of the verified recycler exclusion applicable to hazardous secondary
material generators, reclamation facilities, and intermediate
facilities is that the hazardous secondary materials must be contained
in their management units. This provision is the same as the
restriction that is being promulgated for the generator-controlled
exclusion and helps ensure that the hazardous secondary material
remains in the management unit until it is ready to be recycled and is
not discarded. Hazardous secondary materials released to the
environment from any unit are discarded and would be subject to the
hazardous waste regulations, unless they are immediately cleaned up.
Hazardous secondary materials remaining in a unit that experiences a
release may also be considered discarded in certain cases. For further
discussion on the containment provisions, see section V.B.1 of today's
preamble.
Emergency preparedness and response. As discussed above under the
generator-controlled exclusion, one important cause of environmental
and human health damages identified by the environmental problems study
is fires, explosions, and accidents, with 19% of the environmental
damage cases being associated with leaks, spills, fires, explosions, or
other accidents, and the lack of conditions to address these problems
is a significant regulatory gap in the 2008 DSW exclusions. In
addition, the President recently released an Executive Order to address
these types of concerns (EO 13650--Improving Chemical Facility Safety
and Security). EPA finds that planning and preparing for an emergency
demonstrates a generator's intent to not only protect human health and
the environment, but also to reduce potential loss of valuable
hazardous secondary materials. In the absence of such requirements,
hazardous secondary materials pose a greater risk of being released and
discarded to the environment.
Therefore, EPA is requiring that generators must follow certain
emergency preparedness and response regulations under the verified
recycler exclusion. These regulations are found in 40 CFR part 261
subpart M and are dependent on the amount of hazardous secondary
material the generator accumulates on site at any time.\16\ Under the
final rule, generators that accumulate less than or equal to 6,000 kg
of hazardous secondary material on site must meet regulations like the
emergency preparedness and response regulations currently required for
small quantity generators of hazardous waste. Generators that
accumulate more than 6,000 kg of hazardous secondary material on site
must meet regulations like the emergency preparedness and response
regulations currently required for large quantity generators of
hazardous waste. EPA chose to set the threshold at 6,000 kg based on
the current hazardous waste generator regulations, which require
generators that accumulate greater than 6,000 kg of hazardous waste on
site to comply with large quantity generator regulations, including
emergency preparedness and response regulations. EPA finds that
generators that accumulate greater amounts of hazardous secondary
material on site inherently pose greater risk to human health and the
environment from a potential release caused by a fire or explosion and
thus it is more appropriate for these generators to take additional
steps to prepare for such events.
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\16\ Intermediate facilities and reclamation facilities must
also follow emergency prepared and response regulations, either
through the requirement of their RCRA permit or through the criteria
that must be met to obtain a verified recycler variance under 40 CFR
260.31(d).
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Specifically, EPA is requiring that generators that accumulate less
than or equal to 6,000 kg of hazardous secondary material on site
comply with the emergency preparedness and response requirements
equivalent to those in part 265 subpart C, which discuss maintaining
appropriate emergency equipment on site, having access to alarm
systems, maintaining needed aisle space, and making arrangements with
local emergency authorities. A generator must also have a designated
emergency coordinator who must respond to emergencies and must post
certain information next to the telephone in the event of an emergency.
For generators that accumulate more than 6,000 kg of hazardous
secondary material on site, EPA is requiring that they comply with
requirements equivalent to those in part 265 subparts C and D, which
includes all the requirements already discussed above for those
accumulating less than or equal to 6,000 kg, as well as requiring a
contingency plan and sharing the plan with local emergency responders.
EPA
[[Page 1711]]
recommends that the contingency plan be based on the National Response
Team's Integrated Contingency Plan Guidance (One Plan), discussed in
the Federal Register on June 5, 1996 (61 FR 28642). Under the One Plan
Guidance, the generator can develop one contingency plan that meets all
the regulatory standards for the various statutory and regulatory
provisions for contingency planning, such as EPA's Oil Pollution
Prevention Regulation or Risk Management Programs regulations, the U.S.
Coast Guard's (USCG) Facility Response Plan regulations, OSHA's
Hazardous Waste Operations and Emergency Response (HAZWOPER)
regulations, and several others.
EPA has determined that adding these emergency preparedness and
response conditions meets the goals of the Chemical Safety EO and also
will ensure that those facilities managing hazardous secondary material
under the exclusion will be doing so in a manner that allows them to
safely recycle the hazardous secondary material and limit loss into the
environment of materials that are supposed to be recycled. These
provisions are the common-sense steps that a facility that manages
hazardous materials should take to reduce risk to their workers and the
public. Additionally, structuring the emergency preparedness and
response conditions of the verified recycler exclusion after the
existing hazardous waste requirements serves to reduce burden on
generators, as generators are already familiar and complying with this
regulations.
Exclusion is limited to recycling performed within the United
States. Because the verified recycler exclusion requires that hazardous
secondary materials are sent to a verified reclamation facility (or
facilities) that has been granted either a RCRA permit or interim
status that addresses the hazardous secondary material or has received
a variance from EPA or the authorized state, this exclusion is limited
to recycling performed within the United States or its territories.
Because hazardous secondary materials that are exported for recycling
passes out of the regulatory control of the federal government, it is
not possible to verify whether the foreign reclaimer will safely and
legitimately recycle the hazardous secondary material and not discard
it.
2. Provisions Applicable to the Hazardous Secondary Material Generator
Transport to a Verified Recycler. The hazardous secondary material
generator must transport hazardous secondary materials to a verified
reclamation facility (or facilities) within the United States or its
territories. A verified reclamation facility is a facility that has
been granted a variance by EPA or an authorized state under Sec.
260.31(d) or a reclamation facility where the management of the
hazardous secondary materials is addressed under a RCRA Part B permit
or interim status standards. If the hazardous secondary material will
be passing through an intermediate facility, the intermediate facility
must have been granted a variance under Sec. 260.31(d) or the
management of the hazardous secondary materials at that facility must
be addressed under a RCRA Part B permit or interim status standards.
The hazardous secondary material generator must also make contractual
arrangements with the intermediate facility to ensure that the
intermediate facility sends the hazardous secondary material to the
verified reclamation facility identified by the hazardous secondary
material generator.
Note that in the case of a permitted facility the management of the
hazardous secondary materials must be addressed under the RCRA part B
permit or interim status standards. In other words, if the permit
standards do not extend to the hazardous secondary materials being
reclaimed, then the reclamation or intermediate facility is required to
either modify the permit to cover those materials or obtain a solid
waste variance from EPA or the authorized state before operating under
the exclusion.
This condition addresses the major regulatory gap in the transfer-
based exclusion of lack of oversight and public participation for
hazardous secondary material recycling facilities that do not have RCRA
permits. Given the evidence of past damage cases leading to significant
risk to human health and the environment from hazardous secondary
materials originally intended for recycling and the underlying perverse
incentives of the recycling market to over-accumulate such hazardous
secondary materials intended for recycling, resulting in discard of the
material, additional oversight of recycling beyond the self-
implementing measures of the transfer-based exclusion are needed to
ensure that the hazardous secondary material is legitimately recycled
and not discarded.
This condition replaces the self-implementing ``reasonable
efforts'' environmental audits of the recycling facility required under
the 2008 transfer-based exclusion. EPA has determined that it more
appropriate for the state or EPA to make the determination that a
facility can safely and legitimately recycle hazardous secondary
material. While EPA has found that many large companies do conduct
environmental audits of recycling facilities, many smaller generators
would not have the technical expertise or resources to conduct such an
effort.\17\ In addition, it is more efficient for the EPA or the
authorized state to perform one evaluation of a recycler via the permit
or variance process rather than have multiple evaluations of a recycler
conducted by each generator using that recycler.
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\17\ An Assessment of Good Current Practices for Recycling of
Hazardous Secondary Materials (EPA-HQ-RCRA-2002-0031-0354).
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Recordkeeping. EPA is requiring hazardous secondary material
generators to maintain at the generating facility certain records that
document off-site shipments of hazardous secondary materials for a
period of three years. Specifically, for each shipment of hazardous
secondary material, the generator must maintain documentation of when
the shipment occurred, who the transporter was, the name and address of
the reclaimer(s) and, if applicable, each intermediate facility, and
the type and quantity of the hazardous secondary materials in the
shipment. This recordkeeping requirement may be fulfilled by ordinary
business records, such as bills of lading.
In addition, hazardous secondary material generators are required
to maintain confirmations of receipt from each reclaimer and
intermediate facility for all off-site shipments of hazardous secondary
materials in order to verify that the hazardous secondary materials
reached their intended destination and were not discarded. These
receipts must be maintained at the generating facility for a period of
three years. Specifically, the hazardous secondary material generator
must maintain documentation of receipt that includes the name and
address of the reclaimer or intermediate facility, the type and
quantity of hazardous secondary materials received, and the date which
the hazardous secondary materials were received. The Agency is not
requiring a specific template or format for confirmations of receipt
and anticipates that routine business records (e.g., financial records,
bills of lading, copies of Department of Transportation (DOT) shipping
papers, electronic confirmations of receipt) could contain the
appropriate information sufficient for meeting this requirement.
We recognize that, in some cases, reclamation of a hazardous
secondary material may involve more than one
[[Page 1712]]
reclamation step. In these cases, the recordkeeping condition under the
terms of the exclusion applies for each reclaimer and intermediate
facility, regardless of how many reclamation steps were involved. For
example, if a hazardous secondary material generator shipped hazardous
secondary materials to one reclaimer for partial reclamation and then
arranged for the partially-reclaimed material to be subsequently sent
to another reclaimer for ``final'' reclamation, the generator must
maintain confirmations of receipt from each reclaimer involved in the
reclamation process.
The recordkeeping requirements are the same as those in the 2008
transfer-based exclusion and Agency continues to believe that the
recordkeeping requirements in today's rule comprise the minimum
information needed to enable effective oversight to ensure the
hazardous secondary materials were sent for reclamation and were not
discarded.
3. Provisions Applicable to the Transportation of Hazardous Secondary
Materials
Hazardous secondary materials may be stored for up to 10 days at a
transfer facility and still be considered in transit. However, if the
facility stores the hazardous secondary materials for more than 10
days, then it would be considered an intermediate facility and subject
to the conditions in 40 CFR 261.4(a)(24)(vi). While at the transfer
facility, the hazardous secondary materials must continue to meet all
applicable DOT standards. Hazardous secondary materials may be
consolidated for shipping, but cannot be intermingled in a way that
would constitute waste management. This provision is unchanged from the
2008 transfer-based exclusion and describes the intersection of the
RCRA and DOT requirements for these shipments.
4. Provisions Applicable to the Reclamation Facility and any
Intermediate Facilities
Recordkeeping. Reclaimers and intermediate facilities who operate
under the verified recycler exclusion must maintain certain records,
similar to the records we are requiring for hazardous secondary
material generators. Specifically, reclaimers and intermediate
facilities must maintain at their facilities for a period of three
years records of all shipments of hazardous secondary materials that
were received at the facility and, if applicable, records of all
shipments of hazardous secondary materials sent off-site from the
facility. For hazardous secondary materials received at the reclamation
and intermediate facility, such records must document the name and
address of the hazardous secondary material generator, the type and
quantity of hazardous secondary materials received at the facility, any
intermediate facilities that managed the hazardous secondary materials,
the name of the transporter that brought the hazardous secondary
materials to the facility, and the date such materials were received at
the facility.
For hazardous secondary materials that, after being received by the
reclaimer or intermediate facility, are subsequently sent off-site for
further reclamation, reclaimers and intermediate facilities must
document the name and address of the hazardous secondary material
generator, when the shipment occurred, who the transporter was, the
name and address of the subsequent reclaimer and, if applicable, each
subsequent intermediate facility, and the type and quantity of
hazardous secondary materials in the shipment. This recordkeeping
requirement may be fulfilled by ordinary business records, such as
bills of lading.
Reclaimers and intermediate facilities must also send confirmations
of receipt to the hazardous secondary material generator for all off-
site shipments of hazardous secondary materials received at the
facility in order to verify for the hazardous secondary material
generator that their materials reached the intended destination and
were not discarded. Specifically, the reclaimer (or each reclaimer,
when more than one reclamation step is required) and, if applicable,
each intermediate facility, must send documentation of receipt to the
hazardous secondary material generator that includes the name and
address of the reclaimer or intermediate facility, the type and
quantity of the hazardous secondary materials received and the date
which the hazardous secondary materials were received. The Agency is
not requiring a specific template or format for confirmations of
receipt and anticipates that routine business records (e.g., financial
records, bills of lading, copies of DOT shipping papers, electronic
confirmations of receipt) could contain the appropriate information
sufficient for meeting this requirement.
In addition, reclaimers and intermediate facilities must also meet
the recordkeeping requirements under financial assurance discussed
below in this section.
Storage of Hazardous Secondary Materials. In addition to the
condition that the hazardous secondary materials must be contained (40
CFR 261.4(a)(24)(v)(A)), reclamation facilities and intermediate
facilities must also manage the hazardous secondary materials in a
manner that is at least as protective as that employed for the
analogous raw material, where there is an analogous raw material. Where
there is no analogous raw material, the hazardous secondary material
must be contained.
An ``analogous raw material'' is a material for which a hazardous
secondary material substitutes and which serves the same function and
has similar physical and chemical properties as the hazardous secondary
material. A raw material that has significantly different physical or
chemical properties would not be considered analogous even if it serves
the same function. For example, a metal-bearing ore might serve the
same function as a metal-bearing air pollution control dust, but
because the physical properties of the dust would make it more
susceptible to wind dispersal, the two would not be considered
analogous. Similarly, hazardous secondary materials with high levels of
toxic volatile chemicals would not be considered analogous to a raw
material that does not have these volatile chemicals or that has only
minimal levels of volatile chemicals. Storage conditions for
reclamation facilities and intermediate facilities that operate under
today's exclusion demonstrate that the materials are not discarded, but
instead are treated valuable commodities which would be used and not
lost to the environment.
This condition is the same as the parallel condition in the 2008
transfer-based exclusion and is based on the fact that the great
majority of damage cases documented in the environmental problems study
occurred at commercial reclamation and intermediate storage facilities,
and mismanagement of hazardous secondary materials was found to be a
cause of environmental problems in approximately 40% of the incidents.
Accordingly, EPA has determined that this condition for storage is
necessary and appropriate for reclamation facilities and intermediate
facilities that take advantage of this exclusion to show that storage
of these materials is not just another way of disposing of them. In
addition, it will establish an expectation for the owner/operators of
such facilities that they must manage hazardous secondary materials in
a manner at least as protective as they would an analogous raw material
and in such a way that materials would not be released into the
environment.
[[Page 1713]]
Management of recycling residuals. Another condition of the
verified recycler exclusion is that any residuals that are generated
from the reclamation processes must be managed in a manner that is
protective of human health and the environment. If any residuals
exhibit a hazardous characteristic according to subpart C of 40 CFR
part 261, or themselves are listed hazardous wastes, they are hazardous
wastes (if discarded) and must be managed according to the applicable
requirements of 40 CFR parts 260 through 273.
This condition is the same as the parallel condition in the 2008
transfer-based exclusion and the purpose of this condition is to
clarify the regulatory status of these waste materials and to emphasize
in explicit terms that residuals that are generated from the
reclamation of hazardous secondary materials must be managed properly
so that the reclamation operation does not become another way of
avoiding waste management and simply becomes another way of discarding
unwanted material. The study of recent (i.e., post-CERCLA and post-
RCRA) recycling-related environmental problems revealed that
mismanagement of residuals was the cause of such problems in one-third
of the incidents that were documented. Some common examples of these
mismanaged residuals were acids and casings from the processing of
lead-acid batteries, solvents and other liquids generated from cleaning
drums at drum reconditioning facilities, and PCBs and other oils
generated from disassembled transformers. In many of these damage
incidents, the residuals were simply disposed of on-site with little
regard for the environmental consequences of such mismanagement or
possible CERCLA liabilities associated with cleanup of these releases.
By making proper management of the recycling residuals a condition of
the exclusion, EPA ensures that the reclamation operation is not just
another way of discarding hazardous constituents. This has the added
benefit of ensuring that the reclamation operation does not pose a
significant risk to human health and the environment.
Financial Assurance. The financial assurance condition is another
condition that is the same as the parallel condition in the transfer-
based exclusion. By obtaining financial assurance, the reclamation or
intermediate facility is making a direct demonstration that it will not
abandon the hazardous secondary materials, it will properly
decontaminate equipment, and it will clean up any unacceptable
releases, even if events beyond its control make its operations
uneconomical. Moreover, financial assurance also addresses the
correlation of the financial health of a reclamation or intermediate
facility with the absence of discard. In essence, financial assurance
will help demonstrate that the reclamation facility or intermediate
facility owner/operators who would operate under the terms of this
exclusion are financially sound and will not discard the hazardous
secondary materials, or if the facility faces financial difficulties,
that funds would have been set aside to address any issues and,
therefore, these costs will not be imposed on the U.S. taxpayer.
The financial assurance requirement has been retained in 40 CFR
part 261 subpart H because the substance of the requirement is
unchanged from the financial assurance requirement for the 2008 DSW
transfer-based exclusion. However, the financial assurance condition is
now one of the criteria that is evaluated under the verified recycler
solid waste variance, allowing the state or EPA to verify that the
financial assurance obtained by the reclamation facility or
intermediate facility is sufficient and accessible (in contrast, the
financial assurance condition in the 2008 DSW transfer-based exclusion
was self-implementing and not subject to review by EPA or the
authorized state prior to the facility beginning operation).
A detailed discussion of the 40 CFR part 261 subpart H financial
assurance provisions can be found in the 2008 DSW final rule at 73 FR
64692-8, October 30, 2008.
Verification of the Recycler. As discussed earlier, the condition
requiring verification of the recycler is the one of the major
differences between the transfer-based exclusion and the verified
recycler exclusion and addresses the major regulatory gap in the
transfer-based exclusion of lack of oversight and public participation
for hazardous secondary material recycling facilities that do not have
RCRA permits. The reclaimer and intermediate facility must have been
granted a solid waste variance by EPA or an authorized state under
Sec. 260.31(d) or must have a RCRA Part B permit or interim status
standards that address the management of the hazardous secondary
materials. An intermediate or reclamation facility may apply for a
solid waste variance to accept hazardous secondary materials by
addressing the substantive criteria of the ``reasonable efforts''
condition that had previously applied to the hazardous secondary
material generator under 40 CFR 261.4(a)(24)(B). In addition, the
variance must address the potential for risk to proximate populations
from unpermitted releases of the hazardous secondary material to the
environment.
Specifically, to qualify for the solid waste variance, the facility
must address the following criteria:
(1) The intermediate or reclamation facility must demonstrate that
the reclamation process for the hazardous secondary materials is
legitimate pursuant to Sec. 260.43;
(2) The intermediate or reclamation facility must satisfy the
financial assurance condition in Sec. 261.4(a)(24)(vi)(F);
(3) The intermediate or reclamation facility must not be subject to
a formal enforcement action in the previous three years and must not be
classified as a significant non-complier under RCRA Subtitle C, or must
provide credible evidence that the facility will manage the hazardous
secondary materials properly. Credible evidence may include a
demonstration that the facility has taken remedial steps to address the
violations and prevent future violations, or that the violations are
not relevant to the proper management of the hazardous secondary
materials;
(4) The intermediate or reclamation facility must have the
equipment and trained personnel to safely manage the hazardous
secondary material and must meet emergency preparedness and response
requirements;
(5) If residuals are generated from the reclamation of the excluded
hazardous secondary materials, the reclamation facility must have the
permits required (if any) to manage the residuals, have a contract with
an appropriately permitted facility to dispose of the residuals, or
present credible evidence that the residuals will be managed in a
manner that is protective of human health and the environment; and
(6) The intermediate or reclamation facility must address the
potential for risk to proximate populations from unpermitted releases
of the hazardous secondary material to the environment (including
releases that are not covered by a permit, such as a permit to
discharge to water or air, and may include, but are not limited to,
potential releases through surface transport by precipitation runoff,
releases to soil and groundwater, wind-blown dust, fugitive air
emissions, and catastrophic unit failures), and must include
consideration of potential cumulative risks from other nearby potential
stressors.
The rationale for each of these criteria is discussed below.
Criterion (1) is based on the first reasonable efforts question in
the 2008
[[Page 1714]]
transfer-based exclusion and focuses on whether the reclamation
facility receiving hazardous secondary materials from a generator
legitimately recycles such materials. Determining whether a recycling
operation is legitimate is a fundamental basis for establishing that a
generator's hazardous secondary materials will not be discarded. For
further discussion of legitimate recycling, see section VIII.
Criterion (2) is based on the second reasonable efforts question in
the 2008 transfer-based exclusion and addresses whether the facility
has the necessary financial assurance to cover the costs of managing
any hazardous secondary materials that remain if the facility closes.
If a facility was found to have failed to meet the condition to have
financial assurance, then it also would have failed to show a good
faith effort towards demonstrating that it intends to recycle the
hazardous secondary materials (or, in the case of the intermediate
facility, properly store the hazardous secondary material) and not
discard them. Note that the second reasonable efforts question also
required the generator to verify that the regulatory authority had been
notified by the recycler under the 2008 transfer-based exclusion, but
under the verified recycler exclusion, the state or EPA can verify that
directly, thus, it is not included here.
Criterion (3) is based on the third reasonable efforts question in
the transfer-based exclusion and focuses on the compliance history of
the recycler or the intermediate facility (to the extent that the
hazardous secondary material generator uses an intermediate facility).
The language of this requirement has been simplified from the
corresponding reasonable efforts question because the information is
submitted to the regulatory agency who already has access to the
pertinent enforcement information, rather than obtained by the
generator who would need to rely on publicly-available data. This
criterion requires that the facility must either not be subject to a
formal enforcement action in the previous three years and not be
classified as a significant non-complier under RCRA Subtitle C, or must
provide credible evidence that the facility will manage the hazardous
secondary materials properly.
``Formal enforcement'' is a written document that mandates
compliance and/or initiates a criminal, civil or administrative
process, with or without appeal rights before a trial of fact that
results in an enforceable agreement or order and an appropriate
sanction. For EPA, formal enforcement action is a referral to the U.S.
Department of Justice for the commencement of a criminal or civil
action in the appropriate U.S. District Court, or the filing of an
administrative complaint, or the issuance of an order, requiring
compliance and a sanction. For states, formal enforcement action is a
referral to the state's Attorney General for the commencement of a
criminal, civil or administrative action in the appropriate forum, or
the filing of an administrative complaint, or the issuance of an order,
requiring compliance and a sanction. ``Significant non-complier'' is a
defined term in EPA's Hazardous Waste Civil Enforcement Response Policy
and means the violators have caused actual exposure or a substantial
likelihood of exposure to hazardous waste or hazardous waste
constituents; are chronic or recalcitrant violators; or deviate
substantially from the terms of a permit, order, agreement, or from the
RCRA statutory or regulatory requirements. In evaluating whether there
has been actual or likely exposure to hazardous waste or hazardous
waste constituents, EPA and the states consider both the environmental
and human health concerns, including the potential exposure of workers
to hazardous waste or hazardous waste constituents. For both terms, see
EPA's Hazardous Waste Civil Enforcement Response Policy (Dec. 2003) at
https://www.epa.gov/compliance/resources/policies/civil/rcra/finalerp1203.pdf.
While a facility being designated as a significant non-complier
and/or the subject of a formal enforcement action does not
automatically mean that the facility would not reclaim the hazardous
secondary materials properly, it does raise questions that we believe
the facility requesting the variance should address. That is, if any
formal enforcement actions were taken against the facility in the
previous three years for such non-compliance and the facility was
alleged to be a significant non-complier, the facility must adequately
explain how it has resolved any issues or how the reclamation facility
will properly manage the hazardous secondary materials to avoid future
violations and/or enforcement actions.
Criterion (4) is based on the fourth reasonable efforts question
from the 2008 transfer-based exclusion and addresses the technical
capability of the recycler or intermediate facility, the most basic
requirement for ensuring proper and legitimate recycling of hazardous
secondary materials. If a reclamation or intermediate facility was
found to have no equipment or inadequate equipment for storing the
hazardous secondary material or was found to have personnel who have
not been trained for reclaiming the hazardous secondary materials, it
raises serious questions as to whether the facility would properly
manage such materials and avoid discarding them to the environment.
This criterion also includes the addition of verifying that the
facility meets the new emergency preparedness and response condition
discussed earlier.
Criterion (5) is based on the fifth reasonable efforts question in
the 2008 transfer-based exclusion and addresses another major cause of
environmental problems from recycling hazardous secondary materials:
the management of residuals. This criterion relates to discard through
the concept that a generator or reclaimer may actually be discarding
hazardous secondary materials through the release of residuals from the
recycling process. While the product made from recycling may be a
legitimate product, the whole recycling process could be considered
discard if hazardous constituents from the recycled hazardous secondary
materials are released to the environment. Roughly one-third of the
damage cases documented in EPA's environmental problems study were
caused by mismanagement of the residuals from recycling. To address
criterion (5), the petitioner would need to demonstrate that the
reclamation facility has practices in place to ensure that residuals
are managed in a manner that is protective of human health and the
environment and according to applicable federal or state standards.
Criterion (6) is a new standard not included in the 2008 transfer-
based exclusion and is a case-specific performance-based criterion that
addresses the risk to proximate populations from unpermitted releases
of the hazardous secondary material to the environment (including
releases that are not covered by a permit, such as a permit to
discharge to water or air, and may include, but are not limited to,
potential releases through surface transport by precipitation runoff,
releases to soil and groundwater, wind-blown dust, fugitive air
emissions, and catastrophic unit failures), and must include
consideration of potential cumulative risks from other nearby potential
stressors. The purpose of this criterion is to specifically address the
differences in the preventative measures between a RCRA-permitted
facility as compared to a facility managing excluded hazardous
secondary material, including the lack of prescriptive standards for
storage and containment (including air emissions standards). In
addition, this criterion would address the finding that many of the
populations
[[Page 1715]]
likely to be proximate to hazardous secondary materials recycling
facilities are subject to multiple environmental stressors, including
other industrial facilities, landfills, transportation-related air
emissions, poor housing conditions (e.g., lead-based paint), leaking
underground tanks, pesticides, and incompatible land uses.
The steps the petitioner would take to address this criterion would
depend on case-specific circumstances. For example, a facility that is
recycling a hazardous secondary material that is not particularly
mobile in the environment (e.g., a non-liquid material that does not
pose a risk of wind-blown dust) and is not located near population
centers would simply need to document these facts in order to meet this
criterion. On the other hand, a facility recycling a hazardous
secondary material that is volatile, ignitable, or otherwise has a high
potential to adversely impact nearby populations in case of a release
would need to document the specific steps taken to prevent releases.
EPA recommends that the petitioner engage the potentially affected
community in developing this document to ensure that they have
addressed the concerns expressed by the community.
E. Procedure for Obtaining a Verified Recycler Solid Waste Variance
The process for obtaining a verified recycler solid waste variance
is the same as that for the other solid waste variances found in 40 CFR
260.30. In order to obtain a variance, a facility that manages
hazardous secondary materials that would otherwise be regulated under
40 CFR part 261 as either a solid waste or a hazardous waste must apply
to the Administrator or the authorized state per the procedures
described in 40 CFR 260.33, which EPA is amending today to apply to
verified recyclers and intermediate facilities. The application must
address the relevant criteria discussed in detail above. The
Administrator or authorized state will evaluate the submission and
issue a draft notice tentatively granting or denying the application.
Notification of this tentative decision will be provided by newspaper
advertisement or radio broadcast in the locality where the facility is
located. The Administrator or authorized state will accept comment on
the tentative decision for 30 days and may also hold a public hearing.
The Administrator or authorized state will issue a final decision after
receipt of comments and after the hearing (if held). If the application
is denied, the facility may still pursue a solid waste variance or
exclusion (for example, one of the solid waste variances under 40 CFR
260.30 or solid waste exclusions under 40 CFR 261.4). (Note that
today's rule includes several modifications to the variances procedure
in 40 CFR 260.33, which would also apply in this case. For further
discussion see Section IX of today's preamble).
F. Termination of the Exclusion
As with the generator-controlled exclusion (and the 2008 transfer-
based exclusion), units managing hazardous secondary materials excluded
under the verified recycler exclusion are not subject to the closure
regulations in 40 CFR parts 264 and 265 subpart G. However, when the
use of these units is ultimately discontinued, owners and operators of
reclamation facilities and intermediate facilities must manage any
remaining hazardous secondary materials, including any residues that
are not reclaimed, as hazardous waste and remove or decontaminate
contaminated containment system components, equipment structures, and
soils. These hazardous secondary materials and residues, if no longer
intended for reclamation, would also no longer be eligible for the
exclusion (which only applies to hazardous secondary materials that are
reclaimed). Failure to remove these materials within a reasonable time
frame after operations cease could cause the facility to become subject
to the full Subtitle C requirements if the Agency determines that
reclamation is no longer feasible. While this final rule does not set a
specific time frame for these activities, they typically should be
completed within the time frames established for analogous activities.
For example, the requirements for product tanks under 40 CFR 261.4(c)
allow 90 days for removal of hazardous material after the unit ceases
to be operated for manufacturing. This time frame should serve as a
guideline for regulators in determining, on a case-by-case basis,
whether owners and operators of reclamation facilities and intermediate
facilities have completed these activities within a reasonable time
frame. In any event, these hazardous secondary materials remain subject
to the speculative accumulation restrictions in 40 CFR 261.4(a)(8),
which includes both a time limitation of recycling 75% of the hazardous
secondary material within a year and a requirement that the facility be
able to show there is a feasible means of recycling the hazardous
secondary material.
VII. Remanufacturing Exclusion
Today, EPA is also finalizing an exclusion from the definition of
solid waste for higher-value solvents transferred from one manufacturer
to another for the purpose of extending the useful life of the original
solvent product by keeping such materials in commerce to reproduce a
commercial grade of the original solvent product provided that certain
conditions are met. For the purpose of this preamble discussion, EPA is
defining this process as ``remanufacturing.'' Remanufacturing that
conforms to these conditions would not involve discard, and therefore
the hazardous secondary materials would not be regulated as solid
waste. As with all recycling-related exclusions and exemptions, such
excluded hazardous secondary materials would also need to be recycled
legitimately. (A discussion of the public comments on the July 2011
proposal and the Agency's responses can be found in section XVI of this
preamble and the full response to comment document is in the docket for
the rulemaking.)
A. Purpose of the Remanufacturing Exclusion
In finalizing this conditional exclusion, EPA's objective is to
encourage sustainable materials management by identifying specific
types of transfers of hazardous secondary materials to third parties,
that under appropriate conditions, do not involve discard and can
result in extending the useful life of a commercial-grade chemical.
Remanufacturing these higher-value hazardous secondary materials can
have a significantly lower environmental impact than manufacturing
these chemicals for a one-time use and then transferring them for
disposal. Thus, remanufacturing allows the hazardous secondary material
product to be used again, lowering their life-cycle environmental
impacts significantly.
Specifically, EPA has determined that, under appropriate
conditions, the potential for discard in inter-company remanufacturing
transfers for certain higher-value spent solvents would be low because
they will be incorporated into the manufacturing process rather than
accumulated or disposed of. Once these solvents are remanufactured to
commercial grade, they can be used as replacements for virgin
commercial grade solvents. The economic incentive for a company
receiving the spent solvents would be to sell or directly use (avoiding
purchase of virgin product) the remanufactured solvent products to
realize an economic value. The company sending these higher-value spent
solvents for remanufacturing is expected to have little economic
incentive to pay the receiving company more than a nominal amount of
money,
[[Page 1716]]
since it would already be transferring something of intrinsic market
value (materials that can be easily remanufactured for profit). So,
unlike the RCRA-permitted waste handler which can charge a considerable
fee for receiving discarded waste, the company receiving these higher-
value spent solvents for remanufacturing is expected to realize most of
its profit from the sale or use of the remanufactured solvents.
Once remanufacturing processes are in place, EPA expects that
solvent remanufacturers would be competitive with other solvent
manufacturers even in the event of a downturn in the sizable chemical
market. Companies would also have the flexibility to redirect
remanufacturing capacity to manufacturing should it ever make economic
sense to do so, leaving little economic reason to accumulate unsold or
unused remanufactured solvents.
B. Scope and Applicability
1. Designated Solvents
The conditional exclusion for remanufacturing applies to hazardous
spent solvents that are currently regulated as hazardous wastes because
their recycling involves reclamation. Only the following 18 spent
solvents are eligible for the remanufacturing exclusion: Toluene,
xylenes, ethylbenzene, 1,2,4-trimethylbenzene, chlorobenzene, n-hexane,
cyclohexane, methyl tert-butyl ether, acetonitrile, chloroform,
chloromethane, dichloromethane, methyl isobutyl ketone, NN-
dimethylformamide, tetrahydrofuran, n-butyl alcohol, ethanol, and/or
methanol.
These 18 solvents are used in large volumes as chemical
manufacturing aids, chemical processing aids, and chemical formulation
aids (generally referred to as ``processing aids'' for the purpose of
this rule). The processing aid solvents assist in the reaction,
extraction, purification, and blending of ingredients and reactive
products, but are not themselves reacted. These processing aid
solvents, once used, can then be remanufactured to commercial grade
again. These higher-value solvents were selected because there are
existing markets for all these solvents to be remanufactured to serve
similar purposes to those of the original commercial-grade materials.
Note that, as explained below, these hazardous spent solvents are
only eligible if they are remanufactured to serve certain types of
chemical functions, and if their originating use was of a specific
type. This restriction limits the exclusion to higher-value materials
and processes that resemble manufacturing rather than waste management.
Hazardous spent solvents are particularly appropriate for the
remanufacturing exclusion because they are derived from a non-renewable
resource (petroleum), and they are manufactured in the industrial
chemicals sector, which, according to EPA's report on sustainable
materials management, ranks third overall as far as direct adverse
overall impact to the environment.\18\
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\18\ U.S. EPA. 2020 Vision Report: Sustainable Materials
Management: The Road Ahead, Table 1, page 25. .www.epa.gov/waste/
inforesources/pubs/vision.htm. The other top ranked sectors are
electric services (#1) and cotton production (#2).
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In addition, remanufacturing these spent solvents represents an
opportunity for risk reduction. Risk is a function of hazard and
exposure, and, from a hazard perspective, all of these chemicals have
suspected or recognized hazardous health effects associated with their
manufacture, processing, and use.\19\ Although EPA and industry have
been working to find substitutes for the more hazardous of these
solvents, or find ways to use less of them, this has not yet been fully
achieved.20 21 With respect to the pharmaceutical sector in
particular, complex chemical processes already registered with the Food
and Drug Administration are involved, and EPA has found this a very
challenging area to address.
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\19\ Allen, D., Shonnard, D, Green Engineering: Environmentally
Conscious Design of Chemical Processes, Risk Concepts, chapter 2,
pgs 35-62, Austin, S., US EPA Editor, Published by Prentice-Hall,
2001.
\20\ For information on U.S. EPA's Green Chemistry Program, see
https://www.epa.gov/gcc/.
\21\ Information on the American Chemical Society's Green
Chemistry Institute's Pharmaceutical Roundtable is available via the
ACS Web site https://portal.acs.org/portal/acs/corg/content.
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In addition, some of these solvents are building block and primary
intermediate chemicals, making them difficult to replace. Until lower-
risk substitutes for these solvents are found, it is appropriate from a
health risk standpoint to minimize the volume of solvents manufactured
and to limit exposure to those already manufactured. This is the
intention of the remanufacturing exclusion.
The exclusion can reduce exposure to these solvents in three ways.
First, the exclusion would extend the useful life of existing solvents,
which would reduce the health risks associated with their manufacture
by slowing the rate at which they are manufactured. Second, the
exclusion would reduce exposure to solvents already manufactured by
reducing the fuel blending of spent solvents. That is, remanufacturing
a spent solvent will eliminate the need for blending it with another
spent solvent to satisfy the fuel-ratio requirements of incinerators
and cement kilns. This, in turn, will reduce the fugitive emissions
associated with unloading and loading containers of volatile solvents
at fuel-blending facilities.\22\ Third and finally, the exclusion can
reduce the potential exposure from any transportation incidents, since
it is likely that spent solvents can be transported shorter distances
for remanufacturing purposes than they can for disposal purposes.\23\
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\22\ All solvents are volatile, and virtually all spent solvents
must go through the fuel-blending process prior to disposal (U.S.
EPA, Selection of Industry Sectors, Chemicals and Functions in the
Remanufacturing Exclusion, June 2011).
\23\ Id.
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2. Chemical Functions
After remanufacturing, the continuing use of the solvent is limited
to reacting, extracting, purifying, or blending chemicals (or for
rinsing out the process lines associated with these functions), or
using them as ingredients in a product in the pharmaceutical, organic
chemical, plastics and resins manufacturing sectors, or the paint and
coatings sector. Furthermore, the continuing use of the solvent, after
remanufacturing, cannot involve cleaning or degreasing oil, grease, or
similar material from textiles, glassware, metal surfaces, or other
articles.
EPA has selected these chemical functions because the
remanufactured chemical product should serve a similar functional
purpose as the original commercial-grade material so that it can
substitute for virgin product, since it is this substitution that
displaces some manufacturing of virgin product and fosters a system
where the original solvent remains in commerce and is not discarded. In
these functions, the solvents do not get contaminated by substances,
such as inks and greases that are difficult to separate, but only get
mixed with pure product ingredients, from which they can be separated
readily in a commercially feasible manner.
Furthermore, manufacturing and processing operations can be more
easily controlled in terms of exposure and releases, whereas the spent
solvents from downstream uses, such as degreasing and cleaning
operations are of inherently lower-value and these downstream
operations result in more widespread exposure and releases and a higher
potential for discard.
In addition, more environmental benefits will be obtained by
maximizing the number of times a chemical product can be used at high-
purity grade as an
[[Page 1717]]
aid to chemical manufacturing and processing, before it is used for at
lower-purity as a cleaner or degreaser. While it is possible to extend
the product life of a used chemical as a cleaner/degreaser, it takes
significantly less energy to bring solvents used as chemical
manufacturing aids back to commercial grade than to bring solvents used
as cleaners and degreasers back to lower grade functionality, making
remanufacturing of the higher-value solvents more economically
feasible.
3. Manufacturing Sectors
The remanufacturing exclusion is limited to companies whose primary
business is manufacturing, rather than waste management, as indicated
by particular NAICS codes. Four manufacturing sectors are eligible for
the remanufacturing exclusion: Pharmaceutical manufacturing (NAICS
325412), basic organic chemical manufacturing (NAICS 325199), plastics
and resins manufacturing (NAICS 325211), and the paints and coatings
manufacturing sectors (NAICS 325510). Manufacturers within these four
sectors all use one or more of the 18 identified solvents as chemical
manufacturing, processing, and formulation aids in high volumes. Based
on the Toxics Release Inventory information, these four sectors are
also closely associated with the chemical functions identified in the
exclusion and currently use a high volume of the solvents for the
functional purposes included in this exclusion.\24\
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\24\ U.S. EPA, Selection of Industry Sectors, Chemicals and
Functions in the Remanufacturing Exclusion, June 2011.
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EPA is limiting the remanufacturing exclusion to companies whose
business is primarily manufacturing because the nature of the exclusion
relies on the fact that the eligible spent solvents are
indistinguishable from a risk perspective from the virgin chemicals
that manufacturers in these sectors are already accustomed to
handling--no special equipment and personal training beyond what the
facility already has would be needed. Chemical manufacturers in these
sectors are also subject to the Occupational Safety and Health Act
(OSHA) and Clean Air Act (CAA) standards that cover the management of
these chemicals.
C. Conditions
Facilities operating under the remanufacturing exclusions must meet
the following conditions.
1. Notification
Hazardous secondary material generators and remanufacturers must
submit a notification prior to operating under the exclusion and by
March 1 of each even-numbered year thereafter using EPA form 8700-12 to
the EPA Regional Administrator or the State Director, in an authorized
state. Additionally, these facilities would have to notify within 30
days of stopping management of hazardous secondary materials under the
exclusion.
The intent of the notification condition is to provide basic
information to the regulatory agencies about who will be managing the
hazardous secondary spent solvents under the remanufacturing exclusion.
The specific information included in the notification--that is, the
information on EPA form 8700-12--enables regulatory agencies to monitor
compliance and to ensure that the hazardous secondary spent solvents
are managed in accordance with the exclusion and not discarded.\25\
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\25\ As with the generator-controlled exclusion in 40 CFR
261.4(a)(23), notification is a condition of the remanufacturing
exclusion. See section XIV.F for further discussion.
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2. Remanufacturing Plan
A key issue for the remanufacturing exclusion is how the facilities
operating under the exclusion would demonstrate that they meet the
requirements (e.g., that the hazardous spent solvents, functions, and
manufacturing sectors are those identified in the exclusion). A
straightforward solution is requiring a remanufacturing plan to be
prepared and maintained by both the hazardous secondary material
generator and remanufacturer that includes information on the types and
expected annual quantities of excluded spent solvents, the processes
and industry sectors that generate the spent solvents, and the specific
uses and industry sectors--for the remanufactured solvents.
The hazardous secondary material generator is also required to make
arrangements with the remanufacturer to jointly develop this plan and
to verify the appropriateness of the hazardous spent solvents for the
remanufacturing process before claiming the exclusion, thus helping
ensure that the hazardous spent solvents will be remanufactured and not
discarded.
Finally, to help ensure that the remanufacturer is a legitimate
remanufacturer, the plan must include a certification from the
remanufacturer stating ``on behalf of [insert remanufacturer facility
name], I certify that this facility is a remanufacturer under the
pharmaceutical manufacturing (NAICS 325412), basic organic chemical
manufacturing (NAICS 325199), plastics and resins manufacturing (NAICS
325211), and/or the paints and coatings manufacturing sectors (NAICS
325510), and will accept the spent solvent(s) for the sole purpose of
remanufacturing into commercial-grade solvent(s) that will be used for
reacting, extracting, purifying, or blending chemicals (or for rinsing
out the process lines associated with these functions) or for use as
product ingredients. I also certify that the remanufacturing equipment,
vents, and tanks are equipped with and are operating air emission
controls in compliance with CAA regulations under 40 CFR part 60, part
61 or part 63,\26\ or, absent such CAA standards for the particular
operation or piece of equipment covered by the remanufacturing
exclusion, are in compliance with the appropriate standards in 40 CFR
part 261 subparts AA (vents), BB (equipment) and CC (tank storage).''
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\26\ This condition is parallel to the provisions found at 40
CFR 264.1030(e) for AA, 40 CFR 264.1064(m) for BB, and 40 CFR
264.1080(7) for CC.
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One of the issues raised in the comments was concern that the
remanufacturing plan would stifle competitiveness by locking the
generator into a single remanufacturer for their hazardous spent
solvents. That was not the Agency's intention, and EPA would like to
clarify that the remanufacturing plan can be updated any time to
reflect a new remanufacturer without triggering a re-notification
requirement on the part of the generator. (If the new remanufacturer
has not notified before, then he would need to do so under the
exclusion.) As long as the remanufacturing plan that is kept on-site
reflects the current practices, including making sure that there is a
remanufacturer that will accept the hazardous spent solvents, the
generator would be in compliance with this condition.
3. Record of Shipments and Confirmation of Receipts
Under the remanufacturing exclusion, generators and remanufacturers
need to maintain at the facility records of shipments of hazardous
spent solvents for a period of three years. Specifically, for each
shipment of hazardous spent solvent, the generator and remanufacturer
need to maintain documentation of when the shipment occurred, who the
transporter was, and the type and quantity of the hazardous spent
solvent in the shipment. This recordkeeping requirement may be
[[Page 1718]]
fulfilled by ordinary business records, such as bills of lading.
In addition, generators must maintain confirmations of receipt for
all off-site shipments of hazardous spent solvent in order to verify
that the hazardous spent solvent reached their intended destination and
were not discarded. These receipts must be maintained at the facility
for a period of three years from when they were created. Specifically,
the documentation of receipt would include the name and address of the
remanufacturer, and the type and quantity of hazardous spent solvents
and date that the hazardous spent solvents were received. The Agency is
not requiring a specific template or format for confirmation of receipt
since routine business records (e.g., financial records, bills of
lading, and electronic confirmation of receipt) would contain the
appropriate information sufficient for meeting this requirement.
This provision is necessary so all parties responsible for the
excluded hazardous spent solvent would be able to demonstrate that the
materials were in fact sent for remanufacturing and arrived at the
intended facility and were not discarded in transit.
4. Management in Tanks and Containers
Basic good management practices dictate that solvents, whether
virgin or spent, are best stored in tanks or containers that possess
inherent controls to address issues, such as volatile air emissions,
leaks, and fires or explosions. Solvents present particular management
challenges associated with the storage of liquids containing volatile
organic chemicals and include both halogenated and non-halogenated
organic chemicals, which represent a broad range of chemicals and
associated hazards.
By focusing on higher-value spent solvents going to
remanufacturing, the remanufacturing exclusion reduces the chance of
mismanagement of the spent solvents. However, given the history of
spent solvent mismanagement, as demonstrated in the damage cases found
in environmental problems study, EPA has determined that it is
appropriate to make an explicit condition that spent solvents excluded
under the remanufacturing exclusion be stored prior to remanufacturing
in tanks or containers that are labeled and that meet technical
standards that will ensure the hazardous spent solvents will go to
remanufacturing and will not be discarded via leaks, spills or
explosions.\27\
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\27\ U.S. EPA, An Assessment of Environmental Problems
Associated with Recycling of Hazardous Secondary Materials
(Updated), December 2014.
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For ease of implementation, EPA is establishing explicit tank and
container standards in 40 CFR part 261 subparts I and J. These
technical standards are the same as those found in 40 CFR part 264
subparts I and J, except that the part 261 subparts I and J specify
that the material is ``hazardous secondary material'' rather than
hazardous waste, omit references to RCRA permitting requirements, and
include other minor conforming changes, as discussed below. Although
the 40 CFR part 264 tank and container standards were developed for
hazardous wastes, an analysis of the full set of technical requirements
under subparts I and J shows that they are comparable to product
storage standards, including regulations promulgated under OSHA, DOT,
and industry standards.\28\ In addition to being comparable to product
storage standards, technical standards that mirror subparts I and J of
40 CFR part 264 have the benefit of being technical standards that the
regulated community is familiar with, and are designed to prevent the
spent solvents from being discarded through leaks or explosions.
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\28\ U.S. EPA Equivalent Containment Standards for the
Remanufacturing Exclusion, June 2011.
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During remanufacturing and storage prior to remanufacturing, good
management practices also include effective controls of hazardous air
emissions. Under the remanufacturing exclusion, this is ensured by
requiring that the remanufacturer certifies, as part of the
remanufacturing plan, that the remanufacturing equipment, vents, and
tanks are equipped with and are operating air emission controls in
compliance with CAA regulations under 40 CFR part 60, part 61 or part
63.\29\ Absent such CAA standards for the particular operation or piece
of equipment covered by the remanufacturing exclusion, then the
appropriate standards in 40 CFR part 261 subparts AA (vents), BB
(equipment) and CC (tank storage), which are equivalent to the
technical standards found in 40 CFR part 264 and 265 subparts AA, BB,
and CC, would apply.
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\29\ This condition is parallel to the provisions found at 40
CFR 264.1030(e) for subpart AA, 40 CFR 264.1064(m) for subpart BB,
and 40 CFR 264.1080(7) for subpart CC.
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The air emission requirements on remanufacturing equipment, vents,
and tanks will ensure that the remanufactured solvents do not become
discarded through fires and explosions, guard against the
volatilization of hazardous spent solvents, and protect workers,
handlers and transporters from spent solvent emissions. EPA notes that
most manufacturers in the pharmaceutical manufacturing (NAICS 325412),
basic organic chemical manufacturing (NAICS 325199), plastics and
resins manufacturing (NAICS 325211), and the paints and coatings
manufacturing sectors (NAICS 325510) will already have their solvent
management practices covered under the CAA regulations, but for any
remanufacturer that is not covered under CAA, 40 CFR part 261 subparts
AA, BB, and CC will ensure that they meet good management practices
appropriate for solvent management.
In modifying the tank and container standards and the air emission
standards to apply specifically to solvents being remanufactured under
the remanufacturing exclusion, EPA has made other minor conforming
regulatory changes to 40 CFR part 261. These changes include (1)
reserving certain subparts, such as subparts K through L and N though
Z, in order to maintain the same numbering as is found in part 264 for
the tank and container standards and the air emission standards, (2)
codifying 40 CFR 261.197 to address termination of the remanufacturing
exclusion (rather than closure, as is required in part 264), and (3)
deleting references to the uniform hazardous waste manifest in 40 CFR
261.1086 because manifest requirements are not applicable under the
remanufacturing exclusion.
5. Prohibition on Speculative Accumulation
In addition to the other conditions, hazardous spent solvents under
the remanufacturing exclusion are subject to the speculative
accumulation restrictions in 40 CFR 261.1(c)(8). Speculative
accumulation ensures that the hazardous spent solvents are
remanufactured and not discarded.
D. Closure of Tank Units
Units managing excluded hazardous spent solvent are not subject to
the closure regulations in 40 CFR parts 264 and 265 subpart G. However,
when the use of these units is ultimately discontinued, all owners and
operators must manage any remaining hazardous spent solvents that are
not remanufactured as hazardous waste and remove or decontaminate all
hazardous residues and contaminated containment system components,
equipment structures, and soils. These hazardous spent solvents and
residues, if no longer
[[Page 1719]]
intended for remanufacturing, would also no longer be eligible for the
exclusion (which only applies to materials that will be remanufactured)
and would therefore be hazardous waste. These systems would be subject
to the requirements for product tanks under 40 CFR 261.4(c), which
allow 90 days for removal of hazardous material after the unit ceases
to be operated for manufacturing.
E. Petition Process for Additional Remanufacturing Exclusions
As EPA noted in the 2011 DSW proposal, it is possible that other
hazardous secondary materials, industry sectors, and/or functional uses
beyond those being finalized today may also be suitable candidates for
the remanufacturing exclusion if they involve the transfer of a higher-
value hazardous secondary material from one manufacturer to another,
for the purpose of remanufacturing a material with significant
commercial value. In the 2011 DSW proposal, EPA requested comment on
whether to also include a specific petition process, similar to 40 CFR
260.20, where petitioners may apply to EPA to request a hazardous
secondary material, industry sector, and/or functional use be added to
the exclusion.
After reviewing the comments, EPA has determined that a separate
rulemaking petition process is not necessary and that the current
process in 40 CFR 260.20, including the administrative procedure for
processing the petition would be the best vehicle for addressing
additional hazardous secondary materials, industry sectors, and/or
functional uses to the remanufacturing exclusion. Given the variety of
hazardous secondary materials, manufacturing processes, and markets for
potential remanufactured materials, a general process gives the most
flexibility for petitioners to submit information on potential excluded
materials.
In addition, the Agency would like to encourage the research,
development, and demonstration of innovative recycling processes that
could be used to recover higher-value hazardous secondary materials.
Therefore EPA encourages companies to explore using the existing
regulatory flexibilities, such as treatability study exemptions in 40
CFR 261.4(e) and (f) and research development and demonstration permits
allowed under 40 CFR 270.65, to assess and develop recycling
technologies to facilitate remanufacturing of higher-value materials.
In submitting a rulemaking petition under 40 CFR 260.20,
petitioners must include (1) the petitioner's name and address, (2) a
statement of the petitioner's interest in the proposed action, (3) a
description of the proposed action, including (where appropriate)
suggested regulatory language, and (4) a statement of the need and
justification for the proposed action, including any supporting tests,
studies, and other information. With respect to the fourth factor, EPA
would encourage petitioners to provide any information they believe
demonstrates that their hazardous secondary material is suited for a
solid waste exclusion under the remanufacturing exclusion. Below are
some considerations that may assist petitioners in developing their
petitions; however, these are guidelines only and should not constrain
suggested rulemaking revisions if the petitioner otherwise has
information that the hazardous secondary material should be excluded
from regulation.
(1) Is the hazardous secondary material generated from a
manufacturing process that results in minimal contamination, and does
the hazardous nature of the hazardous secondary material stem chiefly
from the inherent nature of the commercial product that is to be
recovered, and not from any contamination?
For example, the remanufacturing exclusion being promulgated today
is focused on materials that originated from using commercial grade
solvents for reacting, extracting, purifying, or blending chemicals (or
for rinsing out the process lines associated with these functions) in
the pharmaceutical manufacturing, organic chemical manufacturing,
plastics and resins manufacturing, or paint and coatings sector. As a
result, the solvents in question are only lightly contaminated, chiefly
with other commercial-grade chemicals or minor impurities. Moreover,
because the hazardous nature of the material stems from the recycled
product (or at least a significant portion of the recycled product) and
not from the contamination, the remanufacturing exclusion helps reduce
overall risk by keeping hazardous chemicals in commerce, rather than
discarding them.
(2) Does the hazardous secondary material present a similar risk
profile as an analogous raw material or product and require no special
storage or handling beyond what is normally used for the analogous raw
material or product?
For example, the spent solvents eligible for the remanufacturing
exclusion present the same risk profile as solvent products. The same
tanks, containers, and transportation standards that are used for
solvent products also work for the spent solvents intended for
remanufacturing.
(3) Is there any special equipment or personnel training required
for the remanufacturing of the material or for the management of the
residuals?
For example, under the remanufacturing exclusion being promulgated
today, the same distillation columns used to manufacture solvents from
raw materials can be used to remanufacture spent solvents. The still
bottoms generated from both processes can be managed in a similar
fashion.
(4) Is the market for the remanufactured product stable enough to
ensure that neither the hazardous secondary material nor the
remanufactured products are over-accumulated?
For example, the remanufacturing exclusion being promulgated today
focuses on solvents that are known to be widely used in a variety of
industries for the purposes described.
VIII. Revisions to the Definition of Legitimacy and Prohibition of Sham
Recycling
EPA has a long-standing policy that all recycling of hazardous
secondary materials must be legitimate, including both excluded
recycling and the recycling of regulated hazardous wastes. The
legitimacy provision in today's final rule is designed to distinguish
between real recycling activities--legitimate recycling--and ``sham''
recycling, an activity undertaken by an entity to avoid the
requirements of managing a hazardous secondary material as a hazardous
waste. Because of the economic advantages in managing hazardous
secondary materials as recycled materials rather than as hazardous
wastes, there is an incentive for some handlers to claim they are
recycling when, in fact, they are conducting waste treatment and/or
disposal.
In this final rulemaking, EPA is codifying in its regulations the
requirement that all recycling must be legitimate by adding a
prohibition on sham recycling to 40 CFR 261.2(g). In addition, EPA has
changed the definition of legitimate recycling in Sec. 260.43. The new
definition specifies four factors that must be met for recycling to be
legitimate. However, it also provides new ways that a facility can show
that it meets factors 3 and 4 of the legitimacy standard.
The four legitimacy factors are as follows:
Factor 1: Legitimate recycling must involve a hazardous
secondary material that
[[Page 1720]]
provides a useful contribution to the recycling process or to a
product or intermediate of the recycling process.
Factor 2: The recycling process must produce a valuable
product or intermediate.
Factor 3: The generator and the recycler must manage
the hazardous secondary material as a valuable commodity when it is
under their control.
Factor 4: The product of the recycling process must be
comparable to a legitimate product or intermediate.
A. Background
Under the RCRA Subtitle C definition of solid waste, many existing
hazardous secondary materials are not solid wastes and, thus, are not
subject to RCRA's cradle to grave management system if they are
recycled. The basic idea behind this construct is that recycling of
such materials often more closely resembles normal industrial
manufacturing than waste management. However, since there can be
significant cost savings from managing hazardous secondary materials
outside the RCRA Subtitle C regulatory system, some handlers may claim
that they are recycling, when, in fact, they are conducting waste
treatment and/or disposal in the guise of recycling. For example, a
facility whose primary business was mixing electric arc furnace dust
(K061) with agricultural lime for sale as a micronutrient lost its
customers and could not sell its product, but continued to accept K061
even though there was no prospect of it being used to produce a
product. To guard against practices like these, EPA has long
articulated the need to distinguish between ``legitimate'' (i.e., true)
recycling and ``sham'' (i.e., fake) recycling, beginning with the
preamble to the 1985 regulations that established the definition of
solid waste (50 FR 638, January 4, 1985).
The prohibition on sham recycling being finalized in this
rulemaking is consistent with the Agency's longstanding policy and
interpretation of legitimate recycling that has been expressed in those
earlier preamble discussions and policy statements. The January 4,
1985, preamble to the definition of solid waste regulations established
EPA's concept of legitimacy and described several indicators of sham
recycling.
On April 26, 1989, the Office of Solid Waste (OSW) issued a
memorandum that consolidated preamble statements concerning legitimate
recycling that had been articulated previously into a list of criteria
to be considered in evaluating legitimacy [OSWER directive
9441.1989(19)]. This memorandum, known to many as the ``Lowrance
Memo,'' has been a primary source of guidance for the regulated
community and for implementing agencies in distinguishing between
legitimate and sham recycling for many years. The October 2003 and
March 2007 DSW proposals and the October 2008 DSW final rule also all
include extensive discussions of EPA's legitimacy policy.
In the 2008 DSW final rule, EPA promulgated a codified legitimacy
requirement for the specific exclusions in that rulemaking. Today's
final rule expands that legitimacy requirement to all hazardous
secondary material recycling, as the Agency proposed to do in the July
22, 2011, proposal (76 FR 44094). Section VIII.B discusses these final
legitimacy provisions and describes the requirements. Section VIII.C
discusses the changes EPA made from the proposed regulations. A
discussion of the public comments on the July 2011 proposal and Agency
responses can be found in section XVII of this preamble and the full
response to comment document is in the docket for the rulemaking.
B. Legitimate Recycling Provisions Being Finalized
This section discusses the rationale and the requirements being
finalized in this rulemaking for ensuring that all recycling of
hazardous secondary material is legitimate.
1. Legitimacy for All Recycling
In today's final rule, EPA is retaining its long-standing policy
that all recycling of hazardous secondary materials must be legitimate.
If a facility is engaged in sham recycling, this, by definition, is not
real recycling and that hazardous secondary material is being discarded
and is a solid waste. Today, we are codifying that the legitimate
recycling provision applies to all hazardous secondary materials that
are excluded or exempted from Subtitle C regulation because they are
recycled and that it also applies to recyclable hazardous wastes that
remain subject to the hazardous waste regulations. However, instead of
changing the language of each recycling exclusion or exemption to
include the requirement as we proposed in the 2011 DSW proposal, we
have instead added language in Sec. 261.2(g) that specifically
prohibits sham recycling to ensure that all recycling, including
recycling under the pre-2008 exclusions is legitimate (i.e., real
recycling). We have also determined that documentation of legitimacy is
not necessary or required for the pre-2008 recycling exclusions and
exemptions, except in the rare case where the recycling is legitimate,
but does not meet factor 4.
EPA has determined that the four legitimacy factors being codified
in 40 CFR 260.43 are substantively the same as the existing legitimacy
policy. These factors are a simplification and clarification of the
policy statements in the 1989 Lowrance Memo and in various DSW Federal
Register notices. This policy is well understood throughout the
regulated community and among the state implementing agencies. By
providing one standard of legitimacy for all recycling, the Agency
expects there will be more clarity, consistency, and predictability for
making legitimate recycling determinations. Having one standard in the
regulations will also lead to increased knowledge and understanding of
the basic requirement that any recycling must be legitimate, leading to
better implementation and enforcement of the RCRA hazardous waste
regulations.
In developing the codified legitimacy language, we did not intend
to raise questions about the status of general legitimacy
determinations that underlie existing exclusions from the definition of
solid waste (e.g., the solid waste exclusions in 40 CFR 261.4(a)), or
about case-specific determinations that have already been made by EPA
or the states. Current exclusions and other prior solid waste
determinations or variances that are based on the hazardous secondary
material being legitimately recycled, including determinations made in
letters of interpretation and inspection reports, remain in effect.
Some stakeholders have raised concerns with the application of the
codified legitimacy factors to these existing waste-specific and
industry specific exclusions. In particular, as we noted in the October
2003 DSW proposal and the March 2007 DSW supplemental proposal, EPA has
examined in depth a number of waste-specific and industry-specific
recycling activities and has promulgated specific regulatory exclusions
or provisions that address the legitimacy of these practices in much
more specific terms than the general legitimacy factors as described in
40 CFR 260.43.
EPA expects that the vast majority of recycling being performed
under these existing exclusions is currently being undertaken
conscientiously and would be considered legitimate under the new
legitimacy provision with no further action required on the part of the
company. If a company is meeting the conditions of its exclusion while
managing the hazardous secondary material responsibly and using it to
make a legitimate product, that company would not have to change any
[[Page 1721]]
of its existing business practices or otherwise take action to show
that its recycling meets the legitimacy factors. EPA is not requiring
documentation of compliance with the four legitimacy factors, except in
the case where the recycling does not meet factor 4 on its face, but
the facility believes that its recycling operation is nonetheless
legitimate. Many of the measures the companies take in order to meet
the terms of the conditional exclusions or to follow best management
practices are the same actions that indicate that a recycling process
is legitimate. These measures and business practices were generally
evaluated as part of the original legitimacy determination by the
agency, and therefore employment of those or similar practices
indicated legitimate recycling as addressed by the original legitimacy
determinations.
One example is the regulation for zinc fertilizers made from
recycled hazardous secondary materials. If the hazardous secondary
material recycled under the exclusion contains recoverable amounts of
zinc, which provides a useful contribution to the recycled product
(factor 1) and results in a valuable product, i.e., zinc micronutrient
fertilizer (factor 2), EPA would consider these legitimacy factors to
be met. In addition, under the exclusion, the generator and recycler
must manage the zinc-containing hazardous secondary material as a
valuable commodity (factor 3), that is, in compliance with
261.4(a)(20)(ii)(B): Store the excluded secondary material in tanks,
containers, or buildings that are constructed and maintained in a way
that prevents releases of the secondary materials into the environment.
At a minimum, any building used for this purpose must be an engineered
structure made of non-earthen materials that provide structural
support, and must have a floor, walls and a roof that prevent wind
dispersal and contact with rainwater. Tanks used for this purpose must
be structurally sound and, if outdoors, must have roofs or covers that
prevent contact with wind and rain. Containers used for this purpose
must be kept closed except when it is necessary to add or remove
material, and must be in sound condition. Containers that are stored
outdoors must be managed within storage areas that: (1) Have
containment structures or systems sufficiently impervious to contain
leaks, spills and accumulated precipitation; and (2) provide for
effective drainage and removal of leaks, spills and accumulated
precipitation; and (3) prevent run-on into the containment system.
Finally, in the zinc fertilizer regulation, among the requirements
established by EPA are specific numerical limits on five heavy metal
contaminants and dioxins in the zinc fertilizer product at 40 CFR
261.4(a)(21). If the zinc fertilizer product meets these
concentrations, the product would meet factor 4 (assuming other
hazardous secondary contaminants have not been added to the product).
Another example is shredded circuit boards excluded under 40 CFR
261.4(a)(14). Shredded circuit boards that contain recoverable metals
that provide a useful contribution to the product of the recycling
process (factor 1) and go to a recycling process that produces a
valuable metal product (factor 2) would meet these legitimacy factors.
In addition, under the exclusion, the shredded circuit boards must be
stored in containers sufficient to prevent a release to the environment
prior to recovery (factor 3) and must be free of mercury switches,
mercury relays and nickel-cadmium and lithium batteries (factor 4).
Another example is hazardous secondary materials recycled in a
``closed-loop'' production process under 40 CFR 261.4(a)(8). Under this
exclusion, the hazardous secondary material is reused within the
production process from which it came, thus providing a useful
contribution to the product (factor 1) and also producing a valuable
product or intermediate (factor 2) (assuming that the production
process is, by definition, producing a product). Since the closed-loop
exclusion requires tank storage and that the entire process through
completion of reclamation is closed by being entirely connected with
pipes and other comparable enclosed means of conveyance, this
management would be considered to meet factor 3, management of the
hazardous secondary material as a valuable commodity. The product of
this type of recycling process would be comparable to a legitimate
product or intermediate because the hazardous secondary materials being
recycled are returned to the original process from which they were
generated to be reused (factor 4).
Another example is spent wood preserving solutions and wastewaters
that have been reclaimed and reused onsite in the production process
for their original intended purpose under Sec. 261.4(a)(9). Reclaimed
wood preservatives that are used to treat wood would be making a useful
contribution to the product (factor 1) and would produce a valuable
product (factor 2). The conditions of the exclusion include a
requirement that they are managed to prevent releases, and include
specific standards for drip pads that manage the material (factor 3).
The product of this type of recycling process would be comparable to a
legitimate product or intermediate because the hazardous secondary
materials being recycled are returned to the original process from
which they were generated to be reused (factor 4).
Another example is the long-standing exclusion for excluded scrap
metal (processed scrap metal, unprocessed home scrap metal, and
unprocessed prompt scrap metal) being recycled (40 CFR 261.4(a)(13)).
Excluded scrap metal that contains recoverable metals would provide a
useful contribution to the product of the recycling process (factor 1)
and, as long as the recycling process produces a valuable metal product
(factor 2), the recycling would meet the first two legitimacy factors.
If the recycler uses appropriate handling and good management practices
to store and manage the excluded scrap metal to prevent releases of
hazardous secondary materials to the environment, the recycler would
generally meet factor 3 for managing the scrap metal as a valuable
commodity.
EPA notes that managing scrap metal as a valuable commodity can
include situations where it is stored on the ground. Scrap metal stored
on the ground is subject to occasional precipitation runoff that
consists essentially of water, with trace amounts of hazardous
constituents. As long as the hazardous secondary material itself is not
swept away by the runoff, this transport via precipitation runoff would
not generally be a concern. However, if metal dust, debris and pieces
of scrap metal were released into the environment, for example, by
metal falling into a waterway (as has happened in one damage case
documented by EPA), this would not be considered managed as a valuable
commodity. Finally, as long as the recovered metal meets widely-
recognized commodity standards/specifications for the metal product,
factor 4 would be satisfied.
The conditions developed for the recycling exclusions in Sec.
261.4(a) were found to be necessary under material-specific rulemakings
that determined when the particular hazardous secondary material in
question is not a solid waste. When EPA originally made the decision
that these materials are not solid waste, the Agency took into account
the relevant factors about the hazardous secondary materials, including
how the material was managed and what toxic chemicals were present.
[[Page 1722]]
In the 2011 DSW proposal, EPA explicitly did not reopen comment on
any substantive provisions of the previous recycling exclusions or
exemptions and facilities with pre-2008 exclusions can generally follow
the normal good business practices that were considered when the
exclusions were granted and still be considered to be legitimate
recycling. If the facility is complying with the terms of the exclusion
and following industry best practices to engage in legitimate recycling
activity, this would generally not raise questions as to its
legitimacy. All these examples support EPA's determination that most
current recycling under existing exclusions is legitimate, and that
companies complying with the conditions of exclusions would generally
not need to take action to show that their recycling meets the
legitimacy factors.
However, at the same time, these material-specific exclusions from
the definition of solid waste do not negate the basic requirement that
the hazardous secondary material must be legitimately recycled.
Recycling that is not legitimate is not recycling at all, but rather
``sham recycling''--discard in the guise of recycling. Regarding the
existing exclusions in the regulations, EPA acknowledges that, in
establishing a specific exclusion, we have already determined in the
rulemaking record that the specific recycling practice is excluded from
the definition of solid waste provided all the conditions of the rule
are met. However, the Agency has always enforced its rules on the basis
that any recycling must be legitimate (See U.S. v. Self, 2 F. 3d 1071,
1079 (10th Cir. 1993); U.S. v. Marine Shale Processors, 81 F. 3d 1361,
1366 (5th Cir. 1996): Marine Shale Processors v. EPA, 81 F. 3d 1371,
1381-83 (5th Cir. 1996)). This is meant to prevent a company from
claiming to be operating under an existing exclusion and simply using
that as a way to avoid full RCRA Subtitle C regulation.
For example, under EPA's historic guidance, a facility could not
plausibly claim the zinc fertilizer product exclusion at 40 CFR
261.4(a)(21) for a hazardous secondary material that contained
absolutely no or minimal levels of zinc, even if all the conditions of
the zinc fertilizer exclusion were met. The exclusion was developed to
encourage legitimate recycling of zinc-containing hazardous secondary
materials and the legitimacy provision prevents hazardous waste from
being discarded into purported fertilizer in the name of recycling when
the hazardous secondary material provides no recognizable benefit to
the product.
Similarly, if a facility accepted zinc-containing hazardous waste,
claiming to make zinc fertilizer, but failed to produce a product that
was actually sold or was otherwise valuable, such a process would not
be legitimate recycling in the historic legitimacy guidance, even if
the management conditions and the constituent levels in the zinc
fertilizer exclusion were met. The consequences of the latter example
are illustrated in one of the damage cases in the environmental
problems study. A facility whose primary business was mixing electric
arc furnace dust (K061) with agricultural lime for sale as a
micronutrient lost its customers and could not sell its product.
However, the facility continued to accept K061, and, after
approximately seven months, the facility had accepted over 60,000 tons
of this hazardous waste and stored it on the ground in piles up to 30
feet high, with no prospect of it being used to produce a product and,
thus, legitimately recycled. While the initial recycling of the K061
hazardous waste was legitimate, when the facility failed to produce a
product that was actually sold, the K061 could no longer be considered
legitimately recycled. Even if the recycler were to claim that the
material may be recycled at some point in the future, the material was
being speculatively accumulated and thus, a solid and hazardous waste
at that point.
In summary, all hazardous secondary materials recycling and
hazardous waste recycling, whether such recycling remains under
hazardous waste regulations or is excluded from the definition of solid
waste, must be legitimate. This has been our long-standing policy and
it is well known throughout the regulated community and the
implementing state regulatory agencies. To reinforce that concept and
make it clear in the regulations, we are today codifying our policy
that hazardous secondary materials being sham recycled are discarded
and thus, are solid waste. To do this, EPA has decided to codify the
following statement in Sec. 261.2 (the definition of solid waste)
instead of adding a reference to legitimacy in each of the recycling
exclusions and exemptions (as was suggested in the proposed rule): ``A
hazardous secondary material found to be sham recycled is considered
discarded and a solid waste. Sham recycling is recycling that is not
legitimate recycling as defined in Sec. 260.43.''
For persons interested in an in-depth analysis of the evolution of
EPA's concept of legitimate recycling from policy and preamble
statements to regulations, EPA provided this analysis in the 2008 DSW
final rule that described how the promulgated legitimacy factors
compare to the previous primary guidance on legitimacy and the Lowrance
Memo. EPA continues to maintain that the legitimate recycling provision
is substantively the same as existing policy because we developed the
legitimacy factors in 40 CFR 260.43 by closely examining the questions
and sub-questions in the Lowrance Memo and in the Federal Register
preambles and converting them into four more direct factors. For a
detailed explanation of how each of the four factors is derived from
the Lowrance Memo and other existing policy statements, see 73 FR 64708
-64710, October 30, 2008.
2. All Factors Mandatory
The structure of the legitimacy standard codified in the 2008 DSW
final rule (specifically for the exclusions promulgated in that
rulemaking) had two parts. The first part included a requirement that
hazardous secondary materials being recycled must provide a useful
contribution to the recycling process or to the product of the
recycling process and a requirement that the product of the recycling
process must be valuable. At the time, EPA considered those two factors
to make up the core of legitimacy and, therefore, a process that did
not conform to them could not be a legitimate recycling process, but
would be considered sham recycling. The second part of legitimacy in
the 2008 DSW final rule included two factors that must be considered,
but not necessarily met, when a recycler is making a legitimacy
determination. In this final rule, the Agency is changing the structure
and the application of the legitimate recycling provision so that all
four factors are written as mandatory requirements that must be met,
except as otherwise noted. The Agency has determined that this action
will improve the effectiveness and protectiveness of the legitimacy
provision. The Agency's experience with implementing the legitimate
recycling structure finalized in the 2008 DSW final rule has led us to
this realization. Even though we stressed the importance of considering
each factor in the 2008 DSW final rule, some stakeholders continue to
be under the mistaken impression that the factors defined as ``to be
considered'' were actually optional and could be ignored. We made it
clear in the 2008 DSW final rule that failing to meet a ``non-
mandatory'' factor could, in some cases, be enough to determine that a
recycling process is not legitimate. We did not intend for the ``to-be-
considered'' factors
[[Page 1723]]
to be less important and thus, have determined that the only way to
correct this perception and give these factors the proper weight is to
make them requirements that must be met, except as otherwise noted, on
equal footing with the other legitimacy factors.
However, to address concerns raised, both factor 3 (managed as a
valuable commodity) and factor 4 (products must have comparable levels
of hazardous constituents) have been revised from the 2008 DSW final
rule to add flexibility to address situations where the recycling is
legitimate, but the specific situation might not meet the legitimacy
factor . For example, under factor 3, we proposed and are finalizing
the following language to more closely reflect the intent of the
provision: ``Where there is an analogous raw material, the hazardous
secondary material, must be managed, at a minimum, in a manner
consistent with the management of the raw material or in an equally
protective manner.'' Thus, a generator or recycler would meet this
factor if their hazardous secondary material is stored in a different
manner than the analogous raw material, as long as that storage is as
protective as the way the analogous raw material is stored.
Under factor 4, we have also added more explanation and flexibility
for situations where there is no analogous product to compare to the
product made from hazardous secondary materials. For example, in some
cases, the Agency will consider a product of a recycling process that
meets widely-recognized commodity standards/specifications, such as
scrap metal, to meet factor 4. Within factor 4, the Agency is also
creating a provision for hazardous secondary materials that are
recycled by being returned to the original process from which they were
generated, such as in a closed-loop recycling process, to meet the
factor. The specific changes to factor 3 and factor 4 are described in
greater detail below.
In making all legitimacy factors mandatory requirements, the first
sentence of the regulatory language of both factors was revised to
indicate that these factors must be met. For factor 3, the first
sentence now reads as follows: ``The generator and the recycler must
manage the hazardous secondary material as a valuable commodity when it
is under their control.'' For factor 4, the first sentence now reads as
follows: ``The product of the recycling process must be comparable to a
legitimate product or intermediate.''
In the 2011 DSW proposal, we proposed a petition process for
facilities that believe their recycling is legitimate despite not
meeting one or both of these two factors. After review and
consideration of the public comment on this issue, the Agency has
decided that instead of a petition process, facilities that do not meet
factor 4 and yet are still legitimately recycling must notify the
Regional Administrator (or State Director, if the state is authorized)
and keep documentation and a certification in their files explaining
how the recycling is still legitimate.\30\ See section VIII.B.6 below
for a full discussion of the documentation and notification process
under factor 4.
---------------------------------------------------------------------------
\30\ As noted above, and as described in more detail in Section
VIII.B.6, products of a recycling process that meet widely-
recognized commodity standards/specifications and hazardous
secondary materials that are recycled by being returned to the
original process from which they were generated are considered to
meet factor 4 of the legitimacy standard.
---------------------------------------------------------------------------
3. Factor 1: Useful Contribution--Sec. 260.43(a)(1)
(1) Legitimate recycling must involve a hazardous secondary
material that provides a useful contribution to the recycling process
or to a product or intermediate of the recycling process. The hazardous
secondary material provides a useful contribution if it:
(i) Contributes valuable ingredients to a product or intermediate;
or
(ii) Replaces a catalyst or carrier in the recycling process; or
(iii) Is the source of a valuable constituent recovered in the
recycling process; or
(iv) Is recovered or regenerated by the recycling process; or
(v) Is used as an effective substitute for a commercial product.
This factor expresses the principle that hazardous secondary
materials must contribute value to the recycling process. Providing a
useful contribution is an essential element to legitimate recycling
because real or legitimate recycling is not occurring if the hazardous
secondary material being added or recovered does not add to the
process. This factor is intended to prevent the practice of adding a
hazardous secondary material to a recycling process simply as a means
of disposing of it, or recovering only small amounts of a constituent,
which EPA would consider sham recycling.
Paragraphs (i) through (v) of Sec. 260.43(a)(1) list five ways
that a hazardous secondary material can provide a useful contribution:
(i) Contributing valuable ingredients to a product or intermediate;
(ii) replacing a catalyst or carrier in the recycling process; (iii)
providing a valuable constituent to be recovered; (iv) being
regenerated; or (v) being used as an effective substitute for a
commercial product. Any one of these can demonstrate that the hazardous
secondary material provides a useful contribution.
An important note in applying this factor is that not every
constituent or component of the hazardous secondary material has to
make a contribution to the recycling activity to meet the useful
contribution factor. For example, a legitimate recycling operation
involving precious metals might not recover all of the components of
the hazardous secondary material, but would recover precious metals
with sufficient value to consider the recycling process legitimate. In
addition, the recycling activity does not have to involve the hazardous
component of the hazardous secondary materials if the value of the
contribution of the non-hazardous component justifies the recycling
activity. One example of this factor from an existing exemption is
where hazardous secondary materials containing large amounts of zinc, a
non-hazardous component, are recycled into zinc micronutrient
fertilizers. However, in cases where the hazardous component is not
being used or recycled, the Agency stresses that the recycler is
responsible for the proper management of any hazardous residuals of the
recycling process.
In a situation where more than one hazardous secondary material is
used in a single recycling process and the hazardous secondary
materials are mixed or blended as a part of the process, each hazardous
secondary material would need to satisfy the useful contribution
factor. This requirement prevents situations where a worthless
hazardous secondary material could be mixed with valuable and useful
hazardous secondary materials in an attempt to disguise and dispose of
it. In addition, a situation in which hazardous secondary materials
that can be useful to a process, but are added to that process in much
greater amounts than needed to make the end-product or to otherwise
provide its useful contribution, would also be sham recycling.
Another way the usefulness of the hazardous secondary material's
contribution could be demonstrated is by looking at the efficiency of
the material's use in the recycling process--that is, how much of the
constituent in a hazardous secondary material is actually being used.
As an example, if there is a constituent in the hazardous secondary
material that could add value to the recycling process, but, due to
process design, most of it is not being
[[Page 1724]]
recovered, but is being disposed of in the residuals, this would be a
possible indicator of not meeting this factor and thus, could be sham
recycling. However, this consideration must take the actual process
being considered into account as there are certainly recycling
scenarios where a low recovery rate could still be legitimate. For
example, under an existing exclusion, if the concentration in a metal-
bearing hazardous secondary material is low (e.g., 2-4%) and a
recycling process was able to recover a large percentage of the target
metal, this factor could be met and the recycling may be legitimate
(depending on the outcome of the analysis of the other legitimacy
factors).
When evaluating a hazardous secondary material's useful
contribution, the process can be compared to typical industry recovery
rates from raw materials to determine if the recycling process is
reasonably efficient. This method should involve an examination of the
overall process, not just a single step of the process. For example, if
one step in the process recovers a small percentage of the constituent,
but the overall process recovers a much larger percentage, the Agency
would consider the overall efficiency of the recycling process in
determining whether hazardous secondary materials are providing a
useful contribution.
4. Factor 2: Valuable Product or Intermediate--Sec. 260.43(a)(2)
The recycling process must produce a valuable product or
intermediate. The product or intermediate is valuable if it is: (i)
Sold to a third party or (ii) used by the recycler or the generator as
an effective substitute for a commercial product or as an ingredient or
intermediate in an industrial process.
This factor expresses the principle that the product or
intermediate coming out of the recycling process should be a material
of value, either to a third party who buys it from the recycler, or to
the generator or recycler itself, who can use it as a substitute for
another material that it would otherwise have to buy or obtain for its
industrial process. Legitimate recycling is not occurring if the
product or intermediate from the process is not of use to anyone and,
therefore, is not a real product. This factor is intended to prevent
the practice of running a hazardous secondary material through an
industrial production process to make something just for the purpose of
avoiding the costs of hazardous waste management, rather than for the
purpose of using the product or intermediate of the recycling activity.
Such a practice would be sham recycling.
For the purpose of this factor, a recyclable product may be
considered ``valuable'' if it can be shown to have either economic
value or intrinsic value to the end user. Evaluations of ``valuable''
for the purpose of this factor should be done on a case-by-case basis,
but one way to determine that the recycling process yields a valuable
product would be if the product of the recycling process is sold to a
third party. This transaction could include money changing hands or, in
other circumstances, may involve trade or barter. A recycler that has
not yet arranged for the sale of its product to a third party could
establish value by demonstrating that it can replace another product or
intermediate that is available in the marketplace. A product of the
recycling process may be sold at a loss in some circumstances, but the
recycler should be able to demonstrate how the product is clearly
valuable to the purchaser.
EPA also knows that many recycling processes produce outputs that
are not sold or traded to another party, but are instead used by the
generator or recycler. A product of the recycling process may be used
as a feedstock in a manufacturing process, but have no established
monetary value in the marketplace. Such recycled products or
intermediates would be considered to have intrinsic value, though it
might be less straightforward in this situation to demonstrate value if
it is necessary to do so. Demonstrations of intrinsic value could
involve showing that the product of the recycling process or
intermediate replaces an alternative product that would otherwise have
to be purchased or could involve a showing that the product of the
recycling process or intermediate meets specific product specifications
or specific industry standards. Another approach could be to compare
the product or intermediate's physical and chemical properties or
efficacy for certain uses with those of comparable products or
intermediates made from raw materials.
Some recycling processes may consist of multiple steps that may
occur at separate facilities. In some cases, each processing step will
yield a valuable product or intermediate, such as when a metal-bearing
hazardous secondary material is processed to reclaim a precious metal
and is then put through another process to reclaim a different mineral.
When each step in the process yields a valuable product or intermediate
that is salable or usable in that form, the recycling activity would
conform to this factor.
Like the other factors, this factor should be examined and
evaluated on a case-by-case basis looking at the specific facts of a
recycling activity. If, for instance, a recycling activity produces a
product or intermediate that is used by the recycler itself, but does
not serve any purpose and is just being used so that the product or
intermediate appears valuable, that would be an indicator of sham
recycling. An example of this would be a recycler that reclaims a
hazardous secondary material and then uses that material to make blocks
or building materials for which it has no market and then ``uses''
those building materials to make a warehouse in which it stores the
remainder of the building materials that it is unable to sell.
5. Factor 3: Managed as a Valuable Commodity--Sec. 260.43(a)(3)
The generator and the recycler must manage the hazardous secondary
material as a valuable commodity when it is under their control. Where
there is an analogous raw material, the hazardous secondary material
must be managed, at a minimum, in a manner consistent with the
management of the raw material or in an equally protective manner.
Where there is no analogous raw material, the hazardous secondary
material must be contained. Hazardous secondary materials that are
released to the environment and are not recovered immediately are
discarded.
This factor expresses the principle that hazardous secondary
materials being recycled should be managed in the same manner as other
valuable materials. This factor requires those making a legitimacy
determination to look at how the hazardous secondary material is
managed before it enters the recycling process. In EPA's view, a
recycler will value hazardous secondary materials that provide an
important contribution to its process or product and, therefore, will
manage those hazardous secondary materials in a manner consistent with
how it manages a valuable feedstock. If, on the other hand, the
recycler does not manage the hazardous secondary materials as it would
a valuable feedstock, the hazardous secondary materials might not be
recycled, but rather released into the environment and discarded,
thereby indicating sham recycling.
This factor may be particularly important in the case where a
recycler has been paid by a generator to take its materials as a result
of the economic incentives in the hazardous secondary materials market.
By looking at the management of the hazardous secondary material before
it enters the recycler's process, the entity making the
[[Page 1725]]
legitimacy determination can tell that a material being managed like an
analogous raw material is, in fact, valued by the recycler. If the
hazardous secondary material is not being managed like a valuable raw
material because it is uncontrolled or is being released, that
indicates that the fee the recycler obtains for taking the hazardous
secondary material may be its only value to that recycler. If the fee
received were the only value to the recycler, it could mean that
discard was taking place.
This factor addresses the management of hazardous secondary
materials in two distinct situations. The first situation is when a
hazardous secondary material is analogous to a raw material which it is
replacing in the process. In this case, the hazardous secondary
material should be managed prior to recycling similarly to the way the
analogous raw materials are managed in the course of normal
manufacturing, or in an equally protective manner.
EPA expects that all parties handling hazardous secondary materials
destined for recycling--generators, transporters, intermediate
facilities and reclamation facilities--will handle them in generally
the same manner in which valuable raw materials would otherwise be
handled if used in the process. ``Analogous raw material'' is a raw
material for which the hazardous secondary material substitutes and
which serves the same function and has similar physical and chemical
properties as the hazardous secondary material.
EPA proposed and is finalizing an addition to the language of this
factor as compared to the 2008 DSW final rule to include the words ``or
in an equally protective manner.'' This change means that a recycling
process would meet this factor if the hazardous secondary material is
stored in a different manner than the analogous raw material as long as
that storage was as protective as the way the analogous raw material
was stored.
For example, a hazardous secondary material in powder form that is
shipped in a woven super sack in good condition (i.e., that does not
leak or spill) and stored in an indoor containment area would be
considered managed ``in an equally protective manner'' as an analogous
raw material that is shipped and stored in drums.
In addition, managing a hazardous secondary material in a manner
consistent with the management of an analogous raw material can include
situations where the raw material and the hazardous secondary material
(e.g., scrap metal) are both stored on the ground.
The second situation the factor addresses is the case where there
is no analogous raw material that the hazardous secondary material is
replacing. This could be either because the process is designed around
a particular hazardous secondary material--that is, the hazardous
secondary material is not replacing anything--or it could be because of
physical or chemical differences between the hazardous secondary
material and the raw material that are too significant for them to be
considered ``analogous.''
Hazardous secondary materials that have significantly different
physical or chemical properties when compared to the raw material would
not be considered analogous even if they serve the same function
because it may not be appropriate to manage them in the same way. In
this situation, the hazardous secondary material would have to be
contained for this factor to be met. The term ``contained'' as
discussed in section V of this preamble, means that the unit in which
the material is stored is in good condition, with no leaks or releases
to the environment, and that the unit is designed to prevent such
releases. In addition, to meet the contained standard, the unit must be
labeled or have a system to identify the hazardous secondary material
in it and must not hold incompatible materials or pose a risk of fires.
Hazardous secondary materials in units that meet the applicable
requirements of 40 CFR parts 264 or 265 are presumed to be contained.
Land-based units can meet the definition of contained.
The requirement that a hazardous secondary material be contained
when there is no analogous raw material to compare it to is consistent
with the idea that normal manufacturing would ensure that the valuable
material inputs are managed properly, rather than allow them to be
released into the environment.
An example of when this provision would be used would be if a
manufacturer decided to replace a dry raw material in its process with
a liquid having the same constituents. It would not be sufficient, nor
would it make sense, for the liquid to be managed in supersacks, like a
dry material might. Instead, the liquid would have to be contained (for
example, in a tank or container).
An important part of this factor is the statement in the regulatory
text clarifying that hazardous secondary materials that are released to
the environment and are not recovered immediately are discarded.
Valuable feedstocks or products should not be allowed to escape into
the environment through poor management and this factor clarifies that
those hazardous secondary materials that are released (and are not
immediately recovered) are clearly discarded and a solid waste. Either
a large release or ongoing releases of smaller amounts could indicate
that, in general, the hazardous secondary material is not being managed
as a valuable product, which could indicate sham recycling. Hazardous
secondary materials that are immediately recovered before they disperse
into the environment--air, soil, or water--and are reintroduced in the
recycling process are not discarded. This determination on factor 3
must be made on a case-by-case basis, however.
In EPA's 2008 DSW final rule, this factor was one of the two
factors that was ``to be considered'' rather than one of the two
mandatory factors because EPA believed that there may be some
situations in which this factor was not met, but the recycling was
still legitimate. With the addition of the language clarifying that the
materials can be managed in a different way than the analogous raw
material as long as that management system is equally protective, EPA
has determined that there is no reason that a facility that is
legitimately using a hazardous secondary material that has value to
them in a recycling process would not meet this factor. EPA's intent
with this factor is that hazardous secondary materials are managed in
the same manner as materials that have been purchased or obtained at
some cost, as raw materials are. Just as it is good business practice
to ensure that raw materials enter the manufacturing process rather
than being spilled or released, we would expect hazardous secondary
materials to be managed effectively and efficiently in order that their
full value to the manufacturing process would be realized.
6. Factor 4: Comparison of Toxics in the Product--Sec. 260.43(a)(4)
The product of the recycling process must be comparable to a
legitimate product or intermediate:
(i) Where there is an analogous product or intermediate, the
product of the recycling process is comparable to a legitimate product
or intermediate if:
(A) The product of the recycling process does not exhibit a
hazardous characteristic (as defined in part 261 subpart C) that
analogous products do not exhibit, and
(B) The concentrations of any hazardous constituents found in
Appendix VIII of part 261 of this chapter that are in the product or
[[Page 1726]]
intermediate are at levels that are comparable to or lower than those
found in analogous products or at levels that meet widely-recognized
commodity standards and specifications, in the case where the commodity
standards and specifications include levels that specifically address
those hazardous constituents.
(ii) Where there is no analogous product, the product of the
recycling process is comparable to a legitimate product or intermediate
if:
(A) The product of the recycling process is a commodity that meets
widely recognized commodity standards and specifications (e.g.,
commodity specification grades for common metals), or
(B) The hazardous secondary materials being recycled are returned
to the original process or processes from which they were generated to
be reused (e.g., closed loop recycling).
(iii) If the product of the recycling process has levels of
hazardous constituents that are not comparable to or unable to be
compared to a legitimate product or intermediate per subparagraphs (i)
or (ii) of this paragraph, the recycling still may be shown to be
legitimate, if it meets the requirements specified below. The person
performing the recycling must conduct the necessary assessment and
prepare documentation showing why the recycling is, in fact, still
legitimate. The recycling can be shown to be legitimate based on lack
of exposure from toxics in the product, lack of the bioavailability of
the toxics in the product, or other relevant considerations which show
that the recycled product does not contain levels of hazardous
constituents that pose a significant human health or environmental
risk. The documentation must include a certification statement that the
recycling is legitimate and must be maintained on-site for three years
after the recycling operation has ceased. The person performing the
recycling must notify the Regional Administrator of this activity using
EPA Form 8700-12.
This factor requires that those making a legitimacy determination
look at the concentrations of the hazardous constituents found in the
product made from hazardous secondary materials and, except where
otherwise specified, compare them to the concentrations of hazardous
constituents in analogous products. A product that contains high levels
of hazardous constituents that originate in a hazardous secondary
material feedstock could indicate that the recycler incorporated
hazardous constituents into the final product when they were not needed
to make that product effective as a way to avoid proper disposal of
that material, which would be sham recycling. This factor, therefore,
is designed to determine when toxics that are ``along for the ride''
are discarded in a final product and the hazardous secondary material
is not being legitimately recycled.
As proposed, factor 4 was unsatisfactory to many of the
stakeholders of this rulemaking. Many representatives from the
industrial sector argued that they would not be able to meet factor 4
or would not be able to easily know if they met factor 4. EPA had
expected that a small number of facilities would have this concern and
had proposed a petition process to address this problem, but many
commenters argued that petitions would take a long time to be
processed, creating uncertainty in the industrial sector, and that a
petition process would be a drain on state and industry resources.
As a result of comments received on the proposal, EPA has made some
revisions to this factor to ensure that long-standing legitimate
recycling processes will still be considered legitimate under this
factor. The requirements that are being promulgated today are described
in full below and include different requirements for when there is an
analogous product and when there is not, provisions for using widely-
recognized commodity standards and specifications to meet this factor,
a provision to address recycling that includes hazardous secondary
materials being put back into the process from which they came, and a
documentation, certification and notification process for facilities
that cannot meet these requirements, but still believe their recycling
is legitimate. A full description of how the requirement being
finalized differs from what was proposed in the 2011 DSW proposal can
be found in section VIII.C.3 of the preamble.
In addition to these changes, EPA has also retained the proposed
language of this factor that states that the concentrations of
hazardous constituents in the product of the recycling process must be
``comparable to'' or lower than those found in analogous products. This
is a change from the 2008 DSW final rule, which used language stating
that the concentrations of hazardous constituents should not be
``significantly higher'' than concentrations in analogous products.
Factor 4 starts with the statement that the product of the
recycling process made from hazardous secondary materials must be
comparable to a legitimate product or intermediate. It is important to
note that the comparison that EPA is requiring here involves the
product that comes out of a recycling process. That is, a recycler will
ordinarily compare the product of the recycling process to an analogous
product made of raw materials. For example, if a recycling process
produces paint, the levels of hazardous constituents in the paint will
be compared with the levels of the same constituents found in similar
paint made from virgin raw materials.
However, a recycler is also allowed to perform this evaluation by
comparing the hazardous constituents in the hazardous secondary
material feedstock with those in an analogous raw material feedstock.
If the hazardous secondary material feedstock contains concentrations
of hazardous constituents that are comparable to or lower than the
concentrations in the raw material feedstock, then the end product of
the recycling process would not contain excess hazardous constituents
``along for the ride'' either. This method of showing that the product
meets factor 4 is acceptable. There may be cases in which it is easier
to compare feedstocks than it is to compare products because the
recycler knows that the hazardous secondary material is very similar in
profile to the raw material. A comparison of feedstocks may also be
easier in cases where the recycler creates an intermediate which is
later processed again and may end up in two or more products, when
there is no analogous product, or when production of the product of the
recycling process has not yet begun. Note, however, that EPA is
allowing other ways to make the comparable demonstration in cases where
there is no analogous product, as described below in section
VIII.B.6.b.
a. Factor 4 when there is an analogous product. Paragraph
260.43(a)(4)(i) describes how a facility can meet factor 4 when the
recycled product can be compared to an analogous product that is made
without the use of hazardous secondary material as a feedstock. First,
the product of the recycling process cannot exhibit any of the
hazardous characteristics that analogous products do not exhibit. Most
issues associated with ``toxics along for the ride'' involve the
presence of hazardous constituents rather than the characteristics of
hazardous waste. It is possible, however, that the use of hazardous
secondary materials as an ingredient could cause a product to exhibit a
hazardous characteristic, such as corrosivity, that is not exhibited by
analogous products.
[[Page 1727]]
The hazardous characteristics are found in 40 CFR part 261 subpart
C and are used to identify those materials that are hazardous wastes,
but that EPA has not specifically listed in part 261 subpart D. The
characteristics are ignitability, corrosivity, reactivity, and
toxicity. The toxicity characteristic includes a list of 40
contaminants and the levels at which the material would be considered
hazardous waste when tested using the Toxicity Characteristic Leaching
Procedure. If a product produced with hazardous secondary material
exhibited a characteristic of hazardous waste that an analogous product
did not exhibit, this would be an indication that sham recycling could
be occurring as a significant hazardous constituent or characteristic
would be in the product only as a result of the recycling of the
hazardous secondary material. This requirement is in Sec.
260.43(a)(4)(i)(A). In most cases, a recycler will be familiar enough
with the material it is producing to be able to easily determine
whether it would meet any of these characteristics, but if there are
any questions, the methods for testing for the characteristics are
found in 40 CFR part 261 subpart C.
In addition to this requirement, the product of the recycling
process must also meet Sec. 260.43(a)(4)(i)(B). This paragraph can be
met in two ways. The first way is if the concentrations of any
hazardous constituent (as defined by Appendix VIII to part 261) that is
in the recycled product is comparable to or lower than those found in
analogous products. This provision is what EPA proposed in the 2011 DSW
proposal, which included a discussion of how meeting product
specifications could indicate that a recycling process is legitimate,
as well as a request for comments on how EPA should determine what
``comparable'' levels of hazardous constituents are when determining
the legitimacy of a recycling process. In response to comments received
on this point, EPA has added to this paragraph that the product of the
recycling process would be comparable if it meets widely-recognized
commodity standards that include levels that specifically address the
hazardous constituents that are in the product.
As stated above, the first part of Sec. 260.43(a)(4)(i)(B) is
similar to the provision that EPA proposed in the 2011 DSW proposal. In
this provision, EPA has decided to finalize language replacing the
terms ``significant'' and ``significantly elevated,'' which were
promulgated in the 2008 DSW final rule, with the phrase ``comparable to
or lower'' because it more clearly reflects the intent of this factor.
``Comparable to or lower than'' means that any contaminants present in
the product made from hazardous secondary materials are present at
levels at or lower than the levels contained in an analogous product,
or if higher, would be within a small acceptable range. This language
is consistent with the Identification of Non-Hazardous Secondary
Materials that are Solid Wastes final rule (76 FR 15456, March 21,
2011). However, we are not changing the basic meaning of this factor.
Operationally, the terms ``comparable'' and ``not significant'' or
``not significantly elevated'' are the same for hazardous secondary
materials recycling and the examples the Agency provided in the 2008
DSW final rule preamble that explained how the Agency envisions this
factor working are still appropriate. Those examples are repeated here.
If paint made from reclaimed solvent contains
significant amounts of cadmium, but the same type of paint made from
virgin raw materials does not contain cadmium, it could indicate
that the cadmium serves no useful purpose and is being passed though
the recycling process and discarded in the product. Thus, the levels
of cadmium would not be considered ``comparable'' and the paint
would fail this legitimacy factor, unless the recycler can conduct
the necessary analysis and prepare documentation stating why the
recycling is still legitimate. In addition, the recycler would need
to certify and provide notice to the implementing agency of this
activity.
If a lead-bearing hazardous secondary material was
reclaimed and then that material was used as an ingredient in making
ceramic tiles and the amount of lead in the tiles was significantly
higher than the amount of lead found in similar tiles made from
virgin raw materials, the recycler should look more closely at the
factors to determine the overall legitimacy of the process. The
significantly higher levels of lead may indicate that the recycled
product is not comparable to an analogous product and, thus, the
recycling process is really a sham. Alternatively, the recycler may
be able to demonstrate the recycling is still legitimate even though
it does not contain lead at comparable levels by, for example,
showing the toxics are not bioavailable. If this is the case, the
recycler would need to document the analysis and certify the
legitimacy of the recycling practice, as well as provide notice to
the implementing agency.
If zinc galvanizing metal made from hazardous secondary
materials that are reclaimed contains 500 parts per million (ppm) of
lead, while the same zinc product made from raw materials typically
contains 475 ppm, the levels would be considered comparable since
they are within a small acceptable range and, thus, the product
would meet this factor. If, on the other hand, the lead levels in
the zinc product made from reclaimed hazardous secondary materials
were considerably higher, these levels may not be comparable, and
would require the recycler to look more closely at this factor since
it may indicate that the product was being used to illegally dispose
of the lead and that the activity is sham recycling, unless the
recycler can conduct the necessary assessment and prepare
documentation stating why the recycling is still legitimate. In
addition, the recycler would need to certify and provide notice to
the implementing agency of this activity.
If a ``virgin'' solvent contains no detectable amounts
of barium, while spent solvent that has been reclaimed contains a
minimal amount of barium (e.g., 1 ppm), this difference would likely
be considered comparable.
The second part of Sec. 260.43(a)(4)(i)(B) relies not on a
comparison of levels of hazardous constituents between a product of the
recycling process and an analogous product, but on the product of the
recycling process meeting widely-recognized commodity standards and
specifications. In this case, meeting a widely-recognized standard and
specification would indicate that the recycling is legitimate if that
standard and specification includes levels for the hazardous
constituents that are found in the product of the recycling process.
EPA decided that using a product's ability to meet product
specifications as an indicator of legitimate recycling would make the
determination of legitimate recycling straight-forward in many cases
where the product of the recycling is clearly a commodity in wide use
in commerce. Although not spelled out in the regulatory language used
in the 2008 DSW final rule, consideration of whether the product of a
recycling process meets quality specifications has been part of the
legitimacy determination since the Lowrance Memo in 1989, which
included several questions to this effect as part of its determination
of whether there is a guaranteed market for the product (i.e., Are
there industry recognized product specifications for the product? Is it
listed in industry news letters? Is the reclaimed product a recognized
commodity?). Including this provision on product specifications as part
of this final rulemaking will limit uncertainty from recyclers about
whether their processes are legitimate.
However, despite the value of product standards, EPA did not want
to state that meeting any product specification was an indicator of
legitimacy because any recycler could design its own specification and
point to that as a way to circumvent the requirement. Therefore, this
requirement requires that the commodity standards being met be widely-
recognized. By ``widely-recognized commodity standard,'' EPA
[[Page 1728]]
means a standard that is used throughout an industry to describe a
certain product and that is widely-available to anyone producing the
product. A specific example of such a widely-recognized standard agency
would be ASTM International, which has standards covering a wide
variety of manufactured goods.\31\ However, for specialty batch
chemical manufacturers or other types of specialty manufacturing where
widely-recognized commodity standards are not available, customer
specifications would be sufficient.
---------------------------------------------------------------------------
\31\ ASTM International, formerly known as the American Society
for Testing and Materials (ASTM), develops and delivers
international voluntary consensus standards. Its Web site states
that 12,000 ASTM standards are used around the world to improve
product quality, enhance safety, facilitate market access and trade,
and build consumer confidence. https://www.astm.org/ABOUT/aboutASTM.html.
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In addition, for this part of factor 4, the commodity standards and
specifications being referenced must specifically address those
hazardous constituents that may be different between the analogous
product and the product generated from using the hazardous secondary
material in the recycling process. EPA is making this explicit in the
regulations to avoid a situation in which a product from a process that
is recycling hazardous secondary materials meets a widely-recognized
product specification, but does not include any levels for the
hazardous constituents that are in the hazardous secondary material. A
product specification could have been developed without any thought
that the feedstock for that product might include some hazardous
constituents that could be toxic to human health and the environment
and, therefore, not include them. We are concerned with the potential
that the analogous product could be substituted with the recycled
product without full disclosure of potential toxics that may be in the
recycled product. Using a standard or specification that does not
address the hazardous constituents of concern to demonstrate meeting
factor 4 of the legitimacy requirements where there is an analogous
product would ignore the primary concern of this factor and would allow
elevated levels of toxics from the hazardous secondary material into
the final product.
b. Factor 4 when there is no analogous product. Commenters on EPA's
2011 DSW proposal expressed concern that, in many cases of hazardous
secondary materials recycling, there may not be an analogous product
with which a facility can compare the product of the recycling process.
Commenters described recycling processes that were designed to use a
specific hazardous secondary material to make a useful product and
processes that always incorporated a hazardous secondary material back
into the generating process during manufacturing. Paragraph
260.43(a)(4)(ii) describes how a facility can meet factor 4 in these
situations.
EPA had not previously identified a separate methodology for
meeting factor 4 in the situation where there is no analogous product,
but the support in the comments in response to EPA's request for input
on the use of product specifications made it clear that this approach
could be effective in the case where there is no analogous product.
Therefore, EPA is stating in Sec. 260.43(a)(4)(ii)(A) that a product
of the recycling process is comparable to a legitimate product or
intermediate when ``the product of the recycling process is a commodity
that meets widely-recognized commodity standards and specifications.''
EPA gives the example in the regulatory text of commodity specification
grades for common metals, which would be relevant to scrap metal
recyclers, among other metal recyclers.
As stated above for paragraph (A), EPA decided that using a
product's ability to meet product standards and specifications as an
indicator of legitimate recycling would make the determination of
legitimate recycling more straight-forward in many cases where the
product of the recycling is clearly a commodity in wide use in
commerce. This would limit uncertainty from recyclers about whether
their processes are legitimate.
However, despite the value of product standards and specifications,
EPA did not want to state that meeting any product standard or
specification was an indicator of legitimacy because any recycler could
design its own specification and point to that as a way to circumvent
the requirement. Therefore, this requirement requires that the
commodity standards and specifications being met be widely-recognized.
By ``widely-recognized commodity standard and specification,'' EPA
means a standard or specification that is used throughout an industry
to describe a certain product and that is widely-available to anyone
producing the product. A specific example of such a widely-recognized
standard agency would be ASTM International, which has standards
covering a wide variety of manufactured goods. Note, for this part of
factor 4, the commodity standard or specification must be widely
recognized, but would not necessarily address a specific hazardous
constituent, since there is no analogous product to compare it to. EPA
has determined that recycled products that do not have analogous
products can ``stand alone'' in that they are not substitutes for
virgin products and thus, either succeed or fail based on their
inherent characteristics, including any hazardous constituents
contained therein. Therefore, EPA has determined that market forces
appropriately dictate whether these types of recycled products meet the
technical provisions of factor 4.
EPA also wanted to address the situation in which a manufacturing
process produces a hazardous secondary material that is then recycled
back into the process from which they were generated. In some cases,
the product is always manufactured using this kind of feedback loop
and, therefore, there is no analogous product with which it can be
compared. EPA has included in today's final rule a provision that
states that when ``hazardous secondary materials being recycled are
returned to the original process or processes from which there were
generated to be reused, the product of the recycling process is
comparable to a legitimate product or intermediate.'' That is, in those
situations, the recycling process meets factor 4.
Recycling that takes place under EPA's closed loop recycling
exclusion at Sec. 261.4(a)(8) would be an example of manufacturing
that would consistently include the hazardous secondary material being
returned to the original process from which it was generated and that
would meet the legitimacy factors being discussed here. Another
situation about which commenters expressed concern was mineral
processing to produce primary metals, because these processes always
include materials looping back into the process to ensure that all the
valuable metals that can be extracted from the ore are being collected
for use. For example, in precious metals production, hazardous
secondary materials from various stages in the process contain
concentrations of both precious metals and hazardous constituents that
are higher than concentrations in ore. The concentrations of hazardous
constituents and precious metals in these hazardous secondary materials
vary depending on the makeup of the ore from which they came. In order
to glean the most valuable product from processing the ore, these
hazardous secondary materials are routinely put back into the
production units that process the virgin materials and are put
[[Page 1729]]
through the process again. Commenters from the precious metals industry
argued in their comments that they consider this legitimate recycling
of secondary materials (that may be hazardous) and that because of the
variation in the makeup of the materials going back into the process,
determining whether factor 4 has been met would be difficult. Thus, EPA
has determined that the recycling process in these situations--that is,
in which the hazardous secondary material is returned to the original
production process, or the processes from which it was generated--would
meet factor 4.
EPA has determined that recycling hazardous secondary materials in
this manner is not a concern as far as ``toxics along for the ride''
are concerned because the hazardous secondary materials came out of the
very same process and contain the same hazardous constituents that are
already in the manufacturing process. These hazardous constituents
originated in the raw materials of the process that are being used with
or without the recycling loop. Prohibiting the recycling of hazardous
secondary materials in these situations because of factor 4 would not
be changing the amount or nature of hazardous constituents in the
product that comes out of the manufacturing process. In addition, that
kind of prohibition would be misguided from a resource conservation
perspective because it could limit the recycling of these materials
back into a process, which leads to a more efficient process and
therefore conserves the use of raw materials in manufacturing.
c. Documentation, certification and notice process for factor 4.
EPA designed the provisions above to make it more clear how a material
can meet factor 4. In addition, they provide additional flexibility to
this factor, where it makes environmental and economic sense. These
added provisions address most of the comments that EPA received stating
that a particular sector or industry would have trouble meeting factor
4.
EPA recognizes, however, that despite these changes, there may
still be instances where recycling is legitimate, but is unable to meet
the technical provisions of factor 4 as it is written because the
product of the recycling process has levels that are not comparable to
analogous products or because the product of the recycling process
cannot be compared to an analogous product, but does not fit under
Sec. 260.43(a)(4)(ii).\32\
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\32\ Note that a recycling facility can also compare the
hazardous constituents in the hazardous secondary material to an
analogous feedstock, if that approach works better for a particular
recycling process.
---------------------------------------------------------------------------
It is critical that the legitimacy regulations be flexible enough
to allow for situations like this, particularly with the regulations
applying to all recycling. In this final rulemaking, EPA has replaced
the petition process that it proposed in the 2011 DSW proposal with a
documentation, certification and notice process for factor 4.
Specifically, when a recycling facility has determined that it must
take advantage of the documentation, certification and notice process,
either because the product of the recycling process has levels that are
not comparable to analogous products or because the product of the
recycling process cannot be compared to an analogous product (and Sec.
260.43(a)(4)(ii) does not apply), it must determine that its recycling
process is legitimate despite the levels of hazardous constituents in
the product. The regulatory text for this provision explains that in
doing this analysis, the facility making the determination can consider
``lack of exposure from toxics in the product, lack of the
bioavailability of the toxics in the product, or other relevant
considerations which show that the recycled product does not contain
levels of hazardous constituents that pose a significant human health
or environmental risk.''
A consideration of lack of exposure from the toxics in a product
would involve an assessment of the process to determine if the
hazardous constituents are likely to come into contact with humans or
the environment in a way that will harm them. For example, a product
that is more of an intermediate in a recycling process and stays within
an industrial setting where it is contained and where everyone coming
into contact with it is familiar with any hazards that it poses could
be considered a candidate for this certification because there is
limited exposure to human health and the environment from the product.
A consumer product, on the other hand, that will be leaving an
industrial setting and entering the market where certain hazardous
constituents may not be expected and may not have limited exposure to
human health and the environment is unlikely to be eligible for this
exception to factor 4.
For example, as previously explained in the 2008 DSW final rule and
the 2011 DSW proposed rule, EPA has determined that the reuse of lead
contaminated foundry sands may or may not be legitimate, depending on
the use. The use and reuse of foundry sands for mold making in a
facility's sand loop using a non-thermal reclamation process under
normal industry practices has been found to be legitimate because the
sand is part of an industrial process where there is little chance of
the hazardous constituents being released into the environment or
causing damage to human health and the environment when it is kept
inside, because there is lead throughout the foundry's process, and
because there is a clear value to reusing the sand, even though the
levels of hazardous constituents in the sands may not be comparable to
the analogous product. However, in the case of lead contaminated
foundry sand used as children's play sand, the same high levels of lead
would disqualify this use from being considered legitimate recycling.
An assessment of lack of the bioavailability of toxics in the
product could be a more complicated analysis that would examine whether
the hazardous constituents in the final product are bound up with the
other constituents in such a way that they would not be released when
coming into contact with humans or the environment over the lifetime of
the product. Although this would be a sophisticated assessment, a
facility wishing to perform this kind of analysis to inform a
legitimacy determination under this certification process can do so.
EPA has included the phrase ``other relevant considerations which
show that the recycled product does not contain levels of hazardous
constituents that pose a significant human health or environmental
risk'' in the regulation to account for other situations that may
arise. An example that was submitted in the comments to the proposal
that could be an ``other relevant consideration'' in making this
determination is when the reclaimed product contains compounds that are
not in analogous products, but the products exhibit similar physical
and chemical risk profiles and therefore are not posing an increased
risk. There may be other considerations regarding factor 4 like these
that could also be relevant to the legitimacy of a recycling process;
however, the Agency thinks these are limited.
After determining that its process is still legitimate, the
recycling facility would prepare documentation explaining its
assessment. This should take the form of a description of the process
in question and an explanation of the analysis performed to determine
legitimacy, including any relevant diagrams and flow charts, as well as
any
[[Page 1730]]
relevant sampling data. In addition, the documentation must include a
certification statement that states that recycling is legitimate and
that is signed by the responsible official at the recycling facility.
The language for the certification is not mandated in the regulations,
but an acceptable example would be ``I certify that the hazardous
secondary recycling process described in these pages is a legitimate
recycling process.''
The documentation and certification of legitimate recycling would
have to be maintained or available on-site for as long as the recycling
process is operating at the site and for three years after the
recycling operation has ceased.
In addition to preparing and maintaining this documentation, the
recycling facility would notify its Regional Administrator (or State
Director, in authorized states) that it is taking advantage of this
provision by reporting the type of hazardous secondary material and the
recycling process being used to produce a product with elevated levels
of hazardous constituents (or a product that has no widely-known
commodity standards for the hazardous constituents) through EPA Form
8700-12, otherwise known as the Site ID form.\33\ When a facility
documents, certifies, and submits notice under factor 4, it is
addressing factor 4 for the purposes of the introductory language of
Sec. 260.43, which requires that all requirements of the paragraph be
addressed.
---------------------------------------------------------------------------
\33\ EPA will revise EPA form 8700-12 to incorporate this
notification. In the interim, persons may notify using the
``Comments'' box on the form.
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EPA has decided to finalize this self-implementing certification
process rather than the proposed petition process to reduce burden on
facilities who are taking advantage of this provision, as well as on
the regulatory agencies implementing the regulations. Because this
requirement for documentation and a certification that must be
maintained on-site does not include an approval process, facilities do
not have to wait for any decisions from their implementing agencies
about whether their recycling is legitimate.
However, the notification aspect of the legitimacy regulations
being finalized today adds some limited, but important, oversight to a
process that would otherwise be taking place out of sight of the
regulating agencies all together, that is, the decision that a
recycling process that does not meet factor 4 is still legitimate. The
notification gives EPA and the authorized states information about
which recycling facilities are producing products from recycled
hazardous secondary materials that have elevated levels of hazardous
constituents when compared to non-recycled products (or are producing
recycled products that have no non-recycled analogue and no widely
recognized commodity specifications). This notification facilitates
oversight and inspections of the recycling facility concerning the
legitimacy of the recycling process, allowing EPA and authorized states
to continue to use existing authorities to determine whether the
recycling is legitimate.
EPA has chosen this approach because it maintains the self-
implementing nature of the regulations, while providing enough
information to EPA and the authorized states to gather the necessary
information. In these ways, this approach addresses the main concerns
raised by the stakeholders in the comments to this rulemaking.
A facility that claims to be operating a recycling process that is
legitimate under this provision could be subject to an enforcement
action if the Agency determines that the recycling is sham. As always,
a facility with questions about the regulated status of its hazardous
secondary material can contact its implementing agency for assistance
in making a waste determination.
C. Changes From the Proposal
1. Prohibition of Sham Recycling
In today's final rule, EPA is codifying the requirement that all
hazardous secondary material recycling must be legitimate. However,
instead of amending the text of each recycling exemption and exclusion,
we are instead codifying a provision in Sec. 261.2(g) that states that
any hazardous secondary material found to be sham recycled is discarded
and thus, a solid waste. This more clearly reflects our intent and our
long-standing policy that only those facilities truly recycling should
be eligible for an exclusion based on recycling the hazardous secondary
materials. We did not intend to cause facilities that are legitimately
recycling to revisit their practices or for state agencies to revisit
past legitimacy determinations. However, we do want to make clear that
sham recycling is not real recycling and thus, any hazardous secondary
material being sham recycled is a solid and potentially a hazardous
waste. By making a clear statement in the definition of solid waste,
the Agency is placing the appropriate emphasis on this issue, that is,
that sham recycling is discard.
2. Documentation
When the Agency codified the legitimacy standard in the 2008 DSW
final rule, we did not require specific documentation regarding the
legitimacy determination, although the regulatory language stated that
persons claiming to be excluded from hazardous waste regulation because
they are engaged in reclamation must be able to demonstrate that the
recycling is legitimate. In the 2011 DSW proposal, we proposed to
require that persons who perform recycling include documentation in
their paperwork to explain how their hazardous secondary materials are
legitimately recycled.
After reviewing the public comments, we have decided that, as a
general matter, documentation of legitimacy is not necessary for most
hazardous secondary materials recycling. Instead, we will continue to
rely on the current provision in Sec. 261.2(f) that requires
respondents to demonstrate that the material is not a waste. Section
261.2(f) requires persons claiming that materials are not solid waste
or are conditionally exempt from RCRA Subtitle C regulation to provide
appropriate documentation of these claims.
However, we are finalizing two exceptions to the general case where
documentation of legitimate recycling is not required. The first is
that we are finalizing a requirement for facilities reclaiming
hazardous secondary materials under the control of the generator, that
is, any facility claiming the exclusion at Sec. 261.4(a)(23), to
document the legitimacy of the reclamation process. We have determined
that it is important for those facilities to document the legitimacy of
their recycling process, given the wide variety of hazardous secondary
materials and industrial processes that can claim to be operating under
the generator-controlled exclusion with relatively few conditions.
After implementing the DSW exclusions in several states since its
promulgation in October 2008, we have determined that documentation of
legitimacy for this particular exclusion is important in ensuring
compliance and will make oversight and enforcement more effective. We
are therefore requiring that persons who perform reclamation under the
control of the generator to include documentation and explain how their
hazardous secondary materials are legitimately reclaimed. We expect
this documentation to be a narrative description, which could include
photographs or other illustrations or process diagrams of how the
reclamation of their hazardous
[[Page 1731]]
secondary materials meets the legitimacy factors. Reclaimers of
hazardous secondary materials will need to maintain this documentation
on-site where the reclamation occurs for the duration of the
reclamation operations and for three years after the reclamation
operations cease. Written documentation will provide an easily
available explanation of the facility's rationale for the legitimacy of
its process that is available to the implementing agency on regular
inspections or as part of compliance assistance.
The other exception where documentation is required is for those
facilities whose product made from recycled hazardous secondary
materials does not meet factor 4, but would still be considered a
legitimately recycled product. Those facilities would need to maintain
documentation as to why, in fact, the recycling is still legitimate as
it relates to factor 4. For a more detailed explanation of that
documentation requirement, refer to section VIII.B.6 above.
3. Factor 4
In the 2011 DSW proposal, EPA's proposed factor 4 contained two
main requirements to ensure that hazardous constituents were not
``along for the ride'' and being discarded in a final product under the
guise of recycling. The proposed regulation stated that the product of
the recycling process would have to have concentrations of hazardous
constituents that are at levels comparable to or lower than those found
in analogous products. In addition, the proposal stated that the
product of the recycling process could not exhibit a hazardous
characteristic that analogous products did not also exhibit.\34\ EPA
recognized that there would be some legitimate recycling operations
that may not meet this requirement, and so proposed to address this
situation through a petition process in which a facility that did not
meet factor 4 could petition its implementing agency, whether that be a
state environmental agency or an EPA Region, and get agreement from
that agency that its operations were legitimate.
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\34\ The language in the proposed regulatory text for this
paragraph mistakenly included an ``or'' instead of an ``and''
between these two requirements of factor 4 although the preamble
discussion on page 76 FR 44124, column 2, correctly used ``and.''
Several commenters pointed this error out to the Agency in their
comments.
---------------------------------------------------------------------------
Although this approach would provide a way for operations that are
legitimate, but don't meet factor 4 to still operate, commenters from
both the industrial sector, as well as from state regulatory agencies,
commented that this approach was not ideal. Commenters from industry
suggested that there would be more petitioners under this provision
than EPA had anticipated because certain large sectors of industry
would likely be uncertain about whether their recycling would meet the
factor as written and would be compelled to petition their implementing
agencies. Commenters provided some real world examples to illustrate
their concerns with factor 4 that EPA closely examined when redrafting
the language for this provision.
Commenters also were concerned that the petition process itself
might take too long if the implementing agencies receive petitions from
many facilities and that the response time might end up being very
lengthy. Several of the states that could be responsible for replying
to these petitions also commented that they were not in favor of a
petition process because the resources that would be required to
respond to the petitions are not available in the state program
offices.
EPA made several changes to factor 4 in response to these comments
and has determined that factor 4, as we are finalizing it today, better
addresses the wide variety of industrial recycling processes. There are
four main changes to the final language of factor 4 as compared to the
2011 DSW proposed regulation.
First, instead of the two basic proposed provisions that depend on
a comparison with an analogous product, factor 4 as finalized
acknowledges that sometimes there is no analogous product available for
a comparison. Subparagraph (i) covers how a recycling process meets the
factor if there is an analogous product whereas subparagraph (ii),
which was not part of the proposed regulatory language, covers how a
product with no analogous product can meet factor 4.
Secondly, the finalized regulatory language has provisions for how
widely-recognized industry standards and specifications can be used to
meet factor 4. EPA took comment on the usefulness of specifications for
evaluating hazardous constituents in the product and has determined
that as long as the standards and specifications being relied upon are
widely recognized industry wide standards and specifications for a
product (and in the case of (i), that they address the hazardous
constituents in question), meeting them would be appropriate to show
that hazardous constituents are not being discarded under the guise of
recycling. This should make determinations regarding factor 4 simpler
for a wide range of industries producing common industrial commodities.
EPA did not intend to interfere with long-standing legitimate recycling
in these industries and this addition to the regulatory language should
clarify for those industries that when they are meeting the extensive
commodity standards and specifications for their products, they meet
factor 4 as well.
The third change is the addition under Sec. 260.43(a)(4)(ii)(B) of
language that states that hazardous secondary materials that are being
recycled by being returned to the original process(es) from which they
were generated meet factor 4. In closed loop recycling and in several
other kinds of recycling, such as in mining and mineral processing,
hazardous secondary materials generated from an industrial process are
regularly returned to that same process to remove more of the valuable
constituent from them. The hazardous constituents in the secondary
material are no different than what is already in the process and
returning them makes the entire manufacturing process more efficient
since it requires fewer raw materials.
EPA has stated in the past that it would not consider this practice
a concern from the perspective of factor 4 because the comparison in
question is supposed to be between final products, but it was clear
from the comments to the proposal that this question was still a
concern to many facilities. When adding subparagraph (ii) for
situations where there is no analogous product for a comparison, EPA
also added this language to make it clear that processes in which the
hazardous secondary materials are returned to the original process do
meet factor 4.
Collectively, these changes to the language of factor 4 are an
improvement from EPA's 2011 proposal as the changes clarify when factor
4 is met for a wide variety of industrial processes. Furthermore, a
generator can use its knowledge of the materials it uses and of the
recycling process to make legitimacy determinations under factor 4.
Thus, testing would be rarely required for a recycler to meet this
factor because it would only be necessary when the product of the
recycling does not meet widely-recognized specifications, is not an in-
process material, and when the recycler does not sufficiently know what
is in their final product to make a determination using generator
knowledge.
Finally, EPA has changed proposed factor 4 to require any facility
that does not meet the technical provisions of this
[[Page 1732]]
factor and yet is still legitimately recycling to document, certify,
and provide notice that even though the recycling process does not meet
the technical provisions of this factor, the recycling process is
nevertheless legitimate. This requirement replaces the proposed
petition process. The comments EPA received on the petition process
expressed concern that the process would be expensive for facilities
who wanted to take advantage of it and would place too much of a burden
on implementing agencies. Comments also argued that EPA's estimate of
the number of facilities that would be likely to submit petitions was
overly conservative. Although the changes to factor 4 described here
will address the concerns of many of the facilities who stated that
they would have to submit a petition, the Agency also determined that a
self-implementing process to allow those recyclers to address factor 4
would be more in keeping with the existing policy on legitimacy.
The certification process requires that a facility go through the
same thought process and assessment about hazardous constituents that
are incorporated into the final product that would have been required
by the petition process (and that is currently consistent with the
Agency's legitimacy policy in the Lowrance Memo). However, instead of
having to submit a petition to an implementing agency when the process
is legitimate despite not meeting the technical provisions of factor 4,
the facility can document and certify the assessment that it has done
and submit a notification on the Site ID form. This is a minimal
burden, particularly as the Site ID form is a form that many of these
facilities are already submitting to EPA for other reasons. In
addition, these facilities are not left waiting for a response from an
agency as they may have had to under the proposed petition procedure.
All in all, these changes to factor 4 will make this part of the
legitimacy requirement consistent with the current policy in the
Lowrance Memo and Federal Register preamble discussions and allow for
all four legitimacy factors to be requirements that must be met without
adversely affecting existing legitimate recycling.
IX. Revisions to Solid Waste Variances and Non-Waste Determinations
The Agency is finalizing today several modifications to the
regulation of solid waste variances and non-waste determinations at 40
CFR 260.31(c), 40 CFR 260.33, and 40 CFR 260.34 to ensure protection of
human health and the environment and foster greater consistency on the
part of implementing agencies. These final revisions include:
(1) Revise 40 CFR 260.33(c) to require facilities to send a notice
to the Administrator (or the State Director, if the state is
authorized) in the event of a change in circumstances that affects how
a hazardous secondary material meets the relevant criteria upon which a
variance or non-waste determination has been based. The Administrator
may issue a determination that the hazardous secondary material
continues to meet the relevant criteria of the variance or non-waste
determination or may require the facility to re-apply for the variance
or non-waste determination;
(2) Include a provision at 40 CFR 260.33(d) that variances and non-
waste determinations shall be effective for a fixed term not to exceed
ten years. No later than six months prior to the end of this term,
facilities must re-apply if they want to maintain the variance or non-
waste determination;
(3) Include a provision at 40 CFR 260.33(e) stating that facilities
receiving a variance or non-waste determination must provide
notification as required by 40 CFR 260.42;
(4) Revise the criteria for the partial reclamation variance in 40
CFR 260.31(c) to clarify when the variance applies and to require,
among other things, that the all criteria for this variance must met;
and
(5) Revise the criteria for the non-waste determination in 40 CFR
260.34 to require that petitioners explain or demonstrate why their
hazardous secondary materials cannot meet, or should not have to meet,
the existing DSW exclusions under 40 CFR 261.2 or 261.4.
A discussion of the public comments on the 2011 DSW proposal and
Agency responses can be found in section XVIII of this preamble and the
full response to comment document is in the docket for the rulemaking.
A. Revisions to Procedures for Variances and Non-Waste Determinations
in 40 CFR 260.33
Under the current regulatory framework, 40 CFR 260.30 provides the
Administrator with the authority to grant a variance from the
definition of solid waste or a non-waste determination on a case-by-
case basis if the hazardous secondary materials are recycled in a
particular manner. The practical effect of both the solid waste
variances and the non-waste determinations is the same; once a petition
is granted by EPA, or the authorized state, the hazardous secondary
material is not regulated as a solid or hazardous waste. The procedures
for these variances and non-waste determinations are found in 40 CFR
260.33.
In today's rule, EPA is finalizing three changes to 40 CFR 260.33.
First, EPA is requiring in 40 CFR 260.33(c) that facilities send a
notice to the Administrator (or the State Director, if the state is
authorized) in the event of a change in circumstances that affect how a
hazardous secondary material meets the relevant criteria upon which a
variance or non-waste determination has been based. Second, EPA is
establishing in 40 CFR 260.33(d) an effective term limit of ten years
for variances and non-waste determinations unless the petitioner re-
applies to the Agency to have the variance or non-waste determination
renewed. Third, EPA is requiring in 40 CFR 260.33(e) that facilities
re-notify every two years under 40 CFR 260.42.
1. Requirement That an Applicant Send Notice in the Event the Material
No Longer Meets the Relevant Criteria
EPA is modifying 40 CFR 260.33(c) to require, in the event of a
change in circumstances that affects how a hazardous secondary material
meets the relevant criteria contained in 40 CFR 260.31, 260.32, or
260.34 upon which a variance or non-waste determination has been based,
the applicant must send a description of the change in circumstances to
the Administrator (or the State Director, if the state is authorized).
The Administrator then may issue a determination that the hazardous
secondary material continues to meet the relevant criteria of the
variance or non-waste determination or may require the facility to re-
apply for the variance or non-waste determination.
The requirement that the hazardous secondary materials must
continue to meet the relevant criteria of a solid waste variance or
non-waste determination is inherent in the regulations. Failure to meet
the criteria could indicate that the hazardous secondary materials are
discarded and a solid waste and would trigger the need to re-examine
the circumstances of the recycling. EPA is codifying this change to 40
CFR 260.33(c) to ensure that if there are changes that may impact how
the hazardous secondary material meets the relevant criteria, that such
changes be considered by the regulatory authority to ensure that those
criteria continue to be met. This requirement will ensure clarity and
consistency by providing an administrative procedure for reconsidering
a variance or non-waste determination in the event that
[[Page 1733]]
the hazardous secondary material no longer meets the relative criteria.
In some cases, a full re-application for a variance or non-waste
determination may not be necessary. Under today's final rule, in the
event of a change, the facility must send a description of the change
in circumstances to the regulatory authority and it is the regulatory
authority that will determine whether the facility must re-apply for a
variance or non-waste determination. This change in procedure allows
the regulatory authority to avoid spending unnecessary resources re-
reviewing petitions where the change in circumstances is found to be of
no consequence to the original variance or non-waste determination the
regulatory authority has granted.
2. Term Limit on Variances and Non-Waste Determinations
EPA is adding a provision to 40 CFR 260.33(d) that solid waste
variances and non-waste determinations shall be effective for a fixed
term not to exceed ten years. No later than six months prior to the end
of this term, facilities must re-apply for a variance or non-waste
determination if they want to maintain the variance or non-waste
determination. A facility may continue to operate under an expired
variance or non-waste determination if they have submitted an
application for a new variance or non-waste determination six months
prior to the end of the term limit and have not yet received a final
decision on that application from their regulatory authority.
Variances and non-waste determinations are granted based on the
case-by-case circumstances of a particular hazardous secondary material
being recycled. Many of the variance and non-waste determination
criteria specifically consider factors such as, the manner in which the
hazardous secondary material is recycled, the market factors of the
recycling process, the value of the hazardous secondary material, and
contractual arrangements. However, these factors do not remain static
and, instead, tend to change and evolve over time. It is therefore
prudent that regulatory authorities periodically review these case-by-
case situations to ensure that the hazardous secondary material
continues to meet the criteria of the variance or non-waste
determination.
Variances and non-waste determinations are granted for a fixed term
not to exceed ten years from the date the facility is granted a
variance or non-waste determination. If, for example, due to a change
in circumstances, a facility is required to re-apply for a variance or
non-waste determination within the 10-year time limit of its initial
petition, then an automatic re-application would not be initiated until
ten years after its second variance or non-waste determination is
granted, unless otherwise specified by the regulatory authority.
Additionally, regulators may stipulate time limits of less than 10
years, if warranted.
3. Re-Notification Requirement
EPA is adding a provision to 40 CFR 260.33(e) to require facilities
receiving variances or non-waste determinations to send a notification
of this activity prior to operating under the regulatory provision and
by March 1 of each even-numbered year thereafter to the Regional
Administrator (or State Director, if the state is authorized) using EPA
Form 8700-12 in compliance with 40 CFR 260.42. Additionally, these
facilities must notify within 30 days of stopping management of
hazardous secondary materials under the variance or non-waste
determination.
The intent of the notification is to enable variances and non-waste
determinations to be tracked nationally and over time, which
facilitates state-to-state consistency in determinations. Additionally,
notifications enable effective oversight of facilities receiving
variances and non-waste determinations because it provides regulatory
authorities with a mechanism for receiving regularly updated
information (such as information regarding quantities of hazardous
secondary materials managed under the determination). Additionally,
this information can be used to identify facilities which may have
undergone changes to their reclamation process significant enough to
trigger a review of the determination under 40 CFR 260.33(c).
EPA finds that the notification requirement under 40 CFR 260.42 has
worked well in enabling regulatory authorities to monitor compliance of
facilities operating under the 2008 DSW final rule. Regulatory
authorities receive information on the name and location of the
facilities operating under the exclusion and the types and quantities
of hazardous secondary materials the facility is managing, which allows
the regulatory authority to prioritize inspections, as well as create a
list of facilities that would benefit from training and compliance
assistance on the rule. Additionally, notification has allowed
regulatory authorities to identify problems so as to intervene early to
prevent potential mismanagement. EPA is convinced of the value of the
notification provision in ensuring proper implementation of its rules.
Therefore, notification for variances and non-waste determinations will
increase transparency and oversight of facilities receiving a variance
or non-waste determination.
B. Revisions to Partial Reclamation Variance in 40 CFR 260.30(c)
The ``partial reclamation'' variance in 40 CFR 260.30(c) applies to
hazardous secondary materials that have been reclaimed, but must be
reclaimed further before the materials are completely recovered (i.e.,
``partial reclamation''). In turn, 40 CFR 260.31(c) provides the
specific standards that a partially-reclaimed material must meet in
order to be eligible for a variance from classification from solid
waste.
In this final rule, EPA is revising the partial reclamation
variance provision of 40 CFR 260.31(c) to clarify when partially-
reclaimed materials are not solid waste because they are commodity-
like. The objectives of the revisions are to clarify the regulatory
language, foster consistent application of the variance criteria, and
emphasize that the variance should be granted only when partial
reclamation has produced a commodity-like material. EPA's modifications
to 40 CFR 260.31(c) include: (1) Revising the introductory text to
clarify when the variance applies; (2) revising the introductory text
to require that all of the decision criteria must be met; (3) revising
the language of all of the decision criteria to provide greater
clarity; and (4) eliminating the sixth criterion, ``other relevant
factors.''
1. Purpose of Revisions to Partial Reclamation Variance
When the partial reclamation variance was promulgated in 1985,
EPA's original intent was to provide a mechanism for determining if a
hazardous secondary material had undergone sufficient reclamation (a
type of processing) to produce a material that was more like a
commodity than a solid waste. The variance would be applicable if the
material was commodity-like, even though some further reclamation was
required before the material became a commercial product. EPA intended
that the variance would be applied at the point that the commodity-like
material was produced. After that point, the material would be managed
as a commodity rather than as a solid and hazardous waste. Prior to the
point that partial reclamation produced a commodity-like material, the
material would have to be managed as a hazardous waste.
[[Page 1734]]
However, EPA has become aware that authorized states across the
country have applied the variance provision differently in similar
circumstances. These differences may be due to: (1) The wide discretion
allowed to the regulatory authority to weigh any or all of the decision
criteria in any way it sees fit; (2) lack of clarity in the decision
criteria themselves; or (3) the general sixth criterion ``other
relevant factors.''
As a result, variances have been granted under 40 CFR 260.31(c) for
some materials that are not commodity-like. Therefore, EPA is
finalizing revisions to the variance criteria to address the
inconsistency among authorized states, remove ambiguities, and clearly
convey the intent of the partial reclamation variance that only
partially reclaimed hazardous secondary materials that have produced
commodity-like materials are eligible for a variance from
classification as solid waste. Consistent and appropriate application
of the partial reclamation variance is necessary so that the hazardous
waste program provides the level of protection of human health and the
environment required by the RCRA statute in all communities in all
areas of the country.
An illustration of how the revised variance provision would be
applied to a commonly reclaimed hazardous waste example is included in
the ``Background Document: Providing Context--The Example of F006
Electroplating Sludges,'' \35\ which is included in the docket for this
rulemaking. This document includes a detailed description of how the
revised variance provision would be used to make determinations about
whether a variance would be appropriate for the listed hazardous waste
F006 (wastewater treatment sludges from electroplating operations) at
various steps in the reclamation process.
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\35\ Docket ID: EPA-HQ-RCRA-2010-0742-0016.
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2. Revisions to Introductory Text of 40 CFR 260.31(c)
EPA revised the introductory text of 40 CFR 260.31(c) to clarify
when a partial reclamation variance is applicable and to identify what
factors must be used to make a determination that a partially-reclaimed
material is commodity-like. The revised text states:
The Administrator may grant requests for a variance from
classifying as a solid waste those hazardous secondary materials
that have been partially reclaimed, but must be reclaimed further
before recovery is completed, if the partial reclamation has
produced a commodity-like material. A determination that a
partially-reclaimed material for which the variance is sought is
commodity-like will be based on whether the hazardous secondary
material is legitimately recycled as specified in Sec. 260.43 of
this part and on whether all of the following decision criteria are
satisfied:
As noted above, the revised text replaces the word ``reclaimed'' with
``partially-reclaimed'' and clarifies that the variance is applicable
at the point that partial reclamation ``has produced a commodity-like
material.'' These changes clarify and reflect EPA's intent that the
variance applies only after partial reclamation has produced a
commodity-like material and does not apply prior to producing a
commodity-like material.
To make a determination that a partially-reclaimed material is
commodity-like, EPA revised the introductory text to require that such
a determination will be based on whether the hazardous secondary
material is legitimately recycled and whether all the decision criteria
are satisfied.
3. Revisions to Criteria for Partial Reclamation Variance
Each criterion under 40 CFR 260.31(c) has been revised to begin
with the word ``whether'' to require that the regulatory authority must
make a yes or no determination as to whether the material meets each
criterion. In addition, each criterion has been revised to clarify and
incorporate the characteristics of a commodity-like material.
The first criterion in 40 CFR 260.31(c)(1) asks whether the degree
of partial reclamation the material has undergone is substantial as
demonstrated by using a partial reclamation process other than the
process that generated the hazardous waste. By using a partial
reclamation process other than the process that generated the hazardous
waste, the more likely that the material will be commodity-like.
Changes from the original language of the criterion include (1)
replacing the general word ``processing'' with the words ``partial
reclamation''; and (2) removing from the criterion ambiguity that could
lead a regulatory authority to apply the variance after the initial
partial reclamation process when a commodity-like material is not
produced until completion of further reclamation.
The second criterion in 40 CFR 261.31(c)(2) asks whether the
partially-reclaimed material has sufficient economic value that it will
be purchased for further reclamation. Changes from the original
language of the criteria include: (1) Adding the word ``partially-''
before the word ``reclaimed'' to clarify that the criterion applies to
the partially-reclaimed material, not the fully-reclaimed material
produced later in the process; and (2) revising the wording to reflect
the fundamental characteristic that a commodity-like material has
sufficient economic value that it will be purchased for further
reclamation. EPA notes that the value of a material produced at a later
stage of reclamation cannot be used to justify a variance for the
partially-reclaimed material produced earlier in the process. In other
words, the criterion must be applied to the ``partially-reclaimed''
material at the specific point in the reclamation process where
application of the variance is requested. Evidence to support this
criterion may include sales information; demand for the materials; and
business contracts, such as contracts specifying quantities of material
sold, details of the transaction, and the effective price paid for the
partially-reclaimed material by purchasers. The price paid for the
partially-reclaimed material should be calculated after subtracting
transportation costs and any other goods or services rendered in
exchange for the material purchased.
The third criterion in 40 CFR 260.31(c)(3) asks whether the
partially-reclaimed material is a viable substitute for a product or
intermediate produced from virgin or raw materials and which is used in
subsequent production steps. Changes from the original language of the
criteria include (1) adding the word ``partially-'' before the word
``reclaimed'' to clarify that the criterion applies to the partially-
reclaimed material, not the fully-reclaimed material produced later in
the process; and (2) replacing the phrase ``is like an analogous raw
material'' with the phrase ``is a viable substitute for a product or
intermediate produced from virgin or raw materials which is used in
subsequent production steps.'' This revision is intended to demonstrate
that a partially-reclaimed, commodity-like material is one that will be
used as a viable substitute for a product or intermediate in
production. Evidence to support this criterion would include a
comparison of the physical and chemical characteristics of the
partially-reclaimed material being considered for the variance to those
of products or intermediates produced from virgin raw materials.
The fourth criterion in 40 CFR 260.31(c)(4) asks whether there is a
market for the partially-reclaimed material as demonstrated by known
customer(s) who are further reclaiming the material (e.g., records of
sales and/or contracts and evidence of subsequent
[[Page 1735]]
use, such as bills of lading). Changes from the original language of
the criteria include (1) adding the word ``partially-'' before the word
``reclaimed'' to clarify that the criterion applies to the partially-
reclaimed material, not the fully-reclaimed material produced later in
the process; (2) deleting the word ``guaranteed'' since markets are
often unpredictable; (3) deleting the word ``end'' prior to the word
``market'' since the partially-reclaimed material could be sold to
another reclaimer before it is sold to a final manufacturer or final
reclaimer; and (4) adding the phrase, ``as demonstrated by known
customer(s) who are further reclaiming the material (e.g. record of
sales and/or contracts, and evidence of subsequent use, such as bills
of lading),'' to clarify how a facility may demonstrate a market for
the partially-reclaimed material. Additionally, this change ensures
that the partially-reclaimed material is being shipped for further
reclamation rather than being potentially stockpiled by the partial
reclaimer. Evidence to support this criterion may include the
material's value as an input to a production process; traditional usage
of quantities of the partially-reclaimed material; and the likely
stability of markets for the material. A market for further reclaimed
material produced at a later stage of reclamation cannot be used to
justify a variance for a partially-reclaimed material. For example, if
a facility requests a variance for an incoming partially-reclaimed
hazardous waste, the market that would have to be evaluated is the
market for the incoming partially-reclaimed hazardous waste itself, not
the final product.
The fifth criterion in 40 CFR 260.31(c)(5) asks whether the
partially-reclaimed material is handled to minimize loss. Changes from
the original language of the criteria includes adding the word
``partially-'' before the word ``reclaimed'' to clarify that the
criterion applies to the partially-reclaimed material, not the fully-
reclaimed material produced later in the process. Specifically, this
criterion requires evaluation of how the partially-reclaimed material
is handled before it is further reclaimed. Handling a partially-
reclaimed material to minimize loss indicates that the material is
commodity-like. Generally, persons handling hazardous secondary
materials with little or no economic value do not have the same
incentives to minimize loss as persons handling commodities. The
management of materials produced at later stages of the reclamation
process is not relevant to whether the partially-reclaimed material is
eligible for a variance. Evidence to support this criterion may include
documentation of facility procedures used to minimize loss (e.g.,
inspections, training) and storage and management equipment designed to
minimize loss.
Finally, in today's final rule, EPA is removing the sixth criterion
in 40 CFR 260.31(c)(6), which allowed the regulatory authority to
consider other relevant factors when deciding whether a partially-
reclaimed materials is commodity-like. When the partial reclamation
variance was promulgated in 1985, EPA believed that this criterion
could help determine whether a material is commodity-like. However,
based on experience with the variance provision, EPA has learned that
this criterion may have contributed to different determinations of
whether the same partially-reclaimed material is commodity-like.
Accordingly, EPA has determined that the appropriate and complete set
of criteria to consider when determining whether a partially-reclaimed
material is commodity-like are criteria (1)-(5).
C. Revisions to Non-Waste Determinations Found in 40 CFR 260.34
In today's final rule, EPA is adding a criterion to non-waste
determinations in 40 CFR 260.34 that require facilities applying for a
non-waste determination to explain or demonstrate why they cannot meet,
or should not have to meet, the existing DSW exclusions under 40 CFR
261.2 or 261.4.\36\ Commenters to the 2009 DSW public meeting notice
have argued that the non-waste determinations may be burdensome to
states, and thus, requiring applicants to formally consider and explain
why they are not eligible for an existing DSW exclusion will reduce the
burden on states in two ways: (1) It requires facilities to consider
existing exclusions and standards first, before pursuing a non-waste
determination, which can, in turn, lead to facilities discovering that
their intended recycling fits under an existing exclusion and therefore
a non-waste determination petition is not needed; and (2) this
criterion informs the regulatory authority why a facility believes it
cannot meet an existing exclusion, which is likely to be the regulatory
authority's first question before evaluating a non-waste determination
petition. Petitioners also would be allowed to seek a non-waste
determination if they could demonstrate that they should not have to
meet the conditions of another exclusion, but rather should be allowed
to operate under a non-waste determination with fewer or different
conditions. However, if EPA or the authorized state determines that an
applicant may, in fact, use an existing solid waste exclusion under 40
CFR 261.2 or 261.4, this may be grounds for denying a non-waste
determination on the basis that regulatory relief has already been
provided.
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\36\ The two types of non-waste determinations are (1) a
determination for hazardous secondary materials reclaimed in a
continuous industrial process and (2) a determination for hazardous
secondary materials that are indistinguishable in all relevant
aspects from a product or intermediate.
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X. Effect on Facilities Currently Operating Under Solid Waste
Exclusions
A. Effect on Pre-2008 Solid Waste Exclusions
The final rule does not supersede any of the pre-2008 solid waste
exclusions or other prior solid waste determinations or variances,
including determinations made in letters of interpretation and
inspection reports. If a hazardous secondary material has been
determined not to be a solid waste for whatever reason, such a
determination remains in effect, unless the authorized state decides to
revisit the regulatory determination under their current authority. In
addition, if a hazardous secondary material has been excluded from
hazardous waste regulations--for example, under the Bevill exclusion in
40 CFR 261.4(b)(7)--the regulatory status of that material will not be
affected by today's rule.
However, there are two revisions to the regulations that, while
they do not directly affect the regulatory status of excluded hazardous
secondary materials, may impact facilities' responsibilities under an
existing exclusion. These two revisions are (1) a new recordkeeping
requirement for speculative accumulation; and (2) a documentation,
certification, and notification requirement for recycling processes
which are legitimate despite having levels of hazardous constituents
that are not comparable to or unable to be compared to a legitimate
product. These requirements must be met by the effective date of the
rule, which is July 13, 2015.
1. Revised Speculative Accumulation Requirement
Under the revised speculative accumulation requirement in Sec.
261.1(c)(8), all persons subject to the speculative accumulation
requirements (for example, persons reclaiming characteristic by-
products and sludges under 40 CFR 261.2(c)(3) and persons reclaiming
hazardous secondary
[[Page 1736]]
materials under a definition of solid waste exclusion under 40 CFR
261.4(a), such as the sulfuric acid exclusion at Sec. 261.4(a)(7) or
the generator-controlled exclusion at Sec. 261.4(a)(23)) must label
their storage unit(s) by indicating the first date that the material
began to be accumulated. If placing a label on the storage unit is not
practicable, the accumulation period must be documented through an
inventory log or other appropriate method.
2. Prohibition of Sham Recycling and Definition of Legitimate Recycling
The codification of the prohibition of sham recycling (Sec.
261.2(g)), and the definition of legitimate recycling (Sec. 260.43)
being finalized today will not impose any new requirements on persons
recycling under the pre-2008 recycling exclusions, except in the case
where the product of the recycling process (1) has levels of hazardous
constituents that are not comparable to or lower than those in a
legitimate product (i.e., are significantly elevated) or (2) is unable
to be compared to a legitimate product and the product of the recycling
process is not a widely recognized commodity (e.g., scrap metal) and is
not returned to the original production process (e.g., closed loop
recycling).
In this case, the person performing the recycling must conduct the
necessary analysis and prepare documentation stating why the recycling
is still legitimate. Persons may consider exposure from toxics in the
product, the bioavailability of the toxics in the product, and other
relevant considerations which show that the recycled product does not
contain levels of hazardous constituents that pose a significant human
health or environmental risk. The documentation must include a
certification statement that the recycling is legitimate and must be
maintained on-site. The person performing the recycling must also
notify his Regional Administrator (or State Director, if the state is
authorized) of this activity using EPA Form 8700-12.
B. Effect on Facilities Operating Under the 2008 Solid Waste Exclusions
1. Facilities Operating Under Generator-Controlled Exclusion (40 CFR
261.2(a)(2)(ii) or 261.4(a)(23)) \37\
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\37\ Today's rule consolidates the 2008 generator-controlled
exclusion at 40 CFR 261.2(a)(2)(ii) and 40 CFR 261.4(a)(23) into one
exclusion at 40 CFR 261.4(a)(23).
---------------------------------------------------------------------------
Because today's rule includes more stringent standards for the
generator-controlled exclusion at 40 CFR 261.4(a)(23), facilities that
are currently managing hazardous secondary materials under these
provisions must ensure they are complying with the more stringent
standards by the effective date of the rule, which is July 13, 2015 (or
in an authorized state, by the effective date in that state). The new
provisions include (1) complying with the regulatory definition of
``contained'' found in 40 CFR 260.10; (2) maintaining shipping records
for reclamation under same-company and toll manufacturing agreements;
(3) (for the person performing the recycling) documenting how the
recycling meets all four factors of the legitimacy definition in 40 CFR
260.43,\38\ and (4) meeting the new emergency preparedness and response
conditions.
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\38\ As part of the requirement of meeting 40 CFR 260.43, if the
product of recycling contains levels of hazardous constituents that
are not comparable to or are unable to be compared to a legitimate
product, the person performing the recycling must document, certify
and notify the appropriate Regional Administrator of why the
recycling is still legitimate. Where there is no analogous product
made from virgin materials, the product of the recycling process is
comparable to a legitimate product or intermediate if the product of
the recycling process is a commodity that meets widely recognized
commodity standards and specifications, or the hazardous secondary
materials being recycled are returned to the original process or
processes from which they were generated to be reused.
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Under the new regulatory definition of contained, a hazardous
secondary material is contained if it is managed in a unit (which can
include a land-based unit such as a pile) that meets the following
criteria: (1) The unit is in good condition, with no leaks or other
continuing or intermittent unpermitted releases of the hazardous
secondary materials to the environment, and is designed, as appropriate
for the hazardous secondary material, to prevent releases of the
hazardous secondary material to the environment. Unpermitted releases
are releases that are not covered by a permit (such as a permit to
discharge to water or air) and may include, but are not limited to,
releases through surface transport by precipitation runoff, releases to
soil and groundwater, wind-blown dust, fugitive air emissions, and
catastrophic unit failures; (2) the unit is properly labeled or
otherwise has a system (such as a log) to immediately identify the
hazardous secondary materials in the unit; and (3) the unit holds
hazardous secondary materials that are compatible with other hazardous
secondary materials placed in the unit and is compatible with the
materials used to construct the unit and addresses any potential risks
of fires or explosions. Hazardous secondary materials in units that
meet the applicable requirements of 40 CFR part 264 or 265 (e.g., tanks
and containers) are presumptively contained.
Under the new requirements to document shipments for reclamation
performed under the same-company and toll manufacturing provisions of
the generator-controlled exclusion at 40 CFR 261.4(a)(23), generating
and receiving facilities must maintain records of hazardous secondary
materials sent or received under this exclusion at their facilities for
no less than three years. The records must contain the name of the
transporter, the date of the shipment, and the type and quantity of the
hazardous secondary material shipped or received. The requirements may
be satisfied by routine business records (e.g., financial records,
bills of lading, copies of DOT shipping papers, or electronic
confirmations).
Persons performing the recycling of hazardous secondary materials
under the generator-controlled exclusion of 40 CFR 261.4(a)(23) must
also maintain documentation of their legitimacy determination on-site.
Documentation must be a written description of how the recycling meets
all four factors in 40 CFR 260.43(a). Documentation must be maintained
for three years after the recycling operation has ceased.
The Agency is not requiring any particular format for the
documentation of legitimacy; however, we expect that the recycler would
have written documentation describing the recycling process and how it
meets each legitimacy factor. For example:
Useful contribution legitimacy factor--the recycler
would document how the hazardous secondary material(s) provides a
useful contribution to the recycling process or to the product or
intermediate of the recycling process. The regulatory text for this
factor provides five ways in which a useful contribution can be
achieved. The recycler would need to document how the hazardous
secondary material(s) add value and/or are useful to the recycling
process in one or more of these ways: (i) Contributing valuable
ingredients to a product or intermediate; (ii) replacing a catalyst
or carrier in the recycling process; (iii) providing a valuable
constituent to be recovered; (iv) being regenerated; or (v) being
used as an effective substitute for a commercial product. For
example, if the hazardous secondary material is a source of a
valuable constituent, such as a precious metal, the document would
explain the specific precious metal(s) recovered and their value to
the process.
Valuable product or intermediate legitimacy factor--the
recycler would explain how the product or intermediate made from
hazardous secondary material is valuable, either in a monetary sense
or through its intrinsic value. If the product made from hazardous
secondary material is sold, the
[[Page 1737]]
documentation of sale could be proof of the value of the material to
a third party. Such documentation could be in the form of a
selection of receipts or contracts and agreements that establish the
terms of the sale or transaction. A recycler that has not yet
arranged for the sale also could demonstrate value by showing that
the product or intermediate can replace another product or
intermediate that is available in the marketplace. Demonstrating
intrinsic value may be less straightforward than demonstrating the
value of products that are sold in the marketplace, but could
involve an explanation of the industrial process that shows how the
product of the recycling process or intermediate replaces an
alternative product that would otherwise have to be purchased.
Managed as a valuable commodity legitimacy factor--the
recycler would include a description of how the hazardous secondary
material is managed and explain how this management is similar or
provides equivalent protection to the management of an analogous raw
material. That is, the documentation would describe how the
hazardous secondary material is stored and handled prior to being
inserted into the recycling process. Where there is no analogous raw
material, the recycler would explain how the management of the
hazardous secondary material ensures that the material is contained
as discussed in 40 CFR 260.10.
Comparison of comparability of the product of recycling to a
legitimate product factor--the recycler would include any data or
information that shows that (1) the levels of hazardous constituents in
the product are comparable to or lower than those found in analogous
products, or are comparable to levels that meet widely-recognized
commodity standards (in the case where the commodity standards include
levels that specifically address those hazardous constituents), or (2)
if there is no analogous product, that the product meets widely
recognized commodity standards, or that hazardous secondary materials
being recycled are returned to the original process or processes from
which they were generated to be reused. If the product of the recycling
process has levels of hazardous constituents that are not comparable to
or unable to be compared to a legitimate product, but the recycling is
still legitimate, the person performing the recycling must conduct the
necessary analysis and prepare documentation stating why the recycling
is, in fact, still legitimate. Persons can consider exposure from
toxics in the product, the bioavailability of the toxics in the
product, and other relevant considerations which show that the recycled
product does not contain levels of hazardous constituents that pose a
significant human health or environmental risk. The documentation must
include a certification statement that the recycling is legitimate and
must be maintained on-site. In addition, the person performing the
recycling must notify his Regional Administrator (or the State
Director, if the state is authorized) of this activity using EPA Form
8700-12.
Finally, under the new standards for emergency preparedness and
response found in 40 CFR part 261 subpart M, generators that accumulate
less than or equal to 6,000 kg of hazardous secondary material on site
must comply with the emergency preparedness and response requirements
equivalent to those in part 265 subpart C, which discuss maintaining
appropriate emergency equipment on site, having access to alarm
systems, maintaining needed aisle space, and making arrangements with
local emergency authorities. A generator must also have a designated
emergency coordinator who must respond to emergencies and must post
certain information next to the telephone in the event of an emergency.
For generators that accumulate more than 6,000 kg of hazardous
secondary material on site, EPA is requiring that generators comply
with requirements equivalent to those in part 265 subparts C and D,
which includes all the requirements already discussed above for those
accumulating less than or equal to 6,000 kg, as well as requiring a
contingency plan and sharing the plan with local emergency responders.
2. Facilities Operating Under Transfer-Based Exclusion (40 CFR
261.4(a)(24) or (25))
Because today's rule replaces the transfer-based exclusion at 40
CFR 261.4(a)(24) and (25) with a verified recycler exclusion,
facilities that are currently managing hazardous secondary materials
under the transfer-based exclusion at 40 CFR 261.4(a)(24) must meet the
terms of the verified recycler exclusion by the effective date of the
rule, which is July 13, 2015 (or in an authorized state, by the
effective date in that state). That is, facilities operating under the
transfer-based exclusion who wish to continue operating under the
verified recycler exclusion must send in a new notification form and
meet the additional conditions in the verified recycler exclusion,
including the emergency preparedness and response condition. In
addition, any reclamation facility or intermediate facility that does
not have a RCRA permit or is not operating under interim status must
stop managing the hazardous secondary material under the transfer-based
exclusion until they apply for and receive a variance from either EPA
or the authorized state under the verified recycling exclusion. (As of
February 2014, there were no facilities without a RCRA Subtitle C
permit recycling under the transfer-based exclusion, so EPA does not
expect this impact to occur).
Because the verified recycler exclusion is limited to recycling in
the United States, facilities exporting hazardous secondary material
under 40 CFR 261.4(a)(25) must cease operating under this exclusion by
the effective date of the rule. The facility must notify his Regional
Administrator (or State Director, if the state is authorized) using EPA
Form 8700-12 that they have stopped managing hazardous secondary
materials under the exclusion in accordance with 40 CFR 260.42(b).
Facilities must submit this notification within 30 days of stopping
management of hazardous secondary materials under this exclusion. Note
that facilities that manage hazardous secondary materials under both
the export exclusion at 40 CFR 261.4(a)(25) and the transfer-based
exclusion at 40 CFR 261.4(a)(24) and/or and the generator-controlled
exclusion at 40 CFR 261.4(a)(23) would not notify that they have
stopped managing hazardous secondary materials, but would instead
update their notification to make it clear they are no longer using the
export exclusion at 40 CFR 261.4(a)(25).
XI. Effect on Spent Petroleum Catalysts
In the 2008 DSW final rule, EPA deferred the question of whether
spent petroleum catalysts should be eligible for the exclusions pending
further consideration of the pyrophoric properties of the spent
petroleum catalysts (73 FR 64714). EPA noted that the Agency was
planning to propose--in a separate rulemaking from the 2008 DSW final
rule--an amendment to its hazardous waste regulations to conditionally
exclude from the definition of solid waste spent hydrotreating and
hydrorefining catalysts generated in the petroleum refining industry
when these hazardous secondary materials are reclaimed. Spent
hydrotreating and hydrorefining catalysts generated in the petroleum
refining industry are routinely recycled by regenerating the catalyst
so that it may be used again as a catalyst. When regeneration is no
longer possible, these spent catalysts are either treated and disposed
of as listed hazardous wastes or sent to RCRA-permitted reclamation
facilities, where metals, such as vanadium, molybdenum, cobalt, and
nickel are reclaimed from the spent catalysts. EPA originally added
spent
[[Page 1738]]
hydrotreating and hydrorefining catalysts (waste codes K171 and K172)
to the list of RCRA hazardous wastes found in 40 CFR 261.31 on the
basis of toxicity (i.e., these materials were shown to pose
unacceptable risk to human health and the environment when mismanaged)
(63 FR 42110, August 6, 1998). In addition, EPA based its decision to
list these materials as hazardous due to the fact that these spent
catalysts can at times exhibit pyrophoric properties (i.e., can ignite
spontaneously in contact with air).
It was largely because of these pyrophoric properties that the
spent petroleum catalysts exhibit that EPA deferred the question of
whether spent petroleum catalysts should be included in the 2008 DSW
final rule exclusions. While spent petroleum catalysts can be a
valuable source of recoverable metals, the risk of these hazardous
secondary materials spontaneously igniting when in contact with air is
not a property that most metal recyclers would be expected to address,
and thus, present additional risks that are not presented by other
types of metal-bearing hazardous secondary materials and therefore may
be most appropriately managed as hazardous waste when recycled.
Under today's final rule, EPA has added a regulatory definition of
the ``contained'' standard as it applied to the generator controlled
exclusion (40 CFR 261.4(a)(23)) and to the verified recycler exclusion
(40 CFR 261.4(a)(24)). This new definition includes a requirement to
address the risk of fires and explosions. This provision addresses the
pyrophoric properties of the spent petroleum catalysts (as well as
other types of ignitibility or reactivity) for the purposes of the
generator-controlled exclusion and the verified recycler exclusion.
Therefore, EPA has revised the generator-controlled exclusion to allow
spent petroleum catalysts to be eligible for that exclusion, and is
also allowing spent petroleum catalysts to be eligible for the verified
recycler exclusion.
XII. Effect on CERCLA
A primary purpose of today's final rule is to encourage the safe,
beneficial reclamation of hazardous secondary materials. In 1999,
Congress enacted the Superfund Recycling Equity Act (SREA), explicitly
defining those hazardous substance recycling activities that may be
exempted from liability under the Comprehensive Environmental Response,
Compensation and Liability Act (CERCLA) (CERCLA section 127). Today's
final rule does not change the universe of recycling activities that
could be exempted from CERCLA liability pursuant to CERCLA section 127.
Today's final rule only changes the definition of solid waste for
purposes of the RCRA Subtitle C requirements. The final rule also does
not limit or otherwise affect EPA's ability to pursue potentially
responsible persons under section 107 of CERCLA for releases or
threatened releases of hazardous substances.
XIII. General Comments on the 2011 Proposed Revisions to the Definition
of Solid Waste
EPA received hundreds of comments on the July 2011 DSW proposal,
most of which were quite detailed and raised multiple issues. Below is
an overview of some of the major comments on general aspects of the
proposals and a summary of EPA's responses to those comments. For a
complete discussion of all the comments and EPA's responses to those
comments, please see 2014 Revisions to the Definition of Solid Waste
Final Rule Response to Comment Document found in the docket for today's
rulemaking.
A. EPA's Legal Authority To Regulate Hazardous Waste Recycling
Comments: EPA's Authority
EPA received many comments that asserted that EPA has no authority
to regulate legitimate recycling, because commenters believe that
hazardous secondary materials sent for recycling are not discarded and
therefore, are not solid wastes. The comments state that EPA has
misread the intent of Congress, citing previous court cases, noting the
``analysis of the statute reveals clear Congressional intent to extend
EPA's authority only to materials that are truly discarded, disposed
of, thrown away, or abandoned'' (AMC I, 824 F.2d at 1190). They go on
to argue that materials being recycled do not fall into one of these
enumerated activities.
Specifically, many of the comments cite the ABR decision (which in
turn cites earlier court decisions), where the court noted that EPA's
authority is ``limited to materials that are `discarded' by virtue of
being disposed of, abandoned, or thrown away'' and that ``[s]econdary
materials destined for recycling are obviously not of that sort. Rather
than throwing them away, the producer saves them, rather than
abandoning them, the producer reuses them'' (ABR 208 F.3d at 1051). The
court also noted that ``To say that when something is saved it is
thrown away is an extraordinary distortion of the English language''
(Id. at 1053).
Many commenters took issue with EPA's decision to withdraw the
transfer-based exclusion. These comments criticize EPA's rationale that
``subsequent activities are more likely to involve discard, given that
the generator has relinquished control of the hazardous secondary
material'' (72 FR 14178). In particular, commenters cited Safe Food and
Fertilizer, stating that the D.C. Circuit addressed an argument by the
petitioners in the case that ``material that is transferred to another
firm or industry for subsequent recycling'' is discarded and subject to
RCRA regulation. 350 F.3d 1263, 1268 (D.C. Cir. 2003). The court said:
[W]e have never said that RCRA compels the conclusion that
material destined for recycling in another industry is necessarily
`discarded.' . . . Although ordinary language seems inconsistent
with treating immediate reuse within an industry's ongoing
industrial process as a `discard' . . . the converse is not true. As
firms have ample reasons to avoid complete vertical integration . .
. firm-to-firm transfers are hardly good indicia of a `discard' as
the term is ordinarily understood. Id.
EPA's Response: EPA's Authority
EPA disagrees with the comments that Congress did not intend to
give EPA the authority to regulate hazardous waste recycling. As EPA
noted in the July 2011 DSW proposal, the RCRA statute and the
legislative history suggest that Congress expected EPA to regulate as
solid and hazardous wastes certain materials that are destined for
recycling (see 76 FR 44097, citing numerous sections of the statute and
U.S. Brewers' Association v. EPA, 600 F. 2d 974 (D.C. Cir. 1979); 48 FR
14502-04, April 3, 1983; and 50 FR 616-618). Moreover, the case law
discussed above clearly shows instances where EPA properly regulated
the recycling of solid and hazardous wastes.
EPA also disagrees with comments that EPA cannot consider the fact
that the generator has relinquished control of the hazardous secondary
material (along with other factors that indicate discard) in deciding
to withdraw the transfer-based exclusion. EPA's authority to regulate
such transfers is clear: As the Court noted in Safe Food, ``materials
destined for future recycling by another industry may be considered
`discarded'; the statutory definition does not preclude application of
RCRA to such materials if they can reasonably be considered part of the
waste disposal problem'' (350 F.3d at 1268).
EPA's record for today's rulemaking demonstrates that third-party
recycling of hazardous secondary materials has been and continues to be
part of the waste disposal problem. As noted in the July 2011 DSW
proposal, EPA has already evaluated these hazardous
[[Page 1739]]
secondary materials (for example, during a hazardous waste listing
determination) and determined them to be solid and hazardous wastes.
(76 FR 44109) Therefore, a conditional exclusion must reasonably be
expected not to result in the excluded hazardous secondary material
being discarded. Of the 250 damage cases evaluated in the 2014
environmental problems study, 229 (or approximately 92%) were from
reclamation activities of off-site third-party recyclers, with clear
instances of discard resulting in risk to human health and the
environment, including cases of large-scale soil and ground water
contamination with remediation costs in some instances in the tens of
millions of dollars.\39\
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\39\ U.S. EPA, An Assessment of Environmental Problems
Associated with Recycling of Hazardous Secondary Materials (Updated)
December 2014.
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In addition, the market forces study in the docket for the 2008 DSW
final rule supports the conclusion that the pattern of discard at off-
site, third-party reclaimers is a result of inherent differences
between commercial recycling and normal manufacturing. As opposed to
manufacturing, where the cost of raw materials or intermediates (or
inputs) is greater than zero and revenue is generated primarily from
the sale of the output, hazardous secondary materials recycling can
involve generating revenue primarily from the receipt of the hazardous
secondary materials. Recyclers of hazardous secondary materials in this
situation may thus respond differently from traditional manufacturers
to economic forces and incentives, accumulating more inputs (hazardous
secondary materials) than can be processed (reclaimed). In addition,
commercial third-party recyclers have less flexibility than in-house
recyclers in changing how they manage their hazardous secondary
materials (e.g., during price fluctuations, in-house recyclers can more
easily switch from recycling to disposal or from recycled inputs to
virgin inputs, while commercial third-party recyclers cannot switch to
disposal without obtaining a RCRA permit) (73 FR 64674).
B. Supporting Record
Comments: Environmental Problems Study
Many commenters raised issues with EPA's use of the environmental
problems study as part of the record for today's rule.\40\ Some
commenters argued that EPA should not use 1982 as the cut-off year for
investigating ``relatively recent'' damage cases. These commenters said
that, given that the first major set of Subtitle C regulations were
promulgated in 1980, going back to 1982 unfairly and inappropriately
stacks the deck in favor of finding a higher number of damage cases
because it took many years for companies to figure out who was subject
to the RCRA Subtitle C regulations. Additionally, these commenters
noted that the vast majority of damage cases began operation prior to
1982 and thus contamination on these sites was likely the result of
historic poor management during a period of little to no oversight.
Commenters believed that the early 1990s would be a more appropriate
cut-off date than 1982. One of the commenters also argued that the
damage cases are not reliable, either from a lack of information,
because they reflect outdated and inapplicable management practices, or
have been greatly mischaracterized and should not be used to support
any of the proposed changes to the DSW rule.
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\40\ An Assessment of Environmental Problems Associated With
Recycling of Hazardous Secondary Materials (EPA-HQ-RCRA-2002-0031-
0355).
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Other commenters argued that the large majority of damage cases
identified by EPA were caused by either a lack of knowledge of RCRA,
blatant disregard for the law, or unavoidable accidents. These
commenters noted that many of the damage cases involved civil or
criminal violations, indicating that the problem was non-compliance
with the regulations, not from a lack of regulations.
Another commenter disagreed with EPA's negative portrayal of the
waste management industry and argued that EPA should have conducted
more research to obtain an understanding of the necessary and positive
role of the hazardous waste management industry.
EPA's Response: Environmental Problems Study
The Agency maintains that the scope of the environmental problems
study is appropriate for the purpose of the DSW rulemaking effort.
Specifically, we continue to find that 1982 is an appropriate cut-off
year for the damage case study as it best reflects the point where
companies became aware of their responsibilities and liabilities for
safe management of their hazardous secondary materials intended for
recycling.\41\ While the CERCLA statute and the initial RCRA hazardous
waste regulations became effective in 1980, there was an initial
``phase in'' period during which industry and other affected entities
began to change their practices with regard to hazardous material
recycling, and during which federal and state agencies were developing
guidelines and procedures for implementing these new authorities. Thus,
we deliberately did not include a number of recycling damage cases that
occurred during the early 1980s that appeared to have been caused by
companies and individuals who were not cognizant of their new
responsibilities and potential liabilities under RCRA and CERCLA.
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\41\ We would note, however, that even if EPA changed the date
to the 1990's, EPA still identified dozens of damage cases, and
thus, changing the cut-off date, as some commenters suggest, would
not impact the study's overall findings.
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As to the issue that there are facilities in the report that began
operations prior to 1982, we agree that the facilities themselves may
have begun operating earlier than the timeframe. However, the
methodology for the analysis only includes facilities where the
recycling operations occurred after 1982, and the environmental damages
associated with those operations occurred after 1982. As a result, more
than 600 damage cases were removed from consideration, leaving only
those cases that EPA was confident have a clear link between post-1982
recycling practices and environmental damage.
Of the damage cases that met our criteria, we agree that for
certain types of damage, such as groundwater or soil contamination,
determining when exactly the damage occurred and which property owner
caused the damage is difficult. However, in general, the damage cases
include multiple types of damage and certain damage, such as
abandonment of materials or observed violations of proper storage and
containment, can be easily attributed to current facility owners and to
post-1982 activities. For example, Alco Pacific, a lead recycling
facility may have started operations in 1954, but it was 1990 when the
company abandoned 98 drums and left over 1,300 cubic yards of lead-
contaminated rubber debris and sand with no containment to prevent
dispersal from wind or rainwater. Additionally, it was 1989 when Myers
Drum, a drum reconditioning facility, was found to be storing 95% of
their 20,000 drums on their side and that spillage, sump overflows, and
structural failures were observed. In 1986, Continental Steel, which
manufactured wire and rod products from scrap metal, abandoned their
facility leaving 220 drums of product material and 50 containers of
lead-cadmium batteries on-site. These damages occurred well after RCRA
and CERCLA became effective.
Regarding the lack of information in some of its damage cases, as
EPA stated in its 2007 environmental problem
[[Page 1740]]
study, many of the cases that were investigated were well documented.
This was the case, for example, for many of the Superfund National
Priority List (NPL) sites. However, in many other cases, it was not
possible given the limitations of the study to document all facts.
Often, there was considerable technical information as to the nature
and extent of the contamination at the site, but relatively little
information regarding the activities and circumstances that originally
caused it. For some of the sites, we were able to collect only very
basic information. However, for each site that was identified in the
environmental problems study, we had sufficient information to
determine that the damage resulted from recycling operations. Thus, we
continue to maintain that the environmental problems study is
appropriate to use in the development of the final rule.
EPA also disagrees with the commenter who argued that the
environmental problems study only demonstrates non-compliance of
existing regulations and therefore does not justify the promulgation of
tighter requirements under today's final rule. On the contrary, the
frequency of the damage cases, including violations of regulations
demonstrates the need for greater, not less, oversight.
Furthermore, as part of a separate analysis, EPA has considered
whether recycling of hazardous secondary materials under the 2008 DSW
final rule could result in increased risk to human health and the
environment and determined it is a complex issue because of the
interactions between how the regulations are written and how they are
implemented. Under the 2008 DSW final rule, EPA presumed that the
conditions of the rule would prevent any increase in risk. However,
what the 2008 DSW analysis failed to take into account was whether the
conditions of the rule would operate as effectively in the real world
as the more detailed requirements of the RCRA hazardous waste
regulations.
A more detailed comparative analysis of the regulatory requirements
under the 2008 DSW final rule with the hazardous waste regulations
reveals potentially significant gaps in environmental protection under
the 2008 DSW final rule. Examples of these gaps include the absence of
measures to ensure compliance, incentives to accumulate larger volumes
of hazardous secondary materials, the potential for increased releases,
such as during storage and transportation of the hazardous secondary
materials, the lack of prescriptive standards for storage and
containment, potential issues associated with the interstate transport
of hazardous secondary materials for recycling, and reduction in access
to information and the opportunity for public participation. RCRA is a
preventative statute and by design seeks to prevent damage before it
occurs; relying solely on enforcement without addressing the root
causes of the damage could needlessly increase the frequency, severity,
and cost of damage cases. Therefore, EPA has chosen to finalize the
changes to the 2008 DSW final rule being promulgated today.
Finally, EPA disagrees with comments stating we have not considered
the positive role of the hazardous waste management industry. In
development of the DSW rulemakings, the Agency specifically conducted a
study of successful recycling that examined how responsible generators
and recyclers of hazardous secondary materials ensures that recycling
is done in an environmentally safe manner.\42\ However, as EPA noted in
the 2008 DSW final rule, the successful recycling study indicates that
many responsible generators examine the recycler's technical
capabilities, business viability, environmental track record, and other
relevant questions before sending hazardous secondary materials for
recycling. Currently, these recycler audits, which can be thought of as
a form of environmental ``due diligence,'' are in essence a precaution
to minimize the prospect of incurring CERCLA liability in the event
that the recycling, or lack thereof, results in the release of material
to the environment. However, the fact that these companies are willing
to incur the expense of auditing recyclers as a business practice is of
itself a marketplace affirmation that sending hazardous secondary
materials to other companies for recycling involves some degree of
risk. (73 FR 64683)
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\42\ U.S. EPA, An Assessment of Good Current Practices for
Recycling of Hazardous Secondary Materials, November 2006 (EPA-HQ-
RCRA-2002-0031-0354).
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Comments: Correlation of Recycling Damage Cases With Regulatory
Exclusions, Exemptions or Alternative Standards
Although at least one commenter supported the analysis titled
``Correlation of Recycling Damage Cases with Regulatory Exclusions,
Exemptions, or Alternative Standards,'' \43\ which is included in the
docket for this rulemaking. However, most commenters argued that this
analysis was flawed and that EPA should gather information in a more
responsible manner, such as with an information collection request
(ICR).
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\43\ Docket ID: EPA-HQ-RCRA-2010-0742-0010.
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Many commenters pointed out that EPA only identified seven
exclusions that were ``likely'' correlated to some damage cases, yet
EPA in its 2011 DSW proposal considered adding requirements to 32
exclusions. These commenters argued that this record was insufficient
for justifying additional conditions.
Some commenters also took issue with how EPA assigned regulatory
exclusions to certain damage cases. For example, a few commenters said
that none of the five damage cases correlated to precious metals
involved recycling of in-process secondary materials as part of
precious metals mining and primary mineral processing, but rather
involved off-site entities that were attempting to recover precious
metals from photographic film, circuit boards, and other secondary
materials generated by industry.
One commenter said that EPA identifies 35 cases that allegedly
involve spent batteries; however, two of these involve non-lead
batteries and thus are irrelevant and a third involves printed circuit
boards. This commenter goes on to say that, of the remaining 32 lead-
acid battery-related facilities for which EPA has identified known
dates of operation, none began business operations after the 1982 and
1985 adoption of the RCRA regulations that control lead-acid battery
collection and recycling. This commenter believed that the primary
contamination at these sites almost certainly pre-dated RCRA and thus
EPA cannot use these cases to support changes to 40 CFR 266.80. Another
commenter said that none of the environmental damage associated with 52
damage cases could be shown to be the result of companies ``likely''
operating under the 261.4(a)(13) scrap metal exclusion and/or the
261.6(a)(3)(ii) scrap metal recycling exemption.
A few commenters argued that EPA has not compared the number of
damage cases to the total number of recyclers and thus we do not know
what percentage of all facilities the damage cases represent. Another
commenter noted that the 132 damage cases that EPA correlated to the
pre-2008 recycling exclusions makes up only 2.5% of the 5,321
facilities that EPA estimates are using the exclusions (a total number
which this commenter believes EPA underestimates).
[[Page 1741]]
EPA's Response: Correlation of Recycling Damage Cases With Regulatory
Exclusions, Exemptions or Alternative Standards
The goal of EPA's analysis to correlate damage cases with existing
exclusions was to assess whether certain hazardous secondary material
recycling exclusions, exemptions, or alternate standards are adequately
protecting human health and the environment. Because the majority of
exclusions, exemptions, and alternative standards do not include
notification requirements, EPA does not have precise data regarding
which and how many facilities are recycling hazardous secondary
materials under reduced regulation. This lack of data hinders EPA's
ability to collect information regarding what regulations a specific
facility was operating under when damage occurred. Because this
information is limited, the Agency had developed a methodology that
correlates the type of hazardous secondary materials identified in the
damage cases to regulations that likely governed the management of the
hazardous secondary material. EPA used this methodology to identify
patterns related to the types of hazardous secondary material involved
in damage cases and whether those materials were likely to be managed
under an exclusion, exemption, or alternate standard.
EPA understands commenters' concerns regarding the limitations of
this analysis, including that EPA could only correlate with confidence
7 of the 32 recycling exclusions to damage cases in its environmental
problems study. This result is more a lack of precision in the data and
less that some recycling exclusions have no damage cases. For example,
because notification is not required for these exclusions, we can only
conservatively identify damage case correlations where the type of
hazardous secondary material very clearly matches to an exclusion
(e.g., scrap metal). We lack information to make inferences for broadly
applicable exclusions, (e.g., use/reuse) or for broadly defined
hazardous secondary materials (e.g., metal-bearing wastes). Therefore,
by virtue of some exclusions' broad applicability, we were unable to
correlate them to specific damage cases. Additionally, due to the lack
of data, it is difficult to analyze current trends in damage cases, and
thus even more difficult to accurately project what the number of
future damage cases might be under different scenarios. However,
although it is difficult to assign specific damage cases to certain
exclusions, we note that in the environmental problems study only nine
of the damage cases were operating under a RCRA permit at the time of
damage. Thus, EPA can generally conclude that the majority of the
damage cases at third party recyclers were operating outside of RCRA,
inferring these facilities were either operating illegally or operating
under an exclusion, exemption, or alternate standard, or no standard.
Regarding other comments on the analysis, including comments on
specific damage case-to-exclusion pairings and on comparing the number
of damage cases to the total number of affected entities, EPA agrees
with commenters that more information is needed prior to taking final
action on specific conditions of the pre-2008 recycling provisions. EPA
finds it may need to consider each exclusion in terms of evaluating
specific regulatory gaps and whether additional conditions are needed
to ensure protection of human health and the environment. Therefore, we
are not finalizing specific conditions for the pre-2008 recycling
provisions in today's rule and are instead deferring action until EPA
can more adequately address commenters' concerns, including comments on
the record. Before the Agency would take any such action, the Agency
would provide the regulated community, as well as other stakeholders
the opportunity for notice and comment.
XIV. Major Comments on the Exclusion for Hazardous Secondary Materials
Legitimately Reclaimed Under the Control of the Generator and
Recordkeeping for Speculative Accumulation
A. Proposed Changes to 2008 Final Rule
In its July 2011 DSW proposal, EPA proposed or solicited comment on
certain changes to the 2008 DSW exclusion from the definition of solid
waste for hazardous secondary materials legitimately reclaimed under
the control of the generator. The first change was adding a regulatory
definition of ``contained'' for units storing hazardous secondary
materials. The definition included factors which, if met, would
demonstrate that the unit was contained. Under the proposal, a storage
unit is contained if it is in good condition, with no leaks or other
continuing or intermittent unpermitted releases of the hazardous
secondary material to the environment, and is designed, as appropriate
for the hazardous secondary materials to prevent releases of hazardous
secondary material to the environment. Such releases may include, but
are not limited to, releases through surface transport by precipitation
runoff, releases to soil and groundwater, wind-blown dust, fugitive air
emissions, and catastrophic unit failures. The unit must also be
properly labeled or otherwise have a system (such as a log) to
immediately identify the hazardous secondary materials in the unit.
Finally, the unit must not hold incompatible materials and must address
any potential risks of fires or explosions. The definition also stated
that hazardous secondary materials stored in units that meet the
applicable requirements of 40 CFR parts 264 or 265 are considered to be
contained.
The second change concerned new recordkeeping requirements for
speculative accumulation, ``same-company'' recycling, and recycling
under certain tolling arrangements. With respect to speculative
accumulation, EPA proposed to require generators and reclaimers
operating under the generator-controlled exclusion to post accumulation
start dates to allow inspectors and other regulatory authorities to
quickly ascertain how long hazardous secondary materials had been in
storage. If placing a label on the storage unit is not practicable, the
first date that the excluded hazardous secondary material began to be
accumulated must be entered in an inventory log. We also solicited
comment on whether to add the proposed recordkeeping requirement to the
general speculative accumulation provision at 40 CFR 261.1(c)(8),
thereby extending the requirement to all recyclers subject to that
provision. We also proposed a recordkeeping requirement for tolling
contractors and toll manufacturers operating under the tolling
exclusion, which would require maintaining records of hazardous
secondary materials sent or received pursuant to the tolling contract.
We also solicited comment on whether to add a similar recordkeeping
requirement to generators and reclaimers operating under the ``same-
company'' exclusion.
The third change concerned making notification a condition rather
than a requirement of the exclusions. In addition, we proposed two
structural changes. These were (1) placing the requirements for land-
based units and non-land-based units in one regulatory provision (40
CFR 261.4(a)(23)), since the requirements for both types of units are
the same; and (2) placing most definitions applicable to the generator-
controlled exclusion in 40 CFR 261.4(a)(23) (together with the
requirements) instead of in 40 CFR 260.10.
[[Page 1742]]
Comments: Authority for Proposed Changes
Many commenters supported all or some of these changes, either as
proposed or with suggested modifications. Their comments are discussed
below in reference to the specific changes that the Agency proposed.
Some commenters, however, stated that EPA did not have the authority to
impose conditions (particularly the ``contained'' standard) on
hazardous secondary materials recycled under the control of the
generator. These commenters generally believed that materials recycled
under these exclusions are not discarded, and that EPA provided no new
evidence that would justify the proposed changes. According to these
commenters, the proposed changes are tantamount to treating the
materials as wastes instead of valuable commodities, and are
inconsistent with the ABR decision. One commenter noted that generators
already have incentives to prevent releases of hazardous secondary
materials because of potential liability, corporate values of
stewardship and environmental responsibility, and public relations.
EPA's Response: Authority for Proposed Changes
The Agency has determined that the conditions proposed in our July
2011 DSW proposal are needed in order to ensure that the exclusion
operates as intended and does not result in discarded hazardous
secondary material posing significant risk to human health and the
environment. We agree that generators and reclaimers operating under
the generator-controlled exclusion have incentives to ensure that the
hazardous secondary materials are safely managed. Nevertheless, the
conditions we proposed are needed to ensure that the generator-
controlled exclusion will correctly function to exclude only hazardous
secondary material that is not discarded.
Specifically, the proposed ``contained'' requirement is a key
provision for determining whether a hazardous secondary material is
being managed as a valuable commodity. Such materials that are not
contained and are instead released to the environment are not destined
for recycling and are clearly discarded. The proposed definition
specifies factors which, if met, demonstrate that the hazardous
secondary materials in a unit are handled as valuable raw materials,
intermediates, or products and thus are not discarded. We note that the
criteria in proposed 40 CFR 261.4(a)(23)(i) are all performance
measures, as opposed to specific technical standards, suggested by
commenters in response to the June 2009 public meeting on the 2008 DSW
final rule. These criteria also exemplify practices discussed in the
preamble to the 2008 DSW final rule regarding containment of hazardous
secondary materials, such as ways to prevent releases and operation and
maintenance of the storage unit in the same manner as a production
unit.
The proposed recordkeeping requirement for speculative accumulation
(which would require posting of accumulation start dates on the storage
unit or in an inventory log) would allow inspectors and other
regulatory authorities to quickly ascertain how long a facility has
been storing an excluded hazardous secondary material, and whether the
storage time exceeds existing limits under 40 CFR 261.1(c)(8). If such
limits have been exceeded, the material would be discarded. The
proposed recordkeeping requirement for the tolling exclusion (which
would require records of shipments sent and received under tolling
contracts) would also aid regulatory agencies in determining if tolling
contractors and manufacturers are in compliance with the requirements
for the exclusion and whether the hazardous secondary materials in
question have been properly accounted for. A similar requirement to
keep records of shipments sent and received under ``same-company''
recycling (for which the Agency solicited comment in the July 2011 DSW
proposal) would serve the same purpose. Finally, submitting a
notification to EPA is the only formal indication of a facility's
prospective intent to reclaim a hazardous secondary material under this
exclusion. For these reasons, EPA has determined that its proposed
changes to the generator-controlled exclusion are necessary to
demonstrate that hazardous secondary materials have not been discarded.
The changes are therefore within the Agency's RCRA authority.
Comments: Scope of Proposed Changes
One commenter noted that the proposed rule would allow lead-acid
battery recyclers to operate under the generator-controlled exclusion
instead of the requirements in 40 CFR 266.80(b). This commenter
believed that the latter requirements, specifically tailored to battery
recyclers, are more appropriate for these facilities.
EPA's Response: Scope of Proposed Changes
In response to this comment, it was not the Agency's intent that
spent lead-acid batteries be managed under the generator-controlled
exclusion. The 2008 DSW final rule contained a provision (40 CFR
261.2(c)(4)(iv)) stating that spent lead-acid batteries were not
eligible for the generator-controlled exclusion (nor were materials
subject to material-specific standards under 261.4(a) or the listed
hazardous wastes K171 or K172). The omission of this provision from the
July 2011 DSW proposal as related to spent lead-acid batteries and
material-specific standards was inadvertent, and EPA is therefore
retaining it in this final rule (see 40 CFR 261.4(a)(23)(ii)(E)).
However, for reasons discussed in section XI of this preamble, listed
hazardous wastes K171 and K172 should be eligible for the generator-
controlled exclusion; therefore, we are not including those wastes in
this provision.
Comments: Exports
Another commenter noted that the text of proposed 40 CFR
261.4(a)(23)(i)(B) could initially be read to suggest that hazardous
secondary materials may be transferred to a location outside the United
States or its territories as long as the foreign receiving facility is
under the control of the generator. It is not until one reads proposed
40 CFR 261.4(a)(23)(ii)(A) that the reader learns that the receiving
facility must be in the United States or its territories. This
commenter suggested revising the introductory text of 40 CFR
261.4(a)(23) to refer to recycling within the United States or its
territories and deleting the subsequent condition.
EPA's Response: Exports
EPA agrees with this commenter who suggested modifying the
introductory text of the generator-controlled exclusion to include a
reference to the requirement that hazardous secondary materials
legitimately reclaimed under the exclusions must be recycled within the
United States or its territories. We have therefore revised 40 CFR
261.4(a)(23) to read as follows: ``Hazardous secondary material
generated and legitimately reclaimed within the United States or its
territories and under the control of the generator, provided that the
material complies with paragraphs (a)(23)(i) and (ii) of this
section.'' We have also deleted the condition in proposed CFR
261.4(a)(23)(ii)(A) and renumbered the following subparagraphs.
[[Page 1743]]
B. Exclusion for Materials Recycled On-Site
Comments: On-Site Exclusion
In the 2008 DSW final rule, EPA promulgated an exclusion from the
definition of solid waste for hazardous secondary materials that are
generated and legitimately reclaimed at the generating facility. In the
July 2011 DSW proposal, the Agency did not propose any changes to the
scope of this exclusion. Commenters on the proposal generally supported
excluding on-site recycling from the definition of solid waste, stating
that such recycling did not involve discard and was not likely to pose
environmental risks. However, one commenter argued that the exclusion
for hazardous secondary materials recycled under the control of the
generator was too broad and should be narrowed to materials recycled
under a ``continuous industrial process,'' i.e., recycled in the same
process of which they are a byproduct, by the same generator, and at
the same generating facility. If the exclusion was narrowed to this
extent, it would preclude ``same-company'' or tolling recycling from
being eligible for the exclusions. It would presumably also preclude
certain types of on-site recycling that might involve different
processes from being excluded under the definition of solid waste.
EPA's Response: On-Site Exclusion
EPA has determined that if hazardous secondary materials are
generated and legitimately reclaimed at the generating facility (as
well as a facility within the same company) under the conditions
specified in today's rule, these materials have not been discarded. We
do not agree with the comment that the exclusion should be limited to
recycling of hazardous secondary materials under a ``continuous
industrial process,'' i.e., it takes place in the same process of which
the materials are a byproduct, by the same generator and at the same
generating facility. If hazardous secondary materials are recycled on-
site at the generating facility using different processes, this
circumstance does not mean that the generator has relinquished control
of the materials or that they have been discarded. We are therefore
finalizing this provision as proposed at 40 CFR 261.4(23)(i)(A).
C. Exclusion for Materials Recycled by the Same Company
In the 2008 DSW final rule, EPA promulgated an exclusion from the
definition of solid waste for hazardous secondary materials that were
generated and legitimately reclaimed off-site by the same ``person'' as
defined in 40 CFR 260.10, if the generator performed one of two
certifications. Under the first certification, the generating facility
certified that it controlled the reclaiming facility; under the second
certification, the generating facility certified that it was under
common control with the reclaiming facility. In the July 2011 DSW
proposal, the Agency solicited comment on whether to add a
recordkeeping requirement to this exclusion that would require both the
generating and reclaiming facilities to retain records for no less than
three years of all hazardous secondary material shipped under the
exclusion. The records would have to contain information which could be
satisfied by routine business records (e.g., financial records, bills
of lading, copies of DOT shipping papers, or electronic confirmations).
There was general support for this condition from those commenters who
addressed it.
Comments: Same-Company Exclusion
Some commenters supported this exclusion. They believed that
generators using the exclusion have strong incentives to ensure that
hazardous secondary materials are not discarded by maintaining control
over, and potential liability for, the reclamation process. However,
other commenters believed that any off-site transport of hazardous
secondary materials involved environmental risks that should be
addressed by (at the least) requiring a hazardous waste manifest or by
subjecting ``same-company'' off-site recycling to the proposed
alternative Subtitle C standards for hazardous secondary materials that
are transferred for the purpose of reclamation. Some commenters said
that when hazardous secondary materials are transported off-site, the
generator has little de facto control over such materials.
One commenter noted that proposed 40 CFR 261.4(a)(23)(i)(B) omitted
the alternative certification for same-company recycling that occurs
when the generating facility and the reclaiming facility are under
common control. This certification was included in the 2008 DSW final
rule.
EPA's Response: Same-Company Exclusion
The Agency continues to find that same-company recycling does not
involve discard since it occurs under the control of the generator.
Such control means that both the generating facility and the
reclamation facility are familiar with the hazardous secondary
materials and the company would be ultimately liable for any
mismanagement of the hazardous secondary materials. Under these
circumstances, the incentive to avoid such mismanagement would be
sufficiently strong to greatly reduce the risks of transport, thus
rendering unnecessary the use of the hazardous waste manifest or
requiring the hazardous secondary materials to be reclaimed under the
verified recycling exclusion. However, as noted above, the Agency
solicited comment in its July 2011 DSW proposal on a recordkeeping
requirement that would require both the generating and reclaiming
facilities to retain records for no less than three years of all
hazardous secondary material shipped under the exclusion. The records
would have to contain the name of the transporter, the date of the
shipment, and the type and quantity of the hazardous secondary material
shipped or received under the exclusion. This requirement could be
satisfied by routine business records (e.g., financial records, bills
of lading, copies of DOT shipping papers, or electronic confirmations).
Such a provision would facilitate enforcement of the same-company
exclusion and would allow tracking of all hazardous secondary materials
recycled under the exclusion to ensure that such materials were
properly accounted for. EPA agrees with the commenters who supported
this requirement and finds that adding this recordkeeping requirement
to the same-company exclusion is sufficient to address any risks
involved in off-site transport of hazardous secondary materials. We are
therefore finalizing the same company exclusion to include this
requirement (see 40 CFR 261.4(a)(23)(i)(B)).
The Agency also agrees with the commenter who suggested that the
alternative certification for facilities under common control that was
included in the 2008 DSW final rule should be added to the exclusion.
The omission of this provision from the July 2011 DSW proposal was
inadvertent and the Agency will therefore simply retain the alternative
certification in the regulations (see 40 CFR 261.4(a)(23)(i)(B)).
D. Tolling Exclusion
In its July 2011 DSW proposal, EPA proposed to add a recordkeeping
requirement to the exclusion for hazardous secondary materials
legitimately reclaimed under certain contractual tolling arrangements.
Specifically, we proposed to require the tolling contractor to maintain
at its facility for no less than three years records of all hazardous
secondary materials received pursuant to the
[[Page 1744]]
written contract with the tolling manufacturer. It would also require
the tolling manufacturer to maintain at its facility for no less than
three years records of materials shipped pursuant to its written
contract with the tolling contractor. In both cases, the records must
contain the name of the transporter, the date of the shipment, and the
type and quantity of the hazardous secondary material shipped or
received pursuant to the written contract. These requirements may be
satisfied by routine business records (e.g., financial records, bills
of lading, copies of DOT shipping papers, or electronic confirmations).
EPA solicited comment on whether the proposed requirement would make
the exclusion easier to enforce. We also solicited comment on whether
the tolling exclusion should be retained or eliminated. We noted that
no facilities appeared to be operating under the tolling exclusion as
of the date of the proposed rule, and that the definitions and
certifications involved in this exclusion were complicated. However, we
also noted that if the tolling exclusion were eliminated, the tolling
contractor conducting the reclamation might need to obtain a RCRA
storage permit. This necessity could discourage recycling under tolling
arrangements and prevent sustainable reclamation practices.
Comments: Tolling Exclusion
Those commenters who addressed the proposed recordkeeping
requirement generally supported it, but many commenters believed that
the tolling exclusion should be eliminated and that tolling should be
regulated under EPA's proposed alternative Subtitle C regulatory
standards for hazardous recyclable materials. Another commenter argued
that if the Agency retained the tolling exclusion, we should require
use of the hazardous waste manifest, financial assurance, and other
Subtitle C requirements. Some of these commenters emphasized the
absence of utilization of the tolling exclusion and said that federal
regulations should address activities of national importance. One
commenter noted that the exclusion could result in an inefficient use
of enforcement resources as regulators would have to be trained and
familiar with a regulatory concept with which they are not familiar.
Another commenter argued that the assumption of liability for
mismanagement by the tolling contractor was unlikely and could result
in litigation. Other commenters emphasized environmental concerns with
the tolling exclusion. These commenters doubted that recycling under
tolling arrangements was actually under the ``control'' of the tolling
contractor, given that a different corporate entity at a different
physical location operates the production process. Some commenters
raised similar concerns with the risks involved in off-site
transportation of hazardous secondary materials that were raised in
connection with ``same-company'' recycling.
Some commenters, on the other hand, urged EPA to retain the
exclusion for tolling contracts. These commenters argued that hazardous
secondary materials legitimately reclaimed under the tolling exclusion
are managed as valuable products and not discarded. They also said that
utilization of the exclusion could increase with time, particularly if
more states picked up EPA's revisions to the definition of solid waste
and if regulatory uncertainty were avoided. One commenter noted that
the economic incentives under tolling contracts are such that there is
no incentive for discard, since the tolling manufacturer is paid when
it returns the hazardous secondary material to the contractor. Some
commenters indicated that eliminating the tolling exclusion, by
requiring tolling contractors to obtain RCRA storage permits, would
operate as a severe disincentive to reclamation under tolling
arrangements.
EPA's Response: Tolling Exclusion
EPA generally agrees with the commenters who supported retention of
the tolling exclusion. We find that hazardous secondary materials are
not discarded if they are legitimately reclaimed under the conditions
specified in our tolling exclusion, particularly since participants in
tolling contracts have strong incentives to handle such materials as
valuable commodities rather than mismanage them. We also have
determined that the conditions of the generator-controlled tolling
exclusion, including the recordkeeping requirement for hazardous
secondary materials sent and received under tolling contracts, are
sufficient to prevent discard, thus rendering unnecessary the use of
the hazardous waste manifest or other RCRA permit requirements for
reclaimers. We have also concluded that retention or elimination of
this exclusion should not depend on how frequently the exclusion is
currently utilized, because determining frequency of utilization in the
future is necessarily speculative. Additional states could pick up
EPA's revisions to the definition of solid waste, and tolling
arrangements could become more common due to increases in certain kinds
of manufacturing or other technological developments. Regulatory
authorities would then become more familiar with implementation of the
provision. We are also concerned that eliminating the tolling exclusion
could discourage the reclamation of valuable hazardous secondary
materials that might otherwise be destroyed by incineration. This
result would be inconsistent with our goal of encouraging the
sustainable management of hazardous secondary materials. For these
reasons, we are retaining the tolling exclusion in this final rule and
finalizing the proposed recordkeeping requirement for this exclusion
(see 40 CFR 261.4(a)(23)(i)(C)).
E. The Contained Standard
In its July 2011 DSW proposal, EPA proposed a regulatory definition
of the contained standard. Under this proposed definition, a unit
storing hazardous secondary materials is ``contained'' if it is in good
condition, with no leaks or other continuing or intermittent
unpermitted releases of the hazardous secondary materials to the
environment, and is designed, as appropriate for the hazardous
secondary materials, to prevent releases of hazardous secondary
materials to the environment. Such releases may include, but are not
limited to, releases through surface transport by precipitation runoff,
releases to soil and groundwater, wind-blown dust, fugitive air
emissions, and catastrophic unit failures. The unit must also be
properly labeled or otherwise have a system (such as a log) to
immediately identify the hazardous secondary materials in the unit.
Finally, the unit must not hold incompatible materials and must address
any potential risks of fires or explosions. Hazardous secondary
materials stored in units that meet the applicable requirements of 40
CFR parts 264 or 265 are considered to be contained.
In addition, the Agency also proposed placing the requirements for
land-based units and non-land-based units in one regulatory provision
(40 CFR 261.4(a)(23)), since the requirements for both types of units
are the same. To clarify the regulatory status of units from which
releases have occurred, the Agency also proposed a provision stating
that: (1) A hazardous secondary material released to the environment is
discarded and a solid waste unless it is immediately recovered for the
purpose of reclamation and (2) hazardous secondary material managed in
a unit with leaks or other continuing or intermittent releases of the
hazardous
[[Page 1745]]
secondary material to the environment is discarded and a solid waste.
Comments: Codification of the Contained Standard
Many commenters (particularly states) supported the codification of
the contained standard. Under the 2008 DSW final rule, these commenters
argued the only definitive way to determine whether a material was
contained was an evaluation after a release had already occurred. They
believed that codifying a definition of ``contained'' would make it
easier for regulatory authorities and the regulated community to decide
whether a unit meets the standard. Some commenters, however, believed
that a regulatory definition of ``contained'' was not needed because
the concept of what is contained was self-evident: To the extent
clarification is needed, it could be provided in guidance.
EPA's Response: Codification of the Contained Standard
EPA agrees with those commenters who argued that codification of
the contained standard is desirable. Based on comments and inquiries
received from regulatory authorities and the regulated community after
promulgation of the 2008 DSW final rule, we have determined that merely
requiring that a unit be ``contained'' (without providing a regulatory
definition) does not give regulatory certainty about how to comply with
the standard. The number of comments and inquiries to this effect would
seem to refute the idea that the concept of contained is self-evident.
It was never the Agency's intent that violation of the standard could
be addressed only after a significant release and subsequent
environmental damage had occurred. More detailed regulatory criteria,
such as those proposed in our July 2011 DSW proposal, will help all
affected parties determine whether a unit adequately controls the
movement of hazardous secondary materials. Such determinations will be
of great benefit to regulatory authorities and to facilities operating
under the generator-controlled exclusion. We are therefore retaining
the codification of contained in this final rule.
Comments: Land-Based Storage
Some commenters believed that storage in land-based units should be
prohibited completely under the generator-controlled exclusion. Other
commenters supported allowing land-based units, but only if the Agency
required periodic inspections, groundwater monitoring, or other
measures. Other commenters emphasized that the Agency had no
jurisdiction over land-based production units, and requested that EPA
clarify in the preamble that we do not regulate such units.
EPA's Response: Land-Based Storage
EPA does not agree that land-based units should be categorically
prohibited under the generator-controlled exclusion. We have determined
that hazardous secondary materials, if they are stored in land-based
units that meet the conditions specified in today's rule, have not been
discarded. That is, if they are legitimately reclaimed as specified in
today's rule, if they are contained and not speculatively accumulated,
and if they have submitted the required notification, they are being
managed as valuable commodities, rather than wastes. Indeed, the ABR
decision expressed criticism of EPA for prohibiting any land placement,
even ``for a few minutes''. 208 F.3rd at 1051. EPA interprets the
court's discussion as a warning to the Agency to examine all factors,
not just one (e.g., land placement), when deciding whether a material
is a waste. For the same reason, we do not find that it is necessary or
appropriate to require groundwater monitoring, inspections at specified
intervals, or other Subtitle C controls for hazardous secondary
materials that are legitimately reclaimed under the control of the
generator under these conditions, even for land-based units. These
hazardous secondary materials are being managed under the control of
the generator; by maintaining control over, and potential liability
for, the hazardous secondary materials and the reclamation process, the
generator ensures that such materials have not been discarded. We also
note that the definition of ``land-based unit'' in 40 CFR 260.10 means
an area where hazardous secondary materials are placed in or on the
land before recycling, but the definition explicitly excludes land-
based production units. Examples of land-based units include surface
impoundments and piles.
Comments: Requirements for Non-Land-Based Units
Some commenters believed that the proposed standard was still too
imprecise, or not sufficiently protective. These commenters generally
suggested that EPA require storage units to meet the standards of 40
CFR 262.34(a)(1), or parts 264 or 265 for tanks, containers, or
containment buildings. Some of these commenters argued that since
hazardous secondary materials sent for reclamation were identical in
composition to analogous materials sent for disposal, the storage
standards should be the same for both disposal and recycling. Another
commenter noted that EPA was considering tank standards for solvents
under the proposed remanufacturing exclusion, and said that standards
at least as stringent should be considered for other hazardous
secondary materials sent for reclamation. Commenters also emphasized
the ease of enforceability and implementation of standards with which
the regulatory authorities and the regulated community are already
familiar.
EPA's Response: Requirements for Non-Land-Based Units
In response to those commenters who suggested Subtitle C
requirements for non-land-based units (such as tanks, containers and
containment buildings) that store hazardous secondary materials under
the generator-controlled exclusion, the Agency also finds that imposing
these requirements is unnecessary for such materials meeting the
conditions of the exclusion promulgated today. EPA is aware that
implementation of program requirements would be simpler if units
storing hazardous waste and those storing hazardous secondary materials
were subject to the same requirements, and we are also aware that the
chemical composition of hazardous secondary materials sent for disposal
can be similar to that of hazardous secondary materials sent for
legitimate recycling. Nevertheless, hazardous secondary materials that
are legitimately reclaimed under the control of the generator have not
been discarded, and such materials have value that provides generators
with strong incentives to maintain safe management and handling.
Imposing the Subtitle C requirements on these hazardous secondary
materials could discourage legitimate reclamation, encourage disposal,
and would be inconsistent with EPA's goal of fostering sustainable
materials management. In response to the commenter who suggested that
such requirements should be imposed because the Agency was considering
them for the remanufacturing exclusion, we note that the generator-
controlled exclusion covers a wide variety of hazardous secondary
materials, rather than the solvents covered by the remanufacturing
exclusion, for which tanks or container standards are appropriate for
reasons described in section VII of this preamble.
Comments: Releases
Some commenters believed that the proposed regulatory definition of
[[Page 1746]]
``contained'' constituted a ``no-leak'' standard (including storm water
runoff or fugitive air emissions) and that even a single release that
was immediately recovered could lead to the hazardous secondary
material remaining in the unit being considered discarded and a solid
waste. Other commenters, however, said that all units will suffer a
release at some point and that it would be unreasonable to
categorically classify any release of whatever nature as discard.
In the preamble to the 2011 DSW proposal, EPA stated that certain
units may be subject to occasional precipitation runoff that consists
essentially of water, with trace amounts of hazardous constituents. The
Agency noted that as long as such runoff does not contain hazardous
secondary materials (e.g., it is essentially rainwater with trace
amounts of metals), it would not be considered a ``release of a
hazardous secondary material.'' On the other hand, if the hazardous
secondary material itself is swept away by the runoff (e.g., if the
hazardous secondary material consists of fine particulate matter, such
as electric arc furnace dust), this transport via precipitation runoff
could be considered a ``release of a hazardous secondary material'' and
that pile may not be considered contained. Some commenters argued that
even trace amounts of hazardous substances (such as through stormwater
runoff) should be considered illegal releases from storage units. One
of these commenters objected to our regulatory definition partly
because it would allow releases that were not ``continuing'' or
``intermittent.''
Another commenter, however, argued that the existence of stormwater
runoff (regulated under the Clean Water Act) or fugitive air emissions
and dust (regulated under the Clean Air Act) does not mean that
materials are not being managed as a valuable commodity and so cannot
be used to justify a determination that a hazardous secondary material
is subject to the fully applicable Subtitle C RCRA requirements. This
interpretation would amount to an illegal expansion of RCRA authority,
according to the commenter. The commenter also noted that EPA's
distinction between runoff containing hazardous constituents and runoff
containing the waste itself was irrelevant and that EPA should return
to the ``significant release'' standard of the 2008 DSW final rule.
Another commenter suggested that the Agency specify what concentration
of hazardous secondary material would need to be detected to constitute
a release.
EPA's Response: Releases
EPA does not agree with those commenters who argued that the
proposed definition of ``contained'' imposed a strict, categorical, and
impracticable ``no leaks'' standard, either for land-based units or
non-land-based units. We note that the language of the proposed
definition reads that the unit must be in good condition, ``with no
leaks or other continuing or intermittent unpermitted releases of
hazardous secondary materials to the environment. . .'' (emphasis
added). This language clearly does not mean that any single release of
whatever nature would automatically place the hazardous secondary
materials remaining in the unit under Subtitle C regulation. In fact,
we agree with those commenters who argue that most units will suffer a
release at some point and that it would be unreasonable to
categorically classify any release of whatever nature as discard.
Nor does EPA agree with those commenters who appeared to believe
that any release should lead to loss of the generator-controlled
exclusion and full regulation under RCRA Subtitle C. A single release
that is quickly cleaned up would not generally affect the regulatory
status of the hazardous secondary materials still contained in the
unit. For example, sometimes a hazardous secondary material may escape
from primary containment and may be captured by secondary containment
or some other mechanism that would prevent the hazardous secondary
materials from being released to the environment or would allow
immediate recovery of the materials. In that case, the unit would not
be subject to the RCRA hazardous waste regulations and the hazardous
secondary materials in the unit would still be excluded from the
definition of solid waste, even though any such materials that had been
released and not immediately recovered would be considered discarded.
With respect to precipitation runoff, the Agency does not agree
with those commenters who said that even trace amounts of hazardous
substances (such as through stormwater runoff) should be considered
illegal releases from storage units. Some units are inevitably subject
to occasional precipitation runoff that consists essentially of water,
with trace amounts of hazardous constituents. As long as the hazardous
secondary material itself is not swept away by the runoff, this
transport via precipitation runoff would not be a release of such a
material and the unit could be considered contained. A contrary
interpretation could place all such units under Subtitle C regulation
and eliminate their eligibility for the generator-controlled exclusion,
which is not the Agency's intent. EPA has determined that hazardous
secondary materials placed in such units that are destined for
legitimate recycling have not been discarded if they meet the
conditions of these exclusions. EPA also agrees with the commenter who
said that the existence of stormwater runoff (regulated under the Clean
Water Act) and fugitive air emissions and dust (regulated under the
Clean Air Act) does not automatically mean that materials are not being
managed as a valuable commodity.
EPA also does not agree with the commenter who suggested that the
Agency should return to the ``significance'' criterion for determining
whether a release has occurred (in part to distinguish between runoff
containing hazardous constituents and runoff containing the hazardous
secondary material itself). The Agency does not agree that using this
criterion, without further definition, would clarify this distinction.
We also do not find that it is practicable to establish a concentration
of hazardous secondary materials that could be used to determine
whether a release has occurred, since such appropriate concentrations
would vary for different materials and a single concentration limit
would not be flexible enough to allow an accurate determination of
``contained'' for the wide variety of hazardous secondary materials.
Comments: Other ``Contained'' Issues
A few commenters suggested that EPA establish a petition process or
a site-specific variance for facilities to demonstrate the
appropriateness of site-specific alternative storage standards for
their units (including land-based units). Some commenters believed that
our reference to 40 CFR parts 264 and 265 meant that units were
required to comply with those provisions. One of these commenters
suggested that we specify that units meeting the requirements of 40 CFR
parts 264 or 265 are ``presumptively'' contained. Other commenters said
that the proposed definition of ``contained'' seemed more appropriate
for hazardous secondary materials in flowable form, but not for solid
materials such as scrap metal, for which a container is not necessarily
needed. One of these commenters suggested that we clarify that a
``unit'' may include a designated location.
A few commenters suggested editorial revisions to the definition of
contained. One commenter said that EPA should
[[Page 1747]]
clarify this provision to better indicate that the unit must not
contain materials that are incompatible with the other wastes or
materials placed in the unit or the materials of construction that
comprise the unit. Another commenter said the examples of release
should include soil contamination because contamination should not be
allowed to pass through the soil to the groundwater before it is
considered a release. Two commenters said the proposed text at 40 CFR
261.4(a)(23)(ii)(B) uses the word ``recycling'' in place of
``reclamation'' and omits the phrase ``or intermittent unpermitted,''
which does not comport with the preamble language.
EPA's Response: Other ``Contained'' Issues
In response to those commenters who suggested a mechanism (such as
a petition process or variance) to provide alternative or site-specific
containment requirements for certain facilities, such a mechanism is
unnecessary because the definition of ``contained' in today's rule
establishes minimum requirements that all units storing hazardous
secondary materials should be able to meet. We have designed the
``contained'' criteria to be flexible enough to cover a wide range of
units.
In response to comments that suggested the reference to 40 CFR
parts 264 and 265 means that units were required to comply with those
provisions, EPA did not intend to imply that meeting such standards was
required. In response to the commenter who suggested stating that units
meeting the applicable requirements of 40 CFR parts 264 or 265 are
``presumptively'' contained, EPA agrees that this language better
reflects EPA's intent than the proposed language and is changing the
proposed definition of ``contained'' accordingly. However, we do not
agree with the commenter who suggested adding that solid hazardous
secondary materials may be stored in ``designated locations.'' We have
determined that our definition of ``contained'' (which includes land-
based units) is sufficiently flexible to cover solid material, such as
scrap metal or furnace bricks which are not stored in tanks,
containers, or containment buildings. We have also made clear in the
preamble the circumstances under which such materials could be
considered ``contained.''
For the reasons stated above, EPA is finalizing the definition of
``contained'' as proposed, but replacing the statement that ``hazardous
secondary materials meeting the applicable requirements of 40 CFR parts
264 or 265 are considered to be contained'' with ``hazardous secondary
materials that meet the applicable requirements of 40 CFR parts 264 or
265 are presumptively contained'' (see 40 CFR 260.10).
EPA agrees with commenters who suggested editorial changes to the
definition of contained and has incorporated these changes into today's
rule.
F. Notification as a Condition
In the July 2011 proposal, EPA proposed to make the notification
requirement in 40 CFR 260.42 a condition, rather than a requirement, of
the generator-controlled exclusion in 40 CFR 261.4(a)(23). At issue are
the consequences an entity would face for failing to notify. Thus,
notification as a requirement of the exclusion means that failure to
notify would constitute a violation of the notification regulations. On
the other hand, notification as a condition of the exclusion means
failure to notify could potentially result in the loss of the exclusion
for the hazardous secondary materials (i.e., the hazardous secondary
materials would become solid and hazardous wastes and subject to full
Subtitle C requirements). EPA also requested comment on whether
notification should be a condition of the remanufacturing exclusion and
of the pre-2008 recycling exclusions. (For EPA's response to comments
for notification as a condition of the pre-2008 recycling exclusions,
see section XIX.)
Comments: Notification as a Condition
Commenters were split on this issue. Many commenters supported
EPA's proposed change to make notification a condition of the
exclusion. These commenters argued that notification as a condition
would decrease the incentives for a facility to evade enforcement by
not notifying. A few commenters agreed that states would use
enforcement discretion to distinguish between facilities that failed to
notify due to an inadvertent oversight or from a blatant disregard for
the requirement. One commenter urged EPA to clarify that a facility
submitting a notification does not need to wait for any response from
the implementing agency prior to using exclusion.
On the other hand, many commenters did not support this proposed
change and argued that notification should remain a requirement of the
exclusion, as it is currently. These commenters argued that
notification, or the absence thereof, is not indicative of discard and
that the information of who is using the exclusion should not impact
the determination of whether a material is discarded. Some commenters
argued that enforcement discretion is not exercised in a consistent and
reasonable manner and that the proposed change would subject generators
who are legitimately recycling their hazardous secondary materials to
undue severe enforcement consequences. Other commenters argued that
there are innocent reasons why a facility would not notify, for
example, because of confusion surrounding the point when a virgin
material becomes a secondary material. Still other commenters believed
that it is highly unrealistic to believe that any facility operating
under the provisions would intentionally fail to notify EPA in an
attempt to evade enforcement. Other commenters argued that there is
already sufficient incentive to notify because facilities' would
already incur significant penalties under RCRA 3007 for failing to
notify. Additionally, one commenter noted that making notification a
condition of the exclusion differs from how other paperwork violations
are treated.
EPA's Response: Notification as a Condition
EPA agrees with commenters who supported making notification a
condition of the exclusion. The notification provision is the only
formal indication of a facility's intent to reclaim a hazardous
secondary material under the conditional exclusion. For example, if
during an inspection of a large quantity generator of hazardous waste,
EPA were to discover a hazardous secondary material that had been
stored on-site for more than 90 days without a RCRA permit (an act that
would typically be a violation of the hazardous waste regulations), a
previously filed notification would be an indication that the facility
was planning to reclaim the hazardous secondary material under the
conditions of the exclusion. Absent such notification, it would be
difficult for the facility to justify its true intentions for the
hazardous secondary material. Failure to meet the notification
provision is a strong indication that the facility either did not
intend to comply with or was unaware of the provisions of the
exclusion. In both cases, the lack of notification could indicate that
the hazardous secondary material was being mismanaged.
EPA agrees with commenters that making notification a condition of
the rule would further discourage facilities from trying to evade
enforcement by not notifying because, under the final rule, the costs
and consequences of not notifying are significantly higher than if
notification remains a requirement. Notification is essential to keep
[[Page 1748]]
regulators and the public informed about hazardous secondary materials
activity and to enable effective compliance monitoring. Making
notification a condition provides states and EPA the ability to
properly enforce those that intentionally fail to notify in order to
evade enforcement, while leaving the flexibility to tailor enforcement
appropriately in those cases involving an unintentional oversight.
Therefore, EPA is making the notification provision in 40 CFR 260.42 a
condition of the generator-controlled exclusion in 40 CFR 261.4(a)(23),
as well as a condition of the remanufacturing exclusion in 40 CFR
261.4(a)(27).
In response to opposing comments, EPA does not agree that failing
to notify is not indicative of discard. As noted, notification serves
as a formal declaration that a facility is not managing a hazardous
waste but, rather, an excluded hazardous secondary material under the
conditions of the exclusion. Notification, thus, documents the
generator's decision to not discard its hazardous secondary materials,
which is the inherent first step in any exclusion from the definition
of solid waste.
EPA also does not agree that the notification condition would be
inappropriately enforced. EPA notes that notification as a condition
subjects only those generators who failed to notify to enforcement
consequences; generators who submit notifications as required, and meet
the conditions of the final rule exclusions, would not face enforcement
consequences. EPA does not find this to be unduly burdensome to the
regulated community.
EPA also finds that the commenter's example of an innocent reason
for failing to notify (because of confusion surrounding the point when
a virgin material becomes a secondary material) as further reason to
strengthen the notification provision. That is, in order to comply with
the final rule, a generator must know which hazardous secondary
materials are being managed according to the specific conditions of the
exclusion. In other words, a generator has to make a choice to manage
hazardous secondary materials under the conditions of the rule before
they are considered ``excluded.'' (Notification, in fact, clearly
documents this choice.) Therefore, EPA finds it difficult to believe
that a generator could innocently fail to notify under the final rule
because the generator is unclear about when a virgin material becomes a
hazardous secondary material that it must manage under the exclusion.
These ambiguities must be resolved prior to the facility availing
itself of the exclusion.
EPA also disagrees with commenters that argued it is highly
unrealistic to believe that any facility operating under the provisions
would intentionally fail to notify EPA, as well as commenters that
argued that sufficient incentives to notify already exist. We note that
there is likely an economic incentive for some facilities to fail to
notify and simply consider the paperwork violation as a cost of doing
business. Where an economic incentive exists, EPA maintains that
regulation is appropriate in order to adequately discourage undesirable
behavior.
Finally, although notification as a condition may differ from how
other paperwork requirements are applied in the hazardous waste
regulations, it does not differ from how other paperwork requirements
are applied in conditional exclusions from the definition of solid
waste. For example, notification is a condition of the zinc fertilizer
exclusion in 40 CFR 261.4(a)(20). Additionally, EPA confirms that the
conditional exclusions at 40 CFR 261.4(a)(23) and 40 CFR 261.4(a)(27)
are self-implementing and thus facilities do not need to wait for any
response from the implementing agency prior to using exclusion.
G. Recordkeeping for Speculative Accumulation
In the July 2011 DSW proposal, EPA proposed to amend the generator-
controlled exclusion to require persons operating under the exclusion
to place a label on the storage unit indicating the first date that the
excluded hazardous secondary material began to be accumulated. In cases
where placing a label on the storage unit is not practicable (e.g., if
the hazardous secondary materials are stored in a surface impoundment),
we proposed as an alternative to require persons operating under the
generator-controlled exclusion to document in an inventory log the
first date that the excluded hazardous secondary material began to be
accumulated. EPA noted that enforcement personnel had suggested that
ease of enforcement would be greatly facilitated if persons subject to
the speculative accumulation requirement were required to post a start
date for the accumulation. In this way, inspectors and other regulatory
authorities could quickly ascertain how long a facility has been
storing an excluded hazardous secondary material, and, therefore,
whether that facility was in compliance with the applicable storage
time. The Agency also noted that placing labels on storage units or
entering accumulation start dates in inventory logs is likely to be
already part of normal business operations at many facilities. For this
reason, the proposed requirement would not be unduly burdensome and
would provide a greater degree of clarity both to the regulated
community and to regulatory authorities who need to determine whether
excluded hazardous secondary materials meet the speculative
accumulation limits.
Since the same arguments for tracking accumulation start dates
could be made more broadly for all recycling subject to the speculative
accumulation limits, EPA also requested comment on whether to add this
recordkeeping requirement to the speculative accumulation provision in
40 CFR 261.1(c)(8) itself. The Agency did not propose or solicit
comment on changing the substantive requirements of the speculative
accumulation provision, such as the time allowed for storage or the
amount that is required to be recycled within a calendar year.
Comments: Recordkeeping for Speculative Accumulation
Many commenters, particularly states, supported the proposed
recordkeeping requirement and also supported extending the requirement
to all persons currently subject to the speculative accumulation
requirements at 40 CFR 261.1(c)(8). These commenters generally believed
that posting accumulation start dates (or using some other mechanism,
such as an inventory log) provides assurance both to generators and
inspectors that the generator in question is in compliance with the
speculative accumulation provision, and that the proposed requirement
would not be burdensome to the regulated community. One commenter
supported requiring accumulation start dates to be posted in storage
areas within a specified number of feet from the storage unit, since
reference to logs distant from storage units could make enforcement
difficult. Facilities that prefer a centrally located log could
maintain such a ``master'' log in addition to the record maintained
near the actual storage unit, this commenter suggested.
Some commenters, however, opposed the proposed recordkeeping
provision for speculative accumulation, either for the generator-
controlled exclusion or for other persons subject to 40 CFR
261.1(c)(8). Some of these commenters argued that 40 CFR 261.2(f)
already requires respondents in enforcement actions who are claiming
that a material is not a solid waste to demonstrate that they meet the
terms of an exclusion or
[[Page 1749]]
exemption, by, among other things, providing appropriate documentation.
Some commenters apparently believed that the proposed requirement would
mandate sending a notification to EPA, or posting the quantity of the
hazardous secondary material and the precise time it was generated, or
posting ``finish'' dates, as well as ``start'' dates for accumulation.
In addition, some commenters expressed concern about the potential
difficulty of posting accumulation start dates for hazardous secondary
materials that are recycled rapidly in continuous processes with little
or no prior storage.
EPA's Response: Recordkeeping for Speculative Accumulation
After evaluating the comments received, EPA has concluded that the
proposed recordkeeping requirements for speculative accumulation
provide considerable benefits to both regulatory authorities and the
regulated community and that the burden on the regulated community will
be minimal. Posting accumulation start dates (or using another
mechanism, such as an inventory log) is a simple and effective way to
provide useful information about likely compliance with the speculative
accumulation provision, and that the cost to facilities does not
outweigh this benefit. We also find that all of the reasons for
adopting this requirement for the generator-controlled exclusion apply
equally to the question of whether to adopt it for all persons subject
to 40 CFR 261.1(c)(8). In response to the commenter who supported also
requiring the posting of accumulation start dates in storage areas
within a specified number of feet from the storage unit, EPA is not
convinced that such a requirement would be necessary for all
facilities, and the appropriate distance from the storage unit might
also vary for different facilities. We are therefore not adopting this
requirement.
In response to those commenters who argued that the proposed
recordkeeping requirement is redundant with Sec. 261.2(f), we note
that that provision applies to respondents in enforcement actions and
does not provide specific guidance on how to determine compliance with
the speculative accumulation provisions in the case of routine
inspections. We therefore do not agree that the proposed recordkeeping
requirement is redundant with 40 CFR 261.2(f). Today's revision to the
speculative accumulation provision at 40 CFR 261.1(c)(8) does not
entail submitting notifications to EPA, posting the quantity of the
hazardous secondary material and the time it was generated, or posting
finish dates. The final definition of ``contained'' specifies that a
unit must be properly labeled or otherwise have a system (such as a
log) to immediately identify the hazardous secondary materials in the
unit. Neither such a label nor the posting of an accumulation start
date requires detailed information. In response to the commenters who
were concerned about hazardous secondary materials that were
continuously recycled without prior storage, we agree with those
commenters and are revising the proposed recordkeeping requirement to
allow ``other appropriate methods'' to be used to document the
accumulation period.
For the reasons given above, EPA is amending 40 CFR 261.1(c)(8) to
require that all persons subject to that provision must place materials
in a storage unit with a label indicating the first date that the
excluded hazardous secondary material began to be accumulated. If
placing a label on the storage unit is not practicable, the
accumulation period must be documented through an inventory log or
other appropriate method.
XV. Major Comments on the Replacement of the Exclusion for Hazardous
Secondary Materials That Are Transferred for the Purpose of Reclamation
Summary of Comments: Replacement of the Transfer-Based Exclusion With
the Alternative Subtitle C Recycling Standards
Environmental and community organizations, as well as many state
commenters, supported withdrawing the transfer-based exclusion because
this would remove the possibility of hazardous secondary materials
being sent to unpermitted reclaimers without a manifest. These
commenters agreed with EPA's rationale that transfers of most types of
hazardous secondary materials to other companies for reclamation
involve discard, and that the 2008 DSW transfer-based exclusion could
result in adverse impacts to human health and the environment from
discarded material. Commenters noted that, prior to reclamation
occurring, hazardous secondary materials have limited inherent value.
Some commenters in particular were concerned about how the transfer-
based exclusion made the generator responsible for verifying the safety
and legitimacy of the recycler's operations, when most generators would
not have the expertise to make such a determination. One commenter
examined the compliance history of the facilities currently operating
under the 2008 DSW exclusions and noted that a large percentage have
been the subject of enforcement actions in the past five years, and
many have been subject to clean-up authorities under either RCRA or
CERCLA for past contamination.
Most states supported the alternative hazardous waste standards as
a replacement for the transfer-based exclusion as an approach that
would help encourage recycling, while maintaining protection of human
health and the environment. States generally supported the longer
accumulation period, but some state commenters suggested replacing it
with the speculative accumulation limits. Finally, while, as noted
above, environmental groups supported removing the transfer-based
exclusion because of the potential hazards from third-party recycling,
they did not support the alternative standards because they believed
that the longer accumulation times would not be as protective as full
Subtitle C regulation.
In contrast, most industry commenters and a few states opposed
replacing the transfer-based exclusion with alternative hazardous waste
standards. These commenters argued that the withdrawal would
significantly hinder reclamation and therefore, the lifecycle
environmental benefits from recycling, contrary to the resource
conservation goals of RCRA. One commenter reported that retaining the
generator-controlled exclusion but not allowing off-site transfers
limits generator flexibility if, due to unforeseen circumstances (e.g.,
equipment malfunctions), the generator is not able to recycle on-site.
Several industry commenters opposed the alternative standards, saying
that the added compliance requirements (e.g., the reclamation plan) are
likely to outweigh any benefit provided by the relaxed accumulation
time limits. Two commenters suggested that EPA apply the alternative
standards to the reclamation facility, but reduce the requirements that
apply to the generator, given that the majority of the damage cases
occurred at the recycling facility.
Commenters also argued that EPA's record does not support repealing
the transfer-based exclusion, stating that EPA did not present any new
data that the 2008 DSW transfer-based exclusion would cause
environmental harm and noting that the 2011 DSW proposal stated that
facilities currently operating under the exclusion do not appear to
have any problems from hazardous materials recycling. Comments included
discussions of the conditions of the 2008 DSW transfer-based exclusion
and
[[Page 1750]]
why such conditions would be adequate to protect human health and the
environment, and suggested if EPA was concerned about the conditions,
the solution would be to strengthen the conditions, not withdraw the
exclusion. In particular, the Pennsylvania Department of Environmental
Protection, which oversees 27 of the 65 facilities operating under the
transfer-based exclusion, commented strongly in favor of keeping the
transfer-based exclusion and suggested that EPA add a condition that
recyclers have a RCRA Subtitle C permit.
EPA's Response: EPA agrees with those comments stating that the
2008 transfer-based exclusion could result in adverse impacts to human
health and the environment from discarded material, but disagrees that
all off-site transfers for reclamation requires Subtitle C hazardous
waste regulation, because imposing Subtitle C hazardous waste
regulation would result in regulating hazardous secondary material that
is currently being legitimately recycled and not discarded as hazardous
waste. Instead, EPA agrees with those commenters that support retaining
an exclusion from the definition of solid waste for off-site recycling
with additional conditions which will address the potential for discard
happening in the future.
As discussed in more detail in Section VI of this preamble, EPA has
identified several regulatory gaps in the 2008 transfer-based exclusion
that could result in significant risk to human health and the
environment from discarded material. Specifically, the conditions for
the transfer-based exclusion for recyclers lack the ability to provide
oversight before management begins and do not allow public
participation in the environmental decision-making process, thereby
decreasing the likelihood of compliance and increasing the potential
for risk to human health and the environment from discarded hazardous
secondary material. The evidence of past damage cases at third-party
recycling facilities leading to significant risk to human health and
the environment from hazardous secondary materials originally intended
for recycling and the underlying perverse incentives of the recycling
market to over-accumulate such hazardous secondary materials intended
for recycling, resulting in discard of the material, demonstrates the
need for such additional oversight and public participation. In other
words, the transfer-based exclusion can exacerbate financial incentives
for small and/or inexperienced businesses to take in more hazardous
secondary materials than they actually can use, mishandle it, and even
go out of business, as shown by the fact that bankruptcies or other
types of business failures were associated with 66% of the recycling
damage cases, resulting in multi-million dollar cleanups.
At the same time, as EPA noted in the 2011 DSW proposal and as was
echoed in the public comments, EPA has also carefully monitored the
implementation of the 2008 DSW final rule since it came into effect in
December 2008, and to date, no environmental problems have been
reported at facilities claiming the DSW exclusions. As of April 2014, a
total of 65 facilities are operating under the transfer-based
exclusion, 56 of which are generators transferring off-site and 7 which
are reclamation facilities.\44\ All seven reclamation facilities are
RCRA permitted. (There are no reclaimers without a Subtitle C permit
currently operating under the transfer-based exclusion). Of the 56
generators operating under the transfer-based exclusion, 32 generators
appear to have either started or substantially increased their
recycling as a result of the 2008 DSW exclusions. These include
generators that had previously reported in their 2007, 2009, or 2011
biennial report that they sent their solvents offsite for fuel
blending, and then notified that they are sending their spent solvents
for reclamation under the 2008 DSW final rule. In addition, in at least
five cases, facilities have switched from sending spent pickle liquor
to landfilling or deep well injection to recycling under the 2008 DSW
rule. In total, the 2008 DSW notifications document that over 57,000
tons of hazardous secondary material were reclaimed under the 2008 DSW
rule during 2011.\45\ In addition, the fact that the Pennsylvania
Department of Environmental Protection (PA DEP), which oversees 27 of
the 65 facilities operating under the transfer-based exclusion,
commented strongly in favor of keeping the transfer-based exclusion,
supports the idea that an exclusion for off-site reclamation can be
safely implemented. At the same time, given that the transfer-based
exclusion has been achieving its intended purpose of encourage safe,
legitimate recycling, withdrawing the transfer-based exclusion and
replacing it with RCRA Subtitle C hazardous waste requirements is
unnecessary and would result in hazardous secondary material that is
currently being legitimately recycled and not discarded being regulated
as hazardous waste. Because Subtitle C regulation would be more
stringent than the current exclusion, if EPA were to finalize the
alternative Subtitle C standards, Pennsylvania (and other states that
have adopted the 2008 DSW rule) would have to change their programs and
regulate this material as hazardous waste, despite the fact that it is
currently being legitimately recycled and not discarded.
---------------------------------------------------------------------------
\44\ Some of these facilities are also managing hazardous
secondary materials under the generator-controlled exclusion.
\45\ U.S. EPA, EPA's Evaluation of Data Collected from
Notifications Submitted under the 2008 Definition of Solid Waste
Exclusions, April 11, 2014.
---------------------------------------------------------------------------
However, the fact that the comments from PA DEP went on to
recommend that the transfer-based exclusion be limited to RCRA-
permitted recycling facilities also supports EPA's determination that
the self-implementing measures of the transfer-based exclusion have the
potential to result in significant risk to human health and the
environment. Because all recycling under the transfer-based exclusion
has been (to date) performed at RCRA permitted facilities, EPA is
unable to extrapolate what would happen at facilities without a RCRA
Subtitle C permit if the transfer-based exclusion were fully
implemented. Given the evidence of past damage cases leading to
significant risk to human health and the environment from hazardous
secondary materials originally intended for recycling and the
underlying perverse incentives of the recycling market to over-
accumulate such hazardous secondary materials intended for recycling,
resulting in discard of the material, additional oversight of recycling
beyond the self-implementing measures of the transfer-based exclusion
are needed to ensure that the hazardous secondary material is
legitimately recycled and not discarded.
EPA is therefore replacing the transfer-based exclusion currently
found in 40 CFR 261.4(a)(24) and (25) with the verified recycler
exclusion in 40 CFR 261.4(a)(24). This replacement strikes an
appropriate balance between encouraging the safe and legitimate
recycling of hazardous secondary materials and allowing the appropriate
oversight to ensure the exclusion works as intended. It also addresses
the issue of allowing a generator flexibility to recycle on site or off
site as circumstances require (as long as the generator notifies under
both the generator-controlled exclusion and the verified recycler
exclusion). As discussed in section VI. D of the preamble, the verified
recycler exclusion retains the conditions from the transfer-based
exclusion that were intended to help identify hazardous secondary
material that is legitimate
[[Page 1751]]
recycled and not discarded, and adds conditions that address the
regulatory gaps identified in the 2011 DSW proposal.
XVI. Major Comments on the Remanufacturing Exclusion
A. List of Eligible Solvents
In the July 2011 DSW proposal, EPA requested comments on excluding
18 spent solvents when they are remanufactured back into higher value
commercial-grade solvents under the conditions of the exclusion. The
solvents were: Toluene, xylenes, ethylbenzene, 1,2,4-trimethylbenzene,
chlorobenzene, n-hexane, cyclohexane, methyl tert-butyl ether,
acetonitrile, chloroform, chloromethane, dichloromethane, methyl
isobutyl ketone, N,N-dimethylformamide, tetrahydrofuran, n-butyl
alcohol, ethanol, and methanol. EPA chose these 18 spent solvent
chemicals to limit the exclusion to higher-value materials and
processes that resemble manufacturing more than waste management. EPA
also requested comment on whether there are other solvents, chemicals
or other types of hazardous secondary materials that should be included
in the remanufacturing exclusion. In particular, EPA requested comments
on opportunities for remanufacturing other types of non-renewable
hazardous secondary materials, such as metal catalysts or other types
of metal-bearing hazardous secondary materials.
Comments: List of Eligible Solvents
Many commenters supported the current list of spent solvents and
did not support expanding the list in any way. These commenters
cautioned against expanding the list of chemicals until EPA could
determine the effectiveness of this exclusion. Several other comments
did not focus on adding solvents or other hazardous secondary
materials, but focused on the toxicity or market structure of the 18
listed spent solvents. One commenter questioned the claim of ``higher-
value'' for chloroform, chloromethane, ethyl benzene, xylene, methanol
and MTBE. Another commenter stated they no longer use many of the 18
listed spent solvents because the solvents are defined as a toxic
substance and a hazardous air pollutant under other environmental
statutes. The commenter continued by saying that members of their
association now use more ``environmentally friendly'' solvents.
The remaining commenters discussed adding solvents or other
hazardous secondary materials. Some commenters suggested expanding the
solvent list to include benzene, acetone, isopropyl alcohol, or all
solvents used in reactors, extractors, purifiers or blending equipment
in pharmaceutical, organic, chemical, or plastics and resins
manufacturing. Finally other commenters suggested adding additional
hazardous secondary materials that were not solvents. The hazardous
secondary materials suggested for addition were metal-bearing hazardous
secondary material, F006 and spent hydroprocessing catalysts.
EPA's Response: List of Eligible Solvents
EPA agrees with those commenters who supported the remanufacturing
exclusion and limiting it to the list of 18 spent solvents, at least at
this point in time. EPA determined that these 18 spent solvents are
good candidates for remanufacturing because they are used in large
volumes as processing aids and because there are existing markets for
all these solvents to be remanufactured to serve similar purposes to
those of the original commercial-grade materials. EPA does not agree
with comments that suggested adding chemicals to the list, but did not
provide specific data or information that would lead the Agency to add
these chemicals to the list at this point in time. While EPA may expand
the list of eligible hazardous secondary materials for the
remanufacturing exclusion based on additional data (see section VII of
this preamble), the currently available information only supports the
inclusion of the proposed list of 18 spent solvents.
EPA disagrees with those commenters who did not support including
many of the identified solvents on the list because of their toxicity.
In the 2011 DSW proposal, EPA acknowledged that the eligible solvents
have suspected or recognized hazardous health effects associated with
their manufacture, processing, and use.\46\ Although EPA and industry
have been working to find substitutes for the more hazardous of these
solvents, or find ways to use less of them, this has not yet been
widely achieved.47 48 With respect to the pharmaceutical
sector in particular, complex chemical processes already registered
with the Food and Drug Administration are involved, and EPA has found
this a very challenging area to address in terms of chemical
substitution and process changes. In addition, some of these solvents
are building blocks and primary intermediate chemicals, making them
difficult to replace. Until lower-risk substitutes for these solvents
are found, it is helpful from a health risk standpoint to minimize the
volume of solvents manufactured and to limit exposure to those already
manufactured. This is something that the remanufacturing exclusion can
achieve.
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\46\ Allen, D., Shonnard, D., Green Engineering: Environmentally
Conscious Design of Chemical Processes, Risk Concepts, chapter 2,
pgs 35-62, Austin, S., U.S. EPA Editor, Published by Prentice-Hall,
2001.
\47\ For information on U.S. EPA's Green Chemistry Program, see
https://www.epa.gov/gcc/.
\48\ Information on the American Chemical Society's Green
Chemistry Institute's Pharmaceutical Roundtable is available via the
ACS Web site https://portal.acs.org/portal/acs/corg/content.
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B. List of Eligible Industry Sectors
Under the 2011 DSW proposal, EPA identified the operations of four
manufacturing sectors as candidates for the remanufacturing exclusion.
The eligible sectors were pharmaceutical manufacturing (NAICS 325412),
basic organic chemical manufacturing (NAICS 325199), plastics and
resins manufacturing (NAICS 325211), and the paints and coatings
manufacturing sector (NAICS 325510). These four sectors were selected
because their primary business is manufacturing rather than waste
management. Furthermore, these sectors are closely associated with the
chemical functions identified in the remanufacturing exclusion and
currently use a high volume of the solvents identified for the
functional purposes included in this exclusion. EPA also asked for
comment on whether there were other industry sectors that should be
included in the remanufacturing exclusion.
Comments: List of Eligible Industry Sectors
Several commenters suggested specific industries for EPA to add to
the remanufacturing exclusion. The suggested industries were K061
recyclers, the biofuels sector, recyclers with a part B permit like
Safety-Kleen, petroleum refineries (NAICS 324110), petrochemical
manufacturers (NAICS 325110), synthetic rubber manufacturers (NAICS
325212), fiber glass manufacturers, and electronic manufacturers. K061
recyclers and the biofuels sector were suggested due to their active
markets and potential impacts on the environment if hazardous secondary
materials were managed improperly. Companies, such as Safety-Kleen,
with a part B permit, were suggested because these recyclers encourage
sustainable materials management through remanufacturing. Petroleum
refineries (NAICS 324110), petrochemical manufacturers (NAICS 325110)
and synthetic rubber
[[Page 1752]]
manufacturers (NAICS 325212) were suggested due to their significant
generation of spent solvents. The commenter believed these industry
sectors' spent solvents should be eligible just like the solvents from
the proposed industry sectors. Another commenter suggested adding fiber
glass manufacturers because they operate refractory recycling programs
and refractories are higher-value hazardous secondary materials.
Finally, the electronics sector was recommended for its recycling of
precious metals.
EPA's Response: List of Eligible Industry Sectors
EPA acknowledges that the industry sectors that were nominated for
inclusion in the remanufacturing exclusion participate in recycling
activities; however, these sectors' recycling activities do not include
the types of practices or functions that were within the scope of the
remanufacturing exclusion. Under the remanufacturing exclusion, a
manufacturer may send their hazardous secondary material to another
manufacturer, from one of the permissible industry sectors, provided
that the remanufacturer uses the hazardous secondary material in one of
the four permissible functions. The commenters all suggested industries
that send their hazardous secondary materials to a third party, who is
not necessarily a manufacturer, but a facility that would recover the
solvent or other hazardous secondary material and who would then sell
the recycled product to another person.
As discussed in the market forces study, it is generally in the
best interest of commercial third party recyclers to maximize the
amount of hazardous secondary material they can accept to increase
profits. This market structure creates a perverse market incentive to
over-accumulate hazardous secondary materials, which can result in
discard, which the remanufacturing exclusion seeks to avoid. In
contrast, the market forces study shows that facilities engaged in
industrial intra-company recycling, where companies generate hazardous
secondary materials as by-products of their main production processes
and recycle the hazardous secondary materials used in production, have
more flexibility in waste management decisions than a commercial
recycler does. When a commercial recycler's primary or entire income is
from accepting hazardous secondary materials for recycling and selling
recycled products, there is no economic alternative if the market
crashes to stay in business unless the company can afford the cost of a
hazardous waste management permit and the cost of becoming a hazardous
waste disposal facility. Remanufacturers, on the other hand, as a type
of intra-industry recycler, profit primarily from the sale of their
product and can switch their inputs between raw materials and hazardous
secondary materials if market conditions shift.
It is also not clear that the suggested industry sectors will know
what function their hazardous secondary materials will be used for
after remanufacturing. As discussed previously, the remanufacturing
exclusion encourages higher-value materials to be remanufactured and
then used in high-value processes again. Furthermore, this exclusion
focuses on the functions of aiding chemical manufacturing and
processing because the solvents performing these functions retain their
original physical and chemical properties. In these functions, the
solvents are not contaminated by substances, such as inks and greases,
which are difficult to separate, but only mixed with pure product
ingredients, from which they can be separated readily in a commercially
feasible manner. Unfortunately, the suggested industry sectors provided
by commenters do not appear to coincide with the intent of
remanufacturing hazardous secondary materials that retain their
original physical and chemical properties. Therefore, these additional
sectors will not be included in the remanufacturing exclusion.
However, EPA notes that these sectors would be eligible to
participate in the verified recycler exclusion (40 CFR 261.4(a)(24)) if
they meet the conditions of that exclusion.
C. Regulatory Language
In the July 2011 DSW proposal, EPA did not specifically include
regulatory language for the remanufacturing exclusion, but EPA did
include a streamlined version of the scope, applicability and
conditions of the exclusion followed by a very detailed explanation of
the exclusion that included the reasoning for each condition.
Comments: Regulatory Language
Many commenters said they were unable to comment on the
remanufacturing exclusion because there was no regulatory language
included in the proposal. Almost all commenters supported the concept
of the remanufacturing exclusion, but requested that EPA re-propose the
remanufacturing exclusion in a separate rulemaking with regulatory
text, so commenters could accurately comment on the exclusion.
EPA's Response: Regulatory Language
The preamble language discussing the remanufacturing exclusion
contained adequate detail and information to allow comment on the
proposed remanufacturing exclusion. In the July 2011 DSW proposal, the
remanufacturing exclusion was presented in a narrative form that
closely resembles the regulatory language being finalized today. The
proposed rule also included a large amount of detail on the scope,
applicability, and conditions of the remanufacturing exclusion. The
proposal laid out exactly what solvents, industry sectors, and chemical
functions were permissible in the remanufacturing exclusion. The
proposal then clearly stated what was required for the notification,
remanufacturing plan, records of shipments and confirmations of
receipts, tanks and container management standards and the speculative
accumulation requirement. EPA has determined that between the narrative
and detailed explanation of the remanufacturing exclusion, commenters
were provided more than enough information to comment on the
remanufacturing exclusion, and thus, we are finalizing it in today's
final rule.
XVII. Major Comments on Legitimacy
A. Codifying Legitimacy for All Recycling
Comments: Codification of Legitimacy
Comments from industry across the board (including waste management
companies) vehemently opposed codifying the legitimacy provision at
Sec. 260.43 for the pre-2008 recycling exclusions and exemptions,
arguing that this action, combined with making factor 3 and factor 4
mandatory, is a drastic change in policy and likely will end much of
the current recycling that is occurring under RCRA. Industry commenters
argued that this would be a huge administrative burden with little
environmental benefit and that recycling has been taking place under
these exclusions largely without problems for many years. Some industry
commenters expressed their opinion that the codified legitimacy factors
are significantly different than EPA's existing legitimacy policy and
therefore, the legitimacy analysis that would have to be undertaken is
not substantively the same. Other commenters opined that applying the
codified legitimacy standard to the pre-2008 exclusions and exemptions
would function as a disincentive to recycling by adding
[[Page 1753]]
paperwork burden and increasing compliance difficulties, especially for
generators who would be exposed to potential RCRA enforcement due to
subsequent noncompliance by the recycler. One commenter stated that
inspectors could miss the more obvious cases of sham recycling because
Agency resources would be expended in reviewing the large amount of
required documentation and inspecting the more frequently used pre-
existing exclusions, such as the use/reuse exclusion in 261.2(e) and
the closed loop recycling exclusion in 261.4(a)(8) to the detriment of
investigating other potentially more problematic recycling.
Many of the specific industry commenters on this issue were scrap
metal recyclers who argued that although they have been legitimately
recycling for decades, expecting them to prove that their recycling
operations were legitimate for the first time would be prohibitively
expensive, time-consuming and unworkable. The scrap metal recycling
industry had particular issues with factor 4 as drafted in the 2011 DSW
proposal and had many questions on how to do the comparable
demonstration.
With respect to the states, a number of states were supportive of
codifying one legitimacy standard for all hazardous secondary material
recycling activities. They argued that codifying the legitimacy
provision would give industry and states a definitive standard to
evaluate recycling and that industries operating under the pre-2008
recycling exclusions and exemptions should not have any problems
documenting compliance with the legitimate recycling provision of Sec.
260.43, if their recycling is truly legitimate. On the other hand, a
number of states, the Association of State and Territorial Solid Waste
Management Officials (ASTSWMO), and the Northeast Waste Management
Officials' Association (NEWMOA) all expressed concerns over applying
the codified legitimacy standard to certain long-standing recycling
exclusions, including lead-acid batteries, circuit boards, scrap metal,
and closed loop recycling, with one state arguing that this additional
regulatory burden was not necessary for the 2008 pre-existing
exclusions and exemptions.
Several environmental and community organizations supported
codification of the legitimate recycling provision for all hazardous
secondary materials recycling, but did not provide a detailed
explanation of their position. In addition, whereas one environmental
organization acknowledged that EPA did not solicit comment on the
elimination of these exclusions, this organization stated that they
believed a re-examination of all of the exclusions by the Agency,
including the pre-2008 exclusions and exemptions should be conducted as
soon as possible.
EPA's Response: Codification of Legitimacy
In response to the many comments that were submitted, the Agency is
making a number of changes to the 2011 DSW proposal. Specifically, EPA
is codifying a general statement in Sec. 261.2(g) that makes it clear
that a hazardous secondary material found to be sham recycled is
discarded and thus, is a solid waste. However, we are not codifying a
reference to the legitimacy provisions at 40 CFR 260.43 in each of the
pre-2008 recycling exclusions/exemptions, as we proposed to do in the
2011 DSW proposal. On further reflection, we have determined that the
sham recycling prohibition in Sec. 261.2(g) more clearly defines the
Agency's view on legitimate recycling and the pre-2008 recycling
exclusions and exemptions. We also agree with those commenters who
pointed out that we generally looked at the legitimacy of the recycling
activity when we promulgated the material-specific or industry-specific
exclusions and, therefore, we are not requiring facilities to revisit
past legitimacy determinations. However, by codifying a prohibition on
sham recycling that applies to all hazardous secondary materials being
recycled, we are confirming that we expect anyone operating under a
recycling exclusion or exemption to do so legitimately. (As we discuss
later in this section and in section VIII, the Agency also has made a
number of other revisions to the legitimacy standard to address the
concerns raised in the comments.)
Comments: Effect on Existing Legitimacy Determinations
Many industry commenters argued that EPA or the states have already
made legitimate recycling determinations for their specific recyclable
materials. Some commenters also noted that EPA considered legitimacy at
the time their material-specific exclusion was promulgated and had
already made legitimacy determinations for those recyclable materials
(e.g., the zinc fertilizer exclusion, precious metal exclusion, etc.).
These commenters also argued that as part of rulemaking for the
material-specific exclusions, the Agency had determined what conditions
were necessary to ensure legitimacy. Some argued that overlaying the
general legitimacy factors on the 2008 pre-existing conditional
exclusions and exemptions is unnecessary and duplicative and would
create significant disincentives to recycling.
EPA's Response: Effect on Current Legitimacy Determinations
In response to the concerns expressed that the codified legitimacy
factors would lead to practices previously considered legitimate now
being considered sham operations, in general, the Agency is clarifying
that it does not intend for the current recycling legitimacy
determinations to change due to the codification of the legitimacy
factors. We consider the factors we are finalizing today to be
consistent with the criteria in the Lowrance Memo and previous preamble
statements on legitimate recycling. Therefore, we generally do not
anticipate that implementing agencies will revisit past legitimacy
determinations. If recycling was considered legitimate under the
Lowrance Memo, its status should not change as a result of today's
rule. To make its intent more clear, the Agency is codifying a
prohibition against sham recycling in Sec. 261.2(g) instead of adding
a provision in each of the pre-2008 exclusions and exemptions referring
to the legitimacy provision in Sec. 260.43. This codification will
give implementing agencies a clear regulatory statement that can be
used to enforce against sham recyclers, yet not require the vast
majority of recyclers that are performing legitimate recycling under
the pre-2008 exclusions and exemptions to revisit previously-made
legitimacy determinations.
Any existing legitimate recycling determination should not change
due to the codification of the legitimacy factors. In addition,
examples that were provided in the public comments helped inform our
decision-making and led us to revise factor 4 significantly to address
this issue. The final regulatory text is consistent with the pre-
existing legitimacy guidance and the manner in which legitimacy
determinations have been made by the EPA Regions and authorized states.
Thus, we do not expect implementing agencies to revisit past legitimacy
determinations.
Regarding the existing exclusions and exemptions in the
regulations, EPA acknowledges that, in establishing a specific
exclusion or exemption, we have already determined in the rulemaking
record that the specific recycling practice is excluded from the
definition of solid waste provided all the conditions of the rule are
met. However, the Agency has always enforced its rules on the basis
that any recycling must be legitimate (See U.S. v.
[[Page 1754]]
Self, 2 F.3d 1071, 1079 (10th Cir. 1993); U.S. v. Marine Shale
Processors, 81 F.3d 1361, 1366 (5th Cir. 1996); Marine Shale Processors
v. EPA, 81 F.3d 1371, 1381-83 (5th Cir. 1996)). This is meant to
prevent a company from claiming to be operating under an existing
exclusion or exemption and simply using that as a way to avoid full
RCRA Subtitle C regulation. Thus, since EPA is not modifying the
existing exclusions and exemptions, there is no change regarding
legitimacy determinations, except that the factors are now codified. A
company's ability to claim a recycling exclusion or exemption has
always depended on the recycling being legitimate.
B. Making All Four Legitimacy Factors Mandatory
Comments: Mandatory Factors
For the most part, states commenting on this part of the proposal
supported all the legitimacy factors being mandatory (the exceptions
being Tennessee and Louisiana), although several states went on to say
that they either opposed the petition process or are concerned about it
for the following reasons: (1) The resources necessary for addressing
incoming petitions, (2) the possibility of using the petition process
as a potential backdoor out of legitimacy, and/or (3) the potential for
the petition process to lead to inconsistencies among states on
legitimacy determinations. Most states have supported making all four
factors mandatory in past proposals and continue to do so here, arguing
that codifying the legitimacy factors in the rule (instead of only in
rule preamble and in policy documents) will provide clearer instruction
to the regulated community and will strengthen the ability of state
programs to enforce the criteria in situations where recycling is not
legitimate. This, the states claim, will reduce the potential risk to
human health and the environment from mismanagement of hazardous
secondary materials and from elevated concentrations of contaminants in
recycled products. They also argue that making all four factors
mandatory will remove a serious flaw in the enforceability of
legitimacy. Other commenters noted that requiring all four legitimacy
factors to be met is critical to ensure reclamation is being conducted
at a qualified facility and to minimize the potential for creation of
future damage cases. Most states found it hard to conceive of a
legitimate recycler that would not be able to satisfy all four factors.
Although some commenters representing the hazardous waste recycling
industry did support making all the factors mandatory, the majority of
industry commenters did not support this provision. Those commenters
who did support a requirement that all four factors be met argued that
this structure would be fairer and more enforceable. On the other hand,
many of the commenters that argued against making all factors mandatory
stated that this would discourage much of the current recycling and
would be too hard to meet. Commenters particularly singled out factor 4
(toxics along for the ride) as problematic for implementation.
Specifically, we got comments from multiple members of the mining and
mineral processing industry arguing that factor 4 is not applicable to
their industry and from scrap metal recyclers asking how factor 4 would
apply at their facilities.
Many commenters also argued that the petition process was not an
adequate mechanism for those processes that do not meet all four
factors because there will be too many petitions for the states and EPA
to be able to process and because shutting down recycling operations
during the time spent waiting for petitions to be processed would be
very expensive and wasteful.
Another important consideration is what the Agency has learned
since implementing the 2008 DSW final rule, which finalized the
legitimacy factors as a condition of the generator-controlled and
transfer-based exclusions, with two factors that are mandatory and two
factors that must be considered. Since that rule became effective, the
Agency has become aware of a misconception regarding the ``to be
considered'' factors. It has become clear that some industry
stakeholders believe those factors to be less important, stating that
they are optional or even can be ignored. This was not the Agency's
intention at all. The Agency tried to make it clear that they must be
considered and could, in fact, indicate sham recycling on their own.
However, through public comment and stakeholder meetings, we have
repeatedly heard that industry views these factors as optional.
Another argument against making all the factors mandatory
requirements is that the overall determination is made on a case-by-
case basis, which is often facility-specific, and not all legitimate
recycling can fit into such a rigid system. Commenters argue that
making all four factors mandatory removes the flexibility necessary for
the broad universe of hazardous secondary materials being recycled.
EPA's Response: Mandatory Factors
After much consideration and review of the public comments, the
Agency has decided to make all four legitimacy factors mandatory with
adjustments to the factors themselves to account for the variability
and diversity of legitimate hazardous secondary material recycling. As
explained above in sections VIII.B.5 and VIII.B.6, we have adjusted the
regulatory language of factor 4 to build in more flexibility for
meeting this factor,\49\ but are also making it clear in the regulatory
language that it is important that each factor be met, except as
otherwise noted.\50\ Since finalizing the legitimacy factors in the
2008 DSW final rule, our experience with implementation has made us
realize the importance of requiring all factors be met. Even though we
stressed the importance of considering each factor in the 2008 DSW
final rule, many of the stakeholders are under the misimpression that
the factors that were to be considered could actually be ignored. We
did not mean to give the impression that factor 3 and factor 4 were
optional and thus, have decided that the best way to give the proper
weight to these factors is to make them mandatory with additional
flexibility to address the various recycling scenarios.
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\49\ In addition, we are also finalizing in the regulatory
language the additional flexibility that was proposed in factor 3 to
the legitimacy provision.
\50\ As we discuss in Section VIII.B.6.c, the Agency has
included a self-implementing process that would allow the person
performing the recycling to document, certify, and notify the
appropriate Regional Administrator that even though the hazardous
secondary material does not meet factor 4, the recycling is still
considered legitimate.
---------------------------------------------------------------------------
In addition, instead of a petition process for those legitimate
recycling scenarios that don't meet factor 4, we are finalizing a
documentation, certification, and notification process. We continue to
find that legitimacy determinations are best made on a case-by-case
basis, which has always been the case, with the facts of a specific
recycling situation in hand. If a person has any questions as to the
legitimacy of a particular recycling activity, he can always approach
the appropriate regulatory agency for assistance in making a legitimacy
determination.
C. Documentation of Legitimate Recycling
When the Agency codified the legitimacy standard in the 2008 DSW
final rule, we did not require specific documentation regarding the
legitimate recycling determination. In the 2011 DSW proposal, in
addition to proposing that the legitimacy standard apply to all
[[Page 1755]]
hazardous secondary material recycling and that all four legitimacy
factors must be met, EPA proposed a new documentation requirement for
persons performing the recycling. We proposed that the recyclers
include a narrative description of how their hazardous secondary
materials are legitimately recycled and that this documentation be
maintained on-site for the duration of the recycling operations and for
three years after the recycling operations cease. However, as explained
above in section VIII.C.2, we are only finalizing the requirement to
document a legitimate recycling determination for those recyclers
operating under the generator-controlled exclusion and for those
recyclers that are legitimately recycling, but do not meet factor 4--
that is, they must document why the recycling operation is legitimate
even if they do not meet factor 4.
Comments: Documentation
ASTSWMO, NEWMOA, and most other states supported requiring
documentation of legitimate recycling for both the generator and
recycler (with exceptions noted in their comments about certain long-
standing recycling exclusions and exemptions, including lead-acid
batteries, circuit boards, scrap metal, and closed loop recycling).
Most state environmental agencies cited the ability to implement and
enforce the RCRA recycling program as the primary reason why
documentation is needed. However, a few states did not support
requiring documentation for any of the pre-2008 recycling exclusions
and exemptions. One state agreed that some documentation may be
necessary for inspections, but also stated that common business records
would likely suffice in most cases. An environmental organization
coalition suggested we provide a consistent format and require
documentation of both generators and recyclers. Industry generally
opposed the documentation requirement and felt that it would pose
significant practical challenges, especially for factor 4. Some
industry commenters felt that ``up-front'' documentation is not
necessary since EPA can rely on Sec. 261.2(f) for documentation. Other
commenters argued that for companies that rely heavily on the existing
exclusions and exemptions, it would be easy to inadvertently miss
documenting every instance (i.e., closed loop recycling) and the
consequences could be severe. In fact, one industry association argued
that documentation may actually cause more non-compliance due to the
huge administrative burden, especially for large facilities that
utilize many of the recycling exclusions and that the voluminous
paperwork could result in inspectors missing more obvious sham
recycling.
Other commenters objected to any recordkeeping requirements
documenting that a recycling activity is legitimate, arguing the policy
is not new so, therefore, no new documentation should be required. They
argued that since EPA already believes most recycling is legitimate,
requiring documentation for all recycling is overly burdensome,
expensive, and not necessary. Some industry commenters argued that EPA
offered no evidence in the record that documenting the legitimacy of a
recycling practice would have any additional environmental benefit. A
few commenters asserted that requiring documentation for all recycling
might actually cause more non-compliance, especially for the more
frequently used recycling exclusions, such as the use/reuse and closed-
loop recycling exclusions.
Finally, there was ample confusion in the comments on who would be
required to put together and provide the documentation. The Agency
proposed that the requirement would apply to the ``persons performing
the recycling.'' That is, if the generator sent his hazardous secondary
materials off-site to a recycler, then the recycler would be the one
responsible for maintaining the documentation. If, on the other hand,
the generator recycled his hazardous secondary materials on-site, then
the generator would be responsible for documenting that the recycling
activity was legitimate. However, some commenters still expressed
confusion over who would be responsible for the documentation.
EPA's Response: Documentation
As discussed previously, the Agency has determined that, for
purposes of the existing pre-2008 recycling exclusions and exemptions,
documentation is not required, unless the facility has determined it is
legitimately recycling, but does not meet Factor 4. In the vast
majority of cases, recycling under the existing exclusions is
legitimate and documentation is not necessary. The Agency has
previously acknowledged the legitimacy of these recycling practices
when it first promulgated the material-specific and industry-specific
exclusions and exemptions, when at that time it took into consideration
the legitimacy of the recycling practices. After review of the public
comment, the Agency has determined that routine documentation of
legitimacy is an unnecessary burden for persons legitimately recycling
under the pre-2008 recycling exclusions and exemptions.
However, the Agency is requiring documentation on legitimacy
determinations under two circumstances: (1) Persons operating under the
generator-controlled exclusion originally finalized in the 2008 DSW
final rule, and (2) persons legitimately recycling under any recycling
exclusion or exemption where the hazardous constituents in the recycled
products are not comparable or are unable to be compared to those in
analogous products (unless the recycled product meets widely recognized
commodity specifications or the hazardous secondary material is
returned to the production process). In these cases, the persons
recycling would be required to keep documentation of the legitimacy of
their recycling.
Specifically, the Agency has determined that requiring
documentation under the generator-controlled exclusion is appropriate
because this exclusion is generic and can be used by a wide variety of
industries recycling any of a number of hazardous secondary materials.
In addition, as explained above in section VIII.B.6.c, the Agency has
also determined that documentation is necessary for those rare cases of
legitimate recycling that has significantly higher levels of hazardous
constituents in the recycled product than in an analogous product, or
has no analogous product, has no widely-recognized commodity
specifications for the recycled product, and is not returned to the
production process. In those cases, due to the self-implementing nature
of the legitimacy determinations, it is important that the recycler
perform the proper assessment and document how the recycling is still
legitimate.
Finally we would note that 40 CFR 261.2(f) applies whenever a
person is claiming that a hazardous secondary material is not a solid
waste, which oftentimes is because the material is being recycled.
Section 261.2(f) states that, in the context of an enforcement action
to implement Subtitle C of RCRA, a person claiming that a material is
not a solid waste or is conditionally exempt from regulation is
responsible for showing that they meet the terms of the exclusion or
exemption and must provide appropriate documentation to show why they
are eligible. For the legitimacy requirement finalized today, under
Sec. 261.2(f), in the event of an enforcement action, persons claiming
that their recycling activity is legitimate would have the burden to
provide documentation showing how the
[[Page 1756]]
recycling meets all four factors, except as otherwise noted. That is,
they would need to show how the recyclable hazardous secondary
materials provide a useful contribution to the recycling process and
are stored as valuable commodities, and how the product of the
recycling activity is valuable and comparable to a legitimate product.
D. Factor 3: Language and Implementation
Comments: Factor 3
Many commenters supported the regulatory language revisions to
factor 3, particularly the following additional italicized language:
``Where there is an analogous raw material, the hazardous secondary
material, must be managed, at a minimum, in a manner consistent with
the management of the raw material or in an equally protective
manner.'' Some commenters argued, however, that the real change to
factor 3 was the proposed revision to the contained standard because
the second part of factor 3 reads: ``Where there is no analogous raw
material, the hazardous secondary material must be contained.'' These
commenters expressed concern that by making factor 3 mandatory and by
revising the contained definition, the Agency was in effect making
factor 3 more stringent.
EPA's Response: Factor 3
The Agency disagrees with the comments that the revised contained
standard is more stringent and thus, results in a more stringent factor
3. First, as noted by the commenters, the contained standard only
applies in cases where there is no analogous raw material to compare
the management of the hazardous secondary material to. More
importantly, however, as explained in more detail is section V, while
the revised contained standard is more clear and more definitive, it is
not more stringent, but is consistent with the contained standard
previously discussed and described in the preamble to the 2008 DSW
final rule. Thus, EPA finds that overall the revisions to factor 3 are
reasonable and consistent with the Agency's previous positions on
legitimacy. Therefore, the Agency is finalizing the regulatory language
for factor 3 as proposed and has determined the added flexibility will
allow existing legitimate recycling to continue without any negative
impact on environmental protection.
E. Factor 4: Language and Implementation
In the 2011 DSW proposal, EPA proposed to change the wording within
the regulatory language for factor 4 from ``significant'' and
``significantly elevated'' to ``comparable to or lower than'' and
explained that this language more clearly reflects the intent of this
factor. In addition to this language change, other proposed changes to
the legitimacy provision impact the design and implementation of factor
4. The proposal to make all four legitimacy factors mandatory led many
commenters to discuss specific concerns they had about factor 4 and
what problems they would have meeting the factor as it was proposed. In
this section, EPA examines some of those comments, as well as provides
the Agency's responses and the changes that were made to the proposal
in this final rule to make factor 4 more workable.
In concert with many of the comments about the difficulties of
meeting the proposed factor 4, EPA also received many comments about
its proposed petition process for when a recycling process does not
meet either factor 3 or factor 4. EPA is thus, also addressing those
comments in this section of the preamble because the documentation,
certification and notification process that will be replacing the
proposed petition process is found within factor 4 of the legitimacy
provision.
Comments: ``Comparable''
EPA's proposal to change the language within factor 4 that
describes the comparison of levels of contaminants between products
made from recycling of hazardous secondary materials and products using
raw materials was supported by most of the states that commented on
factor 4 and opposed by many of the industry commenters. The states
that supported the change stated that the term ``comparable'' is better
because it is more specific, though several of these commenters also
asked for further guidance on the language.
Industry commenters who opposed this change to factor 4 stated that
there was not a good reason in the preamble for the change in the
language and that they do not think that ``comparable'' means the same
thing as ``not significantly higher,'' arguing that if the terms mean
the same thing there was no reason for EPA to change them. Several
commenters argued that this change in language makes the factor more
stringent and/or less flexible.
EPA's Response: ``Comparable''
EPA is finalizing the proposed language in this factor and using
the term ``comparable'' in discussing levels of hazardous constituents.
This term means any contaminants present in the product made from
hazardous secondary materials are present at levels comparable to or
lower than the levels in the analogous product, although levels can be
slightly higher than those found in the analogous product, but must be
within a small acceptable range. This change in language is not a
change from its long-standing policy and it is also consistent with the
legitimacy provisions in the Identification of Non-Hazardous Secondary
Materials that are Solid Wastes final rule (76 FR 15456, March 21,
2011).
In response to comments requesting further guidance and those that
state that this language change is making factor 4 too stringent, first
we have repeated in section VIII of the preamble the examples that we
included in the 2008 DSW final rule which explains how the Agency
envisions this factor working. Moreover, the additional changes that it
made to factor 4 in this final rule, describing several situations
under which a product of a recycling process would be considered
comparable to a legitimate product or intermediate, address both these
concerns. As EPA determined in previous rulemakings, promulgating an
exact numerical cut-off for what would be considered ``comparable'' is
not practicable for the legitimacy provision because it applies to a
wide variety of recycling scenarios. EPA may provide future guidance on
the application of this provision if needed.
Comments: Uncertainty About Compliance
Many of the comments that EPA received from industry regarding
factor 4 stated that facilities are concerned about this factor,
particularly if it were to become mandatory, because it would be
difficult to determine if a given recycling process is in compliance.
Many of these commenters stated the high cost of testing for 40 CFR
part 261 Appendix VIII constituents as one of their concerns.
EPA's Response: Uncertainty About Compliance
First, we are reiterating in this final rule that testing of the
recycled product is generally not required under factor 4 of
legitimacy. A generator can use its knowledge of the materials it uses
and of the recycling process to make legitimacy determinations,
although they may choose to test if they are uncertain if the product
from their hazardous secondary materials contains elevated levels of
hazardous constituents when compared to non-recycled products. In
addition, factor 4
[[Page 1757]]
as finalized today presents no greater compliance issues than it would
under the 2008 DSW final rule, because under the 2008 legitimacy
definition, a facility still had to consider the hazardous constituents
in Appendix VIII of part 261 in determining whether factor 4 is met,
and be able to demonstrate why recycling was still legitimate even if
it was not met. Furthermore, as we have noted elsewhere, we have made
certain revisions to factor 4, in response to comments, for facilities
to determine that they are in compliance with this factor.
Specifically, the provisions in Sec. 260.43(a)(4) state that products
that meet widely recognized commodity standards and specifications
would be considered comparable and meet factor 4 and hazardous
secondary materials that are recycled back into the original generating
process would be considered comparable and also meet factor 4, which is
intended to make compliance with factor 4 simpler across many of the
industries in which much industrial recycling takes place.
Comments: No Analogous Product To Compare
Many of the comments regarding factor 4, including many of the
examples that were sent in to describe the difficulties of complying
with factor 4, described recycling situations in which there is no
analogous product and argued that it would be very difficult to meet
the proposed factor 4 in a situation where there is no analogous
product.
EPA's Response: No Analogous Product To Compare
After examining the comments submitted, including the examples
provided, EPA agrees with the commenters that the design of proposed
factor 4 did not adequately take into consideration recycling scenarios
that either always includes some form of recycled hazardous secondary
material or that would be considered closed loop recycling. As a result
of these comments, EPA modified the structure of factor 4 to include
provisions specifically for the situation where there are no analogous
products, (found in Sec. 260.43(a)(4)(ii)). The finalized provisions
state that when there is no analogous product, the product of the
recycling process is comparable to a legitimate product or intermediate
when the product is a commodity meeting widely recognized commodity
standards and specifications or when the hazardous secondary materials
being recycling are returned to the original process or processes from
which they were generated.
This change to factor 4 provides the necessary flexibility to those
persons who recycle hazardous secondary materials for which there is
not an analogous product for comparison. However, EPA has also included
a documentation, certification, and notice provision for cases that do
not fit these two scenarios. Under this provision, the recycler can
perform an assessment of the hazardous secondary material and still
determine that its recycling is legitimate despite not meeting factor
4. This finding must be documented and certified by a responsible
facility official and a copy kept on-site for as long as the recycling
continues, and for 3 years after the recycling operations cease. Also,
a notice of this finding must be sent to the appropriate Regional
Administrator (or State Director, in an authorized state), using the
Site ID form.
Comments: Petition Process
As stated above in this section, many commenters argued that the
petition process was not an adequate mechanism for relief for those
processes that do not meet all four factors and therefore, they opposed
the proposed petition process. They argued that there would be too many
petitions for the states and EPA to process efficiently, which could
result in shutting down recycling operations during the time spent
waiting for petitions to be processed, which would be very expensive
and wasteful. States were particularly concerned about the amount of
resources that would be needed to process the incoming petitions.
EPA's Response: Petition Process
In response to the arguments presented by the commenters in
opposition to the petition process and the concerns with how
implementation of the petition process could impact recycling, EPA is
not finalizing the petition process in this final rule. Instead, EPA
has made two changes to its proposal to account for the situations that
the petition process was meant to cover. The first is the additional
provisions in factor 4 (already discussed above in this section) that
describe the specific situations in which EPA considers a product of a
recycling process to be comparable to an analogous product or
intermediate. The second is the documentation, certification, and
notice provision for products that have levels of hazardous
constituents that are not comparable to or lower than an analogous
product or intermediate or that are unable to be compared, but which
are not covered by the new provisions.
Under the documentation, certification, and notice process, a
recycler must determine that its recycling is still legitimate despite
the levels of hazardous constituents in the recycled product not being
comparable to those in an analogous product or intermediate. This
determination can take into account exposure of toxics in the product,
bioavailability of toxics in the product or other relevant
considerations that show the recycled product does not contain levels
of hazardous constituents that pose a risk to human health or the
environment. The facility then must prepare documentation explaining
its assessment and include a certification that the recycling is
legitimate. In addition, the facility would need to notify the
appropriate Regional Administrator (or State Director, in an authorized
state) of this finding.
This provision is a less burdensome process for both recyclers and
the states implementing the RCRA program because it maintains the self-
implementing nature of the legitimacy requirement. However, because
facilities will still have to provide notice to the regulatory agency,
it also allows implementing agencies to perform oversight and
inspections of recycling facilities if they are concerned about the
legitimacy of a specific recycling process.
XVIII. Major Comments on the Revisions to Solid Waste Variances and
Non-Waste Determinations
In the July 2011 DSW proposed rule, EPA proposed several
modifications to the existing regulations for solid waste variances and
non-waste determinations in 40 CFR 260.31(c), 40 CFR 260.33 and 40 CFR
260.34 to ensure protection of human health and the environment and
foster greater consistency on the part of implementing agencies.
A. Requiring Facilities To Re-Apply for a Variance or Non-Waste
Determination
In the July 2011 DSW proposal, EPA proposed to revise 40 CFR
260.33(c) to require facilities to re-apply for a variance in the event
of a change in circumstances that affects how a material meets the
criteria upon which a solid waste variance has been based, as is
currently required for non-waste determinations. Additionally, EPA
requested comment on whether to require variances and non-waste
determinations to be renewed periodically, and, if so, what time period
would be appropriate (e.g., two or five years as suggested in the
preamble to the 2011 July DSW proposal).
[[Page 1758]]
Comments: Re-Apply for a Variance in the Event of a Change
The majority of commenters supported EPA's proposed change to
require facilities to re-apply for a variance in the event of change in
circumstances that affects how a hazardous secondary material meets the
criteria upon which a solid waste variance has been based. The
commenters believe the change promoted clarity and consistency in the
regulations and that it made sense to ensure the hazardous secondary
materials continued to meet the conditions of the exclusion over time.
Other commenters, however, while supporting such a provision, urged EPA
to require a re-certification rather than a full application process so
as to reduce the burden on states and the regulated community.
A few commenters disagreed with this provision, as they argued that
administrative authorities already use discretion to review changes in
circumstances.
EPA's Response: Re-Apply for a Variance in the Event of a Change
EPA agrees with the majority of commenters that finalizing a
requirement to require facilities to take action in the event of a
change in circumstances will ensure the hazardous secondary material
remains eligible for a variance and continues to meet the variance
criteria over time. EPA also agrees with those commenters that
suggested ways to reduce the administrative burden on states and the
regulated community. Therefore, in today's final rule, EPA is requiring
that, in the event of a change, the facility must send a description of
the change to the regulatory authority and the regulatory authority
will determine whether the facility must re-apply for a variance. This
change in procedure allows both the regulatory authority and regulated
community to avoid spending unnecessary resources where the change in
circumstances is found to be of no consequence to the original variance
that the regulatory authority has granted. EPA notes that re-applying
for a variance should be less burdensome than the initial application
because a facility would only have to update its original application.
EPA disagrees with those commenters who opposed this change on the
basis that regulatory authorities already use discretion to review
changes in circumstances. First, the changes that EPA made to the final
rule would not automatically require a person to re-apply for the
variance, but make the regulatory authority aware of the change so that
an informed decision could be made as to whether the variance is still
appropriate. Moreover, relying on case-by-case discretion to require
notice in the event of a change could allow certain hazardous secondary
materials to remain excluded from regulation under Subtitle C of RCRA,
even though based on the changed circumstances, the variance is no
longer appropriate, and could present a risk to human health and the
environment. It would also contradict the Agency's goal to foster
greater consistency on the part of implementing agencies.
Comments: Periodic Renewal of Variances and Non-Waste Determinations
A number of commenters did not support requiring periodic renewals
of variances and non-waste determinations. Commenters opposed this
change because of the additional burden on both the states and the
regulated community and the fact that this would not be needed if EPA
finalized its proposed change to require a renewal or recertification
in the event of a change. Additionally, some commenters argued that the
administrative authority already has discretion to set renewal
timeframes as a condition of the variance. One commenter argued that
facilities make significant business investments based on regulatory
certainty and, thus, if variances are subject to repeal, this may
prevent investment in recycling activities.
A few commenters, however, supported a renewal requirement and
argued that reapplying in the event of a change is not the same as a
periodic renewal. This commenter argued that the requirement to re-
apply in the event of a change relies almost entirely on the facility
to self-report on a change in circumstances, of which the facility may
have an economic incentive not to do. Other commenters suggested that
generators ``re-certify,'' rather than re-apply, on an annual or
biennial basis that they continue to meet the conditions of a variance
or non-waste determination in order to reduce administrative burden.
EPA's Response: Periodic Renewal of Variances and Non-Waste
Determinations
EPA agrees with the commenters that supported a renewal requirement
for solid waste variances and non-waste determinations. Variances and
non-waste determinations are granted based on case-specific
circumstances of a particular hazardous secondary material being
recycled. Many of the variance and non-waste determination criteria
specifically consider factors such as, the manner in which the
hazardous secondary material is recycled, the market factors of the
recycling process, the value of the hazardous secondary material, and
contractual arrangements. However, these factors are not static and,
instead, change and evolve over time. It is therefore prudent that
regulatory authorities periodically review these case-specific
situations to ensure that the hazardous secondary material continues to
meet the criteria of the variance or non-waste determination.
Therefore, EPA is adding a provision to 40 CFR 260.33(d) that solid
waste variances and non-waste determinations shall be effective for a
fixed term not to exceed 10 years, which is the same term limit for
RCRA hazardous waste permits under 40 CFR 270.50(a).
EPA is establishing a time limit of 10 years (rather than two or
five years, as suggested in the July 2011 proposal) considering the
need to provide regulatory certainty to support business investment, as
well as the fact that 10 years is the same as the duration of RCRA
permits under 40 CFR 270.50(a). The 10-year time frame also ensures
that renewals occur regularly enough in order to evaluate significant
changes in recycling processes, technologies, and market factors that
may affect the terms of a variance or non-waste determination.
EPA disagrees with those commenters who argued that periodic
renewals would not be needed if EPA finalized the proposed change to
require notice in the event of a change in circumstances that affect
how a hazardous secondary material meets the conditions of a variance
or, as currently required for a non-waste determination. As one
commenter noted, the requirement to provide notice in the event of a
change relies on a facility self-reporting that change and thus, this
requirement may not be consistently implemented. A periodic time limit,
in this case 10 years, however, triggers a re-review of the
circumstances without relying on self-reporting by the facility.
Furthermore, EPA disagrees with commenters who opposed this change on
the basis that regulatory authorities already use discretion to review
changes in circumstances. (See response to this comment in EPA's
Response to ``Re-Apply for a Variance in the Event of a Change.)
Regarding the commenter that argued that periodic renewals would
disrupt business investment, EPA finds that a time limit of ten years
(rather than two or five years, as suggested in the
[[Page 1759]]
July 2011 proposal) is a sufficient amount of time to provide
regulatory certainty to support business investment, given that ten
years is the same as the duration of RCRA permits.
B. Requiring Notification for Facilities Operating Under Variances and
Non-Waste Determinations
In the July 2011 DSW proposal, EPA proposed to add a provision
under 40 CFR 260.33 stating that facilities receiving a variance or
non-waste determination must provide notification as required under 40
CFR 260.42. This would require facilities to send a notification prior
to operating under the regulatory provision and by March 1 of each
even-numbered year thereafter to the EPA or the State Director, if the
state was authorized, using EPA Form 8700-12.
Comments: Requiring Notification for Facilities Operating Under
Variances and Non-Waste Determinations
Commenters were split on this issue. Many commenters supported
requiring facilities receiving a solid waste variance or non-waste
determination to submit notifications in compliance with 40 CFR 260.42.
These commenters believed that the notification would provide updated
information about a facility's activities and would enable better
compliance monitoring. These commenters also agreed that notification
would improve transparency, because the notifications could be
available online.
However, many commenters opposed requiring facilities that receive
a variance from being a solid waste or non-waste determination to
submit notifications. These commenters argued that the act of applying
for and receiving a variance or non-waste determination constitutes
adequate notification for regulatory authorities. These commenters also
argued that notification would increase the burden on facilities and
was not necessary if EPA finalized its proposal to require facilities
to re-apply in the event of a change.
EPA's Response: Requiring Notification for Facilities Operating Under
Variances and Non-Waste Determinations
Although EPA recognizes the arguments both for and against
notification, EPA agrees with those commenters who support notification
in order to enable better compliance monitoring and to improve
transparency. Therefore, EPA is finalizing a requirement in 40 CFR
260.33(e) that facilities receiving a variance or non-waste
determination must provide notification as required by 40 CFR 260.42.
This requirement serves to meet EPA's goal to foster greater
consistency on the part of implementing agencies and to help ensure the
proper implementation of the solid waste variances and non-waste
determinations. The intent of the notification is to enable variances
and non-waste determinations to be tracked nationally and over time,
which facilitates state-to-state consistency in determinations.
Additionally, notification enables effective oversight of facilities
receiving solid waste variances and non-waste determinations because it
provides regulatory authorities with a mechanism for receiving
regularly updated information (such as information regarding quantities
of hazardous secondary materials managed under the determination).
Furthermore, this information can be used to identify facilities which
may have undergone changes to their reclamation process significant
enough to trigger a review of the determination under 40 CFR 260.33(c).
EPA does not agree that the solid waste variance or non-waste
determination application itself constitutes adequate notification.
Currently, individual facility applications are not tracked nationally
and there exist no consolidated list of facilities operating under a
solid waste variance or non-waste determination. Notification, using
EPA Form 8700-12, ensures that standard information regarding
facilities receiving solid waste variances and non-waste determinations
can be collected, stored, and used to enable compliance monitoring and
to foster consistency in implementing the regulations.
We also do not agree that the notification requirement is
duplicative of the requirement to send notice in the event of a change
because the two requirements serve different purposes and require
different information. In the event of a change, facilities must send a
description of the change in circumstances to EPA or the authorized
state, who then make an evaluation as to whether a facility should re-
apply for a solid waste variance or non-waste determination. Under 40
CFR 260.42, facilities submit information, such as type and quantity of
hazardous secondary material being managed, using EPA Form 8700-12,
which enables the information to be entered into EPA's database where
it can be accessed by both EPA and state regulatory authorities.
Furthermore, EPA does not agree that notification using EPA Form
8700-12 poses an undue burden. The form is relatively simple to
complete and is currently being used for facilities excluded from the
definition of solid waste under 40 CFR 261.4(a)(23). Additionally, EPA
is currently developing an electronic submission process, which will
further reduce reporting burden.
C. Revisions to the Partial Reclamation Variance
In the July 2011 DSW proposal, EPA proposed to revise the partial
reclamation variance provision of 40 CFR 260.31(c) to clarify when
partially-reclaimed materials are not solid waste because they are
commodity-like. Specifically, EPA proposed to: (1) Revise the
introductory text to clarify when the variance applies; (2) revise the
introductory text to require that all of the decision criteria must be
met; (3) revise the language of all of the decision criteria; and (4)
eliminate the sixth criterion, that is, ``other relevant factors.''
Comments: General Comments on Proposed Changes to Partial Reclamation
Variance
Many commenters supported EPA's proposed changes to the partial
reclamation variance. In fact, two of these commenters argued that
existing variances that do not meet the new criteria should be
rescinded or revised.
A few commenters, however, did not support the proposed changes.
These commenters argued that EPA does not have the record to support
its finding that states are inconsistently and incorrectly applying the
partial reclamation variance criteria and that variances granted by the
states are not protective of human health and the environment.
Additionally, one commenter argued that EPA provided no documentation
for public review to substantiate how EPA intended the variance
criteria to apply when it promulgated the variance in 1985. Another
commenter argued that the proposed changes will restrict recycling.
EPA's Response: General Comments on Proposed Changes to Partial
Reclamation Variance
EPA agrees with commenters who supported the proposed changes. Not
finalizing the proposed revisions to the partial reclamation variance
would only result in a continuation of inconsistency among state
determinations, which in some cases, allow partially-reclaimed
materials to be excluded from the definition of solid waste when they
are
[[Page 1760]]
clearly not commodity-like, but rather hazardous wastes. EPA notes,
however, that the final changes to the partial reclamation variance
criteria only apply to facilities receiving variances after the
effective date of today's rule. The changes are not retroactive and
thus would not apply to facilities currently operating under existing
partial reclamation variances, unless and until the facility's variance
came up for renewal. Thus, the Agency does not agree with those
commenters who suggested that any variance that does not meet the
revised criteria should be rescinded or revised immediately.
EPA estimates that the states have granted between 15 to 20 partial
reclamation variances, including variances granted in Indiana,
Louisiana, Ohio, Oregon, Pennsylvania, Texas and Washington. EPA itself
has also issued a partial reclamation variance to World Resource
Company (WRC) in Arizona. (See list of partial reclamation variances
issues by the states in today's docket.) Some of the partial
reclamation variances were granted as the Agency intended and have
required RCRA Part B storage and treatment permits for the incoming
hazardous waste material. Other states, however, have issued partial
reclamation variances which contradict the intention of the partial
reclamation variance. For example, EPA publicly expressed its
disagreement in a November 18, 2010, letter to Indiana's Department of
Environmental Management (IDEM) concerning the tentative approval of a
facility's request for a partial reclamation variance, a copy of which
is found in today's docket. In our letter, we made clear that we did
not believe IDEM should grant a partial reclamation variance to
incoming hazardous wastes that were not ``sufficiently commodity-like
to qualify for the variance.''
EPA also disagrees with commenters who argued that EPA's record
does not provide adequate basis for how the Agency intended the partial
reclamation variance to operate. In the preamble to the 1985 DSW final
rule (January 4, 1985; 50 FR 655), the Agency made clear that incoming
materials to a partial reclamation facility were hazardous wastes and
that the facility processing these incoming materials must obtain
appropriate RCRA Part B storage and treatment permits. (Furthermore,
these facilities are also subject to biennial reporting under 40 CFR
264.75.) Additionally, the Agency points to the partial reclamation
variance it issued to WRC on August 13, 2002 (67 FR 52617) as a public
example of the how the Agency intended for the partial reclamation
variance to be implemented. In this case, the Agency's partial
reclamation variance to WRC for the partial reclamation of F006
electroplating sludges required WRC to obtain RCRA Part B storage and
treatment permits for the incoming hazardous waste.
In addition, EPA disagrees that the final rule changes will
unnecessarily restrict recycling. Today's changes clarify how the
partial reclamation variance has always been intended to operate; thus,
any recycling that is consequentially restricted from the variance as a
result of the changes was never intended to be excluded from hazardous
waste requirements. EPA maintains that hazardous waste must be managed
under appropriate hazardous waste requirements in order to ensure
protection of human health and the environment.
Comments: Revisions to Introductory Text
Most commenters supported the proposed changes to the introductory
text, including requiring that all criteria must be met and requiring
compliance with the legitimacy criteria in 40 CFR 260.43. One
commenter, while supporting the proposed changes said that EPA should
define vague words such as ``commodity-like,'' ``sufficient economic
value,'' and ``substantial.'' Another commenter said that commodity-
like partially-reclaimed material must be marketable to the general
public, that is, it must be a material that could be marketed to more
than one facility.
Some commenters did not agree that all the criteria must be met.
One commenter argued that this conflicts with EPA's 1985 preamble in
which EPA said the Regional Administrator can weigh factors and may
rely on any or all of them to reach a decision. Additionally, the WRC
variance that EPA issued acknowledged that the partial reclamation
steps being performed were ``not elaborate.'' However, the partial
reclamation involved by WRC was sufficiently substantial to produce a
commodity-like material as verified by contracts, sales, and subsequent
management of the commodity-like material. Other commenters believed
EPA's proposed changes to the introductory text imposed prescriptive
conditions which conflict with the intent of the variance by
restricting the administrative authority's decision-making discretion.
EPA's Response: Revisions to Introductory Text
EPA agrees with those commenters who supported the proposed changes
to the introductory text, including requiring that all criteria must be
met and requiring compliance with the legitimacy factors in 40 CFR
260.43. In response to the one commenter who believed that certain
terms are vague, it is EPA's intent with this final rule to clarify how
the partial reclamation variance should be applied. Although, specific
definitions would be difficult to promulgate given the broad
applicability of the terms, EPA notes that today's preamble discussion
along with today's regulatory revisions to the variance criteria serve
to better define how EPA is using these terms in the partial
reclamation variance, particularly when a material becomes commodity-
like. For example, EPA notes in its preamble that criteria 2-5 define
the fundamental characteristics that indicate whether a partially-
reclaimed material is ``commodity-like.''
Regarding comments that argued against requiring all criteria to be
met, EPA has determined that in order to reduce the inconsistency in
state-to-state partial reclamation variances, the criteria must be made
more prescriptive. Balancing the factors, as was EPA's original
direction in 1985, has resulted in subjective interpretations that
differ across states and which, in some cases, do not align with the
original intent of the partial reclamation variance. EPA finds that
requiring all criteria to be met is a more effective framework for
determining when a partially-reclaimed material is commodity-like and
therefore not a solid waste.
Comments: General Comments on Revisions to Variance Criteria
Many commenters supported the changes to the criteria of the
partial reclamation variance. However, a few commenters disagreed with
inserting the word ``whether'' at the beginning of each criterion
because it implied the criterion was more prescriptive. A few
commenters also argued that EPA's proposed insertion of the word
``partially'' before ``reclaimed'' disregards the fact that EPA has
acknowledged that more than one processing step may be necessary before
the inherent value of a usable product is recovered.
EPA's Response: General Comments on Revisions to Variance Criteria
EPA agrees with the many commenters that supported the proposed
changes to the variance criteria. Regarding EPA's proposed insertion of
the word ``whether'' in each criterion, the intent of this change is to
make the criteria more prescriptive in order to reduce the
inconsistency of
[[Page 1761]]
partial reclamation variance determinations. EPA also disagrees that
adding the word ``partially'' in front of ``reclaimed'' disregards the
fact that EPA has acknowledged that more than one processing step may
be necessary before the inherent value of a usable product is
recovered. EPA recognizes that reclamation of hazardous secondary
materials may involve multiple steps and hazardous waste may be
recycled in any number of steps in accordance with the hazardous waste
regulations. However, EPA maintains that a variance from the definition
of solid waste is appropriate only for partially-reclaimed material
that is commodity-like, as demonstrated by satisfaction of the partial
reclamation criteria.
Comments: Proposed Criterion (1)--Whether the Degree of Partial
Reclamation the Material Has Undergone Is Substantial
For the first proposed criterion, two commenters argued that EPA's
use of ``partial reclamation'' in place of ``processing'' did not
provide additional clarification. Another commenter stated the
criterion should state EPA's intent on 76 FR 44129 and read ``whether
the degree of partial reclamation the material has undergone is
substantial and the material produced is not the original hazardous
waste.'' Other commenters were concerned regarding the term
``substantial,'' because it is subjective and needs a better
definition. These commenters argued that EPA has not provided a
standard regarding when a material is ``no longer the original
hazardous waste.''
EPA's Response: Proposed Criterion (1)--Whether the Degree of Partial
Reclamation the Material Has Undergone Is Substantial
EPA disagrees with those commenters who argued that EPA's use of
``partial reclamation'' in place of ``processing'' did not provide
additional clarification. The term ``processing'' is a broad, general
term that can refer to a number of processes, such as the process used
to generate the hazardous waste. However, the intention of the partial
reclamation variance is to evaluate, specifically, the degree of
partial reclamation and therefore it makes sense to use ``partial
reclamation'' in criterion 1. Additionally, this revised language for
the first criterion conforms to the revised changes in the introductory
text of the partial reclamation variance.
EPA agrees with commenters that adding a clarifying statement to
criterion (1) is helpful and has added ``as demonstrated by using a
partial reclamation process other than the process that generated the
hazardous waste'' after ``substantial.'' We believe this language
clarifies (and responds to the comment regarding the term
``substantial'') that the process used to generate the hazardous waste
(such as dewatering of sludge) would not be considered ``substantial''
under this criterion. Therefore, by emphasizing that the partial
reclamation process must be substantial in the first criterion, the
Agency is reiterating that the material produced by the partial
reclamation process must be commodity-like as supported by also meeting
criteria (2)-(5).
Under the final rule, EPA is finalizing the first criterion to
read: ``Whether the degree of partial reclamation the material has
undergone is substantial as demonstrated by using a partial reclamation
process other than the process that generated the hazardous waste.''
Comments: Proposed Criterion (2)--Whether the Partially-Reclaimed
Material Has Sufficient Economic Value That it Will Be Purchased for
Final Reclamation
For the second proposed criterion, one commenter supported EPA's
emphasis in the preamble on the existence of contracts for the sale of
the partially-reclaimed material. This commenter argued that such
emphasis is important to ensure that partial reclaimers do not
accumulate significant quantities of material without assurance that a
willing buyer actually exists. This commenter stated that an example of
excess accumulation risk is shown by the variance recently granted by
IDEM to the facility, ShoreMet, in which the variance was granted on
the basis that a market for the partially-reclaimed material would
exist solely because other reclaimers had sold fully-reclaimed F006
(wastewater treatment sludges from electroplating operations) and F019
(wastewater treatment sludges from aluminum coating processes). This
commenter argued that such an analysis does not ensure that ShoreMet
can market its partially-reclaimed material.
Another commenter argued that reclamation may involve more than one
processing step and that the proposed changes to this criterion limit
the administrative authority's ability to consider the value of the
partially-reclaimed material and the usable end products. This
commenter also argued that the term ``value'' in 40 CFR 260.43 means
sold to a third party or used as an effective substitute, which may not
apply here. Still another commenter noted the F006 reclamation guidance
\51\ allows the use of theoretical ``on paper'' value of precious
metals present, despite that substantial processing might be needed
before those precious metals realize market value.
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\51\ U.S. EPA, ``Background Document: Providing Context--The
Example of F006 Electroplating Sludges,'' June 2011. Docket ID: EPA-
HQ-RCRA-2010-0742-0016.
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EPA's Response: Proposed Criterion (2)--Whether the Partially-Reclaimed
Material Has Sufficient Economic Value That it Will Be Purchased for
Final Reclamation
EPA agrees with the commenter that supported EPA's emphasis in the
preamble on the existence of contracts for the sale of the partially-
reclaimed material as demonstrating the second criterion is being met.
As we have stated previously, the partial reclamation variance is
for those hazardous secondary materials that have been partially-
reclaimed but, must be reclaimed further, as long as the partial
reclamation has produced a commodity-like material. That is, if the
partially-reclaimed material is being purchased for further
reclamation, the Agency considers the partially-reclaimed material to
have sufficient economic value, regardless of how each party calculates
the value to be paid. Evidence to support this criterion may include
sales information; demand for the materials; and business contracts,
such as contracts specifying quantities of material sold, details of
the transaction, and the effective price paid for the partially
reclaimed material by purchasers (i.e., after subtracting
transportation costs and any other goods or services rendered in
exchange for the material purchased).
EPA is making one change to the proposed second criterion. As noted
above, EPA understands that reclamation of hazardous waste may involve
multiple steps and thus EPA finds it is more appropriate to ensure that
the partially-reclaimed material is purchased for ``further
reclamation'' rather than ``final reclamation'' to allow for processes
that use more than one reclamation step in processing the partially-
reclaimed material. Therefore, the final second criterion in today's
rule reads: ``Whether the partially-reclaimed material has sufficient
economic value that it will be purchased for further reclamation.''
[[Page 1762]]
Comments: Proposed Criterion (3)--Whether the Partially-Reclaimed
Material Is a Viable Substitute for a Product or Intermediate Produced
From Virgin or Raw Materials Which Feeds Subsequent Production Steps
For the third criterion, one commenter disagreed with the proposed
wording change because it restricts the authority's ability to consider
the benefit provided by subsequent processing of the partially-
reclaimed material and directs the authority only to consider whether
it is immediately a substitute or product before further processing.
Another commenter suggested replacing the phrase ``which feed
subsequent production steps'' with the phrase ``that is used in a
subsequent manufacturing process'' to be more clear. Still another
commenter suggested that this criterion should state more plainly that
``it is a substitute for ingredients, intermediates, or commercially
available virgin/raw materials.''
EPA's Response: Proposed Criterion (3)--Whether the Partially-Reclaimed
Material Is a Viable Substitute for a Product or Intermediate Produced
From Virgin or Raw Materials Which Feeds Subsequent Production Steps
EPA maintains that the partial reclamation variance is for those
materials that have been partially-reclaimed, but must be reclaimed
further, as long as the partial reclamation has produced a commodity-
like material. Thus, whether or not a material is produced at a later
stage of reclamation as a viable substitute for a product or
intermediate is not relevant in determining whether a partially-
reclaimed material produced earlier is commodity-like.
EPA agrees with the commenter who suggested replacing the phrase
``which feed subsequent production steps,'' with the commenters
suggested wording, with certain modifications, in order to improve
clarity. Therefore, the Agency is modifying this criterion to read,
``whether the partially-reclaimed material is a viable substitute for a
product or intermediate produced from virgin or raw materials, which is
used in subsequent production steps.'' With this clarification, the
Agency is making clear that, while multiple steps may be involved in
producing a commodity-like material, it is only when the partially-
reclaimed material is a viable substitute for a product or intermediate
is it considered ``commodity-like.''
EPA is not making the suggested change to state that the partially-
reclaimed material ``is a substitute for ingredients, intermediates, or
commercially available virgin/raw materials'' because EPA is concerned
that this language may introduce confusion in distinguishing between
when a partially-reclaimed material is ``commodity-like'' as compared
to raw or virgin material that would need to undergo substantial
processing before meeting this definition. Therefore, EPA is
maintaining the proposed language to read ``is a viable substitute for
a product or intermediate produced from virgin or raw materials.''
Comments: Proposed Criterion (4)--Whether There Is a Guaranteed Market
for the Partially-Reclaimed Material
For the fourth proposed criterion, whether there is a guaranteed
market for the partially-reclaimed material, a few commenters argued
that EPA is not specific enough to meet its objective and suggested
that the criterion should read ``whether there is a guaranteed and
secure long-term market for the partially-reclaimed material.'' These
commenters also stated that EPA should include in the final rule more
empirical and measurable ways to define this concept, for example
including markets with consistent positive profit margins for a minimum
of ten years.
EPA's Response: Proposed Criterion (4)--Whether There Is a Guaranteed
Market for the Partially-Reclaimed Material
EPA agrees that clarity is needed and has modified the fourth
criterion to include examples of how a market for the partially-
reclaimed material can be demonstrated. The fourth criterion now reads,
``whether there is a market for the partially-reclaimed material as
demonstrated by known customer(s) who are further reclaiming the
material (e.g. record of sales and/or contracts, and evidence of
subsequent use, such as bills of lading).'' In response to the
commenter who urged EPA to include more empirical and measurable ways
to define this concept, the Agency has determined that examination of
the contracts, record of sales, and bills of lading between the partial
reclaimer and its customers will provide adequate evidence of whether
this criterion is satisfied.
Comments: Proposed Criterion (5)--Whether the Partially-Reclaimed
Material Is Handled To Minimize Loss
For the fifth proposed criterion, one commenter argued that
``minimize loss'' should be better defined and that, at a minimum, the
partially-reclaimed material should meet the ``contained'' standard for
hazardous secondary materials and be managed exactly like any other
commodity.
EPA's Response: Proposed Criterion (5)--Whether the Partially-Reclaimed
Material Is Handled To Minimize Loss
EPA does not find that the phrase ``minimize loss'' needs to be
better defined. As we have discussed elsewhere and in the preamble to
the 2011 July DSW proposal, evidence to support this criterion may
include documentation of facility procedures used to minimize loss
(e.g., inspections, training) and storage and management equipment
designed to minimize loss. Additionally, under today's final rule,
partially-reclaimed materials must meet the legitimate recycling
standard in 40 CFR 260.43, which requires that the hazardous secondary
materials be managed as a valuable commodity. This criterion explains
that, where there is an analogous raw material, the hazardous secondary
materials must be managed, at a minimum, in a manner consistent with
the management of the raw material or in an equally protective manner.
Where there is no analogous raw material, the hazardous secondary
material should be contained, as defined in 40 CFR 260.10.
Comments: Revision To Eliminate Sixth Criterion
Many commenters supported EPA's proposal to eliminate the sixth
criterion concerning other relevant factors. One commenter stated that
criterion six has been and is currently being used as a primary basis
for granting partial reclamation variances for hazardous secondary
materials, and has led to the creation of unfair and illegal advantages
for some reclaimers.
A few commenters, however, disagreed with the proposed change. One
commenter argued that removing criterion six conflicts with the intent
of the partial reclamation variance by restricting the administrative
authority's discretion. Other commenters argued that the overall
situation should be considered and that an applicant's history of
compliance would be an ``other relevant factor'' that should be
considered when evaluating an application for a partial reclamation
variance.
EPA's Response: Revision To Eliminate Sixth Criterion
EPA agrees with those commenters that supported the elimination of
the sixth criterion. The sixth criterion has resulted in subjective
interpretations which have led, in the Agency's view, to incorrect
application of the partial reclamation variance and therefore, EPA
[[Page 1763]]
is removing it from the list of criteria. We do not agree with the
commenter who argued that removing this criterion would restrict the
administrative authority's discretion. For example, EPA agrees with
those commenters who said that an applicant's history of compliance
could be considered as part of a partial reclamation variance
determination. However, rather than requiring that compliance be
considered under a sixth criterion, EPA notes that compliance would
likely be a factor in determining how the facility is meeting the
legitimate recycling factors in 40 CFR 260.43 and the partial
reclamation variance criteria (1)-(5). For example, regulatory
compliance could be used regarding whether the partially-reclaimed
material is handled to minimize loss.
D. Revision to the Criteria for Non-Waste Determinations To Require
Petitioners To Demonstrate Why Their Material Cannot Meet an Existing
Exclusion
EPA proposed to revise the criteria for the non-waste determination
in 40 CFR 260.34 to require that petitioners explain or demonstrate why
their hazardous secondary materials cannot meet, or should not have to
meet, the existing DSW exclusions under 40 CFR 261.2 or 40 CFR 261.4.
Comments: Non-Waste Determination Criteria To Require Petitioners To
Demonstrate Why Their Material Cannot Meet an Existing Exclusion
Many commenters agreed with this proposed change. These commenters
noted that, as a practical matter, it would seem facilities seeking
such a determination would have already evaluated the existing
exclusions and thus, requiring this information should not be overly
burdensome.
A few commenters, however, disagreed with this proposed change. One
commenter argued that petitioners will be unwilling to provide
justification at the risk of disqualification of an accepted exclusion
in another state or EPA region for the same process. Another commenter
noted that there may be legitimate reasons where the use of an
exclusion might be too close to call and the facility wants greater
comfort in a determination. A third commenter argued it is unreasonable
for EPA to place the burden of interpreting EPA's regulations on those
who are regulated prior to consenting to review a request for a non-
waste determination.
EPA's Response: Non-Waste Determination Criteria To Require Petitioners
To Demonstrate Why Their Material Cannot Meet an Existing Exclusion
EPA agrees with those commenters who supported this proposed change
to require that petitioners explain or demonstrate why their hazardous
secondary materials cannot meet, or should not have to meet, the
existing DSW exclusions under 40 CFR 261.2 or 40 CFR 261.4. EPA agrees
that this type of evaluation should already have been conducted by
facilities that are formally petitioning the state or EPA for a non-
waste determination. This provision provides the regulatory authority
with the information it needs, while helping to reduce the number of
applications because facilities will be forced to evaluate whether an
existing self-implementing exclusion may be used.
EPA does not agree with the opposing arguments presented by the
commenters as a basis for not finalizing the proposed change. These
arguments, including that a facility may want more comfort in a
determination and that EPA shouldn't put the burden on facilities to
interpret regulations, are precisely why EPA and authorized states
would benefit from receiving an explanation or demonstration from the
facility why they cannot or should not have to meet an existing
exclusion. This information would enable regulatory authorities to
review and resolve questions regarding whether a non-waste
determination may be warranted. Additionally, EPA does not find
convincing the argument that a facility may be unwilling to provide
justification at the risk of disqualification of an accepted exclusion
in another state or EPA region. In fact, by finalizing this change, EPA
is fostering greater consistency in state-to-state interpretations.
E. Designation of the Regional Administrator as the EPA Recipient of
Petitions for Variances and Non-Waste Determinations
In the July 2011 DSW proposal, EPA proposed to change the word
``Administrator'' to ``Regional Administrator'' in 40 CFR 260.30,
260.31, 260.32, 260.33, and 260.34. Due to the case-specific nature of
the variances and non-waste determinations, EPA believed that these
decisions may be better made by the Regional Administrator.
Comments: Designation of the Regional Administrator as the EPA
Recipient of Petitions for Variance and Non-Waste Determinations
Most of the comments on this issue opposed the proposed change
arguing that there are significant differences in regional
interpretations just as there are differences in state interpretations
and that the change will lead to increased inconsistency in the
implementation of variances and non-waste determinations. Other
commenters urged EPA to clarify that petitions for solid waste
variances and non-waste determinations may be sent to Directors of
authorized states, just as the petition process works currently. These
commenters argued that states are delegated by EPA to administer the
hazardous waste regulations and, therefore, states have a role in
reviewing solid waste variance and non-waste determination petitions.
Only a few commenters supported the proposed change.
EPA's Response: Designation of the Regional Administrator as the EPA
Recipient of Petitions for Variance and Non-Waste Determinations
EPA recognizes the commenters' concerns who argued that designating
the Regional Administrator, rather than the Administrator, as the
person responsible for evaluating such petitions and deciding whether
to grant a solid waste variance or a non-waste determination may
increase inconsistency by virtue of there being ten Regional
Administrators as compared to the one Administrator. Because the Agency
is striving for as much consistency as possible, we have decided not to
finalize this proposed change. We would also note that the rule does
not change in any way the delegation of authority to states authorized
to administer the hazardous waste regulations and thus, authorized
states that have adopted these provisions may continue to evaluate and
decide whether to grant a solid waste variance or a non-waste
determination, as they do currently.
F. Requirement To Share Copies of Variances and Non-Waste
Determinations
In the July 2011 DSW proposal, EPA requested comment on whether to
require states to share copies of any solid waste variance and non-
waste determination petitions and the tentative decisions with EPA for
review and comment in order to encourage collaboration and national
consistency. Formalizing collaboration would have
[[Page 1764]]
the benefit of reinforcing existing working relationships between EPA
and the states.
Comments: Requirement To Share Copies of Variances and Non-Waste
Determinations
A number of comments did not support a requirement for states to
share copies of solid waste variance and non-waste determination
petitions with EPA for comment. These commenters argued that another
layer of bureaucracy would delay the process. One commenter was
concerned with protecting a company's confidential business
information. Another commenter argued that EPA has not made an adequate
case for the need for national approvals and that there may be
legitimate reasons for arriving at different conclusions, for different
variance petitions.
Some commenters, however, supported EPA's efforts to collect solid
waste variance and non-waste determination decisions and to share the
information with other states.
EPA's Response: Requirement To Share Copies of Variances and Non-Waste
Determinations
EPA recognizes commenters' concerns who argued that requiring
states to share copies of solid waste variance and non-waste
determination petitions with EPA for review and comment would likely
increase the duration of the petition process. Therefore, EPA is not
codifying this requirement in the final rule. EPA, however, will likely
continue to work with the states in order to increase state-to-state
consistency in such determinations and may pursue non-regulatory
efforts to collect and share solid waste variances and non-waste
determinations as part of implementing the final rule.
XIX. Major Comments on the Proposed Revisions to Pre-2008 Recycling
Exclusions
In the 2011 DSW proposed rule, EPA considered whether additional
requirements should be codified for recycling exclusions and exemptions
that EPA promulgated prior to the 2008 DSW final rule. Specifically,
EPA requested comment on codifying the legitimate recycling standard in
40 CFR 260.43, the contained standard in 40 CFR 260.10, and the
notification provision in 40 CFR 260.42 for 32 regulatory provisions
that exclude or exempt certain types of recycling from full Subtitle C
regulations.\52\
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\52\ EPA also proposed additional recordkeeping requirements in
the speculative accumulation standard in 40 CFR 261.1(c)(8). See
section XIV for responses to these comments.
---------------------------------------------------------------------------
However, EPA explicitly did not reopen comment on any substantive
provisions of the regulatory exclusions or exemptions. The inclusion of
requirements for legitimacy, containment, and notification were
strictly meant as means to better enforce the regulations.
The request for comment stemmed from EPA's analysis of a report it
developed as part of the DSW rulemaking, ``An Assessment of
Environmental Problems Associated with Recycling of Hazardous Secondary
Materials'' (environmental problems study), which analyzed 218
recycling damage cases.\53\ The goal of the environmental problems
study was to identify and characterize environmental problems that have
been attributed to hazardous secondary material recycling activities.
EPA then used the findings from this study to craft a number of
conditions for the 2008 DSW final rule, which were specifically
designed to target the major causes of damage and thus help define
``discard'' of hazardous secondary materials. These conditions,
however, were applied only to the 2008 DSW exclusions.
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\53\ The original environmental problems study, published
January 11, 2007, reviewed 208 damage cases. Based on information
submitted by commenters to the 2007 DSW supplemental proposed rule,
EPA reviewed an additional ten recycling damage cases in an addendum
to the environmental problems study, published July 14, 2008. A
second addendum was published in June 2011. As part of this DSW
final rule, EPA updated the environmental problems study to combine
all of the information compiled from the 2007 study, the 2008 and
2011 addenda, and new information collected by EPA since June 2011.
This 2014 updated study includes information on 250 damage cases and
can be found in the docket for today's rule.
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EPA reviewed and analyzed each damage case in the environmental
problems study and determined the regulatory provision that likely, or
potentially, governed the management of the hazardous secondary
materials.\54\ This analysis was based on the type of hazardous
secondary material and the date of the damage case related to the
effective date of the regulatory provision. From this analysis, EPA had
concluded that over half of the damage cases in the environmental
problems study were associated with hazardous secondary materials that
were likely excluded or exempted from Subtitle C regulation under an
existing (pre-2008) regulatory provision.\55\ For example, EPA reported
in the 2011 DSW proposed rule that 52 damage cases (23%) are associated
with scrap metal that is likely excluded under Sec. 261.4(a)(13) and/
or Sec. 261.6(a)(3)(ii), while drum reconditioning accounted for 23
damage cases (10%), in which the residuals are likely excluded under 40
CFR 261.7. Additionally, 35 damage cases (16%) were associated with
batteries that are likely managed under 40 CFR 273.2 and/or 40 CFR part
266 subpart G. Based on these results, and given that many of the pre-
2008 recycling exclusions do not directly specify conditions that are
necessary to ensure discard is not occurring, we concluded that these
provisions may not be adequately enforceable in order to protect human
health and the environment. Thus, in the 2011 DSW proposal, we
requested comment on whether EPA should codify additional conditions
for these recycling exclusions.
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\54\ U.S. EPA Correlation of Recycling Damage Cases with
Regulatory Exclusions, Exemptions or Alternative Standards.
\55\ The determination that the hazardous secondary materials
were ``likely'' associated with pre-2008 recycling exclusions and
exemptions was based on the waste description and the fact that most
recyclers did not appear to have a RCRA permit. EPA did not
specifically verify if the damage case facility was operating under
an exclusion or exemption.
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Many comments in response to EPA's request for comment on whether
the Agency should codify additional conditions to the pre-2008
recycling provisions were unfavorable, although a number of comments
indicated support for the codification.
Comments: Potential Impact of Additional Requirements
Industry commenters, and scrap metal recyclers in particular,
strongly opposed adding conditions, arguing that the additional
conditions will pose an undue burden on businesses without any
environmental benefit and will discourage recycling. For example,
commenters argued that scrap metal recyclers go to great lengths to
ensure that they do not handle hazardous waste. These commenters said
that, if EPA were to add conditions to the scrap metal exclusion, a
scrap metal recycler would be required to obtain additional insurance,
local licenses, training, new inspection procedures, lawyers, and
consultants in order to maintain compliance and to prepare for an
inadvertent loss of the exclusion, which would make it a handler of
hazardous waste. Commenters argued that many scrap metal businesses are
small and family-owned and cannot afford these new requirements and
thus, these regulations will severely affect business and jobs.
Many commenters also argued that the contained standard is not
necessary or practical and would be expensive. Commenters believed that
the one-size-
[[Page 1765]]
fits-all approach that EPA requested comment on fails to reflect EPA's
recognition over the years of the need to tailor any conditions for
regulatory exclusions to the specific characteristics of the recycling
activities. For example, one commenter argued that the contained
standard is redundant for the spent wood preservatives exclusion under
40 CFR 261.4(a)(9), which already requires facilities to manage
solutions and wastewater ``to prevent release to either land or
groundwater or both'' and to construct recycling units so ``prior to
reuse they can be visually or otherwise determined to prevent such
release.'' This commenter also noted that drip pads must comply with 40
CFR part 265 subpart W. Other commenters noted that applying the
contained standard to lead-acid batteries is inappropriate and
unnecessary because EPA, on several occasions, has recognized that
individual lead-acid batteries qualify as ``containers,'' citing a
November 17, 1989, memo from Sylvia Lowrance (RO 13339). Furthermore,
these commenters argued that the contained standard duplicates Sec.
266.80(b).
Regarding notification, many commenters did not support adding
notification to the pre-2008 exclusions. These commenters argued that
the EPA Form 8700-12 (Site Identification Form) and, in particular the
Addendum to the Site Identification Form, which is used to notify under
40 CFR 260.42, is too burdensome for facilities operating under a pre-
2008 exemption/exclusion. For example, the Addendum requires facilities
to list their hazardous secondary materials using EPA hazardous waste
codes. In some cases, particularly for scrap metal recyclers,
facilities would be required to determine which secondary material
would be considered a hazardous secondary material, which may involve
extensive testing in order to determine which hazardous waste code to
report on the form. Additionally, the Addendum also requires facilities
to report quantities of hazardous secondary material managed under the
exclusions, but commenters explained that facilities operating under a
pre-2008 exclusion have not generally determined which secondary
material would be considered a hazardous secondary material, and
therefore, any quantity estimates, which are required on the Addendum,
would not be reliable for programmatic decisions. Moreover, commenters
argued that notification would be difficult for facilities with
multiple excluded processes. For example, one commenter explained that
one facility in Tennessee has more than a hundred closed-loop recycling
processes and thus it would be extremely onerous to report each process
on a notification.
Commenters also argued that it is difficult to estimate the number
of facilities operating under the exclusions and thus the impact on the
state implementers of the notification program is uncertain. For
example, notification would impact all forms of scrap metal handling
(junk yards, scrap dealers, steel-makers), generators and handlers
managing lead-acid batteries (vehicle repair facilities, retailers) and
precious metals destined for reclamation (x-ray facilities, dentists,
vets, jewelers). These commenters argued that most states are already
under resource constraints and will be unable to cope with the tens of
thousands of new forms that would need processing if EPA were to codify
notification as a condition of the exclusions. Some state commenters
suggested ways to reduce the burden on states, including not requiring
periodic notifications on the same day that biennial reports are due
and by implementing a process whereby notifications could be submitted
electronically. Commenters also noted that the re-notification
requirement for excluded facilities would be more stringent than what
is currently required for hazardous waste small quantity generators.
EPA's Response: Potential Impact of Additional Requirements
EPA did not believe at the time of the proposal that the additional
requirements--meeting the legitimate recycling standard, the contained
standard, and the notification requirement--would present an undue
burden on facilities. As discussed in more detail below, this is
because EPA considers certain requirements, like legitimate recycling
and containment, inherent in the definition of solid waste recycling
exclusions and assumes that the regulated community already meets these
standards. Notification was considered to be a simple reporting
requirement that would pose minimal additional burden.
However, upon reviewing the comments, EPA has determined that more
study is needed before taking action. Therefore, EPA is not making any
changes to the language of the 32 recycling exclusions and exemptions
at this time. In the case of the legitimacy provision, EPA is instead
codifying a general prohibition against sham recycling. In the case of
the contained standard and notification requirement, EPA is deferring
any action until further study is conducted. EPA's response to comments
regarding burden implications of each of the provisions is discussed in
more detail below.
(1) Legitimacy. With respect to legitimacy, it has been EPA's long-
standing policy that all recycling of hazardous secondary materials
must be legitimate. If a facility is engaged in sham recycling, this,
by definition, is not real recycling and that material is being
discarded. Additionally, EPA considers the four legitimacy factors
codified in 40 CFR 260.43 to be substantively the same as the existing
legitimacy policy, which has been articulated in the 1989 Lowrance Memo
and in various DSW Federal Register notices.
In proposing to codify the legitimate recycling standard for all
exclusions, we did not intend to raise questions about the status of
general legitimacy determinations that underlie these existing
exclusions from the definition of solid waste, or about case-specific
determinations that have already been made by EPA or the states. As
noted in the comments, EPA generally considered the legitimacy of the
recycling process when the original determinations were promulgated,
and the Agency did not intend to force companies to have to reexamine
long standing legitimate recycling practices. Therefore EPA is not
revising the pre-2008 exclusions and exemptions to include a legitimacy
requirement.
However, as discussed in section VIII, these material-specific
exclusions from the definition of solid waste do not negate the basic
requirement that the hazardous secondary material must be legitimately
recycled. Therefore, EPA is codifying a general statement in Sec.
261.2(g) that makes it clear that a hazardous secondary material found
to be sham recycled is discarded and thus, is a solid waste. By
codifying a prohibition on sham recycling that applies to all hazardous
secondary materials being recycled, we are confirming that we expect
anyone operating under a recycling exclusion or exemption to be doing
so legitimately. EPA finds that this will give implementing agencies a
clear regulatory statement that can be used to enforce against sham
recyclers, yet not require the vast majority of recyclers that are
performing legitimate recycling under the pre-2008 exclusions and
exemptions to revisit previously-made legitimacy determinations.
Additionally, the Agency has, based on the public comments, made
adjustments to the legitimacy factors to build in more flexibility for
meeting each factor and thus, ease the use of the
[[Page 1766]]
standard. For example, EPA has modified factor 4 to rely on widely-
recognized commodity standards and specifications in the case where
there is no analogous product as a way of recognizing industry
standards that ensure their products are legitimate. EPA gives the
example in the regulatory text of commodity specification grades for
common metals, which would be relevant to scrap metal recyclers, among
other metal recyclers. EPA has also included a provision that states
that when ``hazardous secondary materials being recycled are returned
to the original process or processes from which they were generated to
be reused, the product of the recycling process is comparable to a
legitimate product or intermediate,'' and thus would meet factor 4.
This revision addresses concerns regarding the closed loop exemption at
Sec. 261.4(a)(8), as well as mineral processing to produce primary
metals, because these processes always include materials looping back
into the process to ensure that all the valuable metals that can be
extracted from the ore are being collected for use.
For more information and responses to comments on legitimacy,
please see section XVII in today's preamble.
(2) Contained. With respect to the contained standard, EPA has long
determined that hazardous secondary materials that are released to the
environment and are not destined for recycling are clearly discarded.
Based on the environmental problems study, the results of which showed
mismanagement of hazardous secondary materials as one of the major
causes of damage, EPA requested comment in the 2011 DSW proposed rule
on applying the proposed contained standard to all hazardous secondary
materials. EPA assumes that the vast majority of recycling facilities
``contain'' their hazardous secondary materials and thus would already
meet the contained standard. Therefore, EPA assumed that the contained
standard would not present any additional burden to the regulated
community, especially since the contained standard is ``performance-
based'' and provides much flexibility, but could be used to enforce
against those facilities that were mismanaging their materials.
However, as the commenters' noted, EPA has already promulgated
certain management standards for some exclusions based on the case-
specific characteristics of the hazardous secondary material or
recycling process (e.g., drip pads used to manage wastewaters and/or
spent wood preserving solutions under 40 CFR 261.4(a)(9)). Thus, EPA
understands that simply applying the contained standard wholesale
across the 32 recycling provisions, may not be the most efficient or
effective course of action as EPA would not be considering how the
contained standard would work within each specific exclusion and its
existing conditions. Therefore, EPA is deferring action on applying the
contained standard to the pre-2008 exclusions and exemptions until we
can more adequately address commenters' concerns.
(3) Notification. With respect to notification, EPA's intent was to
provide basic information to regulatory authorities in order to enable
adequate compliance monitoring of the exclusions. EPA had requested
comment on requiring notification under 40 CFR 260.42 using the Site ID
Form (EPA Form 8700-12), which is the same provision used for the 2008
DSW final rule exclusions. Given that this form is familiar to the
regulated community, we had not considered this requirement to pose an
undue burden.
However, based on comments we received, we understand that using
the same notification requirement developed for hazardous secondary
materials that were recently excluded in 2008 presents challenges when
used for hazardous secondary materials that have been excluded for many
decades. For example, the notification provision in 40 CFR 260.42
requires information on types of hazardous secondary materials (using
hazardous waste codes) and quantities of these materials. However, as
noted by commenters, this is difficult, for example, for scrap metal
recyclers, because these facilities currently do not distinguish
between non-hazardous scrap metal and scrap metal that would be
hazardous waste were it not for the exclusion. Requiring notification
in this instance may infer that scrap metal recyclers would be required
to extensively test their hazardous secondary material in order to
determine if the scrap metal was hazardous, and therefore excluded, and
to determine which hazardous waste code to report on the form.
Additionally, the notification presents challenges for facilities with
numerous closed-loop recycling processes because the form would require
these facilities to specifically list each process. We also understand
commenters' concerns regarding the burden on states that must review
and process these forms. Because the majority of the pre-2008
exclusions and exemptions do not include notification requirements, EPA
does not have precise data regarding how many facilities are recycling
hazardous secondary materials under these exclusions and exemptions.
This lack of data hinders EPA's ability to more precisely estimate the
burden on states and whether such a requirement would be
environmentally beneficial. Therefore, EPA is deferring action on
applying notification to the pre-2008 exclusions and exemptions until
we can more adequately address commenters' concerns.
Comments: EPA's Authority To Add Requirements to Pre-2008 Exclusions
Commenters stated that EPA lacks jurisdiction to add requirements
to materials that are not solid wastes and, if EPA is changing its
position on the waste status of these materials, the Agency must
provide a reasoned explanation for disregarding facts and circumstances
that underlay the prior policy. Some commenters argued that EPA had
evaluated each of the hazardous secondary materials at the time it
promulgated the exclusions and thus, EPA must demonstrate why
management in compliance with the existing conditions constitutes
discard.
EPA's Response: EPA's Authority To Add Requirements to Pre-2008
Exclusions
EPA disagrees with comments that argue that EPA does not have the
authority to require conditions for hazardous secondary materials being
recycled. As noted in the Background section of this preamble, in the
Safe Food court case, the D.C. Circuit upheld an EPA rule that excludes
from the definition of solid waste hazardous secondary materials used
to make zinc fertilizers, and the fertilizers themselves, as long as
the recycled materials meet certain handling, storage, and reporting
conditions and the resulting fertilizers have concentration levels for
certain hazardous constituents that fall below specified thresholds. It
is therefore within EPA's discretion to determine conditions under
which a hazardous secondary material is not being discarded and thus
may be excluded from hazardous waste regulation.
However, EPA agrees that more information is needed before
determining whether adding requirements to the pre-2008 exclusions and
exemptions is needed to make them more enforceable. EPA's request for
comment on this issue was based on conclusions drawn from the
environmental problems study, which evaluated over 200 damage cases,
and the Correlation of Recycling Damage Cases with Regulatory
Exclusions, Exemptions or Alternative Standards, which analyzed which
damage cases
[[Page 1767]]
were likely operating under a pre-2008 exclusion and exemption. From
these studies, EPA concluded that over half of the damage cases were
likely operating under an existing exclusion and exemption. However,
EPA did not examine the specific underlying causes of the damage cases
(whether they were based on the lack of oversight of the pre-2008
exclusions and exemptions or on other causes). Thus EPA has decided
that additional information is needed to determine whether additional
regulatory action is needed, or whether the problems should be
addressed through some other method, such as outreach and compliance
assistance.
Comments: Record Support
Many commenters argued that EPA's record does not support this
regulatory change and that EPA failed to conduct a thorough analysis.
For example, commenters argued that EPA's record needs to show that
significant environmental problems have been caused by a meaningful
number of facilities operating in compliance with the pre-2008
exclusions and exemptions. These commenters noted that many of the
damage cases involve civil or criminal violations, indicating that the
problem was non-compliance with the regulations, not from a lack of
regulations. Thus, these commenters believed that EPA already has
sufficient authority to enforce against bad actors. Additionally, EPA's
own analysis only links damage cases to just seven exclusions, yet EPA
is considering adding conditions to 32 exclusions.
EPA's Response: Record Support
EPA disagrees with comments that argue that since the environmental
problems study includes cases with civil or criminal violations, this
demonstrates existing regulations are adequately enforceable. On the
contrary, the frequency of violations in the damage cases may
demonstrate the need for greater, not less, oversight, particularly in
the case of sham recycling, where discard via over-accumulation of
material can become a major problem before the Agency can take action.
For example, in one of the damage cases, a facility whose primary
business was mixing electric arc furnace dust (K061) with agricultural
lime for sale as a micronutrient lost its customers and could not sell
its product. However, the facility continued to accept K061, and, after
approximately seven months, the facility had accepted over 60,000 tons
of this hazardous waste and stored it on the ground in piles up to 30
feet high, with no prospect of it being used to produce a product and,
thus, legitimately recycled. While the initial recycling of the K061
hazardous waste was legitimate, when the facility failed to produce a
product that was actually sold, the K061 could no longer be considered
legitimately recycled, resulting in significant risk to human health
and the environment from discarded material. Therefore EPA is codifying
a general probation against sham recycling, in order to prevent such
cases from occurring.
However, in the case of containment and notification, EPA agrees
with commenters and has determined that additional information about
the underlying causes of the damage cases would be useful to determine
whether additional regulatory action is needed, or whether the problems
should be addressed through some other method, such as outreach and
compliance assistance.
EPA also understands commenters' concerns regarding the limitations
of the correlation analysis, including the fact that EPA could only
correlate with confidence 7 of the 32 recycling exclusions and
exemptions to damage cases in its environmental problems study. The
analysis was hampered by a lack of precision in the data. For example,
because notification is not required for the majority of pre-2008
exclusions and exemptions, we can only conservatively identify damage
case correlations where the type of hazardous secondary material very
clearly matches to an exclusion (e.g., scrap metal). We lack
information to make inferences for broadly applicable exclusions,
(e.g., use/reuse) or for broadly defined hazardous secondary materials
(e.g., metal-bearing wastes). Therefore, by virtue of some exclusions'
broad applicability, we were unable to correlate them to specific
damage cases.
Although it is difficult to assign specific damage cases to certain
exclusions, we note that in the environmental problems study only nine
of the damage cases were operating under a RCRA permit at the time of
damage. Thus, EPA can generally conclude that the majority of the
damage cases were operating outside of RCRA, inferring these facilities
were either operating illegally or likely operating under an exclusion,
exemption, alternate standard, or no standard at all. In the case of
containment and notification, EPA has determined that additional
information about the underlying causes of the damage cases would be
useful to determine whether additional regulatory action is needed, or
whether the problems should be addressed through some other method,
such as outreach and compliance assistance.
Comments: Time To Comment
Industry commenters argued that they did not have adequate time to
comment. Further, they had no forewarning of the changes EPA was
considering before the proposal was issued. EPA's request for comment
did not involve prior discussions with stakeholders, as is typical when
developing proposed rules. Moreover, this issue was not part of the
2008 DSW final rulemaking, Sierra Club's petition, or part of EPA's
settlement agreement with the Sierra Club. Many commenters urged EPA to
meet with industry representatives in order to better understand
industry practices.
Commenters also argued that if EPA codified a notification as a
condition of the exclusions, thousands of facilities would be at risk
of losing the exclusion due to failure to notify, which could result in
civil fines and solid waste management fees for the facility. These
commenters stated that notification as a condition in this instance
presents acute risks to facilities operating under an exclusion,
because, up to this point, these facilities have not been required to
comply with the RCRA hazardous waste requirements. Thus, commenters
said many facilities may fail to notify simply because they were
unaware the regulations had changed.
EPA's Response: Time To Comment
EPA understands commenters that argued they did not have adequate
time to comment on applying the contained standard and notification for
pre-2008 recycling exclusions and exemptions. Contrary to the
legitimate recycling standard, which has been EPA's long-standing
policy and has been articulated in the 1989 Lowrance memo and various
Federal Register notices, EPA had not previously indicated it was
considering the contained standard and notification for pre-2008
exclusions and exemptions prior to the 2011 DSW proposal. Although the
2011 proposed rule provided an opportunity for public comment, EPA
understands commenters' concerns, with notification in particular, as
these provisions would impact thousands of businesses, many of which
may not be closely following DSW rulemaking activity. EPA agrees that a
more inclusive approach to a potential rulemaking that involves
stakeholders in upfront discussions would likely result in gainful
information, more effective strategies for addressing issues, and
better communication with the regulated community.
[[Page 1768]]
Comments: Support for Adding Requirements to Existing Exclusions
Some commenters, including environmental organizations, supported
adding conditions to the pre-2008 exclusions and exemptions, arguing
that EPA must adopt the regulatory conditions, including the legitimacy
standard in light of the risks posed by the 32 recycling exclusions and
the historical pattern of environmental contamination at facilities
that are exempt from RCRA. These commenters believed that the
prevention of one damage case every two years would more than offset
the compliance costs. Some state commenters also supported adding
conditions to the pre-2008 exclusions and exemptions, although some
argued that EPA should exempt certain types of hazardous secondary
materials, like scrap metal, spent lead-acid batteries, closed-loop
recycling, and printed circuit boards, from the requirements.
Other commenters supported adding notification to the pre-2008
recycling provisions. These commenters argued that states may not be
aware of excluded activities unless they are occurring at facilities
that are otherwise regulated or are the subject of a citizen complaint.
These commenters said that notifications would allow states to
periodically evaluate these facilities to ensure they are meeting the
terms of the exclusion and that, while the initial burden on states
might be quite heavy, the long-term benefit of knowing where these
facilities are justifies this burden.
EPA's Response: Support for Adding Requirements to Existing Exclusions
EPA acknowledges commenters who support additional requirements for
the pre-2008 exclusions and exemptions in order to avoid potential
damage cases and protect human health and the environment. However,
based on the comments received, the EPA has determined that it does not
have enough information to determine if adding requirements to the
existing pre-2008 recycling exclusions and exemptions would be the most
effective method for addressing the damage cases or whether a more
targeted approach would be more appropriate.
Regarding legitimacy, in lieu of adding a legitimacy requirement to
the specific recycling exclusions, EPA is instead codifying a general
statement in Sec. 261.2(g) that makes it clear that a hazardous
secondary material found to be sham recycled is discarded and thus, is
a solid waste. EPA finds that this will give implementing agencies a
clear regulatory statement that can be used to enforce against sham
recyclers, yet not require the vast majority of recyclers that are
performing legitimate recycling under the pre-2008 exclusions and
exemptions to revisit previously-made legitimacy determinations. EPA
also notes that today's final legitimacy standard includes
modifications that address implementation concerns for certain
hazardous secondary materials and processes, such as scrap metal and
closed-loop recycling. For more information on these modifications,
please see the other sections on legitimacy in this preamble.
Regarding the contained standard and notification, for reasons
stated above, the Agency is deferring action on applying the contained
standard and notification to the pre-2008 exclusions and exemptions in
order to consider how best to implement these conditions in the context
of the case-specific circumstances of the regulatory provisions.
XX. State Authorization
A. Applicability of Rules in Authorized States
Under section 3006 of RCRA, EPA may authorize a qualified state to
administer and enforce a hazardous waste program within the state in
lieu of the federal program, and to issue and enforce permits in the
state. A state may receive authorization by following the approval
process described in 40 CFR 271.21 (see 40 CFR part 271 for the overall
standards and requirements for authorization). EPA continues to have
independent authority to bring enforcement actions under RCRA sections
3007, 3008, 3013, and 7003. An authorized state also continues to have
independent authority to bring enforcement actions under state law.
After a state receives initial authorization, new federal
requirements promulgated under RCRA authority existing prior to the
1984 Hazardous and Solid Waste Amendments (HSWA) do not apply in that
state until the state adopts and receives authorization for equivalent
state requirements. In contrast, under RCRA section 3006(g) (42 U.S.C.
6926(g)), new federal requirements and prohibitions promulgated
pursuant to HSWA provisions take effect in authorized states at the
same time that they take effect in unauthorized states. As such, EPA
carries out the HSWA requirements and prohibitions in authorized
states, including the issuance of new permits implementing those
requirements, until EPA authorizes the state to do so.
Authorized states are required to modify their programs only when
EPA enacts federal requirements that are more stringent or broader in
scope than the existing federal requirements. RCRA section 3009 allows
the states to impose standards more stringent than those in the federal
program (see also 40 FR 271.1(i)). Therefore, authorized states are not
required to adopt federal regulations, both HSWA and non-HSWA, that are
considered less stringent than previous federal regulations or that
narrow the scope of the RCRA program and Subtitle C hazardous waste
regulations would continue to apply in those states.
B. Effect on State Authorization of Final Rule
The regulations finalized in today's notice are not promulgated
under the authority of HSWA. Thus, the standards will be applicable on
the effective date only in those states that do not have final
authorization of their base RCRA programs. Moreover, authorized states
are required to modify their programs only when EPA promulgates federal
regulations that are more stringent or broader in scope than the
authorized state regulations. For those changes that are less
stringent, states are not required to modify their program. This is a
result of section 3009 of RCRA, which allows states to impose more
stringent regulations than the federal program.
The revisions to the definition of solid waste being finalized
today are more stringent than those promulgated under the 2008 DSW
final rule, so those states which have adopted the 2008 DSW final rule
would be required to modify their programs. However, when compared to
the federal program that was in place when the 2008 DSW final rule was
finalized, many of today's revisions would be considered less stringent
(e.g., the revised generator-controlled exclusion, the verified
recycler exclusion, and the remanufacturing exclusion). Therefore,
authorized states that have not adopted the 2008 DSW final rule are not
required to modify their programs to adopt these exclusions and the
federally authorized state hazardous waste regulations applying the
full subtitle C requirements will continue to apply in those states. As
noted in footnote 58 of the proposed rule, final decisions regarding
whether a state rule is more stringent under 40 CFR 271.1(i)(1) or
broader in scope than the federal program under 40 CFR 271.1(i)(2) are
made when the Agency authorizes state programs. However, the revisions
to the definition of legitimacy and the prohibition of sham recycling,
as discussed in section VIII of the preamble, are more stringent than
the current federal hazardous waste
[[Page 1769]]
program because they codify implicit requirements that have been
largely implemented through guidance. Also, the additional
recordkeeping requirement in the speculative accumulation provision in
40 CFR 261.1(c)(8), as discussed in section V of the preamble, is also
more stringent than the current federal hazardous waste program.
Finally, the changes to the standards and criteria for variances from
classification as a solid waste discussed in section IX are more
stringent than the current federal hazardous waste program. In these
cases, all authorized states will be required to modify their programs
to adopt equivalent, consistent and no less stringent requirements.
XXI. Statutory and Executive Order (EO) Reviews
A. Executive Order 12866: Regulatory Planning and Review and Executive
Order 13563: Improving Regulation and Regulatory Review
Under Executive Order 12866 (58 FR 51735, October 4, 1993), this
action is a ``significant regulatory action'' because it is likely to
``raise novel legal or policy issues'' under section 3(f)(4) of
Executive Order 12866. Accordingly, EPA submitted this action to the
Office of Management and Budget (OMB) for review under Executive Orders
12866 and 13563 (76 FR 3821, January 21, 2011) and any changes made in
response to OMB recommendations have been documented in the docket for
this action.
In addition, EPA prepared an analysis of the potential costs and
benefits associated with this action. This analysis is contained in
EPA's background document for today's action titled ``Regulatory Impact
Analysis'' (RIA). A copy of the analysis is available in the docket for
this action and the analysis is briefly summarized here. EPA estimates
that the 2014 DSW rule will result in a future annual costs savings of
$1.0 to $2.0 million per year, depending on discount rate used, as
compared to a baseline of full implementation of the 2008 DSW rule.
This cost savings is based on the assumption that same number of states
would adopt the 2014 DSW rule as would adopt the 2008 DSW rule.
However, because the 2014 DSW rule addresses many of the concerns
states raised about the 2008 DSW rule, there is a potential that more
states would adopt it, thus increasing the upper bound of annual cost
savings to $17.5 million to $59 million per year.
In addition to estimating the cost savings of today's action, the
RIA also provides qualitative (i.e., non-monetized) descriptions of
three categories of expected future benefits for today's action
consisting of: (1) Reduction in future environmental damages associated
with industrial recycling of hazardous secondary materials; (2)
improved industry environmental compliance; (3) indirect legal &
financial benefits to industry consisting of reduced liability, less
uncertainty for regulated entities, and lower legal and financial
credit costs.
B. Paperwork Reduction Act (Information Collection Request)
The information collection requirements in this rule will be
submitted for approval to the Office of Management and Budget (OMB)
under the Paperwork Reduction Act, 44 U.S.C. 3501 et seq. The
information collection requirements are not enforceable until OMB
approves them. The information collection request has been updated
since the July 22 proposed rule to reflect the final rule requirements
and to respond to public comments. The EPA ICR number for this next
submission will be 2310.03 and the OMB control number will be 2050-
0202.
Several information requirements established for this action are
voluntary to the extent that the conditional exclusions being finalized
today are voluntary and represent an overall reduction in burden, as
compared with the alternative information requirements associated with
managing hazardous secondary materials as hazardous waste. The
information requirements help ensure that: (1) Entities operating under
today's rule are held accountable to the applicable requirements; and
(2) inspectors can verify compliance with the conditions of today's
rule when needed.
EPA estimates the total annual burden to respondents under the new
paperwork requirements as a result of the final rule changes to be
34,454 hours and $68,071 in operations and maintenance costs
($2,378,111, including labor costs), respectively. Burden and costs
continuing from the 2008 ICR No. 2310.02 include 2,034 hours and $299
in operations and maintenance ($144,235, including labor costs),
respectively. The total annual burden and operations and maintenance
costs are estimated at 36,488 hours and $68,370 in operations and
maintenance costs, or 109,464 hours and $205,110 in operations and
maintenance over three years. Burden is defined at 5 CFR 1320.3(b).
An agency may not conduct or sponsor, and a person is not required
to respond to, a collection of information unless it displays a
currently valid OMB control number. The OMB control numbers for EPA's
regulations in 40 CFR are listed in 40 CFR part 9. When this ICR is
approved by OMB, the Agency will publish a technical amendment to 40
CFR part 9 in the Federal Register to display the OMB control number
for the approved information collection requirements contained in this
final rule.
C. Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA) generally requires an agency
to prepare a regulatory flexibility analysis of any rule subject to
notice and comment rulemaking requirements under the Administrative
Procedure Act or any other statute unless the agency certifies that the
rule will not have a significant economic impact on a substantial
number of small entities. Small entities include small businesses,
small organizations, and small governmental jurisdictions.
For purposes of assessing the impacts of today's rule on small
entities, small entity is defined as: (1) A small business based on
small size standards defined by the Small Business Administration's
(SBA) regulations at 13 CFR 121.201 for 27 NAICS codes with the largest
number of affected entities; (2) a small governmental jurisdiction that
is a government of a city, county, town, school district or special
district with a population of less than 50,000; and (3) a small
organization that is any not-for-profit enterprise which is
independently owned and operated and is not dominant in its field.
After considering the economic impacts of today's final rule on
small entities, I certify that this action will not have a significant
economic impact on a substantial number of small entities. The small
entities directly regulated by this final rule are primarily small
businesses in the manufacturing sector (i.e., NAICS codes 32 and 33).
We have determined that the average annual impact on small businesses
is estimated to be significantly less than 1% of annual business sales
for all small entities.
Although this final rule will not have a significant economic
impact on a substantial number of small entities, EPA nonetheless has
tried to reduce the impact of this rule on small entities. Comments
were requested, and the comment period was extended once until October
20, 2011. In September 2011, EPA held two public meetings to accept
public comment on the proposal in Philadelphia, PA and in Chicago, IL.
[[Page 1770]]
D. Unfunded Mandates Reform Act
This rule does not contain a Federal mandate that may result in
expenditures of $100 million or more for state, local, and Tribal
governments, in the aggregate, or the private sector in any one year.
EPA's RIA for today's action estimates the maximum state government
share of future direct costs for complying with today's action is $0.3
million per year. No impacts are expected for local or Tribal
governments. Because these direct costs are well below the $100 million
annual direct cost threshold, this rule is not subject to the
requirements of sections 202 or 205 of UMRA.
This rule is also not subject to the requirements of section 203 of
UMRA because it contains no regulatory requirements that might
significantly or uniquely affect small governments.
E. Executive Order 13132: Federalism
This action does not have federalism implications. It will not have
substantial direct effects on the States, on the relationship between
the national government and the States, or on the distribution of power
and responsibilities among the various levels of government, as
specified in Executive Order 13132.
The RIA estimates that the state government share of future
annualized direct costs is $0.3 million per year. No added costs are
expected for local or tribal governments. Because these direct costs
are well below the $25 million Federalism test threshold, EPA concludes
that Executive Order 13132 does not apply to today's action.
F. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
Subject to the Executive Order 13175 (65 FR 67249, November 9,
2000), EPA may not issue a regulation that has tribal implications,
that imposes substantial direct compliance costs, and that is not
required by statute, unless the Federal government provides the funds
necessary to pay the direct compliance costs incurred by tribal
governments, or EPA consults with tribal officials early in the process
of developing the regulation and develops a tribal summary impact
statement.
EPA has concluded that this action may have tribal implications.
However, it will neither impose substantial direct compliance costs on
tribal governments, nor preempt tribal law. Under the RCRA statute, the
federal government implements hazardous waste regulations directly in
Indian Country. Thus, the changes to the hazardous waste regulations
promulgated today would not impose any direct costs on tribal
governments. In addition, currently there are no facilities operating
on land controlled by tribal governments, but if such facilities did
locate in such areas, then this action could have tribal implications,
to the extent that the rule is intended to address potential adverse
impacts of the 2008 DSW final rule.
EPA consulted with tribal officials early in the process of
developing this regulation to ensure they had an opportunity for
meaningful and timely input into its development. Specifically, tribal
representatives participated in the public meetings EPA held on the
draft environmental justice methodology and noted that the Bureau of
Census data used as the basis for the demographic analysis may
undercount indigenous populations. EPA also sent a consultation letter
to all federally recognized tribes requesting a consultation on the
2011 DSW proposal and held a tribes-only live webinar on August 11,
2011 to allow tribal official the opportunity to ask questions and
offer input into the proposed rule. EPA did not receive formal comments
from tribal officials during the consultation process.
G. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
This action is not subject to EO 13045 (62 FR 19885, April 23,
1997) because it is not economically significant as defined in EO
12866, and because the Agency does not believe the environmental health
or safety risks addressed by this action present a disproportionate
risk to children. This action's health and risk assessments are
contained in the Potential Adverse Impacts Under the Definition of
Solid Waste Exclusions (Including Potential Disproportionate Adverse
Impacts to Minority and Low-Income Populations) in the docket for
today's rule.
H. Executive Order 13211: Actions That Significantly Affect Energy
Supply, Distribution, or Use
This action is not a ``significant energy action'' as defined in
Executive Order 13211 (66 FR 28355, May 22, 2001), because it is not
likely to have a significant adverse effect on the supply,
distribution, or use of energy. EPA does not expect today's final rule
to adversely affect the supply, distribution, or use of energy.
On the contrary, EPA expects that at least two elements of today's
final rule may provide future annual energy savings by (a) inducing
under today's solvent remanufacturing exclusion larger future annual
quantities of industrial processing solvents which get recycled rather
than disposed (i.e., incinerated) thereby reducing the relatively
higher lifecycle energy and other lifecycle resource impacts associated
with manufacturing virgin solvents, and (b) inducing more state
governments to adopt the other DSW exclusions which are revised under
today's final rule, thereby generally stimulating other types of
industrial recycling of hazardous secondary materials (HSM), which EPA
also expects may reduce adverse lifecycle impacts on the economy and
environment compared to the lifecycle impacts of producing virgin
materials for which larger future annual quantities of recycled HSM may
substitute. Thus, Executive Order 13211 does not apply to this rule.
I. National Technology Transfer and Advancement Act
Section 12(d) of the National Technology Transfer and Advancement
Act of 1995 (NTTAA), Public Law 104-113, 12(d) (15 U.S.C. 272 note)
directs EPA to use voluntary consensus standards in its regulatory
activities unless to do so would be inconsistent with applicable law or
otherwise impractical. Voluntary consensus standards are technical
standards (e.g., materials specifications, test methods, sampling
procedures, and business practices) that are developed or adopted by
voluntary consensus standards bodies. NTTAA directs EPA to provide
Congress, through OMB, explanations when the Agency decides not to use
available and applicable voluntary consensus standards.
This action does not involve technical standards. Therefore, EPA
did not consider the use of any voluntary consensus standards.
J. Executive Order 12898: Environmental Justice
Executive Order 12898 (59 FR 7629 (Feb. 16, 1994)) establishes
federal executive policy on environmental justice. Its main provision
directs federal agencies, to the greatest extent practicable and
permitted by law, to make environmental justice part of their mission
by identifying and addressing, as appropriate, disproportionately high
and adverse human health or environmental effects of their programs,
policies, and activities on minority populations and low-income
populations in the United States.
EPA has determined that this final rule will not have
disproportionately high and adverse human health or
[[Page 1771]]
environmental effects on minority or low-income populations because it
increases the level of environmental protection for all affected
populations without having any disproportionately high and adverse
human health or environmental effects on any population, including any
minority or low-income population. The purpose of this final rule is to
revise the 2008 DSW final rule in such a way that reduces potential
adverse impacts, including potential disproportionate impacts to
minority and low-impact communities. For further information on the
potential for disproportionate impacts to minority and low-income
populations, see the Potential Adverse Impacts Under the Definition of
Solid Waste Exclusions (Including Potential Disproportionate Adverse
Impacts to Minority and Low-Income Populations) in the docket for
today's rule.
K. Congressional Review Act
The Congressional Review Act, 5 U.S.C. 801 et seq., as added by the
Small Business Regulatory Enforcement Fairness Act of 1996, generally
provides that before a rule may take effect, the agency promulgating
the rule must submit a rule report, which includes a copy of the rule,
to each House of the Congress and to the Comptroller General of the
United States. EPA will submit a report containing this rule and other
required information to the U.S. Senate, the U.S. House of
Representatives, and the Comptroller General of the United States prior
to publication of the rule in the Federal Register. A Major rule cannot
take effect until 60 days after it is published in the Federal
Register. This action is not a ``major rule'' as defined by 5 U.S.C.
804(2). This rule will be effective on July 13, 2015.
List of Subjects
40 CFR Part 260
Environmental protection, Administrative practice and procedure,
Confidential business information, Hazardous waste, Reporting and
recordkeeping requirements.
40 CFR Part 261
Environmental protection, Hazardous waste, Incorporation by
reference, Recycling, Solid waste.
Dated: December 10, 2014.
Gina McCarthy,
Administrator.
For the reasons set out in the preamble, title 40, chapter I of the
Code of Federal Regulations is amended as follows:
PART 260--HAZARDOUS WASTE MANAGEMENT SYSTEM: GENERAL
0
1. The authority citation for part 260 continues to read as follows:
Authority: 42 U.S.C. 6905, 6912(a), 6921-6927, 6930, 6935,
6937, 6938, 6939 and 6974.
Subpart B--Definitions
0
2. Section 260.10 is amended as follows:
0
a. Add in alphabetical order the definition of ``Contained;''
0
b. Remove the definition of ``Hazardous secondary material generated
and reclaimed under the control of the generator;'' and
0
c. Add in alphabetical order the definition of ``Remanufacturing,''
The additions read as follows:
Sec. 260.10 Definitions
* * * * *
Contained means held in a unit (including a land-based unit as
defined in this subpart) that meets the following criteria:
(1) The unit is in good condition, with no leaks or other
continuing or intermittent unpermitted releases of the hazardous
secondary materials to the environment, and is designed, as appropriate
for the hazardous secondary materials, to prevent releases of hazardous
secondary materials to the environment. Unpermitted releases are
releases that are not covered by a permit (such as a permit to
discharge to water or air) and may include, but are not limited to,
releases through surface transport by precipitation runoff, releases to
soil and groundwater, wind-blown dust, fugitive air emissions, and
catastrophic unit failures;
(2) The unit is properly labeled or otherwise has a system (such as
a log) to immediately identify the hazardous secondary materials in the
unit; and
(3) The unit holds hazardous secondary materials that are
compatible with other hazardous secondary materials placed in the unit
and is compatible with the materials used to construct the unit and
addresses any potential risks of fires or explosions.
(4) Hazardous secondary materials in units that meet the applicable
requirements of 40 CFR parts 264 or 265 are presumptively contained.
* * * * *
Remanufacturing means processing a higher-value hazardous secondary
material in order to manufacture a product that serves a similar
functional purpose as the original commercial-grade material. For the
purpose of this definition, a hazardous secondary material is
considered higher-value if it was generated from the use of a
commercial-grade material in a manufacturing process and can be
remanufactured into a similar commercial-grade material.
* * * * *
Subpart C--Rulemaking Petitions
0
3. Section 260.30 is amended by adding paragraph (f) to read as
follows:
Sec. 260.30 Non-waste determinations and variances from
classification as a solid waste.
* * * * *
(f) Hazardous secondary materials that are transferred for
reclamation under Sec. 261.4(a)(24) and are managed at a verified
reclamation facility or intermediate facility where the management of
the hazardous secondary materials is not addressed under a RCRA Part B
permit or interim status standards.
0
4. Section 260.31 is amended by revising paragraph (c) and adding
paragraph (d) to read as follows:
Sec. 260.31 Standards and criteria for variances from classification
as a solid waste.
* * * * *
(c) The Administrator may grant requests for a variance from
classifying as a solid waste those hazardous secondary materials that
have been partially reclaimed, but must be reclaimed further before
recovery is completed, if the partial reclamation has produced a
commodity-like material. A determination that a partially-reclaimed
material for which the variance is sought is commodity-like will be
based on whether the hazardous secondary material is legitimately
recycled as specified in Sec. 260.43 of this part and on whether all
of the following decision criteria are satisfied:
(1) Whether the degree of partial reclamation the material has
undergone is substantial as demonstrated by using a partial reclamation
process other than the process that generated the hazardous waste;
(2) Whether the partially-reclaimed material has sufficient
economic value that it will be purchased for further reclamation;
(3) Whether the partially-reclaimed material is a viable substitute
for a product or intermediate produced from virgin or raw materials
which is used in subsequent production steps;
(4) Whether there is a market for the partially-reclaimed material
as demonstrated by known customer(s) who are further reclaiming the
material (e.g., records of sales and/or contracts
[[Page 1772]]
and evidence of subsequent use, such as bills of lading);
(5) Whether the partially-reclaimed material is handled to minimize
loss.
(d) The Administrator may grant requests for a variance from
classifying as a solid waste those hazardous secondary materials that
are transferred for reclamation under Sec. 261.4(a)(24) and are
managed at a verified reclamation facility or intermediate facility
where the management of the hazardous secondary materials is not
addressed under a RCRA Part B permit or interim status standards. The
Administrator's decision will be based on the following criteria:
(1) The reclamation facility or intermediate facility must
demonstrate that the reclamation process for the hazardous secondary
materials is legitimate pursuant to Sec. 260.43;
(2) The reclamation facility or intermediate facility must satisfy
the financial assurance condition in Sec. 261.4(a)(24)(vi)(F);
(3) The reclamation facility or intermediate facility must not be
subject to a formal enforcement action in the previous three years and
not be classified as a significant non-complier under RCRA Subtitle C,
or must provide credible evidence that the facility will manage the
hazardous secondary materials properly. Credible evidence may include a
demonstration that the facility has taken remedial steps to address the
violations and prevent future violations, or that the violations are
not relevant to the proper management of the hazardous secondary
materials;
(4) The intermediate or reclamation facility must have the
equipment and trained personnel needed to safely manage the hazardous
secondary material and must meet emergency preparedness and response
requirements under 40 CFR part 261 subpart M;
(5) If residuals are generated from the reclamation of the excluded
hazardous secondary materials, the reclamation facility must have the
permits required (if any) to manage the residuals, have a contract with
an appropriately permitted facility to dispose of the residuals or
present credible evidence that the residuals will be managed in a
manner that is protective of human health and the environment, and
(6) The intermediate or reclamation facility must address the
potential for risk to proximate populations from unpermitted releases
of the hazardous secondary material to the environment (i.e., releases
that are not covered by a permit, such as a permit to discharge to
water or air), which may include, but are not limited to, potential
releases through surface transport by precipitation runoff, releases to
soil and groundwater, wind-blown dust, fugitive air emissions, and
catastrophic unit failures), and must include consideration of
potential cumulative risks from other nearby potential stressors.
0
5. Section 260.33 is amended by revising paragraph (c) and adding
paragraphs (d) and (e) to read as follows:
Sec. 260.33 Procedures for variances from classification as a solid
waste, for variances to be classified as a boiler, or for non-waste
determinations.
* * * * *
(c) In the event of a change in circumstances that affect how a
hazardous secondary material meets the relevant criteria contained in
Sec. 260.31, Sec. 260.32, or Sec. 260.34 upon which a variance or
non-waste determination has been based, the applicant must send a
description of the change in circumstances to the Administrator. The
Administrator may issue a determination that the hazardous secondary
material continues to meet the relevant criteria of the variance or
non-waste determination or may require the facility to re-apply for the
variance or non-waste determination.
(d) Variances and non-waste determinations shall be effective for a
fixed term not to exceed ten years. No later than six months prior to
the end of this term, facilities must re-apply for a variance or non-
waste determination. If a facility re-applies for a variance or non-
waste determination within six months, the facility may continue to
operate under an expired variance or non-waste determination until
receiving a decision on their re-application from the Administrator.
(e) Facilities receiving a variance or non-waste determination must
provide notification as required by Sec. 260.42 of this chapter.
0
6. Section 260.34 is amended by revising paragraphs (b)(4) and (c)(5)
to read as follows:
Sec. 260.34 Standards and criteria for non-waste determinations.
* * * * *
(b) * * *
(4) Other relevant factors that demonstrate the hazardous secondary
material is not discarded, including why the hazardous secondary
material cannot meet, or should not have to meet, the conditions of an
exclusion under Sec. 261.2 or Sec. 261.4 of this chapter.
(c) * * *
(5) Other relevant factors that demonstrate the hazardous secondary
material is not discarded, including why the hazardous secondary
material cannot meet, or should not have to meet, the conditions of an
exclusion under Sec. 261.2 or Sec. 261.4 of this chapter.
0
7. Section 260.42 is amended by revising paragraphs (a) introductory
text, (a)(4) through (9), removing paragraph (a)(10), and revising
paragraph (b).
The revisions read as follows:
Sec. 260.42 Notification requirement for hazardous secondary
materials.
(a) Facilities managing hazardous secondary materials under
Sec. Sec. 260.30, 261.4(a)(23), 261.4(a)(24), or 261.4(a)(27) must
send a notification prior to operating under the regulatory provision
and by March 1 of each even-numbered year thereafter to the Regional
Administrator using EPA Form 8700-12 that includes the following
information:
* * * * *
(4) The regulation under which the hazardous secondary materials
will be managed;
(5) When the facility began or expects to begin managing the
hazardous secondary materials in accordance with the regulation;
(6) A list of hazardous secondary materials that will be managed
according to the regulation (reported as the EPA hazardous waste
numbers that would apply if the hazardous secondary materials were
managed as hazardous wastes);
(7) For each hazardous secondary material, whether the hazardous
secondary material, or any portion thereof, will be managed in a land-
based unit;
(8) The quantity of each hazardous secondary material to be managed
annually; and
(9) The certification (included in EPA Form 8700-12) signed and
dated by an authorized representative of the facility.
(b) If a facility managing hazardous secondary materials has
submitted a notification, but then subsequently stops managing
hazardous secondary materials in accordance with the regulation(s)
listed above, the facility must notify the Regional Administrator
within thirty (30) days using EPA Form 8700-12. For purposes of this
section, a facility has stopped managing hazardous secondary materials
if the facility no longer generates, manages and/or reclaims hazardous
secondary materials under the regulation(s) above and does not expect
to manage any amount of hazardous secondary materials for at least 1
year.
0
8. Section 260.43 is amended by revising the section heading and
[[Page 1773]]
paragraph (a) and removing and reserving paragraphs (b) and (c).
The revision reads as follows:
Sec. 260.43 Legitimate recycling of hazardous secondary materials.
(a) Recycling of hazardous secondary materials for the purpose of
the exclusions or exemptions from the hazardous waste regulations must
be legitimate. Hazardous secondary material that is not legitimately
recycled is discarded material and is a solid waste. In determining if
their recycling is legitimate, persons must address all the
requirements of this paragraph.
(1) Legitimate recycling must involve a hazardous secondary
material that provides a useful contribution to the recycling process
or to a product or intermediate of the recycling process. The hazardous
secondary material provides a useful contribution if it:
(i) Contributes valuable ingredients to a product or intermediate;
or
(ii) Replaces a catalyst or carrier in the recycling process; or
(iii) Is the source of a valuable constituent recovered in the
recycling process; or
(iv) Is recovered or regenerated by the recycling process; or
(v) Is used as an effective substitute for a commercial product.
(2) The recycling process must produce a valuable product or
intermediate. The product or intermediate is valuable if it is:
(i) Sold to a third party; or
(ii) Used by the recycler or the generator as an effective
substitute for a commercial product or as an ingredient or intermediate
in an industrial process.
(3) The generator and the recycler must manage the hazardous
secondary material as a valuable commodity when it is under their
control. Where there is an analogous raw material, the hazardous
secondary material must be managed, at a minimum, in a manner
consistent with the management of the raw material or in an equally
protective manner. Where there is no analogous raw material, the
hazardous secondary material must be contained. Hazardous secondary
materials that are released to the environment and are not recovered
immediately are discarded.
(4) The product of the recycling process must be comparable to a
legitimate product or intermediate:
(i) Where there is an analogous product or intermediate, the
product of the recycling process is comparable to a legitimate product
or intermediate if:
(A) The product of the recycling process does not exhibit a
hazardous characteristic (as defined in part 261 subpart C) that
analogous products do not exhibit, and
(B) The concentrations of any hazardous constituents found in
appendix VIII of part 261 of this chapter that are in the product or
intermediate are at levels that are comparable to or lower than those
found in analogous products or at levels that meet widely-recognized
commodity standards and specifications, in the case where the commodity
standards and specifications include levels that specifically address
those hazardous constituents.
(ii) Where there is no analogous product, the product of the
recycling process is comparable to a legitimate product or intermediate
if:
(A) The product of the recycling process is a commodity that meets
widely recognized commodity standards and specifications (e.g.,
commodity specification grades for common metals), or
(B) The hazardous secondary materials being recycled are returned
to the original process or processes from which they were generated to
be reused (e.g., closed loop recycling).
(iii) If the product of the recycling process has levels of
hazardous constituents that are not comparable to or unable to be
compared to a legitimate product or intermediate per paragraph
(a)(4)(i) or (ii) of this section, the recycling still may be shown to
be legitimate, if it meets the following specified requirements. The
person performing the recycling must conduct the necessary assessment
and prepare documentation showing why the recycling is, in fact, still
legitimate. The recycling can be shown to be legitimate based on lack
of exposure from toxics in the product, lack of the bioavailability of
the toxics in the product, or other relevant considerations which show
that the recycled product does not contain levels of hazardous
constituents that pose a significant human health or environmental
risk. The documentation must include a certification statement that the
recycling is legitimate and must be maintained on-site for three years
after the recycling operation has ceased. The person performing the
recycling must notify the Regional Administrator of this activity using
EPA Form 8700-12.
* * * * *
PART 261--IDENTIFICATION AND LISTING OF HAZARDOUS WASTE
0
9. The authority citation for part 261 continues to read as follows:
Authority: 42 U.S.C. 6905, 6912(a), 6921, 6922, 6924(y) and
6938.
Subpart A--General
0
10. Section 261.1 is amended by revising paragraphs (c)(4) and (8) to
read as follows:
Sec. 261.1 Purpose and scope.
* * * * *
(c) * * *
(4) A material is ``reclaimed'' if it is processed to recover a
usable product, or if it is regenerated. Examples are recovery of lead
values from spent batteries and regeneration of spent solvents. In
addition, for purposes of Sec. 261.4(a)(23) and (24), smelting,
melting, and refining furnaces are considered to be solely engaged in
metals reclamation if the metal recovery from the hazardous secondary
materials meets the same requirements as those specified for metals
recovery from hazardous waste found in Sec. 266.100(d)(1) through (3)
of this chapter, and if the residuals meet the requirements specified
in Sec. 266.112 of this chapter.
* * * * *
(8) A material is ``accumulated speculatively'' if it is
accumulated before being recycled. A material is not accumulated
speculatively, however, if the person accumulating it can show that the
material is potentially recyclable and has a feasible means of being
recycled; and that--during the calendar year (commencing on January
1)--the amount of material that is recycled, or transferred to a
different site for recycling, equals at least 75 percent by weight or
volume of the amount of that material accumulated at the beginning of
the period. Materials must be placed in a storage unit with a label
indicating the first date that the material began to be accumulated. If
placing a label on the storage unit is not practicable, the
accumulation period must be documented through an inventory log or
other appropriate method. In calculating the percentage of turnover,
the 75 percent requirement is to be applied to each material of the
same type (e.g., slags from a single smelting process) that is recycled
in the same way (i.e., from which the same material is recovered or
that is used in the same way). Materials accumulating in units that
would be exempt from regulation under Sec. 261.4(c) are not to be
included in making the calculation. Materials that are already defined
as solid wastes also are not to be included in making the calculation.
Materials are no longer in this category once they are removed from
accumulation for recycling, however.
* * * * *
[[Page 1774]]
0
11. Section 261.2 is amended as follows:
0
a. Remove and reserve paragraph (a)(2)(ii);
0
b. Revise paragraph (b)(3);
0
c. Add paragraph (b)(4);
0
d. Revise paragraph (c)(3) and table 1 in paragraph (c)(4); and
0
e. Add paragraph (g).
The revisions and additions text reads as follows:
Sec. 261.2 Definition of solid waste.
* * * * *
(b) * * *
(3) Accumulated, stored, or treated (but not recycled) before or in
lieu of being abandoned by being disposed of, burned or incinerated; or
(4) Sham recycled, as explained in paragraph (g) of this section.
* * * * *
(c) * * *
(3) Reclaimed. Materials noted with a ``-'' in column 3 of Table 1
are not solid wastes when reclaimed. Materials noted with an ``*'' in
column 3 of Table 1 are solid wastes when reclaimed unless they meet
the requirements of Sec. Sec. 261.4(a)(17), or 261.4(a)(23),
261.4(a)(24), or 261.4(a)(27).
(4) * * *
Table 1
----------------------------------------------------------------------------------------------------------------
Reclamation
(Sec.
261.2(c)(3)),
Use Energy except as Speculative
constituting recovery/fuel provided in accumulation
disposal (Sec. (Sec. Sec. Sec. (Sec.
261.2(c)(1)) 261.2(c)(2)) 261.4(a)(17), 261.2(c)(4))
261.4(a)(23),
261.4(a)(24) or
261.4(a)(27)
----------------------------------------------------------------------------------------------------------------
1 2 3 4
----------------------------------------------------------------------------------------------------------------
Spent Materials............................. (*) (*) (*) (*)
Sludges (listed in 40 CFR Part 261.31 or (*) (*) (*) (*)
261.32)....................................
Sludges exhibiting a characteristic of (*) (*) ............... (*)
hazardous waste............................
By-products (listed in 40 CFR 261.31 or (*) (*) (*) (*)
261.32)....................................
By-products exhibiting a characteristic of (*) (*) ............... (*)
hazardous waste............................
Commercial chemical products listed in 40 (*) (*) ............... ...............
CFR 261.33.................................
Scrap metal that is not excluded under 40 (*) (*) (*) (*)
CFR 261.4(a)(13)...........................
----------------------------------------------------------------------------------------------------------------
Note: The terms ``spent materials,'' ``sludges,'' ``by-products,'' and ``scrap metal'' and ``processed scrap
metal'' are defined in Sec. 261.1.
* * * * *
(g) Sham recycling. A hazardous secondary material found to be sham
recycled is considered discarded and a solid waste. Sham recycling is
recycling that is not legitimate recycling as defined in Sec. 260.43.
0
12. Section 261.4 is amended as follows:
0
a. Republish paragraph (a) introductory text;
0
b. Revise paragraph (a)(23) and (24);
0
c. Remove and reserve paragraph (a)(25); and
0
d. Add paragraph (a)(27).
The revisions and addition as follows:
Sec. 261.4 Exclusions.
(a) Materials which are not solid wastes. The following materials
are not solid wastes for the purpose of this part:
* * * * *
(23) Hazardous secondary material generated and legitimately
reclaimed within the United States or its territories and under the
control of the generator, provided that the material complies with
paragraphs (a)(23)(i) and (ii) of this section:
(i)(A) The hazardous secondary material is generated and reclaimed
at the generating facility (for purposes of this definition, generating
facility means all contiguous property owned, leased, or otherwise
controlled by the hazardous secondary material generator); or
(B) The hazardous secondary material is generated and reclaimed at
different facilities, if the reclaiming facility is controlled by the
generator or if both the generating facility and the reclaiming
facility are controlled by a person as defined in Sec. 260.10 of this
chapter, and if the generator provides one of the following
certifications: ``on behalf of [insert generator facility name], I
certify that this facility will send the indicated hazardous secondary
material to [insert reclaimer facility name], which is controlled by
[insert generator facility name] and that [insert name of either
facility] has acknowledged full responsibility for the safe management
of the hazardous secondary material,'' or ``on behalf of [insert
generator facility name], I certify that this facility will send the
indicated hazardous secondary material to [insert reclaimer facility
name], that both facilities are under common control, and that [insert
name of either facility] has acknowledged full responsibility for the
safe management of the hazardous secondary material.'' For purposes of
this paragraph, ``control'' means the power to direct the policies of
the facility, whether by the ownership of stock, voting rights, or
otherwise, except that contractors who operate facilities on behalf of
a different person as defined in Sec. 260.10 shall not be deemed to
``control'' such facilities. The generating and receiving facilities
must both maintain at their facilities for no less than three years
records of hazardous secondary materials sent or received under this
exclusion. In both cases, the records must contain the name of the
transporter, the date of the shipment, and the type and quantity of the
hazardous secondary material shipped or received under the exclusion.
These requirements may be satisfied by routine business records (e.g.,
financial records, bills of lading, copies of DOT shipping papers, or
electronic confirmations); or
(C) The hazardous secondary material is generated pursuant to a
written contract between a tolling contractor and a toll manufacturer
and is reclaimed by the tolling contractor, if the tolling contractor
certifies the following: ``On behalf of [insert tolling contractor
name], I certify that [insert tolling contractor name] has a written
contract with [insert toll manufacturer name] to manufacture [insert
name of product or intermediate] which is made from specified unused
materials, and that [insert tolling contractor name] will reclaim the
hazardous secondary materials generated during this manufacture. On
behalf of [insert tolling contractor name], I also certify that [insert
tolling contractor name] retains ownership of, and responsibility for,
the
[[Page 1775]]
hazardous secondary materials that are generated during the course of
the manufacture, including any releases of hazardous secondary
materials that occur during the manufacturing process''. The tolling
contractor must maintain at its facility for no less than three years
records of hazardous secondary materials received pursuant to its
written contract with the tolling manufacturer, and the tolling
manufacturer must maintain at its facility for no less than three years
records of hazardous secondary materials shipped pursuant to its
written contract with the tolling contractor. In both cases, the
records must contain the name of the transporter, the date of the
shipment, and the type and quantity of the hazardous secondary material
shipped or received pursuant to the written contract. These
requirements may be satisfied by routine business records (e.g.,
financial records, bills of lading, copies of DOT shipping papers, or
electronic confirmations). For purposes of this paragraph, tolling
contractor means a person who arranges for the production of a product
or intermediate made from specified unused materials through a written
contract with a toll manufacturer. Toll manufacturer means a person who
produces a product or intermediate made from specified unused materials
pursuant to a written contract with a tolling contractor.
(ii)(A) The hazardous secondary material is contained as defined in
Sec. 260.10 of this chapter. A hazardous secondary material released
to the environment is discarded and a solid waste unless it is
immediately recovered for the purpose of reclamation. Hazardous
secondary material managed in a unit with leaks or other continuing or
intermittent unpermitted releases is discarded and a solid waste.
(B) The hazardous secondary material is not speculatively
accumulated, as defined in Sec. 261.1(c)(8).
(C) Notice is provided as required by Sec. 260.42 of this chapter.
(D) The material is not otherwise subject to material-specific
management conditions under paragraph (a) of this section when
reclaimed, and it is not a spent lead-acid battery (see Sec. 266.80
and Sec. 273.2 of this chapter).
(E) Persons performing the recycling of hazardous secondary
materials under this exclusion must maintain documentation of their
legitimacy determination on-site. Documentation must be a written
description of how the recycling meets all four factors in Sec.
260.43(a). Documentation must be maintained for three years after the
recycling operation has ceased.
(F) The emergency preparedness and response requirements found in
subpart M of this part are met.
(24) Hazardous secondary material that is generated and then
transferred to a verified reclamation facility for the purpose of
reclamation is not a solid waste, provided that:
(i) The material is not speculatively accumulated, as defined in
Sec. 261.1(c)(8);
(ii) The material is not handled by any person or facility other
than the hazardous secondary material generator, the transporter, an
intermediate facility or a reclaimer, and, while in transport, is not
stored for more than 10 days at a transfer facility, as defined in
Sec. 260.10 of this chapter, and is packaged according to applicable
Department of Transportation regulations at 49 CFR parts 173, 178, and
179 while in transport;
(iii) The material is not otherwise subject to material-specific
management conditions under this paragraph (a) when reclaimed, and it
is not a spent lead-acid battery (see Sec. Sec. 266.80 and 273.2 of
this chapter);
(iv) The reclamation of the material is legitimate, as specified
under Sec. 260.43 of this chapter;
(v) The hazardous secondary material generator satisfies all of the
following conditions:
(A) The material must be contained as defined in Sec. 260.10. A
hazardous secondary material released to the environment is discarded
and a solid waste unless it is immediately recovered for the purpose of
recycling. Hazardous secondary material managed in a unit with leaks or
other continuing releases is discarded and a solid waste.
(B) The hazardous secondary material generator must arrange for
transport of hazardous secondary materials to a verified reclamation
facility (or facilities) in the United States. A verified reclamation
facility is a facility that has been granted a variance under Sec.
260.31(d), or a reclamation facility where the management of the
hazardous secondary materials is addressed under a RCRA Part B permit
or interim status standards. If the hazardous secondary material will
be passing through an intermediate facility, the intermediate facility
must have been granted a variance under Sec. 260.31(d) or the
management of the hazardous secondary materials at that facility must
be addressed under a RCRA Part B permit or interim status standards,
and the hazardous secondary material generator must make contractual
arrangements with the intermediate facility to ensure that the
hazardous secondary material is sent to the reclamation facility
identified by the hazardous secondary material generator.
(C) The hazardous secondary material generator must maintain at the
generating facility for no less than three (3) years records of all
off-site shipments of hazardous secondary materials. For each shipment,
these records must, at a minimum, contain the following information:
(1) Name of the transporter and date of the shipment;
(2) Name and address of each reclaimer and, if applicable, the name
and address of each intermediate facility to which the hazardous
secondary material was sent;
(3) The type and quantity of hazardous secondary material in the
shipment.
(D) The hazardous secondary material generator must maintain at the
generating facility for no less than three (3) years confirmations of
receipt from each reclaimer and, if applicable, each intermediate
facility for all off-site shipments of hazardous secondary materials.
Confirmations of receipt must include the name and address of the
reclaimer (or intermediate facility), the type and quantity of the
hazardous secondary materials received and the date which the hazardous
secondary materials were received. This requirement may be satisfied by
routine business records (e.g., financial records, bills of lading,
copies of DOT shipping papers, or electronic confirmations of receipt);
(E) The hazardous secondary material generator must comply with the
emergency preparedness and response conditions in subpart M of this
part.
(vi) Reclaimers of hazardous secondary material excluded from
regulation under this exclusion and intermediate facilities as defined
in Sec. 260.10 of this chapter satisfy all of the following
conditions:
(A) The reclaimer and intermediate facility must maintain at its
facility for no less than three (3) years records of all shipments of
hazardous secondary material that were received at the facility and, if
applicable, for all shipments of hazardous secondary materials that
were received and subsequently sent off-site from the facility for
further reclamation. For each shipment, these records must at a minimum
contain the following information:
(1) Name of the transporter and date of the shipment;
(2) Name and address of the hazardous secondary material generator
and, if applicable, the name and address of the reclaimer or
intermediate facility
[[Page 1776]]
which the hazardous secondary materials were received from;
(3) The type and quantity of hazardous secondary material in the
shipment; and
(4) For hazardous secondary materials that, after being received by
the reclaimer or intermediate facility, were subsequently transferred
off-site for further reclamation, the name and address of the
(subsequent) reclaimer and, if applicable, the name and address of each
intermediate facility to which the hazardous secondary material was
sent.
(B) The intermediate facility must send the hazardous secondary
material to the reclaimer(s) designated by the hazardous secondary
materials generator.
(C) The reclaimer and intermediate facility must send to the
hazardous secondary material generator confirmations of receipt for all
off-site shipments of hazardous secondary materials. Confirmations of
receipt must include the name and address of the reclaimer (or
intermediate facility), the type and quantity of the hazardous
secondary materials received and the date which the hazardous secondary
materials were received. This requirement may be satisfied by routine
business records (e.g., financial records, bills of lading, copies of
DOT shipping papers, or electronic confirmations of receipt).
(D) The reclaimer and intermediate facility must manage the
hazardous secondary material in a manner that is at least as protective
as that employed for analogous raw material and must be contained. An
``analogous raw material'' is a raw material for which a hazardous
secondary material is a substitute and serves the same function and has
similar physical and chemical properties as the hazardous secondary
material.
(E) Any residuals that are generated from reclamation processes
will be managed in a manner that is protective of human health and the
environment. If any residuals exhibit a hazardous characteristic
according to subpart C of 40 CFR part 261, or if they themselves are
specifically listed in subpart D of 40 CFR part 261, such residuals are
hazardous wastes and must be managed in accordance with the applicable
requirements of 40 CFR parts 260 through 272.
(F) The reclaimer and intermediate facility have financial
assurance as required under subpart H of 40 CFR part 261,
(G) The reclaimer and intermediate facility have been granted a
variance under Sec. 260.31(d) or have a RCRA Part B permit or interim
status standards that address the management of the hazardous secondary
materials; and
(vii) All persons claiming the exclusion under this paragraph
(a)(24) of this section provide notification as required under Sec.
260.42 of this chapter.
* * * * *
(27) Hazardous secondary material that is generated and then
transferred to another person for the purpose of remanufacturing is not
a solid waste, provided that:
(i) The hazardous secondary material consists of one or more of the
following spent solvents: Toluene, xylenes, ethylbenzene, 1,2,4-
trimethylbenzene, chlorobenzene, n-hexane, cyclohexane, methyl tert-
butyl ether, acetonitrile, chloroform, chloromethane, dichloromethane,
methyl isobutyl ketone, NN-dimethylformamide, tetrahydrofuran, n-butyl
alcohol, ethanol, and/or methanol;
(ii) The hazardous secondary material originated from using one or
more of the solvents listed in paragraph (a)(27)(i) of this section in
a commercial grade for reacting, extracting, purifying, or blending
chemicals (or for rinsing out the process lines associated with these
functions) in the pharmaceutical manufacturing (NAICS 325412), basic
organic chemical manufacturing (NAICS 325199), plastics and resins
manufacturing (NAICS 325211), and/or the paints and coatings
manufacturing sectors (NAICS 325510).
(iii) The hazardous secondary material generator sends the
hazardous secondary material spent solvents listed in paragraph
(a)(27)(i) of this section to a remanufacturer in the pharmaceutical
manufacturing (NAICS 325412), basic organic chemical manufacturing
(NAICS 325199), plastics and resins manufacturing (NAICS 325211), and/
or the paints and coatings manufacturing sectors (NAICS 325510).
(iv) After remanufacturing one or more of the solvents listed in
paragraph (a)(27)(i) of this section, the use of the remanufactured
solvent shall be limited to reacting, extracting, purifying, or
blending chemicals (or for rinsing out the process lines associated
with these functions) in the pharmaceutical manufacturing (NAICS
325412), basic organic chemical manufacturing (NAICS 325199), plastics
and resins manufacturing (NAICS 325211), and the paints and coatings
manufacturing sectors (NAICS 325510) or to using them as ingredients in
a product. These allowed uses correspond to chemical functional uses
enumerated under the Chemical Data Reporting Rule of the Toxic
Substances Control Act (40 CFR parts 704, 710-711), including
Industrial Function Codes U015 (solvents consumed in a reaction to
produce other chemicals) and U030 (solvents become part of the
mixture);
(v) After remanufacturing one or more of the solvents listed in
paragraph (a)(27)(i) of this section, the use of the remanufactured
solvent does not involve cleaning or degreasing oil, grease, or similar
material from textiles, glassware, metal surfaces, or other articles.
(These disallowed continuing uses correspond to chemical functional
uses in Industrial Function Code U029 under the Chemical Data Reporting
Rule of the Toxics Substances Control Act.); and
(vi) Both the hazardous secondary material generator and the
remanufacturer must:
(A) Notify EPA or the State Director, if the state is authorized
for the program, and update the notification every two years per 40 CFR
260.42;
(B) Develop and maintain an up-to-date remanufacturing plan which
identifies:
(1) The name, address and EPA ID number of the generator(s) and the
remanufacturer(s),
(2) The types and estimated annual volumes of spent solvents to be
remanufactured,
(3) The processes and industry sectors that generate the spent
solvents,
(4) The specific uses and industry sectors for the remanufactured
solvents, and
(5) A certification from the remanufacturer stating ``on behalf of
[insert remanufacturer facility name], I certify that this facility is
a remanufacturer under pharmaceutical manufacturing (NAICS 325412),
basic organic chemical manufacturing (NAICS 325199), plastics and
resins manufacturing (NAICS 325211), and/or the paints and coatings
manufacturing sectors (NAICS 325510), and will accept the spent
solvent(s) for the sole purpose of remanufacturing into commercial-
grade solvent(s) that will be used for reacting, extracting, purifying,
or blending chemicals (or for rinsing out the process lines associated
with these functions) or for use as product ingredient(s). I also
certify that the remanufacturing equipment, vents, and tanks are
equipped with and are operating air emission controls in compliance
with the appropriate Clean Air Act regulations under 40 CFR part 60,
part 61 or part 63, or, absent such Clean Air Act standards for the
particular operation or piece of equipment covered by the
remanufacturing exclusion, are in compliance with the appropriate
standards in 40 CFR part 261, subparts
[[Page 1777]]
AA (vents), BB (equipment) and CC (tank storage),'';
(C) Maintain records of shipments and confirmations of receipts for
a period of three years from the dates of the shipments;
(D) Prior to remanufacturing, store the hazardous spent solvents in
tanks or containers that meet technical standards found in subparts I
and J of 40 CFR part 261, with the tanks and containers being labeled
or otherwise having an immediately available record of the material
being stored;
(E) During remanufacturing, and during storage of the hazardous
secondary materials prior to remanufacturing, the remanufacturer
certifies that the remanufacturing equipment, vents, and tanks are
equipped with and are operating air emission controls in compliance
with the appropriate Clean Air Act regulations under 40 CFR part 60,
part 61 or part 63; or, absent such Clean Air Act standards for the
particular operation or piece of equipment covered by the
remanufacturing exclusion, are in compliance with the appropriate
standards in 40 CFR part 261 subparts AA (vents), BB (equipment) and CC
(tank storage); and
(F) Meet the requirements prohibiting speculative accumulation per
40 CFR 261.1(c)(8).
* * * * *
0
13. Part 261 is amended by:
0
a. Adding Subparts I and J;
0
b. Adding reserved Subparts K and L;
0
c. Adding Subpart M;
0
d. Adding reserved Subparts N through Z; and
0
e. Adding Subparts AA through CC.
The additions read as follows:
Subpart I--Use and Management of Containers
Sec.
261.170 Applicability.
261.171 Condition of containers.
261.172 Compatibility of hazardous secondary materials with
containers.
261.173 Management of containers.
261.175 Containment.
261.176 Special requirements for ignitable or reactive hazardous
secondary material.
261.177 Special requirements for incompatible materials.
261.179 Air emission standards.
Subpart J--Tank Systems
261.190 Applicability.
261.191 Assessment of existing tank system's integrity.
261.192 [Reserved]
261.193 Containment and detection of releases.
261.194 General operating requirements.
261.195 [Reserved]
261.196 Response to leaks or spills and disposition of leaking or
unfit-for-use tank systems.
261.197 Termination of remanufacturing exclusion.
261.198 Special requirements for ignitable or reactive materials.
261.199 Special requirements for incompatible materials.
261.200 Air emission standards.
Subparts K-L [Reserved]
Subpart M--Emergency Preparedness and Response for Management of
Excluded Hazardous Secondary Materials
261.400 Applicability.
261.410 Preparedness and prevention
261.411 Emergency procedures for facilities generating or
accumulating of 6000 kg or less of hazardous secondary material.
261.420 Contingency planning and emergency procedures for facilities
generating or accumulating more than 6000 kg of hazardous secondary
material.
Subparts N-Z [Reserved]
Subpart AA--Air Emission Standards for Process Vents
261.1030 Applicability.
261.1031 Definitions.
261.1032 Standards: Process vents.
261.1033 Standards: Closed-vent systems and control devices.
261.1034 Test methods and procedures.
261.1035 Recordkeeping requirements.
261.1036-261.1049 [Reserved]
Subpart BB--Air Emission Standards for Equipment Leaks
261.1050 Applicability.
261.1051 Definitions.
261.1052 Standards: Pumps in light liquid service.
261.1053 Standards: Compressors.
261.1054 Standards: Pressure relief devices in gas/vapor service.
261.1055 Standards: Sampling connection systems.
261.1056 Standards: Open-ended valves or lines.
261.1057 Standards: Valves in gas/vapor service or in light liquid
service.
261.1058 Standards: Pumps and valves in heavy liquid service,
pressure relief devices in light liquid or heavy liquid service, and
flanges and other connectors.
261.1059 Standards: Delay of repair.
261.1060 Standards: Closed-vent systems and control devices.
261.1061 Alternative standards for valves in gas/vapor service or in
light liquid service: percentage of valves allowed to leak.
261.1062 Alternative standards for valves in gas/vapor service or in
light liquid service: skip period leak detection and repair.
261.1063 Test methods and procedures.
261.1064 Recordkeeping requirements.
261.1065-261.1079 [Reserved]
Subpart CC--Air Emission Standards for Tanks and Containers
261.1080 Applicability.
261.1081 Definitions.
261.1082 Standards: General.
261.1083 Material determination procedures.
261.1084 Standards: Tanks.
261.1085 [Reserved]
261.1086 Standards: Containers.
261.1087 Standards: Closed-vent systems and control devices.
261.1088 Inspection and monitoring requirements.
261.1089 Recordkeeping requirements.
261.1090 [Reserved]
Subpart I--Use and Management of Containers
Sec. 261.170 Applicability.
This subpart applies to hazardous secondary materials excluded
under the remanufacturing exclusion at Sec. 261.4(a)(27) and stored in
containers.
Sec. 261.171 Condition of containers.
If a container holding hazardous secondary material is not in good
condition (e.g., severe rusting, apparent structural defects) or if it
begins to leak, the hazardous secondary material must be transferred
from this container to a container that is in good condition or managed
in some other way that complies with the requirements of this part.
Sec. 261.172 Compatibility of hazardous secondary materials with
containers.
The container must be made of or lined with materials which will
not react with, and are otherwise compatible with, the hazardous
secondary material to be stored, so that the ability of the container
to contain the material is not impaired.
Sec. 261.173 Management of containers.
(a) A container holding hazardous secondary material must always be
closed during storage, except when it is necessary to add or remove the
hazardous secondary material.
(b) A container holding hazardous secondary material must not be
opened, handled, or stored in a manner which may rupture the container
or cause it to leak.
Sec. 261.175 Containment.
(a) Container storage areas must have a containment system that is
designed and operated in accordance with paragraph (b) of this section.
(b) A containment system must be designed and operated as follows:
(1) A base must underlie the containers which is free of cracks or
gaps and is sufficiently impervious to contain leaks, spills, and
accumulated precipitation until the collected material is detected and
removed;
(2) The base must be sloped or the containment system must be
otherwise
[[Page 1778]]
designed and operated to drain and remove liquids resulting from leaks,
spills, or precipitation, unless the containers are elevated or are
otherwise protected from contact with accumulated liquids;
(3) The containment system must have sufficient capacity to contain
10% of the volume of containers or the volume of the largest container,
whichever is greater.
(4) Run-on into the containment system must be prevented unless the
collection system has sufficient excess capacity in addition to that
required in paragraph (b)(3) of this section to contain any run-on
which might enter the system; and
(5) Spilled or leaked material and accumulated precipitation must
be removed from the sump or collection area in as timely a manner as is
necessary to prevent overflow of the collection system.
Sec. 261.176 Special requirements for ignitable or reactive hazardous
secondary material.
Containers holding ignitable or reactive hazardous secondary
material must be located at least 15 meters (50 feet) from the
facility's property line.
Sec. 261.177 Special requirements for incompatible materials.
(a) Incompatible materials must not be placed in the same
container.
(b) Hazardous secondary material must not be placed in an unwashed
container that previously held an incompatible material.
(c) A storage container holding a hazardous secondary material that
is incompatible with any other materials stored nearby must be
separated from the other materials or protected from them by means of a
dike, berm, wall, or other device.
Sec. 261.179 Air emission standards.
The remanufacturer or other person that stores or treats the
hazardous secondary material shall manage all hazardous secondary
material placed in a container in accordance with the applicable
requirements of subparts AA, BB, and CC of this part.
Subpart J--Tank Systems
Sec. 261.190 Applicability.
(a) The requirements of this subpart apply to tank systems for
storing or treating hazardous secondary material excluded under the
remanufacturing exclusion at Sec. 261.4(a)(27).
(b) Tank systems, including sumps, as defined in Sec. 260.10, that
serve as part of a secondary containment system to collect or contain
releases of hazardous secondary materials are exempted from the
requirements in Sec. 261.193(a).
Sec. 261.191 Assessment of existing tank system's integrity.
(a) Tank systems must meet the secondary containment requirements
of Sec. 261.193, or the remanufacturer or other person that handles
the hazardous secondary material must determine that the tank system is
not leaking or is unfit for use. Except as provided in paragraph (c) of
this section, a written assessment reviewed and certified by a
qualified Professional Engineer must be kept on file at the
remanufacturer's facility or other facility that stores or treats the
hazardous secondary material that attests to the tank system's
integrity.
(b) This assessment must determine that the tank system is
adequately designed and has sufficient structural strength and
compatibility with the material(s) to be stored or treated, to ensure
that it will not collapse, rupture, or fail. At a minimum, this
assessment must consider the following:
(1) Design standard(s), if available, according to which the tank
and ancillary equipment were constructed;
(2) Hazardous characteristics of the material(s) that have been and
will be handled;
(3) Existing corrosion protection measures;
(4) Documented age of the tank system, if available (otherwise, an
estimate of the age); and
(5) Results of a leak test, internal inspection, or other tank
integrity examination such that:
(i) For non-enterable underground tanks, the assessment must
include a leak test that is capable of taking into account the effects
of temperature variations, tank end deflection, vapor pockets, and high
water table effects, and
(ii) For other than non-enterable underground tanks and for
ancillary equipment, this assessment must include either a leak test,
as described above, or other integrity examination that is certified by
a qualified Professional Engineer that addresses cracks, leaks,
corrosion, and erosion.
Note to paragraph (b)(5)(ii): The practices described in the
American Petroleum Institute (API) Publication, Guide for Inspection
of Refinery Equipment, Chapter XIII, ``Atmospheric and Low-Pressure
Storage Tanks,'' 4th edition, 1981, may be used, where applicable,
as guidelines in conducting other than a leak test.
(c) If, as a result of the assessment conducted in accordance with
paragraph (a) of this section, a tank system is found to be leaking or
unfit for use, the remanufacturer or other person that stores or treats
the hazardous secondary material must comply with the requirements of
Sec. 261.196.
Sec. 261.192 [Reserved]
Sec. 261.193 Containment and detection of releases.
(a) Secondary containment systems must be:
(1) Designed, installed, and operated to prevent any migration of
materials or accumulated liquid out of the system to the soil, ground
water, or surface water at any time during the use of the tank system;
and
(2) Capable of detecting and collecting releases and accumulated
liquids until the collected material is removed.
Note to paragraph (a): If the collected material is a hazardous
waste under part 261 of this chapter, it is subject to management as
a hazardous waste in accordance with all applicable requirements of
parts 262 through 265, 266, and 268 of this chapter. If the
collected material is discharged through a point source to waters of
the United States, it is subject to the requirements of sections
301, 304, and 402 of the Clean Water Act, as amended. If discharged
to a Publicly Owned Treatment Works (POTW), it is subject to the
requirements of section 307 of the Clean Water Act, as amended. If
the collected material is released to the environment, it may be
subject to the reporting requirements of 40 CFR part 302.
(b) To meet the requirements of paragraph (a) of this section,
secondary containment systems must be at a minimum:
(1) Constructed of or lined with materials that are compatible with
the materials(s) to be placed in the tank system and must have
sufficient strength and thickness to prevent failure owing to pressure
gradients (including static head and external hydrological forces),
physical contact with the material to which it is exposed, climatic
conditions, and the stress of daily operation (including stresses from
nearby vehicular traffic);
(2) Placed on a foundation or base capable of providing support to
the secondary containment system, resistance to pressure gradients
above and below the system, and capable of preventing failure due to
settlement, compression, or uplift;
(3) Provided with a leak-detection system that is designed and
operated so that it will detect the failure of either the primary or
secondary containment structure or the presence of any release of
hazardous secondary material or accumulated liquid in the secondary
containment system at the earliest practicable time; and
(4) Sloped or otherwise designed or operated to drain and remove
liquids
[[Page 1779]]
resulting from leaks, spills, or precipitation. Spilled or leaked
material and accumulated precipitation must be removed from the
secondary containment system within 24 hours, or in as timely a manner
as is possible to prevent harm to human health and the environment.
(c) Secondary containment for tanks must include one or more of the
following devices:
(1) A liner (external to the tank);
(2) A vault; or
(3) A double-walled tank.
(d) In addition to the requirements of paragraphs (a), (b), and (c)
of this section, secondary containment systems must satisfy the
following requirements:
(1) External liner systems must be:
(i) Designed or operated to contain 100 percent of the capacity of
the largest tank within its boundary;
(ii) Designed or operated to prevent run-on or infiltration of
precipitation into the secondary containment system unless the
collection system has sufficient excess capacity to contain run-on or
infiltration. Such additional capacity must be sufficient to contain
precipitation from a 25-year, 24-hour rainfall event.
(iii) Free of cracks or gaps; and
(iv) Designed and installed to surround the tank completely and to
cover all surrounding earth likely to come into contact with the
material if the material is released from the tank(s) (i.e., capable of
preventing lateral as well as vertical migration of the material).
(2) Vault systems must be:
(i) Designed or operated to contain 100 percent of the capacity of
the largest tank within its boundary;
(ii) Designed or operated to prevent run-on or infiltration of
precipitation into the secondary containment system unless the
collection system has sufficient excess capacity to contain run-on or
infiltration. Such additional capacity must be sufficient to contain
precipitation from a 25-year, 24-hour rainfall event;
(iii) Constructed with chemical-resistant water stops in place at
all joints (if any);
(iv) Provided with an impermeable interior coating or lining that
is compatible with the stored material and that will prevent migration
of material into the concrete;
(v) Provided with a means to protect against the formation of and
ignition of vapors within the vault, if the material being stored or
treated is ignitable or reactive; and
(vi) Provided with an exterior moisture barrier or be otherwise
designed or operated to prevent migration of moisture into the vault if
the vault is subject to hydraulic pressure.
(3) Double-walled tanks must be:
(i) Designed as an integral structure (i.e., an inner tank
completely enveloped within an outer shell) so that any release from
the inner tank is contained by the outer shell;
(ii) Protected, if constructed of metal, from both corrosion of the
primary tank interior and of the external surface of the outer shell;
and
(iii) Provided with a built-in continuous leak detection system
capable of detecting a release within 24 hours, or at the earliest
practicable time.
Note to paragraph (d)(3): The provisions outlined in the Steel
Tank Institute's (STI) ``Standard for Dual Wall Underground Steel
Storage Tanks'' may be used as guidelines for aspects of the design
of underground steel double-walled tanks.
(e) [Reserved]
(f) Ancillary equipment must be provided with secondary containment
(e.g., trench, jacketing, double-walled piping) that meets the
requirements of paragraphs (a) and (b) of this section except for:
(1) Aboveground piping (exclusive of flanges, joints, valves, and
other connections) that are visually inspected for leaks on a daily
basis;
(2) Welded flanges, welded joints, and welded connections that are
visually inspected for leaks on a daily basis;
(3) Sealless or magnetic coupling pumps and sealless valves that
are visually inspected for leaks on a daily basis; and
(4) Pressurized aboveground piping systems with automatic shut-off
devices (e.g., excess flow check valves, flow metering shutdown
devices, loss of pressure actuated shut-off devices) that are visually
inspected for leaks on a daily basis.
Sec. 261.194 General operating requirements.
(a) Hazardous secondary materials or treatment reagents must not be
placed in a tank system if they could cause the tank, its ancillary
equipment, or the containment system to rupture, leak, corrode, or
otherwise fail.
(b) The remanufacturer or other person that stores or treats the
hazardous secondary material must use appropriate controls and
practices to prevent spills and overflows from tank or containment
systems. These include at a minimum:
(1) Spill prevention controls (e.g., check valves, dry disconnect
couplings);
(2) Overfill prevention controls (e.g., level sensing devices, high
level alarms, automatic feed cutoff, or bypass to a standby tank); and
(3) Maintenance of sufficient freeboard in uncovered tanks to
prevent overtopping by wave or wind action or by precipitation.
(c) The remanufacturer or other person that stores or treats the
hazardous secondary material must comply with the requirements of Sec.
261.196 of this subpart if a leak or spill occurs in the tank system.
Sec. 261.195 [Reserved]
Sec. 261.196 Response to leaks or spills and disposition of leaking
or unfit-for-use tank systems.
A tank system or secondary containment system from which there has
been a leak or spill, or which is unfit for use, must be removed from
service immediately, and the remanufacturer or other person that stores
or treats the hazardous secondary material must satisfy the following
requirements:
(a) Cessation of use; prevent flow or addition of materials. The
remanufacturer or other person that stores or treats the hazardous
secondary material must immediately stop the flow of hazardous
secondary material into the tank system or secondary containment system
and inspect the system to determine the cause of the release.
(b) Removal of material from tank system or secondary containment
system. (1) If the release was from the tank system, the remanufacturer
or other person that stores or treats the hazardous secondary material
must, within 24 hours after detection of the leak or, if the
remanufacturer or other person that stores or treats the hazardous
secondary material demonstrates that it is not possible, at the
earliest practicable time, remove as much of the material as is
necessary to prevent further release of hazardous secondary material to
the environment and to allow inspection and repair of the tank system
to be performed.
(2) If the material released was to a secondary containment system,
all released materials must be removed within 24 hours or in as timely
a manner as is possible to prevent harm to human health and the
environment.
(c) Containment of visible releases to the environment. The
remanufacturer or other person that stores or treats the hazardous
secondary material must immediately conduct a visual inspection of the
release and, based upon that inspection:
(1) Prevent further migration of the leak or spill to soils or
surface water; and
[[Page 1780]]
(2) Remove, and properly dispose of, any visible contamination of
the soil or surface water.
(d) Notifications, reports. (1) Any release to the environment,
except as provided in paragraph (d)(2) of this section, must be
reported to the Regional Administrator within 24 hours of its
detection. If the release has been reported pursuant to 40 CFR part
302, that report will satisfy this requirement.
(2) A leak or spill of hazardous secondary material is exempted
from the requirements of this paragraph if it is:
(i) Less than or equal to a quantity of 1 pound, and
(ii) Immediately contained and cleaned up.
(3) Within 30 days of detection of a release to the environment, a
report containing the following information must be submitted to the
Regional Administrator:
(i) Likely route of migration of the release;
(ii) Characteristics of the surrounding soil (soil composition,
geology, hydrogeology, climate);
(iii) Results of any monitoring or sampling conducted in connection
with the release (if available). If sampling or monitoring data
relating to the release are not available within 30 days, these data
must be submitted to the Regional Administrator as soon as they become
available.
(iv) Proximity to downgradient drinking water, surface water, and
populated areas; and
(v) Description of response actions taken or planned.
(e) Provision of secondary containment, repair, or closure. (1)
Unless the remanufacturer or other person that stores or treats the
hazardous secondary material satisfies the requirements of paragraphs
(e)(2) through (4) of this section, the tank system must cease to
operate under the remanufacturing exclusion at 40 CFR 261.4(a)(27).
(2) If the cause of the release was a spill that has not damaged
the integrity of the system, the remanufacturer or other person that
stores or treats the hazardous secondary material may return the system
to service as soon as the released material is removed and repairs, if
necessary, are made.
(3) If the cause of the release was a leak from the primary tank
system into the secondary containment system, the system must be
repaired prior to returning the tank system to service.
(4) If the source of the release was a leak to the environment from
a component of a tank system without secondary containment, the
remanufacturer or other person that stores or treats the hazardous
secondary material must provide the component of the system from which
the leak occurred with secondary containment that satisfies the
requirements of Sec. 261.193 before it can be returned to service,
unless the source of the leak is an aboveground portion of a tank
system that can be inspected visually. If the source is an aboveground
component that can be inspected visually, the component must be
repaired and may be returned to service without secondary containment
as long as the requirements of paragraph (f) of this section are
satisfied. Additionally, if a leak has occurred in any portion of a
tank system component that is not readily accessible for visual
inspection (e.g., the bottom of an inground or onground tank), the
entire component must be provided with secondary containment in
accordance with Sec. 261.193 of this subpart prior to being returned
to use.
(f) Certification of major repairs. If the remanufacturer or other
person that stores or treats the hazardous secondary material has
repaired a tank system in accordance with paragraph (e) of this
section, and the repair has been extensive (e.g., installation of an
internal liner; repair of a ruptured primary containment or secondary
containment vessel), the tank system must not be returned to service
unless the remanufacturer or other person that stores or treats the
hazardous secondary material has obtained a certification by a
qualified Professional Engineer that the repaired system is capable of
handling hazardous secondary materials without release for the intended
life of the system. This certification must be kept on file at the
facility and maintained until closure of the facility.
Note 1 to Sec. 261.196: The Regional Administrator may, on the
basis of any information received that there is or has been a
release of hazardous secondary material or hazardous constituents
into the environment, issue an order under RCRA section 7003(a)
requiring corrective action or such other response as deemed
necessary to protect human health or the environment.
Note 2 to Sec. 261.196: 40 CFR part 302 may require the owner
or operator to notify the National Response Center of certain
releases.
Sec. 261.197 Termination of remanufacturing exclusion.
Hazardous secondary material stored in units more than 90 days
after the unit ceases to operate under the remanufacturing exclusion at
40 CFR 261.4(a)(27) or otherwise ceases to be operated for
manufacturing, or for storage of a product or a raw material, then
becomes subject to regulation as hazardous waste under parts 261
through 266, 268, 270, 271, and 124 of this chapter, as applicable.
Sec. 261.198 Special requirements for ignitable or reactive
materials.
(a) Ignitable or reactive material must not be placed in tank
systems, unless the material is stored or treated in such a way that it
is protected from any material or conditions that may cause the
material to ignite or react.
(b) The remanufacturer or other person that stores or treats
hazardous secondary material which is ignitable or reactive must store
or treat the hazardous secondary material in a tank that is in
compliance with the requirements for the maintenance of protective
distances between the material management area and any public ways,
streets, alleys, or an adjoining property line that can be built upon
as required in Tables 2-1 through 2-6 of the National Fire Protection
Association's ``Flammable and Combustible Liquids Code,'' (1977 or
1981), (incorporated by reference, see Sec. 260.11).
Sec. 261.199 Special requirements for incompatible materials.
(a) Incompatible materials must not be placed in the same tank
system.
(b) Hazardous secondary material must not be placed in a tank
system that has not been decontaminated and that previously held an
incompatible material.
Sec. 261.200 Air emission standards.
The remanufacturer or other person that stores or treats the
hazardous secondary material shall manage all hazardous secondary
material placed in a tank in accordance with the applicable
requirements of subparts AA, BB, and CC of this part.
Subparts K-L [Reserved]
Subpart M--Emergency Preparedness and Response for Management of
Excluded Hazardous Secondary Materials
Sec. 261.400 Applicability.
The requirements of this subpart apply to those areas of an entity
managing hazardous secondary materials excluded under Sec.
261.4(a)(23) and/or (24) where hazardous secondary materials are
generated or accumulated on site.
(a) A generator of hazardous secondary material, or an intermediate
or reclamation facility operating under a verified recycler variance
under Sec. 260.31(d), that accumulates 6000 kg or
[[Page 1781]]
less of hazardous secondary material at any time must comply with
Sec. Sec. 261.410 and 261.411.
(b) A generator of hazardous secondary material, or an intermediate
or reclamation facility operating under a verified recycler variance
under Sec. 260.31(d) that accumulates more than 6000 kg of hazardous
secondary material at any time must comply with Sec. Sec. 261.410 and
261.420.
Sec. 261.410 Preparedness and prevention.
(a) Maintenance and operation of facility. Facilities generating or
accumulating hazardous secondary material must be maintained and
operated to minimize the possibility of a fire, explosion, or any
unplanned sudden or non-sudden release of hazardous secondary materials
or hazardous secondary material constituents to air, soil, or surface
water which could threaten human health or the environment.
(b) Required equipment. All facilities generating or accumulating
hazardous secondary material must be equipped with the following,
unless none of the hazards posed by hazardous secondary material
handled at the facility could require a particular kind of equipment
specified below:
(1) An internal communications or alarm system capable of providing
immediate emergency instruction (voice or signal) to facility
personnel;
(2) A device, such as a telephone (immediately available at the
scene of operations) or a hand-held two-way radio, capable of summoning
emergency assistance from local police departments, fire departments,
or state or local emergency response teams;
(3) Portable fire extinguishers, fire control equipment (including
special extinguishing equipment, such as that using foam, inert gas, or
dry chemicals), spill control equipment, and decontamination equipment;
and
(4) Water at adequate volume and pressure to supply water hose
streams, or foam producing equipment, or automatic sprinklers, or water
spray systems.
(c) Testing and maintenance of equipment. All facility
communications or alarm systems, fire protection equipment, spill
control equipment, and decontamination equipment, where required, must
be tested and maintained as necessary to assure its proper operation in
time of emergency.
(d) Access to communications or alarm system. (1) Whenever
hazardous secondary material is being poured, mixed, spread, or
otherwise handled, all personnel involved in the operation must have
immediate access to an internal alarm or emergency communication
device, either directly or through visual or voice contact with another
employee, unless such a device is not required under paragraph (b) of
this section.
(2) If there is ever just one employee on the premises while the
facility is operating, he must have immediate access to a device, such
as a telephone (immediately available at the scene of operation) or a
hand-held two-way radio, capable of summoning external emergency
assistance, unless such a device is not required under paragraph (b) of
this section.
(e) Required aisle space. The hazardous secondary material
generator or intermediate or reclamation facility operating under a
verified recycler variance under Sec. 260.31(d) must maintain aisle
space to allow the unobstructed movement of personnel, fire protection
equipment, spill control equipment, and decontamination equipment to
any area of facility operation in an emergency, unless aisle space is
not needed for any of these purposes.
(f) Arrangements with local authorities. (1) The hazardous
secondary material generator or an intermediate or reclamation facility
operating under a verified recycler variance under Sec. 260.31(d) must
attempt to make the following arrangements, as appropriate for the type
of waste handled at his facility and the potential need for the
services of these organizations:
(i) Arrangements to familiarize police, fire departments, and
emergency response teams with the layout of the facility, properties of
hazardous secondary material handled at the facility and associated
hazards, places where facility personnel would normally be working,
entrances to roads inside the facility, and possible evacuation routes;
(ii) Where more than one police and fire department might respond
to an emergency, agreements designating primary emergency authority to
a specific police and a specific fire department, and agreements with
any others to provide support to the primary emergency authority;
(iii) Agreements with state emergency response teams, emergency
response contractors, and equipment suppliers; and
(iv) Arrangements to familiarize local hospitals with the
properties of hazardous waste handled at the facility and the types of
injuries or illnesses which could result from fires, explosions, or
releases at the facility.
(2) Where state or local authorities decline to enter into such
arrangements, the hazardous secondary material generator or an
intermediate or reclamation facility operating under a verified
recycler variance under Sec. 260.31(d) must document the refusal in
the operating record.
Sec. 261.411 Emergency procedures for facilities generating or
accumulating 6000 kg or less of hazardous secondary material.
A generator or an intermediate or reclamation facility operating
under a verified recycler variance under Sec. 260.31(d) that generates
or accumulates 6000 kg or less of hazardous secondary material must
comply with the following requirements:
(a) At all times there must be at least one employee either on the
premises or on call (i.e., available to respond to an emergency by
reaching the facility within a short period of time) with the
responsibility for coordinating all emergency response measures
specified in paragraph (d) of this section. This employee is the
emergency coordinator.
(b) The generator or intermediate or reclamation facility operating
under a verified recycler variance under Sec. 260.31(d) must post the
following information next to the telephone:
(1) The name and telephone number of the emergency coordinator;
(2) Location of fire extinguishers and spill control material, and,
if present, fire alarm; and
(3) The telephone number of the fire department, unless the
facility has a direct alarm.
(c) The generator or an intermediate or reclamation facility
operating under a verified recycler variance under Sec. 260.31(d) must
ensure that all employees are thoroughly familiar with proper waste
handling and emergency procedures, relevant to their responsibilities
during normal facility operations and emergencies;
(d) The emergency coordinator or his designee must respond to any
emergencies that arise. The applicable responses are as follows:
(1) In the event of a fire, call the fire department or attempt to
extinguish it using a fire extinguisher;
(2) In the event of a spill, contain the flow of hazardous waste to
the extent possible, and as soon as is practicable, clean up the
hazardous waste and any contaminated materials or soil;
(3) In the event of a fire, explosion, or other release which could
threaten human health outside the facility or when the generator or an
intermediate or reclamation facility operating under a verified
recycler variance under
[[Page 1782]]
Sec. 260.31(d) has knowledge that a spill has reached surface water,
the generator or an intermediate or reclamation facility operating
under a verified recycler variance under Sec. 260.31(d) must
immediately notify the National Response Center (using their 24-hour
toll free number 800/424-8802). The report must include the following
information:
(i) The name, address, and U.S. EPA Identification Number of the
facility;
(ii) Date, time, and type of incident (e.g., spill or fire);
(iii) Quantity and type of hazardous waste involved in the
incident;
(iv) Extent of injuries, if any; and
(v) Estimated quantity and disposition of recovered materials, if
any.
Sec. 261.420 Contingency planning and emergency procedures for
facilities generating or accumulating more than 6000 kg of hazardous
secondary material.
A generator or an intermediate or reclamation facility operating
under a verified recycler variance under Sec. 260.31(d) that generates
or accumulates more than 6000 kg of hazardous secondary material must
comply with the following requirements:
(a) Purpose and implementation of contingency plan. (1) Each
generator or an intermediate or reclamation facility operating under a
verified recycler variance under Sec. 260.31(d) that accumulates more
than 6000 kg of hazardous secondary material must have a contingency
plan for his facility. The contingency plan must be designed to
minimize hazards to human health or the environment from fires,
explosions, or any unplanned sudden or non-sudden release of hazardous
secondary material or hazardous secondary material constituents to air,
soil, or surface water.
(2) The provisions of the plan must be carried out immediately
whenever there is a fire, explosion, or release of hazardous secondary
material or hazardous secondary material constituents which could
threaten human health or the environment.
(b) Content of contingency plan. (1) The contingency plan must
describe the actions facility personnel must take to comply with
paragraphs (a) and (f) in response to fires, explosions, or any
unplanned sudden or non-sudden release of hazardous secondary material
or hazardous secondary material constituents to air, soil, or surface
water at the facility.
(2) If the generator or an intermediate or reclamation facility
operating under a verified recycler variance under Sec. 260.31(d)
accumulating more than 6000 kg of hazardous secondary material has
already prepared a Spill Prevention, Control, and Countermeasures
(SPCC) Plan in accordance with part 112 of this chapter, or some other
emergency or contingency plan, he need only amend that plan to
incorporate hazardous waste management provisions that are sufficient
to comply with the requirements of this part. The hazardous secondary
material generator or an intermediate or reclamation facility operating
under a verified recycler variance under Sec. 260.31(d) may develop
one contingency plan which meets all regulatory requirements. EPA
recommends that the plan be based on the National Response Team's
Integrated Contingency Plan Guidance (``One Plan''). When modifications
are made to non-RCRA provisions in an integrated contingency plan, the
changes do not trigger the need for a RCRA permit modification.
(3) The plan must describe arrangements agreed to by local police
departments, fire departments, hospitals, contractors, and State and
local emergency response teams to coordinate emergency services,
pursuant to Sec. 262.410(f).
(4) The plan must list names, addresses, and phone numbers (office
and home) of all persons qualified to act as emergency coordinator (see
paragraph (e) of this section), and this list must be kept up-to-date.
Where more than one person is listed, one must be named as primary
emergency coordinator and others must be listed in the order in which
they will assume responsibility as alternates.
(5) The plan must include a list of all emergency equipment at the
facility (such as fire extinguishing systems, spill control equipment,
communications and alarm systems (internal and external), and
decontamination equipment), where this equipment is required. This list
must be kept up to date. In addition, the plan must include the
location and a physical description of each item on the list, and a
brief outline of its capabilities.
(6) The plan must include an evacuation plan for facility personnel
where there is a possibility that evacuation could be necessary. This
plan must describe signal(s) to be used to begin evacuation, evacuation
routes, and alternate evacuation routes (in cases where the primary
routes could be blocked by releases of hazardous waste or fires).
(c) Copies of contingency plan. A copy of the contingency plan and
all revisions to the plan must be:
(1) Maintained at the facility; and
(2) Submitted to all local police departments, fire departments,
hospitals, and State and local emergency response teams that may be
called upon to provide emergency services.
(d) Amendment of contingency plan. The contingency plan must be
reviewed, and immediately amended, if necessary, whenever:
(1) Applicable regulations are revised;
(2) The plan fails in an emergency;
(3) The facility changes--in its design, construction, operation,
maintenance, or other circumstances--in a way that materially increases
the potential for fires, explosions, or releases of hazardous secondary
material or hazardous secondary material constituents, or changes the
response necessary in an emergency;
(4) The list of emergency coordinators changes; or
(5) The list of emergency equipment changes.
(e) Emergency coordinator. At all times, there must be at least one
employee either on the facility premises or on call (i.e., available to
respond to an emergency by reaching the facility within a short period
of time) with the responsibility for coordinating all emergency
response measures. This emergency coordinator must be thoroughly
familiar with all aspects of the facility's contingency plan, all
operations and activities at the facility, the location and
characteristics of waste handled, the location of all records within
the facility, and the facility layout. In addition, this person must
have the authority to commit the resources needed to carry out the
contingency plan. The emergency coordinator's responsibilities are more
fully spelled out in paragraph (f). Applicable responsibilities for the
emergency coordinator vary, depending on factors such as type and
variety of hazardous secondary material(s) handled by the facility, and
type and complexity of the facility.
(f) Emergency procedures. (1) Whenever there is an imminent or
actual emergency situation, the emergency coordinator (or his designee
when the emergency coordinator is on call) must immediately:
(i) Activate internal facility alarms or communication systems,
where applicable, to notify all facility personnel; and
(ii) Notify appropriate State or local agencies with designated
response roles if their help is needed.
(2) Whenever there is a release, fire, or explosion, the emergency
coordinator must immediately identify the character, exact source,
amount, and
[[Page 1783]]
areal extent of any released materials. He may do this by observation
or review of facility records or manifests and, if necessary, by
chemical analysis.
(3) Concurrently, the emergency coordinator must assess possible
hazards to human health or the environment that may result from the
release, fire, or explosion. This assessment must consider both direct
and indirect effects of the release, fire, or explosion (e.g., the
effects of any toxic, irritating, or asphyxiating gases that are
generated, or the effects of any hazardous surface water run-offs from
water or chemical agents used to control fire and heat-induced
explosions).
(4) If the emergency coordinator determines that the facility has
had a release, fire, or explosion which could threaten human health, or
the environment, outside the facility, he must report his findings as
follows:
(i) If his assessment indicates that evacuation of local areas may
be advisable, he must immediately notify appropriate local authorities.
He must be available to help appropriate officials decide whether local
areas should be evacuated; and
(ii) He must immediately notify either the government official
designated as the on-scene coordinator for that geographical area, or
the National Response Center (using their 24-hour toll free number 800/
424-8802). The report must include:
(A) Name and telephone number of reporter;
(B) Name and address of facility;
(C) Time and type of incident (e.g., release, fire);
(D) Name and quantity of material(s) involved, to the extent known;
(E) The extent of injuries, if any; and
(F) The possible hazards to human health, or the environment,
outside the facility.
(5) During an emergency, the emergency coordinator must take all
reasonable measures necessary to ensure that fires, explosions, and
releases do not occur, recur, or spread to other hazardous secondary
material at the facility. These measures must include, where
applicable, stopping processes and operations, collecting and
containing released material, and removing or isolating containers.
(6) If the facility stops operations in response to a fire,
explosion or release, the emergency coordinator must monitor for leaks,
pressure buildup, gas generation, or ruptures in valves, pipes, or
other equipment, wherever this is appropriate.
(7) Immediately after an emergency, the emergency coordinator must
provide for treating, storing, or disposing of recovered secondary
material, contaminated soil or surface water, or any other material
that results from a release, fire, or explosion at the facility. Unless
the hazardous secondary material generator can demonstrate, in
accordance with Sec. 261.3(c) or (d) of this chapter, that the
recovered material is not a hazardous waste, the owner or operator
becomes a generator of hazardous waste and must manage it in accordance
with all applicable requirements of parts 262, 263, and 265 of this
chapter.
(8) The emergency coordinator must ensure that, in the affected
area(s) of the facility:
(i) No secondary material that may be incompatible with the
released material is treated, stored, or disposed of until cleanup
procedures are completed; and
(ii) All emergency equipment listed in the contingency plan is
cleaned and fit for its intended use before operations are resumed.
(9) The hazardous secondary material generator must note in the
operating record the time, date, and details of any incident that
requires implementing the contingency plan. Within 15 days after the
incident, he must submit a written report on the incident to the
Regional Administrator. The report must include:
(i) Name, address, and telephone number of the hazardous secondary
material generator;
(ii) Name, address, and telephone number of the facility;
(iii) Date, time, and type of incident (e.g., fire, explosion);
(iv) Name and quantity of material(s) involved;
(v) The extent of injuries, if any;
(vi) An assessment of actual or potential hazards to human health
or the environment, where this is applicable; and
(vii) Estimated quantity and disposition of recovered material that
resulted from the incident.
Subparts N-Z [Reserved]
Subpart AA--Air Emission Standards for Process Vents
Sec. 261.1030 Applicability.
The regulations in this subpart apply to process vents associated
with distillation, fractionation, thin-film evaporation, solvent
extraction, or air or stream stripping operations that manage hazardous
secondary materials excluded under the remanufacturing exclusion at
Sec. 261.4(a)(27) with concentrations of at least 10 ppmw, unless the
process vents are equipped with operating air emission controls in
accordance with the requirements of an applicable Clean Air Act
regulation codified under 40 CFR part 60, part 61, or part 63.
Sec. 261.1031 Definitions.
As used in this subpart, all terms not defined herein shall have
the meaning given them in the Resource Conservation and Recovery Act
and parts 260-266.
Air stripping operation is a desorption operation employed to
transfer one or more volatile components from a liquid mixture into a
gas (air) either with or without the application of heat to the liquid.
Packed towers, spray towers, and bubble-cap, sieve, or valve-type plate
towers are among the process configurations used for contacting the air
and a liquid.
Bottoms receiver means a container or tank used to receive and
collect the heavier bottoms fractions of the distillation feed stream
that remain in the liquid phase.
Closed-vent system means a system that is not open to the
atmosphere and that is composed of piping, connections, and, if
necessary, flow-inducing devices that transport gas or vapor from a
piece or pieces of equipment to a control device.
Condenser means a heat-transfer device that reduces a thermodynamic
fluid from its vapor phase to its liquid phase.
Connector means flanged, screwed, welded, or other joined fittings
used to connect two pipelines or a pipeline and a piece of equipment.
For the purposes of reporting and recordkeeping, connector means
flanged fittings that are not covered by insulation or other materials
that prevent location of the fittings.
Continuous recorder means a data-recording device recording an
instantaneous data value at least once every 15 minutes.
Control device means an enclosed combustion device, vapor recovery
system, or flare. Any device the primary function of which is the
recovery or capture of solvents or other organics for use, reuse, or
sale (e.g., a primary condenser on a solvent recovery unit) is not a
control device.
Control device shutdown means the cessation of operation of a
control device for any purpose.
Distillate receiver means a container or tank used to receive and
collect liquid material (condensed) from the overhead condenser of a
distillation unit and from which the condensed liquid is pumped to
larger storage tanks or other process units.
Distillation operation means an operation, either batch or
continuous, separating one or more feed stream(s)
[[Page 1784]]
into two or more exit streams, each exit stream having component
concentrations different from those in the feed stream(s). The
separation is achieved by the redistribution of the components between
the liquid and vapor phase as they approach equilibrium within the
distillation unit.
Double block and bleed system means two block valves connected in
series with a bleed valve or line that can vent the line between the
two block valves.
Equipment means each valve, pump, compressor, pressure relief
device, sampling connection system, open-ended valve or line, or flange
or other connector, and any control devices or systems required by this
subpart.
Flame zone means the portion of the combustion chamber in a boiler
occupied by the flame envelope.
Flow indicator means a device that indicates whether gas flow is
present in a vent stream.
First attempt at repair means to take rapid action for the purpose
of stopping or reducing leakage of organic material to the atmosphere
using best practices.
Fractionation operation means a distillation operation or method
used to separate a mixture of several volatile components of different
boiling points in successive stages, each stage removing from the
mixture some proportion of one of the components.
Hazardous secondary material management unit shutdown means a work
practice or operational procedure that stops operation of a hazardous
secondary material management unit or part of a hazardous secondary
material management unit. An unscheduled work practice or operational
procedure that stops operation of a hazardous secondary material
management unit or part of a hazardous secondary material management
unit for less than 24 hours is not a hazardous secondary material
management unit shutdown. The use of spare equipment and technically
feasible bypassing of equipment without stopping operation are not
hazardous secondary material management unit shutdowns.
Hot well means a container for collecting condensate as in a steam
condenser serving a vacuum-jet or steam-jet ejector.
In gas/vapor service means that the piece of equipment contains or
contacts a hazardous secondary material stream that is in the gaseous
state at operating conditions.
In heavy liquid service means that the piece of equipment is not in
gas/vapor service or in light liquid service.
In light liquid service means that the piece of equipment contains
or contacts a material stream where the vapor pressure of one or more
of the organic components in the stream is greater than 0.3 kilopascals
(kPa) at 20 [deg]C, the total concentration of the pure organic
components having a vapor pressure greater than 0.3 kilopascals (kPa)
at 20 [deg]C is equal to or greater than 20 percent by weight, and the
fluid is a liquid at operating conditions.
In situ sampling systems means nonextractive samplers or in-line
samplers.
In vacuum service means that equipment is operating at an internal
pressure that is at least 5 kPa below ambient pressure.
Malfunction means any sudden failure of a control device or a
hazardous secondary material management unit or failure of a hazardous
secondary material management unit to operate in a normal or usual
manner, so that organic emissions are increased.
Open-ended valve or line means any valve, except pressure relief
valves, having one side of the valve seat in contact with hazardous
secondary material and one side open to the atmosphere, either directly
or through open piping.
Pressure release means the emission of materials resulting from the
system pressure being greater than the set pressure of the pressure
relief device.
Process heater means a device that transfers heat liberated by
burning fuel to fluids contained in tubes, including all fluids except
water that are heated to produce steam.
Process vent means any open-ended pipe or stack that is vented to
the atmosphere either directly, through a vacuum-producing system, or
through a tank (e.g., distillate receiver, condenser, bottoms receiver,
surge control tank, separator tank, or hot well) associated with
hazardous secondary material distillation, fractionation, thin-film
evaporation, solvent extraction, or air or steam stripping operations.
Repaired means that equipment is adjusted, or otherwise altered, to
eliminate a leak.
Sampling connection system means an assembly of equipment within a
process or material management unit used during periods of
representative operation to take samples of the process or material
fluid. Equipment used to take non-routine grab samples is not
considered a sampling connection system.
Sensor means a device that measures a physical quantity or the
change in a physical quantity, such as temperature, pressure, flow
rate, pH, or liquid level.
Separator tank means a device used for separation of two immiscible
liquids.
Solvent extraction operation means an operation or method of
separation in which a solid or solution is contacted with a liquid
solvent (the two being mutually insoluble) to preferentially dissolve
and transfer one or more components into the solvent.
Startup means the setting in operation of a hazardous secondary
material management unit or control device for any purpose.
Steam stripping operation means a distillation operation in which
vaporization of the volatile constituents of a liquid mixture takes
place by the introduction of steam directly into the charge.
Surge control tank means a large-sized pipe or storage reservoir
sufficient to contain the surging liquid discharge of the process tank
to which it is connected.
Thin-film evaporation operation means a distillation operation that
employs a heating surface consisting of a large diameter tube that may
be either straight or tapered, horizontal or vertical. Liquid is spread
on the tube wall by a rotating assembly of blades that maintain a close
clearance from the wall or actually ride on the film of liquid on the
wall.
Vapor incinerator means any enclosed combustion device that is used
for destroying organic compounds and does not extract energy in the
form of steam or process heat.
Vented means discharged through an opening, typically an open-ended
pipe or stack, allowing the passage of a stream of liquids, gases, or
fumes into the atmosphere. The passage of liquids, gases, or fumes is
caused by mechanical means such as compressors or vacuum-producing
systems or by process-related means such as evaporation produced by
heating and not caused by tank loading and unloading (working losses)
or by natural means such as diurnal temperature changes.
Sec. 261.1032 Standards: Process vents.
(a) The remanufacturer or other person that stores or treats
hazardous secondary materials in hazardous secondary material
management units with process vents associated with distillation,
fractionation, thin-film evaporation, solvent extraction, or air or
steam stripping operations managing hazardous secondary material with
organic concentrations of at least 10 ppmw shall either:
(1) Reduce total organic emissions from all affected process vents
at the facility below 1.4 kg/h (3 lb/h) and 2.8 Mg/yr (3.1 tons/yr), or
(2) Reduce, by use of a control device, total organic emissions
from all affected
[[Page 1785]]
process vents at the facility by 95 weight percent.
(b) If the remanufacturer or other person that stores or treats the
hazardous secondary material installs a closed-vent system and control
device to comply with the provisions of paragraph (a) of this section
the closed-vent system and control device must meet the requirements of
Sec. 261.1033.
(c) Determinations of vent emissions and emission reductions or
total organic compound concentrations achieved by add-on control
devices may be based on engineering calculations or performance tests.
If performance tests are used to determine vent emissions, emission
reductions, or total organic compound concentrations achieved by add-on
control devices, the performance tests must conform with the
requirements of Sec. 261.1034(c).
(d) When a remanufacturer or other person that stores or treats the
hazardous secondary material and the Regional Administrator do not
agree on determinations of vent emissions and/or emission reductions or
total organic compound concentrations achieved by add-on control
devices based on engineering calculations, the procedures in Sec.
261.1034(c) shall be used to resolve the disagreement.
Sec. 261.1033 Standards: Closed-vent systems and control devices.
(a)(1) The remanufacturer or other person that stores or treats the
hazardous secondary materials in hazardous secondary material
management units using closed-vent systems and control devices used to
comply with provisions of this part shall comply with the provisions of
this section.
(2) [Reserved]
(b) A control device involving vapor recovery (e.g., a condenser or
adsorber) shall be designed and operated to recover the organic vapors
vented to it with an efficiency of 95 weight percent or greater unless
the total organic emission limits of Sec. 261.1032(a)(1) for all
affected process vents can be attained at an efficiency less than 95
weight percent.
(c) An enclosed combustion device (e.g., a vapor incinerator,
boiler, or process heater) shall be designed and operated to reduce the
organic emissions vented to it by 95 weight percent or greater; to
achieve a total organic compound concentration of 20 ppmv, expressed as
the sum of the actual compounds, not carbon equivalents, on a dry basis
corrected to 3 percent oxygen; or to provide a minimum residence time
of 0.50 seconds at a minimum temperature of 760 [deg]C. If a boiler or
process heater is used as the control device, then the vent stream
shall be introduced into the flame zone of the boiler or process
heater.
(d)(1) A flare shall be designed for and operated with no visible
emissions as determined by the methods specified in paragraph (e)(1) of
this section, except for periods not to exceed a total of 5 minutes
during any 2 consecutive hours.
(2) A flare shall be operated with a flame present at all times, as
determined by the methods specified in paragraph (f)(2)(iii) of this
section.
(3) A flare shall be used only if the net heating value of the gas
being combusted is 11.2 MJ/scm (300 Btu/scf) or greater if the flare is
steam-assisted or air-assisted; or if the net heating value of the gas
being combusted is 7.45 MJ/scm (200 Btu/scf) or greater if the flare is
nonassisted. The net heating value of the gas being combusted shall be
determined by the methods specified in paragraph (e)(2) of this
section.
(4)(i) A steam-assisted or nonassisted flare shall be designed for
and operated with an exit velocity, as determined by the methods
specified in paragraph (e)(3) of this section, less than 18.3 m/s (60
ft/s), except as provided in paragraphs (d)(4)(ii) and (iii) of this
section.
(ii) A steam-assisted or nonassisted flare designed for and
operated with an exit velocity, as determined by the methods specified
in paragraph (e)(3) of this section, equal to or greater than 18.3 m/s
(60 ft/s) but less than 122 m/s (400 ft/s) is allowed if the net
heating value of the gas being combusted is greater than 37.3 MJ/scm
(1,000 Btu/scf).
(iii) A steam-assisted or nonassisted flare designed for and
operated with an exit velocity, as determined by the methods specified
in paragraph (e)(3) of this section, less than the velocity,
Vmax, as determined by the method specified in paragraph
(e)(4) of this section and less than 122 m/s (400 ft/s) is allowed.
(5) An air-assisted flare shall be designed and operated with an
exit velocity less than the velocity, Vmax, as determined by
the method specified in paragraph (e)(5) of this section.
(6) A flare used to comply with this section shall be steam-
assisted, air-assisted, or nonassisted.
(e)(1) Reference Method 22 in 40 CFR part 60 shall be used to
determine the compliance of a flare with the visible emission
provisions of this subpart. The observation period is 2 hours and shall
be used according to Method 22.
(2) The net heating value of the gas being combusted in a flare
shall be calculated using the following equation:
[GRAPHIC] [TIFF OMITTED] TR13JA15.000
Where:
HT = Net heating value of the sample, MJ/scm; where the
net enthalpy per mole of offgas is based on combustion at 25 [deg]C
and 760 mm Hg, but the standard temperature for determining the
volume corresponding to 1 mol is 20 [deg]C;
K = Constant, 1.74 x 10-7 (1/ppm) (g mol/scm) (MJ/kcal)
where standard temperature for (g mol/scm) is 20 [deg]C;
Ci = Concentration of sample component i in ppm on a wet
basis, as measured for organics by Reference Method 18 in 40 CFR
part 60 and measured for hydrogen and carbon monoxide by ASTM D
1946-82 (incorporated by reference as specified in Sec. 260.11);
and
Hi = Net heat of combustion of sample component i, kcal/9
mol at 25 [deg]C and 760 mm Hg. The heats of combustion may be
determined using ASTM D 2382-83 (incorporated by reference as
specified in Sec. 260.11) if published values are not available or
cannot be calculated.
(3) The actual exit velocity of a flare shall be determined by
dividing the volumetric flow rate (in units of standard temperature and
pressure), as determined by Reference Methods 2, 2A, 2C, or 2D in 40
CFR part 60 as appropriate, by the unobstructed (free) cross-sectional
area of the flare tip.
(4) The maximum allowed velocity in m/s, Vmax, for a
flare complying with paragraph (d)(4)(iii) of this section shall be
determined by the following equation:
Log10(Vmax) = (HT + 28.8)/31.7
Where:
28.8 = Constant,
31.7 = Constant,
HT = The net heating value as determined in paragraph
(e)(2) of this section.
(5) The maximum allowed velocity in m/s, Vmax, for an
air-assisted flare shall be determined by the following equation:
Vmax = 8.706 + 0.7084 (HT)
Where:
8.706 = Constant,
0.7084 = Constant,
HT = The net heating value as determined in paragraph
(e)(2) of this section.
(f) The remanufacturer or other person that stores or treats the
hazardous secondary material shall monitor and inspect each control
device required to comply with this section to ensure proper operation
and maintenance of the control device by implementing the following
requirements:
(1) Install, calibrate, maintain, and operate according to the
manufacturer's specifications a flow indicator that provides a record
of vent stream flow
[[Page 1786]]
from each affected process vent to the control device at least once
every hour. The flow indicator sensor shall be installed in the vent
stream at the nearest feasible point to the control device inlet but
before the point at which the vent streams are combined.
(2) Install, calibrate, maintain, and operate according to the
manufacturer's specifications a device to continuously monitor control
device operation as specified below:
(i) For a thermal vapor incinerator, a temperature monitoring
device equipped with a continuous recorder. The device shall have an
accuracy of 1 percent of the temperature being monitored in
[deg]C or 0.5 [deg]C, whichever is greater. The temperature
sensor shall be installed at a location in the combustion chamber
downstream of the combustion zone.
(ii) For a catalytic vapor incinerator, a temperature monitoring
device equipped with a continuous recorder. The device shall be capable
of monitoring temperature at two locations and have an accuracy of
1 percent of the temperature being monitored in [deg]C or
0.5 [deg]C, whichever is greater. One temperature sensor
shall be installed in the vent stream at the nearest feasible point to
the catalyst bed inlet and a second temperature sensor shall be
installed in the vent stream at the nearest feasible point to the
catalyst bed outlet.
(iii) For a flare, a heat sensing monitoring device equipped with a
continuous recorder that indicates the continuous ignition of the pilot
flame.
(iv) For a boiler or process heater having a design heat input
capacity less than 44 MW, a temperature monitoring device equipped with
a continuous recorder. The device shall have an accuracy of 1 percent of the temperature being monitored in [deg]C or 0.5 [deg]C, whichever is greater. The temperature sensor shall be
installed at a location in the furnace downstream of the combustion
zone.
(v) For a boiler or process heater having a design heat input
capacity greater than or equal to 44 MW, a monitoring device equipped
with a continuous recorder to measure a parameter(s) that indicates
good combustion operating practices are being used.
(vi) For a condenser, either:
(A) A monitoring device equipped with a continuous recorder to
measure the concentration level of the organic compounds in the exhaust
vent stream from the condenser, or
(B) A temperature monitoring device equipped with a continuous
recorder. The device shall be capable of monitoring temperature with an
accuracy of 1 percent of the temperature being monitored in
degrees Celsius ([deg]C) or 0.5 [deg]C, whichever is
greater. The temperature sensor shall be installed at a location in the
exhaust vent stream from the condenser exit (i.e., product side).
(vii) For a carbon adsorption system that regenerates the carbon
bed directly in the control device such as a fixed-bed carbon adsorber,
either:
(A) A monitoring device equipped with a continuous recorder to
measure the concentration level of the organic compounds in the exhaust
vent stream from the carbon bed, or
(B) A monitoring device equipped with a continuous recorder to
measure a parameter that indicates the carbon bed is regenerated on a
regular, predetermined time cycle.
(3) Inspect the readings from each monitoring device required by
paragraphs (f)(1) and (2) of this section at least once each operating
day to check control device operation and, if necessary, immediately
implement the corrective measures necessary to ensure the control
device operates in compliance with the requirements of this section.
(g) A remanufacturer or other person that stores or treats
hazardous secondary material in a hazardous secondary material
management unit using a carbon adsorption system such as a fixed-bed
carbon adsorber that regenerates the carbon bed directly onsite in the
control device shall replace the existing carbon in the control device
with fresh carbon at a regular, predetermined time interval that is no
longer than the carbon service life established as a requirement of
Sec. 261.1035(b)(4)(iii)(F).
(h) A remanufacturer or other person that stores or treats
hazardous secondary material in a hazardous secondary material
management unit using a carbon adsorption system such as a carbon
canister that does not regenerate the carbon bed directly onsite in the
control device shall replace the existing carbon in the control device
with fresh carbon on a regular basis by using one of the following
procedures:
(1) Monitor the concentration level of the organic compounds in the
exhaust vent stream from the carbon adsorption system on a regular
schedule, and replace the existing carbon with fresh carbon immediately
when carbon breakthrough is indicated. The monitoring frequency shall
be daily or at an interval no greater than 20 percent of the time
required to consume the total carbon working capacity established as a
requirement of Sec. 261.1035(b)(4)(iii)(G), whichever is longer.
(2) Replace the existing carbon with fresh carbon at a regular,
predetermined time interval that is less than the design carbon
replacement interval established as a requirement of Sec.
261.1035(b)(4)(iii)(G).
(i) An alternative operational or process parameter may be
monitored if it can be demonstrated that another parameter will ensure
that the control device is operated in conformance with these standards
and the control device's design specifications.
(j) A remanufacturer or other person that stores or treats
hazardous secondary material at an affected facility seeking to comply
with the provisions of this part by using a control device other than a
thermal vapor incinerator, catalytic vapor incinerator, flare, boiler,
process heater, condenser, or carbon adsorption system is required to
develop documentation including sufficient information to describe the
control device operation and identify the process parameter or
parameters that indicate proper operation and maintenance of the
control device.
(k) A closed-vent system shall meet either of the following design
requirements:
(1) A closed-vent system shall be designed to operate with no
detectable emissions, as indicated by an instrument reading of less
than 500 ppmv above background as determined by the procedure in Sec.
261.1034(b) of this subpart, and by visual inspections; or
(2) A closed-vent system shall be designed to operate at a pressure
below atmospheric pressure. The system shall be equipped with at least
one pressure gauge or other pressure measurement device that can be
read from a readily accessible location to verify that negative
pressure is being maintained in the closed-vent system when the control
device is operating.
(l) The remanufacturer or other person that stores or treats the
hazardous secondary material shall monitor and inspect each closed-vent
system required to comply with this section to ensure proper operation
and maintenance of the closed-vent system by implementing the following
requirements:
(1) Each closed-vent system that is used to comply with paragraph
(k)(1) of this section shall be inspected and monitored in accordance
with the following requirements:
(i) An initial leak detection monitoring of the closed-vent system
shall be conducted by the remanufacturer or other person that stores or
treats the hazardous secondary
[[Page 1787]]
material on or before the date that the system becomes subject to this
section. The remanufacturer or other person that stores or treats the
hazardous secondary material shall monitor the closed-vent system
components and connections using the procedures specified in Sec.
261.1034(b) of this subpart to demonstrate that the closed-vent system
operates with no detectable emissions, as indicated by an instrument
reading of less than 500 ppmv above background.
(ii) After initial leak detection monitoring required in paragraph
(l)(1)(i) of this section, the remanufacturer or other person that
stores or treats the hazardous secondary material shall inspect and
monitor the closed-vent system as follows:
(A) Closed-vent system joints, seams, or other connections that are
permanently or semi-permanently sealed (e.g., a welded joint between
two sections of hard piping or a bolted and gasketed ducting flange)
shall be visually inspected at least once per year to check for defects
that could result in air pollutant emissions. The remanufacturer or
other person that stores or treats the hazardous secondary material
shall monitor a component or connection using the procedures specified
in Sec. 261.1034(b) of this subpart to demonstrate that it operates
with no detectable emissions following any time the component is
repaired or replaced (e.g., a section of damaged hard piping is
replaced with new hard piping) or the connection is unsealed (e.g., a
flange is unbolted).
(B) Closed-vent system components or connections other than those
specified in paragraph (l)(1)(ii)(A) of this section shall be monitored
annually and at other times as requested by the Regional Administrator,
except as provided for in paragraph (o) of this section, using the
procedures specified in Sec. 261.1034(b) of this subpart to
demonstrate that the components or connections operate with no
detectable emissions.
(iii) In the event that a defect or leak is detected, the
remanufacturer or other person that stores or treats the hazardous
secondary material shall repair the defect or leak in accordance with
the requirements of paragraph (l)(3) of this section.
(iv) The remanufacturer or other person that stores or treats the
hazardous secondary material shall maintain a record of the inspection
and monitoring in accordance with the requirements specified in Sec.
261.1035 of this subpart.
(2) Each closed-vent system that is used to comply with paragraph
(k)(2) of this section shall be inspected and monitored in accordance
with the following requirements:
(i) The closed-vent system shall be visually inspected by the
remanufacturer or other person that stores or treats the hazardous
secondary material to check for defects that could result in air
pollutant emissions. Defects include, but are not limited to, visible
cracks, holes, or gaps in ductwork or piping or loose connections.
(ii) The remanufacturer or other person that stores or treats the
hazardous secondary material shall perform an initial inspection of the
closed-vent system on or before the date that the system becomes
subject to this section. Thereafter, the remanufacturer or other person
that stores or treats the hazardous secondary material shall perform
the inspections at least once every year.
(iii) In the event that a defect or leak is detected, the
remanufacturer or other person that stores or treats the hazardous
secondary material shall repair the defect in accordance with the
requirements of paragraph (l)(3) of this section.
(iv) The remanufacturer or other person that stores or treats the
hazardous secondary material shall maintain a record of the inspection
and monitoring in accordance with the requirements specified in Sec.
261.1035 of this subpart.
(3) The remanufacturer or other person that stores or treats the
hazardous secondary material shall repair all detected defects as
follows:
(i) Detectable emissions, as indicated by visual inspection, or by
an instrument reading greater than 500 ppmv above background, shall be
controlled as soon as practicable, but not later than 15 calendar days
after the emission is detected, except as provided for in paragraph
(l)(3)(iii) of this section.
(ii) A first attempt at repair shall be made no later than 5
calendar days after the emission is detected.
(iii) Delay of repair of a closed-vent system for which leaks have
been detected is allowed if the repair is technically infeasible
without a process unit shutdown, or if the remanufacturer or other
person that stores or treats the hazardous secondary material
determines that emissions resulting from immediate repair would be
greater than the fugitive emissions likely to result from delay of
repair. Repair of such equipment shall be completed by the end of the
next process unit shutdown.
(iv) The remanufacturer or other person that stores or treats the
hazardous secondary material shall maintain a record of the defect
repair in accordance with the requirements specified in Sec. 261.1035
of this subpart.
(m) Closed-vent systems and control devices used to comply with
provisions of this subpart shall be operated at all times when
emissions may be vented to them.
(n) The owner or operator using a carbon adsorption system to
control air pollutant emissions shall document that all carbon that is
a hazardous waste and that is removed from the control device is
managed in one of the following manners, regardless of the average
volatile organic concentration of the carbon:
(1) Regenerated or reactivated in a thermal treatment unit that
meets one of the following:
(i) The owner or operator of the unit has been issued a final
permit under 40 CFR part 270 which implements the requirements of
subpart X of this part; or
(ii) The unit is equipped with and operating air emission controls
in accordance with the applicable requirements of subparts AA and CC of
either this part or of 40 CFR part 265; or
(iii) The unit is equipped with and operating air emission controls
in accordance with a national emission standard for hazardous air
pollutants under 40 CFR part 61 or 40 CFR part 63.
(2) Incinerated in a hazardous waste incinerator for which the
owner or operator either:
(i) Has been issued a final permit under 40 CFR part 270 which
implements the requirements of subpart O of this part; or
(ii) Has designed and operates the incinerator in accordance with
the interim status requirements of 40 CFR part 265, subpart O.
(3) Burned in a boiler or industrial furnace for which the owner or
operator either:
(i) Has been issued a final permit under 40 CFR part 270 which
implements the requirements of 40 CFR part 266, subpart H; or
(ii) Has designed and operates the boiler or industrial furnace in
accordance with the interim status requirements of 40 CFR part 266,
subpart H.
(o) Any components of a closed-vent system that are designated, as
described in Sec. 261.1035(c)(9) of this subpart, as unsafe to monitor
are exempt from the requirements of paragraph (l)(1)(ii)(B) of this
section if:
(1) The remanufacturer or other person that stores or treats the
hazardous secondary material in a hazardous secondary material
management unit using a closed-vent
[[Page 1788]]
system determines that the components of the closed-vent system are
unsafe to monitor because monitoring personnel would be exposed to an
immediate danger as a consequence of complying with paragraph
(l)(1)(ii)(B) of this section; and
(2) The remanufacturer or other person that stores or treats the
hazardous secondary material in a hazardous secondary material
management unit using a closed-vent system adheres to a written plan
that requires monitoring the closed-vent system components using the
procedure specified in paragraph (l)(1)(ii)(B) of this section as
frequently as practicable during safe-to-monitor times.
Sec. 261.1034 Test methods and procedures.
(a) Each remanufacturer or other person that stores or treats the
hazardous secondary material subject to the provisions of this subpart
shall comply with the test methods and procedural requirements provided
in this section.
(b) When a closed-vent system is tested for compliance with no
detectable emissions, as required in Sec. 261.1033(l) of this subpart,
the test shall comply with the following requirements:
(1) Monitoring shall comply with Reference Method 21 in 40 CFR part
60.
(2) The detection instrument shall meet the performance criteria of
Reference Method 21.
(3) The instrument shall be calibrated before use on each day of
its use by the procedures specified in Reference Method 21.
(4) Calibration gases shall be:
(i) Zero air (less than 10 ppm of hydrocarbon in air).
(ii) A mixture of methane or n-hexane and air at a concentration of
approximately, but less than, 10,000 ppm methane or n-hexane.
(5) The background level shall be determined as set forth in
Reference Method 21.
(6) The instrument probe shall be traversed around all potential
leak interfaces as close to the interface as possible as described in
Reference Method 21.
(7) The arithmetic difference between the maximum concentration
indicated by the instrument and the background level is compared with
500 ppm for determining compliance.
(c) Performance tests to determine compliance with Sec.
261.1032(a) and with the total organic compound concentration limit of
Sec. 261.1033(c) shall comply with the following:
(1) Performance tests to determine total organic compound
concentrations and mass flow rates entering and exiting control devices
shall be conducted and data reduced in accordance with the following
reference methods and calculation procedures:
(i) Method 2 in 40 CFR part 60 for velocity and volumetric flow
rate.
(ii) Method 18 or Method 25A in 40 CFR part 60, appendix A, for
organic content. If Method 25A is used, the organic HAP used as the
calibration gas must be the single organic HAP representing the largest
percent by volume of the emissions. The use of Method 25A is acceptable
if the response from the high-level calibration gas is at least 20
times the standard deviation of the response from the zero calibration
gas when the instrument is zeroed on the most sensitive scale.
(iii) Each performance test shall consist of three separate runs;
each run conducted for at least 1 hour under the conditions that exist
when the hazardous secondary material management unit is operating at
the highest load or capacity level reasonably expected to occur. For
the purpose of determining total organic compound concentrations and
mass flow rates, the average of results of all runs shall apply. The
average shall be computed on a time-weighted basis.
(iv) Total organic mass flow rates shall be determined by the
following equation:
(A) For sources utilizing Method 18.
[GRAPHIC] [TIFF OMITTED] TR13JA15.001
Where:
Eh= Total organic mass flow rate, kg/h;
Q2sd= Volumetric flow rate of gases entering or exiting
control device, as determined by Method 2, dscm/h;
n = Number of organic compounds in the vent gas;
Ci= Organic concentration in ppm, dry basis, of compound
i in the vent gas, as determined by Method 18;
MWi= Molecular weight of organic compound i in the vent
gas, kg/kg-mol;
0.0416 = Conversion factor for molar volume, kg-mol/m3 (@293 K and
760 mm Hg);
10-\6\ = Conversion from ppm
(B) For sources utilizing Method 25A.
Eh= (Q)(C)(MW)(0.0416)(10-\6\)
Where:
Eh= Total organic mass flow rate, kg/h;
Q = Volumetric flow rate of gases entering or exiting control
device, as determined by Method 2, dscm/h;
C = Organic concentration in ppm, dry basis, as determined by Method
25A;
MW = Molecular weight of propane, 44;
0.0416 = Conversion factor for molar volume, kg-mol/m3 (@293 K and
760 mm Hg);
10-\6\ = Conversion from ppm.
(v) The annual total organic emission rate shall be determined by
the following equation:
EA=(Eh)(H)
Where:
EA=Total organic mass emission rate, kg/y;
Eh=Total organic mass flow rate for the process vent, kg/
h;
H=Total annual hours of operations for the affected unit, h.
(vi) Total organic emissions from all affected process vents at the
facility shall be determined by summing the hourly total organic mass
emission rates (Eh, as determined in paragraph (c)(1)(iv) of
this section) and by summing the annual total organic mass emission
rates (EA, as determined in paragraph (c)(1)(v) of this
section) for all affected process vents at the facility.
(2) The remanufacturer or other person that stores or treats the
hazardous secondary material shall record such process information as
may be necessary to determine the conditions of the performance tests.
Operations during periods of startup, shutdown, and malfunction shall
not constitute representative conditions for the purpose of a
performance test.
(3) The remanufacturer or other person that stores or treats the
hazardous secondary material at an affected facility shall provide, or
cause to be provided, performance testing facilities as follows:
(i) Sampling ports adequate for the test methods specified in
paragraph (c)(1) of this section.
(ii) Safe sampling platform(s).
(iii) Safe access to sampling platform(s).
(iv) Utilities for sampling and testing equipment.
(4) For the purpose of making compliance determinations, the time-
weighted average of the results of the three runs shall apply. In the
event that a sample is accidentally lost or conditions occur in which
one of the
[[Page 1789]]
three runs must be discontinued because of forced shutdown, failure of
an irreplaceable portion of the sample train, extreme meteorological
conditions, or other circumstances beyond the remanufacturer's or other
person's that stores or treats the hazardous secondary material
control, compliance may, upon the Regional Administrator's approval, be
determined using the average of the results of the two other runs.
(d) To show that a process vent associated with a hazardous
secondary material distillation, fractionation, thin-film evaporation,
solvent extraction, or air or steam stripping operation is not subject
to the requirements of this subpart, the remanufacturer or other person
that stores or treats the hazardous secondary material must make an
initial determination that the time-weighted, annual average total
organic concentration of the material managed by the hazardous
secondary material management unit is less than 10 ppmw using one of
the following two methods:
(1) Direct measurement of the organic concentration of the material
using the following procedures:
(i) The remanufacturer or other person that stores or treats the
hazardous secondary material must take a minimum of four grab samples
of material for each material stream managed in the affected unit under
process conditions expected to cause the maximum material organic
concentration.
(ii) For material generated onsite, the grab samples must be
collected at a point before the material is exposed to the atmosphere
such as in an enclosed pipe or other closed system that is used to
transfer the material after generation to the first affected
distillation, fractionation, thin-film evaporation, solvent extraction,
or air or steam stripping operation. For material generated offsite,
the grab samples must be collected at the inlet to the first material
management unit that receives the material provided the material has
been transferred to the facility in a closed system such as a tank
truck and the material is not diluted or mixed with other material.
(iii) Each sample shall be analyzed and the total organic
concentration of the sample shall be computed using Method 9060A
(incorporated by reference under 40 CFR 260.11) of ``Test Methods for
Evaluating Solid Waste, Physical/Chemical Methods,'' EPA Publication
SW-846, or analyzed for its individual organic constituents.
(iv) The arithmetic mean of the results of the analyses of the four
samples shall apply for each material stream managed in the unit in
determining the time-weighted, annual average total organic
concentration of the material. The time-weighted average is to be
calculated using the annual quantity of each material stream processed
and the mean organic concentration of each material stream managed in
the unit.
(2) Using knowledge of the material to determine that its total
organic concentration is less than 10 ppmw. Documentation of the
material determination is required. Examples of documentation that
shall be used to support a determination under this provision include
production process information documenting that no organic compounds
are used, information that the material is generated by a process that
is identical to a process at the same or another facility that has
previously been demonstrated by direct measurement to generate a
material stream having a total organic content less than 10 ppmw, or
prior speciation analysis results on the same material stream where it
can also be documented that no process changes have occurred since that
analysis that could affect the material total organic concentration.
(e) The determination that distillation, fractionation, thin-film
evaporation, solvent extraction, or air or steam stripping operations
manage hazardous secondary materials with time-weighted, annual average
total organic concentrations less than 10 ppmw shall be made as
follows:
(1) By the effective date that the facility becomes subject to the
provisions of this subpart or by the date when the material is first
managed in a hazardous secondary material management unit, whichever is
later, and
(2) For continuously generated material, annually, or
(3) Whenever there is a change in the material being managed or a
change in the process that generates or treats the material.
(f) When a remanufacturer or other person that stores or treats the
hazardous secondary material and the Regional Administrator do not
agree on whether a distillation, fractionation, thin-film evaporation,
solvent extraction, or air or steam stripping operation manages a
hazardous secondary material with organic concentrations of at least 10
ppmw based on knowledge of the material, the dispute may be resolved by
using direct measurement as specified at paragraph (d)(1) of this
section.
Sec. 261.1035 Recordkeeping requirements.
(a)(1) Each remanufacturer or other person that stores or treats
the hazardous secondary material subject to the provisions of this
subpart shall comply with the recordkeeping requirements of this
section.
(2) A remanufacturer or other person that stores or treats the
hazardous secondary material of more than one hazardous secondary
material management unit subject to the provisions of this subpart may
comply with the recordkeeping requirements for these hazardous
secondary material management units in one recordkeeping system if the
system identifies each record by each hazardous secondary material
management unit.
(b) The remanufacturer or other person that stores or treats the
hazardous secondary material must keep the following records on-site:
(1) For facilities that comply with the provisions of Sec.
261.1033(a)(2), an implementation schedule that includes dates by which
the closed-vent system and control device will be installed and in
operation. The schedule must also include a rationale of why the
installation cannot be completed at an earlier date. The implementation
schedule must be kept on-site at the facility by the effective date
that the facility becomes subject to the provisions of this subpart.
(2) Up-to-date documentation of compliance with the process vent
standards in Sec. 261.1032, including:
(i) Information and data identifying all affected process vents,
annual throughput and operating hours of each affected unit, estimated
emission rates for each affected vent and for the overall facility
(i.e., the total emissions for all affected vents at the facility), and
the approximate location within the facility of each affected unit
(e.g., identify the hazardous secondary material management units on a
facility plot plan).
(ii) Information and data supporting determinations of vent
emissions and emission reductions achieved by add-on control devices
based on engineering calculations or source tests. For the purpose of
determining compliance, determinations of vent emissions and emission
reductions must be made using operating parameter values (e.g.,
temperatures, flow rates, or vent stream organic compounds and
concentrations) that represent the conditions that result in maximum
organic emissions, such as when the hazardous secondary material
management unit is operating at the highest load or capacity level
reasonably expected to occur. If the remanufacturer or other person
that stores or treats the
[[Page 1790]]
hazardous secondary material takes any action (e.g., managing a
material of different composition or increasing operating hours of
affected hazardous secondary material management units) that would
result in an increase in total organic emissions from affected process
vents at the facility, then a new determination is required.
(3) Where a remanufacturer or other person that stores or treats
the hazardous secondary material chooses to use test data to determine
the organic removal efficiency or total organic compound concentration
achieved by the control device, a performance test plan must be
developed and include:
(i) A description of how it is determined that the planned test is
going to be conducted when the hazardous secondary material management
unit is operating at the highest load or capacity level reasonably
expected to occur. This shall include the estimated or design flow rate
and organic content of each vent stream and define the acceptable
operating ranges of key process and control device parameters during
the test program.
(ii) A detailed engineering description of the closed-vent system
and control device including:
(A) Manufacturer's name and model number of control device.
(B) Type of control device.
(C) Dimensions of the control device.
(D) Capacity.
(E) Construction materials.
(iii) A detailed description of sampling and monitoring procedures,
including sampling and monitoring locations in the system, the
equipment to be used, sampling and monitoring frequency, and planned
analytical procedures for sample analysis.
(4) Documentation of compliance with Sec. 261.1033 shall include
the following information:
(i) A list of all information references and sources used in
preparing the documentation.
(ii) Records, including the dates, of each compliance test required
by Sec. 261.1033(k).
(iii) If engineering calculations are used, a design analysis,
specifications, drawings, schematics, and piping and instrumentation
diagrams based on the appropriate sections of ``APTI Course 415:
Control of Gaseous Emissions'' (incorporated by reference as specified
in Sec. 260.11) or other engineering texts acceptable to the Regional
Administrator that present basic control device design information.
Documentation provided by the control device manufacturer or vendor
that describes the control device design in accordance with paragraphs
(b)(4)(iii)(A) through (G) of this section may be used to comply with
this requirement. The design analysis shall address the vent stream
characteristics and control device operation parameters as specified
below.
(A) For a thermal vapor incinerator, the design analysis shall
consider the vent stream composition, constituent concentrations, and
flow rate. The design analysis shall also establish the design minimum
and average temperature in the combustion zone and the combustion zone
residence time.
(B) For a catalytic vapor incinerator, the design analysis shall
consider the vent stream composition, constituent concentrations, and
flow rate. The design analysis shall also establish the design minimum
and average temperatures across the catalyst bed inlet and outlet.
(C) For a boiler or process heater, the design analysis shall
consider the vent stream composition, constituent concentrations, and
flow rate. The design analysis shall also establish the design minimum
and average flame zone temperatures, combustion zone residence time,
and description of method and location where the vent stream is
introduced into the combustion zone.
(D) For a flare, the design analysis shall consider the vent stream
composition, constituent concentrations, and flow rate. The design
analysis shall also consider the requirements specified in Sec.
261.1033(d).
(E) For a condenser, the design analysis shall consider the vent
stream composition, constituent concentrations, flow rate, relative
humidity, and temperature. The design analysis shall also establish the
design outlet organic compound concentration level, design average
temperature of the condenser exhaust vent stream, and design average
temperatures of the coolant fluid at the condenser inlet and outlet.
(F) For a carbon adsorption system such as a fixed-bed adsorber
that regenerates the carbon bed directly onsite in the control device,
the design analysis shall consider the vent stream composition,
constituent concentrations, flow rate, relative humidity, and
temperature. The design analysis shall also establish the design
exhaust vent stream organic compound concentration level, number and
capacity of carbon beds, type and working capacity of activated carbon
used for carbon beds, design total steam flow over the period of each
complete carbon bed regeneration cycle, duration of the carbon bed
steaming and cooling/drying cycles, design carbon bed temperature after
regeneration, design carbon bed regeneration time, and design service
life of carbon.
(G) For a carbon adsorption system such as a carbon canister that
does not regenerate the carbon bed directly onsite in the control
device, the design analysis shall consider the vent stream composition,
constituent concentrations, flow rate, relative humidity, and
temperature. The design analysis shall also establish the design outlet
organic concentration level, capacity of carbon bed, type and working
capacity of activated carbon used for carbon bed, and design carbon
replacement interval based on the total carbon working capacity of the
control device and source operating schedule.
(iv) A statement signed and dated by the remanufacturer or other
person that stores or treats the hazardous secondary material
certifying that the operating parameters used in the design analysis
reasonably represent the conditions that exist when the hazardous
secondary material management unit is or would be operating at the
highest load or capacity level reasonably expected to occur.
(v) A statement signed and dated by the remanufacturer or other
person that stores or treats the hazardous secondary material
certifying that the control device is designed to operate at an
efficiency of 95 percent or greater unless the total organic
concentration limit of Sec. 261.1032(a) is achieved at an efficiency
less than 95 weight percent or the total organic emission limits of
Sec. 261.1032(a) for affected process vents at the facility can be
attained by a control device involving vapor recovery at an efficiency
less than 95 weight percent. A statement provided by the control device
manufacturer or vendor certifying that the control equipment meets the
design specifications may be used to comply with this requirement.
(vi) If performance tests are used to demonstrate compliance, all
test results.
(c) Design documentation and monitoring, operating, and inspection
information for each closed-vent system and control device required to
comply with the provisions of this part shall be recorded and kept up-
to-date at the facility. The information shall include:
(1) Description and date of each modification that is made to the
closed-vent system or control device design.
(2) Identification of operating parameter, description of
monitoring device, and diagram of monitoring sensor location or
locations used to comply with Sec. 261.1033 (f)(1) and (2).
(3) Monitoring, operating, and inspection information required by
Sec. 261.1033(f) through (k).
[[Page 1791]]
(4) Date, time, and duration of each period that occurs while the
control device is operating when any monitored parameter exceeds the
value established in the control device design analysis as specified
below:
(i) For a thermal vapor incinerator designed to operate with a
minimum residence time of 0.50 second at a minimum temperature of 760
[deg]C, period when the combustion temperature is below 760 [deg]C.
(ii) For a thermal vapor incinerator designed to operate with an
organic emission reduction efficiency of 95 weight percent or greater,
period when the combustion zone temperature is more than 28 [deg]C
below the design average combustion zone temperature established as a
requirement of paragraph (b)(4)(iii)(A) of this section.
(iii) For a catalytic vapor incinerator, period when:
(A) Temperature of the vent stream at the catalyst bed inlet is
more than 28 [deg]C below the average temperature of the inlet vent
stream established as a requirement of paragraph (b)(4)(iii)(B) of this
section, or
(B) Temperature difference across the catalyst bed is less than 80
percent of the design average temperature difference established as a
requirement of paragraph (b)(4)(iii)(B) of this section.
(iv) For a boiler or process heater, period when:
(A) Flame zone temperature is more than 28 [deg]C below the design
average flame zone temperature established as a requirement of
paragraph (b)(4)(iii)(C) of this section, or
(B) Position changes where the vent stream is introduced to the
combustion zone from the location established as a requirement of
paragraph (b)(4)(iii)(C) of this section.
(v) For a flare, period when the pilot flame is not ignited.
(vi) For a condenser that complies with Sec.
261.1033(f)(2)(vi)(A), period when the organic compound concentration
level or readings of organic compounds in the exhaust vent stream from
the condenser are more than 20 percent greater than the design outlet
organic compound concentration level established as a requirement of
paragraph (b)(4)(iii)(E) of this section.
(vii) For a condenser that complies with Sec.
261.1033(f)(2)(vi)(B), period when:
(A) Temperature of the exhaust vent stream from the condenser is
more than 6 [deg]C above the design average exhaust vent stream
temperature established as a requirement of paragraph (b)(4)(iii)(E) of
this section; or
(B) Temperature of the coolant fluid exiting the condenser is more
than 6 [deg]C above the design average coolant fluid temperature at the
condenser outlet established as a requirement of paragraph
(b)(4)(iii)(E) of this section.
(viii) For a carbon adsorption system such as a fixed-bed carbon
adsorber that regenerates the carbon bed directly on-site in the
control device and complies with Sec. 261.1033(f)(2)(vii)(A), period
when the organic compound concentration level or readings of organic
compounds in the exhaust vent stream from the carbon bed are more than
20 percent greater than the design exhaust vent stream organic compound
concentration level established as a requirement of paragraph
(b)(4)(iii)(F) of this section.
(ix) For a carbon adsorption system such as a fixed-bed carbon
adsorber that regenerates the carbon bed directly on-site in the
control device and complies with Sec. 261.1033(f)(2)(vii)(B), period
when the vent stream continues to flow through the control device
beyond the predetermined carbon bed regeneration time established as a
requirement of paragraph (b)(4)(iii)(F) of this section.
(5) Explanation for each period recorded under paragraph (c)(4) of
the cause for control device operating parameter exceeding the design
value and the measures implemented to correct the control device
operation.
(6) For a carbon adsorption system operated subject to requirements
specified in Sec. 261.1033(g) or (h)(2), date when existing carbon in
the control device is replaced with fresh carbon.
(7) For a carbon adsorption system operated subject to requirements
specified in Sec. 261.1033(h)(1), a log that records:
(i) Date and time when control device is monitored for carbon
breakthrough and the monitoring device reading.
(ii) Date when existing carbon in the control device is replaced
with fresh carbon.
(8) Date of each control device startup and shutdown.
(9) A remanufacturer or other person that stores or treats the
hazardous secondary material designating any components of a closed-
vent system as unsafe to monitor pursuant to Sec. 261.1033(o) of this
subpart shall record in a log that is kept at the facility the
identification of closed-vent system components that are designated as
unsafe to monitor in accordance with the requirements of Sec.
261.1033(o) of this subpart, an explanation for each closed-vent system
component stating why the closed-vent system component is unsafe to
monitor, and the plan for monitoring each closed-vent system component.
(10) When each leak is detected as specified in Sec. 261.1033(l)
of this subpart, the following information shall be recorded:
(i) The instrument identification number, the closed-vent system
component identification number, and the operator name, initials, or
identification number.
(ii) The date the leak was detected and the date of first attempt
to repair the leak.
(iii) The date of successful repair of the leak.
(iv) Maximum instrument reading measured by Method 21 of 40 CFR
part 60, appendix A after it is successfully repaired or determined to
be nonrepairable.
(v) ``Repair delayed'' and the reason for the delay if a leak is
not repaired within 15 calendar days after discovery of the leak.
(A) The remanufacturer or other person that stores or treats the
hazardous secondary material may develop a written procedure that
identifies the conditions that justify a delay of repair. In such
cases, reasons for delay of repair may be documented by citing the
relevant sections of the written procedure.
(B) If delay of repair was caused by depletion of stocked parts,
there must be documentation that the spare parts were sufficiently
stocked on-site before depletion and the reason for depletion.
(d) Records of the monitoring, operating, and inspection
information required by paragraphs (c)(3) through (10) of this section
shall be maintained by the owner or operator for at least 3 years
following the date of each occurrence, measurement, maintenance,
corrective action, or record.
(e) For a control device other than a thermal vapor incinerator,
catalytic vapor incinerator, flare, boiler, process heater, condenser,
or carbon adsorption system, the Regional Administrator will specify
the appropriate recordkeeping requirements.
(f) Up-to-date information and data used to determine whether or
not a process vent is subject to the requirements in Sec. 261.1032
including supporting documentation as required by Sec. 261.1034(d)(2)
when application of the knowledge of the nature of the hazardous
secondary material stream or the process by which it was produced is
used, shall be recorded in a log that is kept at the facility.
Sec. Sec. 261.1036-261.1049 [Reserved]
Subpart BB--Air Emission Standards for Equipment Leaks
Sec. 261.1050 Applicability.
(a) The regulations in this subpart apply to equipment that
contains
[[Page 1792]]
hazardous secondary materials excluded under the remanufacturing
exclusion at Sec. 261.4(a)(27), unless the equipment operations are
subject to the requirements of an applicable Clean Air Act regulation
codified under 40 CFR part 60, part 61, or part 63.
Sec. 261.1051 Definitions.
As used in this subpart, all terms shall have the meaning given
them in Sec. 261.1031, the Resource Conservation and Recovery Act, and
40 CFR parts 260-266.
Sec. 261.1052 Standards: Pumps in light liquid service.
(a)(1) Each pump in light liquid service shall be monitored monthly
to detect leaks by the methods specified in Sec. 261.1063(b), except
as provided in paragraphs (d), (e), and (f) of this section.
(2) Each pump in light liquid service shall be checked by visual
inspection each calendar week for indications of liquids dripping from
the pump seal.
(b)(1) If an instrument reading of 10,000 ppm or greater is
measured, a leak is detected.
(2) If there are indications of liquids dripping from the pump
seal, a leak is detected.
(c)(1) When a leak is detected, it shall be repaired as soon as
practicable, but not later than 15 calendar days after it is detected,
except as provided in Sec. 261.1059.
(2) A first attempt at repair (e.g., tightening the packing gland)
shall be made no later than five calendar days after each leak is
detected.
(d) Each pump equipped with a dual mechanical seal system that
includes a barrier fluid system is exempt from the requirements of
paragraph (a) of this section, provided the following requirements are
met:
(1) Each dual mechanical seal system must be:
(i) Operated with the barrier fluid at a pressure that is at all
times greater than the pump stuffing box pressure, or
(ii) Equipped with a barrier fluid degassing reservoir that is
connected by a closed-vent system to a control device that complies
with the requirements of Sec. 261.1060, or
(iii) Equipped with a system that purges the barrier fluid into a
hazardous secondary material stream with no detectable emissions to the
atmosphere.
(2) The barrier fluid system must not be a hazardous secondary
material with organic concentrations 10 percent or greater by weight.
(3) Each barrier fluid system must be equipped with a sensor that
will detect failure of the seal system, the barrier fluid system, or
both.
(4) Each pump must be checked by visual inspection, each calendar
week, for indications of liquids dripping from the pump seals.
(5)(i) Each sensor as described in paragraph (d)(3) of this section
must be checked daily or be equipped with an audible alarm that must be
checked monthly to ensure that it is functioning properly.
(ii) The remanufacturer or other person that stores or treats the
hazardous secondary material must determine, based on design
considerations and operating experience, a criterion that indicates
failure of the seal system, the barrier fluid system, or both.
(6)(i) If there are indications of liquids dripping from the pump
seal or the sensor indicates failure of the seal system, the barrier
fluid system, or both based on the criterion determined in paragraph
(d)(5)(ii) of this section, a leak is detected.
(ii) When a leak is detected, it shall be repaired as soon as
practicable, but not later than 15 calendar days after it is detected,
except as provided in Sec. 261.1059.
(iii) A first attempt at repair (e.g., relapping the seal) shall be
made no later than five calendar days after each leak is detected.
(e) Any pump that is designated, as described in Sec.
261.1064(g)(2), for no detectable emissions, as indicated by an
instrument reading of less than 500 ppm above background, is exempt
from the requirements of paragraphs (a), (c), and (d) of this section
if the pump meets the following requirements:
(1) Must have no externally actuated shaft penetrating the pump
housing.
(2) Must operate with no detectable emissions as indicated by an
instrument reading of less than 500 ppm above background as measured by
the methods specified in Sec. 261.1063(c).
(3) Must be tested for compliance with paragraph (e)(2) of this
section initially upon designation, annually, and at other times as
requested by the Regional Administrator.
(f) If any pump is equipped with a closed-vent system capable of
capturing and transporting any leakage from the seal or seals to a
control device that complies with the requirements of Sec. 261.1060,
it is exempt from the requirements of paragraphs (a) through (e) of
this section.
Sec. 261.1053 Standards: Compressors.
(a) Each compressor shall be equipped with a seal system that
includes a barrier fluid system and that prevents leakage of total
organic emissions to the atmosphere, except as provided in paragraphs
(h) and (i) of this section.
(b) Each compressor seal system as required in paragraph (a) of
this section shall be:
(1) Operated with the barrier fluid at a pressure that is at all
times greater than the compressor stuffing box pressure, or
(2) Equipped with a barrier fluid system that is connected by a
closed-vent system to a control device that complies with the
requirements of Sec. 261.1060, or
(3) Equipped with a system that purges the barrier fluid into a
hazardous secondary material stream with no detectable emissions to
atmosphere.
(c) The barrier fluid must not be a hazardous secondary material
with organic concentrations 10 percent or greater by weight.
(d) Each barrier fluid system as described in paragraphs (a)
through (c) of this section shall be equipped with a sensor that will
detect failure of the seal system, barrier fluid system, or both.
(e)(1) Each sensor as required in paragraph (d) of this section
shall be checked daily or shall be equipped with an audible alarm that
must be checked monthly to ensure that it is functioning properly
unless the compressor is located within the boundary of an unmanned
plant site, in which case the sensor must be checked daily.
(2) The remanufacturer or other person that stores or treats the
hazardous secondary material shall determine, based on design
considerations and operating experience, a criterion that indicates
failure of the seal system, the barrier fluid system, or both.
(f) If the sensor indicates failure of the seal system, the barrier
fluid system, or both based on the criterion determined under paragraph
(e)(2) of this section, a leak is detected.
(g)(1) When a leak is detected, it shall be repaired as soon as
practicable, but not later than 15 calendar days after it is detected,
except as provided in Sec. 261.1059.
(2) A first attempt at repair (e.g., tightening the packing gland)
shall be made no later than 5 calendar days after each leak is
detected.
(h) A compressor is exempt from the requirements of paragraphs (a)
and (b) of this section if it is equipped with a closed-vent system
capable of capturing and transporting any leakage from the seal to a
control device that complies with the requirements of Sec. 261.1060,
except as provided in paragraph (i) of this section.
(i) Any compressor that is designated, as described in Sec.
261.1064(g)(2), for no
[[Page 1793]]
detectable emissions as indicated by an instrument reading of less than
500 ppm above background is exempt from the requirements of paragraphs
(a) through (h) of this section if the compressor:
(1) Is determined to be operating with no detectable emissions, as
indicated by an instrument reading of less than 500 ppm above
background, as measured by the method specified in Sec. 261.1063(c).
(2) Is tested for compliance with paragraph (i)(1) of this section
initially upon designation, annually, and at other times as requested
by the Regional Administrator.
Sec. 261.1054 Standards: Pressure relief devices in gas/vapor
service.
(a) Except during pressure releases, each pressure relief device in
gas/vapor service shall be operated with no detectable emissions, as
indicated by an instrument reading of less than 500 ppm above
background, as measured by the method specified in Sec. 261.1063(c).
(b)(1) After each pressure release, the pressure relief device
shall be returned to a condition of no detectable emissions, as
indicated by an instrument reading of less than 500 ppm above
background, as soon as practicable, but no later than 5 calendar days
after each pressure release, except as provided in Sec. 261.1059.
(2) No later than 5 calendar days after the pressure release, the
pressure relief device shall be monitored to confirm the condition of
no detectable emissions, as indicated by an instrument reading of less
than 500 ppm above background, as measured by the method specified in
Sec. 261.1063(c).
(c) Any pressure relief device that is equipped with a closed-vent
system capable of capturing and transporting leakage from the pressure
relief device to a control device as described in Sec. 261.1060 is
exempt from the requirements of paragraphs (a) and (b) of this section.
Sec. 261.1055 Standards: Sampling connection systems.
(a) Each sampling connection system shall be equipped with a
closed-purge, closed-loop, or closed-vent system. This system shall
collect the sample purge for return to the process or for routing to
the appropriate treatment system. Gases displaced during filling of the
sample container are not required to be collected or captured.
(b) Each closed-purge, closed-loop, or closed-vent system as
required in paragraph (a) of this section shall meet one of the
following requirements:
(1) Return the purged process fluid directly to the process line;
(2) Collect and recycle the purged process fluid; or
(3) Be designed and operated to capture and transport all the
purged process fluid to a material management unit that complies with
the applicable requirements of Sec. Sec. 261.1084 through 264.1086 of
this subpart or a control device that complies with the requirements of
Sec. 261.1060 of this subpart.
(c) In-situ sampling systems and sampling systems without purges
are exempt from the requirements of paragraphs (a) and (b) of this
section.
Sec. 261.1056 Standards: Open-ended valves or lines.
(a)(1) Each open-ended valve or line shall be equipped with a cap,
blind flange, plug, or a second valve.
(2) The cap, blind flange, plug, or second valve shall seal the
open end at all times except during operations requiring hazardous
secondary material stream flow through the open-ended valve or line.
(b) Each open-ended valve or line equipped with a second valve
shall be operated in a manner such that the valve on the hazardous
secondary material stream end is closed before the second valve is
closed.
(c) When a double block and bleed system is being used, the bleed
valve or line may remain open during operations that require venting
the line between the block valves but shall comply with paragraph (a)
of this section at all other times.
Sec. 261.1057 Standards: Valves in gas/vapor service or in light
liquid service.
(a) Each valve in gas/vapor or light liquid service shall be
monitored monthly to detect leaks by the methods specified in Sec.
261.1063(b) and shall comply with paragraphs (b) through (e) of this
section, except as provided in paragraphs (f), (g), and (h) of this
section and Sec. Sec. 261.1061 and 261.1062.
(b) If an instrument reading of 10,000 ppm or greater is measured,
a leak is detected.
(c)(1) Any valve for which a leak is not detected for two
successive months may be monitored the first month of every succeeding
quarter, beginning with the next quarter, until a leak is detected.
(2) If a leak is detected, the valve shall be monitored monthly
until a leak is not detected for two successive months,
(d)(1) When a leak is detected, it shall be repaired as soon as
practicable, but no later than 15 calendar days after the leak is
detected, except as provided in Sec. 261.1059.
(2) A first attempt at repair shall be made no later than 5
calendar days after each leak is detected.
(e) First attempts at repair include, but are not limited to, the
following best practices where practicable:
(1) Tightening of bonnet bolts.
(2) Replacement of bonnet bolts.
(3) Tightening of packing gland nuts.
(4) Injection of lubricant into lubricated packing.
(f) Any valve that is designated, as described in Sec.
261.1064(g)(2), for no detectable emissions, as indicated by an
instrument reading of less than 500 ppm above background, is exempt
from the requirements of paragraph (a) of this section if the valve:
(1) Has no external actuating mechanism in contact with the
hazardous secondary material stream.
(2) Is operated with emissions less than 500 ppm above background
as determined by the method specified in Sec. 261.1063(c).
(3) Is tested for compliance with paragraph (f)(2) of this section
initially upon designation, annually, and at other times as requested
by the Regional Administrator.
(g) Any valve that is designated, as described in Sec.
261.1064(h)(1), as an unsafe-to-monitor valve is exempt from the
requirements of paragraph (a) of this section if:
(1) The remanufacturer or other person that stores or treats the
hazardous secondary material determines that the valve is unsafe to
monitor because monitoring personnel would be exposed to an immediate
danger as a consequence of complying with paragraph (a) of this
section.
(2) The remanufacturer or other person that stores or treats the
hazardous secondary material adheres to a written plan that requires
monitoring of the valve as frequently as practicable during safe-to-
monitor times.
(h) Any valve that is designated, as described in Sec.
261.1064(h)(2), as a difficult-to-monitor valve is exempt from the
requirements of paragraph (a) of this section if:
(1) The remanufacturer or other person that stores or treats the
hazardous secondary material determines that the valve cannot be
monitored without elevating the monitoring personnel more than 2 meters
above a support surface.
(2) The hazardous secondary material management unit within which
the valve is located was in operation before January 13, 2015.
(3) The owner or operator of the valve follows a written plan that
requires monitoring of the valve at least once per calendar year.
[[Page 1794]]
Sec. 261.1058 Standards: Pumps and valves in heavy liquid service,
pressure relief devices in light liquid or heavy liquid service, and
flanges and other connectors.
(a) Pumps and valves in heavy liquid service, pressure relief
devices in light liquid or heavy liquid service, and flanges and other
connectors shall be monitored within five days by the method specified
in Sec. 261.1063(b) if evidence of a potential leak is found by
visual, audible, olfactory, or any other detection method.
(b) If an instrument reading of 10,000 ppm or greater is measured,
a leak is detected.
(c)(1) When a leak is detected, it shall be repaired as soon as
practicable, but not later than 15 calendar days after it is detected,
except as provided in Sec. 261.1059.
(2) The first attempt at repair shall be made no later than 5
calendar days after each leak is detected.
(d) First attempts at repair include, but are not limited to, the
best practices described under Sec. 261.1057(e).
(e) Any connector that is inaccessible or is ceramic or ceramic-
lined (e.g., porcelain, glass, or glass-lined) is exempt from the
monitoring requirements of paragraph (a) of this section and from the
recordkeeping requirements of Sec. 261.1064 of this subpart.
Sec. 261.1059 Standards: Delay of repair.
(a) Delay of repair of equipment for which leaks have been detected
will be allowed if the repair is technically infeasible without a
hazardous secondary material management unit shutdown. In such a case,
repair of this equipment shall occur before the end of the next
hazardous secondary material management unit shutdown.
(b) Delay of repair of equipment for which leaks have been detected
will be allowed for equipment that is isolated from the hazardous
secondary material management unit and that does not continue to
contain or contact hazardous secondary material with organic
concentrations at least 10 percent by weight.
(c) Delay of repair for valves will be allowed if:
(1) The remanufacturer or other person that stores or treats the
hazardous secondary material determines that emissions of purged
material resulting from immediate repair are greater than the emissions
likely to result from delay of repair.
(2) When repair procedures are effected, the purged material is
collected and destroyed or recovered in a control device complying with
Sec. 261.1060.
(d) Delay of repair for pumps will be allowed if:
(1) Repair requires the use of a dual mechanical seal system that
includes a barrier fluid system.
(2) Repair is completed as soon as practicable, but not later than
6 months after the leak was detected.
(e) Delay of repair beyond a hazardous secondary material
management unit shutdown will be allowed for a valve if valve assembly
replacement is necessary during the hazardous secondary material
management unit shutdown, valve assembly supplies have been depleted,
and valve assembly supplies had been sufficiently stocked before the
supplies were depleted. Delay of repair beyond the next hazardous
secondary material management unit shutdown will not be allowed unless
the next hazardous secondary material management unit shutdown occurs
sooner than 6 months after the first hazardous secondary material
management unit shutdown.
Sec. 261.1060 Standards: Closed-vent systems and control devices.
(a) The remanufacturer or other person that stores or treats the
hazardous secondary material in a hazardous secondary material
management units using closed-vent systems and control devices subject
to this subpart shall comply with the provisions of Sec. 261.1033 of
this part.
(b)(1) The remanufacturer or other person that stores or treats the
hazardous secondary material at an existing facility who cannot install
a closed-vent system and control device to comply with the provisions
of this subpart on the effective date that the facility becomes subject
to the provisions of this subpart must prepare an implementation
schedule that includes dates by which the closed-vent system and
control device will be installed and in operation. The controls must be
installed as soon as possible, but the implementation schedule may
allow up to 30 months after the effective date that the facility
becomes subject to this subpart for installation and startup.
(2) Any unit that begins operation after July 13, 2015 and is
subject to the provisions of this subpart when operation begins, must
comply with the rules immediately (i.e., must have control devices
installed and operating on startup of the affected unit); the 30-month
implementation schedule does not apply.
(3) The remanufacturer or other person that stores or treats the
hazardous secondary material at any facility in existence on the
effective date of a statutory or regulatory amendment that renders the
facility subject to this subpart shall comply with all requirements of
this subpart as soon as practicable but no later than 30 months after
the amendment's effective date. When control equipment required by this
subpart cannot be installed and begin operation by the effective date
of the amendment, the facility owner or operator shall prepare an
implementation schedule that includes the following information:
Specific calendar dates for award of contracts or issuance of purchase
orders for the control equipment, initiation of on-site installation of
the control equipment, completion of the control equipment
installation, and performance of any testing to demonstrate that the
installed equipment meets the applicable standards of this subpart. The
remanufacturer or other person that stores or treats the hazardous
secondary material shall keep a copy of the implementation schedule at
the facility.
(4) Remanufacturers or other persons that store or treat the
hazardous secondary materials at facilities and units that become newly
subject to the requirements of this subpart after January 13, 2015, due
to an action other than those described in paragraph (b)(3) of this
section must comply with all applicable requirements immediately (i.e.,
must have control devices installed and operating on the date the
facility or unit becomes subject to this subpart; the 30-month
implementation schedule does not apply).
Sec. 261.1061 Alternative standards for valves in gas/vapor service
or in light liquid service: percentage of valves allowed to leak.
(a) A remanufacturer or other person that stores or treats the
hazardous secondary material subject to the requirements of Sec.
261.1057 may elect to have all valves within a hazardous secondary
material management unit comply with an alternative standard that
allows no greater than 2 percent of the valves to leak.
(b) The following requirements shall be met if a remanufacturer or
other person that stores or treats the hazardous secondary material
decides to comply with the alternative standard of allowing 2 percent
of valves to leak:
(1) A performance test as specified in paragraph (c) of this
section shall be conducted initially upon designation, annually, and at
other times requested by the Regional Administrator.
(2) If a valve leak is detected, it shall be repaired in accordance
with Sec. 261.1057(d) and (e).
(c) Performance tests shall be conducted in the following manner:
(1) All valves subject to the requirements in Sec. 261.1057 within
the
[[Page 1795]]
hazardous secondary material management unit shall be monitored within
1 week by the methods specified in Sec. 261.1063(b).
(2) If an instrument reading of 10,000 ppm or greater is measured,
a leak is detected.
(3) The leak percentage shall be determined by dividing the number
of valves subject to the requirements in Sec. 261.1057 for which leaks
are detected by the total number of valves subject to the requirements
in Sec. 261.1057 within the hazardous secondary material management
unit.
Sec. 261.1062 Alternative standards for valves in gas/vapor service
or in light liquid service: skip period leak detection and repair.
(a) A remanufacturer or other person that stores or treats the
hazardous secondary material subject to the requirements of Sec.
261.1057 may elect for all valves within a hazardous secondary material
management unit to comply with one of the alternative work practices
specified in paragraphs (b)(2) and (3) of this section.
(b)(1) A remanufacturer or other person that stores or treats the
hazardous secondary material shall comply with the requirements for
valves, as described in Sec. 261.1057, except as described in
paragraphs (b)(2) and (3) of this section.
(2) After two consecutive quarterly leak detection periods with the
percentage of valves leaking equal to or less than two percent, a
remanufacturer or other person that stores or treats the hazardous
secondary material may begin to skip one of the quarterly leak
detection periods (i.e., monitor for leaks once every six months) for
the valves subject to the requirements in Sec. 261.1057 of this
subpart.
(3) After five consecutive quarterly leak detection periods with
the percentage of valves leaking equal to or less than two percent, a
remanufacturer or other person that stores or treats the hazardous
secondary material may begin to skip three of the quarterly leak
detection periods (i.e., monitor for leaks once every year) for the
valves subject to the requirements in Sec. 261.1057 of this subpart.
(4) If the percentage of valves leaking is greater than two
percent, the remanufacturer or other person that stores or treats the
hazardous secondary material shall monitor monthly in compliance with
the requirements in Sec. 261.1057, but may again elect to use this
section after meeting the requirements of Sec. 261.1057(c)(1).
Sec. 261.1063 Test methods and procedures.
(a) Each remanufacturer or other person that stores or treats the
hazardous secondary material subject to the provisions of this subpart
shall comply with the test methods and procedures requirements provided
in this section.
(b) Leak detection monitoring, as required in Sec. Sec. 261.1052-
261.1062, shall comply with the following requirements:
(1) Monitoring shall comply with Reference Method 21 in 40 CFR part
60.
(2) The detection instrument shall meet the performance criteria of
Reference Method 21.
(3) The instrument shall be calibrated before use on each day of
its use by the procedures specified in Reference Method 21.
(4) Calibration gases shall be:
(i) Zero air (less than 10 ppm of hydrocarbon in air).
(ii) A mixture of methane or n-hexane and air at a concentration of
approximately, but less than, 10,000 ppm methane or n-hexane.
(5) The instrument probe shall be traversed around all potential
leak interfaces as close to the interface as possible as described in
Reference Method 21.
(c) When equipment is tested for compliance with no detectable
emissions, as required in Sec. Sec. 261.1052(e), 261.1053(i),
261.1054, and 261.1057(f), the test shall comply with the following
requirements:
(1) The requirements of paragraphs (b)(1) through (4) of this
section shall apply.
(2) The background level shall be determined as set forth in
Reference Method 21.
(3) The instrument probe shall be traversed around all potential
leak interfaces as close to the interface as possible as described in
Reference Method 21.
(4) The arithmetic difference between the maximum concentration
indicated by the instrument and the background level is compared with
500 ppm for determining compliance.
(d) A remanufacturer or other person that stores or treats the
hazardous secondary material must determine, for each piece of
equipment, whether the equipment contains or contacts a hazardous
secondary material with organic concentration that equals or exceeds 10
percent by weight using the following:
(1) Methods described in ASTM Methods D 2267-88, E 169-87, E 168-
88, E 260-85 (incorporated by reference under Sec. 260.11);
(2) Method 9060A (incorporated by reference under 40 CFR 260.11) of
``Test Methods for Evaluating Solid Waste,'' EPA Publication SW-846,
for computing total organic concentration of the sample, or analyzed
for its individual organic constituents; or
(3) Application of the knowledge of the nature of the hazardous
secondary material stream or the process by which it was produced.
Documentation of a material determination by knowledge is required.
Examples of documentation that shall be used to support a determination
under this provision include production process information documenting
that no organic compounds are used, information that the material is
generated by a process that is identical to a process at the same or
another facility that has previously been demonstrated by direct
measurement to have a total organic content less than 10 percent, or
prior speciation analysis results on the same material stream where it
can also be documented that no process changes have occurred since that
analysis that could affect the material total organic concentration.
(e) If a remanufacturer or other person that stores or treats the
hazardous secondary material determines that a piece of equipment
contains or contacts a hazardous secondary material with organic
concentrations at least 10 percent by weight, the determination can be
revised only after following the procedures in paragraph (d)(1) or (2)
of this section.
(f) When a remanufacturer or other person that stores or treats the
hazardous secondary material and the Regional Administrator do not
agree on whether a piece of equipment contains or contacts a hazardous
secondary material with organic concentrations at least 10 percent by
weight, the procedures in paragraph (d)(1) or (2) of this section can
be used to resolve the dispute.
(g) Samples used in determining the percent organic content shall
be representative of the highest total organic content hazardous
secondary material that is expected to be contained in or contact the
equipment.
(h) To determine if pumps or valves are in light liquid service,
the vapor pressures of constituents may be obtained from standard
reference texts or may be determined by ASTM D-2879-86 (incorporated by
reference under Sec. 260.11).
(i) Performance tests to determine if a control device achieves 95
weight percent organic emission reduction shall comply with the
procedures of Sec. 261.1034(c)(1) through (4).
[[Page 1796]]
Sec. 261.1064 Recordkeeping requirements.
(a)(1) Each remanufacturer or other person that stores or treats
the hazardous secondary material subject to the provisions of this
subpart shall comply with the recordkeeping requirements of this
section.
(2) A remanufacturer or other person that stores or treats the
hazardous secondary material in more than one hazardous secondary
material management unit subject to the provisions of this subpart may
comply with the recordkeeping requirements for these hazardous
secondary material management units in one recordkeeping system if the
system identifies each record by each hazardous secondary material
management unit.
(b) Remanufacturer's and other person's that store or treat the
hazardous secondary material must record and keep the following
information at the facility:
(1) For each piece of equipment to which subpart BB of part 261
applies:
(i) Equipment identification number and hazardous secondary
material management unit identification.
(ii) Approximate locations within the facility (e.g., identify the
hazardous secondary material management unit on a facility plot plan).
(iii) Type of equipment (e.g., a pump or pipeline valve).
(iv) Percent-by-weight total organics in the hazardous secondary
material stream at the equipment.
(v) Hazardous secondary material state at the equipment (e.g., gas/
vapor or liquid).
(vi) Method of compliance with the standard (e.g., ``monthly leak
detection and repair'' or ``equipped with dual mechanical seals'').
(2) For facilities that comply with the provisions of Sec.
261.1033(a)(2), an implementation schedule as specified in Sec.
261.1033(a)(2).
(3) Where a remanufacturer or other person that stores or treats
the hazardous secondary material chooses to use test data to
demonstrate the organic removal efficiency or total organic compound
concentration achieved by the control device, a performance test plan
as specified in Sec. 261.1035(b)(3).
(4) Documentation of compliance with Sec. 261.1060, including the
detailed design documentation or performance test results specified in
Sec. 261.1035(b)(4).
(c) When each leak is detected as specified in Sec. Sec. 261.1052,
261.1053, 261.1057, and 261.1058, the following requirements apply:
(1) A weatherproof and readily visible identification, marked with
the equipment identification number, the date evidence of a potential
leak was found in accordance with Sec. 261.1058(a), and the date the
leak was detected, shall be attached to the leaking equipment.
(2) The identification on equipment, except on a valve, may be
removed after it has been repaired.
(3) The identification on a valve may be removed after it has been
monitored for two successive months as specified in Sec. 261.1057(c)
and no leak has been detected during those two months.
(d) When each leak is detected as specified in Sec. Sec. 261.1052,
261.1053, 261.1057, and 261.1058, the following information shall be
recorded in an inspection log and shall be kept at the facility:
(1) The instrument and operator identification numbers and the
equipment identification number.
(2) The date evidence of a potential leak was found in accordance
with Sec. 261.1058(a).
(3) The date the leak was detected and the dates of each attempt to
repair the leak.
(4) Repair methods applied in each attempt to repair the leak.
(5) ``Above 10,000'' if the maximum instrument reading measured by
the methods specified in Sec. 261.1063(b) after each repair attempt is
equal to or greater than 10,000 ppm.
(6) ``Repair delayed'' and the reason for the delay if a leak is
not repaired within 15 calendar days after discovery of the leak.
(7) Documentation supporting the delay of repair of a valve in
compliance with Sec. 261.1059(c).
(8) The signature of the remanufacturer or other person that stores
or treats the hazardous secondary material (or designate) whose
decision it was that repair could not be effected without a hazardous
secondary material management unit shutdown.
(9) The expected date of successful repair of the leak if a leak is
not repaired within 15 calendar days.
(10) The date of successful repair of the leak.
(e) Design documentation and monitoring, operating, and inspection
information for each closed-vent system and control device required to
comply with the provisions of Sec. 261.1060 shall be recorded and kept
up-to-date at the facility as specified in Sec. 261.1035(c). Design
documentation is specified in Sec. 261.1035(c)(1) and (2) and
monitoring, operating, and inspection information in Sec.
261.1035(c)(3) through (8).
(f) For a control device other than a thermal vapor incinerator,
catalytic vapor incinerator, flare, boiler, process heater, condenser,
or carbon adsorption system, the Regional Administrator will specify
the appropriate recordkeeping requirements.
(g) The following information pertaining to all equipment subject
to the requirements in Sec. Sec. 261.1052 through 261.1060 shall be
recorded in a log that is kept at the facility:
(1) A list of identification numbers for equipment (except welded
fittings) subject to the requirements of this subpart.
(2)(i) A list of identification numbers for equipment that the
remanufacturer or other person that stores or treats the hazardous
secondary material elects to designate for no detectable emissions, as
indicated by an instrument reading of less than 500 ppm above
background, under the provisions of Sec. Sec. 261.1052(e),
261.1053(i), and 261.1057(f).
(ii) The designation of this equipment as subject to the
requirements of Sec. Sec. 261.1052(e), 261.1053(i), or 261.1057(f)
shall be signed by the remanufacturer or other person that stores or
treats the hazardous secondary material.
(3) A list of equipment identification numbers for pressure relief
devices required to comply with Sec. 261.1054(a).
(4)(i) The dates of each compliance test required in Sec. Sec.
261.1052(e), 261.1053(i), 261.1054, and 261.1057(f).
(ii) The background level measured during each compliance test.
(iii) The maximum instrument reading measured at the equipment
during each compliance test.
(5) A list of identification numbers for equipment in vacuum
service.
(6) Identification, either by list or location (area or group) of
equipment that contains or contacts hazardous secondary material with
an organic concentration of at least 10 percent by weight for less than
300 hours per calendar year.
(h) The following information pertaining to all valves subject to
the requirements of Sec. 261.1057(g) and (h) shall be recorded in a
log that is kept at the facility:
(1) A list of identification numbers for valves that are designated
as unsafe to monitor, an explanation for each valve stating why the
valve is unsafe to monitor, and the plan for monitoring each valve.
(2) A list of identification numbers for valves that are designated
as difficult to monitor, an explanation for each valve stating why the
valve is difficult to monitor, and the planned schedule for monitoring
each valve.
(i) The following information shall be recorded in a log that is
kept at the facility for valves complying with Sec. 261.1062:
(1) A schedule of monitoring.
[[Page 1797]]
(2) The percent of valves found leaking during each monitoring
period.
(j) The following information shall be recorded in a log that is
kept at in the facility:
(1) Criteria required in Sec. Sec. 261.1052(d)(5)(ii) and
261.1053(e)(2) and an explanation of the design criteria.
(2) Any changes to these criteria and the reasons for the changes.
(k) The following information shall be recorded in a log that is
kept at the facility for use in determining exemptions as provided in
the applicability section of this subpart and other specific subparts:
(1) An analysis determining the design capacity of the hazardous
secondary material management unit.
(2) A statement listing the hazardous secondary material influent
to and effluent from each hazardous secondary material management unit
subject to the requirements in Sec. Sec. 261.1052 through 261.1060 and
an analysis determining whether these hazardous secondary materials are
heavy liquids.
(3) An up-to-date analysis and the supporting information and data
used to determine whether or not equipment is subject to the
requirements in Sec. Sec. 261.1052 through 261.1060. The record shall
include supporting documentation as required by Sec. 261.1063(d)(3)
when application of the knowledge of the nature of the hazardous
secondary material stream or the process by which it was produced is
used. If the remanufacturer or other person that stores or treats the
hazardous secondary material takes any action (e.g., changing the
process that produced the material) that could result in an increase in
the total organic content of the material contained in or contacted by
equipment determined not to be subject to the requirements in
Sec. Sec. 261.1052 through 261.1060, then a new determination is
required.
(l) Records of the equipment leak information required by paragraph
(d) of this section and the operating information required by paragraph
(e) of this section need be kept only three years.
(m) The remanufacturer or other person that stores or treats the
hazardous secondary material at a facility with equipment that is
subject to this subpart and to regulations at 40 CFR part 60, part 61,
or part 63 may elect to determine compliance with this subpart either
by documentation pursuant to Sec. 261.1064 of this subpart, or by
documentation of compliance with the regulations at 40 CFR part 60,
part 61, or part 63 pursuant to the relevant provisions of the
regulations at 40 part 60, part 61, or part 63. The documentation of
compliance under regulations at 40 CFR part 60, part 61, or part 63
shall be kept with or made readily available at the facility.
Sec. Sec. 261.1065-261.1079 [Reserved]
Subpart CC--Air Emission Standards for Tanks and Containers
Sec. 261.1080 Applicability.
(a) The regulations in this subpart apply to tanks and containers
that contain hazardous secondary materials excluded under the
remanufacturing exclusion at Sec. 261.4(a)(27), unless the tanks and
containers are equipped with and operating air emission controls in
accordance with the requirements of an applicable Clean Air Act
regulations codified under 40 CFR part 60, part 61, or part 63.
(b) [Reserved]
Sec. 261.1081 Definitions.
As used in this subpart, all terms not defined herein shall have
the meaning given to them in the Resource Conservation and Recovery Act
and parts 260 through 266 of this chapter.
Average volatile organic concentration or average VO concentration
means the mass-weighted average volatile organic concentration of a
hazardous secondary material as determined in accordance with the
requirements of Sec. 261.1084 of this subpart.
Closure device means a cap, hatch, lid, plug, seal, valve, or other
type of fitting that blocks an opening in a cover such that when the
device is secured in the closed position it prevents or reduces air
pollutant emissions to the atmosphere. Closure devices include devices
that are detachable from the cover (e.g., a sampling port cap),
manually operated (e.g., a hinged access lid or hatch), or
automatically operated (e.g., a spring-loaded pressure relief valve).
Continuous seal means a seal that forms a continuous closure that
completely covers the space between the edge of the floating roof and
the wall of a tank. A continuous seal may be a vapor-mounted seal,
liquid-mounted seal, or metallic shoe seal. A continuous seal may be
constructed of fastened segments so as to form a continuous seal.
Cover means a device that provides a continuous barrier over the
hazardous secondary material managed in a unit to prevent or reduce air
pollutant emissions to the atmosphere. A cover may have openings (such
as access hatches, sampling ports, gauge wells) that are necessary for
operation, inspection, maintenance, and repair of the unit on which the
cover is used. A cover may be a separate piece of equipment which can
be detached and removed from the unit or a cover may be formed by
structural features permanently integrated into the design of the unit.
Empty hazardous secondary material container means:
(1) A container from which all hazardous secondary materials have
been removed that can be removed using the practices commonly employed
to remove materials from that type of container, e.g., pouring,
pumping, and aspirating, and no more than 2.5 centimeters (one inch) of
residue remain on the bottom of the container or inner liner;
(2) A container that is less than or equal to 119 gallons in size
and no more than 3 percent by weight of the total capacity of the
container remains in the container or inner liner; or
(3) A container that is greater than 119 gallons in size and no
more than 0.3 percent by weight of the total capacity of the container
remains in the container or inner liner.
Enclosure means a structure that surrounds a tank or container,
captures organic vapors emitted from the tank or container, and vents
the captured vapors through a closed-vent system to a control device.
External floating roof means a pontoon-type or double-deck type
cover that rests on the surface of the material managed in a tank with
no fixed roof.
Fixed roof means a cover that is mounted on a unit in a stationary
position and does not move with fluctuations in the level of the
material managed in the unit.
Floating membrane cover means a cover consisting of a synthetic
flexible membrane material that rests upon and is supported by the
hazardous secondary material being managed in a surface impoundment.
Floating roof means a cover consisting of a double deck, pontoon
single deck, or internal floating cover which rests upon and is
supported by the material being contained, and is equipped with a
continuous seal.
Hard-piping means pipe or tubing that is manufactured and properly
installed in accordance with relevant standards and good engineering
practices.
In light material service means the container is used to manage a
material for which both of the following conditions apply: The vapor
pressure of one or more of the organic constituents in the material is
greater than 0.3 kilopascals (kPa) at 20 [deg]C; and the total
concentration of the pure organic
[[Page 1798]]
constituents having a vapor pressure greater than 0.3 kPa at 20 [deg]C
is equal to or greater than 20 percent by weight.
Internal floating roof means a cover that rests or floats on the
material surface (but not necessarily in complete contact with it)
inside a tank that has a fixed roof.
Liquid-mounted seal means a foam or liquid-filled primary seal
mounted in contact with the hazardous secondary material between the
tank wall and the floating roof continuously around the circumference
of the tank.
Malfunction means any sudden, infrequent, and not reasonably
preventable failure of air pollution control equipment, process
equipment, or a process to operate in a normal or usual manner.
Failures that are caused in part by poor maintenance or careless
operation are not malfunctions.
Material determination means performing all applicable procedures
in accordance with the requirements of Sec. 261.1084 of this subpart
to determine whether a hazardous secondary material meets standards
specified in this subpart. Examples of a material determination include
performing the procedures in accordance with the requirements of Sec.
261.1084 of this subpart to determine the average VO concentration of a
hazardous secondary material at the point of material origination; the
average VO concentration of a hazardous secondary material at the point
of material treatment and comparing the results to the exit
concentration limit specified for the process used to treat the
hazardous secondary material; the organic reduction efficiency and the
organic biodegradation efficiency for a biological process used to
treat a hazardous secondary material and comparing the results to the
applicable standards; or the maximum volatile organic vapor pressure
for a hazardous secondary material in a tank and comparing the results
to the applicable standards.
Maximum organic vapor pressure means the sum of the individual
organic constituent partial pressures exerted by the material contained
in a tank, at the maximum vapor pressure-causing conditions (i.e.,
temperature, agitation, pH effects of combining materials, etc.)
reasonably expected to occur in the tank. For the purpose of this
subpart, maximum organic vapor pressure is determined using the
procedures specified in Sec. 261.1084(c) of this subpart.
Metallic shoe seal means a continuous seal that is constructed of
metal sheets which are held vertically against the wall of the tank by
springs, weighted levers, or other mechanisms and is connected to the
floating roof by braces or other means. A flexible coated fabric
(envelope) spans the annular space between the metal sheet and the
floating roof.
No detectable organic emissions means no escape of organics to the
atmosphere as determined using the procedure specified in Sec.
261.1084(d) of this subpart.
Point of material origination means as follows:
(1) When the remanufacturer or other person that stores or treats
the hazardous secondary material is the generator of the hazardous
secondary material, the point of material origination means the point
where a material produced by a system, process, or material management
unit is determined to be a hazardous secondary material excluded under
Sec. 261.4(a)(27).
Note to paragraph (1) of the definition of Point of material
origination: In this case, this term is being used in a manner similar
to the use of the term ``point of generation'' in air standards
established under authority of the Clean Air Act in 40 CFR parts 60,
61, and 63.
(2) When the remanufacturer or other person that stores or treats
the hazardous secondary material is not the generator of the hazardous
secondary material, point of material origination means the point where
the remanufacturer or other person that stores or treats the hazardous
secondary material accepts delivery or takes possession of the
hazardous secondary material.
Safety device means a closure device such as a pressure relief
valve, frangible disc, fusible plug, or any other type of device which
functions exclusively to prevent physical damage or permanent
deformation to a unit or its air emission control equipment by venting
gases or vapors directly to the atmosphere during unsafe conditions
resulting from an unplanned, accidental, or emergency event. For the
purpose of this subpart, a safety device is not used for routine
venting of gases or vapors from the vapor headspace underneath a cover
such as during filling of the unit or to adjust the pressure in this
vapor headspace in response to normal daily diurnal ambient temperature
fluctuations. A safety device is designed to remain in a closed
position during normal operations and open only when the internal
pressure, or another relevant parameter, exceeds the device threshold
setting applicable to the air emission control equipment as determined
by the remanufacturer or other person that stores or treats the
hazardous secondary material based on manufacturer recommendations,
applicable regulations, fire protection and prevention codes, standard
engineering codes and practices, or other requirements for the safe
handling of flammable, ignitable, explosive, reactive, or hazardous
materials.
Single-seal system means a floating roof having one continuous
seal. This seal may be vapor-mounted, liquid-mounted, or a metallic
shoe seal.
Vapor-mounted seal means a continuous seal that is mounted such
that there is a vapor space between the hazardous secondary material in
the unit and the bottom of the seal.
Volatile organic concentration or VO concentration means the
fraction by weight of the volatile organic compounds contained in a
hazardous secondary material expressed in terms of parts per million
(ppmw) as determined by direct measurement or by knowledge of the
material in accordance with the requirements of Sec. 261.1084 of this
subpart. For the purpose of determining the VO concentration of a
hazardous secondary material, organic compounds with a Henry's law
constant value of at least 0.1 mole-fraction-in-the-gas-phase/mole-
fraction-in the liquid-phase (0.1 Y/X) (which can also be expressed as
1.8 x 10-\6\atmospheres/gram-mole/m\3\) at 25 degrees
Celsius must be included.
Sec. 261.1082 Standards: General.
(a) This section applies to the management of hazardous secondary
material in tanks and containers subject to this subpart.
(b) The remanufacturer or other person that stores or treats the
hazardous secondary material shall control air pollutant emissions from
each hazardous secondary material management unit in accordance with
standards specified in Sec. Sec. 261.1084 through 261.1087 of this
subpart, as applicable to the hazardous secondary material management
unit, except as provided for in paragraph (c) of this section.
(c) A tank or container is exempt from standards specified in
Sec. Sec. 261.1084 through 261.1087 of this subpart, as applicable,
provided that the hazardous secondary material management unit is a
tank or container for which all hazardous secondary material entering
the unit has an average VO concentration at the point of material
origination of less than 500 parts per million by weight (ppmw). The
average VO concentration shall be determined using the procedures
specified in Sec. 261.1083(a) of this subpart. The remanufacturer or
other person that stores or treats the hazardous secondary
[[Page 1799]]
material shall review and update, as necessary, this determination at
least once every 12 months following the date of the initial
determination for the hazardous secondary material streams entering the
unit.
Sec. 261.1083 Material determination procedures.
(a) Material determination procedure to determine average volatile
organic (VO) concentration of a hazardous secondary material at the
point of material origination. (1) Determining average VO concentration
at the point of material origination. A remanufacturer or other person
that stores or treats the hazardous secondary material shall determine
the average VO concentration at the point of material origination for
each hazardous secondary material placed in a hazardous secondary
material management unit exempted under the provisions of Sec.
261.1082(c)(1) of this subpart from using air emission controls in
accordance with standards specified in Sec. Sec. 261.1084 through
261.1087 of this subpart, as applicable to the hazardous secondary
material management unit.
(i) An initial determination of the average VO concentration of the
material stream shall be made before the first time any portion of the
material in the hazardous secondary material stream is placed in a
hazardous secondary material management unit exempted under the
provisions of Sec. 261.1082(c)(1) of this subpart from using air
emission controls, and thereafter an initial determination of the
average VO concentration of the material stream shall be made for each
averaging period that a hazardous secondary material is managed in the
unit; and
(ii) Perform a new material determination whenever changes to the
source generating the material stream are reasonably likely to cause
the average VO concentration of the hazardous secondary material to
increase to a level that is equal to or greater than the applicable VO
concentration limits specified in Sec. 261.1082 of this subpart.
(2) Determination of average VO concentration using direct
measurement or knowledge. For a material determination that is required
by paragraph (a)(1) of this section, the average VO concentration of a
hazardous secondary material at the point of material origination shall
be determined using either direct measurement as specified in paragraph
(a)(3) of this section or by knowledge as specified in paragraph (a)(4)
of this section.
(3) Direct measurement to determine average VO concentration of a
hazardous secondary material at the point of material origination--(i)
Identification. The remanufacturer or other person that stores or
treats the hazardous secondary material shall identify and record in a
log that is kept at the facility the point of material origination for
the hazardous secondary material.
(ii) Sampling. Samples of the hazardous secondary material stream
shall be collected at the point of material origination in a manner
such that volatilization of organics contained in the material and in
the subsequent sample is minimized and an adequately representative
sample is collected and maintained for analysis by the selected method.
(A) The averaging period to be used for determining the average VO
concentration for the hazardous secondary material stream on a mass-
weighted average basis shall be designated and recorded. The averaging
period can represent any time interval that the remanufacturer or other
person that stores or treats the hazardous secondary material
determines is appropriate for the hazardous secondary material stream
but shall not exceed 1 year.
(B) A sufficient number of samples, but no less than four samples,
shall be collected and analyzed for a hazardous secondary material
determination. All of the samples for a given material determination
shall be collected within a one-hour period. The average of the four or
more sample results constitutes a material determination for the
material stream. One or more material determinations may be required to
represent the complete range of material compositions and quantities
that occur during the entire averaging period due to normal variations
in the operating conditions for the source or process generating the
hazardous secondary material stream. Examples of such normal variations
are seasonal variations in material quantity or fluctuations in ambient
temperature.
(C) All samples shall be collected and handled in accordance with
written procedures prepared by the remanufacturer or other person that
stores or treats the hazardous secondary material and documented in a
site sampling plan. This plan shall describe the procedure by which
representative samples of the hazardous secondary material stream are
collected such that a minimum loss of organics occurs throughout the
sample collection and handling process, and by which sample integrity
is maintained. A copy of the written sampling plan shall be maintained
at the facility. An example of acceptable sample collection and
handling procedures for a total volatile organic constituent
concentration may be found in Method 25D in 40 CFR part 60, appendix A.
(D) Sufficient information, as specified in the ``site sampling
plan'' required under paragraph (a)(3)(ii)(C) of this section, shall be
prepared and recorded to document the material quantity represented by
the samples and, as applicable, the operating conditions for the source
or process generating the hazardous secondary material represented by
the samples.
(iii) Analysis. Each collected sample shall be prepared and
analyzed in accordance with Method 25D in 40 CFR part 60, appendix A
for the total concentration of volatile organic constituents, or using
one or more methods when the individual organic compound concentrations
are identified and summed and the summed material concentration
accounts for and reflects all organic compounds in the material with
Henry's law constant values at least 0.1 mole-fraction-in-the-gas-
phase/mole-fraction-in-the-liquid-phase (0.1 Y/X) [which can also be
expressed as 1.8 x 10-6atmospheres/gram-mole/m\3\] at 25
degrees Celsius. At the discretion of the remanufacturer or other
person that stores or treats the hazardous secondary material, the test
data obtained may be adjusted by any appropriate method to discount any
contribution to the total volatile organic concentration that is a
result of including a compound with a Henry's law constant value of
less than 0.1 Y/X at 25 degrees Celsius. To adjust these data, the
measured concentration of each individual chemical constituent
contained in the material is multiplied by the appropriate constituent-
specific adjustment factor (fm25D). If the remanufacturer or
other person that stores or treats the hazardous secondary material
elects to adjust the test data, the adjustment must be made to all
individual chemical constituents with a Henry's law constant value
greater than or equal to 0.1 Y/X at 25 degrees Celsius contained in the
material. Constituent-specific adjustment factors (fm25D)
can be obtained by contacting the Waste and Chemical Processes Group,
Office of Air Quality Planning and Standards, Research Triangle Park,
NC 27711. Other test methods may be used if they meet the requirements
in paragraph (a)(3)(iii)(A) or (B) of this section and provided the
requirement to reflect all organic compounds in the material with
Henry's law constant values greater than or equal to 0.1 Y/X [which can
also be
[[Page 1800]]
expressed as 1.8 x 10-6atmospheres/gram-mole/m\3\] at 25
degrees Celsius, is met.
(A) Any EPA standard method that has been validated in accordance
with ``Alternative Validation Procedure for EPA Waste and Wastewater
Methods,'' 40 CFR part 63, appendix D.
(B) Any other analysis method that has been validated in accordance
with the procedures specified in Section 5.1 or Section 5.3, and the
corresponding calculations in Section 6.1 or Section 6.3, of Method 301
in 40 CFR part 63, appendix A. The data are acceptable if they meet the
criteria specified in Section 6.1.5 or Section 6.3.3 of Method 301. If
correction is required under section 6.3.3 of Method 301, the data are
acceptable if the correction factor is within the range 0.7 to 1.30.
Other sections of Method 301 are not required.
(iv) Calculations. (A) The average VO concentration (C) on a mass-
weighted basis shall be calculated by using the results for all
material determinations conducted in accordance with paragraphs
(a)(3)(ii) and (iii) of this section and the following equation:
[GRAPHIC] [TIFF OMITTED] TR13JA15.002
Where:
C = Average VO concentration of the hazardous secondary material at
the point of material origination on a mass-weighted basis, ppmw.
i = Individual material determination ``i'' of the hazardous
secondary material.
n = Total number of material determinations of the hazardous
secondary material conducted for the averaging period (not to exceed
1 year).
Qi = Mass quantity of hazardous secondary material stream
represented by Ci, kg/hr.
QT = Total mass quantity of hazardous secondary material
during the averaging period, kg/hr.
Ci = Measured VO concentration of material determination
``i'' as determined in accordance with the requirements of paragraph
(a)(3)(iii) of this section (i.e. the average of the four or more
samples specified in paragraph (a)(3)(ii)(B) of this section), ppmw.
(B) For the purpose of determining Ci, for individual
material samples analyzed in accordance with paragraph (a)(3)(iii) of
this section, the remanufacturer or other person that stores or treats
the hazardous secondary material shall account for VO concentrations
determined to be below the limit of detection of the analytical method
by using the following VO concentration:
(1) If Method 25D in 40 CFR part 60, appendix A is used for the
analysis, one-half the blank value determined in the method at section
4.4 of Method 25D in 40 CFR part 60, appendix A.
(2) If any other analytical method is used, one-half the sum of the
limits of detection established for each organic constituent in the
material that has a Henry's law constant values at least 0.1 mole-
fraction-in-the-gas-phase/mole-fraction-in-the-liquid-phase (0.1 Y/X)
[which can also be expressed as 1.8 x 10-6atmospheres/gram-
mole/m\3\] at 25 degrees Celsius.
(4) Use of knowledge by the remanufacturer or other person that
stores or treats the hazardous secondary material to determine average
VO concentration of a hazardous secondary material at the point of
material origination. (i) Documentation shall be prepared that presents
the information used as the basis for the knowledge by the
remanufacturer or other person that stores or treats the hazardous
secondary material of the hazardous secondary material stream's average
VO concentration. Examples of information that may be used as the basis
for knowledge include: Material balances for the source or process
generating the hazardous secondary material stream; constituent-
specific chemical test data for the hazardous secondary material stream
from previous testing that are still applicable to the current material
stream; previous test data for other locations managing the same type
of material stream; or other knowledge based on information included in
shipping papers or material certification notices.
(ii) If test data are used as the basis for knowledge, then the
remanufacturer or other person that stores or treats the hazardous
secondary material shall document the test method, sampling protocol,
and the means by which sampling variability and analytical variability
are accounted for in the determination of the average VO concentration.
For example, a remanufacturer or other person that stores or treats the
hazardous secondary material may use organic concentration test data
for the hazardous secondary material stream that are validated in
accordance with Method 301 in 40 CFR part 63, appendix A as the basis
for knowledge of the material.
(iii) A remanufacturer or other person that stores or treats the
hazardous secondary material using chemical constituent-specific
concentration test data as the basis for knowledge of the hazardous
secondary material may adjust the test data to the corresponding
average VO concentration value which would have been obtained had the
material samples been analyzed using Method 25D in 40 CFR part 60,
appendix A. To adjust these data, the measured concentration for each
individual chemical constituent contained in the material is multiplied
by the appropriate constituent-specific adjustment factor
(fm25D).
(iv) In the event that the Regional Administrator and the
remanufacture or other person that stores or treats the hazardous
secondary material disagree on a determination of the average VO
concentration for a hazardous secondary material stream using
knowledge, then the results from a determination of average VO
concentration using direct measurement as specified in paragraph (a)(3)
of this section shall be used to establish compliance with the
applicable requirements of this subpart. The Regional Administrator may
perform or request that the remanufacturer or other person that stores
or treats the hazardous secondary material perform this determination
using direct measurement. The remanufacturer or other person that
stores or treats the hazardous secondary material may choose one or
more appropriate methods to analyze each collected sample in accordance
with the requirements of paragraph (a)(3)(iii) of this section.
(b) [Reserved]
(c) Procedure to determine the maximum organic vapor pressure of a
hazardous secondary material in a tank. (1) A remanufacturer or other
person that stores or treats the hazardous secondary material shall
determine the maximum organic vapor pressure for each hazardous
secondary material placed in a tank using Tank Level 1 controls in
accordance with standards specified in Sec. 261.1084(c) of this
subpart.
(2) A remanufacturer or other person that stores or treats the
hazardous secondary material shall use either direct measurement as
specified in paragraph (c)(3) of this section or knowledge of the waste
as specified by paragraph (c)(4) of this section to determine the
maximum organic vapor pressure which is representative of the hazardous
secondary material composition stored or treated in the tank.
(3) Direct measurement to determine the maximum organic vapor
pressure of a hazardous secondary material.
(i) Sampling. A sufficient number of samples shall be collected to
be representative of the hazardous secondary material contained in the
tank. All samples shall be collected and handled in accordance with
written procedures prepared by the remanufacturer or other person that
stores or treats the hazardous secondary
[[Page 1801]]
material and documented in a site sampling plan. This plan shall
describe the procedure by which representative samples of the hazardous
secondary material are collected such that a minimum loss of organics
occurs throughout the sample collection and handling process and by
which sample integrity is maintained. A copy of the written sampling
plan shall be maintained at the facility. An example of acceptable
sample collection and handling procedures may be found in Method 25D in
40 CFR part 60, appendix A.
(ii) Analysis. Any appropriate one of the following methods may be
used to analyze the samples and compute the maximum organic vapor
pressure of the hazardous secondary material:
(A) Method 25E in 40 CFR part 60 appendix A;
(B) Methods described in American Petroleum Institute Publication
2517, Third Edition, February 1989, ``Evaporative Loss from External
Floating-Roof Tanks,'' (incorporated by reference--refer to Sec.
260.11 of this chapter);
(C) Methods obtained from standard reference texts;
(D) ASTM Method 2879-92 (incorporated by reference--refer to Sec.
260.11 of this chapter); and
(E) Any other method approved by the Regional Administrator.
(4) Use of knowledge to determine the maximum organic vapor
pressure of the hazardous secondary material. Documentation shall be
prepared and recorded that presents the information used as the basis
for the knowledge by the remanufacturer or other person that stores or
treats the hazardous secondary material that the maximum organic vapor
pressure of the hazardous secondary material is less than the maximum
vapor pressure limit listed in Sec. 261.1085(b)(1)(i) of this subpart
for the applicable tank design capacity category. An example of
information that may be used is documentation that the hazardous
secondary material is generated by a process for which at other
locations it previously has been determined by direct measurement that
the hazardous secondary material's waste maximum organic vapor pressure
is less than the maximum vapor pressure limit for the appropriate tank
design capacity category.
(d) Procedure for determining no detectable organic emissions for
the purpose of complying with this subpart:
(1) The test shall be conducted in accordance with the procedures
specified in Method 21 of 40 CFR part 60, appendix A. Each potential
leak interface (i.e., a location where organic vapor leakage could
occur) on the cover and associated closure devices shall be checked.
Potential leak interfaces that are associated with covers and closure
devices include, but are not limited to: The interface of the cover and
its foundation mounting; the periphery of any opening on the cover and
its associated closure device; and the sealing seat interface on a
spring-loaded pressure relief valve.
(2) The test shall be performed when the unit contains a hazardous
secondary material having an organic concentration representative of
the range of concentrations for the hazardous secondary material
expected to be managed in the unit. During the test, the cover and
closure devices shall be secured in the closed position.
(3) The detection instrument shall meet the performance criteria of
Method 21 of 40 CFR part 60, appendix A, except the instrument response
factor criteria in section 3.1.2(a) of Method 21 shall be for the
average composition of the organic constituents in the hazardous
secondary material placed in the hazardous secondary management unit,
not for each individual organic constituent.
(4) The detection instrument shall be calibrated before use on each
day of its use by the procedures specified in Method 21 of 40 CFR part
60, appendix A.
(5) Calibration gases shall be as follows:
(i) Zero air (less than 10 ppmv hydrocarbon in air), and
(ii) A mixture of methane or n-hexane and air at a concentration of
approximately, but less than, 10,000 ppmv methane or n-hexane.
(6) The background level shall be determined according to the
procedures in Method 21 of 40 CFR part 60, appendix A.
(7) Each potential leak interface shall be checked by traversing
the instrument probe around the potential leak interface as close to
the interface as possible, as described in Method 21 of 40 CFR part 60,
appendix A. In the case when the configuration of the cover or closure
device prevents a complete traverse of the interface, all accessible
portions of the interface shall be sampled. In the case when the
configuration of the closure device prevents any sampling at the
interface and the device is equipped with an enclosed extension or horn
(e.g., some pressure relief devices), the instrument probe inlet shall
be placed at approximately the center of the exhaust area to the
atmosphere.
(8) The arithmetic difference between the maximum organic
concentration indicated by the instrument and the background level
shall be compared with the value of 500 ppmv except when monitoring a
seal around a rotating shaft that passes through a cover opening, in
which case the comparison shall be as specified in paragraph (d)(9) of
this section. If the difference is less than 500 ppmv, then the
potential leak interface is determined to operate with no detectable
organic emissions.
(9) For the seals around a rotating shaft that passes through a
cover opening, the arithmetic difference between the maximum organic
concentration indicated by the instrument and the background level
shall be compared with the value of 10,000 ppmw. If the difference is
less than 10,000 ppmw, then the potential leak interface is determined
to operate with no detectable organic emissions.
Sec. 261.1084 Standards: tanks.
(a) The provisions of this section apply to the control of air
pollutant emissions from tanks for which Sec. 261.1082(b) of this
subpart references the use of this section for such air emission
control.
(b) The remanufacturer or other person that stores or treats the
hazardous secondary material shall control air pollutant emissions from
each tank subject to this section in accordance with the following
requirements as applicable:
(1) For a tank that manages hazardous secondary material that meets
all of the conditions specified in paragraphs (b)(1)(i) through (iii)
of this section, the remanufacturer or other person that stores or
treats the hazardous secondary material shall control air pollutant
emissions from the tank in accordance with the Tank Level 1 controls
specified in paragraph (c) of this section or the Tank Level 2 controls
specified in paragraph (d) of this section.
(i) The hazardous secondary material in the tank has a maximum
organic vapor pressure which is less than the maximum organic vapor
pressure limit for the tank's design capacity category as follows:
(A) For a tank design capacity equal to or greater than 151 m\3\,
the maximum organic vapor pressure limit for the tank is 5.2 kPa.
(B) For a tank design capacity equal to or greater than 75 m\3\ but
less than 151 m\3\, the maximum organic vapor pressure limit for the
tank is 27.6 kPa.
(C) For a tank design capacity less than 75 m\3\, the maximum
organic vapor pressure limit for the tank is 76.6 kPa.
(ii) The hazardous secondary material in the tank is not heated by
the
[[Page 1802]]
remanufacturer or other person that stores or treats the hazardous
secondary material to a temperature that is greater than the
temperature at which the maximum organic vapor pressure of the
hazardous secondary material is determined for the purpose of complying
with paragraph (b)(1)(i) of this section.
(2) For a tank that manages hazardous secondary material that does
not meet all of the conditions specified in paragraphs (b)(1)(i)
through (iii) of this section, the remanufacturer or other person that
stores or treats the hazardous secondary material shall control air
pollutant emissions from the tank by using Tank Level 2 controls in
accordance with the requirements of paragraph (d) of this section. An
example of tanks required to use Tank Level 2 controls is a tank for
which the hazardous secondary material in the tank has a maximum
organic vapor pressure that is equal to or greater than the maximum
organic vapor pressure limit for the tank's design capacity category as
specified in paragraph (b)(1)(i) of this section.
(c) Remanufacturers or other persons that store or treats the
hazardous secondary material controlling air pollutant emissions from a
tank using Tank Level 1 controls shall meet the requirements specified
in paragraphs (c)(1) through (4) of this section:
(1) The remanufacturer or other person that stores or treats that
hazardous secondary material shall determine the maximum organic vapor
pressure for a hazardous secondary material to be managed in the tank
using Tank Level 1 controls before the first time the hazardous
secondary material is placed in the tank. The maximum organic vapor
pressure shall be determined using the procedures specified in Sec.
261.1083(c) of this subpart. Thereafter, the remanufacturer or other
person that stores or treats the hazardous secondary material shall
perform a new determination whenever changes to the hazardous secondary
material managed in the tank could potentially cause the maximum
organic vapor pressure to increase to a level that is equal to or
greater than the maximum organic vapor pressure limit for the tank
design capacity category specified in paragraph (b)(1)(i) of this
section, as applicable to the tank.
(2) The tank shall be equipped with a fixed roof designed to meet
the following specifications:
(i) The fixed roof and its closure devices shall be designed to
form a continuous barrier over the entire surface area of the hazardous
secondary material in the tank. The fixed roof may be a separate cover
installed on the tank (e.g., a removable cover mounted on an open-top
tank) or may be an integral part of the tank structural design (e.g., a
horizontal cylindrical tank equipped with a hatch).
(ii) The fixed roof shall be installed in a manner such that there
are no visible cracks, holes, gaps, or other open spaces between roof
section joints or between the interface of the roof edge and the tank
wall.
(iii) Each opening in the fixed roof, and any manifold system
associated with the fixed roof, shall be either:
(A) Equipped with a closure device designed to operate such that
when the closure device is secured in the closed position there are no
visible cracks, holes, gaps, or other open spaces in the closure device
or between the perimeter of the opening and the closure device; or
(B) Connected by a closed-vent system that is vented to a control
device. The control device shall remove or destroy organics in the vent
stream, and shall be operating whenever hazardous secondary material is
managed in the tank, except as provided for in paragraphs
(c)(2)(iii)(B)(1) and (2) of this section.
(1) During periods when it is necessary to provide access to the
tank for performing the activities of paragraph (c)(2)(iii)(B)(2) of
this section, venting of the vapor headspace underneath the fixed roof
to the control device is not required, opening of closure devices is
allowed, and removal of the fixed roof is allowed. Following completion
of the activity, the remanufacturer or other person that stores or
treats the hazardous secondary material shall promptly secure the
closure device in the closed position or reinstall the cover, as
applicable, and resume operation of the control device.
(2) During periods of routine inspection, maintenance, or other
activities needed for normal operations, and for removal of accumulated
sludge or other residues from the bottom of the tank.
(iv) The fixed roof and its closure devices shall be made of
suitable materials that will minimize exposure of the hazardous
secondary material to the atmosphere, to the extent practical, and will
maintain the integrity of the fixed roof and closure devices throughout
their intended service life. Factors to be considered when selecting
the materials for and designing the fixed roof and closure devices
shall include: organic vapor permeability, the effects of any contact
with the hazardous secondary material or its vapors managed in the
tank; the effects of outdoor exposure to wind, moisture, and sunlight;
and the operating practices used for the tank on which the fixed roof
is installed.
(3) Whenever a hazardous secondary material is in the tank, the
fixed roof shall be installed with each closure device secured in the
closed position except as follows:
(i) Opening of closure devices or removal of the fixed roof is
allowed at the following times:
(A) To provide access to the tank for performing routine
inspection, maintenance, or other activities needed for normal
operations. Examples of such activities include those times when a
worker needs to open a port to sample the liquid in the tank, or when a
worker needs to open a hatch to maintain or repair equipment. Following
completion of the activity, the remanufacturer or other person that
stores or treats the hazardous secondary material shall promptly secure
the closure device in the closed position or reinstall the cover, as
applicable, to the tank.
(B) To remove accumulated sludge or other residues from the bottom
of tank.
(ii) Opening of a spring-loaded pressure-vacuum relief valve,
conservation vent, or similar type of pressure relief device which
vents to the atmosphere is allowed during normal operations for the
purpose of maintaining the tank internal pressure in accordance with
the tank design specifications. The device shall be designed to operate
with no detectable organic emissions when the device is secured in the
closed position. The settings at which the device opens shall be
established such that the device remains in the closed position
whenever the tank internal pressure is within the internal pressure
operating range determined by the remanufacturer or other person that
stores or treats the hazardous secondary material based on the tank
manufacturer recommendations, applicable regulations, fire protection
and prevention codes, standard engineering codes and practices, or
other requirements for the safe handling of flammable, ignitable,
explosive, reactive, or hazardous materials. Examples of normal
operating conditions that may require these devices to open are during
those times when the tank internal pressure exceeds the internal
pressure operating range for the tank as a result of loading operations
or diurnal ambient temperature fluctuations.
(iii) Opening of a safety device, as defined in Sec. 261.1081, is
allowed at any time conditions require doing so to avoid an unsafe
condition.
[[Page 1803]]
(4) The remanufacturer or other person that stores or treats the
hazardous secondary material shall inspect the air emission control
equipment in accordance with the following requirements.
(i) The fixed roof and its closure devices shall be visually
inspected by the remanufacturer or other person that stores or treats
the hazardous secondary material to check for defects that could result
in air pollutant emissions. Defects include, but are not limited to,
visible cracks, holes, or gaps in the roof sections or between the roof
and the tank wall; broken, cracked, or otherwise damaged seals or
gaskets on closure devices; and broken or missing hatches, access
covers, caps, or other closure devices.
(ii) The remanufacturer or other person that stores or treats the
hazardous secondary material shall perform an initial inspection of the
fixed roof and its closure devices on or before the date that the tank
becomes subject to this section. Thereafter, the remanufacturer or
other person that stores or treats the hazardous secondary material
shall perform the inspections at least once every year except under the
special conditions provided for in paragraph (l) of this section.
(iii) In the event that a defect is detected, the remanufacturer or
other person that stores or treats the hazardous secondary material
shall repair the defect in accordance with the requirements of
paragraph (k) of this section.
(iv) The remanufacturer or other person that stores or treats the
hazardous secondary material shall maintain a record of the inspection
in accordance with the requirements specified in Sec. 261.1089(b) of
this subpart.
(d) Remanufacturers or other persons that store or treat the
hazardous secondary material controlling air pollutant emissions from a
tank using Tank Level 2 controls shall use one of the following tanks:
(1) A fixed-roof tank equipped with an internal floating roof in
accordance with the requirements specified in paragraph (e) of this
section;
(2) A tank equipped with an external floating roof in accordance
with the requirements specified in paragraph (f) of this section;
(3) A tank vented through a closed-vent system to a control device
in accordance with the requirements specified in paragraph (g) of this
section;
(4) A pressure tank designed and operated in accordance with the
requirements specified in paragraph (h) of this section; or
(5) A tank located inside an enclosure that is vented through a
closed-vent system to an enclosed combustion control device in
accordance with the requirements specified in paragraph (i) of this
section.
(e) The remanufacturer or other person that stores or treats the
hazardous secondary material who controls air pollutant emissions from
a tank using a fixed roof with an internal floating roof shall meet the
requirements specified in paragraphs (e)(1) through (3) of this
section.
(1) The tank shall be equipped with a fixed roof and an internal
floating roof in accordance with the following requirements:
(i) The internal floating roof shall be designed to float on the
liquid surface except when the floating roof must be supported by the
leg supports.
(ii) The internal floating roof shall be equipped with a continuous
seal between the wall of the tank and the floating roof edge that meets
either of the following requirements:
(A) A single continuous seal that is either a liquid-mounted seal
or a metallic shoe seal, as defined in Sec. 261.1081; or
(B) Two continuous seals mounted one above the other. The lower
seal may be a vapor-mounted seal.
(iii) The internal floating roof shall meet the following
specifications:
(A) Each opening in a noncontact internal floating roof except for
automatic bleeder vents (vacuum breaker vents) and the rim space vents
is to provide a projection below the liquid surface.
(B) Each opening in the internal floating roof shall be equipped
with a gasketed cover or a gasketed lid except for leg sleeves,
automatic bleeder vents, rim space vents, column wells, ladder wells,
sample wells, and stub drains.
(C) Each penetration of the internal floating roof for the purpose
of sampling shall have a slit fabric cover that covers at least 90
percent of the opening.
(D) Each automatic bleeder vent and rim space vent shall be
gasketed.
(E) Each penetration of the internal floating roof that allows for
passage of a ladder shall have a gasketed sliding cover.
(F) Each penetration of the internal floating roof that allows for
passage of a column supporting the fixed roof shall have a flexible
fabric sleeve seal or a gasketed sliding cover.
(2) The remanufacturer or other person that stores or treats the
hazardous secondary material shall operate the tank in accordance with
the following requirements:
(i) When the floating roof is resting on the leg supports, the
process of filling, emptying, or refilling shall be continuous and
shall be completed as soon as practical.
(ii) Automatic bleeder vents are to be set closed at all times when
the roof is floating, except when the roof is being floated off or is
being landed on the leg supports.
(iii) Prior to filling the tank, each cover, access hatch, gauge
float well or lid on any opening in the internal floating roof shall be
bolted or fastened closed (i.e., no visible gaps). Rim space vents are
to be set to open only when the internal floating roof is not floating
or when the pressure beneath the rim exceeds the manufacturer's
recommended setting.
(3) The remanufacturer or other person that stores or treats the
hazardous secondary material shall inspect the internal floating roof
in accordance with the procedures specified as follows:
(i) The floating roof and its closure devices shall be visually
inspected by the remanufacture or other person that stores or treats
the hazardous secondary material to check for defects that could result
in air pollutant emissions. Defects include, but are not limited to:
The internal floating roof is not floating on the surface of the liquid
inside the tank; liquid has accumulated on top of the internal floating
roof; any portion of the roof seals have detached from the roof rim;
holes, tears, or other openings are visible in the seal fabric; the
gaskets no longer close off the hazardous secondary material surface
from the atmosphere; or the slotted membrane has more than 10 percent
open area.
(ii) The remanufacturer or other person that stores or treats the
hazardous secondary material shall inspect the internal floating roof
components as follows except as provided in paragraph (e)(3)(iii) of
this section:
(A) Visually inspect the internal floating roof components through
openings on the fixed-roof (e.g., manholes and roof hatches) at least
once every 12 months after initial fill, and
(B) Visually inspect the internal floating roof, primary seal,
secondary seal (if one is in service), gaskets, slotted membranes, and
sleeve seals (if any) each time the tank is emptied and degassed and at
least every 10 years.
(iii) As an alternative to performing the inspections specified in
paragraph (e)(3)(ii) of this section for an internal floating roof
equipped with two continuous seals mounted one above the
[[Page 1804]]
other, the remanufacturer or other person that stores or treats the
hazardous secondary material may visually inspect the internal floating
roof, primary and secondary seals, gaskets, slotted membranes, and
sleeve seals (if any) each time the tank is emptied and degassed and at
least every five years.
(iv) Prior to each inspection required by paragraph (e)(3)(ii) or
(iii) of this section, the remanufacturer or other person that stores
or treats the hazardous secondary material shall notify the Regional
Administrator in advance of each inspection to provide the Regional
Administrator with the opportunity to have an observer present during
the inspection. The remanufacturer or other person that stores or
treats the hazardous secondary material shall notify the Regional
Administrator of the date and location of the inspection as follows:
(A) Prior to each visual inspection of an internal floating roof in
a tank that has been emptied and degassed, written notification shall
be prepared and sent by the remanufacturer or other person that stores
or treats the hazardous secondary material so that it is received by
the Regional Administrator at least 30 calendar days before refilling
the tank except when an inspection is not planned as provided for in
paragraph (e)(3)(iv)(B) of this section.
(B) When a visual inspection is not planned and the remanufacturer
or other person that stores or treats the hazardous secondary material
could not have known about the inspection 30 calendar days before
refilling the tank, the remanufacturer or other person that stores or
treats the hazardous secondary material shall notify the Regional
Administrator as soon as possible, but no later than seven calendar
days before refilling of the tank. This notification may be made by
telephone and immediately followed by a written explanation for why the
inspection is unplanned. Alternatively, written notification, including
the explanation for the unplanned inspection, may be sent so that it is
received by the Regional Administrator at least seven calendar days
before refilling the tank.
(v) In the event that a defect is detected, the remanufacturer or
other person that stores or treats the hazardous secondary material
shall repair the defect in accordance with the requirements of
paragraph (k) of this section.
(vi) The remanufacturer or other person that stores or treats the
hazardous secondary material shall maintain a record of the inspection
in accordance with the requirements specified in Sec. 261.1089(b) of
this subpart.
(4) Safety devices, as defined in Sec. 261.1081, may be installed
and operated as necessary on any tank complying with the requirements
of paragraph (e) of this section.
(f) The remanufacturer or other person that stores or treats the
hazardous secondary material who controls air pollutant emissions from
a tank using an external floating roof shall meet the requirements
specified in paragraphs (f)(1) through (3) of this section.
(1) The remanufacturer or other person that stores or treats the
hazardous secondary material shall design the external floating roof in
accordance with the following requirements:
(i) The external floating roof shall be designed to float on the
liquid surface except when the floating roof must be supported by the
leg supports.
(ii) The floating roof shall be equipped with two continuous seals,
one above the other, between the wall of the tank and the roof edge.
The lower seal is referred to as the primary seal, and the upper seal
is referred to as the secondary seal.
(A) The primary seal shall be a liquid-mounted seal or a metallic
shoe seal, as defined in 40 CFR 261.1081. The total area of the gaps
between the tank wall and the primary seal shall not exceed 212 square
centimeters (cm\2\) per meter of tank diameter, and the width of any
portion of these gaps shall not exceed 3.8 centimeters (cm). If a
metallic shoe seal is used for the primary seal, the metallic shoe seal
shall be designed so that one end extends into the liquid in the tank
and the other end extends a vertical distance of at least 61
centimeters above the liquid surface.
(B) The secondary seal shall be mounted above the primary seal and
cover the annular space between the floating roof and the wall of the
tank. The total area of the gaps between the tank wall and the
secondary seal shall not exceed 21.2 square centimeters (cm\2\) per
meter of tank diameter, and the width of any portion of these gaps
shall not exceed 1.3 centimeters (cm).
(iii) The external floating roof shall meet the following
specifications:
(A) Except for automatic bleeder vents (vacuum breaker vents) and
rim space vents, each opening in a noncontact external floating roof
shall provide a projection below the liquid surface.
(B) Except for automatic bleeder vents, rim space vents, roof
drains, and leg sleeves, each opening in the roof shall be equipped
with a gasketed cover, seal, or lid.
(C) Each access hatch and each gauge float well shall be equipped
with a cover designed to be bolted or fastened when the cover is
secured in the closed position.
(D) Each automatic bleeder vent and each rim space vent shall be
equipped with a gasket.
(E) Each roof drain that empties into the liquid managed in the
tank shall be equipped with a slotted membrane fabric cover that covers
at least 90 percent of the area of the opening.
(F) Each unslotted and slotted guide pole well shall be equipped
with a gasketed sliding cover or a flexible fabric sleeve seal.
(G) Each unslotted guide pole shall be equipped with a gasketed cap
on the end of the pole.
(H) Each slotted guide pole shall be equipped with a gasketed float
or other device which closes off the liquid surface from the
atmosphere.
(I) Each gauge hatch and each sample well shall be equipped with a
gasketed cover.
(2) The remanufacturer or other person that stores or treats the
hazardous secondary material shall operate the tank in accordance with
the following requirements:
(i) When the floating roof is resting on the leg supports, the
process of filling, emptying, or refilling shall be continuous and
shall be completed as soon as practical.
(ii) Except for automatic bleeder vents, rim space vents, roof
drains, and leg sleeves, each opening in the roof shall be secured and
maintained in a closed position at all times except when the closure
device must be open for access.
(iii) Covers on each access hatch and each gauge float well shall
be bolted or fastened when secured in the closed position.
(iv) Automatic bleeder vents shall be set closed at all times when
the roof is floating, except when the roof is being floated off or is
being landed on the leg supports.
(v) Rim space vents shall be set to open only at those times that
the roof is being floated off the roof leg supports or when the
pressure beneath the rim seal exceeds the manufacturer's recommended
setting.
(vi) The cap on the end of each unslotted guide pole shall be
secured in the closed position at all times except when measuring the
level or collecting samples of the liquid in the tank.
(vii) The cover on each gauge hatch or sample well shall be secured
in the closed position at all times except when the hatch or well must
be opened for access.
[[Page 1805]]
(viii) Both the primary seal and the secondary seal shall
completely cover the annular space between the external floating roof
and the wall of the tank in a continuous fashion except during
inspections.
(3) The remanufacturer or other person that stores or treats the
hazardous secondary material shall inspect the external floating roof
in accordance with the procedures specified as follows:
(i) The remanufacturer or other person that stores or treats the
hazardous secondary material shall measure the external floating roof
seal gaps in accordance with the following requirements:
(A) The remanufacturer or other person that stores or treats the
hazardous secondary material shall perform measurements of gaps between
the tank wall and the primary seal within 60 calendar days after
initial operation of the tank following installation of the floating
roof and, thereafter, at least once every 5 years.
(B) The remanufacturer or other person that stores or treats the
hazardous secondary material shall perform measurements of gaps between
the tank wall and the secondary seal within 60 calendar days after
initial operation of the tank following installation of the floating
roof and, thereafter, at least once every year.
(C) If a tank ceases to hold hazardous secondary material for a
period of 1 year or more, subsequent introduction of hazardous
secondary material into the tank shall be considered an initial
operation for the purposes of paragraphs (f)(3)(i)(A) and (B) of this
section.
(D) The remanufacturer or other person that stores or treats the
hazardous secondary material shall determine the total surface area of
gaps in the primary seal and in the secondary seal individually using
the following procedure:
(1) The seal gap measurements shall be performed at one or more
floating roof levels when the roof is floating off the roof supports.
(2) Seal gaps, if any, shall be measured around the entire
perimeter of the floating roof in each place where a 0.32-centimeter
(cm) diameter uniform probe passes freely (without forcing or binding
against the seal) between the seal and the wall of the tank and measure
the circumferential distance of each such location.
(3) For a seal gap measured under paragraph (f)(3) of this section,
the gap surface area shall be determined by using probes of various
widths to measure accurately the actual distance from the tank wall to
the seal and multiplying each such width by its respective
circumferential distance.
(4) The total gap area shall be calculated by adding the gap
surface areas determined for each identified gap location for the
primary seal and the secondary seal individually, and then dividing the
sum for each seal type by the nominal diameter of the tank. These total
gap areas for the primary seal and secondary seal are then compared to
the respective standards for the seal type as specified in paragraph
(f)(1)(ii) of this section.
(E) In the event that the seal gap measurements do not conform to
the specifications in paragraph (f)(1)(ii) of this section, the
remanufacturer or other person that stores or treats the hazardous
secondary material shall repair the defect in accordance with the
requirements of paragraph (k) of this section.
(F) The remanufacturer or other person that stores or treats the
hazardous secondary material shall maintain a record of the inspection
in accordance with the requirements specified in Sec. 261.1089(b) of
this subpart.
(ii) The remanufacturer or other person that stores or treats the
hazardous secondary material shall visually inspect the external
floating roof in accordance with the following requirements:
(A) The floating roof and its closure devices shall be visually
inspected by the remanufacturer or other person that stores or treats
the hazardous secondary material to check for defects that could result
in air pollutant emissions. Defects include, but are not limited to:
Holes, tears, or other openings in the rim seal or seal fabric of the
floating roof; a rim seal detached from the floating roof; all or a
portion of the floating roof deck being submerged below the surface of
the liquid in the tank; broken, cracked, or otherwise damaged seals or
gaskets on closure devices; and broken or missing hatches, access
covers, caps, or other closure devices.
(B) The remanufacturer or other person that stores or treats the
hazardous secondary material shall perform an initial inspection of the
external floating roof and its closure devices on or before the date
that the tank becomes subject to this section. Thereafter, the
remanufacturer or other person that stores or treats the hazardous
secondary material shall perform the inspections at least once every
year except for the special conditions provided for in paragraph (l) of
this section.
(C) In the event that a defect is detected, the remanufacturer or
other person that stores or treats the hazardous secondary material
shall repair the defect in accordance with the requirements of
paragraph (k) of this section.
(D) The remanufacturer or other person that stores or treats the
hazardous secondary material shall maintain a record of the inspection
in accordance with the requirements specified in Sec. 261.1089(b) of
this subpart.
(iii) Prior to each inspection required by paragraph (f)(3)(i) or
(ii) of this section, the remanufacturer or other person that stores or
treats the hazardous secondary material shall notify the Regional
Administrator in advance of each inspection to provide the Regional
Administrator with the opportunity to have an observer present during
the inspection. The remanufacturer or other person that stores or
treats the hazardous secondary material shall notify the Regional
Administrator of the date and location of the inspection as follows:
(A) Prior to each inspection to measure external floating roof seal
gaps as required under paragraph (f)(3)(i) of this section, written
notification shall be prepared and sent by the remanufacturer or other
person that stores or treats the hazardous secondary material so that
it is received by the Regional Administrator at least 30 calendar days
before the date the measurements are scheduled to be performed.
(B) Prior to each visual inspection of an external floating roof in
a tank that has been emptied and degassed, written notification shall
be prepared and sent by the remanufacturer or other person that stores
or treats the hazardous secondary material so that it is received by
the Regional Administrator at least 30 calendar days before refilling
the tank except when an inspection is not planned as provided for in
paragraph (f)(3)(iii)(C) of this section.
(C) When a visual inspection is not planned and the remanufacturer
or other person that stores or treats the hazardous secondary material
could not have known about the inspection 30 calendar days before
refilling the tank, the owner or operator shall notify the Regional
Administrator as soon as possible, but no later than seven calendar
days before refilling of the tank. This notification may be made by
telephone and immediately followed by a written explanation for why the
inspection is unplanned. Alternatively, written notification, including
the explanation for the unplanned inspection, may be sent so that it is
received by the Regional Administrator
[[Page 1806]]
at least seven calendar days before refilling the tank.
(4) Safety devices, as defined in Sec. 261.1081, may be installed
and operated as necessary on any tank complying with the requirements
of paragraph (f) of this section.
(g) The remanufacturer or other person that stores or treats the
hazardous secondary material who controls air pollutant emissions from
a tank by venting the tank to a control device shall meet the
requirements specified in paragraphs (g)(1) through (3) of this
section.
(1) The tank shall be covered by a fixed roof and vented directly
through a closed-vent system to a control device in accordance with the
following requirements:
(i) The fixed roof and its closure devices shall be designed to
form a continuous barrier over the entire surface area of the liquid in
the tank.
(ii) Each opening in the fixed roof not vented to the control
device shall be equipped with a closure device. If the pressure in the
vapor headspace underneath the fixed roof is less than atmospheric
pressure when the control device is operating, the closure devices
shall be designed to operate such that when the closure device is
secured in the closed position there are no visible cracks, holes,
gaps, or other open spaces in the closure device or between the
perimeter of the cover opening and the closure device. If the pressure
in the vapor headspace underneath the fixed roof is equal to or greater
than atmospheric pressure when the control device is operating, the
closure device shall be designed to operate with no detectable organic
emissions.
(iii) The fixed roof and its closure devices shall be made of
suitable materials that will minimize exposure of the hazardous
secondary material to the atmosphere, to the extent practical, and will
maintain the integrity of the fixed roof and closure devices throughout
their intended service life. Factors to be considered when selecting
the materials for and designing the fixed roof and closure devices
shall include: Organic vapor permeability, the effects of any contact
with the liquid and its vapor managed in the tank; the effects of
outdoor exposure to wind, moisture, and sunlight; and the operating
practices used for the tank on which the fixed roof is installed.
(iv) The closed-vent system and control device shall be designed
and operated in accordance with the requirements of Sec. 261.1087 of
this subpart.
(2) Whenever a hazardous secondary material is in the tank, the
fixed roof shall be installed with each closure device secured in the
closed position and the vapor headspace underneath the fixed roof
vented to the control device except as follows:
(i) Venting to the control device is not required, and opening of
closure devices or removal of the fixed roof is allowed at the
following times:
(A) To provide access to the tank for performing routine
inspection, maintenance, or other activities needed for normal
operations. Examples of such activities include those times when a
worker needs to open a port to sample liquid in the tank, or when a
worker needs to open a hatch to maintain or repair equipment. Following
completion of the activity, the remanufacturer or other person that
stores or treats the hazardous secondary material shall promptly secure
the closure device in the closed position or reinstall the cover, as
applicable, to the tank.
(B) To remove accumulated sludge or other residues from the bottom
of a tank.
(ii) Opening of a safety device, as defined in Sec. 261.1081, is
allowed at any time conditions require doing so to avoid an unsafe
condition.
(3) The remanufacturer or other person that stores or treats the
hazardous secondary material shall inspect and monitor the air emission
control equipment in accordance with the following procedures:
(i) The fixed roof and its closure devices shall be visually
inspected by the remanufacturer or other person that stores or treats
the hazardous secondary material to check for defects that could result
in air pollutant emissions. Defects include, but are not limited to,
visible cracks, holes, or gaps in the roof sections or between the roof
and the tank wall; broken, cracked, or otherwise damaged seals or
gaskets on closure devices; and broken or missing hatches, access
covers, caps, or other closure devices.
(ii) The closed-vent system and control device shall be inspected
and monitored by the remanufacturer or other person that stores or
treats the hazardous secondary material in accordance with the
procedures specified in Sec. 261.1087 of this subpart.
(iii) The remanufacturer or other person that stores or treats the
hazardous secondary material shall perform an initial inspection of the
air emission control equipment on or before the date that the tank
becomes subject to this section. Thereafter, the remanufacturer or
other person that stores or treats the hazardous secondary material
shall perform the inspections at least once every year except for the
special conditions provided for in paragraph (l) of this section.
(iv) In the event that a defect is detected, the remanufacture or
other person that stores or treats the hazardous secondary material
shall repair the defect in accordance with the requirements of
paragraph (k) of this section.
(v) The remanufacturer or other person that stores or treats the
hazardous secondary material shall maintain a record of the inspection
in accordance with the requirements specified in Sec. 261.1089(b) of
this subpart.
(h) The remanufacturer or other person that stores or treats the
hazardous secondary material who controls air pollutant emissions by
using a pressure tank shall meet the following requirements.
(1) The tank shall be designed not to vent to the atmosphere as a
result of compression of the vapor headspace in the tank during filling
of the tank to its design capacity.
(2) All tank openings shall be equipped with closure devices
designed to operate with no detectable organic emissions as determined
using the procedure specified in Sec. 261.1083(d) of this subpart.
(3) Whenever a hazardous secondary material is in the tank, the
tank shall be operated as a closed system that does not vent to the
atmosphere except under either or the following conditions as specified
in paragraph (h)(3)(i) or (h)(3)(ii) of this section.
(i) At those times when opening of a safety device, as defined in
Sec. 261.1081 of this subpart, is required to avoid an unsafe
condition.
(ii) At those times when purging of inerts from the tank is
required and the purge stream is routed to a closed-vent system and
control device designed and operated in accordance with the
requirements of Sec. 261.1087 of this subpart.
(i) The remanufacturer or other person that stores or treats the
hazardous secondary material who controls air pollutant emissions by
using an enclosure vented through a closed-vent system to an enclosed
combustion control device shall meet the requirements specified in
paragraphs (i)(1) through (4) of this section.
(1) The tank shall be located inside an enclosure. The enclosure
shall be designed and operated in accordance with the criteria for a
permanent total enclosure as specified in ``Procedure T--Criteria for
and Verification of a Permanent or Temporary Total Enclosure'' under 40
CFR 52.741, appendix B. The enclosure may have
[[Page 1807]]
permanent or temporary openings to allow worker access; passage of
material into or out of the enclosure by conveyor, vehicles, or other
mechanical means; entry of permanent mechanical or electrical
equipment; or direct airflow into the enclosure. The remanufacturer or
other person that stores or treats the hazardous secondary material
shall perform the verification procedure for the enclosure as specified
in Section 5.0 to ``Procedure T--Criteria for and Verification of a
Permanent or Temporary Total Enclosure'' initially when the enclosure
is first installed and, thereafter, annually.
(2) The enclosure shall be vented through a closed-vent system to
an enclosed combustion control device that is designed and operated in
accordance with the standards for either a vapor incinerator, boiler,
or process heater specified in Sec. 261.1087 of this subpart.
(3) Safety devices, as defined in Sec. 261.1081, may be installed
and operated as necessary on any enclosure, closed-vent system, or
control device used to comply with the requirements of paragraphs
(i)(1) and (2) of this section.
(4) The remanufacturer or other person that stores or treats the
hazardous secondary material shall inspect and monitor the closed-vent
system and control device as specified in Sec. 261.1087 of this
subpart.
(j) The remanufacturer or other person that stores or treats the
hazardous secondary material shall transfer hazardous secondary
material to a tank subject to this section in accordance with the
following requirements:
(1) Transfer of hazardous secondary material, except as provided in
paragraph (j)(2) of this section, to the tank from another tank subject
to this section shall be conducted using continuous hard-piping or
another closed system that does not allow exposure of the hazardous
secondary material to the atmosphere. For the purpose of complying with
this provision, an individual drain system is considered to be a closed
system when it meets the requirements of 40 CFR part 63, subpart RR--
National Emission Standards for Individual Drain Systems.
(2) The requirements of paragraph (j)(1) of this section do not
apply when transferring a hazardous secondary material to the tank
under any of the following conditions:
(i) The hazardous secondary material meets the average VO
concentration conditions specified in Sec. 261.1082(c)(1) of this
subpart at the point of material origination.
(ii) The hazardous secondary material has been treated by an
organic destruction or removal process to meet the requirements in
Sec. 261.1082(c)(2) of this subpart.
(iii) The hazardous secondary material meets the requirements of
Sec. 261.1082(c)(4) of this subpart.
(k) The remanufacturer or other person that stores or treats the
hazardous secondary material shall repair each defect detected during
an inspection performed in accordance with the requirements of
paragraph (c)(4), (e)(3), (f)(3), or (g)(3) of this section as follows:
(1) The remanufacturer or other person that stores or treats the
hazardous secondary material shall make first efforts at repair of the
defect no later than 5 calendar days after detection, and repair shall
be completed as soon as possible but no later than 45 calendar days
after detection except as provided in paragraph (k)(2) of this section.
(2) Repair of a defect may be delayed beyond 45 calendar days if
the remanufacturer or other person that stores or treats the hazardous
secondary material determines that repair of the defect requires
emptying or temporary removal from service of the tank and no
alternative tank capacity is available at the site to accept the
hazardous secondary material normally managed in the tank. In this
case, the remanufacturer or other person that stores or treats the
hazardous secondary material shall repair the defect the next time the
process or unit that is generating the hazardous secondary material
managed in the tank stops operation. Repair of the defect shall be
completed before the process or unit resumes operation.
(l) Following the initial inspection and monitoring of the cover as
required by the applicable provisions of this subpart, subsequent
inspection and monitoring may be performed at intervals longer than 1
year under the following special conditions:
(1) In the case when inspecting or monitoring the cover would
expose a worker to dangerous, hazardous, or other unsafe conditions,
then the remanufacturer or other person that stores or treats the
hazardous secondary material may designate a cover as an ``unsafe to
inspect and monitor cover'' and comply with all of the following
requirements:
(i) Prepare a written explanation for the cover stating the reasons
why the cover is unsafe to visually inspect or to monitor, if required.
(ii) Develop and implement a written plan and schedule to inspect
and monitor the cover, using the procedures specified in the applicable
section of this subpart, as frequently as practicable during those
times when a worker can safely access the cover.
(2) In the case when a tank is buried partially or entirely
underground, a remanufacturer or other person that stores or treats the
hazardous secondary material is required to inspect and monitor, as
required by the applicable provisions of this section, only those
portions of the tank cover and those connections to the tank (e.g.,
fill ports, access hatches, gauge wells, etc.) that are located on or
above the ground surface.
Sec. 261.1085 [Reserved]
Sec. 261.1086 Standards: containers.
(a) Applicability. The provisions of this section apply to the
control of air pollutant emissions from containers for which Sec.
261.1082(b) of this subpart references the use of this section for such
air emission control.
(b) General requirements. (1) The remanufacturer or other person
that stores or treats the hazardous secondary material shall control
air pollutant emissions from each container subject to this section in
accordance with the following requirements, as applicable to the
container.
(i) For a container having a design capacity greater than 0.1 m\3\
and less than or equal to 0.46 m\3\, the remanufacturer or other person
that stores or treats the hazardous secondary material shall control
air pollutant emissions from the container in accordance with the
Container Level 1 standards specified in paragraph (c) of this section.
(ii) For a container having a design capacity greater than 0.46
m\3\ that is not in light material service, the remanufacturer or other
person that stores or treats the hazardous secondary material shall
control air pollutant emissions from the container in accordance with
the Container Level 1 standards specified in paragraph (c) of this
section.
(iii) For a container having a design capacity greater than 0.46
m\3\ that is in light material service, the remanufacturer or other
person that stores or treats the hazardous secondary material shall
control air pollutant emissions from the container in accordance with
the Container Level 2 standards specified in paragraph (d) of this
section.
(2) [Reserved]
(c) Container Level 1 standards. (1) A container using Container
Level 1 controls is one of the following:
(i) A container that meets the applicable U.S. Department of
Transportation (DOT) regulations on
[[Page 1808]]
packaging hazardous materials for transportation as specified in
paragraph (f) of this section.
(ii) A container equipped with a cover and closure devices that
form a continuous barrier over the container openings such that when
the cover and closure devices are secured in the closed position there
are no visible holes, gaps, or other open spaces into the interior of
the container. The cover may be a separate cover installed on the
container (e.g., a lid on a drum or a suitably secured tarp on a roll-
off box) or may be an integral part of the container structural design
(e.g., a ``portable tank'' or bulk cargo container equipped with a
screw-type cap).
(iii) An open-top container in which an organic-vapor suppressing
barrier is placed on or over the hazardous secondary material in the
container such that no hazardous secondary material is exposed to the
atmosphere. One example of such a barrier is application of a suitable
organic-vapor suppressing foam.
(2) A container used to meet the requirements of paragraph
(c)(1)(ii) or (iii) of this section shall be equipped with covers and
closure devices, as applicable to the container, that are composed of
suitable materials to minimize exposure of the hazardous secondary
material to the atmosphere and to maintain the equipment integrity, for
as long as the container is in service. Factors to be considered in
selecting the materials of construction and designing the cover and
closure devices shall include: Organic vapor permeability; the effects
of contact with the hazardous secondary material or its vapor managed
in the container; the effects of outdoor exposure of the closure device
or cover material to wind, moisture, and sunlight; and the operating
practices for which the container is intended to be used.
(3) Whenever a hazardous secondary material is in a container using
Container Level 1 controls, the remanufacturer or other person that
stores or treats the hazardous secondary material shall install all
covers and closure devices for the container, as applicable to the
container, and secure and maintain each closure device in the closed
position except as follows:
(i) Opening of a closure device or cover is allowed for the purpose
of adding hazardous secondary material or other material to the
container as follows:
(A) In the case when the container is filled to the intended final
level in one continuous operation, the remanufacturer or other person
that stores or treats the hazardous secondary material shall promptly
secure the closure devices in the closed position and install the
covers, as applicable to the container, upon conclusion of the filling
operation.
(B) In the case when discrete quantities or batches of material
intermittently are added to the container over a period of time, the
remanufacturer or other person that stores or treats the hazardous
secondary material shall promptly secure the closure devices in the
closed position and install covers, as applicable to the container,
upon either the container being filled to the intended final level; the
completion of a batch loading after which no additional material will
be added to the container within 15 minutes; the person performing the
loading operation leaving the immediate vicinity of the container; or
the shutdown of the process generating the hazardous secondary material
being added to the container, whichever condition occurs first.
(ii) Opening of a closure device or cover is allowed for the
purpose of removing hazardous secondary material from the container as
follows:
(A) For the purpose of meeting the requirements of this section, an
empty hazardous secondary material container may be open to the
atmosphere at any time (i.e., covers and closure devices on such a
container are not required to be secured in the closed position).
(B) In the case when discrete quantities or batches of material are
removed from the container, but the container is not an empty hazardous
secondary material container, the remanufacturer or other person that
stores or treats the hazardous secondary material shall promptly secure
the closure devices in the closed position and install covers, as
applicable to the container, upon the completion of a batch removal
after which no additional material will be removed from the container
within 15 minutes or the person performing the unloading operation
leaves the immediate vicinity of the container, whichever condition
occurs first.
(iii) Opening of a closure device or cover is allowed when access
inside the container is needed to perform routine activities other than
transfer of hazardous secondary material. Examples of such activities
include those times when a worker needs to open a port to measure the
depth of or sample the material in the container, or when a worker
needs to open a manhole hatch to access equipment inside the container.
Following completion of the activity, the remanufacturer or other
person that stores or treats the hazardous secondary material shall
promptly secure the closure device in the closed position or reinstall
the cover, as applicable to the container.
(iv) Opening of a spring-loaded pressure-vacuum relief valve,
conservation vent, or similar type of pressure relief device which
vents to the atmosphere is allowed during normal operations for the
purpose of maintaining the internal pressure of the container in
accordance with the container design specifications. The device shall
be designed to operate with no detectable organic emissions when the
device is secured in the closed position. The settings at which the
device opens shall be established such that the device remains in the
closed position whenever the internal pressure of the container is
within the internal pressure operating range determined by the
remanufacturer or other persons that stores or treats the hazardous
secondary material based on container manufacturer recommendations,
applicable regulations, fire protection and prevention codes, standard
engineering codes and practices, or other requirements for the safe
handling of flammable, ignitable, explosive, reactive, or hazardous
materials. Examples of normal operating conditions that may require
these devices to open are during those times when the internal pressure
of the container exceeds the internal pressure operating range for the
container as a result of loading operations or diurnal ambient
temperature fluctuations.
(v) Opening of a safety device, as defined in 40 CFR 261.1081, is
allowed at any time conditions require doing so to avoid an unsafe
condition.
(4) The remanufacturer or other person that stores or treats the
hazardous secondary material using containers with Container Level 1
controls shall inspect the containers and their covers and closure
devices as follows:
(i) In the case when a hazardous secondary material already is in
the container at the time the remanufacturer or other person that
stores or treats the hazardous secondary material first accepts
possession of the container at the facility and the container is not
emptied within 24 hours after the container is accepted at the facility
(i.e., is not an empty hazardous secondary material container) the
remanufacturer or other person that stores or treats the hazardous
secondary material shall visually inspect the container and its cover
and closure devices to check for visible cracks, holes, gaps, or other
open spaces into the interior of the container when the cover and
closure devices are
[[Page 1809]]
secured in the closed position. The container visual inspection shall
be conducted on or before the date that the container is accepted at
the facility (i.e., the date the container becomes subject to the
subpart CC container standards).
(ii) In the case when a container used for managing hazardous
secondary material remains at the facility for a period of 1 year or
more, the remanufacturer or other person that stores or treats the
hazardous secondary material shall visually inspect the container and
its cover and closure devices initially and thereafter, at least once
every 12 months, to check for visible cracks, holes, gaps, or other
open spaces into the interior of the container when the cover and
closure devices are secured in the closed position. If a defect is
detected, the remanufacturer or other person that stores or treats the
hazardous secondary material shall repair the defect in accordance with
the requirements of paragraph (c)(4)(iii) of this section.
(iii) When a defect is detected for the container, cover, or
closure devices, the remanufacturer or other person that stores or
treats the hazardous secondary material shall make first efforts at
repair of the defect no later than 24 hours after detection and repair
shall be completed as soon as possible but no later than 5 calendar
days after detection. If repair of a defect cannot be completed within
5 calendar days, then the hazardous secondary material shall be removed
from the container and the container shall not be used to manage
hazardous secondary material until the defect is repaired.
(5) The remanufacturer or other person that stores or treats the
hazardous secondary material shall maintain at the facility a copy of
the procedure used to determine that containers with capacity of 0.46
m\3\ or greater, which do not meet applicable DOT regulations as
specified in paragraph (f) of this section, are not managing hazardous
secondary material in light material service.
(d) Container Level 2 standards. (1) A container using Container
Level 2 controls is one of the following:
(i) A container that meets the applicable U.S. Department of
Transportation (DOT) regulations on packaging hazardous materials for
transportation as specified in paragraph (f) of this section.
(ii) A container that operates with no detectable organic emissions
as defined in Sec. 261.1081 and determined in accordance with the
procedure specified in paragraph (g) of this section.
(iii) A container that has been demonstrated within the preceding
12 months to be vapor-tight by using 40 CFR part 60, appendix A, Method
27 in accordance with the procedure specified in paragraph (h) of this
section.
(2) Transfer of hazardous secondary material in or out of a
container using Container Level 2 controls shall be conducted in such a
manner as to minimize exposure of the hazardous secondary material to
the atmosphere, to the extent practical, considering the physical
properties of the hazardous secondary material and good engineering and
safety practices for handling flammable, ignitable, explosive,
reactive, or other hazardous materials. Examples of container loading
procedures that the EPA considers to meet the requirements of this
paragraph include using any one of the following: a submerged-fill pipe
or other submerged-fill method to load liquids into the container; a
vapor-balancing system or a vapor-recovery system to collect and
control the vapors displaced from the container during filling
operations; or a fitted opening in the top of a container through which
the hazardous secondary material is filled and subsequently purging the
transfer line before removing it from the container opening.
(3) Whenever a hazardous secondary material is in a container using
Container Level 2 controls, the remanufacturer or other person that
stores or treats the hazardous secondary material shall install all
covers and closure devices for the container, and secure and maintain
each closure device in the closed position except as follows:
(i) Opening of a closure device or cover is allowed for the purpose
of adding hazardous secondary material or other material to the
container as follows:
(A) In the case when the container is filled to the intended final
level in one continuous operation, the remanufacture or other person
that stores or treats the hazardous secondary material shall promptly
secure the closure devices in the closed position and install the
covers, as applicable to the container, upon conclusion of the filling
operation.
(B) In the case when discrete quantities or batches of material
intermittently are added to the container over a period of time, the
remanufacturer or other person that stores or treats the hazardous
secondary material shall promptly secure the closure devices in the
closed position and install covers, as applicable to the container,
upon either the container being filled to the intended final level; the
completion of a batch loading after which no additional material will
be added to the container within 15 minutes; the person performing the
loading operation leaving the immediate vicinity of the container; or
the shutdown of the process generating the material being added to the
container, whichever condition occurs first.
(ii) Opening of a closure device or cover is allowed for the
purpose of removing hazardous secondary material from the container as
follows:
(A) For the purpose of meeting the requirements of this section, an
empty hazardous secondary material container may be open to the
atmosphere at any time (i.e., covers and closure devices are not
required to be secured in the closed position on an empty container).
(B) In the case when discrete quantities or batches of material are
removed from the container, but the container is not an empty hazardous
secondary materials container, the remanufacturer or other person that
stores or treats the hazardous secondary material shall promptly secure
the closure devices in the closed position and install covers, as
applicable to the container, upon the completion of a batch removal
after which no additional material will be removed from the container
within 15 minutes or the person performing the unloading operation
leaves the immediate vicinity of the container, whichever condition
occurs first.
(iii) Opening of a closure device or cover is allowed when access
inside the container is needed to perform routine activities other than
transfer of hazardous secondary material. Examples of such activities
include those times when a worker needs to open a port to measure the
depth of or sample the material in the container, or when a worker
needs to open a manhole hatch to access equipment inside the container.
Following completion of the activity, the remanufacturer or other
person that stores or treats the hazardous secondary material shall
promptly secure the closure device in the closed position or reinstall
the cover, as applicable to the container.
(iv) Opening of a spring-loaded, pressure-vacuum relief valve,
conservation vent, or similar type of pressure relief device which
vents to the atmosphere is allowed during normal operations for the
purpose of maintaining the internal pressure of the container in
accordance with the container design specifications. The device shall
be designed to operate with no detectable organic emission when the
device is secured in the closed position. The settings at which the
device opens shall be established such that the device remains in the
closed
[[Page 1810]]
position whenever the internal pressure of the container is within the
internal pressure operating range determined by the remanufacturer or
other person that stores or treats the hazardous secondary material
based on container manufacturer recommendations, applicable
regulations, fire protection and prevention codes, standard engineering
codes and practices, or other requirements for the safe handling of
flammable, ignitable, explosive, reactive, or hazardous materials.
Examples of normal operating conditions that may require these devices
to open are during those times when the internal pressure of the
container exceeds the internal pressure operating range for the
container as a result of loading operations or diurnal ambient
temperature fluctuations.
(v) Opening of a safety device, as defined in Sec. 261.1081, is
allowed at any time conditions require doing so to avoid an unsafe
condition.
(4) The remanufacture or other person that stores or treats the
hazardous secondary material using containers with Container Level 2
controls shall inspect the containers and their covers and closure
devices as follows:
(i) In the case when a hazardous secondary material already is in
the container at the time the remanufacturer or other person that
stores or treats the hazardous secondary material first accepts
possession of the container at the facility and the container is not
emptied within 24 hours after the container is accepted at the facility
(i.e., is not an empty hazardous secondary material container), the
remanufacturer or other person that stores or treats the hazardous
secondary material shall visually inspect the container and its cover
and closure devices to check for visible cracks, holes, gaps, or other
open spaces into the interior of the container when the cover and
closure devices are secured in the closed position. The container
visual inspection shall be conducted on or before the date that the
container is accepted at the facility (i.e., the date the container
becomes subject to the subpart CC container standards).
(ii) In the case when a container used for managing hazardous
secondary material remains at the facility for a period of 1 year or
more, the remanufacturer or other person that stores or treats the
hazardous secondary material shall visually inspect the container and
its cover and closure devices initially and thereafter, at least once
every 12 months, to check for visible cracks, holes, gaps, or other
open spaces into the interior of the container when the cover and
closure devices are secured in the closed position. If a defect is
detected, the remanufacturer or other person that stores or treats the
hazardous secondary material shall repair the defect in accordance with
the requirements of paragraph (d)(4)(iii) of this section.
(iii) When a defect is detected for the container, cover, or
closure devices, the remanufacturer or other person that stores or
treats the hazardous secondary material shall make first efforts at
repair of the defect no later than 24 hours after detection, and repair
shall be completed as soon as possible but no later than 5 calendar
days after detection. If repair of a defect cannot be completed within
5 calendar days, then the hazardous secondary material shall be removed
from the container and the container shall not be used to manage
hazardous secondary material until the defect is repaired.
(e) Container Level 3 standards. (1) A container using Container
Level 3 controls is one of the following:
(i) A container that is vented directly through a closed-vent
system to a control device in accordance with the requirements of
paragraph (e)(2)(ii) of this section.
(ii) A container that is vented inside an enclosure which is
exhausted through a closed-vent system to a control device in
accordance with the requirements of paragraphs (e)(2)(i) and (ii) of
this section.
(2) The remanufacturer or other person that stores or treats the
hazardous secondary material shall meet the following requirements, as
applicable to the type of air emission control equipment selected by
the remanufacturer or other person that stores or treats the hazardous
secondary material:
(i) The container enclosure shall be designed and operated in
accordance with the criteria for a permanent total enclosure as
specified in ``Procedure T--Criteria for and Verification of a
Permanent or Temporary Total Enclosure'' under 40 CFR 52.741, appendix
B. The enclosure may have permanent or temporary openings to allow
worker access; passage of containers through the enclosure by conveyor
or other mechanical means; entry of permanent mechanical or electrical
equipment; or direct airflow into the enclosure. The remanufacturer or
other person that stores or treats the hazardous secondary material
shall perform the verification procedure for the enclosure as specified
in Section 5.0 to ``Procedure T--Criteria for and Verification of a
Permanent or Temporary Total Enclosure'' initially when the enclosure
is first installed and, thereafter, annually.
(ii) The closed-vent system and control device shall be designed
and operated in accordance with the requirements of Sec. 261.1087 of
this subpart.
(3) Safety devices, as defined in Sec. 261.1081, may be installed
and operated as necessary on any container, enclosure, closed-vent
system, or control device used to comply with the requirements of
paragraph (e)(1) of this section.
(4) Remanufacturers or other persons that store or treat the
hazardous secondary material using Container Level 3 controls in
accordance with the provisions of this subpart shall inspect and
monitor the closed-vent systems and control devices as specified in
Sec. 261.1087 of this subpart.
(5) Remanufacturers or other persons that store or treat the
hazardous secondary material that use Container Level 3 controls in
accordance with the provisions of this subpart shall prepare and
maintain the records specified in Sec. 261.1089(d) of this subpart.
(6) Transfer of hazardous secondary material in or out of a
container using Container Level 3 controls shall be conducted in such a
manner as to minimize exposure of the hazardous secondary material to
the atmosphere, to the extent practical, considering the physical
properties of the hazardous secondary material and good engineering and
safety practices for handling flammable, ignitable, explosive,
reactive, or other hazardous materials. Examples of container loading
procedures that the EPA considers to meet the requirements of this
paragraph include using any one of the following: a submerged-fill pipe
or other submerged-fill method to load liquids into the container; a
vapor-balancing system or a vapor-recovery system to collect and
control the vapors displaced from the container during filling
operations; or a fitted opening in the top of a container through which
the hazardous secondary material is filled and subsequently purging the
transfer line before removing it from the container opening.
(f) For the purpose of compliance with paragraph (c)(1)(i) or
(d)(1)(i) of this section, containers shall be used that meet the
applicable U.S. Department of Transportation (DOT) regulations on
packaging hazardous materials for transportation as follows:
(1) The container meets the applicable requirements specified in 49
CFR part 178 or part 179.
(2) Hazardous secondary material is managed in the container in
accordance with the applicable requirements
[[Page 1811]]
specified in 49 CFR part 107, subpart B and 49 CFR parts 172, 173, and
180.
(3) For the purpose of complying with this subpart, no exceptions
to the 49 CFR part 178 or part 179 regulations are allowed.
(g) To determine compliance with the no detectable organic
emissions requirement of paragraph (d)(1)(ii) of this section, the
procedure specified in Sec. 261.1083(d) of this subpart shall be used.
(1) Each potential leak interface (i.e., a location where organic
vapor leakage could occur) on the container, its cover, and associated
closure devices, as applicable to the container, shall be checked.
Potential leak interfaces that are associated with containers include,
but are not limited to: the interface of the cover rim and the
container wall; the periphery of any opening on the container or
container cover and its associated closure device; and the sealing seat
interface on a spring-loaded pressure-relief valve.
(2) The test shall be performed when the container is filled with a
material having a volatile organic concentration representative of the
range of volatile organic concentrations for the hazardous secondary
materials expected to be managed in this type of container. During the
test, the container cover and closure devices shall be secured in the
closed position.
(h) Procedure for determining a container to be vapor-tight using
Method 27 of 40 CFR part 60, appendix A for the purpose of complying
with paragraph (d)(1)(iii) of this section.
(1) The test shall be performed in accordance with Method 27 of 40
CFR part 60, appendix A of this chapter.
(2) A pressure measurement device shall be used that has a
precision of 2.5 mm water and that is capable of measuring
above the pressure at which the container is to be tested for vapor
tightness.
(3) If the test results determined by Method 27 indicate that the
container sustains a pressure change less than or equal to 750 Pascals
within 5 minutes after it is pressurized to a minimum of 4,500 Pascals,
then the container is determined to be vapor-tight.
Sec. 261.1087 Standards: Closed-vent systems and control devices.
(a) This section applies to each closed-vent system and control
device installed and operated by the remanufacturer or other person who
stores or treats the hazardous secondary material to control air
emissions in accordance with standards of this subpart.
(b) The closed-vent system shall meet the following requirements:
(1) The closed-vent system shall route the gases, vapors, and fumes
emitted from the hazardous secondary material in the hazardous
secondary material management unit to a control device that meets the
requirements specified in paragraph (c) of this section.
(2) The closed-vent system shall be designed and operated in
accordance with the requirements specified in Sec. 261.1033(k) of this
part.
(3) In the case when the closed-vent system includes bypass devices
that could be used to divert the gas or vapor stream to the atmosphere
before entering the control device, each bypass device shall be
equipped with either a flow indicator as specified in paragraph
(b)(3)(i) of this section or a seal or locking device as specified in
paragraph (b)(3)(ii) of this section. For the purpose of complying with
this paragraph, low leg drains, high point bleeds, analyzer vents,
open-ended valves or lines, spring loaded pressure relief valves, and
other fittings used for safety purposes are not considered to be bypass
devices.
(i) If a flow indicator is used to comply with paragraph (b)(3) of
this section, the indicator shall be installed at the inlet to the
bypass line used to divert gases and vapors from the closed-vent system
to the atmosphere at a point upstream of the control device inlet. For
this paragraph, a flow indicator means a device which indicates the
presence of either gas or vapor flow in the bypass line.
(ii) If a seal or locking device is used to comply with paragraph
(b)(3) of this section, the device shall be placed on the mechanism by
which the bypass device position is controlled (e.g., valve handle,
damper lever) when the bypass device is in the closed position such
that the bypass device cannot be opened without breaking the seal or
removing the lock. Examples of such devices include, but are not
limited to, a car-seal or a lock-and-key configuration valve. The
remanufacturer or other person that stores or treats the hazardous
secondary material shall visually inspect the seal or closure mechanism
at least once every month to verify that the bypass mechanism is
maintained in the closed position.
(4) The closed-vent system shall be inspected and monitored by the
remanufacturer or other person that stores or treats the hazardous
secondary material in accordance with the procedure specified in Sec.
261.1033(l).
(c) The control device shall meet the following requirements:
(1) The control device shall be one of the following devices:
(i) A control device designed and operated to reduce the total
organic content of the inlet vapor stream vented to the control device
by at least 95 percent by weight;
(ii) An enclosed combustion device designed and operated in
accordance with the requirements of Sec. 261.1033(c) of this part; or
(iii) A flare designed and operated in accordance with the
requirements of Sec. 261.1033(d) of this part.
(2) The remanufacturer or other person that stores or treats the
hazardous secondary material who elects to use a closed-vent system and
control device to comply with the requirements of this section shall
comply with the requirements specified in paragraphs (c)(2)(i) through
(vi) of this section.
(i) Periods of planned routine maintenance of the control device,
during which the control device does not meet the specifications of
paragraph (c)(1)(i), (ii), or (iii) of this section, as applicable,
shall not exceed 240 hours per year.
(ii) The specifications and requirements in paragraphs (c)(1)(i)
through (iii) of this section for control devices do not apply during
periods of planned routine maintenance.
(iii) The specifications and requirements in paragraphs (c)(1)(i)
through (iii) of this section for control devices do not apply during a
control device system malfunction.
(iv) The remanufacturer or other person that stores or treats the
hazardous secondary material shall demonstrate compliance with the
requirements of paragraph (c)(2)(i) of this section (i.e., planned
routine maintenance of a control device, during which the control
device does not meet the specifications of paragraph (c)(1)(i), (ii),
or (iii) of this section, as applicable, shall not exceed 240 hours per
year) by recording the information specified in Sec. 261.1089(e)(1)(v)
of this subpart.
(v) The remanufacturer or other person that stores or treats the
hazardous secondary material shall correct control device system
malfunctions as soon as practicable after their occurrence in order to
minimize excess emissions of air pollutants.
(vi) The remanufacturer or other person that stores or treats the
hazardous secondary material shall operate the closed-vent system such
that gases, vapors, or fumes are not actively vented to the control
device during periods of planned maintenance or control device system
malfunction (i.e., periods when the control device is not operating or
not operating normally) except in cases when it is necessary to
[[Page 1812]]
vent the gases, vapors, and/or fumes to avoid an unsafe condition or to
implement malfunction corrective actions or planned maintenance
actions.
(3) The remanufacturer or other person that stores or treats the
hazardous secondary material using a carbon adsorption system to comply
with paragraph (c)(1) of this section shall operate and maintain the
control device in accordance with the following requirements:
(i) Following the initial startup of the control device, all
activated carbon in the control device shall be replaced with fresh
carbon on a regular basis in accordance with the requirements of Sec.
261.1033(g) or (h) of this part.
(ii) All carbon that is hazardous waste and that is removed from
the control device shall be managed in accordance with the requirements
of Sec. 261.1033(n), regardless of the average volatile organic
concentration of the carbon.
(4) A remanufacturer or other person that stores or treats the
hazardous secondary material using a control device other than a
thermal vapor incinerator, flare, boiler, process heater, condenser, or
carbon adsorption system to comply with paragraph (c)(1) of this
section shall operate and maintain the control device in accordance
with the requirements of Sec. 261.1033(j) of this part.
(5) The remanufacturer or other person that stores or treats the
hazardous secondary material shall demonstrate that a control device
achieves the performance requirements of paragraph (c)(1) of this
section as follows:
(i) A remanufacturer or other person that stores or treats the
hazardous secondary material shall demonstrate using either a
performance test as specified in paragraph (c)(5)(iii) of this section
or a design analysis as specified in paragraph (c)(5)(iv) of this
section the performance of each control device except for the
following:
(A) A flare;
(B) A boiler or process heater with a design heat input capacity of
44 megawatts or greater;
(C) A boiler or process heater into which the vent stream is
introduced with the primary fuel;
(ii) A remanufacturer or other person that stores or treats the
hazardous secondary material shall demonstrate the performance of each
flare in accordance with the requirements specified in Sec.
261.1033(e).
(iii) For a performance test conducted to meet the requirements of
paragraph (c)(5)(i) of this section, the remanufacturer or other person
that stores or treats the hazardous secondary material shall use the
test methods and procedures specified in Sec. 261.1034(c)(1) through
(4).
(iv) For a design analysis conducted to meet the requirements of
paragraph (c)(5)(i) of this section, the design analysis shall meet the
requirements specified in Sec. 261.1035(b)(4)(iii).
(v) The remanufacturer or other person that stores or treats the
hazardous secondary material shall demonstrate that a carbon adsorption
system achieves the performance requirements of paragraph (c)(1) of
this section based on the total quantity of organics vented to the
atmosphere from all carbon adsorption system equipment that is used for
organic adsorption, organic desorption or carbon regeneration, organic
recovery, and carbon disposal.
(6) If the remanufacturer or other person that stores or treats the
hazardous secondary material and the Regional Administrator do not
agree on a demonstration of control device performance using a design
analysis then the disagreement shall be resolved using the results of a
performance test performed by the remanufacturer or other person that
stores or treats the hazardous secondary material in accordance with
the requirements of paragraph (c)(5)(iii) of this section. The Regional
Administrator may choose to have an authorized representative observe
the performance test.
(7) The closed-vent system and control device shall be inspected
and monitored by the remanufacture or other person that stores or
treats the hazardous secondary material in accordance with the
procedures specified in Sec. 261.1033(f)(2) and (l). The readings from
each monitoring device required by Sec. 261.1033(f)(2) shall be
inspected at least once each operating day to check control device
operation. Any necessary corrective measures shall be immediately
implemented to ensure the control device is operated in compliance with
the requirements of this section.
Sec. 261.1088 Inspection and monitoring requirements.
(a) The remanufacturer or other person that stores or treats the
hazardous secondary material shall inspect and monitor air emission
control equipment used to comply with this subpart in accordance with
the applicable requirements specified in Sec. Sec. 261.1084 through
261.1087 of this subpart.
(b) The remanufacture or other person that stores or treats the
hazardous secondary material shall develop and implement a written plan
and schedule to perform the inspections and monitoring required by
paragraph (a) of this section. The remanufacturer or other person that
stores or treats the hazardous secondary material shall keep the plan
and schedule at the facility.
Sec. 261.1089 Recordkeeping requirements.
(a) Each remanufacturer or other person that stores or treats the
hazardous secondary material subject to requirements of this subpart
shall record and maintain the information specified in paragraphs (b)
through (j) of this section, as applicable to the facility. Except for
air emission control equipment design documentation and information
required by paragraphs (i) and (j) of this section, records required by
this section shall be maintained at the facility for a minimum of 3
years. Air emission control equipment design documentation shall be
maintained at the facility until the air emission control equipment is
replaced or otherwise no longer in service. Information required by
paragraphs (i) and (j) of this section shall be maintained at the
facility for as long as the hazardous secondary material management
unit is not using air emission controls specified in Sec. Sec.
261.1084 through 261.1087 of this subpart in accordance with the
conditions specified in Sec. 261.1080(b)(7) or (d) of this subpart,
respectively.
(b) The remanufacturer or other person that stores or treats the
hazardous secondary material using a tank with air emission controls in
accordance with the requirements of Sec. 261.1084 of this subpart
shall prepare and maintain records for the tank that include the
following information:
(1) For each tank using air emission controls in accordance with
the requirements of Sec. 261.1084 of this subpart, the remanufacturer
or other person that stores or treats the hazardous secondary material
shall record:
(i) A tank identification number (or other unique identification
description as selected by the remanufacturer or other person that
stores or treats the hazardous secondary material).
(ii) A record for each inspection required by Sec. 261.1084 of
this subpart that includes the following information:
(A) Date inspection was conducted.
(B) For each defect detected during the inspection: The location of
the defect, a description of the defect, the date of detection, and
corrective action taken to repair the defect. In the event that repair
of the defect is delayed in accordance with the requirements of Sec.
261.1084 of this subpart, the remanufacturer or other person that
stores or treats the hazardous secondary
[[Page 1813]]
material shall also record the reason for the delay and the date that
completion of repair of the defect is expected.
(2) In addition to the information required by paragraph (b)(1) of
this section, the remanufacturer or other person that stores or treats
the hazardous secondary material shall record the following
information, as applicable to the tank:
(i) The remanufacturer or other person that stores or treats the
hazardous secondary material using a fixed roof to comply with the Tank
Level 1 control requirements specified in Sec. 261.1084(c) of this
subpart shall prepare and maintain records for each determination for
the maximum organic vapor pressure of the hazardous secondary material
in the tank performed in accordance with the requirements of Sec.
261.1084(c) of this subpart. The records shall include the date and
time the samples were collected, the analysis method used, and the
analysis results.
(ii) The remanufacturer or other person that stores or treats the
hazardous secondary material using an internal floating roof to comply
with the Tank Level 2 control requirements specified in Sec.
261.1084(e) of this subpart shall prepare and maintain documentation
describing the floating roof design.
(iii) Remanufacturer or other persons that store or treat the
hazardous secondary material using an external floating roof to comply
with the Tank Level 2 control requirements specified in Sec.
261.1084(f) of this subpart shall prepare and maintain the following
records:
(A) Documentation describing the floating roof design and the
dimensions of the tank.
(B) Records for each seal gap inspection required by Sec.
261.1084(f)(3) of this subpart describing the results of the seal gap
measurements. The records shall include the date that the measurements
were performed, the raw data obtained for the measurements, and the
calculations of the total gap surface area. In the event that the seal
gap measurements do not conform to the specifications in Sec.
261.1084(f)(1) of this subpart, the records shall include a description
of the repairs that were made, the date the repairs were made, and the
date the tank was emptied, if necessary.
(iv) Each remanufacturer or other person that stores or treats the
hazardous secondary material using an enclosure to comply with the Tank
Level 2 control requirements specified in Sec. 261.1084(i) of this
subpart shall prepare and maintain the following records:
(A) Records for the most recent set of calculations and
measurements performed by the remanufacturer or other person that
stores or treats the hazardous secondary material to verify that the
enclosure meets the criteria of a permanent total enclosure as
specified in ``Procedure T--Criteria for and Verification of a
Permanent or Temporary Total Enclosure'' under 40 CFR 52.741, appendix
B.
(B) Records required for the closed-vent system and control device
in accordance with the requirements of paragraph (e) of this section.
(c) [Reserved]
(d) The remanufacturer or other person that stores or treats the
hazardous secondary material using containers with Container Level 3
air emission controls in accordance with the requirements of Sec.
261.1086 of this subpart shall prepare and maintain records that
include the following information:
(1) Records for the most recent set of calculations and
measurements performed by the remanufacturer or other person that
stores or treats the hazardous secondary material to verify that the
enclosure meets the criteria of a permanent total enclosure as
specified in ``Procedure T--Criteria for and Verification of a
Permanent or Temporary Total Enclosure'' under 40 CFR 52.741, appendix
B.
(2) Records required for the closed-vent system and control device
in accordance with the requirements of paragraph (e) of this section.
(e) The remanufacturer or other person that stores or treats the
hazardous secondary material using a closed-vent system and control
device in accordance with the requirements of Sec. 261.1087 of this
subpart shall prepare and maintain records that include the following
information:
(1) Documentation for the closed-vent system and control device
that includes:
(i) Certification that is signed and dated by the remanufacturer or
other person that stores or treats the hazardous secondary material
stating that the control device is designed to operate at the
performance level documented by a design analysis as specified in
paragraph (e)(1)(ii) of this section or by performance tests as
specified in paragraph (e)(1)(iii) of this section when the tank or
container is or would be operating at capacity or the highest level
reasonably expected to occur.
(ii) If a design analysis is used, then design documentation as
specified in Sec. 261.1035(b)(4). The documentation shall include
information prepared by the remanufacturer or other person that stores
or treats the hazardous secondary material or provided by the control
device manufacturer or vendor that describes the control device design
in accordance with Sec. 261.1035(b)(4)(iii) and certification by the
remanufacturer or other person that stores or treats the hazardous
secondary material that the control equipment meets the applicable
specifications.
(iii) If performance tests are used, then a performance test plan
as specified in Sec. 261.1035(b)(3) and all test results.
(iv) Information as required by Sec. Sec. 261.1035(c)(1) and
261.1035(c)(2), as applicable.
(v) A remanufacturer or other person that stores or treats the
hazardous secondary material shall record, on a semiannual basis, the
information specified in paragraphs (e)(1)(v)(A) and (B) of this
section for those planned routine maintenance operations that would
require the control device not to meet the requirements of Sec.
261.1087(c)(1)(i), (ii), or (iii) of this subpart, as applicable.
(A) A description of the planned routine maintenance that is
anticipated to be performed for the control device during the next 6-
month period. This description shall include the type of maintenance
necessary, planned frequency of maintenance, and lengths of maintenance
periods.
(B) A description of the planned routine maintenance that was
performed for the control device during the previous 6-month period.
This description shall include the type of maintenance performed and
the total number of hours during those 6 months that the control device
did not meet the requirements of Sec. 261.1087(c)(1)(i), (ii), or
(iii) of this subpart, as applicable, due to planned routine
maintenance.
(vi) A remanufacturer or other person that stores or treats the
hazardous secondary material shall record the information specified in
paragraphs (e)(1)(vi)(A) through (C) of this section for those
unexpected control device system malfunctions that would require the
control device not to meet the requirements of Sec. 261.1087(c)(1)(i),
(ii), or (iii) of this subpart, as applicable.
(A) The occurrence and duration of each malfunction of the control
device system.
(B) The duration of each period during a malfunction when gases,
vapors, or fumes are vented from the hazardous secondary material
management unit through the closed-vent system to the control device
while the control device is not properly functioning.
[[Page 1814]]
(C) Actions taken during periods of malfunction to restore a
malfunctioning control device to its normal or usual manner of
operation.
(vii) Records of the management of carbon removed from a carbon
adsorption system conducted in accordance with Sec. 261.1087(c)(3)(ii)
of this subpart.
(f) The remanufacturer or other person that stores or treats the
hazardous secondary material using a tank or container exempted under
the hazardous secondary material organic concentration conditions
specified in Sec. 261.1082(c)(1) or (c)(2)(i) through (vi) of this
subpart, shall prepare and maintain at the facility records documenting
the information used for each material determination (e.g., test
results, measurements, calculations, and other documentation). If
analysis results for material samples are used for the material
determination, then the remanufacturer or other person that stores or
treats the hazardous secondary material shall record the date, time,
and location that each material sample is collected in accordance with
applicable requirements of Sec. 261.1083 of this subpart.
(2) [Reserved]
(g) A remanufacturer or other person that stores or treats the
hazardous secondary material designating a cover as ``unsafe to inspect
and monitor'' pursuant to Sec. 261.1084(l) or Sec. 261.1085(g) of
this subpart shall record and keep at facility the following
information: The identification numbers for hazardous secondary
material management units with covers that are designated as ``unsafe
to inspect and monitor,'' the explanation for each cover stating why
the cover is unsafe to inspect and monitor, and the plan and schedule
for inspecting and monitoring each cover.
(h) The remanufacturer or other person that stores or treats the
hazardous secondary material that is subject to this subpart and to the
control device standards in 40 CFR part 60, subpart VV, or 40 CFR part
61, subpart V, may elect to demonstrate compliance with the applicable
sections of this subpart by documentation either pursuant to this
subpart, or pursuant to the provisions of 40 CFR part 60, subpart VV or
40 CFR part 61, subpart V, to the extent that the documentation
required by 40 CFR parts 60 or 61 duplicates the documentation required
by this section.
Sec. 261.1090 [Reserved]
[FR Doc. 2014-30382 Filed 1-12-15; 8:45 am]
BILLING CODE 6560-50-P