Risk Reduction Program, 10949-10999 [2015-03268]
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Vol. 80
Friday,
No. 39
February 27, 2015
Part IV
Department of Transportation
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Federal Railroad Administration
49 CFR Part 271
Risk Reduction Program; Proposed Rule
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DEPARTMENT OF TRANSPORTATION
Federal Railroad Administration
49 CFR Part 271
[Docket No. FRA–2009–0038, Notice No. 1]
RIN 2130–AC11
Risk Reduction Program
Federal Railroad
Administration (FRA), Department of
Transportation (DOT).
ACTION: Notice of proposed rulemaking
(NPRM).
AGENCY:
The Rail Safety Improvement
Act of 2008 requires the development
and implementation of railroad safety
risk reduction programs. This NPRM
proposes to implement this mandate by
requiring each Class I railroad and each
railroad with inadequate safety
performance to develop and implement
a Risk Reduction Program (RRP) to
improve the safety of their operations.
RRP is a comprehensive, systemoriented approach to safety that
determines an operation’s level of risk
by identifying and analyzing applicable
hazards and involves developing plans
to mitigate, if not eliminate, that risk.
Each RRP would be statutorily required
to include a risk analysis and a
technology implementation plan. An
RRP would be implemented by a written
RRP plan that has been submitted to
FRA for review and approval. A railroad
would be required to conduct an annual
internal assessment of its RRP, and a
railroad’s RRP processes and procedures
would be externally audited by FRA.
DATES: Written comments must be
received by April 28, 2015. Comments
received after that date will be
considered to the extent possible
without incurring additional expense or
delay.
FRA anticipates being able to resolve
this rulemaking without a public, oral
hearing. However, if FRA receives a
specific request for a public, oral
hearing prior to March 30, 2015, one
will be scheduled and FRA will publish
a supplemental notice in the Federal
Register to inform interested parties of
the date, time, and location of any such
hearing.
ADDRESSES: Comments: Comments
related to Docket No. FRA–2009–0038,
Notice No. 1, may be submitted by any
of the following methods:
• Web site: The Federal eRulemaking
Portal, www.regulations.gov. Follow the
Web site’s online instructions for
submitting comments.
• Fax: 202–493–2251.
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SUMMARY:
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• Mail: Docket Management Facility,
U.S. Department of Transportation, 1200
New Jersey Avenue SE., Room W12–
140, Washington, DC 20590.
• Hand Delivery: Docket Management
Facility, U.S. Department of
Transportation, 1200 New Jersey
Avenue SE., Room W12–140 on the
Ground level of the West Building,
between 9 a.m. and 5 p.m., Monday
through Friday, except Federal holidays.
Instructions: All submissions must
include the agency name, docket name
and docket number or Regulatory
Identification Number (RIN) for this
rulemaking (2130–AC11). Note that all
comments received will be posted
without change to https://
www.regulations.gov, including any
personal information provided. Please
see the Privacy Act heading in the
SUPPLEMENTARY INFORMATION section of
this document for Privacy Act
information related to any submitted
comments or materials.
Docket: For access to the docket to
read background documents or
comments received, go to https://
www.regulations.gov at any time or visit
the Docket Management Facility, U.S.
Department of Transportation, 1200
New Jersey Avenue SE., Room W12–140
on the Ground level of the West
Building, between 9 a.m. and 5 p.m.,
Monday through Friday, except Federal
holidays.
FOR FURTHER INFORMATION CONTACT:
Miriam Kloeppel, Staff Director, Risk
Reduction Program Division, U.S.
Department of Transportation, Federal
Railroad Administration, Office of
Railroad Safety, Mail Stop 25, West
Building 3rd Floor, 1200 New Jersey
Avenue SE., Washington, DC 20590
(telephone: 202–493–6224),
Miriam.Kloeppel@dot.gov; or Elizabeth
Gross, Trial Attorney, U.S. Department
of Transportation, Federal Railroad
Administration, Office of Chief Counsel,
Mail Stop 10, West Building 3rd Floor,
1200 New Jersey Avenue SE.,
Washington, DC 20590 (telephone: 202–
493–1342), Elizabeth.Gross@dot.gov.
SUPPLEMENTARY INFORMATION:
Table of Contents for Supplementary
Information
I. Introduction
A. Executive Summary
B. Abbreviations
II. Background and History
A. What is a Risk Reduction Program?
B. Passenger Railroads and System Safety
Programs
C. Other Federal Safety Management
System Programs
D. Risk Reducing FRA Programs
III. Statutory Background
A. Rail Safety Improvement Act of 2008
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B. Related System Safety Rulemaking
C. Related Fatigue Management Plans
Rulemaking
IV. Proceedings to Date
A. Advance Notice of Proposed
Rulemaking (ANPRM)
B. Public Hearings
C. Railroad Safety Advisory Committee
1. Risk Reduction Program (RRP) Working
Group
2. Working Group Tentative Agreement
Vote
V. Railroads With Inadequate Safety
Performance
VI. Risk Reduction Information Protection
A. Exemption From Freedom of
Information Act Disclosure
B. Discovery and Other Use of Risk
Analysis Information in Litigation
1. The RSIA Mandate
2. The Study and Its Conclusions
3. FRA’s Proposal
VII. RRP Plan Consultation Requirements
VIII. Section-by-Section Analysis
IX. Regulatory Impact and Notices
A. Executive Orders 12866 and 13563 and
DOT Regulatory Policies and Procedures
B. Regulatory Flexibility Act and Executive
Order 13272; Initial Regulatory
Flexibility Analysis
C. Federalism
D. International Trade Impact Assessment
E. Paperwork Reduction Act
F. Environmental Assessment
G. Unfunded Mandates Reform Act of 1995
H. Energy Impact
I. Privacy Act
I. Introduction
A. Executive Summary
The proposed rulemaking would add
to FRA’s regulations a new part, which
would require each Class I railroad and
each railroad with inadequate safety
performance to develop and implement
a Risk Reduction Program (RRP). An
RRP is a structured program with
proactive processes and procedures
developed and implemented by a
railroad to identify hazards and to
mitigate, if not eliminate, the risks
associated with those hazards on its
system. An RRP encourages a railroad
and its employees to work together to
proactively identify hazards and to
jointly determine what action to take to
mitigate or eliminate the associated
risks.
FRA understands that each railroad
that would be subject to the RRP rule
would have a unique operating system,
and that not all railroads have the same
amount of resources. Best practices for
implementing an RRP would therefore
differ from railroad to railroad.
Accordingly, the proposed RRP rule
does not establish prescriptive
requirements that may be appropriate
for one railroad but unworkable for
another. Instead, the rule proposes only
general, performance-based
requirements. This approach would
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provide each railroad a substantial
amount of flexibility to tailor those
requirements to its specific operations.
FRA is proposing this RRP rule as part
of its efforts to continually improve rail
safety and to satisfy the statutory
mandate contained in sec. 103 and sec.
109 of the Rail Safety Improvement Act
of 2008 (RSIA), Public Law 110–432,
Division A, 122 Stat. 4848 et seq.,
codified at 49 U.S.C. 20156, and 20118–
20119. The proposed RRP rule is a
performance-based rule, and FRA seeks
comments on all aspects of the proposed
rule.
Section 103 of the RSIA directs the
Secretary of Transportation (Secretary)
to issue a regulation requiring Class I
railroads, railroad carriers that provide
intercity rail passenger or commuter rail
passenger transportation (passenger
railroads), and railroads with
inadequate safety performance to
develop, submit to the Secretary for
review and approval, and implement a
railroad safety risk reduction program.
The proposed rule would implement
this mandate for Class I freight railroads
and railroads with inadequate safety
performance. A railroad not otherwise
required to comply with the proposed
rule would also be permitted to
voluntarily submit an RRP plan for FRA
review and approval. A separate system
safety program (SSP) rulemaking would
similarly implement this mandate for
passenger railroads, and an SSP NPRM
was published by FRA on September 7,
2012, 77 FR 55372.
Section 109 of the RSIA specifies that
certain risk reduction records obtained
by the Secretary are exempt from the
public disclosure requirements of the
Freedom of Information Act (FOIA).
This exemption is subject to two
exceptions for disclosure necessary to
enforce or carry out any Federal law and
disclosure when a record is comprised
of facts otherwise available to the public
and FRA has determined that disclosure
would be consistent with the
confidentiality needed for RRPs. See 49
U.S.C. 20118. FRA therefore believes
that railroad risk reduction records in its
possession would generally be
exempted from mandatory disclosure
under FOIA. Unless one of the two
exceptions provided by the RSIA would
apply, FRA would withhold disclosing
any such records in response to a FOIA
request. See 5 U.S.C. 552(b)(3) and 49
CFR 7.13(c)(3).
Section 109 of the RSIA also
authorizes the Secretary to issue a
regulation protecting from discovery
and admissibility into evidence in
litigation certain information generated
for the purpose of developing,
implementing, or evaluating an RRP.
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Currently, the proposed rule would
implement sec. 109 with respect to
RRPs covered by this proposed part. If
an SSP final rule is published before an
RRP final rule, however, the information
protection provisions contained in the
SSP final rule would specifically apply
to information generated for an RRP as
well.
The Secretary has delegated the
responsibility to carry out his
responsibilities under both sec. 103 and
sec. 109 of RSIA, as well as the general
responsibility to conduct rail safety
rulemakings, codified at 49 U.S.C.
20103, to the Administrator of FRA. See
49 CFR 1.89(m) and (oo).
The primary component of an RRP
would be an ongoing risk-based hazard
management program (risk-based HMP),
supported by a risk-based hazard
analysis. A properly implemented riskbased HMP would identify hazards and
the associated risks on the railroad’s
system, compare and prioritize the
identified risks for mitigation purposes,
and develop mitigation strategies to
address the risks. An RRP would also be
required to contain the following
additional components: a safety
performance evaluation; a safety
outreach component; and a technology
analysis and technology implementation
plan (which would consider various
technologies that may mitigate or
eliminate identified hazards and the
associated risks). A railroad would also
be required to provide RRP training to
employees who have significant
responsibility for implementing and
supporting the railroad’s RRP.
Implementation of an RRP would be
supported by a written risk reduction
program plan (RRP plan) describing the
railroad’s processes and procedures for
implementing the requirements for an
RRP. An RRP plan would not be
required to contain the results of a
railroad’s risk-based hazard analysis or
to describe specific mitigation strategies.
An RRP plan would also be required to
contain certain elements that support
the development of an RRP, such as a
policy statement, a statement of the
railroad’s RRP goals, a description of the
railroad’s system, and an RRP
implementation plan.
An RRP could be successful only if a
railroad engaged in a robust assessment
of the hazards and associated risks on
its system. However, a railroad may be
reluctant to reveal such hazards and
risks if there is the possibility that such
information may be used against it in a
court proceeding for damages. In sec.
109 of the RSIA, Congress directed FRA
to conduct a study to determine if it was
in the public interest to withhold
certain information, including the
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railroad’s assessment of its safety risks
and its statement of mitigation
measures, from discovery and
admission into evidence in proceedings
for damages involving personal injury
and wrongful death. See 49 U.S.C.
20119. FRA contracted with an outside
organization to conduct this study, and
the study concluded that it was in the
public interest to withhold this type of
information from these types of
proceedings. See ‘‘Study of Existing
Legal Protections for Safety-Related
Information and Analysis of
Considerations for and Against
Protecting Railroad Safety Risk
Reduction Program Information,’’ FRA,
docket no. FRA–2011–0025–0031, Oct.
21, 2011. Furthermore, Congress
authorized FRA, by delegation from the
Secretary, to prescribe a rule, subject to
notice and comment, to address the
results of the study. See 49 U.S.C.
20119(b). The proposed rule would
address the study’s results and set forth
protections of certain information from
discovery, admission into evidence, or
use for other purposes in a proceeding
for damages.
An RRP could affect almost all facets
of a railroad’s operations. To ensure that
all employees directly affected by an
RRP have an opportunity to provide
input on the development,
implementation, and evaluation of a
railroad’s RRP, a railroad would be
required to consult in good faith and use
its best efforts to reach agreement with
all of its directly affected employees on
the contents of the RRP plan and any
amendments to the plan. Guidance
regarding what constitutes ‘‘good faith’’
and ‘‘best efforts’’ would be included in
proposed Appendix B.
FRA anticipates that a final RRP rule
would become effective 60 days after
the date of publication. However, by
statute, the protection of certain
information from discovery, admission
into evidence, or use for other purposes
in a proceeding for damages would not
become applicable until one year after
the publication of the final rule.
Assuming that an SSP final rule could
be published before an RRP final rule,
FRA would make the SSP information
protection provisions applicable to RRP
programs as well. This approach would
permit a railroad subject to the RRP rule
to obtain information protection as soon
as possible. A Class I railroad would be
required to submit its RRP plan to FRA
for review no later than 545 days after
the publication date of the final rule.
This deadline for submission accounts
for the time that must pass before an
information protection provision could
become applicable. Similarly, railroads
with inadequate safety performance or
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railroads either reclassified or newly
classified by the Surface Transportation
Board (STB) as Class I railroads after the
effective date of the final rule would not
be required to submit RRP plans before
the information protection provisions go
into effect. These railroads would be
required to submit an RRP plan either
no later than 90 days after they have
either received notification from FRA
that they have been determined to have
an inadequate safety performance or
after the effective date of the STB
classification or reclassification, or no
later than 545 days after the publication
date of the final rule, whichever is later.
If an SSP final rule is published before
an RRP final rule, permitting the
information protection provision of SSP
to apply to RRP information, an RRP
final rule may require railroads to
submit an RRP plan sooner than 545
days after the publication date of the
final rule.
Within 90 days of receipt of a
railroad’s RRP plan, FRA would review
the plan and determine whether it meets
all the process and procedure
requirements set forth in the regulation.
FRA will not be reviewing a railroad’s
risk-based hazard analysis or selection
of particular mitigation strategies as part
of its RRP plan. If, during the review,
FRA determines that the railroad’s RRP
plan does not comply with the
requirements, FRA would notify the
railroad of the specific points in which
the plan is deficient. The railroad would
then have 60 days to correct these
deficient points and resubmit the plan
to FRA. Whenever a railroad decides to
amend its RRP, it would be required to
submit an amended RRP plan to FRA for
approval and provide a cover letter
describing the amendments. A similar
approval process and timeline would
apply whenever a railroad amends its
RRP plan. A railroad should not begin
implementing an RRP plan before
obtaining FRA approval, as the
information protection provisions
proposed in this NPRM would not apply
to any risk reduction information that
was not compiled or collected pursuant
to an FRA-approved RRP plan.
The costs for this proposed regulation
basically stem from the requirements for
each railroad to which this rule would
be applicable to have a fully developed
and implemented RRP that is supported
by an RRP plan. The primary costs come
from the development of an ongoing
risk-based HMP, the ongoing evaluation
of safety performance, and the safety
outreach component of the RRP. In
addition, there are costs for the
development of a technology
implementation plan, the consultation
process, and internal assessments.
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The total cost for this proposed
regulation is $18.6 million,
undiscounted. The discounted costs
over 10 years are $12.7 million, using a
7 percent discount rate, and $15.7
million, using a 3 percent discount rate.
The proposed rule is expected to
improve railroad safety on Class I freight
railroads by ensuring that railroad
accidents/incidents, associated
casualties, other railroad-related
incidents and workplace injuries
decrease through the process of
identifying hazards, mitigating the risks
associated with those hazards, and
decreasing unsafe work practices.
Decreases in unsafe behaviors or
hazards create a decrease in railroadrelated incidents and casualties. The
sections of the proposed RRP regulation
that contribute most to the potential
benefits include improved or more
robust safety cultures, hazard
identification and risk-based hazard
management, allying technology with
risk reduction, systemic evaluation of
program and mitigation strategy
effectiveness, and the protection of
information provision in § 271.11.
FRA has performed a break-even
analysis for this proposed rule. In this
break-even analysis, FRA has estimated
the amount of investment (capital
expenditure) savings or the decreases in
costs stemming from railroad-related
incidents (and their associated
casualties) for Class I railroads that the
proposed rule would need to break
even. FRA has found that only a very
small improvement in either safety or
investment is sufficient to make the
proposed rule break-even. The proposed
rule would break even if railroad
investments improve by less than .006%
(6 thousandths of a percent). FRA
believes that such an improvement
would quite likely result from the
adoption and implementation of RRPs
by Class I railroads, which would lead
to reductions in the (1) number of
railroad accidents/incidents and
employee injuries; (2) other railroad
incidents and related casualties; (3)
employee absenteeism; and (4)
employee discipline actions.
B. Abbreviations
The following abbreviations are used
in this preamble and are collected here
for the convenience of the reader:
CFR Code of Federal Regulations
DOT United States Department of
Transportation
FMP Fatigue Management Plan
FOIA Freedom of Information Act
FR Federal Register
FRA Federal Railroad Administration
HMP Hazard Management Program
NPRM Notice of Proposed Rulemaking
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OST Office of the Secretary, United States
Department of Transportation
PTC Positive Train Control
Pub. L. Public Law
RRP Risk Reduction Program
RSAC Railroad Safety Advisory Committee
RSIA Railroad Safety Improvement Act of
2008, Public Law 110–432, Div. A, 122
Stat. 4848
Secretary Secretary of Transportation
SSP System Safety Program
U.S.C. United States Code
II. Background and History
A. What is a risk reduction program?
Risk reduction is a comprehensive,
system-oriented approach to improving
safety by which an organization
formally identifies and analyzes
applicable hazards and takes action to
mitigate, if not eliminate, the risks
associated with those hazards. It
provides a railroad with a set of
decision making processes and
procedures that can help it plan,
organize, direct, and control its business
activities in a way that enhances safety
and promotes compliance with
regulatory standards. As such, risk
reduction is a form of safety
management system, which is a term
generally referring to a comprehensive,
process-oriented approach to managing
safety throughout an organization.
The principles and processes of risk
reduction are based on those of safety
management systems developed to
assure high safety performance in
various industries, including aviation,
passenger railroads, the nuclear
industry, and other industries with the
potential for catastrophic accidents.
Safety management systems have
evolved through experience to include a
multitude of equally important elements
without which the organization’s safety
does not reliably improve. For ease of
understanding, these elements are
typically grouped into larger descriptive
categories. For safety management
systems, these descriptive categories
include: (1) An organization-wide safety
policy; (2) formal methods for
identifying hazards, and for prioritizing
and mitigating risks associated with
those hazards; (3) data collection, data
analysis, and evaluation processes to
determine the effectiveness of
mitigation strategies and to identify
emerging hazards; and (4) outreach,
education, and promotion of an
improved safety culture within the
organization.
The requirements of the proposed
RRP rule provide a framework for
reducing safety risk. While each railroad
subject to the proposed rule would be
required to develop all required
components, the scope and complexity
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of those components would vary from
one railroad to the next, because of the
railroads’ differing safety needs,
capabilities, and available resources.
Because risk reduction is inherently
scalable, the burdens imposed by the
proposed rule would depend upon the
size of a railroad, the type of operations
the railroad provides, and the strategies
for mitigating risk that the railroad
decides to use.
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B. Passenger Railroads and System
Safety Programs
Risk reduction, as a type of safety
management system, is not a new
concept to FRA. Specifically, FRA has
previously worked with passenger
railroads to implement system safety
programs (SSP), and has published a
separate SSP NPRM for passenger
railroads. See System Safety Program,
77 FR 55372 (proposed Sep. 7, 2012) (to
be codified at 49 CFR part 270). FRA
anticipates that an SSP final rule will be
published before an RRP final rule.
In 1996, FRA issued Emergency Order
No. 20, Notice No. 1 (EO 20), which
required, among other things, commuter
and intercity passenger railroads to
promptly develop interim system safety
plans addressing the safety of operations
that permit passengers to occupy the
leading car in a train.1 See 61 FR 6876,
Feb. 22, 1996. Subsequently, in 1997
APTA and the commuter railroads, in
conjunction with FRA and the U.S.
DOT, developed the ‘‘Manual for the
Development of System Safety Program
Plans for Commuter Railroads,’’ to more
comprehensively address the safety of
these railroad systems. Pursuant to
APTA’s manual, the existing commuter
railroads developed system safety plans,
and a triennial audit process for these
plans began in early 1998 with FRA’s
participation. A majority of commuter
railroads still participate in APTA’s
program.
FRA has also developed a ‘‘Collision
Hazard Analysis Guide’’ to assist
passenger rail operators in conducting
collision hazard assessments.2 See
‘‘Collision Hazard Analysis Guide:
Commuter and Intercity Passenger Rail
Service’’ (2007), FRA, available at
1 FRA issued EO 20 in response to New Jersey
Transit (NJT) and Maryland Rail Commuter
accidents in early 1996.
2 FRA developed the ‘‘Collision Hazard Analysis
Guide: Commuter and Intercity Passenger Rail
Service’’ following a January 2005 accident in
Glendale, CA, in which a Southern California
Regional Rail Authority (Metrolink) commuter train
derailed after striking an abandoned vehicle left on
the tracks. The derailment caused the Metrolink
train to collide with trains on both sides of it, a
Union Pacific Railroad Company (UP) freight train
and another Metrolink train, and resulted in the
death of 11 people.
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https://www.fra.dot.gov/eLib/Details/
L03191. The ‘‘Collision Hazard Analysis
Guide’’ is based both on MIL–STD–882,
discussed below, and the hazard
identification/resolution processes
described in APTA’s ‘‘Manual for the
Development of System Safety Program
Plans for Commuter Railroads.’’ The
‘‘Collision Hazard Analysis Guide’’
provides a ‘‘step-by-step procedure on
how to perform hazard analysis and
how to develop effective mitigation
strategies that will improve passenger
rail safety.’’ See id. at 5. Although the
‘‘Collision Hazard Analysis Guide’’
focuses on passenger rail collisions, the
techniques described in the guide are
also valid for evaluating other hazards
or safety issues related to any type of
operating system. See id. A railroad
subject to the requirements of a final
RRP rule could use the ‘‘Collision
Hazard Analysis Guide’’ as guidance on
how to perform a an acceptable hazard
analysis.
From its experience with the APTA
program and the ‘‘Collision Hazard
Analysis Guide,’’ FRA has gained
substantial knowledge regarding the
best methods for developing,
implementing, and evaluating SSPs for
passenger railroads. This experience is
reflected in a recently-published NPRM,
developed with the assistance of the
Railroad Safety Advisory Committee
(RSAC), that would require passenger
railroads to develop and implement
FRA-approved SSPs.
C. Other Federal Safety Management
System Programs
Several Federal agencies have
established or proposed safety
management system requirements or
guidance for regulated entities. For
example, the Federal Transit
Administration (FTA) has established
regulations at 49 CFR part 659 (Rail
Fixed Guideway Systems; State Safety
Oversight) that implement a
Congressional mandate for a program
requiring State-conducted oversight of
the safety and security of rail fixed
guideway systems that are not regulated
by FRA. See Intermodal Surface
Transportation Efficiency Act of 1991,
Public Law 102–240, sec. 3029, also
codified at 49 U.S.C. 5330; and 60 FR
67034, Dec. 27, 1995.3
The Federal Aviation Administration
(FAA) has also published an NPRM
3 FTA’s part 659 program applies only to rapid
transit systems or portions thereof not subject to
FRA’s regulations. See 49 CFR 659.3 and 659.5.
FTA amended 49 CFR part 659 in April 2005 to
incorporate the experience and insight it had gained
regarding the benefits of and recommended
practices for implementing State safety oversight
requirements. See 70 FR 22562, Apr. 29, 2005.
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proposing to require each certificate
holder operating under 14 CFR part 121
to develop and implement a safety
management system (SMS). See 75 FR
68224, Nov. 5, 2010; and 76 FR 5296,
Jan. 31, 2011. An SMS ‘‘is a
comprehensive, process-oriented
approach to managing safety throughout
the organization.’’ 75 FR 68224, Nov. 5,
2010. An SMS includes: ‘‘an
organization-wide safety policy; formal
methods for identifying hazards,
controlling, and continually assessing
risk; and promotion of safety culture.’’
Id. Under FAA’s proposed rule, an SMS
would have four components: Safety
Policy, Safety Risk Management, Safety
Assurance, and Safety Promotion. Id. at
68225. In addition, the United States
Coast Guard has published an NPRM
proposing an SMS regulation for towing
vessels. See 76 FR 49976, Aug. 11, 2011.
Components similar to those included
in both the FAA’s SMS regulation as
well as the Coast Guard’s regulation are
found in this RRP rule proposed by
FRA.
The U.S. Department of Defense (DoD)
has also set forth guidelines for a system
safety program. In July 1969, DoD
published ‘‘System Safety Program Plan
Requirements’’ (MIL–STD–882). MIL–
STD–882 is DoD’s standard practice for
system safety, with the most recent
version, MIL–STD–882E, published on
May 11, 2012. DoD, MIL–STD–882E,
‘‘Department of Defense Standard
Practice System Safety’’ (May 11, 2012).
MIL–STD–882 is used by many
industries in the U.S., and
internationally, and could be useful to
a railroad (particularly a smaller
railroad with inadequate safety
performance) when trying to determine
which methods to use to comply with
this RRP rule. In fact, MIL–STD–882 is
cited in FRA’s safety regulations for
railroad passenger equipment, 49 CFR
part 238, as an example of a formal
safety methodology to use in complying
with certain analysis requirements in
that rule. See 49 CFR 238.103 and
238.603. Part 238 defines MIL–STD–882
as a standard issued by DoD ‘‘to provide
uniform requirements for developing
and implementing a system safety plan
and program to identify and then
eliminate the hazards of a system or
reduce the associated risk to an
acceptable.’’
D. Risk Reducing FRA Programs
FRA also has established two
voluntary, independent programs that
exemplify the philosophy of risk
reduction: The Confidential Close Call
Reporting System (C3RS) and the Clear
Signal for Action (CSA) program. FRA
has developed these programs in the
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belief that, in addition to process and
technology innovations, human factorsbased solutions can make a significant
contribution to improving safety in the
railroad industry.
The FRA C3RS program includes: (1)
Voluntary confidential reporting of
close-call events by employees; (2) rootcause-analysis problem solving by a
Peer Review Team composed of labor,
management, and FRA; (3)
identification and implementation of
corrective actions; (4) tracking the
results of change; and (5) reporting the
results of change to employees.
Confidential reporting and joint labormanagement-FRA root-cause problem
solving are the most innovative of these
characteristics for the railroad industry.
Demonstration pilot sites for FRA C3RS
are at the Union Pacific Railroad
Company (UP), New Jersey Transit,
Strasburg Railroad, and the National
Railroad Passenger Corporation
(Amtrak). An evaluation of one of these
demonstration pilot sites indicated that
a C3RS program demonstrably resulted
in increased safety.4 See Ranney, J. and
Raslear, T., ‘‘Derailments decrease at a
C3RS site at midterm,’’ FRA Research
Results: RR12–04, April 2012, available
at https://www.fra.dot.gov/eLib/details/
L01321.
FRA has also implemented the CSA
program, another human factors-based
solution shown to improve safety. The
CSA Program includes: (1) Voluntary
peer-to-peer feedback in the work
environment on both safe and risky
behaviors and conditions (data
associated with the program are owned
by labor and not disclosed to
management); (2) labor Steering
Committee root cause analysis and the
development of behavior and conditionrelated corrective actions; (3) Steering
Committee implementation of behaviorrelated corrective actions; (4) joint labormanagement Barrier Removal Team
refining condition-related corrective
actions and implementation; (5) tracking
the results of the change; and (6)
reporting the results of change to
employees. Peer-to-peer feedback on
safe and risky behaviors and conditions,
root cause analysis, and cooperation
between labor and management in
corrective actions are the most
innovative of these characteristics for
the railroad industry. FRA considers the
CSA program ready for broad
implementation across the industry, as
the completion of three demonstration
pilots has demonstrated its applicability
in diverse railroad work settings. One
4 Additional evaluations will be performed for
other demonstration pilot sites as sufficient data
become available.
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demonstration pilot covered Amtrak
baggage handlers; a second covered UP
yard crews; and a third covered UP road
crews. See Coplen, M. Ranney, J. &
Zuschlag, M., ‘‘Promising Evidence of
Impact on Road Safety by Changing Atrisk Behavior Process at Union Pacific,’’
FRA Research Results: RR08–08, June
2008, available at https://
www.fra.dot.gov/eLib/details/L03483;
Coplen, M. Ranney, J., Wu, S. &
Zuschlag, M., ‘‘Safe Practices, Operating
Rule Compliance and Derailment Rates
Improve at Union Pacific Yards with
STEEL Process—A Risk Reduction
Approach to Safety,’’ FRA Research
Results: RR09–08, May 2009, available
at https://www.fra.dot.gov/eLib/details/
L04248. After the completion of these
pilot projects, BNSF Railway Company
(BNSF) elected to participate in a peerto-peer pilot project, and UP elected to
develop and implement a system-wide
peer-to-peer program modeled in part
on the CSA demonstration pilots.
Currently, FRA is funding the
development of low cost program
materials to aid in its distribution
starting with passenger rail.
The C3RS and CSA programs embody
many of the concepts and principles
found in an RRP: Proactive
identification of hazards and risks;
analysis of those hazards and risks; and
implementation of appropriate action to
eliminate or mitigate the hazards and
risks. While FRA does not intend to
require any railroad to implement a
C3RS or CSA program as part of its RRP,
FRA believes that these types of
programs would be useful for a railroad
developing an RRP, and encourages
railroads to include such programs as
part of their RRPs. FRA seeks comment
on the extent to which these programs
might be useful in the development of
an RRP or as a component of an RRP.
III. Statutory Background
A. Rail Safety Improvement Act of 2008
In sec. 103 of the RSIA, Congress
directed the Secretary to issue a
regulation requiring certain railroads to
develop, submit to the Secretary for
review and approval, and implement a
railroad safety risk reduction program.
See 49 U.S.C. 20156. The Secretary has
delegated this responsibility to the FRA
Administrator. See 49 CFR 1.89(oo) (74
FR 26981, Jun. 5, 2009); see also 49
U.S.C. 103(g). The railroads required to
comply with such a regulation include:
(1) Class I railroads;
(2) Railroad carriers with inadequate
safety performance, as determined by
the Secretary; and
(3) Railroad carriers that provide
intercity rail passenger or commuter rail
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passenger transportation (passenger
railroads).
The proposed rule would implement
this railroad safety risk reduction
mandate for Class I freight railroads and
railroads with inadequate safety
performance. See 49 U.S.C. 20156(a)(1).
Generally, these railroads would be
required to assess and manage risk and
develop proactive risk mitigation
strategies to promote safety
improvement. The proposed rule would
also implement the Congressional
mandate permitting a railroad not
required to develop and implement an
RRP to voluntarily submit an RRP plan
meeting the requirements of any final
RRP rule to FRA for review and
approval. See 49 U.S.C. 20156(a)(4). As
proposed, a railroad voluntarily
submitting an RRP plan for FRA
approval would be required to
implement the plan in accordance with
FRA’s requirements and could be
subject to civil penalties for
noncompliance. The proposed rule
would also implement other specific
safety risk reduction program
requirements found in sec. 103, such as
the requirement that a railroad consult
with, employ good faith and use its best
efforts to reach agreement with all of its
directly affected employees (including
any non-profit employee labor
organization representing a class or craft
of directly affected employees) on the
contents of the railroad’s RRP plan.
The proposed rule would also
respond to sec. 109 of the RSIA, which
addresses the protection of information
in railroad safety risk analyses. See 49
U.S.C. 20118. In sec. 109, Congress
specified that certain risk reduction
records obtained by the Secretary are
exempt from the public disclosure
requirements of the Freedom of
Information Act (FOIA). See 49 U.S.C.
20118. Section 109 also directed FRA to
complete a study evaluating whether it
is in the public interest (including
public safety and the legal rights of
persons injured in railroad accidents) to
withhold from discovery or admission
into evidence in a Federal or State court
proceeding for damages involving
personal injury or wrongful death
against a railroad certain risk reduction
information, including a railroad’s
analysis of its safety risks and its
statement of the mitigation measures
with which it will address those risks.
See 49 U.S.C. 20119(a). Based upon
authority granted by Congress in sec.
109, the proposed rule contains
provisions responding to the results of
this study, which found that it is in the
public interest to protect certain risk
reduction information from discovery or
admission into evidence in a Federal or
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State court proceeding for damages. See
49 U.S.C. 20119(b). The study and its
results will be discussed in greater
depth later in this preamble.
B. Related System Safety Rulemaking
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A separate SSP rulemaking, as
discussed above, would implement the
sec. 103 and sec. 109 RSIA mandates for
passenger railroads. See 49 U.S.C.
20156(a). On September 7, 2012, FRA
published an NPRM proposing an SSP
rule in the Federal Register. See 77 FR
55372. Establishing separate safety risk
reduction rules for passenger railroads
and the Class I freight railroads 5 would
allow these rules to account for
significant differences between
passenger and freight operations. For
example, freight railroads may generate
risks uniquely associated with the
transportation of hazardous materials.
The proposed RRP rule can be
specifically tailored to these types of
risks, which are not independently
generated by passenger railroads.
Some overlap would exist between
certain components of the proposed SSP
and RRP rules. Most significantly, the
RRP and SSP rules would contain
essentially identical provisions
implementing the consultation
requirements of sec. 103(g) and
responding to the information
protection study mandated under sec.
109 of the RSIA. There was significant
discussion during the RRP and SSP
RSAC processes on how to implement
these provisions of the RSIA. FRA
worked with the General Passenger
Safety Task Force’s System Safety Task
Group and the RRP Working Group to
receive input regarding how information
protection and the consultation process
should be addressed, with the
understanding that the same language
would be included in both the SSP and
RRP NPRMs for review and comment.
The consultation and information
protection provisions proposed in this
NPRM, therefore, are essentially
identical to those proposed in the 2012
SSP NPRM.
In response to the SSP NPRM, FRA
has received a number of comments
addressing the proposed consultation
and information protection provisions.
While FRA intends to discuss these
comments further as part of the ongoing
RRP and SSP RSAC processes, FRA has
5 There
is only one Class I railroad that also
qualifies as a passenger railroad: Amtrak. Amtrak
would be required to comply with the proposed
requirements of the SSP rule. So long as Amtrak
remains in compliance with the requirements of an
SSP rule, Amtrak would be deemed to be in
compliance with an RRP rule. This same approach
will be taken for any passenger railroad that also
becomes designated as a Class I railroad.
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decided not to respond to the SSP
comments on the consultation and
information protection provisions in
this NPRM. Any comments submitted to
the SSP NPRM regarding these
provisions, however, will be considered
applicable to the RRP NPRM as well and
will be considered before publication of
an RRP final rule. Ultimately, FRA
anticipates that the consultation and
information protection provisions of the
SSP and RRP rules will be essentially
identical.
Furthermore, FRA intends to make
any information protection provision in
a final SSP rule applicable to any
railroad safety risk reduction program
required under chapter II of subtitle B
of title 49, Code of Federal Regulations,
such as an RRP. When Congress granted
FRA authority to issue a rule based
upon the results of the study, it also
specified that any such rule could not
become effective until one year after its
adoption. See 49 U.S.C. 20119(b).
Making an SSP information protection
provision applicable to any RRP
program would allow RRP information
to be protected from use in certain
litigation sooner. This would allow a
railroad subject to the proposed RRP
rule to begin developing its RRP earlier,
without having to wait an entire year for
the information protection provisions to
become effective.
In addition to the proposed
consultation and information protection
sections, some overlap would exist
between various other RRP and SSP
provisions (e.g., certain definitions, the
process for amending plans, etc.). The
requirements in this proposed NPRM
generally follow those in the SSP
NPRM, and do not reflect any comments
FRA has received in response to the SSP
NPRM. FRA recognizes that drafting
proposals on related topics
simultaneously can give the appearance
of overlapping or duplicative
requirements. As these rulemakings
progress, we will work to minimize any
overlapping or duplicative
requirements.
C. Related Fatigue Management Plans
Rulemaking
Section 103(f) of the RSIA states that
an RRP must include a fatigue
management plan meeting certain
requirements. See 49 U.S.C. 20156(d)(2)
and 20156(f). This proposed RRP
rulemaking does not address this
mandate, however, because it is
currently being considered by a separate
rulemaking process.
On December 8, 2011, the RSAC voted
to establish a Fatigue Management Plans
Working Group (FMP Working Group).
The purpose of the FMP Working Group
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10955
is to provide ‘‘advice regarding the
development of implementing
regulations for Fatigue Management
Plans and their deployment under the
Rail Safety Improvement Act of 2008.’’
‘‘Railroad Safety Advisory Committee
Task Statement: Fatigue Management
Plans,’’ Task No.: 11–03, Dec. 8, 2011.
(A copy of this statement will be placed
in the public docket for this RRP
rulemaking.) Specifically, the FMP
Working Group is tasked to: ‘‘review the
mandates and objectives of the [RSIA]
related to the development of Fatigue
Management Plans, determine how
medical conditions that affect alertness
and fatigue will be incorporated into
Fatigue Management Plans, review
available data on existing alertness
strategies, consider the role of
innovative scheduling practices in the
reduction of employee fatigue, and
review the existing data on fatigue
countermeasures.’’ Id.
FRA notes that the RRP Working
Group recommended including a
placeholder in the proposed RRP rule
text that would require a railroad, as
part of its RRP, to develop a fatigue
management plan no later than three
years after the effective date of the final
rule, or three years after commencing
operations, whichever is later. This
placeholder did not contain any
additional substantive requirements,
however, and was intended merely to be
an acknowledgement of the RSIA fatigue
management plan mandate. FRA has
elected to not include this placeholder;
however, because it may create
confusion regarding the separate FMP
Working Group process and the ongoing
fatigue management plans rulemaking.
Rather, FRA will address the
substantive requirements of the fatigue
management plan mandate in the
separate rulemaking that FRA has
initiated. FRA would approve an RRP
plan without the fatigue management
plan component prior to the issuance of
fatigue management final rule, provided
the plan met all other applicable RRP
requirements. Until the fatigue
management plan final rule is effective,
a railroad could use the processes and
procedures in its RRP to address fatiguerelated issues.
IV. Proceedings to Date
A. Advance Notice of Proposed
Rulemaking (ANPRM)
On December 8, 2010, FRA published
an ANPRM soliciting public comment
on how FRA could best develop and
implement a risk reduction regulation
based upon the requirements of the
RSIA. See 75 FR 76345–76351.
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Comments were due by February 7,
2011.
FRA received 11 written comments in
response to the ANPRM from a variety
of entities, including railroads, industry
organizations, non-profit employee
labor organizations, a consulting firm,
and a private citizen.6 Many of the
questions and issues raised by
commenters were subsequently
discussed in depth during the RSAC
process. This NPRM, therefore, will
contain only a very brief overview of the
comments. Written comments submitted
in response to the ANPRM are in the
public docket for this proceeding and
can be viewed and downloaded at
www.regulations.gov.
Many of the ANPRM commenters
identified similar issues or questions.
Two commenters recommended that
FRA develop a performance-based risk
reduction rule, in order to encourage
railroads to find flexible and creative
solutions to safety risks. These
commenters also stressed the
importance of protecting risk reduction
information from disclosure and use in
litigation. Other commenters requested
clarification on the relationship between
risk reduction and system safety, or
expressed concerns related to how a risk
reduction rule would address issues
such as contractors or training
requirements. Commenters also
provided recommendations on how
FRA should identify railroads with
inadequate safety performance. Several
labor organizations also submitted a
joint comment strongly emphasizing the
importance of the sec. 103(g)
consultation requirements. Issues such
as the above were subsequently
discussed at length with both industry
and labor organization representatives
during the RSAC process.
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B. Public Hearings
Following publication of the ANPRM
and close of the comment period, FRA
also held two public hearings that
6 The following 18 entities were signatories to
comments in response to the ANPRM: Amtrak;
Association of American Railroads (AAR);
Association of Railways Museums, Inc. (ARM);
American Public Transportation Association
(APTA); American Short Line and Regional
Railroad Association (ASLRRA); American Train
Dispatchers Association (ATDA); Behavioral
Science Technology (BST); Brotherhood of
Locomotive Engineers and Trainmen (BLET/IBT);
Brotherhood of Maintenance of Way Employees
Division (BMWED/IBT); Brotherhood of Railroad
Signalmen (BRS); Metrolink; New York State
Metropolitan Transportation Authority (NYSMTA);
Patrick J. Coyle (Chemical Facility Security News);
Southern Pennsylvania Transportation Authority
(SEPTA); Transport Workers Union of America
(TWU); Transportation Communications Union
(TCU); Trinity Railway Express; Tourist Railway
Association (TRA); and United Transportation
Union (UTU).
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provided interested persons an
opportunity to discuss the development
of a risk reduction regulation in
response to the ANPRM. Interested
persons were invited to present oral
statements and to proffer information
and views at the hearings. The first
public hearing was held on July 19,
2011 in Chicago, IL, and the second
public hearing was held on July 21,
2011 in Washington, DC. See 76 FR
40320, July 8, 2011. During the hearings,
testimony was given by representatives
of the AAR, ASLRRA, Rail World, Inc.,
and the Teamsters Rail Conference (the
BLET/IBT and BMWED/IBT). As with
the comments in response to the
ANPRM, the hearing testimony focused
almost exclusively on topics that
continued to be discussed during the
RSAC process. Significant topics of
discussion included the following: The
identification of railroads with
inadequate safety performance; the
consultation requirements of sec. 103(g);
the role of contractors within a
railroad’s RRP; the information
protection study mandated by sec. 109;
retention of RRP records; and FRA
review of a railroad’s RRP. Transcripts
of the public hearings are in the public
docket for this proceeding and can be
viewed and downloaded at
www.regulations.gov.
C. Railroad Safety Advisory Committee
(RSAC)
Following the close of the ANPRM
comment period and the public
hearings, FRA decided that additional
input regarding the development of a
risk reduction regulation would be
beneficial. FRA therefore placed the risk
reduction rulemaking into a modified
RSAC process, which discussed many of
the questions and concerns that
appeared in the ANPRM and in
responses thereto.
1. Risk Reduction Program (RRP)
Working Group
FRA proposed Task No. 11–04 to the
RSAC on December 8, 2011. The RSAC
accepted the task, and formed the Risk
Reduction Program (RRP) Working
Group (Working Group) for the purpose
of developing and implementing RRP
under the RSIA. The Working Group is
comprised of members from the
following organizations:
• AAR; 7
• Amtrak;
7 The AAR is comprised of members including
the following entities: BNSF Railway Company
(BNSF); Canadian National Railway Company (CN);
Canadian Pacific Railway (CP); CSX Transportation,
Inc. (CSXT); Iowa Interstate Railroad, Ltd. (IAIS);
Kansas City Southern (KCS); Metra Electric District;
Norfolk Southern Corporation (NS); and UP.
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• APTA;
• ASLRRA;
• BLET;
• BMWED;
• BRS;
• FRA;
• Long Island Rail Road (LIRR);
• Metro-North Commuter Railroad
Company (Metro-North);
• National Association of Railroad
Passengers (NARP);
• National Railroad Construction and
Maintenance Association;
• National Transportation Safety
Board (NTSB);
• SEPTA;
• TRA; and
• UTU.
The Working Group completed its
work after four in-person meetings and
several conference calls. The first
meeting of the Working Group took
place on January 31 and February 1,
2012, in Cambridge, Massachusetts. At
that meeting the group discussed the
appropriate scope of a risk reduction
regulation and heard several
presentations from stakeholders
regarding the requirements of the RSIA
and current risk reduction practices on
railroads. Subsequent meetings were
held in Washington, DC on April 10,
2012; May 16, 2012; and June 13, 2012.
At the April, May, and June meetings,
the group discussed a document entitled
‘‘Recommendations to the
Administrator,’’ which provided FRA
advice to consider in developing a risk
reduction rule. The document was
updated after each meeting to reflect the
Working Group’s discussions.
2. Working Group Tentative Agreement
Vote
At the conclusion of the Working
Group’s last meeting on June 13, 2012,
the Working Group obtained tentative
agreement on the ‘‘Recommendations to
the Administrator’’ document. This
document did not include advice
regarding railroads with inadequate
safety performance, as this was
developed further during subsequent
conference calls. The document was
also not put before the full RSAC for
vote, and therefore does not represent
formal RSAC consensus. FRA utilized
the comments and documents from the
Working Group when developing the
proposed rule text, although it has
streamlined and reorganized suggestions
from the Working Group in order to
make the rule’s requirements as clear as
possible. FRA has also attempted to note
in this NPRM areas in which the
proposed rule text substantively differs
from the Working Group’s suggestions.
Ultimately, however, language
contained in this proposed rule reflects
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the RSIA statutory requirements and the
Working Group’s tentative agreement on
how the requirements should be
applied.
V. Railroads With Inadequate Safety
Performance
As previously discussed, sec. 103 of
the RSIA directs FRA to require
railroads with inadequate safety
performance (as determined by FRA) to
develop and implement an RRP. FRA
discussed potential definitions of
inadequate safety performance during
the April, May, and June 2012 RSAC
Working Group meetings, and also
conducted several conference calls
discussing the issue after the final June
2012 Working Group meeting. These
meetings and conference calls
developed and refined a general
approach to determining inadequate
safety performance, and discussed
several specific concerns of the
ASLRRA, whose member railroads are
those most likely to be affected by FRA’s
approach. For example, participants in
the conference calls expressed concerns
regarding the need for consistent
nationwide application of FRA’s
approach to determining inadequate
safety performance. FRA achieved
tentative agreement on the proposed
approach, but did not seek consensus.
As a result of these discussions and
tentative agreement, FRA developed an
annual process, involving two phases,
for determining whether a railroad’s
safety performance may be inadequate.
This process would only evaluate
railroads that were not already
complying with an SSP or RRP rule,
including voluntarily-compliant
railroads. In the first phase, FRA would
conduct a statistical quantitative
analysis to determine a railroad’s safety
performance index, using the three most
recent full calendar years’ historical
data maintained by FRA. The
quantitative analysis would utilize the
following four factors: (1) Fatalities; (2)
FRA reportable injury/illness rate; (3)
FRA reportable accident/incident rate;
and (4) FRA violation rate. Railroads
that had either a fatality, or that were at
or above the 95th percentile in at least
two of the three other factors (FRA
reportable injury/illness, FRA reportable
accident/incident, or FRA violation
rate), would be further examined in a
qualitative assessment. FRA would
notify the railroads identified for further
examination in a qualitative assessment,
and would give them an opportunity to
comment and provide evidence
explaining why they should or should
not be required to develop an RRP. A
railroad would also be required to
inform its employees that it had
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received the notification from FRA and
that employees could submit
confidential comments on the matter
directly to FRA. For the second phase of
its analysis, FRA would consider the
comments from the railroads, and any
comments from the railroad’s
employees, as well as any other
pertinent evidence, in a qualitative
review of the railroad’s safety
performance. Following the qualitative
review, FRA would notify the affected
railroads regarding whether or not they
must develop an RRP.
Based on Working Group input and
results from the C3RS and CSA projects,
FRA also determined appropriate
timeframes for compliance, and
deadlines for various notices and
submissions. A railroad with inadequate
safety performance would have to
comply with this part 271 for a period
of at least five years, after which it could
petition FRA for removal from the
program. These provisions are discussed
further in the section-by-section
analysis.
During discussions, the RSAC
Working Group advised FRA to allow a
railroad with inadequate safety
performance to choose to establish
either an RRP in compliance with this
proposed part 271 or an SSP in
compliance with proposed part 270. For
reasons discussed further in the sectionby-section analysis for § 271.13, FRA
has not included this suggestion in the
NPRM, but could ultimately include it
in a final rule.
VI. Risk Reduction Information
Protection
Section 109 of the RSIA (codified at
49 U.S.C. 20118–20119) authorizes FRA
to issue a rule protecting risk analysis
information generated by railroads.
These provisions would apply to
information generated by passenger
railroads pursuant to the proposed
system safety rulemaking and to any
railroad safety risk reduction programs
required by FRA for Class I railroads
and railroads with inadequate safety
performance.
As previously discussed, the
information protection provisions
proposed in this NPRM are essentially
identical to provisions in the proposed
SSP rule, as there was significant
discussion during the SSP and RRP
RSAC processes on how to implement
this provision of the RSIA. FRA worked
with the System Safety Task Group and
the Risk Reduction Program Working
Group to receive input regarding how
information protection should be
addressed, with the understanding that
the same language would be included in
both the SSP and RRP NPRMs for
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10957
review and comment. While the
language proposed in this NPRM does
not respond to comments already
received in response to the SSP NPRM,
FRA will consider comments submitted
to both the SSP and RRP NPRMs
regarding the information protection
provisions when developing an RRP
final rule.
A. Exemption From Freedom of
Information Act Disclosure
In sec. 109 of the RSIA (codified at 49
U.S.C. 20118–20119), Congress
determined that for risk reduction
programs to be effective, the risk
analyses must be shielded from
production in response to Freedom of
Information Act (FOIA) requests. See 49
U.S.C. 20118. FOIA is a Federal statute
establishing certain requirements for the
public disclosure of records held by
Federal agencies. See 5 U.S.C. 552.
Formal rules for making FOIA requests
to DOT agencies are set forth in 49 CFR
part 7. Generally, FOIA requires a
Federal agency to make most records
available upon request, unless a record
is protected from mandatory disclosure
by one of nine exemptions. One of those
exemptions, known as Exemption 3,
applies to records that are specifically
exempted from disclosure by statute, if
the statute requires that matters be
withheld from the public in such a
manner as to leave no discretion on the
issue or establishes particular criteria
for withholding or refers to particular
types of matters to be withheld. See 5
U.S.C. 552(b)(3) and 49 CFR 7.13(c)(3).8
Section 109(a) of the RSIA specifically
provides that a record obtained by FRA
pursuant to a provision, regulation, or
order related to a risk reduction program
or pilot program is exempt from
disclosure under FOIA. The term
‘‘record’’ includes, but is not limited to,
‘‘a railroad carrier’s analysis of its safety
risks and its statement of the mitigation
measures it has identified with which to
address those risks.’’ Id. This FOIA
exemption would also apply to records
made available to FRA for inspection or
copying pursuant to a risk reduction
program or pilot program. Section
109(c) also gives FRA the discretion to
prohibit the public disclosure of risk
analyses or risk mitigation analyses
obtained under other FRA regulations if
FRA determines that the prohibition of
8 In 2009, Congress amended 5 U.S.C. 552(b)(3) to
require Exemption 3 statutes to specifically cite to
sec. 552(b)(3). See OPEN FOIA Act of 2009, Public
Law 111–83, 123 Stat. 2142, 2184 (Oct. 28, 2009).
Because this requirement applies only to statutes
enacted after October 29, 2009, however, it does not
apply to section 109 of the RSIA, which was
enacted in October of 2008.
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public disclosure is necessary to
promote public safety.
FRA believes that sec. 109 of the RSIA
qualifies as an Exemption 3 statute
under FOIA. FRA therefore believes that
railroad risk reduction records in its
possession would generally be
exempted from mandatory disclosure
under FOIA, unless one of two
exceptions provided by the RSIA would
apply. See 49 U.S.C. 20118(a)–(b). The
first exception permits disclosure when
it is necessary to enforce or carry out
any Federal law. The second exception
permits disclosure when a record is
comprised of facts otherwise available
to the public and when FRA, in its
discretion, has determined that
disclosure would be consistent with the
confidentiality needed for a risk
reduction program or pilot program.
B. Discovery and Other Use of Risk
Analysis Information in Litigation
1. The RSIA Mandate
The RSIA also addressed the
disclosure and use of risk analysis
information in litigation. Section 109
directed FRA to conduct a study to
determine whether it was in the public
interest to withhold from discovery or
admission into evidence in a Federal or
State court proceeding for damages
involving personal injury or wrongful
death against a carrier any information
(including a railroad’s analysis of its
safety risks and its statement of the
mitigation measures with which it will
address those risks) compiled or
collected for the purpose of evaluating,
planning, or implementing a risk
reduction program. See 49 U.S.C.
20119(a). In conducting this study, the
RSIA required FRA to solicit input from
railroads, railroad non-profit employee
labor organizations, railroad accident
victims and their families, and the
general public. See id. The RSIA also
states that upon completion of the
study, if in the public interest, FRA may
prescribe a rule to address the results of
the study (i.e., a rule to protect risk
analysis information from disclosure
during litigation). See 49 U.S.C.
20119(b). The RSIA prohibits any such
rule from becoming effective until one
year after its adoption. See id.
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2. The Study and Its Conclusions
FRA contracted with a law firm, Baker
Botts L.L.P., to conduct the study on
FRA’s behalf. Various documents
related to the study are available for
review in public docket number FRA–
2011–0025, which can be accessed
online at www.regulations.gov. As a first
step, the contracted law firm prepared a
comprehensive report identifying and
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evaluating other Federal safety programs
that protect risk reduction information
from use in litigation. See ‘‘Report on
Federal Safety Programs and Legal
Protections for Safety-Related
Information,’’ FRA, docket no. FRA–
2011–0025–0002, April 14, 2011. Next,
as required by sec. 109 of the RSIA, FRA
published a Federal Register notice
seeking public comment on the issue of
whether it would be in the public
interest to protect certain railroad risk
reduction information from use in
litigation. See 76 FR 26682, May 9,
2011. Comments received in response to
this notice may be viewed in the public
docket.
On October 21, 2011, the contracted
law firm produced a final report on the
study. See ‘‘Study of Existing Legal
Protections for Safety-Related
Information and Analysis of
Considerations For and Against
Protecting Railroad Safety Risk
Reduction Program Information’’
(Study), FRA, docket no. FRA–2011–
0025–0031, Oct. 21, 2011. The final
report contained analyses of other
Federal programs that protect similar
risk reduction data, the public
comments submitted to the docket, and
whether it would be in the public
interest, including the interests of
public safety and the legal rights of
persons injured in railroad accidents, to
protect railroad risk reduction
information from disclosure during
litigation. The final report concluded
that it would be within FRA’s authority
and in the public interest for FRA to
promulgate a regulation protecting
certain risk analysis information held by
the railroads from discovery and use in
litigation and makes recommendations
for the drafting and structuring of such
a regulation. See id. at 63–64.
3. FRA’s Proposal
In response to the final study report,
this NPRM is proposing to protect any
information compiled or collected
solely for the purpose of developing,
implementing or evaluating an RRP
from discovery, admission into
evidence, or consideration for other
purposes in a Federal or State court
proceeding for damages involving
personal injury, wrongful death, and
property damage. The information
protected would include a railroad’s
identification of its safety hazards,
analysis of its safety risks, and its
statement of the mitigation measures
with which it would address those risks
and could be in the following forms or
other forms: Plans, reports, documents,
surveys, schedules, lists, or data.
Additional specifics regarding this
proposal will be discussed in the
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section-by-section analysis of this
NPRM.
VII. RRP Plan Consultation
Requirements
Section 103(g)(1) of the RSIA states
that a railroad required to establish a
safety risk reduction program must
‘‘consult with, employ good faith and
use its best efforts to reach agreement
with, all of its directly affected
employees, including any non-profit
employee labor organization
representing a class or craft of directly
affected employees of the railroad
carrier, on the contents of the safety risk
reduction program.’’ 49 U.S.C.
20156(g)(1). Section 103(g)(2) of the
RSIA further provides that if a ‘‘railroad
carrier and its directly affected
employees, including any nonprofit
employee labor organization
representing a class or craft of directly
affected employees of the railroad
carrier, cannot reach consensus on the
proposed contents of the plan, then
directly affected employees and such
organizations may file a statement with
the Secretary explaining their views on
the plan on which consensus was not
reached.’’ 49 U.S.C. 20156(g)(2). The
RSIA requires FRA to consider these
views during review and approval of a
railroad’s RRP plan.
FRA is proposing to implement this
mandate by requiring each railroad
required to establish an RRP to consult
with its directly affected employees
(using good faith and best efforts) on the
contents of its RRP plan. A railroad
would have to include a consultation
statement in its submitted plan
describing how it consulted with its
employees. If a railroad and its
employees were not able to reach
consensus, directly affected employees
could file a statement with FRA
describing their views on the plan.
Additional specifics regarding this
proposal are discussed in the sectionby-section analysis of this NPRM for
proposed §§ 271.207 and 271.209.
As with this NPRM’s information
protection provisions, the proposed
language is essentially identical to
provisions proposed in the 2012 SSP
NPRM, since there was significant
discussion during the SSP and RRP
RSAC processes on how to implement
this provision of the RSIA. FRA worked
with the System Safety Task Group to
receive input regarding how the
consultation process should be
addressed, with the understanding that
the same language would be included in
both the SSP and RRP NPRMs for
review and comment. While the
language proposed in this NPRM does
not respond to comments already
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received in response to the SSP NPRM,
FRA will consider comments submitted
to both the SSP and RRP NPRMs
regarding consultation requirements
when developing an RRP final rule.
VIII. Section-by-Section Analysis
FRA proposes to add a new part 271
to chapter 49 of the CFR. Part 271 would
satisfy the RSIA requirements regarding
safety risk reduction programs for Class
I railroads and railroads with
inadequate safety performance. See 49
U.S.C. 20156(a)(1). Part 271 would also
protect certain information compiled or
collected pursuant to a safety risk
reduction program from admission into
evidence or discovery during court
proceedings for damages. See 49 U.S.C.
20119.
The proposed rule would require a
risk reduction program that is a
somewhat streamlined version of a
safety management system. To adhere as
closely as possible to the requirements
of the RSIA, FRA has not proposed to
include a number of program and plan
components that are common to many
safety management systems. For
example, FRA is not proposing to
include a requirement for a description
of the railroad management and
organizational structure (including
charts or other visual representations),
but instead asks for a less specific
system description. The RRP plan is
also not required to contain a
description of the processes and
procedures used for maintenance and
repair of infrastructure and equipment,
rules compliance and procedures
review, workplace safety, workplace
safety assurance, or public safety
outreach. FRA is also not proposing to
require an RRP to establish processes
ensuring that safety concerns are
addressed during the procurement
process. As additional examples, a full
safety management system would also
require: (1) Development and
implementation of processes to manage
emergencies; (2) processes and
procedures for the railroad to manage
changes that have a significant effect on
railroad safety; (3) processes and
permissions for making configuration
changes to the railroad; and (4) safety
certification prior to initiation of
operations or implementation of major
projects. The proposed RRP rule does
not currently include such
requirements. FRA is specifically
seeking public comments regarding
whether any or all of these elements
should be considered essential in order
for RRP to function effectively, and
requirements for such additional
elements may be included in the final
rule.
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The proposed rule contains various
filing and communication requirements.
FRA is generally requesting public
comment on whether any provision
imposing a filing or communication
requirement should permit a railroad to
comply with that requirement
electronically.
Subpart A—General
Subpart A of the proposed rule would
contain general provisions, including a
formal statement of the rule’s purpose
and scope, and provisions limiting the
discovery and admissibility of certain
RRP information.
Section 271.1—Purpose and Scope
Proposed § 271.1 would set forth the
purpose and scope of the proposed rule.
Paragraph (a) would state that the
purpose of this part is to improve
railroad safety through structured,
proactive processes and procedures
developed and implemented by
railroads. The proposed rule would
require each affected railroad to
establish an RRP that systematically
evaluates railroad safety hazards on its
system and manages the risks generated
by those hazards in order to reduce the
number and rates of railroad accidents/
incidents, injuries, and fatalities. The
proposed rule would not require an RRP
to address every safety hazard on a
railroad’s system. For example, rather
than identifying every safety hazard on
its system, a large railroad could take a
more focused and project-specific view
of safety hazard identification.
Paragraph (b) would state that the
proposed rule prescribes minimum
Federal safety standards for the
preparation, adoption, and
implementation of RRPs. A railroad
would not be restricted from adopting
and enforcing additional or more
stringent requirements that are not
inconsistent with a rule arising from
this proposed rule.
Paragraph (c) would state that the
proposed rule protects information
generated solely for the purpose of
developing, implementing, or evaluating
an RRP. FRA may decide not to include
this provision in the final rule if an SSP
final rule is published significantly
before an RRP final rule, so that the SSP
information protection provision could
be made applicable to RRPs.
Paragraph (d) would contain a
clarifying statement indicating that
RRPs are not intended to address certain
areas of employee safety. While FRA is
always concerned with the safety of
railroad employees performing their
duties, employee safety in maintenance
and servicing areas generally falls
within the jurisdiction of the United
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10959
States Department of Labor’s
Occupational Safety and Health
Administration (OSHA). It is not FRA’s
intent in this rule to displace OSHA’s
jurisdiction with regard to the safety of
employees while performing
inspections, tests, and maintenance,
except where FRA has already
addressed workplace safety issues, such
as blue signal protection in 49 CFR part
218. Similar provisions are found in
other rules, clarifying that FRA does not
intend to displace OSHA’s jurisdiction
over certain subject matters. See, e.g., 49
CFR 238.107(c). FRA requests public
comment on whether this statement
clearly indicates the relationship
between RRPs and OSHA’s jurisdiction.
Similarly, while FRA is concerned
with environmental damage that could
result from the violation of Federal
railroad safety laws and regulations,
FRA does not intend this rule to address
environmental hazards and risks that
are unrelated to railroad safety and that
would fall within the jurisdiction of the
Environmental Protection Agency
(EPA). For example, FRA would not
expect a railroad’s RRP to address
environmental hazards regarding
particulate emissions from locomotives
that otherwise comply with FRA’s safety
regulations. FRA seeks public comment
on whether it is necessary for this
section to contain a clarifying statement
regarding any such subject matter that
this proposed part may affect, whether
potentially implicating the jurisdiction
of OSHA, EPA, or another agency of the
Federal government.
Section 271.3—Application
The RSIA directs FRA to require each
Class I railroad, railroad carrier that has
inadequate safety performance, and
railroad that provides intercity rail
passenger or commuter rail passenger
transportation to establish a railroad
safety risk reduction program. See 49
U.S.C. 20156(a)(1). This proposed rule
sets forth requirements related to a
railroad safety risk reduction program
for Class I freight railroads and railroads
with inadequate safety performance.
Safety risk reduction programs for
railroads that provide intercity rail
passenger or commuter rail passenger
transportation are being addressed in a
separate SSP rulemaking.
Paragraph (a) would state that, except
as provided in paragraph (b) of this
section, this part applies to Class I
railroads, railroads determined to have
inadequate safety performance pursuant
to proposed § 271.13, and railroads that
voluntarily comply with the part 271
requirements pursuant to § 271.15
(voluntarily-compliant railroads).
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FRA proposes to exempt certain
railroads from the proposed rule’s
applicability. The applicability
exemptions proposed in paragraphs
(b)(1) through (4) are general
exemptions found in many FRA
regulations. The first exemption,
proposed in paragraph (b)(1), would
apply to rapid transit operations in an
urban area that are not connected to the
general railroad system of
transportation. Paragraph (b)(1) is
intended merely to clarify the
circumstances under which rapid transit
operations would not be subject to FRA
jurisdiction under the proposed rule. It
should be noted, however, that some
rapid transit type operations, given their
links to the general system, are within
FRA’s jurisdiction, and FRA would
specifically intend for part 271 to apply
to those rapid transit type operations.
Paragraph (b)(2) proposes an
exemption for operations commonly
described as tourist, scenic, historic, or
excursion service, whether on or off the
general railroad system of
transportation. Tourist, scenic, historic,
or excursion rail operations are defined
by proposed § 271.5, and this exemption
is consistent with other FRA
regulations. See 49 CFR 227.3(b)(4),
232.3(c)(5), 238.3(c)(3) and 239.3(b)(3).
FRA has also proposed to exempt tourist
operations, whether on or off the general
railroad system of transportation, from
the proposed SSP rule. It should be
noted, however, that this exemption
would not cover any freight operations
conducted by a railroad that also
performed tourist operations. A railroad
with both freight and tourist operations
may be required to establish an RRP
covering the freight operations if the
railroad is determined to have
inadequate safety performance. The
railroad’s tourist operations would also
have to be addressed by the RRP to the
extent that they created hazards
affecting the freight operations. If the
tourist operations are conducted by a
separate entity, they would have to be
addressed by a railroad’s RRP as
required by proposed § 271.101(d),
which would require a railroad to
ensure that any persons utilizing or
providing safety-sensitive services
support and participate in the railroad’s
RRP. FRA specifically requests public
comment on this exemption and how an
RRP final rule should address tourist
operations that may create hazards for
freight operations.
Paragraph (b)(3) would clarify that the
requirements of the proposed rule do
not apply to the operation of private
passenger train cars, including business
or office cars and circus train cars.
While FRA believes that a private
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passenger car operation should be held
to the same basic level of safety as other
passenger train operations, such
operations were not specifically
identified in the RSIA mandate, and
FRA is taking into account the potential
burden that would be imposed by
requiring private passenger car owners
and operators to conform to the
requirements of this part. FRA is also
proposing to exempt private passenger
train cars from the SSP rule, which
would implement the RSIA mandate for
passenger railroads.
Paragraph (b)(4) proposes an
exemption for railroads that operate
only on track inside an installation that
is not part of the general railroad system
of transportation (i.e., plant railroads, as
defined in § 271.5). Plant railroads are
typified by operations such as those in
steel mills that do not go beyond the
plant’s boundaries and that do not
involve the switching of rail cars for
entities other than themselves.
Generally, safety issues on a plant
railroad are factually unique, limited to
a single operation, and can be addressed
with targeted safety measures. An RRP
is designed to address systemic safety
issues on a railroad’s operations through
proactive processes and procedures.
Due to the difference in the type of
safety issues plant railroads typically
encounter and the complexity of safety
issues an RRP is designed to address,
plant railroads are exempt from
implementing an RRP.
Paragraph (b)(5) would exempt from
the proposed RRP rule any commuter or
intercity passenger railroad that is
already subject to an FRA SSP rule. As
RRP and SSP rules would both
implement the RSIA mandate for
railroad safety risk reduction programs,
FRA believes that requiring a commuter
or intercity passenger railroad to
maintain two separate safety risk
reduction programs would be an
unnecessary and duplicative burden.
FRA is therefore proposing to exempt
commuter or intercity passenger
railroads required to comply with the
SSP rule from the RRP rule’s
requirements. Railroads should note
that this proposal would not exempt
freight operations conducted by another
railroad on the same track as a
commuter or intercity passenger
railroad. A railroad with both freight
and passenger operations would be
required to account for its freight
operations in its SSP. FRA is
specifically requesting public comment
on this proposal and may elect in the
final rule to require railroads with both
freight and passenger operations to
implement both an RRP and SSP, or to
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implement an RRP accounting for
passenger operations.
Section 271.5—Definitions
Proposed § 271.5 would contain a set
of definitions clarifying the meaning of
important terms used in the proposed
rule. The proposed definitions are
carefully worded in an attempt to
minimize potential misinterpretation of
the regulations. FRA requests public
comment regarding the terms defined in
this section and whether other terms
should also be defined.
‘‘Accident/incident’’ means (1) any
impact between railroad on-track
equipment and a highway user
(including automobiles, buses, trucks,
motorcycles, bicycles, farm vehicles,
pedestrians, and all other modes of
surface transportation motorized and
un-motorized, at a highway-rail grade
crossing); (2) any collision, derailment,
fire, explosion, act of God, or other
event involving operation of railroad ontrack equipment (standing or moving)
that results in reportable damages
greater than the current reporting
threshold identified in 49 CFR part 225
to railroad on-track equipment, signals,
track, track structures, and roadbed; and
(3) each death, injury, or occupational
illness that is a new case and meets the
general reporting criteria listed in 49
CFR 225.19(d)(1) through (6) if any
event or exposure arising from the
operation of a railroad is a discernible
cause of a significant aggravation to a
pre-existing injury or illness. Regarding
item (3), the event or exposure arising
from the operation of a railroad need
only be one of the discernible causes; it
need not be the sole or predominant
cause. The proposed definition is
identical to the definition for ‘‘accident/
incident’’ contained in FRA’s accident/
incident reporting regulations at 49 CFR
part 225.
‘‘Administrator’’ means the
Administrator of the Federal Railroad
Administration or his or her delegate.
‘‘FRA’’ means the Federal Railroad
Administration.
‘‘FRA Associate Administrator’’
means the Associate Administrator for
Railroad Safety/Chief Safety Officer,
Federal Railroad Administration, or the
Associate Administrator’s delegate.
‘‘Fully implemented’’ means that all
RRP elements, as described in an RRP
plan, have been established and applied
to the safety management of the
railroad.
‘‘Hazard’’ means any real or potential
condition that can cause injury, illness,
or death; damage to or loss of a system,
equipment, or property; or damage to
the environment. Because the proposed
definition would be limited to hazards
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identified in a railroad’s risk-based
hazard analysis, discussed in proposed
§ 271.103, this would include hazards
related to ‘‘infrastructure; equipment;
employee levels and work schedules;
operating rules and practices;
management structure; employee
training; and other areas impacting
railroad safety that are not covered by
railroad safety laws or regulations or
other Federal laws or regulations.’’ FRA
does not intend this definition to
include hazards that are completely
unrelated to railroad safety and that
would fall exclusively under the
jurisdiction of either OSHA or the EPA.
The proposed definition is identical to
the SSP NPRM’s proposed definition for
‘‘hazard’’ and is based on an existing
definition of the term found in 49 CFR
part 659, which contains FTA’s
regulations regarding system safety
program plans. See 49 CFR 659.5. The
RSAC RRP Working Group advised FRA
to specify that the ‘‘system’’ referenced
by the definition of ‘‘hazard’’ was a
‘‘safety system.’’ FRA decided not to
follow this suggestion, however, in
order to maintain consistency between
the proposed RRP and SSP rules. FRA
also believes that the descriptor ‘‘safety’’
would improperly limit the scope of the
proposed definition. An RRP should
address hazards that could result in
damage or loss to any system related to
the railroad’s operations, and not merely
safety systems.
‘‘Inadequate safety performance’’
means safety performance that FRA has
determined to be inadequate based on
the analysis described in proposed
§ 271.13.
‘‘Mitigation strategy’’ means an action
or program to reduce or eliminate the
risk generated by a hazard.
‘‘Person’’ means an entity of any type
covered under 1 U.S.C. 1, including, but
not limited to, the following: A railroad;
a manager, supervisor, official, or other
employee or agent of a railroad; any
owner, manufacturer, lessor, or lessee of
railroad equipment, track, or facilities;
any independent contractor or
subcontractor providing goods or
services to a railroad; and any employee
of such owner, manufacturer, lessor,
lessee, or independent contractor or
subcontractor.
‘‘Pilot project’’ means a limited scope
project used to determine whether
quantitative proof suggests that a
particular system or mitigation strategy
has potential to succeed on a full-scale
basis.
‘‘Plant railroad’’ means a type of
operation that has traditionally been
excluded from the application of FRA
regulations because it is not part of the
general railroad system of
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transportation. Under § 271.3, FRA has
chosen to exempt plant railroads, as
defined in this proposed section, from
the proposed rule. In the past, FRA has
not defined the term ‘‘plant railroad’’ in
other regulations that it has issued
because FRA assumed that its
‘‘Statement of Agency Policy
Concerning Enforcement of the Federal
Railroad Safety Laws, The Extent and
Exercise of FRA’s Safety Jurisdiction’’,
49 CFR part 209, Appendix A (FRA’s
Policy Statement or the Policy
Statement), provided sufficient
clarification as to the definition of that
term. However, it has come to FRA’s
attention that certain rail operations
believed that they met the
characteristics of a plant railroad, as set
forth in the Policy Statement, when, in
fact, their rail operations were part of
the general railroad system of
transportation (general system) and
therefore did not meet the definition of
a plant railroad. FRA would like to
avoid any confusion as to what types of
rail operations qualify as plant railroads.
FRA would also like to save interested
persons the time and effort needed to
cross-reference and review FRA’s Policy
Statement to determine whether a
certain operation qualifies as a plant
railroad. Consequently, FRA has
decided to define the term ‘‘plant
railroad’’ in this part 271.
The proposed definition would clarify
that when an entity operates a
locomotive to move rail cars in service
for other entities, rather than solely for
its own purposes or industrial
processes, the services become public in
nature. Such public services represent
the interchange of goods, which
characterizes operation on the general
system. As a result, even if a plant
railroad moves rail cars for entities other
than itself solely on its property, the rail
operations will likely be subject to
FRA’s safety jurisdiction because those
rail operations bring plant trackage into
the general system.
The proposed definition of the term
‘‘plant railroad’’ is consistent with
FRA’s longstanding policy that it will
exercise its safety jurisdiction over a rail
operation that moves rail cars for
entities other than itself because those
movements bring the track over which
the entity is operating into the general
system. See 49 CFR part 209, Appendix
A. Indeed, FRA’s Policy Statement
provides that ‘‘operations by the plant
railroad indicating it [i]s moving cars on
. . . trackage for other than its own
purposes (e.g., moving cars to
neighboring industries for hire)’’ brings
plant track into the general system and
thereby subjects it to FRA’s safety
jurisdiction. 49 CFR part 209, Appendix
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A. Additionally, this interpretation of
the term ‘‘plant railroad’’ has been
upheld in litigation before the U.S.
Court of Appeals for the Fifth Circuit.
See Port of Shreveport-Bossier v.
Federal Railroad Administration, No.
10–60324 (5th Cir. 2011) (unpublished
per curium opinion).
‘‘Positive train control’’ means a
system designed to prevent train-to-train
collisions, overspeed derailments,
incursions into established work zone
limits, and the movement of a train
through a switch left in the wrong
position, as described in subpart I of 49
CFR part 236.
‘‘Railroad’’ means: (1) Any form of
non-highway ground transportation that
runs on rails or electromagnetic
guideways, including—
(i) Commuter or other short-haul rail
passenger service in a metropolitan or
suburban area and commuter railroad
service that was operated by the
Consolidated Rail Corporation on
January 1, 1979; and
(ii) High speed ground transportation
systems that connect metropolitan areas,
without regard to whether those systems
use new technologies not associated
with traditional railroads, but does not
include rapid transit operations in an
urban area that are not connected to the
general railroad system of
transportation; and
(2) A person or organization that
provides railroad transportation,
whether directly or by contracting out
operation of the railroad to another
person.
The definition of ‘‘railroad’’ is based
upon 49 U.S.C. 20102(1) and (2), and
encompasses any person providing
railroad transportation directly or
indirectly, including a commuter rail
authority that provides railroad
transportation by contracting out the
operation of the railroad to another
person, as well as any form of nonhighway ground transportation that runs
on rails or electromagnetic guideways,
but excludes urban rapid transit not
connected to the general system.
‘‘Risk’’ means the combination of the
probability (or frequency of occurrence)
and the consequence (or severity) of a
hazard.
‘‘Risk-based HMP’’ means a risk-based
hazard management program.
‘‘Risk reduction’’ means the formal,
top-down, organization-wide approach
to managing safety risk and assuring the
effectiveness of safety risk mitigation
strategies. It includes systematic
procedures, practices, and policies for
the management of safety risk.
‘‘RRP’’ means a Risk Reduction
Program.
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‘‘RRP plan’’ means a Risk Reduction
Program plan.
‘‘Safety culture’’ means the shared
values, actions, and behaviors that
demonstrate a commitment to safety
over competing goals and demands.
FRA is proposing this definition
because the RSIA requires a railroad’s
RRP to address safety culture. See 49
U.S.C. 20156(c). Because there was
significant discussion in the RRP
Working Group as to whether this
definition was needed, however, FRA
specifically requests public comment on
the necessity and content of the
proposed definition.
The proposed ‘‘safety culture’’
definition was discussed in the sectionby-section analysis of the SSP NPRM.
See 77 FR 55382. This definition is
based on a research paper published by
the DOT Safety Council. See U.S. Dep’t
of Transp., Safety Council, ‘‘Safety
Culture: A Significant Driver Affecting
Safety in Transportation 2’’ (2011),
available at https://safetycouncil.dot.gov/
publications/safety-research-paper.pdf.
The DOT Safety Council developed this
definition after extensive review of
definitions used in a wide range of
industries and organizations over the
past two decades.
FRA acknowledges that this proposed
definition is different than the one
recommended by the RRP Working
Group, and that railroads may have a
different understanding of what
constitutes safety culture. During RRP
Working Group discussions, for
example, some participants expressed
the concern that the language ‘‘over
competing goals and demands’’ would
require a railroad to make safety the
ultimate priority to the exclusion of all
other concerns, without providing
flexibility for a railroad to balance the
concerns of profit and efficiency. FRA
believes it is important, however, to
utilize in this rule a definition that has
been formulated by the DOT Safety
Council. Furthermore, the proposed
definition would not require a railroad
to always prioritize safety concerns over
competing goals and demands (i.e., it
would not require a railroad to have a
perfect safety culture). Rather, the
definition merely expresses how a safety
culture can be evaluated by measuring
the extent to which a railroad
emphasizes safety over competing goals
and demands, without imposing any
such requirement.
‘‘Safety performance’’ means a
realized or actual safety
accomplishment relative to stated safety
objectives.
‘‘Safety outreach’’ means the
communication of safety information to
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support the implementation of an RRP
throughout a railroad.
‘‘Senior management’’ means
personnel at the highest level of a
railroad’s management who are
responsible for making major policy
decisions and long-term business plans
regarding the operation of the railroad.
‘‘STB’’ means the Surface
Transportation Board of the United
States.
‘‘Tourist, scenic, historic, or excursion
operations’’ means railroad operations
that carry passengers, often using
antiquated equipment, with the
conveyance of the passengers to a
particular destination not being the
principal purpose. Train movements of
new passenger equipment for
demonstration purposes are not tourist,
scenic, historic, or excursion operations.
This definition is consistent with FRA’s
other regulations. See 49 CFR 238.5 and
239.5.
The RSAC RRP Working Group
recommended including definitions for
the following terms: safety performance
index and safety performance threshold.
FRA determined that these definitions
did not provide any additional clarity
and were unnecessary. FRA requests
public comment regarding whether any
of these definitions or any other
definitions should be added to the final
rule.
Section 271.7—Waivers
Proposed § 271.7 would explain the
process for requesting a waiver from a
provision of the rule. FRA has
historically entertained waiver petitions
from parties affected by an FRA
regulation. In reviewing such requests,
FRA conducts investigations to
determine if a deviation from the
general regulatory criteria is in the
public interest and can be made without
compromising or diminishing railroad
safety.
The rules governing the FRA waiver
process are found in 49 CFR part 211.
In general, these rules state that after a
petition for a waiver is received by FRA,
a notice of the waiver request is
published in the Federal Register, an
opportunity for public comment is
provided, and an opportunity for a
hearing is afforded the petitioning or
other interested party. After reviewing
information from the petitioning party
and others, FRA would grant or deny
the petition. In certain circumstances,
conditions may be imposed on the grant
of a waiver if FRA concludes that the
conditions are necessary to assure safety
or if they are in the public interest, or
both.
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Section 271.9—Penalties and
Responsibility for Compliance
Proposed § 271.9 would contain
provisions regarding the proposed
penalties for failure to comply with the
proposed rule and the responsibility for
compliance.
Paragraph (a) would identify the civil
penalties that FRA may impose upon
any person that violates or causes a
violation of any requirement of the
proposed rule. These penalties would be
authorized by 49 U.S.C. 20156(h),
21301, 21302, and 21304. The proposed
penalty provision parallels penalty
provisions included in numerous other
safety regulations issued by FRA.
Essentially, any person that violates any
requirement of the rule arising from this
rulemaking or causes the violation of
any such requirement would be subject
to a civil penalty of at least $650 and not
more than $25,000 per violation. Civil
penalties would be assessed against
individuals only for willful violations.
Where a grossly negligent violation or a
pattern of repeated violations creates an
imminent hazard of death or injury to
individuals, or causes death or injury, a
penalty not to exceed $105,000 per
violation could be assessed. In addition,
each day a violation continues would
constitute a separate offense. Maximum
penalties of $25,000 and $105,000 are
required by the Federal Civil Penalties
Inflation Adjustment Act of 1990, Public
Law 101–410, 28 U.S.C. 2461, note, as
amended by the Debt Collection
Improvement Act of 1996, Public Law
104–134, 110 Stat. 1321–373 (April 26,
1996), which requires each agency to
regularly adjust certain civil monetary
penalties in an effort to maintain their
remedial impact and promote
compliance with the law. Furthermore,
a person could be subject to criminal
penalties under 49 U.S.C. 21311 for
knowingly and willfully falsifying
reports required by these regulations.
FRA believes that the inclusion of
penalty provisions for the failure to
comply with the regulations is
important in ensuring that compliance
is achieved. The proposed rule does not
include a schedule of civil penalties, but
a final rule would contain such a
schedule.
Proposed paragraph (b) would clarify
that any person, including but not
limited to a railroad, contractor, or
subcontractor for a railroad, or a local or
state governmental entity that performs
any function covered by the proposed
rule, must perform that function in
accordance with the requirements of
part 271.
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Section 271.11—Discovery and
Admission as Evidence of Certain
Information
As discussed in section VI of the
preamble, above, an RSIA-mandated
study by FRA concluded that it is in the
public interest to protect certain
information generated by railroads from
discovery or admission into evidence in
litigation. Section 109 of the RSIA
provides FRA with the authority to
promulgate a regulation if FRA
determines that it is in the public
interest, including public safety and the
legal rights of persons injured in
railroad accidents, to prescribe a rule
that addresses the results of the study.
Following the issuance of the study,
the RSAC met and reached consensus
on recommendations regarding the
discovery and admissibility of
information for the proposed SSP rule,
with the understanding that an identical
provision would be included in a
proposed RRP rule. RSAC
recommended that FRA issue a rule that
would protect documents generated
solely for the purpose of developing,
implementing, or evaluating an RRP
from: (1) Discovery, or admissibility into
evidence, or considered for other
purposes in a Federal or State court
proceeding for damages involving
property damage, personal injury, or
wrongful death; and (2) State discovery
rules and sunshine laws that could be
used to require the disclosure of such
information. As previously discussed in
section III.B of the preamble, FRA
published an SSP NPRM on September
7, 2012, and the information protection
language contained in this RRP NPRM
is essentially identical to that proposed
by the SSP NPRM. See 77 FR 55390–
55392. While this RRP NPRM does not
respond to comments already received
in response to the SSP NPRM, FRA will
consider comments submitted to both
the SSP and RRP NPRMs regarding the
information protection provisions when
developing an RRP final rule.
Also, sec. 109 of the RSIA mandates
that the effective date of a rule
prescribed pursuant to that section must
be one year after the publication of that
rule. FRA believes that the public
interest considerations for the
protections in § 271.11 are the same for
the SSP rule for passenger railroads.
Therefore, assuming that an SSP final
rule might be published before an RRP
final rule, FRA would likely make the
SSP information protection provisions
applicable to RRP programs as well. The
effect of this proposal is that the
information protection for RRP would
become applicable one year after
publication of an SSP final rule,
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permitting a railroad subject to the RRP
rule to obtain information protection as
soon as possible. FRA requests public
comment regarding this approach.
In this § 271.11, FRA proposes
discovery and admissibility protections
that are based on the study’s results and
the RSAC recommendations. FRA
modeled this proposed section after 23
U.S.C. 409. In sec. 409, Congress
enacted statutory protections for certain
information compiled or collected
pursuant to Federal highway safety or
construction programs. See 23 U.S.C.
409. Section 409 protects both data
compilations and raw data. A litigant
may rely on sec. 409 to withhold certain
documents from a discovery request, in
seeking a protective order, or as the
basis to object to a line of questioning
during a trial or deposition. Section 409
extends protection to information that
may never have been in any Federal
entity’s possession.
Section 409 was enacted by Congress
in response to concerns raised by the
States that compliance with the Federal
road hazard reporting requirements
could reveal certain information that
would increase the States’ risk of
liability. Without confidentiality
protections, States feared that their
‘‘efforts to identify roads eligible for aid
under the Program would increase the
risk of liability for accidents that took
place at hazardous locations before
improvements could be made.’’ Pierce
County v. Guillen, 537 U.S. 129, 133–34
(2003) (citing H.R. Doc. No. 94–366, p.
36 (1976)).
In Guillen, the Court considered the
application of sec. 409 to documents
created pursuant to the Hazard
Elimination Program, which is a Federal
highway program that provides funding
to State and local governments to
improve the most dangerous sections of
their roads. Id. at 133. To be eligible for
the program, the State or local
government must (1) maintain a
systematic engineering survey of all
roads, with descriptions of all obstacles,
hazards, and other dangerous
conditions; and (2) create a prioritized
plan for improving those conditions. Id.
The Court held that sec. 409 protects
information actually compiled or
collected by any government entity for
the purpose of participating in a Federal
highway program, but does not protect
information that was originally
compiled or collected for purposes
unrelated to the Federal highway
program, even if the information was at
some point used for the Federal
highway program. Guillen at 144. The
Court took into consideration Congress’s
desire to make clear that the Hazard
Elimination Program ‘‘was not intended
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to be an effort-free tool in litigation
against state and local governments.’’ Id.
at 146. However, the Court also noted
that the text of sec. 409 ‘‘evinces no
intent to make plaintiffs worse off than
they would have been had section 152
[Hazard Management Program] funding
never existed.’’ Id. The Court also held
that sec. 409 was a valid exercise of
Congress’s powers under the Commerce
Clause because sec. 409 ‘‘can be viewed
as legislation aimed at improving safety
in the channels of commerce and
increasing protection for the
instrumentalities of interstate
commerce.’’ Id.
A comparison of the text of sec. 409
with sec. 109, which was added to the
U.S. Code by the RSIA, shows that
Congress used similar language in both
provisions. Given the similar language
and concept of the two statutes, and the
Supreme Court’s expressed
acknowledgement of the
constitutionality of sec. 409, FRA views
sec. 409 as an appropriate model for
proposed § 271.11.
FRA proposes that under certain
circumstances, information (including
plans, reports, documents, surveys,
schedules, lists, or data) would not be
subject to discovery, admitted into
evidence, or considered for other
purposes in a Federal or State court
proceeding for damages. This
information may not be used in such
litigation for any purpose when it is
compiled or collected solely for the
purpose of developing, implementing,
or evaluating an RRP, including the
railroad’s analysis of its safety risks
conducted pursuant to proposed
§ 271.103(b) and any identification of
the mitigation measures with which it
would address those risks pursuant to
proposed § 271.103(c). Proposed
§ 271.11(a) applies to information that
may not be in the Federal government’s
possession; rather, it may be
information the railroad has as part of
its RRP but would not be required to
provide to the Federal government
under this part.
The RSIA identifies reports, surveys,
schedules, lists, and data as the forms of
information that should be included as
part of FRA’s Study. See 49 U.S.C.
20119(a). However, FRA does not
necessarily view this as an exclusive
list. In the statute, Congress directed
FRA to consider the need for protecting
information that includes a railroad’s
analysis of its safety risks and its
statement of the mitigation measures
with which it would address those risks.
Therefore, FRA deems it necessary to
include ‘‘documents’’ and ‘‘plans’’ in
this proposed provision to effectuate
Congress’ directive in sec. 109 of the
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RSIA. Notwithstanding, FRA does not
propose protecting all documents and
plans that are part of an RRP. Rather, as
proposed in § 271.11(a), the document
has to be ‘‘compiled or collected solely
for the purpose of developing,
implementing, or evaluating an RRP
under this part.’’ The meaning of
‘‘compiled or collected solely for the
purpose of developing, implementing,
or evaluating an RRP under this part’’ is
discussed below.
As discussed previously, the
proposed regulation would require a
railroad to implement its RRP through
an RRP plan. While the railroad will not
provide in the RRP plan that it submits
to FRA the results of the risk-based
hazard analysis and the specific
mitigation strategies it will be
implementing, its own RRP plan may
contain this information while it is in
the possession of the railroad.
Therefore, to adequately protect this
type of information, the term ‘‘plan’’ is
added to cover a railroad’s RRP plan
and any hazard elimination or
mitigation plans.
It is important to note that these
proposed protections will only extend
to information (including plans, reports,
documents, surveys, schedules, lists, or
data) that is ‘‘compiled or collected
solely for the purpose of developing,
implementing, or evaluating an RRP.’’
The term ‘‘compiled and collected’’ is
taken directly from the RSIA. FRA
recognizes that railroads may be
reluctant to compile or collect extensive
and detailed information regarding the
safety hazards and associated risks on
their system if this information could
potentially be used against them in
litigation. The term ‘‘compiles’’ refers to
information that is generated by the
railroad for the purposes of an RRP;
whereas the term ‘‘collected’’ refers to
information that is not necessarily
generated for the purposes of the RRP,
but is assembled in a collection for use
by the RRP. It is important to note that
the collection is protected; however,
each separate piece of information that
is not originally compiled for use by the
RRP remains subject to discovery and
admission into evidence subject to any
other applicable provision of law or
regulation.
The information has to be compiled or
collected solely for the purpose of
developing, implementing, or evaluating
an RRP. The use of the term ‘‘solely’’
means that the original purpose of
compiling or collecting the information
is exclusively for the railroad’s RRP. A
railroad cannot compile or collect the
information for one purpose and then
try to use proposed paragraph (a) to
protect that information simply because
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it also uses that information for its RRP.
The railroad’s original and primary
purpose of compiling or collecting the
information must be for developing,
implementing, or evaluating its RRP in
order for the protections to be extended
to that information.
Information a railroad had previously
compiled or collected for non-RRP
purposes would also not be protected,
even if the railroad continued to
compile or collect that information as
part of its RRP. This is because RSIA
limits the protections to information
that is compiled or collected pursuant to
a risk reduction program required by the
statute; therefore, the proposed
protections cannot be extended to
information that was compiled or
collected prior to the proposed rule
because that information was not
collected pursuant to a risk reduction
program required by RSIA. As discussed
above, when interpreting section 409,
the Supreme Court held that there is no
reason to interpret the protections as
protecting information plaintiffs would
have been free to obtain prior to the
enactment of the Hazard Elimination
Program. Consistent with the Court’s
ruling in Guillen, the proposed
protections would not protect
information that plaintiffs would have
been free to obtain prior to the
enactment of the proposed rule.
Furthermore, a single type of record,
plan, document, etc., could contain both
information that would be protected
under the proposed provision and
information that would not be
protected. In other words, an entire
railroad document or record would not
be protected simply because it
contained a single piece of information
that was protected. For example, if a
railroad began collecting a new type of
information as part of its accident
investigations, and that information was
being collected solely for the purpose of
developing, implementing, or evaluating
its RRP, that specific information would
be protected. The information that had
been historically collected as part of the
railroad’s accident investigation
program, however, would remain
unprotected. FRA stresses that the
intent of the proposed provisions is to
leave neither railroads nor plaintiffs
worse off than before the
implementation of an RRP rule.
Additionally, if the railroad is
required by another provision of law or
regulation to collect the information, the
protections of proposed paragraph (a) do
not extend to that information because
it is not being compiled or collected
solely for the purpose of developing,
implementing, or evaluating an RRP.
For example, information that a railroad
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must compile pursuant to FRA’s
accident/incident reporting regulations
would not be protected.
The information protections would
also not apply to information generated
by safety risk reduction programs that
do not fully comply with all the
requirements of a final RRP rule.
Section 109 extends protection to
information generated by a safety risk
reduction program that includes all the
required elements of an RRP; a program
that includes one or more, but not all,
of the required elements of an RRP
would not satisfy these statutory
requirements. For example, FRA
supports the development of the Short
Line Safety Institute (see https://
www.fra.dot.gov/eLib/details/L15890) to
promote the safety of short line and
regional railroad operations,
information generated by such an
institute as part of a short line or
regional railroad’s risk reduction
program would only be protected if: (1)
The railroad uses the information
generated by the institute in a fullyimplemented RRP, and (2) that
information meets the other
requirements in § 109 to receive
protection. It is important to note,
however, that RRP is scalable by design.
Full compliance with the RRP
regulation by a short line or regional
railroad is therefore not likely to be as
complex and comprehensive as it would
be for a larger railroad, and a short line
or regional railroad that voluntarily
complies with an RRP final rule will
receive information protection. FRA
therefore believes it would be both
unnecessary and not authorized by the
RSIA to extend the proposed
information protection provisions to
safety risk reduction programs that did
not fully comply with a final RRP rule.
FRA invites public comment on this
approach.
The information must be compiled or
collected solely for the purpose of
developing, implementing, or evaluating
an RRP. These three terms are taken
directly from the RSIA. They cover the
necessary uses of the information
compiled or collected solely for the
RRP. To develop an RRP, a railroad will
need to conduct a risk-based hazard
analysis to evaluate and identify the
safety hazards and associated risks on
its system. This type of information is
essential and is information that a
railroad does not necessarily already
have. In order for the railroad to
conduct a robust risk-based hazard
analysis to develop its RRP, the
protections from discovery and
admissibility are extended to the RRP
development stage. Based on the
information generated by the risk-based
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hazard analysis, the railroad would
implement measures to mitigate or
eliminate the risks identified. To
properly implement these measures, the
railroad will need the information
regarding the hazards and risks on the
railroad’s system identified during the
development stage. Therefore, the
protection of this information is
extended to the implementation stage.
Finally, the railroad would be required
to evaluate whether the measures it
implements to mitigate or eliminate the
hazards and risks identified by the riskbased hazard analysis are effective. To
do so, it will need to review the
information developed by the risk-based
hazard analysis and the methods it has
used to implement the elimination/
mitigation measures. The use of this
information in the evaluation of the
railroad’s RRP is protected.
The proposed protections would not
apply to the fact that a railroad
ultimately implemented a particular
mitigation strategy, although the
protections would apply to the
information informing the railroad’s
decision as part of its RRP. For example,
a railroad may elect to implement a new
type of technology, such as new track
inspection vehicles, as part of its
technology implementation plan. Once
the railroad is using these new track
inspection vehicles, the fact that the
railroad is using them is not protected
by the proposed provision, as the track
inspection vehicles are now serving a
purpose other the development,
implementation, or evaluation of the
railroad’s RRP (i.e., they are being used
for railroad operational purposes). The
manner in which the railroad is using
these track inspection vehicles would
also not necessarily be protected (e.g., is
the railroad operating the track
inspection vehicles properly?).
Information from the technology
analysis and technology implementation
plan regarding the adopted track
inspection vehicles, however, would
remain protected. For example, an
analysis of the track inspection vehicles’
likely effectiveness in mitigating an
identified hazard, as opposed to other
mitigation strategies, would remain
protected, as would any analyses
regarding investment decisions related
to the vehicles as opposed to alternative
mitigations. Information regarding other
technologies that had been analyzed but
were not selected as mitigation
strategies would also be protected.
Information regarding the track
inspection vehicles’ ultimate
effectiveness in addressing the
identified hazard and risk would also be
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protected. FRA specifically requests
public comment on this discussion.
The information covered by this
proposed section shall not be subject to
discovery, admitted into evidence, or
considered for other purposes in a
Federal or State court proceeding that
involves a claim for damages involving
personal injury, wrongful death, or
property damage. The protections apply
to discovery, admission into evidence,
or consideration for others purposes.
The first two situations come directly
from the RSIA; however, FRA
determined that for the protections to be
effective they must also apply to any
other situation where a litigant might try
to use the information in a Federal or
State court proceeding that involves a
claim for damages involving personal
injury, wrongful death, or property
damage. For example, under proposed
§ 271.11, a litigant would be prohibited
from admitting into evidence a
railroad’s risk-based hazard analysis.
However, without the additional
language, the railroad’s risk-based
hazard analysis could be used by a party
for the purpose of refreshing the
recollection of a witness or by an expert
witness to support an opinion. The
additional language, ‘‘or considered for
other purposes,’’ ensures that the
protected information remains out of a
proceeding completely. The protections
would be useless if a litigant is able to
use the information in the proceeding
for another purpose. To encourage
railroads to perform the necessary
vigorous risk analysis and to implement
truly effective hazard elimination or
mitigation measures, the protections
should be extended to any use in a
proceeding.
FRA further notes that this proposed
section applies to Federal or State court
proceedings that involve a claim for
damages involving personal injury,
wrongful death, or property damage.
This means, for example, if a proceeding
has a claim for personal injury and a
claim for property damage, the
protections are extended to that entire
proceeding; therefore, a litigant cannot
use any of the information protected by
this section as it applies to either the
personal injury or property damage
claim. While sec. 109 of the RSIA only
required the study to consider
proceedings that involve a claim for
damages involving personal injury or
wrongful death, the RSAC (which
includes both railroad and labor
representation) recommended that FRA
extend the information protection
provisions to proceedings involving
claims for property damage as well.
FRA believes it is advisable to follow
this RSAC recommendation because
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extending the proposed information
protections to property damage claims is
consistent with the goal of encouraging
railroads to engage in a robust and
candid hazard analysis and to develop
meaningful mitigation measures. The
typical railroad accident resulting in
injury or death also involves some form
of property damage. Without protecting
proceedings that involve a claim for
property damage, a litigant could bring
two separate claims arising from the
same incident in two separate
proceedings, the first for property
damages and the second one for
personal injury or wrongful death, and
be able to conduct discovery regarding
the railroad’s risk analysis and to
introduce this analysis in the property
damage proceeding but not in the
personal injury or wrongful death
proceeding. This means that a railroad’s
risk analysis could be used against the
railroad in a proceeding for damages. If
this is the case, a railroad will be
hesitant to engage in a robust and
candid hazard analysis and develop
meaningful mitigation measures. FRA
also believes that expanding the
information protection provisions to
property damage claims would be
supported by the same considerations
underlying the study’s conclusion that
protecting risk reduction information
from use in civil litigation claims for
personal injuries or wrongful death
would serve the broader public interest.
FRA’s proposed approach would also
mitigate potential confusion from the
application of different discovery and
evidential standards for personal injury,
wrongful death, and property damage
claims all potentially arising from the
same event.
Proposed paragraph (b) would ensure
that the proposed protections set forth
in paragraph (a) do not extend to
information compiled or collected for a
purpose other than that specifically
identified in paragraph (a). This type of
information shall continue to be
discoverable, admissible into evidence,
or considered for other purposes if it
was discoverable, admissible, or
considered for other purposes prior to
the existence of this section. This
includes information compiled or
collected for a purpose other than that
specifically identified in paragraph (a)
that either: (1) Existed prior to 365 days
after the publication date of a final rule;
(2) was compiled or collected prior to
365 days after the publication date of a
final rule and continues to be compiled
or collected; or (3) is compiled and
collected after 365 days after the
publication date of a final rule.
Proposed paragraph (b) affirms the
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intent behind the use of the term
‘‘solely’’ in paragraph (a), in that a
railroad could not compile or collect
information for a different purpose and
then expect to use paragraph (a) to
protect that information just because the
information is also used in its RRP. If
the information was originally compiled
or collected for a purpose unrelated to
the railroad’s RRP, then it is
unprotected and would continue to be
unprotected.
Examples of the types of information
that proposed paragraph (b) applies to
may be records related to prior
incidents/accidents and reports
prepared in the normal course of
business (such as inspection reports).
Generally, this type of information is
often discoverable, may be admissible in
Federal and State proceedings, or
considered for other purposes, and
should remain discoverable, admissible,
or considered for other purposes where
it is relevant and not unduly prejudicial
to a party after the implementation of
this part. However, FRA recognizes that
evidentiary decisions are based on the
facts of each particular case; therefore,
FRA does not intend this to be a
definitive and authoritative list. Rather,
FRA merely provides these as examples
of the types of information that
paragraph (a) is not intended to protect.
Proposed paragraph (c) clarifies that a
litigant cannot rely on State discovery
rules, evidentiary rules, or sunshine
laws that could be used to require the
disclosure of information that is
protected by paragraph (a). This
provision is necessary to ensure the
effectiveness of the Federal protections
established in paragraph (a) in
situations where there is a conflict with
State discovery rules or sunshine laws.
The concept that Federal law takes
precedence where there is a direct
conflict between State and Federal law
should not be controversial as it derives
from the constitutional principal that
‘‘the Laws of the United States . . .
shall be the supreme Law of the Land.’’
U.S. Const., Art. VI. Additionally, FRA
notes that 49 U.S.C. 20106 is applicable
to this section, as FRA’s study
concluded that a rule ‘‘limiting the use
of information collected as part of a
railroad safety risk reduction program in
discovery or litigation’’ furthers the
public interest by ‘‘ensuring safety
through effective railroad safety risk
reduction program plans.’’ See Study at
64. FRA concurs in this conclusion.
Section 20106 provides that States may
not adopt or continue in effect any law,
regulation, or order related to railroad
safety or security that covers the subject
matter of a regulation prescribed or
order issued by the Secretary of
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Transportation (with respect to railroad
safety matters) or the Secretary of
Homeland Security (with respect to
railroad security matters), except when
the State law, regulation, or order
qualifies under the ‘‘essentially local
safety or security hazard’’ exception to
sec. 20106.
Section 271.13—Determination of
Inadequate Safety Performance
Proposed § 271.13 would describe
FRA’s methodology for determining
which railroads must comply with this
part because they have inadequate
safety performance. Overall, this section
describes how FRA’s analysis would
have two phases: A statistically-based
quantitative analysis phase followed by
a qualitative assessment phase. Only
railroads identified as possibly having
inadequate safety performance in the
quantitative analysis would continue on
to the qualitative assessment, as
discussed further below.
Proposed paragraph (a) describes
FRA’s methodology as a two-phase
annual analysis, comprised of both a
quantitative analysis and a qualitative
assessment. This analysis would not
include railroads excluded under
proposed § 271.3(b) (e.g., commuter or
intercity passenger railroads that would
be subject to FRA SSP requirements),
railroads otherwise required to comply
with part 271 (i.e., Class I railroads and
railroads previously determined to have
inadequate safety performance under
this section), railroads that voluntarily
comply with this part under proposed
§ 271.15, and new railroads that have
reported accident/incident data to FRA
for fewer than three years, except that
new railroads formed through an
amalgamation of operations (for
example, railroads formed through
consolidations, mergers, or acquisitions
of control) will be included in the
analysis using the combined accident/
incident data of the pre-amalgamation
entities. FRA is requesting public
comment on whether and, if so, how, it
should also exclude from the analysis
railroads formed by splitting off from a
larger railroad.
FRA specifically requests comment on
whether railroads that comply
voluntarily under § 271.15 should be
included in FRA’s analysis, and FRA’s
final rule may elect to include
voluntarily-compliant railroads in the
analysis.
Paragraph (b) would describe the
quantitative analysis, which would
make a threshold identification of
railroads that might have inadequate
safety performance. Paragraph (b)(1)
would specify that the quantitative
analysis would be statistically-based
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and would include each railroad within
the scope of the analysis, using
historical safety data maintained by
FRA for the three most recent full
calendar years. The quantitative
analysis would identify four factors
regarding a railroad’s safety
performance: (1) Fatalities; (2) FRA
reportable injury/illness rate; (3) FRA
reportable accident/incident rate; and
(4) FRA violation rate.9
The first factor, described in proposed
paragraph (b)(1)(i), is a railroad’s
number of on-duty employee fatalities
during the three-year period,
determined using Worker on DutyRailroad Employee (Class A)
information reported on FRA Form
6180.55a 10 pursuant to FRA’s accident/
incident reporting regulations in part
225. FRA is requesting public comment
on whether this factor should include
fatalities to other classes of persons
reported on FRA Form 6180.55a, such
as Railroad Employee Not On Duty
(Class B), Worker on Duty-Contractor
(Class F), Nontrespassers-On Railroad
Property (Class D), etc.
The second factor, described in
proposed paragraph (b)(1)(ii), is a
railroad’s FRA on-duty employee
injury/illness rate, calculated using
‘‘Worker on Duty-Railroad Employee’’
information reported on FRA Form
6180.55a and Form 6180.55 11 pursuant
to FRA’s accident/incident reporting
regulations in part 225. This rate would
be calculated with the following
formula:
Injury/Illness Rate = (Total FRA Reportable
On-Duty Employee Injuries + Total FRA
Reportable On-Duty Employee
Occupational Illnesses over a 3-year
period) ÷ (Total Employee Hours over a
3-year period/200,000)
This calculation would give the rate of
employee injuries and occupational
illnesses per 200,000 employee hours
calculated over a 3-year period. FRA is
requesting public comment on whether
this factor should include injuries/
illnesses to other classes of persons
reported on FRA Form 6180.55a, such
as Railroad Employee Not On Duty
9 During RRP Working Group discussions, the
ASLRRA expressed concern that use of FRA
violation data to determine safety performance
might be inappropriate, because FRA’s
prosecutorial discretion may result in different
railroads receiving more or fewer violations. FRA
believes that a railroad identified during the
quantitative analysis could raise such a concern
during the qualitative assessment, and FRA would
consider that concern when making the final
determination regarding the railroad’s safety
performance.
10 Railroads use Form 6180.55a to report on-duty
employee injuries and occupational illnesses.
11 Railroads use Form 6180.55 to report the
number of employee hours.
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(Class B), Worker on Duty-Contractor
(Class F), Nontrespassers-On Railroad
Property (Class D), etc.
The third factor, described in
proposed paragraph (b)(1)(iii), is a
railroad’s FRA reportable rail equipment
accident/incident rate, calculated using
information reported on FRA Form
6180.54 and Form 6180.55.12 This rate
would be calculated with the following
formula:
Rail Equipment Accident/Incident Rate =
Total FRA Reportable Rail Equipment
Accidents/Incidents over a 3-year period
÷ (Total Train Miles over a 3-year period/
1,000,000)
This calculation would give the rate of
rail equipment accidents/incidents per
1,000,000 train miles calculated over a
3-year period. FRA is not proposing to
exclude rail equipment accident/
incidents occurring at highway-rail
grade crossings from this calculation, as
highway-rail grade crossings present a
significant safety issue for many
railroads. FRA requests public comment
on whether it should consider excluding
rail equipment accidents/incidents
occurring at highway-rail grade
crossings from this calculation.
The fourth factor, described in
proposed paragraph (b)(1)(iv), is a
railroad’s FRA violation rate, calculated
using FRA’s field inspector data system,
which captures the number of violations
and is made available to each railroad.
The calculation also uses information
reported to FRA on Form 6180.55. This
rate would be calculated with the
following formula:
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Violation Rate = Total FRA Violations over
a 3-year period ÷ (Total Train Miles over
a 3-year period ÷ 1,000,000)
This calculation gives the rate of
violations issued by FRA to a railroad
per 1,000,000 train miles calculated
over a 3-year period.
Proposed paragraph (b)(2) states that
the quantitative analysis would identify
a railroad as possibly having inadequate
safety performance if at least one of two
conditions were met. Identified
railroads would be examined further in
the qualitative assessment, described
below.
The first condition would be whether
a railroad has had one or more fatalities.
FRA considers an on-duty employee
fatality a strong indication of inadequate
safety performance. If a railroad has at
least one fatality within the 3-year
period of the quantitative analysis, that
railroad will be examined further in the
qualitative assessment.
12 Railroads use Form 6180.54 to report
accidents/incidents and Form 6180.55 to report
total train miles.
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The second condition would be
whether a railroad was at or above the
95th percentile in at least two of the
three factors described in proposed
paragraphs (b)(1)(ii) through (iv) of this
section (e.g., a railroad’s FRA injury/
illness rate, FRA accident/incident rate,
and FRA violation rate). For example, if
the scope of data includes a set of 100
railroads, the railroads with the five
highest injury/illness rates, accident/
incident rates, or violation rates would
be flagged. Those railroads flagged in
two or more of these factors would be
examined further in the qualitative
assessment. Preliminary analyses
estimate that FRA’s proposed approach
would identify approximately 42
railroads over a five year period, which
FRA believes is a reasonable pool of
potential railroads to examine further in
the qualitative analysis. Lowering the
threshold to railroads in the 90th
percentile would identify approximately
84 railroads, and lowering the threshold
further to the 80th percentile would
identify approximately about 167
railroads. While FRA believes these
lower thresholds would yield a pool too
large and unwieldy to address
comprehensively in the qualitative
analysis, FRA requests public comment
on whether it should consider flagging
railroads at a threshold either above or
below the 95th percentile in two or
more of the identified factors.
Proposed paragraph (c) would
describe FRA’s qualitative assessment of
railroads identified in the quantitative
analysis as possibly having inadequate
safety performance. During the
qualitative assessment, FRA would
consider input from both a railroad and
the railroad’s employees, as well as any
other pertinent information. FRA
believes such input would be helpful in
determining whether the quantitative
analysis accurately identified a problem
with the railroad’s safety performance.
Paragraph (c)(1) would state that FRA
would provide initial written
notification to railroads identified in the
threshold quantitative analysis as
possibly having inadequate safety
performance. Paragraph (c)(1)(i) would
further specify that a notified railroad
must inform its employees of FRA’s
notice within 15 days of receiving
notification. This employee notification
would have to be posted at all locations
where a railroad reasonably expects its
employees to report for work and have
an opportunity to observe the notice.
The notice must be continuously
displayed until 45 days following FRA’s
initial notice. A railroad must use other
means to notify employees who do not
have a regular on-duty point to report
for work, consistent with the railroad’s
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standard practice for communicating for
employees. Such a notification could
take place by email, for example. The
notification must inform employees that
they may submit confidential comments
to FRA regarding the railroad’s safety
performance, and must contain
instructions for doing so. Any such
employee comments must be submitted
within 45 days of FRA’s initial notice.
Likewise, paragraph (c)(1)(ii) would
provide railroads 45 days from FRA’s
initial notice to provide FRA
documentation supporting any claim
that the railroad does not have
inadequate safety performance. For
example, if a fatality on railroad
property was determined to be due to
natural causes (such as cardiac arrest),
or an accident/incident due to an act of
God, the railroad’s chief safety officer
could provide a signed letter attesting to
the facts, and asserting the railroad’s
reasons for believing that it should not
be found to have inadequate safety
performance. A railroad could also
submit information regarding any
extenuating circumstances of an
incident or the severity of an injury (for
example, a bee sting may not be as
serious a safety concern as a broken
bone). FRA will also consider
explanations regarding FRA-issued
violations, as well as any mitigating
action taken by the railroad to remedy
the violations.
Paragraph (c)(2) would generally
describe the qualitative assessment of
railroads identified by the quantitative
analysis. During the qualitative
assessment, FRA would consider any
information provided by a railroad or its
employees pursuant to paragraph (c)(1)
of this section, as well as any other
pertinent information. FRA may
communicate with the railroad during
the assessment to clarify its
understanding of any information the
railroad may have submitted. Based
upon the qualitative assessment, FRA
would make a final determination
regarding whether a railroad has
inadequate safety performance no later
than 90 days following FRA’s initial
notice to the railroad.
Paragraph (d) would state that FRA
will provide a final notification to each
railroad given an initial notification
pursuant to paragraph (c) of this section,
informing the railroad whether or not it
has been found to have inadequate
safety performance. A railroad with
inadequate safety performance must
develop and implement an RRP
compliant with the proposed rule and
must provide FRA an RRP plan no later
than 90 days after receiving the final
notification, as provided by proposed
§ 271.301(a).
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The RRP Working Group advised FRA
to allow a railroad with inadequate
safety performance to choose to
establish either an RRP in compliance
with proposed part 271 or an SSP in
compliance with proposed part 270. The
Working Group believed that some
railroads (particularly smaller railroads
more in need of formal structures to
help them improve safety) would elect
to develop, with FRA assistance, an SSP
rather than an RRP. While FRA supports
providing additional flexibility to
railroads with inadequate safety
performance, this provision has not
been included in the current rule text
because an SSP rule has not yet taken
effect. If the SSP rule goes into effect
before the publication of an RRP final
rule, FRA would review this section and
could provide for the choice in the final
rule, as advised by the Working Group.
FRA is also soliciting additional public
comment on such an approach.
Paragraph (e) would state that a
railroad with inadequate safety
performance would have to comply
with the requirements of part 271 for at
least five years, running from the date
on which FRA approves the railroad’s
RRP plan. FRA believes a five-year
compliance period provides the
minimum amount of time necessary for
an RRP to have a substantive effect on
a railroad’s safety performance,
particularly if, pursuant to proposed
§ 271.221, the railroad has taken 36
months (3 years) to fully implement its
RRP. An evaluation of an FRA C3RS
demonstration site showed the
following safety improvements after two
and a half years: (1) A 31-percent
increase in the number of cars moved
between incidents; (2) improved labormanagement relationships and
employee engagement (i.e., an improved
safety culture); and (3) a reduction in
discipline cases. FRA believes this
evaluation shows that risk-reductiontype programs can successfully yield
positive impacts within a period of only
a few years. See Ranney, J. and Raslear,
T., ‘‘Derailments decrease at a C3RS site
at midterm,’’ FRA Research Results:
RR12–04, April 2012, available at
https://www.fra.dot.gov/eLib/details/
L01321. The five-year minimum
compliance period should create the
time necessary to determine whether
safety improvements achieved upon
implementation of the RRP are
sustainable. Furthermore, the initial
development and implementation of an
RRP requires the expenditure of
resources, and as discussed in the
Regulatory Impact Analysis for this
proposed rule, FRA does not expect an
RRP to create a full level of benefits
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until the RRP is fully implemented or
no later than the fourth year after the
implementation of the rule. A minimum
five-year compliance period, therefore,
provides time for a railroad to begin
receiving the full benefits of its RRP
investment, although fewer overall
benefits could be received if the railroad
had elected to take the entire three years
provided to fully implement its RRP.
At the end of the five-year period,
under proposed paragraph (f), the
railroad could petition FRA, according
to the procedures for waivers in 49 CFR
part 211, for approval to discontinue
compliance with part 271. Upon
receiving a petition, FRA would
evaluate the railroad’s safety
performance in order to determine
whether the railroad’s RRP has resulted
in significant safety improvements, and
whether these measured improvements
are likely to be sustainable in the long
term. FRA’s evaluation would include a
quantitative analysis as described in
proposed paragraph (b). FRA would also
examine qualitative factors and review
information from FRA RRP audits and
other relevant sources.
Analysis of the railroad’s safety
performance for purpose of deciding
whether its petition should be granted
will be driven by the unique
characteristics of the railroad and its
RRP; for this reason it is not possible to
enumerate the types of data that will be
examined in the context of a petition to
discontinue compliance. In general,
FRA would look at information to
determine whether real and lasting
changes to the operational safety and to
the organizational safety culture had
been made. The Safety Board will use
staff recommendations and other
information it deems necessary to make
a final determination about whether
granting a petition is in the interest of
public safety. FRA seeks comment,
however, on whether it should specify
various factors, criteria, and data that
should be considered to determine
whether a waiver should be granted. If
so, what should those factors, criteria,
and data be? FRA may include any such
standards in a final rule.
After completing the evaluation, FRA
would notify the railroad in writing
whether or not it would be required to
continue compliance with part 271.
FRA specifically requests public
comment on whether railroads with
inadequate safety performance should
be required to comply with part 271
permanently. In general, RRPs are
strategies for gradually improving
railroad safety over the long-term. If a
railroad discontinues an implemented
RRP, this could result in the loss of
many future safety improvements.
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Additionally, the development and
implementation of an RRP require the
expenditure of railroad resources. If an
RRP is ended too soon, this might result
in a railroad not obtaining the greatest
benefit possible from its RRP
investment. Requiring permanent
compliance for railroads with
inadequate safety performance,
therefore, could maximize both the
safety improvement and benefits of an
RRP over the long-term. Furthermore, an
inadequate safety performance railroad
required to comply with part 271
permanently would also continue to
receive the information protections
provided for in proposed § 271.11. FRA
requests comment on this approach and
could elect to require continued
compliance for inadequate safety
performance railroads in a final rule.
FRA also specifically requests public
comment on whether the five-year
compliance period in proposed
paragraph (e) should run from the date
that the railroad’s RRP is fully
implemented—rather than the date on
which FRA approved the railroad’s RRP
plan—in order to provide more time for
the RRP to have a significant effect on
the railroad’s safety and for FRA to
obtain more information in order to
determine whether it should consider
granting a petition for approval to
discontinue compliance with this part.
This alternative approach would also
provide an incentive for a railroad to
implement its RRP quickly, as doing so
would then allow the railroad to
terminate its RRP sooner as well.
FRA also specifically requests public
comment on what should happen when
FRA denies an inadequate safety
performance railroad’s petition to
discontinue compliance with part 271.
Should the railroad be permitted to
submit a new petition as soon as it
wishes, or should the regulations
impose a new mandatory compliance
period upon the railroad? In other
words, should FRA permit the railroad
to submit a new petition immediately or
only after a certain period of time, such
as one year or five years?
Railroads should note that § 271.223
proposes to give each affected railroad
36 months, running from the date FRA
approves the railroad’s RRP plan, to
fully implement its RRP. If the final rule
ultimately adopts this proposal, FRA
anticipates that a petition for approval
to discontinue compliance would most
likely be unsuccessful if an inadequate
safety performance railroad took the
entire 36 months to achieve full
implementation. In such a scenario,
FRA would likely find that a petition
could not be granted because it had only
two years’ worth of data to determine
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whether the fully implemented RRP had
been successful in improving the
railroad’s safety performance. FRA
would be more likely to grant a petition,
however, if the railroad had fully
implemented its RRP before the 36month deadline. FRA anticipates that
many inadequate safety performance
railroads, with systems significantly
smaller than those of Class I railroads,
would not require the full 36 months to
implement an RRP.
FRA would encourage a railroad with
inadequate safety performance to
continue its RRP even if FRA grants its
petition to discontinue compliance with
part 271. If a railroad does continue its
RRP, it could be considered a
voluntarily-compliant railroad under
proposed § 271.15, which would allow
proposed § 271.11 to continue to protect
information that continues to be
compiled or collected pursuant to the
railroad’s RRP from discovery and
admission as evidence in litigation. If a
railroad decides not to continue with a
part 271-compliant RRP, information
that had been compiled or collected
pursuant to the part 271-compliant RRP
would remain protected under § 271.11.
Any information compiled or collected
pursuant to a non-compliant RRP,
however, would not be protected under
§ 271.11.
Section 271.15—Voluntary Compliance
The RSIA provides that railroads not
required to establish a railroad safety
risk reduction program may
nevertheless voluntarily submit for FRA
approval a plan meeting the
requirements of the statute. See 49
U.S.C. 20156(a)(4). Proposed § 271.15(a)
would implement this language by
permitting a railroad not otherwise
subject to the proposed rule to
voluntarily comply by establishing and
fully implementing an RRP that meets
the requirements of this part 271. Any
such voluntary RRP must be supported
by an RRP plan that has been submitted
to FRA for approval pursuant to the
requirements of proposed subpart D.
Paragraph (a) would also clarify that
following FRA’s approval of the RRP
plan for a voluntarily-compliant
railroad, the railroad could be subject to
civil penalties or other enforcement
action if it then failed to comply with
the part 271 requirements. It is
important to ensure that voluntarilycompliant railroads meet the regulatory
requirements because information
compiled or collected pursuant to a
voluntarily-compliant RRP would be
protected from discovery or disclosure
in litigation under proposed § 271.11. If
the RRP information for a voluntarilycompliant railroad is protected, FRA
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believes such a railroad should be
subject to civil penalties or other
enforcement action for failing to comply
with part 271. FRA specifically requests
public comment on this proposal.
Paragraph (b) would specify that a
voluntarily-compliant railroad would be
required to comply with this part 271’s
requirements for a minimum period of
five years, running from the date on
which FRA approves the railroad’s RRP
plan. As explained above regarding
railroads with inadequate safety
performance, FRA believes that a
minimum five-year period may provide
time for a railroad to realize the safety
improvements and benefits associated
with its RRP investment. Under
proposed paragraph (c), a voluntarilycompliant railroad would be able to
petition FRA for approval to
discontinue compliance with this part
after the end of this five-year period.
Any such petition would have to be
filed in accordance with the procedures
for waivers contained in 49 CFR part
211. This NPRM is not proposing any
specific standards for the granting of
such petitions other than what are
currently found in part 211. FRA
requests public comment, however, on
whether it should establish such
standards and, if so, what those
standards should consist of.
Furthermore, as with inadequate safety
performance railroads, FRA specifically
requests public comment on whether
the minimum five-year compliance
period should run from the date that a
railroad’s RRP is fully implemented, in
order to provide more time for the RRP
to have a significant effect on the
railroad’s safety.
Paragraph (d) would provide that the
information protection provisions of
proposed § 271.11 (Discovery and
admission as evidence of certain
information) would not apply to
information that was compiled or
collected pursuant to a voluntarilycompliant RRP that was not conducted
in accordance with the provisions of
this part 271. As discussed in the
section-by-section analysis for § 271.11,
voluntary risk reduction programs (such
programs generated as part of a Short
Line Safety Institute) would have to
fully comply with an RRP final rule in
order for the information generated to be
protected from discovery and use as
evidence in litigation.
During the RSAC process, FRA and
the RRP Working Group discussed the
possibility of permitting Class II or Class
III railroads not otherwise required to
comply with this proposed rule to
voluntarily comply with an SSP rule
instead of an RRP rule. While not
proposed in this NPRM, as an SSP rule
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has not been finalized, FRA is
specifically requesting public comment
on whether railroads should be
permitted to voluntarily comply with an
SSP rule. The FRA may elect to either
include such an approach in an RRP
final rule or to amend an SSP final rule
to provide for such.
Subpart B—Risk Reduction Program
Requirements
Subpart B would contain the basic
elements of an RRP required by the
proposed rule. The proposed rule would
provide a railroad significant flexibility
in developing and implementing an
RRP.
Section 271.101—Risk Reduction
Programs
Proposed § 271.101 would contain
general requirements regarding RRPs.
Paragraph (a)(1) would require railroads
to establish and fully implement an RRP
meeting the requirements of this part
271. As specified by the RSIA, an RRP
must systematically evaluate safety
hazards on a railroad’s system and
manage risks associated with those
hazards to reduce the number and rates
of railroad accidents/incidents, injuries,
and fatalities. See 49 U.S.C.
20156(a)(1)(A). FRA intends for an RRP
to be scalable based upon the size of a
railroad. For example, a large railroad
would not be expected to identify every
safety hazard on its system, but could
take a more focused and project specific
view of safety hazard identification. A
railroad with a smaller system (e.g., a
Class II or III railroad determined to
have inadequate safety performance),
however, might be asked to take a closer
look at specific safety hazards.
Paragraph (a) also clarifies that an
RRP must be an ongoing program that
supports continuous safety
improvement. A railroad that conducts
a one-time risk-based hazard analysis
and does nothing further after
addressing the results of that analysis
will not have established a compliant
RRP. Paragraph (a) would also list the
necessary components that an RRP must
contain, including: (1) A risk-based
hazard management program (described
in § 271.103); (2) a safety performance
evaluation component (described in
§ 271.105); (3) a safety outreach
component (described in § 271.107); (4)
a technology analysis and technology
implementation plan (described in
§ 271.109); and (5) RRP implementation
and support training (described in
§ 271.111).
Paragraph (b) would require a
railroad’s RRP to be supported by an
RRP plan, meeting the requirements of
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proposed subpart C, that has been
approved by FRA.
Paragraph (c) would address railroads
subject to the RRP rule that host
passenger train service for passenger
railroads subject to the requirements of
the proposed SSP rule. Under
§ 270.103(a)(2) of the proposed SSP rule,
a passenger railroad must communicate
with each host railroad to coordinate the
portions of its SSP plan that are
applicable to the host railroad.
Paragraph (c) would require a host
railroad, as part of its RRP, to participate
in this communication and coordination
with the passenger railroad.
Paragraph (d) would require a railroad
to ensure that persons utilizing or
performing on its behalf a significant
safety-related service support and
participate in the railroad’s RRP. Such
persons would include entities such as
host railroads, contract operators,
shared track/corridor operators, or other
contractors utilizing or performing
significant safety-related services, and
must be identified by the railroad in its
RRP plan pursuant to proposed
§ 271.205(b).
Section 271.103—Risk-Based Hazard
Management Program
This proposed section would contain
the requirements for each risk-based
hazard management program (HMP).
Proposed § 271.103(a)(1) would require
a railroad’s RRP to include a risk-based
HMP that proactively identifies hazards
and mitigates the risks associated with
those hazards. A risk-based HMP must
be integrated, system-wide, and
ongoing. The scope of a risk-based HMP
would be scalable based upon the size
and extent of the railroad’s system.
Paragraph (a)(2) proposes that a riskbased HMP must be fully implemented
(i.e., activities initiated) within 36
months after FRA approves a railroad’s
RRP plan. Full implementation means
that a railroad should have completed
its risk analysis and begun mitigation
strategies within 36 months of plan
approval. If a railroad elects to test a
mitigation strategy in a pilot project (as
permitted by proposed § 271.103(c)(2)),
‘‘fully implemented’’ means that the
pilot project must be fully operational
within 36 months.
Paragraph (b) would state that a
railroad must conduct a risk-based
hazard analysis as part of its risk-based
HMP. The types of principles and
processes that inform a successful riskbased hazard analysis have already been
well-established by programs previously
discussed in this preamble, such as
MIL–STD–882, APTA’s ‘‘Manual for the
Development of System Safety Program
Plans for Commuter Railroads’’, and
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FRA’s ‘‘Collision Hazard Analysis
Guide.’’ A railroad subject to a final RRP
rule could use any of these programs for
guidance on how to conduct a riskbased hazard analysis, pursuant to
FRA’s approval of the processes in the
railroad’s RRP plan under proposed
§ 271.211. As described in the
‘‘Collision Hazard Analysis Guide,’’ a
risk-based hazard analysis is performed
to identify hazardous conditions for the
purpose of mitigation, and could
include several analysis techniques
applied throughout the lifetime of an
RRP. See ‘‘Collision Hazard Analysis
Guide’’ at 8. A full hazard analysis
could consist of various analyses,
including a Preliminary Hazard
Analysis, Failure Modes and Effects
Analysis, Operating Hazard Analysis,
and others, although existing operations
already designed, built, and operating
may not require all these analyses. Id.
FRA specifically requests public
comment regarding what type of
additional guidance would help
railroads comply with the requirements
of this proposed section.
Paragraph (b) specifies that, at a
minimum, a risk-based hazard analysis
must address the following components
of a railroad’s system: Infrastructure;
equipment; employee levels and work
schedules; operating rules and practices;
management structure; employee
training; and other areas impacting
railroad safety that are not covered by
railroad safety laws or regulations or
other Federal laws or regulations.
While the RSIA directed railroads to
address safety culture in their risk-based
hazard analyses, FRA chose not to be
prescriptive regarding this requirement,
as prescribing how risk-based hazard
analysis would identify hazards
generated by a safety culture would be
difficult. FRA would require railroads to
measure their safety culture, however,
in proposed § 271.105(a), and believes
that this proposed approach would
adequately address any related safety
concerns presented by a railroad’s safety
culture. With respect to measuring
safety culture, the proposed rule would
permit railroads to identify the safety
culture measurements methods that
they find most effective and appropriate
to their local conditions. When
measuring safety culture, FRA would
expect a railroad to use a method that
was capable of correlating a railroad’s
safety culture with actual safety
outcomes. For example, such
measurement methods could include
surveys that assess safety culture using
validated scales, or some other method
or measurement that accurately
identifies aspects of the railroad’s safety
culture that correlate to safety outcomes.
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Ultimately, FRA would expect a railroad
to demonstrate that improvements in
the measured aspects of safety culture
would reliably lead to reductions in
accidents, injuries, and fatalities. FRA
requests public comment on how a
railroad should measure its safety
culture as part of its RRP.
As further described in paragraph (b),
a risk-based hazard analysis must
identify hazards by analyzing the
following: (1) Various aspects of the
railroad’s system (including any
operational changes, system extensions,
or system modifications); and (2)
accidents/incidents, injuries, fatalities,
and other known indicators of hazards
(such as data compiled from a close call
reporting program). A railroad must
then calculate risk by determining and
analyzing the likelihood and severity of
potential events associated with the
identified hazards. These risks must
then be compared and prioritized for the
purpose of mitigation.
Paragraph (c)(1) would require a
railroad, based on its risk-based HMP, to
design and implement mitigation
strategies that improve safety by
mitigating or eliminating aspects of a
railroad’s system that increase risks
identified in the risk-based hazard
analysis and enhancing aspects of a
railroad’s system that decrease risks
identified in the risk-based hazard
analysis. As provided in proposed
paragraph (c)(2), a railroad could use
pilot projects (including those
conducted by other railroads) to
determine whether quantitative data
suggests that a particular mitigation
strategy has potential to succeed on a
full-scale basis. FRA anticipates that
railroads will design and implement
mitigation strategies that are either costbeneficial or cost-neutral. FRA requests
public comment on this assumption.
FRA is specifically interested in the
experience of any railroads that may
have already utilized risk reduction
strategies, and whether or not such
railroads have realized cost benefits
from the design and implementation of
risk mitigation strategies. In railroads’
experiences, how much have mitigation
strategies related to risk reduction
activities cost?
As discussed above in the analysis of
the purpose and scope provisions of
proposed § 271.1, FRA does not intend
the proposed regulation to address
hazards and risks that are completely
unrelated to railroad safety and that
would fall directly under the
jurisdiction of either OSHA or the EPA.
FRA would not, therefore, expect a riskbased HMP to address hazards and risks
that go beyond the limits of FRA’s
railroad safety jurisdiction. A risk-based
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HMP should, however, include railroad
safety hazards and risks that could
result in damage to the environment,
such as a derailment that could result in
a hazardous materials release. In such
situations, the underlying hazard or risk
would fall within FRA’s railroad safety
jurisdiction. FRA seeks public comment
on whether this section should include
a statement clarifying the railroad safety
scope of the risk-based HMP.
Additionally, the proposed regulation
does not define a level of risk that
railroads must target with their riskbased HMPs. FRA’s Passenger
Equipment Safety Standards require
passenger railroads, however, when
procuring new passenger cars and
locomotives, to ensure that fire safety
considerations and features in the
design of the equipment reduce the risk
of personal injury caused by fire to an
acceptable level using a formal safety
methodology such as MIL–STD–882.
See 49 CFR 238.103(c). Passenger
railroads operating Tier II passenger
equipment are also required to eliminate
or reduce risks posed by identified
hazards to an acceptable level. See 49
CFR 238.603(a)(3). FRA seeks comment
on whether a final RRP rule should
define levels of risks that a railroad’s
risk-based HMP must target.
Section 271.105—Safety Performance
Evaluation
This section would contain
requirements for safety performance
evaluations. Safety performance
evaluation is a necessary part of a
railroad’s RRP because it determines
whether the RRP is effectively reducing
risk. It also monitors the railroad’s
system to identify emerging or new
risks. In this sense, it is essential for
ensuring that a railroad’s RRP is an
ongoing process, and not merely a onetime exercise.
Paragraph (a) would require a railroad
to develop and maintain ongoing
processes and systems for evaluating the
safety performance of a railroad’s
system. A railroad must also develop
and maintain processes and systems for
measuring its safety culture. For
example, a railroad could measure its
safety culture by surveying employees
and management to establish an initial
baseline safety culture, and then
comparing that initial baseline to
subsequent surveys. FRA would give a
railroad substantial flexibility, however,
to decide which safety culture
measurement was the best fit for the
organization. FRA’s primary concern
would be that the selected measurement
would provide a way to demonstrate
that an improvement in the safety
culture measurement would reliably
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lead to a corresponding improvement in
safety. Overall, a safety performance
evaluation would consist of both a
safety monitoring and a safety
assessment component.
Paragraph (b) would establish the
safety monitoring component by
requiring a railroad to monitor the safety
performance of its system. At a
minimum, a railroad must do so by
establishing processes and systems for
acquiring safety data and information
from the following sources: (1)
Continuous monitoring of operational
processes and systems (including any
operational changes, system extensions,
or system modifications); (2) periodic
monitoring of the operational
environment to detect changes that may
generate new hazards; (3) investigations
of accidents/incidents, injuries,
fatalities, and other known indicators of
hazards; (4) investigations of reports
regarding potential non-compliance
with Federal railroad safety laws or
regulations, railroad operating rules and
practices, or mitigation strategies
established by the railroad; and (5) a
reporting system through which
employees can report safety concerns
(including, but not limited to, hazards,
issues, occurrences, and incidents) and
propose safety solutions and
improvements. The requirement for a
reporting system would not require a
railroad to establish an extensive
program like FRA’s Confidential Close
Call Reporting System (C3RS). Rather, a
railroad would have substantial
flexibility to design a reporting system
best suited to its own organization (or,
if a railroad already has some sort of
reporting system, to modify it to meet
the needs of the railroad’s RRP). For
example, a railroad could decide
whether or not it wanted its reporting
system to be confidential or nonpunitive.13 Or, in the alternative, the
reporting system could be something as
simple as a suggestion box made
available to employees.
Paragraph (c) would establish the
safety assessment component, the
purpose of which is to assess the need
for changes to a railroad’s mitigation
13 If a railroad elected to use a reporting system
that was non-punitive in nature, FRA would expect
it to contain certain limitations that would prevent
the system from becoming a way for railroad
employees to completely avoid culpability for any
type of wrongdoing, such as willful misconduct.
For example, FRA’s C3RS pilot programs do not
protect an employee from discipline under certain
circumstances, including when: The employee’s
action or lack of action was intended to damage
property, injure individuals, or place others in
danger; the employee’s action or lack of action
involved a criminal defense; and the event resulted
in an identifiable release of hazardous materials.
FRA would expect any railroad non-punitive
reporting system to have similar limitations.
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10971
strategies or overall RRP. To do so, a
railroad must establish processes to
analyze the data and information
collected pursuant to the safety
monitoring component of this section,
as well as any other relevant data
regarding the railroad’s operations,
products, and services. At a minimum,
this safety assessment must: (1) Evaluate
the overall effectiveness of the railroad’s
RRP in reducing the number and rates
of railroad accidents/incidents, injuries,
and fatalities; (2) evaluate the
effectiveness of the railroad’s RRP in
meeting the goals described in its RRP
plan pursuant to proposed § 271.203(c);
(3) evaluate the effectiveness of risk
mitigations in reducing the risk
associated with an identified hazard
(any hazards associated with ineffective
mitigation strategies would be required
to be reevaluated through the railroad’s
risk-based HMP); and (4) identify new,
potential, or previously unknown
hazards, which shall then be evaluated
by the railroad’s risk-based HMP.
Section 271.107—Safety Outreach
This section contains requirements
regarding the safety outreach
component of an RRP. Under proposed
paragraph (a), an RRP must include a
safety outreach component that
communicates RRP safety information
to railroad personnel (including
contractors) as that information is
relevant to their positions. At a
minimum, a safety outreach program
must: (1) Convey safety-critical
information; (2) explain why RRPrelated safety actions are taken; and (3)
explain why safety procedures are
introduced or changed.
Railroads should note that this section
imposes only a general education and
communication requirement (similar to
a briefing), and not a training
curriculum requirement that would
require railroads to test and qualify
employees on the information
conveyed. The focus of this section
would be limited to outreach and safety
awareness. A limited one-time RRP
training requirement for railroad
employees who have significant
responsibility for implementing and
supporting a railroad’s RRP is contained
in proposed § 271.111, discussed below.
Furthermore, this section would only
require a railroad to communicate RRP
safety information that is relevant to an
employee’s position. For example, a
railroad could be expected to notify
railroad employees of a mitigation
strategy that is being implemented that
requires employee participation (e.g., a
close call program). A railroad would
also have to communicate safety
information to employees who worked
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in the implementation and support of
the RRP, in addition to providing these
employees the implementation and
support training proposed in § 271.111.
For example, a railroad would be
expected to communicate the effect the
RRP was having on the railroad’s overall
safety performance to employees who
implemented and supported the
railroad’s RRP. This section would not,
however, require a railroad to train all
employees on RRP requirements and
principles. This section would also not
require a railroad to provide employees
any sort of job-specific training.
Paragraph (b) would require a railroad
to report the status of risk-based HMP
activities to railroad senior management
on an ongoing basis. A railroad would
have flexibility in its RRP plan to
specify what ‘‘ongoing basis’’ means.
Section 271.109—Technology Analysis
and Technology Implementation Plan
This section would implement the
RSIA requirement that an RRP include
a technology analysis and a technology
implementation plan. See 49 U.S.C.
20156(e).
Paragraph (a) would require a Class I
railroad to conduct a technology
analysis and to develop and adopt a
technology implementation plan no
later than three years after the
publication date of the final rule. A
railroad with inadequate safety
performance shall conduct a technology
analysis and develop and adopt a
technology implementation plan no
later than three years after receiving
final written notification from FRA that
it shall comply with this part, pursuant
to § 271.13(e), or no later than three
years after the publication date of the
final rule, whichever is later. A railroad
that the STB reclassifies or newly
classifies as a Class I railroad shall
conduct a technology analysis and
develop or adopt a technology
implementation plan no later than three
years following the effective date of the
classification or reclassification or no
later than three years after the effective
date of the final rule, whichever is later.
A voluntarily-compliant railroad shall
conduct a technology analysis and
develop and adopt a technology
implementation plan no later than three
years after FRA approves the railroad’s
RRP plan. It is important to note that the
technology implementation plan needs
to be adopted within three years of the
various events described in paragraph
(a), not necessarily the actual
technology. FRA understands that
certain technologies may take longer
than three years to properly implement,
and the three year timeline in paragraph
(a) does not apply to this technology.
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FRA would, however, expect a railroad
to implement technology in a timely
manner consistent with its
implementation plan. Further, as
addressed by paragraph (d), if a railroad
implements technology pursuant to 49
CFR part 236, subpart I (Positive Train
Control Systems), the railroad is
required to comply with the timeline set
forth in RSIA.
Under paragraph (b), a technology
analysis must evaluate current, new, or
novel technologies that may mitigate or
eliminate hazards and the resulting risks
identified through the risk-based hazard
management program. The railroad
would analyze the safety impact,
feasibility, and costs and benefits of
implementing technologies that will
mitigate or eliminate hazards and the
resulting risks. At a minimum, a
technology analysis must consider
processor-based technologies, positive
train control (PTC) systems,
electronically-controlled pneumatic
brakes, rail integrity inspection systems,
rail integrity warning systems, switch
position monitors and indicators,
trespasser prevention technology, and
highway-rail grade crossing warning
and protection technology. FRA
specifically requests public comment on
whether a technology analysis should be
required to consider additional
technologies, or whether some of the
proposed technologies do not need to be
addressed by the technology analysis.
Under paragraph (c), a railroad must
develop, and periodically update as
necessary, a technology implementation
plan that contains a prioritized
implementation schedule describing the
railroad’s plan for development,
adoption, implementation,
maintenance, and use of current, new,
or novel technologies on its system over
a 10-year period to reduce safety risks
identified in the railroad’s risk-based
HMP. A railroad would not be required
to include a certain number or type of
technology in its plan, as this will
depend upon the identified hazards. As
proposed, the phrase ‘‘periodically
update as necessary’’ means that a
railroad’s plan must be ongoing and
continuous, rather than a one-time
exercise. When a railroad updates its
plan, it would be required to do so in
a way that extended the plan 10 years
from the date of the update. FRA is
specifically requesting public comment
on whether the phrase ‘‘as necessary’’
should be replaced by a definite
requirement for a railroad to update its
plan after a specific period of time. If so,
how long should this time period be?
For example, should a railroad be
required to update its technology
implementation plan annually?
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Paragraph (d) would state that, except
as required by 49 CFR part 236, subpart
I (Positive Train Control Systems), if a
railroad decides to implement a PTC
system as part of its technology
implementation plan, the railroad shall
set forth and comply with a schedule
that would implement the system no
later than December 31, 2018, as
required by the RSIA. See 49 U.S.C.
20156(e)(4)(B). However, this paragraph
would not, in itself, require a railroad to
implement a PTC system. In addition,
FRA specifically seeks public comment
on whether a railroad electing to
implement a PTC system would find it
difficult to meet the December 31, 2018
implementation deadline. If so, what
measures could be taken to assist a
railroad struggling to meet the deadline
and achieve the safety purposes of the
statute?
Section 271.111—Implementation and
Support Training
This proposed section would require
a railroad to provide RRP training to
each employee who has significant
responsibility for implementing and
supporting the railroad’s RRP. This
proposed training requirement would
apply to any employee with such
responsibility, including an employee of
a person identified by a railroad’s RRP
plan under proposed § 271.205(a)(3) as
utilizing or performing significant
safety-related services on the railroad’s
behalf. While railroads will have some
flexibility in identifying which
employees have significant RRP
responsibilities, the following two
categories of employees are examples of
who should be included: (1) Employees
who hold positions of safety leadership
(e.g., corporate safety and operations
officers); and (2) employees whose job
duties primarily relate to developing
and implementing an RRP (e.g.,
employees tasked with conducting the
mandatory risk-based hazard analysis or
implementing mitigation measures).
Railroad operating employees whose
jobs are only tangentially related to RRP,
such as locomotive engineers or
dispatchers, would not be expected to
have RRP training. FRA specifically
requests public comment regarding
which railroad employees should be
provided RRP training.
This training would help ensure that
personnel with significant RRP
responsibilities are familiar with the
elements of the railroad’s program and
have the knowledge and skills needed to
fulfill their responsibilities. While this
training requirement was not contained
in the ‘‘Recommendations to the
Administrator’’ document voted on by
the RSAC RRP Working Group, FRA
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believes the requirement is necessary to
ensure the effectiveness of a railroad’s
RRP.14 A railroad’s RRP can be
successful only if those who are
responsible for implementing and
supporting the program understand the
requirements and goals of the program.
Including an RRP training component in
this NPRM is also necessary because
such RRP training would not otherwise
be required by FRA’s training standards
rule, published on November 7, 2014.
See 79 FR 66460. In general, the training
standards rule requires a railroad to
develop and submit for FRA approval a
training program for ‘‘safety-related
railroad employees.’’ Id. Section 243.5
defines a ‘‘safety-related railroad
employee’’ as follows:
Safety-related railroad employee means an
individual who is engaged or compensated
by an employer to: (1) Perform work covered
under the hours of service laws found at 49
U.S.C. 21101, et seq.; (2) Perform work as an
operating railroad employee who is not
subject to the hours of service laws found at
49 U.S.C. 21101, et seq.; (3) In the application
of parts 213 and 214 of this chapter, inspect,
install, repair, or maintain track, roadbed,
and signal and communication systems,
including a roadway worker or railroad
bridge worker as defined in § 214.7 of this
chapter; (4) Inspect, repair, or maintain
locomotives, passenger cars or freight cars;
(5) Inspect, repair, or maintain other railroad
on-track equipment when such equipment is
in a service that constitutes a train movement
under part 232 of this chapter; (6) Determine
that an on-track roadway maintenance
machine or hi-rail vehicle may be used in
accordance with part 214, subpart D of this
chapter, without repair of a non-complying
condition; (7) Directly instruct, mentor,
inspect, or test, as a primary duty, any person
while that other person is engaged in a
safety-related task; or (8) Directly supervise
the performance of safety-related duties in
connection with periodic oversight in
accordance with § 243.205.
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Because this definition focuses on
railroad operating employees and those
who directly train and supervise them,
FRA assumes that it would not include
the typical railroad employee who has
significant responsibility for
implementing and supporting a
railroad’s RRP, as FRA believes it is
unlikely that employees with significant
RRP responsibilities would also be
engaged in performing operational
duties or directly training or supervising
those who do.15 Therefore, railroad
14 A training component is also included in the
SSP NPRM, published September 7, 2012. See 77
FR 55386–55387, 55404–55405. While the proposed
RRP training requirement shares similarities with
the SSP proposal, it has been modified to reflect
what FRA believes to be the different training needs
of the freight railroad industry.
15 Furthermore, even if an RRP employee
performed duties that fell within the proposed
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employees with significant RRP
responsibilities are not likely to be
covered by the requirements in the
training standards final rule.
FRA is specifically requesting public
feedback on this proposed RRP
implementation and support training
requirement. What topics should RRP
implementation and support training
cover? (For example, should employees
with significant RRP responsibilities be
trained in the principles and
requirements of a final rule?) Also,
should periodic or refresher training be
provided?
Subpart C—Risk Reduction Program
Plan Requirements
Subpart C would contain proposed
requirements for RRP plans.
Section 271.201—General
Proposed § 271.201 would require a
railroad to adopt and implement its RRP
through a written RRP plan meeting the
requirements of subpart C. This plan
must be approved by FRA according to
the requirements of subpart D.
Section 271.203—Policy, Purpose and
Scope, and Goals
Proposed § 271.203 would contain
requirements for policy, purpose and
scope, and goals statements for an RRP
plan. Under paragraph (a), an RRP plan
must contain a policy statement, signed
by the railroad’s chief official (e.g., Chief
Executive Officer), endorsing the
railroad’s RRP. This signature
endorsement would indicate that the
railroad’s chief official has reviewed
and supports the policy statement,
thereby demonstrating the importance
of safety to the railroad. The RSAC
Working Group recommended that FRA
allow the safety policy statement to be
signed by the railroad’s chief safety
definition of ‘‘safety-related railroad employee,’’ the
training standards NPRM only proposed to require
training for a safety-related railroad employee to the
extent that he or she is required to comply with a
Federal mandate. See 77 FR 6420. For example, a
railroad employee who is expected to perform any
of the inspections, tests, or maintenance required by
49 CFR part 238 would be required to be trained
in accordance with all Federal requirements for that
work. Id. Because the RRP regulation proposed in
this NPRM is performance-based and focuses on
process, FRA would not consider it as containing
specific mandates for the way in which a railroad
employee with significant RRP responsibility has to
perform his or her RRP duties. Therefore, even if
an RRP employee also qualified as a ‘‘safety-related
railroad employee’’ under the proposed training
standards rule, the proposed training standards rule
would not subject the employee to any additional
RRP training requirement. FRA believes it would be
inconsistent to apply the proposed training
standards rule to some RRP employees and not
others, based solely upon whether the employee
performed safety-related duties that were subject to
the training standards rule but otherwise unrelated
to RRP.
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officer. Prior experience with effective
risk management programs, however,
has demonstrated to FRA the
importance of the active involvement of
the highest officials in improving safety
and safety culture. For this reason, FRA
has determined that the chief official at
the railroad should sign the safety
policy. The policy statement should
endorse the railroad’s RRP and include
a commitment to implement and
maintain the RRP, as well as a
commitment to the management of
safety risk and a commitment to
continuously seek improvements in the
level of safety.
Paragraph (b) would require an RRP
plan to include a statement describing
the purpose and scope of the railroad’s
RRP. This statement must describe the
railroad’s safety philosophy and safety
culture. A safety philosophy is what a
railroad thinks about safety, while a
safety culture is the railroad’s practices
and behaviors with respect to safety.
This statement must also describe how
the railroad promotes improvements to
its safety culture, the roles and
responsibilities of railroad personnel
(including management) within the
railroad’s RRP, and how any person
utilizing or performing on a railroad’s
behalf significant safety-related services
(including host railroads, contract
operators, shared track/corridor
operators, or other contractors) will
support and participate in the railroad’s
RRP.
Under paragraph (c), an RRP plan
must contain a statement defining the
railroad’s goals for an RRP and
describing clear strategies for reaching
those goals. The central goal of an RRP
is to manage or eliminate hazards and
the resulting risks to reduce the number
and rates of railroad accidents,
incidents, injuries, and fatalities. FRA
believes one way to achieve this central
goal is for a railroad to set forth goals
that are designed in such a way that
when the railroad achieves these goals,
the central goal is achieved as well.
These goals may not be merely vague
aspirations towards general safety
improvement. Rather, as described
further below, the goals must be longterm, meaningful, measurable, and
focused on the mitigation of risks
associated with identified safety
hazards.
• Long-term: Goals must be long-term
so that they are relevant to the railroad’s
RRP. This does not mean that goals
cannot have relevance in the short-term.
Rather, goals must have significance
beyond the short-term and must
continue to contribute to the RRP.
• Meaningful: Goals must be
meaningful so that they are not so broad
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that they cannot be attributed to specific
aspects of the railroad’s operations. The
desired results must be specific and
must have a meaningful impact on
safety.
• Measurable: Goals must be
measurable so that they are designed in
such a way that it is easily determined
whether each goal is achieved or at least
progress is being made to achieve the
goal. A measurable goal is one which is
supported by specific measurable
objectives, which address activities and
outcomes that help achieve the goals.
• The goals must be consistent with
the overall goal of the RRP, in that they
must be focused on the mitigation of
risks arising from identified safety
hazards.
For example, a railroad could have
goals such as reducing the number of
incidents involving run-through
switches, reducing the number of
injuries due to distraction, increasing
the number of days between minor
derailments, or identifying and
eliminating or mitigating hazardous
conditions with a railroad’s processes
and operations. Such goals must be
supported by specific, measurable
objectives. For example, the goal of
identifying and eliminating or
mitigating hazardous conditions with a
railroad’s processes and operations
could be supported by the following
objectives: (1) Increase safety hazard
reporting by 10 percent over the next
year; and (2) initiate mitigation of all
unacceptable hazards within a certain
numbers of months following the riskbased hazard analysis. Whatever the
goal, there should be a specific
measurable objective associated with it,
and once mitigation has enabled a
railroad to reach that goal, resources
should be allowed to shift from
mitigation to maintenance. This goal
specificity is necessary so that a railroad
may be able to determine whether its
RRP is meeting these goals and
effectively improving safety.
Furthermore, the statement required by
proposed paragraph (c) must describe
clear strategies on how the railroad will
achieve these goals. These strategies
will be the railroad’s opportunity to
provide its vision on how these
particular goals will ultimately reduce
the number and rates of railroad
accidents, incidents, injuries, and
fatalities.
Section 271.205—System Description
This section would require an RRP
plan to include a statement describing
the characteristics of the railroad
system. This section would not,
however, require a railroad to describe
every facet of its system in minute
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detail. Rather, the description should be
sufficient to support the identification
of hazards by establishing a basic
understanding of the scope of the
railroad’s system. For example, the
description should contain information
such as the general geographic scope of
the railroad’s system, the total miles of
track that the railroad operates, and
which track segments the railroad
shares with other railroads. More
specifically, the statement must describe
the following:
• A brief history of the railroad,
including when and how the railroad
was established and the major
milestones in the railroad’s history.
Safety culture, operating rules, and
practices have been affected by railroad
mergers and other significant events,
and this information will provide
background as to the railroad’s
organizational history and how it may
have shaped the way in which the
railroad addresses safety risk;
• The railroad’s operations (including
any host operations), including the
roles, responsibilities, and organization
of the railroad operating departments;
• The scope of the service the railroad
provides, including the number of
routes, the major types of freight the
railroad transports (including
intermodal and hazardous materials),
and their respective traffic proportions.
The railroad may also provide a system
map;
• The physical characteristics of the
railroad, including the number of miles
of track the railroad operates over, the
number and types of grade crossings the
railroad operates over, and which track
segments the railroad shares with other
railroads;
• A brief description of the railroad’s
maintenance activities and the type of
maintenance required by the railroad’s
operations and facilities;
• Identification of the size and
location of the railroad’s physical plant,
including major physical assets such as
maintenance facilities, offices, and large
classification yards; and
• Any other aspects of the railroad
pertinent to the railroad’s operations.
The system description must also
identify all persons that utilize or
perform on the railroad’s behalf
significant safety-related services
(including entities such as host
railroads, contract operations, shared
track/corridor operators, or other
contractors). FRA would give a railroad
significant discretion to identify which
persons utilize or provide on its behalf
significant safety-related services. In
interpreting this proposed provision,
emphasis would be placed upon the
words ‘‘significant’’ and ‘‘safety-
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related.’’ FRA does not expect a railroad
to identify every contractor that
provides services. For example, a
railroad would be expected to identify
a signal contractor that routinely
performed services on its behalf, but not
a contractor hired on a one-time basis to
pave a grade crossing. Generally, this
section would require identification of
those persons whose significant safetyrelated services or utilization would be
affected by the railroad’s RRP.
Section 271.207—Consultation Process
Description
Section 271.207 would implement
section 103(g)(1) of the RSIA, which
states that a railroad required to
establish an RRP must ‘‘consult with,
employ good faith and use its best
efforts to reach agreement with, all of its
directly affected employees, including
any non-profit employee labor
organization representing a class or craft
of directly affected employees of the
railroad carrier, on the contents of the
safety risk reduction program.’’ 49
U.S.C. 20156(g)(1). This section would
also implement section 103(g)(2) of the
RSIA, which further provides that if a
‘‘railroad carrier and its directly affected
employees, including any nonprofit
employee labor organization
representing a class or craft of directly
affected employees of the railroad
carrier, cannot reach consensus on the
proposed contents of the plan, then
directly affected employees and such
organizations may file a statement with
the Secretary explaining their views on
the plan on which consensus was not
reached.’’ 49 U.S.C. 20156(g)(2). The
RSIA requires FRA to consider these
views during review and approval of a
railroad’s RRP plan.
As discussed above in section III.B of
the preamble, the proposed language is
essentially identical to that proposed in
the separate SSP NPRM, published on
September 7, 2012, except that it
contains additional language applying
specifically to the unique situations of
railroads with inadequate safety
performance, railroads that have been
reclassified or newly classified as Class
I railroads by the STB, and voluntarilycompliant railroads. While the RSAC
did not provide recommended language
for this section, FRA worked with the
System Safety Task Group to receive
input regarding how the consultation
process should be addressed, with the
understanding that the language would
be provided in both the RRP and SSP
NPRMs for review and comment.
Therefore, FRA seeks comment on this
rule’s proposal regarding the
consultation requirement set forth in
sec. 103(g) of the RSIA. Furthermore,
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while this NPRM does not respond to
comments already received in response
to the already-published SSP NPRM,
FRA will consider comments submitted
to both the SSP and RRP NPRMs
regarding the consultation process
requirements when developing an RRP
final rule. FRA requests comments on
all aspects of the proposed provisions,
and is specifically interested in
comment regarding the proposed
timelines for meeting with directly
affected employees.
Paragraph (a)(1) would implement
sec. 103(g)(1) of the RSIA by requiring
a railroad to consult with its directly
affected employees on the contents of its
RRP plan, including any non-profit
employee labor organization
representing a class or craft of the
railroad’s directly affected employees.
As part of that consultation, a railroad
must utilize good faith and best efforts
to reach agreement with its directly
affected employees on the contents of its
plan.
Paragraph (a)(2) would specify that a
railroad that consults with a non-profit
employee labor organization is
considered to have consulted with the
directly affected employees represented
by that organization.
Paragraph (a)(3) would require a Class
I railroad to meet with its directly
affected employees to discuss the
consultation process no later than 240
days after the publication date of the
final rule. This meeting will be the Class
I railroads’ and directly affected
employees’ opportunity to schedule,
plan, and discuss the consultation
process. FRA does not expect a Class I
railroad to discuss any substantive
material until the information
protection provisions of § 271.11
become applicable. Rather, this initial
meeting should be more administrative
in nature so that both parties
understand the consultation process as
they go forward and so that they may
engage in substantive discussions as
soon as possible after the applicability
date of § 271.11. This will also be an
opportunity to educate the directly
affected employees on risk reduction
and how it may affect them. The Class
I railroad will be required to provide
notice to the directly affected employees
no less than 60 days before the meeting
is scheduled.
Paragraph (a)(4) would require a
railroad with inadequate safety
performance to meet no later than 30
days following FRA’s notification with
its directly affected employees to
discuss the consultation process. The
inadequate safety performance railroad
would have to notify the employees of
this meeting no less than 15 days before
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it is scheduled. Under paragraph (a)(5),
a railroad reclassified or newly
classified by the STB would have to
meet with its directly affected
employees to discuss the consultation
process no later than 30 days following
the effective date of the classification or
reclassification. The reclassified or
newly classified Class I railroad would
also be required to notify its directly
affected employees of the meeting no
less than 15 days before it is scheduled.
FRA specifically requests public
comment on whether this schedule
allows railroads with inadequate safety
performance or reclassified or newly
classified Class I railroads sufficient
time to consult with directly affected
employees.
Paragraph (a)(6) would clarify that
while a voluntarily-compliant railroad
must also consult with its directly
affected employees using good faith and
best efforts, there are no timeline
requirements governing when such
meetings must take place.
Paragraph (a)(7) would direct readers
to proposed appendix B for additional
guidance on how a railroad might
comply with the consultation
requirements of this section. Appendix
B is discussed later in this preamble.
Paragraph (b) would require a railroad
to submit, together with its RRP plan, a
consultation statement. The purpose of
this consultation statement would be
twofold: (1) To help FRA determine
whether the railroad has complied with
§ 271.207(a) by, in good faith, consulting
and using its best efforts to reach
agreement with its directly affected
employees on the contents of its RRP
plan; and (2) to ensure that the directly
affected employees with which the
railroad has consulted were aware of the
railroad’s submission of its RRP plan to
FRA for review. The consultation
statement must contain specific
information described in proposed
paragraphs (b)(1) through (4) of this
section.
Paragraph (b)(1) would require a
consultation statement to contain a
detailed description of the process the
railroad utilized to consult with its
directly affected employees. This
description should contain information
such as (but not limited to) the
following: (1) How many meetings the
railroad held with its directly affected
employees; (2) what materials the
railroad provided its directly affected
employees regarding the draft RRP plan;
and (3) how input from directly affected
employees was received and handled
during the consultation process.
If the railroad is unable to reach
agreement with its directly affected
employees on the contents of its RRP
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plan, paragraph (b)(2) would require
that the consultation statement identify
any areas of non-agreement and provide
the railroad’s explanation for why it
believed agreement was not reached. A
railroad could specify, in this portion of
the statement, whether it was able to
reach agreement on the contents of its
RRP plan with certain directly affected
employees, but not others.
If the RRP plan would affect a
provision of a collective bargaining
agreement between the railroad and a
non-profit employee labor organization,
paragraph (b)(3) would require the
consultation statement to identify any
such provision and explain how the
railroad’s RRP plan would affect it.
Under proposed paragraph (b)(4), the
consultation statement must include a
service list containing the names and
contact information for the
international/national president of any
non-profit employee labor organization
representing directly affected employees
and any directly affected employee not
represented by a non-profit employee
labor organization who significantly
participated in the consultation process.
If an international/national president
did not participate in the consultation
process, the service list must also
contain the name and contact
information for a designated
representative who participated on his
or her behalf. This paragraph would also
require a railroad (at the same time it
submits its proposed RRP plan and
consultation statement to FRA) to
provide individuals identified in the
service list a copy of the RRP plan and
consultation statement. Railroads could
provide the documents to the identified
individuals electronically, or using
other means of service reasonably
calculated to succeed (e.g., sending
identified individuals a hyperlink to a
copy of the submitted RRP plan). This
service list would help FRA determine
whether the railroad had complied with
the § 271.207(a) requirement to consult
with its directly affected employees.
Requiring the railroad to provide
individuals identified in the service list
with a copy of its submitted plan and
consultation statement would also
notify those individuals that they now
have 60 days under § 271.207(c)(2)
(discussed below) to submit a statement
to FRA if they are not able to come to
reach agreement with the railroad on the
contents of the RRP plan.
Paragraph (c)(1) would implement
sec. 103(g)(2) of the RSIA by providing
that, if a railroad and its directly
affected employees cannot reach
agreement on the proposed contents of
an RRP plan, then a directly affected
employee may file a statement with the
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FRA Associate Administrator for
Railroad Safety/Chief Safety Officer
explaining his or her views on the plan
on which agreement was not reached.
See 49 U.S.C. 20156(g)(2). The FRA
Associate Administrator for Railroad
Safety/Chief Safety Officer will consider
any such views during the plan review
and approval process.
Paragraph (c)(2) would specify, as also
provided in § 271.301(a)(1), that a
railroad’s directly affected employees
have 60 days following the railroad’s
submission of its proposed RRP plan to
submit the statement described in
paragraph (c)(1) of this section. FRA
believes 60 days would provide directly
affected employees sufficient time to
review a railroad’s proposed RRP plan
and to draft and submit to FRA a
statement if they were not able to come
to agreement with the railroad on the
contents of that plan. In order to provide
directly affected employees the
opportunity to submit a statement, FRA
would not approve or disapprove a
railroad’s proposed RRP plan before the
conclusion of this 60-day period.
Section 271.209—Consultation on
Amendments
This section would describe the
consultation requirements for
amendments to a railroad’s RRP plan.
Under this section, an RRP plan would
be required to include a description of
the process the railroad will use to
consult with its directly affected
employees on any substantive
amendments to the railroad’s RRP plan.
Examples of substantive amendments
could include the following: the
addition of new stakeholder groups (or
the removal of a stakeholder group);
major changes to the processes
employed, including changes to the
frequency of governing body meetings;
or changing the organizational level of
the manager responsible for the RRP
(e.g., changing from the Chief Safety
Officer to someone who reports to the
Chief Safety Officer). Non-substantive
amendments could include changes that
update any names or addresses included
in the plan. As with its initial RRP plan,
a railroad would be required to use good
faith and best efforts to reach agreement
with directly affected employees on any
substantive amendments to that plan.
Requiring a railroad to detail that
process in its plan would facilitate the
consultation by establishing a known
path to be followed. A railroad that did
not follow this process when
substantively amending its RRP plan
could then be subject to penalties for
failing to comply with the provisions of
its plan. This requirement would not
apply to non-substantive amendments
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(e.g., amendments updating names and
addresses of railroad personnel).
Section 271.211—Risk-Based Hazard
Management Program Process
This section would require an RRP
plan to describe the railroad’s process
for conducting an HMP. As previously
discussed, railroads could look to wellestablished safety management systems
for guidance on how to describe the
process for conducting an HMP, such as
MIL–STD–882, APTA’s Manual for the
Development of System Safety Program
Plans for Commuter Railroads, and
FRA’s Collision Hazard Analysis Guide.
While FRA understands that railroads
subject to a final RRP rule would likely
need to develop processes unique to
their own operations, FRA would expect
a railroad’s HMP process to use
techniques similar to those used by
these types of current safety
management systems. FRA specifically
requests public comment on what
type(s) of guidance could help a railroad
comply with the requirements of this
proposed section.
This section also specifies certain
information that must be contained in
an RRP plan’s description of a railroad’s
HMP process. Under paragraph (a), this
description must specify: (1) The
railroad’s processes for identifying
hazards and the risks associated with
those hazards; (2) the sources the
railroad will use to support the ongoing
identification of hazards and the risks
associated with those hazards; and (3)
the railroad’s processes for comparing
and prioritizing the identified risks for
mitigation purposes.
Paragraph (b) would require an RRP
plan to describe the railroad’s processes
for identifying and selecting mitigation
strategies and for monitoring an
identified hazard through the mitigation
of the risk associated with that hazard.
Section 271.213—Safety Performance
Evaluation Process
This section would require an RRP
plan to describe the railroad’s processes
for measuring its safety culture pursuant
to § 271.105, monitoring safety
performance pursuant to § 271.105(b),
and conducting safety assessments
pursuant to § 271.105(c). Regarding the
requirement for a railroad to describe its
processes for measuring safety culture,
this would require a railroad’s plan to
explain its definition of safety culture
and how the railroad measures whether
that definition is being achieved. For
example, a railroad could define the
parameters by which it measures its
safety culture, and then measure
changes to its safety culture relative to
that initial baseline. Overall, FRA would
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give a railroad substantial flexibility in
determining what safety culture
definition and measurement processes
worked best for its organization.
Section 271.215—Safety Outreach
Process
This section would require an RRP
plan to describe a railroad’s process for
communicating safety information to
railroad personnel and management
pursuant to § 271.107.
Section 271.217—Technology
Implementation Plan Process
This section would require an RRP
plan to describe a railroad’s processes
for conducting a technology analysis
pursuant to § 271.109(b) and for
developing a technology
implementation plan pursuant to
§ 271.109(c).
Section 271.219—Implementation and
Support Training Plan
Paragraph (a) of this section would
require an RRP plan to contain a
training plan describing the railroad’s
processes for training, pursuant to
§ 271.111, employees with significant
responsibility for implementing and
supporting the RRP (including
employees of a person identified
pursuant to § 271.205(a)(3) as utilizing
or performing significant safety-related
services on the railroad’s behalf who
have significant responsibility for
implementing and supporting the
railroad’s RRP).
Paragraph (b) would require the
training plan to specifically describe the
frequency and content of the RRP
training for each position or job function
identified pursuant to § 271.223(b)(3) as
having significant responsibilities for
implementing the RRP.
Section 271.221—Internal Assessment
Process
Paragraph (a) of this section would
require an RRP plan to describe a
railroad’s processes for conducting an
internal assessment of its RRP pursuant
to proposed subpart E. At a minimum,
this description must contain the
railroad’s processes for: (1) Conducting
an internal RRP assessment; (2)
internally reporting the results of its
internal assessment to railroad senior
management; and (3) developing
improvement plans, including
developing and monitoring
recommended improvements (including
any necessary revisions or updates to its
RRP plan) for fully implementing its
RRP, complying with the implemented
elements of the RRP plan, or achieving
the goals identified in the railroad’s RRP
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plan pursuant to § 271.203(c). Paragraph
(b) would be reserved.
Section 271.223—RRP Implementation
Plan
Paragraph (a) of this section would
require an RRP plan to describe how the
railroad would implement its RRP. A
railroad may implement its RRP in
stages, so long as the RRP is fully
implemented within 36 months of
FRA’s approval of the plan. Under
paragraph (b), this implementation plan
must cover the entire implementation
period and contain a timeline
(beginning with the date FRA approved
the railroad’s RRP plan) describing
when certain specific and measurable
implementation milestones will be
achieved. The implementation plan
must also describe the roles and
responsibilities of each position or job
function with significant responsibility
for implementing the railroad’s RRP or
any changes to the railroad’s RRP
(including any such positions or job
functions held by an entity or contractor
that utilizes or performs on the
railroad’s behalf significant safetyrelated services). An implementation
plan must also describe how significant
changes to the railroad’s RRP will be
made.
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Subpart D—Review, Approval, and
Retention of Risk Reduction Program
Plans
The RSIA requires a railroad to
submit its RRP, including any of the
required plans, to the Administrator (as
delegate of the Secretary) for review and
approval. See 49 U.S.C. 20156(a)(1)(B).
Subpart D, Review, Approval, and
Retention of System Safety Program
Plans, would contain requirements
addressing this mandate.
Section 271.301—Filing and Approval
This section would contain
requirements for the filing of an RRP
plan and FRA’s approval process.
Paragraph (a) would require a Class I
railroad to submit one copy of its RRP
plan to the FRA Associate
Administrator for Railroad Safety/Chief
Safety Officer no later than 545 days
after the publication date of the RRP
final rule. A railroad with inadequate
safety performance would be required to
submit its RRP plan no later than 90
days after it receives final written
notification from FRA that it is required
to comply with the RRP rule pursuant
to proposed § 271.13(e), or no later than
545 days after the publication date of
the RRP final rule, whichever is later. A
railroad that the STB reclassifies or
newly classifies as a Class I railroad
shall submits its RRP plan no later than
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90 days following the effective date of
the classification or reclassification, or
no later than 545 days after the
publication date of the RRP final rule,
whichever is later. A voluntarilycompliant railroad could submit an RRP
plan at any time. FRA specifically
requests public comment on whether
electronic submission of an RRP plan
should be permitted and, if so, what
type of process FRA should use to
accept such submissions.
A railroad would be required to
provide certain additional information
as part of its submission. Under
paragraph (a)(1), a submitted RRP plan
would be required to include the
signature, name, title, address, and
telephone number of the chief official
responsible for safety and who bears the
primary managerial authority for
implementing the submitting railroad’s
safety policy. By signing, the chief
official responsible for safety is
certifying that the contents of the RRP
plan are accurate and that the railroad
will implement the contents of the
program as approved by FRA.
Paragraph (a)(2) would require a
submitted RRP plan to contain the
contact information for the primary
person responsible for managing the
RRP for the railroad. This person may be
the same person as the chief official
responsible for safety and who bears the
primary managerial authority for
implementing the submitting railroad’s
safety policy. If it is not the same
person, however, the contact
information for both must be provided.
The contact information for the primary
person managing the RRP is necessary
so that FRA knows who to contact
regarding any issues with the railroad’s
RRP.
Under paragraph (a)(3), the submitted
RRP plan would have to contain the
contact information for the senior
representatives of the persons that the
railroad has determined utilize or
provide significant safety-related
services (including entities such as host
railroads, contract operators, shared
track/corridor operators, and other
contractors). This contact information is
necessary so that FRA is aware of which
persons will be involved in
implementing and supporting the
railroad’s RRP.
Finally, paragraph (a)(4) would
reference proposed § 271.207(b) and
require a railroad to submit the
consultation statement describing how
it consulted with its directly affected
employees on the contents of the RRP
plan. When the railroad provides the
consultation statement to FRA,
proposed § 271.207(b)(4) would also
require the railroad to provide a copy of
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the statement to directly affected
employees identified in a service list.
Directly affected employees could then
file a statement within 60 days after the
railroad filed its consultation statement,
as discussed in proposed § 271.207(c).
Paragraph (b) would describe FRA’s
process for approving a railroad’s RRP
plan. Within 90 days of receipt of an
RRP plan, or within 90 days of receipt
of each RRP plan submitted prior to the
commencement of railroad operations,
FRA would review the proposed RRP
plan to determine if the elements
required by part 271 are sufficiently
addressed, and whether the processes
and resources described by the plan are
sufficient to support effective
implementation of the required RRP
elements. This review would also
consider any statement submitted by
directly affected employees pursuant to
proposed § 271.207(c). This process
would involve continuous
communication between FRA and the
railroad, and FRA intends to work with
a railroad when reviewing its plan and
to keep directly affected employees
informed of this process. If this
communication process results in
substantively significant changes to the
railroad’s submitted RRP plan, FRA may
direct the railroad to consult further
with its directly affected employees
before FRA approves the plan.
Railroads should note the FRA will
not be approving specific mitigation
measures as part of a railroad’s RRP
plan. Rather, a railroad’s RRP plan
should only describe the processes and
procedures the railroad will use to
develop and implement its RRP,
including the processes and procedures
that will be used to identify and
mitigate or eliminate hazards and risks.
FRA does not expect railroads to have
already identified and analyzed hazards
and risks, and to have developed
specific mitigation strategies, at the time
FRA approves the railroad’s RRP plan.
Once FRA determines whether a
railroad’s RRP plan complies with the
requirements of part 271, FRA would
provide the railroad’s primary contact
person written notification of whether
the railroad’s RRP plan is approved or
not. If FRA does not approve a plan, it
would inform the railroad of the specific
points in which the plan is deficient.
FRA would also provide written
notification to each individual
identified in the service list
accompanying the consultation
statement required under proposed
§ 271.207(b)(4). If a railroad receives
notification that the plan is not
approved (including notification of the
specific points in which the plan is
deficient), the railroad would have 60
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days to correct all of the deficiencies
and resubmit the plan to FRA. If these
corrections are substantively significant,
FRA will inform the railroad that it
must consult further with its directly
affected employees about the
corrections and submit an updated
consultation statement with its
corrected RRP plan. Directly affected
employees would also be afforded the
opportunity to submit a statement in
response to the substantively significant
corrections. Directly affected employees
would not be given a second
opportunity, however, to address plan
provisions that were unrelated to the
substantively significant corrections.
Paragraph (c) would specify that all
documents required to be submitted to
FRA under this part may be submitted
electronically pursuant to the
procedures in proposed appendix C to
this part.
Section 271.303—Amendments
This section would address the
process a railroad must follow whenever
it amends its FRA-approved RRP plan,
regardless of whether the amendments
are substantive or non-substantive. If a
railroad makes substantive
amendments, however, it would be
required to follow the process described
in its RRP plan (pursuant to § 271.209)
for consulting with its directly affected
employees. A railroad must submit the
amended RRP plan to FRA not less than
60 days prior to the proposed effective
date of the amendment(s). Along with
the amended RRP plan, the railroad
must also file a cover letter outlining the
proposed change(s) to the original,
approved RRP plan. The cover letter
should provide enough information so
that FRA knows what is being added or
removed from the original approved
RRP. These requirements would not
apply if the proposed amendment is
limited to adding or changing a name,
title, address, or telephone number of a
person, although the railroad would still
be required to file the amended RRP
plan with FRA’s Associate
Administrator for Railroad Safety/Chief
Safety Officer. Such amendments would
be implemented by the railroad upon
filing with FRA.
FRA would review the proposed
amended RRP plan within 45 days of
receipt. FRA would then notify the
railroad’s primary contact person
whether the amended plan has been
approved. If the amended plan is not
approved, FRA would inform the
railroad of the specific points in which
the proposed amendment is deficient. In
some instances, FRA may not be able to
complete its review in 45 days. In these
cases, if FRA fails to timely notify the
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railroad, the railroad may implement
the amendment(s) to the plan, which
may be subject to change once FRA
completes its review. Within 60 days of
receiving notification from FRA that a
proposed amendment has not been
approved, a railroad must provide FRA
either a corrected copy of the
amendment, addressing all deficiencies
noted by FRA, or notice that the railroad
is retracting the amendment. (Railroads
should note that a retracted amendment
would be covered by the information
protections provisions of proposed
§ 271.11, as the amendment would have
been information compiled for the sole
purpose of developing an RRP.)
Through its general oversight, FRA may
also determine that amendments to the
RRP plan are necessary. In these cases,
the FRA would follow the process set
forth in proposed § 271.305.
This section does not propose a
provision for amendments that a
railroad may deem safety-critical.
Because a railroad’s RRP plan would
only explain the processes and
procedures for the program, FRA is
uncertain whether a railroad would ever
need to amend the plan in order to
address a specific safety-critical
concern. Rather, FRA believes that any
such safety-critical concern would
require changes in the way the RRP is
implemented and maintained, rather
than changes in the processes and
procedures outlined in the plan. FRA is
specifically requesting public comment,
however, on whether an RRP plan
would ever need to be amended in a
way that is safety-critical, so that it
would be impractical for a railroad to
submit the amendment 60 days before
its proposed effective date. If so, FRA
would likely include in a final rule a
provision stating that a railroad must
provide FRA a safety-critical
amendment as soon as possible, instead
of 60 days before its proposed effective
date.
Section 271.307—Retention of RRP
Plans
Section 271.305—Reopened Review
Section 271.401—Annual Internal
Assessments
Proposed § 271.305 would provide
that, for cause stated, FRA could reopen
consideration of an RRP plan or
amendment (in whole or in part) after
approval of the plan or amendment. For
example, FRA could reopen review if it
determines that the railroad has not
been complying with its plan/
amendment or if information has been
made available that was not available
when FRA originally approved the plan
or amendment. The determination of
whether to reopen consideration would
be solely within FRA’s discretion and
made on a case-by-case basis.
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Proposed § 271.307 would contain
requirements related to a railroad’s
retention of its RRP plan. A railroad
would be required to retain at its system
and various division headquarters a
copy of its RRP plan and a copy of any
amendments to the plan. A railroad may
comply with this requirement by
making an electronic copy available.
The railroad must make the plan and
any amendments available to
representatives of FRA or States
participating under part 212 of this
chapter for inspection and copying
during normal business hours.
In its tentative agreement document,
the RSAC Working Group advised FRA
to permit only specific RRP-trained FRA
representatives to have the authority to
request access to a railroad’s RRP plan.
FRA is not including this suggestion in
the proposed rule, however, because it
has concerns regarding how it could be
implemented. For example, how could
a railroad know whether or not an FRA
representative has been trained in RRP?
FRA also believes that rule text may not
be the appropriate place for such a
distinction, as the question of which
inspectors have authority to conduct
inspections is an internal FRA matter.
FRA nevertheless is specifically
requesting public comment on both the
proposed rule text and the Working
Group’s suggestion, and the final rule
may contain the Working Group’s
suggestion. FRA would also be
interested in any suggested alternate
approaches that may be included in the
final rule.
Subpart E—Internal Assessments
In order to help ensure that an RRP is
properly implemented and effective, a
railroad would need to evaluate its
program on an annual basis. Subpart E
would contain provisions requiring a
railroad to conduct an internal
assessment of its RRP.
This section would describe the
processes a railroad must use to
evaluate its RRP. Because this
evaluation is an internal assessment, a
railroad could tailor the processes to its
specific operations, and FRA would
work with the railroad to determine the
best method to internally measure the
implementation and effectiveness of the
railroad’s RRP.
Paragraph (a) would require a railroad
to conduct an annual (once every
calendar year) internal assessment of its
RRP. If desired, a railroad could audit
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its program more than once a year. This
internal assessment must begin in the
first calendar year after the calendar
year in which FRA approves the
railroad’s RRP plan. The internal
assessment would determine the extent
to which the railroad has: (1) Achieved
the implementation milestones
described in its RRP plan pursuant to
proposed § 271.223(b); (2) complied
with the elements of its approved RRP
plan that have already been
implemented; (3) achieved the goals
described in its RRP plan pursuant to
proposed § 271.203(c); (4) implemented
previous internal assessment
improvement plans pursuant to
proposed § 271.403; and (5)
implemented previous external audit
improvement plans pursuant to
§ 271.503. A properly executed internal
assessment would provide the railroad
with detailed knowledge of the status of
its program implementation and the
degree to which the program is
effectively reducing risk. The railroad
would be required to ensure that the
results of the assessment of these
various elements are internally reported
to the railroad’s senior management.
Section 271.403—Internal Assessment
Improvement Plans
Paragraph (a) of this section would
require a railroad, within 30 days of
completing its internal assessment, to
develop an improvement plan
addressing the results of its internal
assessment. Paragraph (b) would require
the improvement plan to have at least
four elements. First, the improvement
plan must describe the recommended
improvements that address the findings
of the internal assessment for fully
implementing the railroad’s RRP,
complying with the elements of the RRP
that are already implemented, or
achieving the goals identified in the
RRP plan pursuant to § 271.203(c).
These improvements would include any
necessary revisions or updates to the
RRP plan, which would have to be made
pursuant to the amendment process in
proposed § 271.303. Second, the
improvement plan must identify by
position title the individual who is
responsible for carrying out the
recommended improvements. Third, the
improvement plan must set forth a
timeline that establishes when specific
and measurable milestones for
implementing the recommended
improvements would be achieved.
Finally, the improvement plan must
specify the process for monitoring and
evaluating the effectiveness of the
recommended improvements. FRA
believes that if a railroad’s internal
assessment improvement plan contains
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these four elements, the railroad would
effectively identify any areas in which
the RRP is either improperly
implemented or ineffective at reducing
risk, and could adequately address those
deficiencies.
Section 271.405—Internal Assessment
Reports
Paragraph (a) of this section would
require a railroad to submit a copy of its
internal assessment report to the FRA
Associate Administrator for Railroad
Safety/Chief Safety Officer. The railroad
must submit this report within 60 days
of completing its internal assessment.
Under paragraph (b), the report must be
signed by the railroad’s chief official
responsible for safety who bears primary
managerial authority for implementing
that railroad’s safety policy and contain
at least four elements. First, the report
must describe the railroad’s internal
assessment, including a description of
how the railroad satisfied the
requirements set forth in proposed
§ 271.401(b)(1) through (3). Second, the
report must describe the findings of the
internal assessment. Third, the report
must specifically describe the
recommended improvements set forth
in the railroad’s improvement plan
pursuant to proposed § 271.403. Fourth,
the report must describe the status of
the recommended improvements that
were set forth in the railroad’s recent
internal assessment improvement plan
and any outstanding recommended
improvements from previous internal
assessment improvement plans.
Subpart F—External Audits
This subpart would address FRA’s
process for conducting audits of the
railroad’s RRP and establish
requirements regarding the actions a
railroad must take in response to FRA’s
audits. FRA’s audits would focus on
reviewing the railroad’s RRP process
and ensuring that the railroad is
following the processes and procedures
described in its FRA-approved RRP
plan.
Section 271.501—External Audits
As described in this section, FRA
would conduct (or cause to be
conducted) external audits of a
railroad’s RRP. These audits would
focus on RRP process, evaluating the
railroad’s compliance with the RRP
elements required by this part, as
supported by the railroad’s approved
RRP plan. Because the railroad’s RRP
plan and any amendments would have
already been approved by FRA, this
section would permit FRA to focus on
the extent to which the railroad is
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10979
complying with the processes and
procedures in its own plan.
Similar to the review process for RRP
plans, FRA would not audit a railroad’s
RRP in a vacuum. Rather, FRA would
communicate with the railroad during
the audit and attempt to resolve any
issues before its completion. Once the
audit is completed, FRA would provide
the railroad with written notification of
the audit results. For example, these
results would identify any areas where
the railroad was not properly complying
with its RRP plan, any areas that needed
to be addressed by the railroad’s RRP
but were not, or any other areas in
which FRA found that the railroad and
its program were not in compliance
with this part.
Section 271.503—External Audit
Improvement Plans
This section would establish
requirements for railroad improvement
plans responding to the results of FRA’s
external audit. If the results of the audit
require the railroad to take any
corrective action, paragraph (a) would
provide the railroad 60 days to submit
for FRA approval an improvement plan
addressing any such instances of
deficiency or non-compliance. At a
minimum, paragraph (b) would require
the improvement plan to: (1) Describe
the improvements the railroad would
implement to address the audit findings;
(2) identify by position title the
individual who would be responsible
for carrying out the improvements
necessary to address the audit findings;
and (3) contain a timeline describing
when specific and measurable
milestones for implementing the
recommended improvements would be
achieved. Specification of milestones is
important because it would allow the
railroad to determine the appropriate
progress of the improvements, while
also allowing FRA to gauge the
railroad’s compliance with its
improvement plan.
Under paragraph (c), if FRA does not
approve a railroad’s improvement plan,
FRA would notify the railroad of the
plan’s specific deficiencies. The railroad
would then have no more than 30 days
to amend the improvement plan to
correct the deficiencies identified by
FRA and provide FRA a copy of the
amended improvement plan. Paragraph
(d) would require a railroad to provide
FRA for review, upon the request of the
FRA Associate Administrator for
Railroad Safety/Chief Safety Office, a
status report on the implementation of
the improvements contained in the
improvement plan.
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Appendix A to Part 271—Schedule of
Civil Penalties
Appendix A to part 271 would
contain a schedule of civil penalties for
use in connection with this part.
Because such penalty schedules are
statements of agency policy, notice and
comment are not required prior to their
issuance. See 5 U.S.C. 553(b)(3)(A).
Nevertheless, commenters are invited to
submit suggestions to FRA describing
the types of actions or omissions for
each proposed regulatory section that
would subject a person to the
assessment of a civil penalty.
Commenters are also invited to
recommend what penalties may be
appropriate, based upon the relative
seriousness of each type of violation.
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Appendix B to Part 271—Federal
Railroad Administration Guidance on
the Risk Reduction Program
Consultation Process
Appendix B would contain guidance
on how a railroad could comply with
§ 271.207, which states that a railroad
must in good faith consult with and use
its best efforts to reach agreement with
all of its directly affected employees on
the contents of the RRP plan. The
appendix begins with a general
discussion of the terms ‘‘good faith’’ and
‘‘best efforts,’’ explaining that they are
separate terms and that each has a
specific and distinct meaning. For
example, the good faith obligation is
concerned with a railroad’s state of
mind during the consultation process,
and the best efforts obligation is
concerned with the specific efforts made
by the railroad in an attempt to reach
agreement with its directly affected
employees. The appendix also explains
that FRA will determine a railroad’s
compliance with the § 271.207
requirements on a case-by-case basis
and outlines the potential consequences
for a railroad that fails to consult with
its directly affected employees in good
faith and using best efforts.
The appendix also contains specific
guidance on the process a railroad may
use to consult with its directly affected
employees. This guidance would not
establish prescriptive requirements with
which a railroad must comply, but
would provide a road map for how a
railroad may conduct the consultation
process. The guidance also
distinguishes between employees who
are represented by a non-profit
employee labor organization and
employees who are not, as the processes
a railroad may use to consult with
represented and non-represented
employees could differ significantly.
Overall, however, the appendix stresses
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that there are many compliant ways in
which a railroad may choose to consult
with its directly affected employees and
that FRA believes, therefore, that it is
important to maintain a flexible
approach to the § 271.207 consultation
requirements, so a railroad and its
directly affected employees may consult
in the manner best suited to their
specific circumstances.
Appendix C to Part 271—Procedures for
Submission of Railroad Risk Reduction
Program Plans and Statements From
Directly Affected Employees
Proposed Appendix C would provide
railroads and directly affected
employees the option to file RRP plans
or consultation statements
electronically. FRA intends to create a
secure document submission site and
would need basic information from
railroads or directly affected employees
before setting up a user’s account. In
order to provide secure access,
information regarding the points of
contact would be required. It is
anticipated that FRA would be able to
approve or disapprove all or part of a
program and generate automated
notifications by email to a railroad’s
points of contact. Thus, FRA would
want each point of contact to
understand that by providing any email
addresses, the railroad would be
consenting to receive approval and
disapproval notices from FRA by email.
Railroads that allow notice from FRA by
email would gain the benefit of
receiving such notices quickly and
efficiently. FRA specifically requests
public comment on whether to allow
electronic submission, and on what
electronic formats might be practical
and acceptable.
While the proposed appendix would
request the names and contact
information for two individuals who
would be the railroad’s or directly
affected employees’ points of contact
and who would be the only individuals
allowed access to FRA’s document
submission site, FRA specifically
requests public comment on whether
this is a sufficient number of points of
contact, or whether more would be
necessary, particularly for railroads with
multiple non-profit labor organizations.
Those railroads that would choose to
submit printed materials to FRA would
be required to deliver them directly to
the specified address. Some railroads
may choose to deliver a CD, DVD, or
other electronic storage format to FRA
rather than requesting access to upload
the documents directly to the secure
electronic database. Although that
would be an acceptable method of
submission, FRA would encourage each
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railroad to utilize the electronic
submission capabilities of the system.
Of course, if FRA does not have the
capability to read the type of electronic
storage format sent, FRA would be able
to reject the submission.
FRA may be able to develop a secure
document submission site so that
confidential materials would be
identified and not shared with the
general public. However, FRA does not
expect the information in an RRP plan
to be of such a confidential or
proprietary nature, particularly since
each railroad is required to share the
submitted RRP plan with individuals
identified in the service list pursuant to
§ 271.107(b)(4). RRP records in FRA’s
possession are also exempted from
disclosure under the Freedom of
Information Act pursuant to sec. 109(a)
of the RSIA, and FRA is proposing in
§ 271.11 of this NPRM to protect any
information compiled or collected
solely for the purpose of developing,
implementing, or evaluating an RRP
from discovery, admission into
evidence, or consideration for other
purposes in a Federal or State court
proceeding for damages involving
personal injury, wrongful death, and
property damage. Accordingly, FRA
does not at this time believe it is
necessary to develop a document
submission system which addresses
confidential materials at this time.
IX. Regulatory Impact and Notices
A. Executive Orders 12866 and 13563
and DOT Regulatory Policies and
Procedures
This NPRM has been evaluated in
accordance with existing policies and
procedures, and determined to be
significant under Executive Order
12866, Executive Order 13563, and DOT
policies and procedures. See 44 FR
11034 (Feb. 26, 1979). FRA has prepared
and placed in the docket a regulatory
impact analysis (RIA) addressing the
economic impact of this NPRM.
This NPRM directly responds to the
Congressional mandate of sec. 103 of the
RSIA, which states that FRA shall
require each Class I railroad and
railroads with inadequate safety
performance to establish a railroad
safety risk reduction program. See 49
U.S.C. 20156(a)(1). This NPRM proposes
to implement this mandate by requiring
each Class I railroad and railroad with
inadequate safety performance to
develop and implement a RRP to
improve the safety of their operations.
FRA believes that all of the
requirements of the NPRM are directly
or implicitly required by the RSIA.
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The costs for this proposed regulation
basically stem from the requirements to
have a fully developed and
implemented RRP that is supported by
an RRP plan. The primary costs come
from the development of an ongoing
risk-based HMP, the ongoing evaluation
of safety performance, and the safety
outreach component of the RRP. In
addition, there are costs for the
development of a technology
implementation plan, the consultation
process, and internal assessments.
In analyzing this proposed rule, FRA
has applied DOT’s updated ‘‘Guidance
on the Economic Value of a Statistical
Life in US Department of Transportation
Analyses,’’ published in March 2013.
This policy updated the Value of a
Statistical Life (VSL) from $6.2 million
to $9.1 million and revised guidance
used to compute benefits based on
injury and fatality avoidance in each
year of the analysis based on forecasts
from the Congressional Budget Office of
a 1.07 percent annual growth rate in
median real wages over a 30 year period
(2013–2043). FRA also adjusted wage
based labor costs in each year of the
analysis accordingly. Real wages
represent the purchasing power of
10981
nominal wages. Non-wage inputs are
not impacted. The primary cost and
benefit drivers for this analysis are labor
costs and avoided injuries and fatalities,
both of which in turn depend on wage
rates.
The total cost for this proposed
regulation is $18.6 million,
undiscounted. The discounted costs
over 10 years are $12.7 million, using a
7 percent discount rate, and $15.7
million, using a 3 percent discount rate.
The annualized costs are $1.81 million
at a 7% discount rate and $1.84 million
at a 3% discount rate.
TABLE 1—COSTS (10 YEARS)
RRP NPRM
Costs
Railroads with
inadequate
safety
performance
Total for all
railroads
Annualized
A: General ..................................................................
B: RR Programs .........................................................
C: RRP Plans .............................................................
D: Review and Approval of Plans ..............................
E: Internal Assessments ............................................
F: External Audits ......................................................
$0
14,352,029
791,776
2,387
253,369
42,647
$10,194
2,008,553
743,231
6,362
388,140
25,690
$10,194
16,360,582
1,535,007
8,750
641,509
68,337
..............................
..............................
..............................
..............................
..............................
..............................
Total Cost .........................................................................
(PV 7) ........................................................................
(PV 3) ........................................................................
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Subpart
Subpart
Subpart
Subpart
Subpart
Subpart
Class I railroads
15,442,208
10,699,013
13,095,827
3,182,169
2,039,639
2,610,750
18,624,377
12,738,652
15,706,578
$1,862,438
1,813,698
1,841,290
RRPs create benefits through several
mechanisms. RRPs identify potential
hazards at an early stage, so that
expenditures can be made with a view
to avoiding the hazards, making
expenditures more effective. Because of
these characteristics RRPs identify a
wide array of potential safety issues,
and potential solutions, so that railroads
can use their available resources where
the effect will be most beneficial per
dollar spent. In addition, RRPs help
maintain safety gains over time. When
railroads adopt countermeasures to
safety problems, they may over time
lose the focus that made those
countermeasures effective. With RRP
plans, those safety gains are likely to
continue for longer time periods.
Because of these characteristics of RRP,
safety is improved, while at the same
time costs of countermeasures are
reduced. RRPs can also be instrumental
in addressing hazards that are not welladdressed through conventional safety
programs, such as minor injuries and
incidents, or risks that occur because
safety equipment is not used correctly
or continuously.
It is difficult, if not impossible, to
segregate totally railroad expenses that
go to enhance safety from other railroad
expenses. Track, vehicle, and signal
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maintenance expenses all contribute to
safety on a railroad. Every operational
and maintenance employee, as well as
track or signal inspector, performs
duties with few functions that do not
work to enhance safety. Every capital
expenditure is likely to have a safety
component, whether for equipment,
right-of-way, signal, or facility. RRPs
can increase the safety return on any
investment related to the operation and
maintenance of the railroad. FRA
believes a very conservative estimate of
investment expenditures by all Class I
railroads is $42.7 billion per year. For
purposes of this analysis, FRA assumes
that RRPs will not create benefits until
they are fully implemented by the
railroad, after the third year, and so
cannot improve the effectiveness of
investments until Year 4, after which
they will affect investments through
Year 10. Improved effectiveness of
investment benefits can reasonably be
expected to impact between $188 billion
(discounted at 7 percent) and $244
billion (discounted at 3 percent) over
the next ten years.
Another way to look at the benefits
that might accrue from RRPs is to look
at total Class I freight operation-related
accident/incident costs. For the timeperiod 2001–2010 the total number of
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accidents/incidents (excluding grade
crossing incidents and platform
accidents/incidents) involving Class I
freight railroads was 66,116, which
resulted in 6,956 fatalities and 42,289
injuries. For purposes of this NPRM’s
RIA, FRA used the averages from 2008–
2010 which had 5,325 incidents, 602
fatalities and 3,428 injuries. Of course,
these accidents/incidents also caused
damage to other property, delays on
both railroads and highways, response
costs, and many other costs. Applying
the same methodology used in other
analyses, FRA has found that the total
societal cost of a serious accident/
incident is at least 1.97 times the fatality
costs.16 Societal accident costs include
fatality costs, injury costs, delay costs,
response costs, damage to equipment,
damage to track and structures, and
equipment clearing, although there may
16 See DOT/FRA—‘‘Positive Train Control
Systems, Final Rule, Regulatory Impact Analysis,’’
Document FRA 2008–0132–0060, available at
https://www.regulations.gov/#!documentDetail;
D=FRA-2008-0132-0060. The RIA for FRA’s Positive
Train Control System final rule originally found
that the total societal cost of serious accidents and
incidents is at least 2.33 times the fatality costs. Due
to the revised approach for assessing VSL over time
in accordance with DOT’s Guidance, discussed
above, this number has been revised to 1.97 times
the fatality costs.
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be other societal costs not accounted for.
Those accidents/incidents that are
serious enough to result in fatalities can
result in broader societal costs, as noted
above. Further, some accidents/
incidents, such as grade crossing
accidents, can be quite severe, resulting
in very serious injuries but not a fatality,
resulting in costs per fatality of grade
crossing accidents being more than the
costs of those accidents that result only
in fatalities. FRA believes multiplying
societal costs of fatalities times a factor
of 1.97 to derive total societal cost of
serious accidents/incidents is
conservative. In this case, if the fatality
costs are $9.1 million per fatality, and
the average number of fatalities per year
is 602, then the societal cost of fatalities
is $5.5 billion per year, and the total
societal cost of freight operation related
serious accidents/incidents is $10.8
billion for the base year of 2012.
According to the DOT Guidance issued
in March 2013, the VSL is expected to
increase annually based on an expected
1.07 percent annual growth rate in
median real wages. As noted above, for
purposes of this analysis, FRA assumes
that RRP implementation will not result
in benefits until railroads are required to
fully implement their RRPs, after the
third year, and so cannot reduce
accidents until Year 4, and then will
affect accidents through Year 10. Total
ten-year accident safety costs total
between $77.7 billion (discounted at 7
percent) and $102.3 billion (discounted
at 3 percent).
FRA analyzed what percentage of the
potential accident reduction benefit
pools would have to be saved in order
for the NPRM to have accident
reduction benefits at least equal to costs
that apply to existing Class I railroads.
The results are presented in Table 2
below, which shows the percentage of
the total benefit pools that would need
to be saved in order for the rule to break
even. FRA believes that such savings are
more than attainable. Please note that
the rule would break even if it met
either percentage by itself, and that the
rule would not need to meet both
percentages.
TABLE 2—TEN-YEAR COSTS AS PERCENT OF BENEFIT POOLS FOR CLASS I FREIGHT RAILROADS
Current dollar
value
Benefit pool
Railroad Investment ...................................................................................................
Railroad Incidents ......................................................................................................
With the new VSL policy, DOT also
recommends a sensitivity analysis be
considered using a VSL of $5.2 million
and $12.9 million. Using a VSL of $5.2
million, FRA estimates the break-even
point is less than 3 hundredths of a
percent, and using a VSL of $12.9
million the break-even point is
approximately 1.1 hundredths of a
percent.
In conclusion, FRA is confident that
the accident reduction and cost
effectiveness benefits together would
justify the $12.7 million (discounted at
7 percent) to $15.7 million (discounted
at 3 percent) implementation cost over
the first ten years of the rule as
proposed.
tkelley on DSK3SPTVN1PROD with PROPOSALS3
B. Regulatory Flexibility Act and
Executive Order 13272; Initial
Regulatory Flexibility Analysis
The Regulatory Flexibility Act of 1980
(5 U.S.C. 601 et seq.) and Executive
Order 13272 (67 FR 53461, Aug. 16,
2002) require agency review of proposed
and final rules to assess their impacts on
small entities. An agency must prepare
an initial regulatory flexibility analysis
(IRFA) unless it determines and certifies
that a rule, if promulgated, would not
have a significant economic impact on
a substantial number of small entities.
FRA has not determined whether this
proposed rule would have a significant
economic impact on a substantial
number of small entities. Therefore,
FRA is publishing this IRFA to aid the
public in commenting on the potential
small business impacts of the
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17 FRA’s estimates follow Office of Management
and Budget (OMB) guidance in OMB Circular A–
94 to use real discount rates of 7 and 3 percent for
regulatory analysis.
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3%
0.0068
0.0164
0.0065
0.0154
0.0062
0.0146
requirements in this NPRM. FRA invites
all interested parties to submit data and
information regarding the potential
economic impact on small entities that
would result from the adoption of the
proposals in this NPRM. FRA will
consider all information and comments
received in the public comment process
when making a determination regarding
the economic impact on small entities
in the final rule.
For the railroad industry over a 10year period, FRA estimates that the total
cost for the proposed rule will be $18.6
million, undiscounted; $12.7 million,
discounted at 7 percent; or $15.7
million, discounted at 3 percent.17
Based on information currently
available, FRA estimates that less than
17 percent of the total railroad costs
associated with implementing the
proposed rule would be borne by small
entities.
A Class II or III railroad may be
brought under FRA’s proposed RRP
regulation if FRA determines that the
railroad has inadequate safety
performance. This determination would
be made according to proposed § 271.13.
Based on an initial review and
evaluation, FRA estimates that
approximately 10 railroads that are
considered small entities for the
purpose of this analysis would be found
to have inadequate safety performance
in the initial year of the rule, and would
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therefore be required to comply with
FRA’s RRP requirements. On average,
FRA estimates that five additional Class
III railroads with inadequate safety
performance would be added
incrementally per annum after the first
full year of implementation, and that the
number of railroads with inadequate
safety performance would reach a
maximum of 40 to 45 railroads around
the tenth year of the rule. Together,
these railroads do not compose a
substantial number of the 629 Class III
railroads, which potentially fall under
this proposed rule and would be
evaluated for inadequate safety
performance, and a minor percentage of
the railroad operations impacted
directly by this proposed regulation, as
measured by total employees. Thus, a
very few number of small entities in this
sector would be impacted. In order to
get a better understanding of the total
costs for the entire freight railroad
industry (which forms the basis for the
estimates in this IRFA), or for more cost
detail on any specific requirement,
please see the Regulatory Impact
Analysis (RIA) that FRA has placed in
the docket for this rulemaking.
In accordance with the Regulatory
Flexibility Act, an IRFA must contain:
1. A description of the reasons why
action by the agency is being
considered.
2. A succinct statement of the
objectives of, and the legal basis for, the
proposed rule.
3. A description—and, where feasible,
an estimate of the number—of small
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entities to which the proposed rule will
apply.
4. A description of the projected
reporting, recordkeeping, and other
compliance requirements of the
proposed rule, including an estimate of
the classes of small entities that will be
subject to the requirement and the type
of professional skills necessary for
preparation of the report or record.
5. Identification, to the extent
practicable, of all relevant Federal rules
that may duplicate, overlap, or conflict
with the proposed rule.
tkelley on DSK3SPTVN1PROD with PROPOSALS3
1. Reasons for Considering Agency
Action
FRA has proposed this part 271 in
order to comply with sec. 103 and sec.
109 of the RSIA. The RSIA states, in
part, that FRA shall require each Class
I railroad and railroad with ‘‘inadequate
safety performance’’ to establish a
railroad safety risk reduction
program.18 See 49 U.S.C. 20156, 20118,
and 20119. This proposed rule sets forth
RRP requirements for Class I freight
railroads and railroads with inadequate
safety performance.
2. The Proposed Rule: Objectives and
Legal Basis
The purpose of this proposed rule is
to improve railroad safety through
structured, proactive processes and
procedures developed and implemented
by railroad operators. The proposed rule
would require a railroad to establish an
RRP that systematically evaluates
railroad safety hazards on its system and
manages those risks in order to reduce
the number and rates of railroad
accidents/incidents, injuries, and
fatalities.
The proposed rule would prescribe
minimum Federal safety standards for
the preparation, adoption, and
implementation of RRPs. The proposed
rule does not restrict railroads from
adopting and enforcing additional or
more stringent requirements not
inconsistent with this proposed rule.
The Secretary has delegated the
responsibility to carry out his
responsibilities under both sec. 103 and
sec. 109 of RSIA, as well as the general
responsibility to conduct rail safety
rulemakings, codified at 49 U.S.C.
20103, to the Administrator of FRA. See
49 CFR 1.89(m) and (oo).
The proposed rulemaking would add
to FRA’s regulations a new part 271.
Part 271 would satisfy the RSIA
mandate that FRA require safety risk
reduction programs for Class I freight
18 As discussed elsewhere in this NPRM, the
RSIA mandate to require safety risk reduction
programs for passenger railroads is being addressed
in a separate SSP rulemaking.
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railroads and railroads with inadequate
safety performance. See 49 U.S.C.
20156(a)(1). It would also include
protection from admission or discovery
of certain information compiled or
collected pursuant to a safety RRP. See
49 U.S.C. 20119.
3. Descriptions and Estimates of Small
Entities to Which the Proposed Rule
Would Apply
The universe of the entities
considered in an IRFA generally
includes only those small entities that
can reasonably expect to be directly
regulated by the proposed action. Small
railroads are the types of small entities
potentially affected by this proposed
rule.
A ‘‘small entity’’ is defined in 5 U.S.C.
601(3) as having the same meaning as
‘‘small business concern’’ under sec. 3
of the Small Business Act. This includes
any small business concern that is
independently owned and operated, and
is not dominant in its field of operation.
Title 49 U.S.C. 601(4) likewise includes
within the definition of small entities
non-profit enterprises that are
independently owned and operated, and
are not dominant in their field of
operation.
The U.S. Small Business
Administration (SBA) stipulates in its
size standards that the largest a ‘‘forprofit’’ railroad business firm may be,
and still be classified as a small entity,
is 1,500 employees for ‘‘line haul
operating railroads’’ and 500 employees
for ‘‘switching and terminal
establishments.’’ Additionally, 5 U.S.C.
601(5) defines as small entities
governments of cities, counties, towns,
townships, villages, school districts, or
special districts with populations less
than 50,000.
Federal agencies may adopt their own
size standards for small entities in
consultation with SBA and in
conjunction with public comment.
Pursuant to that authority, FRA has
published a final Statement of Agency
Policy that formally establishes small
entities or small businesses as being
railroads, contractors, and hazardous
materials shippers that meet the revenue
requirements of a Class III railroad as set
forth in 49 CFR 1201.1–1, which is $20
million or less in inflation-adjusted
annual revenues, and commuter
railroads or small governmental
jurisdictions that serve populations of
50,000 or less. See 68 FR 24891, May 9,
2003 (codified as appendix C to 49 CFR
part 209). The $20 million limit is based
on the Surface Transportation Board’s
revenue threshold for a Class III
railroad. Railroad revenue is adjusted
for inflation by applying a revenue
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deflator formula in accordance with 49
CFR 1201.1–1. This definition is what
FRA is proposing to use for the
rulemaking.
Railroads
Class I freight railroads and railroads
with inadequate safety performance
would have to comply with all of the
proposed provisions of part 271.
However, the amount of effort to comply
with the proposed rule is commensurate
with the size of the entity.
In the universe of railroads for
potential compliance under this
proposed rule, there are 7 Class I
railroads, 10 Class II railroads (1 of
which is classified as a passenger
railroad that would be excepted from
the proposed rule), and 629 Class III
freight railroads. Railroads with tourist
operations are excluded, and these
comprise approximately 90 of the total
719 Class III railroads.
To identify the non-Class I railroads
that must comply with the proposed
rule, FRA will annually conduct a twophase analysis to determine which
railroads have inadequate safety
performance. This is accomplished by
the following: (1) A statistically-based
quantitative analysis of fatalities, FRAreportable injuries/illnesses, FRAreportable accidents/incidents, and FRA
safety violations; and (2) a qualitative
assessment that includes input from
affected railroads and their employees.
(See § 271.13 of the proposed rule for a
full description of the process used to
determine inadequate safety
performance.)
As FRA’s initial inadequate safety
performance analysis would occur at
least one year after an RRP final rule
goes into effect, it is impossible to tell
how many railroads with inadequate
safety performance would be required to
comply with the RRP regulation, and
consequently how many of those might
be small businesses. However, using a
recent 3-year rolling average of safety
data to test the selection analytical
process, and accounting for those that
might seek relief through the qualitative
review process, FRA would expect
between 7 and 13 Class III railroads to
qualify initially for the program, or a
simple average of 10; and between 3 and
7, incrementally, per annum thereafter,
or a simple average of 5. FRA expects
the number of inadequate safety
performance railroads to grow each year
by 4 or 5 to a maximum of 40 to 45 by
year 9 or 10, at which point it should
flatten out or actually decline. This
declining involvement is due to several
factors: (1) Safety performance will
improve; (2) after 7 years, some
railroads will seek and receive relief
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from being in the program; (3) the size
of the railroad pool being examined for
inadequate safety performance would
shrink as more railroads are required to
comply with part 271; and (4) railroads
will observe the positive behaviors and
results of those railroads with RRPs and
will embrace the better safety practices
of those railroads as a model. FRA does
not find this number of small railroads
to be a substantial number of small
entities when compared with the 629
small railroads that could potentially be
impacted (i.e., Class III railroads) in the
industry.
FRA intends to provide assistance to
railroads, including small business
entities, in the development of their
RRPs, starting at the planning phase and
continuing through the implementation
phase. The proposed rule is also
scalable in nature, and FRA would
provide assistance to those railroads so
that the scope and content of their RRPs
are proportionate to their size and the
nature of their operation.
As indicated above, FRA would assist
a small entity in preparing its RRP
program and plan. FRA anticipates that
the RRP plan for such an entity would
be a very concise and brief document.
FRA requests comments on these
findings and conclusions.
Contractors
Some railroads use contractors to
perform many different functions on
their railroads. For some of these
railroads, contractors perform safetyrelated functions, such as operating
trains. For the purpose of assessing the
impact of an RRP, contractors fall into
two groups: Larger contractors who
perform a primary operating or
maintenance function for the railroads,
and smaller contractors who perform
ancillary functions to the primary
operations. Larger contractors are
typically large private companies, such
as Sperry Rail Service, or part of an
international conglomerate such as
Balfour Beatty. Smaller contractors may
perform such duties as brush clearing,
painting facilities, etc.
Safety-related policies, work rules,
guidelines, and regulations are imparted
to the small contractors today as part of
their contractual obligations and
qualification to work on the Class I
freight railroads, and potentially to work
for railroads with inadequate safety
performance. FRA sees minimal
additional burden to imparting the same
type of information under each
railroad’s RRP. A very small
administrative burden may result.
Under the proposed rule, contractors
(small or large) who provide significant
safety-related services are not required
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to do anything under the rule. While the
proposed rule requires the railroad to
involve the persons that provide
significant safety-related services in the
railroad’s RRP, it doesn’t require the
entity to do any training. Thus, any
burdens imposed on contractors would
be indirect or taken into account in the
contract with the pertinent railroad or
both. FRA requests comment on these
findings and conclusions.
4. Description of the Projected
Reporting, Recordkeeping, and Other
Compliance Requirements of the Rule
There are reporting, recordkeeping,
and compliance costs associated with
the proposed regulation.
FRA believes that the added burden is
marginal due to the proposed NPRM
requirements. The total 10-year cost of
this proposed rulemaking is $18.6
million, of which FRA estimates $3.2
million or less will be attributable to
small entities ($3.2 million in current
dollars, $2 million at a 7-percent
discount rate, or $2.6 million at a 3percent discount rate.) Based on FRA’s
RIA, which has been placed in the
docket for this proposed rulemaking, the
average railroad with inadequate safety
performance would incur an average of
$13,500 (non-discounted) of burden per
year. If on average railroads with
inadequate safety performance were in
the RRP for eight years, then the lifetime cost would be approximately
$108,000. Previously, FRA sampled
small railroads and found that revenue
averaged approximately $4.7 million
(not discounted) in 2006. One percent of
average annual revenue per small
railroad, or $47,000, is more than three
times the average annual cost that these
railroads will incur because of this
proposed rule. FRA realizes that some
railroads will have lower revenue than
$4.7 million. However, FRA believes
that this average provides a good
representation of the small railroads, in
general.
Overall, FRA believes that the
proposed regulation would not be a
significant economic burden for small
entities. However, due to the small
number of small railroads that are
estimated to be impacted by this
proposed rule, the cost per railroad
could be found to be significant. For a
thorough presentation of cost estimates,
please refer to the RIA, which has been
placed in the docket for this proposed
rulemaking. FRA expects that most of
the skills necessary to comply with the
proposed regulation would be
professional hazard assessment
personnel, and recordkeeping and
reporting personnel.
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The following section outlines the
potential additional burden on small
railroads for each subpart of the
proposed rule:
• Subpart A—General: Risk Reduction
Program Regulation
The policy, purpose, and definitions
outlined in subpart A, alone, would not
impose a significant burden on small
railroads. However, there is the small
requirement for notifying employees of
the railroad that FRA has found that the
railroad may have inadequate safety
performance. This subpart of the
proposed rule would impose less than 1
percent of the total burden for small
entities.
• Subpart B—Risk Reduction Program
Requirements
Subpart B of the proposed rule would
have a more or less proportional effect
directly related to the size and
complexity of a railroad. This subpart of
the proposed rule would impose
approximately 63 percent of the total
burden for small entities. The proposed
requirements in this subpart describe
what must be developed and placed in
the RRP to properly implement the RRP.
More specifically, it requires the
development of the risk-based hazard
analysis, risk-based hazard management
processes, and technology
implementation plans. Because of the
scalable nature of the proposed rule, the
requirements of an RRP would be much
less complex for a small railroad than
they would be for a Class I railroad. This
is due to several characteristics of small
railroads, such as the concentrated
geography of operation in a small area,
the short distance of operation, and a
non-fragmented and non-diffused work
force (in other words, most employees
of a small railroad are located in one
place). Hence, the number and types of
hazards for a small railroad should be
limited. Also, such RRP requirements as
technology plans should not be
burdensome. A small railroad is very
limited in the investments it can place
in new technologies, and what they do
invest in would quite likely be a triedand-true technology that has been
thoroughly tested elsewhere.
• Subpart C—Risk Reduction Program
Plan Requirements
Subpart C of the proposed rule would
have a more or less proportional effect
directly related to the size and
complexity of a railroad. In other words,
it would have less impact on small
entities than it would on Class I
railroads. This subpart of the proposed
rule would impose approximately 23
percent of the total burden for small
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entities. These proposed requirements
describe what must be developed and
placed in the RRP plan to properly
implement the RRP. Specifically, it
requires a plan statement on each
element of the RRP, including safety
policy and goals, system description,
consultation process, risk-based hazard
management processes, technology
plans, internal assessment process, and
an RRP implementation plan. This
proposed subpart is primarily the
paperwork or written plan that supports
the processes and programs in the RRP.
• Subpart D—Review, Approval, and
Retention of Risk Reduction Program
Plans
Subpart D of the proposed rule would
impose less than 1 percent of the total
burden for small entities. The proposed
requirements of this subpart are for the
initial delivery and review of the RRP
plan, as well as delivery of any ongoing
amendments. Since this is initially only
expected to have 10 small railroads
submitting plans for approval and
approximately 5 railroads each year
thereafter, this subpart should have a
very small economic impact.
• Subpart E—Internal Assessments
Subpart E of the proposed rule would
impose approximately 12 percent of the
total burden for small entities. This
burden is for the ongoing cost for the
small railroads to perform an internal
assessment and report on internal audits
on annual basis. As noted above,
initially very few small railroads would
be performing internal assessments,
which would serve to minimize the
economic impact on small railroads.
tkelley on DSK3SPTVN1PROD with PROPOSALS3
• Subpart F—External Audits
Subpart F of the proposed rule would
impose approximately 1 percent of the
total burden for small entities. This
burden is for the ongoing cost for the
small railroads to host an external audit
by FRA or its designees on a periodic
basis. This includes the burden to
produce an improvement plan if such
were required as a result of the external
audit findings. FRA does not expect
more than five of these railroads to
receive an external audit for any given
year.
Market and Competition Considerations
The railroad industry has several
significant barriers to entry, such as the
need to own or otherwise obtain access
to rights-of-way and the high capital
expenditure needed to purchase a fleet,
as well as track and equipment.
Furthermore, the small railroads under
consideration would potentially be
competing only with the trucking
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industry and typically deal with the
transport of commodities or goods that
are not truck-friendly. Thus, while this
proposed rule would have an economic
impact on Class I freight railroads and
railroads with inadequate safety
performance, it should not have an
impact on the competitive position of
small railroads. FRA requests comment
on these findings and conclusions.
5. Identification of Any Duplicative,
Overlapping, or Conflicting Federal
Rules
FRA is not aware of any relevant
Federal rules that may duplicate,
overlap, or conflict with the proposed
rule. In fact, the rule would support
most other safety regulations for railroad
operations.
The Federal Transit Administration
(FTA) first implemented requirements
similar to an RRP in 49 CFR part 659 in
1995, and its requirements can be much
more systemic and encompassing.
However, FTA’s part 659 program
applies to only rapid transit systems, or
portions thereof, that are not subject to
FRA’s rules. See 49 CFR 659.3 and
659.5. Therefore, FTA’s part 659 does
not apply to any of the railroads that are
within the scope of the proposed RRP
rule.
FRA invites all interested parties to
submit data and information regarding
the potential economic impact on small
entities that would result from the
adoption of the proposals in this NPRM.
As noted above FRA has estimated that
railroads with inadequate safety
performance would incur less than 12
percent of the total cost of this proposed
rule. Based on FRA’s RIA, the average
railroad with inadequate safety
performance would incur an average of
$13,500 (non-discounted) of burden per
year. If on average railroads with
inadequate safety performance were in
the RRP for eight years, then the lifetime cost would be approximately
$108,000. Previously, FRA sampled
small railroads and found that revenue
averaged approximately $4.7 million
(not discounted) in 2006. One percent of
average annual revenue per small
railroad, or $47,000, is more than three
times the average annual cost that these
railroads will incur because of this
proposed rule. FRA realizes that some
railroads will have lower revenue than
$4.7 million. However, FRA believes
that this average provides a good
representation of the small railroads, in
general. FRA specifically requests
comments as to whether small railroads
would incur a significant economic
impact from this proposed rule. FRA
will consider all comments received in
the public comment process when
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making a final determination regarding
the economic impact on small entities.
C. Federalism
Executive Order 13132, ‘‘Federalism’’
(64 FR 43255, Aug. 10, 1999), requires
FRA to develop an accountable process
to ensure ‘‘meaningful and timely input
by State and local officials in the
development of regulatory policies that
have federalism implications.’’ ‘‘Policies
that have federalism implications’’ are
defined in the Executive Order to
include regulations that 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.’’ Under Executive
Order 13132, the agency may not issue
a regulation with federalism
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 State and local
governments or the agency consults
with State and local government
officials early in the process of
developing the regulation. Where a
regulation has federalism implications
and preempts State law, the agency
seeks to consult with State and local
officials in the process of developing the
regulation.
This NPRM has been analyzed in
accordance with the principles and
criteria contained in Executive Order
13132. FRA has determined that the
proposed rule 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. In addition, FRA
has determined that this proposed rule
will not impose substantial direct
compliance costs on State and local
governments. Therefore, the
consultation and funding requirements
of Executive Order 13132 do not apply.
This NPRM proposes to add part 271,
Risk Reduction Programs. FRA is not
aware of any State having regulations
similar to proposed part 271. However,
FRA notes that this part could have
preemptive effect by the operation of
law under a provision of the former
Federal Railroad Safety Act of 1970,
repealed and codified at 49 U.S.C.
20106 (Sec. 20106). Sec. 20106 provides
that States may not adopt or continue in
effect any law, regulation, or order
related to railroad safety or security that
covers the subject matter of a regulation
prescribed or order issued by the
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Secretary of Transportation (with
respect to railroad safety matters) or the
Secretary of Homeland Security (with
respect to railroad security matters),
except when the State law, regulation,
or order qualifies under the ‘‘essentially
local safety or security hazard’’
exception to Sec. 20106. Although FRA
is proposing to specify in proposed
§ 271.11(c) that state discovery rules and
sunshine laws that could be used to
require the disclosure of information
protected by § 271.11(a) are preempted,
the purpose of this language is only to
clarify the preemptive effect of Sec.
20106, and is not intended to have
preemptive effect that goes beyond the
operation of Sec. 20106. The proposed
information protection provisions
clearly relate to matters of railroad
safety because, as previously discussed,
49 U.S.C. 20119(b) authorizes FRA to
issue a rule governing the discovery and
use of risk analysis information in
litigation.
In sum, FRA has analyzed this
proposed rule in accordance with the
principles and criteria contained in
Executive Order 13132. As explained
above, FRA has determined that this
proposed rule has no federalism
implications, other than preemption of
State laws under 49 U.S.C. 20106 and
20119. Accordingly, FRA has
determined that preparation of a
federalism summary impact statement
for this proposed rule is not required.
D. International Trade Impact
Assessment
The Trade Agreement Act of 1979
prohibits Federal agencies from
engaging in any standards or related
activities that create unnecessary
obstacles to the foreign commerce of the
United States. Legitimate domestic
objectives, such as safety, are not
considered unnecessary obstacles. The
statute also requires consideration of
international standards and where
appropriate, that they be the basis for
U.S. standards. This rulemaking is
purely domestic in nature and is not
expected to affect trade opportunities
for U.S. firms doing business overseas or
for foreign firms doing business in the
United States.
E. Paperwork Reduction Act
The information collection
requirements in this proposed rule are
being submitted for approval to the
Office of Management and Budget
(OMB) under the Paperwork Reduction
Act of 1995, 44 U.S.C. 3501 et seq. The
sections that contain the new
information collection requirements are
duly designated, and the estimated time
to fulfill each requirement is as follows:
Total
annual
burden
hours
tkelley on DSK3SPTVN1PROD with PROPOSALS3
CFR section/subject
Respondent universe
Total annual responses
Average time per
response
271.7—Waiver Petitions to FRA ................................
271.13—Determination of Inadequate Safety Performance (ISP)—Notice to Employees of ISP
Designation by FRA.
—Employee Confidential Comments to FRA regarding RR ISP Designation.
—RR Documentation to FRA Refuting ISP Designation.
271.101(a)—Risk Reduction Programs (RRPs)—
Class I Railroads.
—Risk Reduction Programs (RRPs)—Inadequate Safety Performance (ISP) Railroads.
(c)—Communication by RRs that host passenger train service with Class I RRs subject
to FRA System Safety Program Requirements.
(d)—RR Identification/Communication with railroads performing significant safety-related
services—Class I RRs.
—RR Identification/Communication with contractors performing significant safety related
services.
(d)—ISP RRs identification/communication w/
entities performing significant safety-related
services.
271.107—Reporting to management risk-based
HMP Activities—Class I.
—Reporting to management—ISP RRs .............
271.111—Implementation Training.
—Employee RRP training—Class I RR .............
—Replacement/new employees: Class I ............
—Employee RRP training—ISP RRs .................
—Employee RRP training records (Class I RRs
+ ISP RRs).
271.201/203—Written
Risk
Reduction
Plans
(RRPs)—Adoption and Implementation of RRP
Plans—Class I.
—Written RRP Plans—ISP RRs ........................
271.207—RR Good Faith Consultation w/Directly Affected Employees—Class I RRs.
—RR Good Faith Consultations—ISP RRs .......
—RR Notification to Employees of Consultation
Meeting—Class I RRs.
—ISP RR Notification to Employees ..................
22 railroads ...............
22 railroads ...............
1 petition ......................
120 notices ..................
80 hours .....................
30 minutes .................
80
60
100 employees ..........
10 comments ...............
30 minutes .................
5
10 railroads ...............
10 document ................
8 hours .......................
80
7 railroads .................
7 RRPs ........................
6,987 hours ................
48,910
10 railroads ...............
10 RRPs ......................
343 hours ...................
3,430
7 railroads .................
40 consults ..................
2 hours .......................
80
7 railroads .................
318 consults ................
2 hours .......................
636
7 railroads .................
1,488 consult ...............
1 hour ........................
1,488
10 railroads ...............
10 consults ..................
4 hours .......................
40
7 railroads .................
84 reports ....................
30 minutes .................
42
10 railroads ...............
120 reports ..................
3 hours .......................
360
150,000 employees ...
150,000 employees ...
1,000 employees .......
17 railroads ...............
1,400 worker ................
140 workers .................
100 workers .................
1,640 records ..............
2
2
2
3
hours .......................
hours .......................
hours .......................
minutes ...................
2,800
280
200
82
7 railroads .................
7 RRP Plans ................
1,152 hours ................
8,064
10 railroads ...............
7 Railroads ................
10 RRP Plans ..............
7 consults ....................
240 hours ...................
200 hours ...................
2,400
1,400
10 Railroads ..............
7 Railroads ................
10 consults ..................
2 notices ......................
20 hours .....................
8 hours .......................
200
16
10 Railroads ..............
1 notice ........................
30 minutes .................
1
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10987
Total
annual
burden
hours
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CFR section/subject
Respondent universe
Total annual responses
Average time per
response
—Voluntarily compliant RR consultation with directly affected employees on RRP Plan contents.
—Copy of RRP Plan/Consultation Statement to
General Chair of Labor Union and to Individuals Identified in RRP Plan Service List.
—Statements from Directly Affected Employees—Class I RRs.
271.209—Substantive Amendments to RRP Plan—
Class I RRs.
Substantive Amendments to RRP Plan—ISP
RRs.
271.301—Filing of RRP Plan w/FRA—Class I RRs +
ISP RRs.
—Class I RR corrected RRP Plan .....................
—FRA requested Class I RR consultation with
directly affected employees regarding substantive corrections/changes to RRP Plan.
271.303—Amendments Consultation w/Directly Affected Employees on Substantive Amendments to
RRP Plan—Class I RRs + ISP RRs.
—Amended RRP Plan—Class I RRs .................
—Amended RRP Plan—ISP RRs ......................
—Amended RRP Plan Disapproved by FRA
and Requiring Correction.
271.307—Retention of RRP Plans—Copies of RRP
Plan/Amendments by RR at System/Division
Headquarters.
217.401/403—RR Internal Assessment/Improvement
Plans—Class I RRs.
—ISP RR Improvement Plans ............................
271.405—Internal Assessment Report Copy to
FRA—Class I RRs.
—Internal Assessment Report Copy to FRA—
ISP RRs.
271.503—External Audit Improvement Plans—Submission of Improvement Plans upon FRA Written
Notice of Agency Audit Results—Class I RRs.
—External Audit Improvement Plans—Submission of Improvement Plans upon FRA Written
Notice of Agency Audit Results—Class I RRs.
—Submission of Amended Improvement Plan
after FRA Disapproval.
—Status Report Requested by FRA concerning
Implementation of Improvements in Improvement Plan.
Appendix B—Request by FRA for Additional Information/Documents to determine whether Railroad
has met Good Faith and Best Efforts Consultation
Requirements of Section 271.207.
—Further Railroad Consultation w/employees
after determination by FRA that railroad did
not use Good Faith/Best Efforts.
—Meeting to discuss Administrative Details of
Consultation Process during the time between Initial Meeting and Applicability Date—
Class I RRs.
—Meeting to discuss Administrative Details of
Consultation Process during the time between Initial Meeting and Applicability Date
–ISP RRs.
—Draft RRP Plan Proposal to Employees—ISP
RRs.
—Employee comments on RRP Plan Draft Proposal.
72 railroads ...............
1 consult/statement .....
20 hours .....................
20
7 Railroads ................
380 plan copies + 380
2 minutes ...................
25
10 Labor Unions .......
3 statements ................
6 hours .......................
18
7 Railroads ................
7 amended plans .........
40 hours .....................
280
10 Railroads ..............
10 amended plans .......
4 hours .......................
40
17 railroads ...............
17 filed plans ...............
2 hours .......................
34
7 railroads .................
7 railroads .................
2 RRP plans ................
2 consulting statements
2 hours .......................
3 hours .......................
4
6
17 railroads ...............
2 consults ....................
60 minutes .................
2
7 railroads .................
10 railroads ...............
7 Railroads ................
7 plans .........................
1 plan ...........................
1 corrected RRP Plan
6 hours .......................
1 hour ........................
80 hours .....................
42
1
80
17 railroads ...............
34 plan copies .............
10 minutes .................
6
7 railroads .................
7 plans .........................
120 hours ...................
840
10 railroads ...............
7 railroads .................
10 plans .......................
7 reports/copies ...........
32 hours .....................
8 hours .......................
320
56
10 railroads ...............
10 reports/copies .........
2 hours .......................
20
7 railroads .................
2 plans .........................
40 hours .....................
80
10 railroads ...............
1 plan ...........................
4 hours .......................
4
7 railroads .................
1 plan ...........................
8 hours .......................
8
7 railroads .................
1 status report .............
8 hours .......................
8
7 railroads .................
3 documents ................
40 hours .....................
120
7 railroads .................
1 consult ......................
8 hours .......................
8
7 railroads .................
7 meetings/consults .....
2 hours .......................
14
10 railroads ...............
10 meetings/consults ...
1 hour ........................
10
10 railroads ...............
2 proposals/copies ......
20 hours .....................
40
100 Employees .........
6 comments .................
1 hour ........................
6
The estimates in this table are based
upon FRA’s general experience and
expertise regarding the railroad industry
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and the development of plans. All
estimates include the time for reviewing
instructions; searching existing data
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sources; gathering or maintaining the
needed data; and reviewing the
information. Pursuant to 44 U.S.C.
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3506(c)(2)(B), FRA solicits comments
concerning: whether these information
collection requirements are necessary
for the proper performance of the
functions of FRA, including whether the
information has practical utility; the
accuracy of FRA’s estimates of the
burden of the information collection
requirements; the quality, utility, and
clarity of the information to be
collected; and whether the burden of
collection of information on those who
are to respond, including through the
use of automated collection techniques
or other forms of information
technology, may be minimized. For
information or a copy of the paperwork
package submitted to OMB, contact Mr.
Robert Brogan, Information Clearance
Officer, at 202–493–6292, or Ms.
Kimberly Toone at 202–493–6132.
Organizations and individuals
desiring to submit comments on the
collection of information requirements
should direct them to Mr. Robert Brogan
or Ms. Kimberly Toone, Federal
Railroad Administration, 1200 New
Jersey Avenue SE., 3rd Floor,
Washington, DC 20590. Comments may
also be submitted via email to Mr.
Brogan or Ms. Toone at the following
address: Robert.Brogan@dot.gov;
Kim.Toone@dot.gov.
OMB is required to make a decision
concerning the collection of information
requirements contained in this proposed
rule between 30 and 60 days after
publication of this document in the
Federal Register. Therefore, a comment
to OMB is best assured of having its full
effect if OMB receives it within 30 days
of publication. The final rule will
respond to any OMB or public
comments on the information collection
requirements contained in this proposal.
FRA is not authorized to impose a
penalty on persons for violating
information collection requirements
which do not display a current OMB
control number, if required. FRA
intends to obtain current OMB control
numbers for any new information
collection requirements resulting from
this rulemaking action prior to the
effective date of the final rule. The OMB
control number, when assigned, will be
announced by separate notice in the
Federal Register.
F. Environmental Assessment
FRA has evaluated this proposed rule
in accordance with its ‘‘Procedures for
Considering Environmental Impacts’’
(FRA’s Procedures) (64 FR 28545, May
26, 1999) as required by the National
Environmental Policy Act (42 U.S.C.
4321 et seq.), other environmental
statutes, Executive Orders, and related
regulatory requirements. FRA has
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determined that this proposed rule is
not a major FRA action (requiring the
preparation of an environmental impact
statement or environmental assessment)
because it is categorically excluded from
detailed environmental review pursuant
to section 4(c)(20) of FRA’s Procedures.
See 64 FR 28547, May 26, 1999. Section
4(c)(20) reads as follows: ‘‘(c) Actions
categorically excluded. Certain classes
of FRA actions have been determined to
be categorically excluded from the
requirements of these Procedures as
they do not individually or
cumulatively have a significant effect on
the human environment. * * * The
following classes of FRA actions are
categorically excluded: * * * (20)
Promulgation of railroad safety rules
and policy statements that do not result
in significantly increased emissions or
air or water pollutants or noise or
increased traffic congestion in any mode
of transportation.’’
In accordance with section 4(c) and
(e) of FRA’s Procedures, the agency has
further concluded that no extraordinary
circumstances exist with respect to this
regulation that might trigger the need for
a more detailed environmental review.
As a result, FRA finds that this
proposed rule is not a major Federal
action significantly affecting the quality
of the human environment.
G. Unfunded Mandates Reform Act of
1995
Pursuant to sec. 201 of the Unfunded
Mandates Reform Act of 1995 (Public
Law 104–4, 2 U.S.C. 1531), each Federal
agency ‘‘shall, unless otherwise
prohibited by law, assess the effects of
Federal regulatory actions on State,
local, and tribal governments, and the
private sector (other than to the extent
that such regulations incorporate
requirements specifically set forth in
law).’’ Section 202 of the Act (2 U.S.C.
1532) further requires that ‘‘before
promulgating any general notice of
proposed rulemaking that is likely to
result in the promulgation of any rule
that includes any Federal mandate that
may result in expenditure by State,
local, and tribal governments, in the
aggregate, or by the private sector, of
$100,000,000 or more (adjusted
annually for inflation) in any 1 year, and
before promulgating any final rule for
which a general notice of proposed
rulemaking was published, the agency
shall prepare a written statement’’
detailing the effect on State, local, and
tribal governments and the private
sector. For the year 2010, this monetary
amount of $100,000,000 has been
adjusted to $143,100,000 to account for
inflation. This proposed rule would not
result in the expenditure of more than
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$143,100,000 by the public sector in any
one year, and thus preparation of such
a statement is not required.
H. Energy Impact
Executive Order 13211 requires
Federal agencies to prepare a Statement
of Energy Effects for any ‘‘significant
energy action.’’ 66 FR 28355, May 22,
2001. Under the Executive Order, a
‘‘significant energy action’’ is defined as
any action by an agency (normally
published in the Federal Register) that
promulgates, or is expected to lead to
the promulgation of, a final rule or
regulation (including a notice of
inquiry, advance notice of proposed
rulemaking, and notice of proposed
rulemaking) that (1)(i) is a significant
regulatory action under Executive Order
12866 or any successor order and (ii) is
likely to have a significant adverse effect
on the supply, distribution, or use of
energy; or (2) is designated by the
Administrator of the Office of
Information and Regulatory Affairs as a
significant energy action. FRA has
evaluated this NPRM in accordance
with Executive Order 13211. FRA has
determined that this NPRM will not
have a significant adverse effect on the
supply, distribution, or use of energy.
Consequently, FRA has determined that
this regulatory action is not a
‘‘significant energy action’’ within the
meaning of Executive Order 13211.
I. Privacy Act Statement
In accordance with 5 U.S.C. 553(c),
DOT solicits comments from the public
to better inform its rulemaking process.
DOT posts these comments, without
edit, including any personal information
the commenter provides, to
www.regulations.gov, as described in
the system of records notice (DOT/ALL–
14 FDMS), which can be reviewed at
www.dot.gov/privacy.
List of Subjects in 49 CFR Part 271
Penalties; Railroad safety; Reporting
and recordkeeping requirements; and
Risk reduction.
The Proposal
In consideration of the foregoing, FRA
proposes to add part 271 to chapter II,
subtitle B of title 49, Code of Federal
Regulations, to read as follows:
PART 271—RISK REDUCTION
PROGRAM
Subpart A—General
Sec.
271.1 Purpose and scope.
71.3 Application.
71.5 Definitions.
271.7 Waivers.
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271.9 Penalties and responsibility for
compliance.
271.11 Discovery and admission as
evidence of certain information.
271.13 Determination of inadequate safety
performance.
271.15 Voluntary compliance.
Subpart B—Risk Reduction Program
Requirements
271.101 Risk reduction programs.
271.103 Risk-based hazard management
program.
271.105 Safety performance evaluation.
271.107 Safety outreach.
271.109 Technology analysis and
technology implementation plan.
271.111 Implementation and support
training.
Subpart C—Risk Reduction Program Plan
Requirements
271.201 General.
271.203 Policy, purpose and scope, and
goals.
271.205 System description.
271.207 Consultation process description.
271.209 Consultation on amendments.
271.211 Risk-based hazard management
program process.
271.213 Safety performance evaluation
process.
271.215 Safety outreach process.
271.217 Technology implementation plan
process.
271.219 Implementation and support
training plan.
271.221 Internal assessment process.
271.223 RRP implementation plan.
§ 271.3
Application.
Subpart A—General
(a) Except as provided in paragraph
(b) of this section, this part applies to—
(1) Class I railroads;
(2) Railroads determined to have
inadequate safety performance pursuant
to § 271.13; and
(3) Railroads that voluntarily comply
with the requirements of this part
pursuant to § 271.15.
(b) This part does not apply to:
(1) Rapid transit operations in an
urban area that are not connected to the
general railroad system of
transportation;
(2) Tourist, scenic, historic, or
excursion operations, whether on or off
the general railroad system of
transportation;
(3) Operation of private cars,
including business/office cars and
circus trains;
(4) Railroads that operate only on
track inside an installation that is not
part of the general railroad system of
transportation (i.e., plant railroads, as
defined in § 271.5); and
(5) Commuter or intercity passenger
railroads that are subject to Federal
system safety program requirements.
§ 271.1
§ 271.5
Subpart D—Review, Approval, and
Retention of Risk Reduction Program Plans
271.301 Filing and approval.
271.303 Amendments.
271.305 Reopened review.
271.307 Retention of RRP plans.
Subpart E—Internal Assessments
271.401 Annual internal assessments.
271.403 Internal assessment improvement
plans.
271.405 Internal assessment reports.
Subpart F—External Audits
271.501 External audits.
271.503 External audit improvement plans.
Appendix A to Part 271—Schedule of Civil
Penalties [Reserved]
Appendix B to Part 271—Federal Railroad
Administration Guidance on the Risk
Reduction Program Consultation Process
Appendix C to Part 271—Procedures for
Submission of Risk Reduction Program
Plans and Statements from Directly
Affected Employees
tkelley on DSK3SPTVN1PROD with PROPOSALS3
by railroads. Each railroad subject to
this part must establish a Risk
Reduction Program (RRP) that
systematically evaluates railroad safety
hazards on its system and manages the
risks associated with those hazards in
order to reduce the number and rates of
railroad accidents/incidents, injuries,
and fatalities.
(b) This part prescribes minimum
Federal safety standards for the
preparation, adoption, and
implementation of RRPs. This part does
not restrict railroads from adopting and
enforcing additional or more stringent
requirements not inconsistent with this
part.
(c) This part prescribes the protection
of information generated solely for the
purpose of developing, implementing,
or evaluating an RRP under this part.
(d) An RRP required by this part is not
intended to address and should not
address the safety of employees while
performing inspections, tests, and
maintenance, except where FRA has
already addressed workplace safety
issues, such as blue signal protection in
part 218 of this chapter. FRA does not
intend to approve any specific portion
of an RRP plan that relates to employee
working conditions.
Authority: 49 U.S.C. 20103, 20106–20107,
20118–20119, 20156, 21301, 21304, 21311;
28 U.S.C. 2461, note; and 49 CFR 1.89.
Purpose and scope.
(a) The purpose of this part is to
improve railroad safety through
structured, proactive processes and
procedures developed and implemented
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Definitions.
As used in this part only—
Accident/incident means—
(1) Any impact between railroad ontrack equipment and a highway user at
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10989
a highway-rail grade crossing. The term
‘‘highway user’’ includes automobiles,
buses, trucks, motorcycles, bicycles,
farm vehicles, pedestrians, and all other
modes of surface transportation
(motorized and un-motorized);
(2) Any collision, derailment, fire,
explosion, act of God, or other event
involving operation of railroad on-track
equipment (standing or moving) that
results in reportable damages greater
than the current reporting threshold
identified in part 225 of this chapter to
railroad on-track equipment, signals,
track, track structures, and roadbed;
(3) Each death, injury, or occupational
illness that is a new case and meets the
general reporting criteria listed in
§ 225.19(d)(1) through (6) of this chapter
if any event or exposure arising from the
operation of a railroad is a discernible
cause of a significant aggravation to a
pre-existing injury or illness. The event
or exposure arising from the operation
of a railroad need only be one of the
discernible causes; it need not be the
sole or predominant cause.
Administrator means the
Administrator of the Federal Railroad
Administration or the Administrator’s
delegate.
FRA means the Federal Railroad
Administration.
FRA Associate Administrator means
the Associate Administrator for Railroad
Safety/Chief Safety Officer, Federal
Railroad Administration, or the
Associate Administrator’s delegate.
Fully implemented means that all
elements of an RRP as described in the
RRP plan are established and applied to
the safety management of the railroad.
Hazard means any real or potential
condition that can cause injury, illness,
or death; damage to or loss of a system,
equipment, or property; or damage to
the environment.
Inadequate safety performance means
safety performance that FRA has
determined to be inadequate based on
the criteria described in § 271.13.
Mitigation strategy means an action or
program intended to reduce or eliminate
the risk associated with a hazard.
Person means an entity of any type
covered under 1 U.S.C. 1, including, but
not limited to, the following: A railroad;
a manager, supervisor, official, or other
employee or agent of a railroad; any
owner, manufacturer, lessor, or lessee of
railroad equipment, track, or facilities;
any independent contractor or
subcontractor providing goods or
services to a railroad; and any employee
of such owner, manufacturer, lessor,
lessee, or independent contractor or
subcontractor.
Pilot project means a limited scope
project used to determine whether
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quantitative proof suggests that a
particular system or mitigation strategy
has potential to succeed on a full-scale
basis.
Plant railroad means a plant or
installation that owns or leases a
locomotive, uses that locomotive to
switch cars throughout the plant or
installation, and is moving goods solely
for use in the facility’s own industrial
processes. The plant or installation
could include track immediately
adjacent to the plant or installation if
the plant railroad leases the track from
the general system railroad and the lease
provides for (and actual practice entails)
the exclusive use of that trackage by the
plant railroad and the general system
railroad for purposes of moving only
cars shipped to or from the plant. A
plant or installation that operates a
locomotive to switch or move cars for
other entities, even if solely within the
confines of the plant or installation,
rather than for its own purposes or
industrial processes, is not considered a
plant railroad because the performance
of such activity makes the operation
part of the general railroad system of
transportation.
Positive train control system means a
system designed to prevent train-to-train
collisions, overspeed derailments,
incursions into established work zone
limits, and the movement of a train
through a switch left in the wrong
position, as described in subpart I of
part 236 of this chapter.
Railroad means—
(1) Any form of non-highway ground
transportation that runs on rails or
electromagnetic guideways, including—
(i) Commuter or other short-haul rail
passenger service in a metropolitan or
suburban area and commuter railroad
service that was operated by the
Consolidated Rail Corporation on
January 1, 1979; and
(ii) High speed ground transportation
systems that connect metropolitan areas,
without regard to whether those systems
use new technologies not associated
with traditional railroads, but does not
include rapid transit operations in an
urban area that are not connected to the
general railroad system of
transportation; and
(2) A person or organization that
provides railroad transportation,
whether directly or by contracting out
operation of the railroad to another
person.
Risk means the combination of the
probability (or frequency of occurrence)
and the consequence (or severity) of a
hazard.
Risk-based HMP means a risk-based
hazard management program.
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Risk reduction means the formal, topdown, organization-wide approach to
managing safety risk and assuring the
effectiveness of safety risk mitigation
strategies. It includes systematic
procedures, practices, and policies for
the management of safety risk.
RRP means a Risk Reduction Program.
RRP plan means a Risk Reduction
Program plan.
Safety culture means the shared
values, actions, and behaviors that
demonstrate a commitment to safety
over competing goals and demands.
Safety performance means a realized
or actual safety accomplishment relative
to stated safety objectives.
Safety outreach means the
communication of safety information to
support the implementation of an RRP
throughout a railroad.
Senior management means personnel
at the highest level of a railroad’s
management who are responsible for
making major policy decisions and longterm business plans regarding the
operation of the railroad.
STB means the Surface
Transportation Board of the United
States.
Tourist, scenic, historic, or excursion
operations means railroad operations
that carry passengers, often using
antiquated equipment, with the
conveyance of the passengers to a
particular destination not being the
principal purpose. Train movements of
new passenger equipment for
demonstration purposes are not tourist,
scenic, historic, or excursion operations.
§ 271.7
Waivers.
(a) A person subject to a requirement
of this part may petition the
Administrator for a waiver of
compliance with such requirement. The
filing of such a petition does not affect
that person’s responsibility for
compliance with that requirement while
the petition is being considered.
(b) Each petition for a waiver under
this section shall be filed in the manner
and contain the information required by
part 211 of this chapter.
(c) If the Administrator finds that a
waiver of compliance is in the public
interest and is consistent with railroad
safety, the Administrator may grant the
waiver subject to any conditions the
Administrator deems necessary.
§ 271.9 Penalties and responsibility for
compliance.
(a) Any person that violates any
requirement of this part or causes the
violation of any such requirement is
subject to a civil penalty of at least $650
and not more than $25,000 per
violation, except that: Penalties may be
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assessed against individuals only for
willful violations, and, where a grossly
negligent violation or a pattern of
repeated violations has created an
imminent hazard of death or injury to
individuals, or has caused death or
injury, a penalty not to exceed $105,000
per violation may be assessed. Each day
a violation continues shall constitute a
separate offense. Any person that
knowingly and willfully falsifies a
record or report required by this part
may be subject to criminal penalties
under 49 U.S.C. 21311 (formerly
codified in 45 U.S.C. 438(e)). Appendix
A to this part contains a schedule of
civil penalty amounts used in
connection with this part.
(b) Although the requirements of this
part are stated in terms of the duty of
a railroad, when any person, including
a contractor or subcontractor to a
railroad, performs any function covered
by this part, that person (whether or not
a railroad) shall perform that function in
accordance with this part.
§ 271.11 Discovery and admission as
evidence of certain information.
(a) Any information (including plans,
reports, documents, surveys, schedules,
lists, or data) compiled or collected for
the sole purpose of developing,
implementing, or evaluating an RRP
under this part, including a railroad
carrier’s analysis of its safety risks
conducted pursuant to § 271.103(b) and
a statement of the mitigation measures
with which it would address those risks
created pursuant to § 271.103(c), shall
not be subject to discovery, admitted
into evidence, or considered for other
purposes in a Federal or State court
proceeding for damages involving
personal injury, wrongful death, or
property damage.
(b) This section does not affect the
discovery, admissibility, or
consideration for other purposes of
information (including plans, reports,
documents, surveys, schedules, lists, or
data) compiled or collected for a
purpose other than that specifically
identified in paragraph (a) of this
section. Such information shall
continue to be discoverable, admissible
into evidence, or considered for other
purposes if it was discoverable,
admissible, or considered for other
purposes prior to the existence of this
section. This includes such information
that either:
(1) Existed prior to [365 DAYS AFTER
THE DATE OF PUBLICATION OF THE
FINAL RULE IN THE FEDERAL
REGISTER];
(2) Was compiled or collected prior to
[365 DAYS AFTER THE DATE OF
PUBLICATION OF THE FINAL RULE
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(ii) A railroad’s on-duty employee
injury/illness rate, calculated using
‘‘Worker on Duty-Railroad Employee
(Class A)’’ information reported on FRA
Forms 6180.55a and 6180.55 pursuant
to FRA’s accident/incident reporting
regulations in part 225 of this chapter.
This rate will be calculated using the
following formula, which gives the rate
of employee injuries and occupational
illnesses per 200,000 employee hours
over a 3-year period:
§ 271.13 Determination of inadequate
safety performance.
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IN THE FEDERAL REGISTER] and that
continues to be compiled or collected;
or
(3) Is compiled or collected after [365
DAYS AFTER THE DATE OF
PUBLICATION OF THE FINAL RULE
IN THE FEDERAL REGISTER].
(c) State discovery rules and sunshine
laws that could be used to require the
disclosure of information protected by
paragraph (a) of this section are
preempted.
Injury/Illness Rate = (Total FRA Reportable
On-Duty Employee Injuries + Total FRA
Reportable On-Duty Employee
Occupational Illnesses over a 3-year
period) ÷ (Total Employee Hours over a
3-year period/200,000)
(a) General. (1) This section describes
FRA’s methodology for determining
which railroads are required to establish
an RRP because they have inadequate
safety performance. FRA’s methodology
will consist of a two-phase annual
analysis, comprised of both a
quantitative analysis and qualitative
assessment, which will include all
railroads except for:
(i) Railroads excluded from this part
under § 271.3(b);
(ii) Railroads already required to
comply with this part;
(iii) Railroads that are voluntarily
complying with this part under
§ 271.15; and
(iv) Except as provided in paragraph
(a)(2) of this section, new start-up
railroads that have reported accident/
incident data to FRA pursuant to part
225 of this chapter for fewer than three
years.
(2) Notwithstanding paragraph
(a)(1)(iv) of this section, railroads
formed through amalgamation of
operations (for example, railroads
formed through consolidations, mergers,
or acquisitions of control) will be
included in the analysis using the
combined data of the pre-amalgamation
entities.
(b) Quantitative analysis. (1)
Methodology. The first phase of FRA’s
annual analysis will be a statisticallybased quantitative analysis of each
railroad within the scope of the
analysis, using historical safety data
maintained by FRA for the three most
recent full calendar years. The purpose
of the quantitative analysis is to make a
threshold identification of railroads that
possibly have inadequate safety
performance. This quantitative analysis
will calculate the following four factors:
(i) A railroad’s number of on-duty
employee fatalities during the 3-year
period, calculated using ‘‘Worker on
Duty-Railroad Employee (Class A)’’
information reported on FRA Form
6180.55a pursuant to FRA’s accident/
incident reporting regulations in part
225 of this chapter;
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(iii) A railroad’s rail equipment
accident/incident rate, calculated using
information reported on FRA Forms
6180.54 and 6180.55 pursuant to FRA’s
accident/incident reporting regulations
in part 225 of this chapter. This rate will
be calculated using the following
formula, which gives the rate of rail
equipment accidents/incidents per
1,000,000 train miles over a 3-year
period:
Rail Equipment Accident/Incident Rate =
Total FRA Reportable Rail Equipment
Accidents/Incidents over a 3-year period
÷ (Total Train Miles over a 3-year period/
1,000,000)
(iv) A railroad’s violation rate. This
rate will be calculated using the
following formula, which gives the rate
of violations issued by FRA to a railroad
per 1,000,000 train miles over a 3-year
period:
Violation Rate = Total FRA Violations over
a 3-year period ÷ (Total Train Miles over a
3-year period/1,000,000)
(2) Identification. The quantitative
analysis will identify railroads as
possibly having inadequate safety
performance if at least one of the
following two conditions exists within
the scope and timeframe of the analysis:
(i) A railroad has one or more fatality;
or
(ii) A railroad is at or above the 95th
percentile in at least two of three factors
described in paragraphs (b)(1)(ii)
through (iv) of this section.
(c) Qualitative assessment. The
second phase of FRA’s analysis will be
a qualitative assessment of railroads
identified in the quantitative analysis as
possibly having inadequate safety
performance.
(1) Notification and railroad/
employee comment. FRA will notify a
railroad in writing if it will be subject
to a qualitative assessment because it
was identified in the quantitative
analysis as possibly having inadequate
safety performance.
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(i) No later than 15 days after
receiving FRA’s written notice, a
railroad shall notify its employees of
FRA’s written notice. This employee
notification shall be posted at all
locations where the railroad reasonably
expects its employees to report and to
have an opportunity to observe the
notice. The notification shall be posted
and remain continuously displayed
until 45 days after FRA’s initial written
notice. Employees who do not have a
regular on-duty point for reporting to
work shall be notified by other means,
in accordance with the railroad’s
standard practice for communicating
with employees. The notification shall
inform railroad employees that they
may confidentially submit comments to
FRA regarding the railroad’s safety
performance for a period of 45 days
following FRA’s initial written notice,
and shall contain instructions for doing
so.
(ii) No later than 45 days after
receiving FRA’s written notice, a
railroad may provide FRA
documentation supporting any claims
that the railroad does not have
inadequate safety performance.
(2) Methodology. No later than 90
days after providing the initial notice to
a railroad identified by the quantitative
analysis, FRA will conduct a qualitative
assessment of the identified railroad and
make a final determination regarding
whether it has inadequate safety
performance. The qualitative assessment
will consider any documentation
provided by the railroad, comments
submitted by railroad employees, and
any other pertinent information.
(d) Final notification and compliance.
FRA will provide a final written notice
to each railroad that receives an initial
written notice, informing the railroad
whether or not FRA determines that the
railroad has demonstrated inadequate
safety performance. A railroad with
inadequate safety performance shall
develop and implement an RRP meeting
the requirements of this part. As
provided by § 271.301(a), a railroad with
inadequate safety performance shall
submit to FRA an RRP plan no later
than 90 days after receiving final written
notice from FRA that it shall comply
with this part, or no later than [545
DAYS AFTER DATE OF PUBLICATION
OF THE FINAL RULE IN THE
FEDERAL REGISTER], whichever is
later.
(e) Compliance. A railroad with
inadequate safety performance shall
comply with the requirements of this
part for a minimum period of five years,
running from the date on which FRA
approves the railroad’s RRP plan
pursuant to subpart D of this part.
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(f) Petition. After the five-year
compliance period, the railroad may
petition FRA for approval to
discontinue compliance with this part.
A petition shall be filed according to the
procedures for waivers contained in part
211 of this chapter. Upon receiving a
petition, FRA will reevaluate the
railroad’s safety performance for the
purpose of determining whether the
railroad’s RRP has resulted in
significant and sustained safety
improvements, and whether these
measured improvements are likely
sustainable in the long term. FRA’s
evaluation will include a quantitative
analysis as described in paragraph (b) of
this section. FRA will also examine
qualitative factors and review
information from FRA RRP audits and
other relevant sources. After completing
its evaluation, FRA will notify the
railroad in writing whether or not it
shall be required to continue
compliance with this part.
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§ 271.15
Voluntary compliance.
(a) General. A railroad not otherwise
subject to this part may voluntarily
comply by establishing and fully
implementing an RRP meeting the
requirements of this part. A voluntary
RRP shall be supported by an RRP plan
that has been submitted to FRA for
approval pursuant to the requirements
of subpart D of this part. After FRA has
approved its RRP plan, a voluntarilycompliant railroad could be subject to
civil penalties or other enforcement
action for failing to comply with the
requirements of this part.
(b) Duration. A voluntarily-compliant
railroad will be required to comply with
the requirements of this part for a
minimum period of five years, running
from the date on which FRA approves
the railroad’s plan pursuant to subpart
D of this part.
(c) Petition. After this five-year
period, a voluntarily-compliant railroad
may petition FRA for approval to
discontinue compliance with this part.
This petition shall be filed according to
the procedures for waivers contained in
part 211 of this chapter.
(d) Discovery and admission as
evidence of certain information. The
information protection provisions found
in § 271.11 apply only to information
compiled or collected pursuant to a
voluntary RRP that is conducted in
accordance with the requirements of
this part.
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Subpart B—Risk Reduction Program
Requirements
§ 271.101
Risk reduction programs.
(a) Program required. Each railroad
shall establish and fully implement an
RRP meeting the requirements of this
part. An RRP shall systematically
evaluate safety hazards on a railroad’s
system and manage the resulting risks to
reduce the number and rates of railroad
accidents/incidents, injuries, and
fatalities. An RRP is not a one-time
exercise, but an ongoing program that
supports continuous safety
improvement. An RRP shall include the
following:
(1) A risk-based hazard management
program, as described in § 271.103;
(2) A safety performance evaluation
component, as described in § 271.105;
(3) A safety outreach component, as
described in § 271.107;
(4) A technology analysis and
technology implementation plan, as
described in § 271.109; and
(5) RRP implementation and support
training, as described in § 271.111.
(b) RRP plans. A railroad’s RRP shall
be supported by an FRA-approved RRP
plan meeting the requirements of
subpart C of this part.
(c) Host railroads and system safety
programs. As part of its RRP, each
railroad that hosts passenger train
service for a railroad subject to FRA
system safety program requirements
shall communicate with the railroad
that provides or operates such passenger
service and coordinate the portions of
the system safety program applicable to
the railroad hosting the passenger train
service.
(d) Persons that utilize or perform
significant safety-related services. Under
§ 271.205(b), a railroad’s RRP plan shall
identify persons utilizing or performing
on the railroad’s behalf significant
safety-related services (including
entities such as host railroads, contract
operators, shared track/corridor
operators, or other contractors utilizing
or performing significant safety-related
services). A railroad shall ensure that
these persons utilizing or performing
significant safety-related services on its
behalf support and participate in its
RRP.
§ 271.103
program.
Risk-based hazard management
(a) General. (1) An RRP shall include
an integrated, system-wide, and ongoing
risk-based hazard management program
(HMP) that proactively identifies
hazards and mitigates the risks resulting
from those hazards.
(2) A risk-based HMP shall be fully
implemented (i.e., activities initiated)
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within 36 months after FRA approves a
railroad’s RRP plan pursuant to
§ 271.301(b).
(b) Risk-based hazard analysis. As
part of its risk-based HMP, a railroad
shall conduct a risk-based hazard
analysis that addresses, at a minimum,
the following aspects of a railroad’s
system: Infrastructure; equipment;
employee levels and work schedules;
operating rules and practices;
management structure; employee
training; and other areas impacting
railroad safety that are not covered by
railroad safety laws or regulations or
other Federal laws or regulations. A
railroad shall make the results of its
risk-based hazard analysis available to
FRA upon request. At a minimum, a
risk-based hazard analysis shall:
(1) Identify hazards by analyzing:
(i) Aspects of the railroad’s system,
including any operational changes,
system extensions, or system
modifications; and
(ii) Accidents/incidents, injuries,
fatalities, and other known indicators of
hazards;
(2) Calculate risk by determining and
analyzing the likelihood and severity of
potential events associated with
identified risk-based hazards; and
(3) Compare and prioritize the
identified risks for mitigation purposes.
(c) Mitigation strategies. (1) As part of
its risk-based HMP, a railroad shall
design and implement mitigation
strategies that improve safety by:
(i) Mitigating or eliminating aspects of
a railroad’s system that increase risks
identified in the risk-based hazard
analysis; and
(ii) Enhancing aspects of a railroad’s
system that decrease risks identified in
the risk-based hazard analysis.
(2) A railroad may use pilot projects,
including pilot projects conducted by
other railroads, to determine whether
quantitative data suggests that a
particular mitigation strategy has
potential to succeed on a full-scale
basis.
§ 271.105
Safety performance evaluation.
(a) General. As part of its RRP, a
railroad shall develop and maintain
ongoing processes and systems for
evaluating the safety performance of its
system and measuring its safety culture.
A railroad’s safety performance
evaluation shall consist of both a safety
monitoring and a safety assessment
component.
(b) Safety monitoring. A railroad shall
monitor the safety performance of its
system by, at a minimum, establishing
processes and systems to acquire safety
data and information from the following
sources:
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(1) Continuous monitoring of
operational processes and systems
(including any operational changes,
system extensions, or system
modifications);
(2) Periodic monitoring of the
operational environment to detect
changes that may generate new hazards;
(3) Investigations of accidents/
incidents, injuries, fatalities, and other
known indicators of hazards;
(4) Investigations of reports regarding
potential non-compliance with Federal
railroad safety laws or regulations,
railroad operating rules and practices, or
mitigation strategies established by the
railroad; and
(5) A reporting system through which
employees can report safety concerns
(including, but not limited to, hazards,
issues, occurrences, and incidents) and
propose safety solutions and
improvements.
(c) Safety assessment. For the purpose
of assessing the need for changes to a
railroad’s mitigation strategies or overall
RRP, a railroad shall establish processes
to analyze the data and information
collected pursuant to paragraph (b) of
this section (as well as any other
relevant data regarding its operations,
products, and services). At a minimum,
this assessment shall:
(1) Evaluate the overall effectiveness
of the railroad’s RRP in reducing the
number and rates of railroad accidents/
incidents, injuries, and fatalities;
(2) Evaluate the effectiveness of the
railroad’s RRP in meeting the goals
described by its RRP plan (see
§ 271.203(c));
(3) Evaluate the effectiveness of risk
mitigations in reducing the risk
associated with an identified hazard.
Any hazards associated with ineffective
mitigation strategies shall be
reevaluated through the railroad’s riskbased HMP, as described in § 271.103;
and
(4) Identify new, potential, or
previously unknown hazards, which
shall then be evaluated by the railroad’s
risk-based HMP, as described in
§ 271.103.
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§ 271.107
Safety outreach.
(a) Outreach. An RRP shall include a
safety outreach component that
communicates RRP safety information
to railroad personnel (including
contractors) as that information is
relevant to their positions. At a
minimum, a safety outreach program
shall:
(1) Convey safety-critical information;
(2) Explain why RRP-related safety
actions are taken; and
(3) Explain why safety procedures are
introduced or changed.
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(b) Reporting to management. The
status of risk-based HMP activities shall
be reported to railroad senior
management on an ongoing basis.
§ 271.109 Technology analysis and
technology implementation plan.
(a) General. As part of its RRP, a Class
I railroad shall conduct a technology
analysis and develop and adopt a
technology implementation plan no
later than [1095 DAYS AFTER DATE OF
PUBLICATION OF THE FINAL RULE
IN THE FEDERAL REGISTER]. A
railroad with inadequate safety
performance shall conduct a technology
analysis and develop and adopt a
technology implementation plan no
later than three years after receiving
final written notification from FRA that
it shall comply with this part, pursuant
to § 271.13(e), or no later than [1095
DAYS AFTER DATE OF PUBLICATION
OF THE FINAL RULE IN THE
FEDERAL REGISTER], whichever is
later. A railroad that the STB reclassifies
or newly classifies as a Class I railroad
shall conduct a technology analysis and
develop and adopt a technology
implementation plan no later than three
years following the effective date of the
classification or reclassification or no
later than [1155 DAYS AFTER DATE OF
PUBLICATION OF THE FINAL RULE
IN THE FEDERAL REGISTER],
whichever is later. A voluntarilycompliant railroad shall conduct a
technology analysis and develop and
adopt a technology implementation plan
no later than three years after FRA
approves the railroad’s RRP plan.
(b) Technology analysis. A technology
analysis shall evaluate current, new, or
novel technologies that may mitigate or
eliminate hazards and the resulting risks
identified through the risk-based hazard
management program. The railroad shall
analyze the safety impact, feasibility,
and costs and benefits of implementing
technologies that will mitigate or
eliminate hazards and the resulting
risks. At a minimum, the technologies a
railroad shall consider as part of its
technology analysis are: processor-based
technologies, positive train control
systems, electronically-controlled
pneumatic brakes, rail integrity
inspection systems, rail integrity
warning systems, switch position
monitors and indicators, trespasser
prevention technology, and highwayrail grade crossing warning and
protection technology.
(c) Technology implementation plan.
A railroad shall develop, and
periodically update as necessary, a
technology implementation plan that
contains a prioritized implementation
schedule describing the railroad
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10993
carrier’s plan for development,
adoption, implementation,
maintenance, and use of current, new,
or novel technologies on its system over
a 10-year period to reduce safety risks
identified in the railroad’s risk-based
hazard management program.
(d) Positive train control. Except as
required by subpart I of part 236 of this
chapter, if a railroad decides to
implement positive train control
systems as part of its technology
implementation plan, the railroad shall
set forth and comply with a schedule for
implementation of the positive train
control system no later than December
31, 2018.
§ 271.111
training.
Implementation and support
(a) A railroad shall provide RRP
training to each employee, including an
employee of any person identified by
the railroad’s RRP plan pursuant to
§ 271.205(a)(3) as utilizing or
performing significant safety-related
services on the railroad’s behalf, who
has significant responsibility for
implementing and supporting the
railroad’s RRP. This training shall help
ensure that all personnel with
significant responsibility for
implementing and supporting the RRP
understand the goals of the program, are
familiar with the elements of the
railroad’s program, and have the
requisite knowledge and skills to fulfill
their responsibilities under the program.
(b) A railroad shall keep a record of
training conducted under this section
and update that record as necessary.
(c) Training under this section may
include, but is not limited to, interactive
computer-based training, video
conferencing, or formal classroom
training.
Subpart C—Risk Reduction Program
Plan Requirements
§ 271.201
General.
A railroad shall adopt and implement
its RRP through a written RRP plan
containing the elements described in
this subpart. A railroad’s RRP plan shall
be approved by FRA according to the
requirements contained in subpart D of
this part.
§ 271.203
goals.
Policy, purpose and scope, and
(a) Policy statement. An RRP plan
shall contain a policy statement
endorsing the railroad’s RRP. This
statement shall be signed by the chief
official at the railroad (e.g., Chief
Executive Officer).
(b) Purpose and scope. An RRP plan
shall contain a statement describing the
purpose and scope of the railroad’s RRP.
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This purpose and scope statement shall
describe:
(1) The railroad’s safety philosophy
and safety culture;
(2) How the railroad promotes
improvements to its safety culture;
(3) The roles and responsibilities of
railroad personnel (including
management) within the railroad’s RRP;
and
(4) How any person that utilizes or
provides significant safety-related
services to a railroad (including host
railroads, contract operators, shared
track/corridor operators, or other
contractors) will support and participate
in the railroad’s RRP.
(c) Goals. An RRP plan shall contain
a statement that defines the specific
goals of the RRP and describes clear
strategies for reaching those goals. These
goals shall be long-term, meaningful,
measurable, and focused on the
mitigation of risks arising from
identified safety hazards.
§ 271.205
System description.
(a) An RRP plan shall contain a
description of the characteristics of the
railroad’s system. At a minimum, the
system description shall:
(1) Support the identification of
hazards by establishing a basic
understanding of the scope of the
railroad’s system;
(2) Include components briefly
describing the railroad’s history,
operations, scope of service,
maintenance, physical plant, and
system requirements; and
(3) Identify all persons that utilize or
perform significant safety-related
services on the railroad’s behalf
(including entities such as host
railroads, contract operations, shared
track/corridor operators, or other
contractors).
(b) [Reserved]
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§ 271.207 Consultation process
description.
(a) General duty. (1) Each railroad
required to establish an RRP under this
part shall in good faith consult with,
and use its best efforts to reach
agreement with, all of its directly
affected employees, including any nonprofit labor organization representing a
class or craft of directly affected
employees, on the contents of the RRP
plan.
(2) A railroad that consults with a
non-profit employee labor organization
is considered to have consulted with the
directly affected employees represented
by that organization.
(3) A Class I railroad shall meet no
later than [240 DAYS AFTER THE
DATE OF PUBLICATION OF THE
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REGISTER] with its directly affected
employees to discuss the consultation
process. The Class I railroad shall notify
the directly affected employees of this
meeting no less than 60 days before it
is scheduled.
(4) A railroad determined to have
inadequate safety performance shall
meet no later than 30 days following
FRA’s notification with its directly
affected employees to discuss the
consultation process. The inadequate
safety performance railroad shall notify
the directly affected employees of this
meeting no less than 15 days before it
is scheduled.
(5) A railroad that the STB reclassifies
or newly classifies as a Class I railroad
shall meet with its directly affected
employees to discuss the consultation
process no later than 30 days following
the effective date of the classification or
reclassification. The reclassified or
newly classified Class I railroad shall
notify the directly affected employees of
this meeting no less than 15 days before
it is scheduled.
(6) A voluntarily-compliant railroad
shall in good faith consult with, and use
its best efforts to reach agreement with,
all of its directly affected employees,
including any non-profit labor
organization representing a class or craft
of directly affected employees, on the
contents of the RRP plan. However, as
there is no deadline for a voluntarilycompliant railroad to file an RRP plan
with FRA, there is also no requirement
for a voluntarily-compliant railroad to
meet with its directly affected
employees within a certain timeframe.
(7) Appendix B to this part contains
guidance on how a railroad might
comply with the requirements of this
section.
(b) Railroad consultation statements.
A railroad required to submit an RRP
plan under § 271.301(a) shall also
submit, together with that plan, a
consultation statement that includes the
following information:
(1) A detailed description of the
process the railroad utilized to consult
with its directly affected employees;
(2) If the railroad was not able to
reach agreement with its directly
affected employees on the contents of its
RRP plan, identification of any known
areas of non-agreement and an
explanation why it believes agreement
was not reached;
(3) If the RRP plan would affect a
provision of a collective bargaining
agreement between the railroad and a
non-profit employee labor organization,
identification of any such provision and
an explanation how the RRP plan would
affect it; and
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(4) A service list containing the names
and contact information for the
international/national president of any
non-profit employee labor organization
representing a class or craft of the
railroad’s directly affected employees
and any directly affected employee not
represented by a non-profit employee
labor organization who significantly
participated in the consultation process.
If an international/national president
did not participate in the consultation
process, the service list shall also
contain the name and contact
information for a designated
representative who participated on his
or her behalf. When a railroad submits
its RRP plan and consultation statement
to FRA, it shall also send a copy of these
documents to all individuals identified
in the service list. A railroad may send
the documents to the identified
individuals via electronic means or
utilizing other service means reasonably
calculated to succeed.
(c) Statements from directly affected
employees. (1) If a railroad and its
directly affected employees cannot
reach agreement on the proposed
contents of an RRP plan, then directly
affected employees may file a statement
with the FRA Associate Administrator
explaining their views on the plan on
which agreement was not reached. The
FRA Associate Administrator shall
consider any such views during the plan
review and approval process.
(2) As provided in § 271.301(a)(4), a
railroad’s directly affected employees
have 60 days following the railroad’s
submission of a proposed RRP plan to
submit the statement described in
paragraph (c)(1) of this section.
§ 271.209
Consultation on amendments.
A railroad’s RRP plan shall include a
description of the process the railroad
will use to consult with its directly
affected employees on any subsequent
substantive amendments to the
railroad’s system safety program. The
requirements of this paragraph do not
apply to non-substantive amendments
(e.g., amendments that update names
and addresses of railroad personnel).
§ 271.211 Risk-based hazard management
program process.
(a) Risk-based hazard analysis. An
RRP plan shall describe the railroad’s
method for conducting its risk-based
hazard analysis pursuant to
§ 271.103(b). The description shall
specify:
(1) The processes the railroad will use
to identify hazards and the risks
associated with those hazards;
(2) The sources the railroad will use
to support the ongoing identification of
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hazards and the risks associated with
those hazards; and
(3) The processes the railroad will use
to compare and prioritize identified
risks for mitigation purposes.
(b) Mitigation strategies. An RRP plan
shall describe the railroad’s processes
for:
(1) Identifying and selecting
mitigation strategies; and
(2) Monitoring an identified hazard
through the mitigation of the risk
associated with that hazard.
§ 271.213
process.
Safety performance evaluation
An RRP plan shall describe a
railroad’s processes for measuring its
safety culture pursuant to § 271.105(a),
monitoring safety performance pursuant
to § 271.105(b), and conducting safety
assessments pursuant to § 271.105(c).
§ 271.215
Safety outreach process.
An RRP plan shall describe a
railroad’s process for communicating
safety information to railroad personnel
and management pursuant to § 271.107.
§ 271.217
process.
Technology implementation plan
(a) An RRP plan shall contain a
description of the railroad’s processes
for:
(1) Conducting a technology analysis
pursuant to § 271.109(b); and
(2) Developing a technology
implementation plan pursuant to
§ 271.109(c).
(b) [Reserved]
tkelley on DSK3SPTVN1PROD with PROPOSALS3
§ 271.219 Implementation and support
training plan.
(a) An RRP plan shall contain a
training plan describing the railroad’s
processes, pursuant to § 271.111, for
training employees with significant
responsibility for implementing and
supporting the RRP (including
employees of a person identified
pursuant to § 271.205(a)(3) as utilizing
or performing significant safety-related
services on the railroad’s behalf who
have significant responsibility for
implementing and supporting the
railroad’s RRP).
(b) The training plan shall describe
the frequency and content of the RRP
training for each position or job function
identified pursuant to § 271.223(b)(3) as
having significant responsibilities for
implementing the RRP.
§ 271.221
Internal assessment process.
(a) An RRP plan shall describe the
railroad’s process for conducting an
internal assessment of its RRP pursuant
to subpart E of this part. At a minimum,
this description shall contain the
railroad’s processes used to:
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(1) Conduct an internal assessment of
its RRP;
(2) Internally report the results of its
internal assessment to railroad senior
management; and
(3) Develop improvement plans,
including developing and monitoring
recommended improvements (including
any necessary revisions or updates to
the RRP plan) for fully implementing
the railroad’s RRP, complying with the
implemented elements of the RRP plan,
or achieving the goals identified in the
railroad’s RRP plan pursuant to
§ 271.203(c).
(b) [Reserved]
§ 271.223
RRP implementation plan.
(a) An RRP plan shall describe how
the railroad will implement its RRP. A
railroad may implement its RRP in
stages, so long as the entire RRP is fully
implemented within 36 months of
FRA’s approval of the plan.
(b) At a minimum, a railroad’s
implementation plan shall:
(1) Cover the entire implementation
period;
(2) Contain a timeline describing
when certain implementation
milestones will be achieved.
Implementation milestones shall be
specific and measurable;
(3) Describe the roles and
responsibilities of each position or job
function that has significant
responsibility for implementing the
railroad’s RRP or any changes to the
railroad’s RRP (including any such
positions or job functions held by an
entity or contractor that utilizes or
performs on the railroad’s behalf
significant safety-related services); and
(4) Describe how significant changes
to the RRP may be made.
Subpart D—Review, Approval, and
Retention of Risk Reduction Program
Plans
§ 271.301
Filing and approval.
(a) Filing. A Class I railroad shall
submit one copy of its RRP plan to the
FRA Associate Administrator for
Railroad Safety/Chief Safety Officer at
Mail Stop 25, 1200 New Jersey Avenue
SE., Washington, DC, 20590, no later
than [545 DAYS AFTER THE DATE OF
PUBLICATION OF THE FINAL RULE
IN THE FEDERAL REGISTER]. A
railroad with inadequate safety
performance shall submit its RRP plan
no later than 90 days after receiving
final written notification from FRA that
it shall comply with this part, pursuant
to § 271.13(d), or no later than [545
DAYS AFTER THE DATE OF
PUBLICATION OF THE FINAL RULE
IN THE FEDERAL REGISTER],
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whichever is later. A railroad that the
STB reclassifies or newly classifies as a
Class I railroad shall submit its RRP
plan no later than 90 days following the
effective date of the classification or
reclassification or no later than [545
DAYS AFTER THE DATE OF
PUBLICATION OF THE FINAL RULE
IN THE FEDERAL REGISTER],
whichever is later. A voluntarilycompliant railroad may submit an RRP
plan at any time. A railroad’s submitted
RRP plan shall include:
(1) The signature, name, title, address,
and telephone number of the chief
official responsible for safety and who
bears the primary managerial authority
for implementing the submitting
railroad’s safety policy. By signing, this
chief official is certifying that the
contents of the RRP plan are accurate
and that the railroad will implement the
contents of the program as approved by
FRA;
(2) The contact information for the
primary person responsible for
managing the RRP;
(3) The contact information for the
senior representatives of the persons
that the railroad has determined utilize
or provide significant safety-related
services (including host railroads,
contract operators, shared track/corridor
operators, and other contractors); and
(4) As required by § 271.207(b), a
statement describing how it consulted
with its directly affected employees on
the contents of its RRP plan. Directly
affected employees have 60 days
following the railroad’s submission of
its proposed RRP plan to file a statement
in accordance with § 271.207(c).
(b) Approval. (1) Within 90 days of
receipt of an RRP plan, or within 90
days of receipt of each RRP plan
submitted prior to the commencement
of railroad operations, FRA will review
the proposed RRP plan to determine if
it sufficiently addresses the required
elements. This review will also consider
any statement submitted by directly
affected employees pursuant to
§ 271.207(c).
(2) FRA will notify the primary
contact person of the submitting
railroad in writing whether FRA has
approved the proposed plan and, if not
approved, the specific points in which
the RRP plan is deficient. FRA will also
provide this notification to each
individual identified in the service list
accompanying the consultation
statement required under
§ 271.207(b)(4).
(3) If FRA does not approve an RRP
plan, the submitting railroad shall
amend the proposed plan to correct all
identified deficiencies and shall provide
FRA a corrected copy no later than 60
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days following receipt of FRA’s written
notice that the submitted plan was not
approved. If FRA determines that the
necessary corrections are substantively
significant, it will direct the railroad to
consult further with its directly affected
employees regarding the corrections. If
the corrections are substantively
significant, a railroad will also be
required to include an updated
consultation statement, along with its
resubmitted plan, pursuant to
§ 217.107(b). Directly affected
employees will also have 30 days
following the railroad’s resubmission of
its proposed RRP plan to file a statement
addressing the substantively significant
changes in accordance with
§ 271.207(c).
(c) Electronic Submission. All
documents required to be submitted to
FRA under this part may be submitted
electronically pursuant to the
procedures in Appendix C to this part.
tkelley on DSK3SPTVN1PROD with PROPOSALS3
§ 271.303
Amendments.
(a) Consultation requirements. For
substantive amendments, a railroad
shall follow the process, described in its
RRP plan pursuant to § 271.209, for
consulting with its directly affected
employees.
(b) Filing. (1) A railroad shall submit
any amendment(s) to its approved RRP
plan to FRA’s Associate Administrator
not less than 60 days prior to the
proposed effective date of the
amendment(s). The railroad shall file
the amendment(s) with a cover letter
outlining the proposed change(s) to the
approved RRP plan.
(2) If the proposed amendment is
limited to adding or changing a name,
title, address, or telephone number of a
person, FRA approval is not required
under the process of this section,
although the railroad shall still file the
amended RRP plan with FRA’s
Associate Administrator for Railroad
Safety/Chief Safety Officer. These
proposed amendments may be
implemented by the railroad upon filing
with FRA. All other proposed
amendments must comply with the
formal approval process described by
this section.
(c) Review. (1) FRA will review a
proposed amendment to an RRP plan
within 45 days of receipt. FRA will then
notify the primary contact person of the
railroad, whether the proposed
amendment has been approved by FRA.
If not approved, FRA will inform the
railroad of the specific points in which
the proposed amendment is deficient.
(2) If FRA has not notified the railroad
by the proposed effective date of the
amendment whether the amendment
has been approved or not, the railroad
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may implement the amendment, subject
to FRA’s decision.
(3) If a proposed RRP plan
amendment is not approved by FRA, no
later than 60 days following the receipt
of FRA’s written notice, the railroad
shall either provide FRA a corrected
copy of the amendment that addresses
all deficiencies noted by FRA or notice
that the railroad is retracting the
amendment.
§ 271.305
Reopened review.
Following approval of an RRP plan or
an amendment to such a plan, FRA may
reopen consideration of the plan or
amendment, in whole or in part, for
cause stated.
§ 271.307
Retention of RRP plans.
(a) Railroads. A railroad shall retain at
its system and division headquarters
one copy of its RRP plan and each
subsequent amendment(s) to that plan.
A railroad may comply with this
requirement by making an electronic
copy available.
(b) Inspection and copying. A railroad
shall make a copy of the RRP plan
available to representatives of the FRA
or States participating under part 212 of
this chapter for inspection and copying
during normal business hours.
Subpart E—Internal Assessments
§ 271.401
Annual internal assessments.
(a) Beginning with the first calendar
year after the calendar year in which
FRA approves a railroad’s RRP plan
pursuant to § 271.301(b), the railroad
shall annually (i.e., once every calendar
year) conduct an internal assessment of
its RRP.
(b) The internal assessment shall
determine the extent to which the
railroad has:
(1) Achieved the implementation
milestones described in its RRP plan
pursuant to § 271.223(b);
(2) Complied with the implemented
elements of the approved RRP plan;
(3) Achieved the goals described in its
RRP plan pursuant to § 271.203(c);
(4) Implemented previous internal
assessment improvement plans
pursuant to § 271.403; and
(5) Implemented previous external
audit improvements plans pursuant to
§ 271.503.
(c) A railroad shall ensure that the
results of its internal assessments are
internally reported to railroad senior
management.
§ 271.403 Internal assessment
improvement plans.
(a) Within 30 days of completing its
internal assessment, a railroad shall
develop an improvement plan that
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addresses the findings of its internal
assessment.
(b) At a minimum, a railroad’s
improvement plan shall:
(1) Describe recommended
improvements (including any necessary
revisions or updates to the RRP plan,
which would be made through the
amendment process described in
§ 271.303) that address the findings of
the internal assessment for fully
implementing the railroad’s RRP,
complying with the implemented
elements of the RRP plan, achieving the
goals identified in the railroad’s RRP
plan pursuant to § 271.203(c), and
implementing previous internal
assessment improvement plans and
external audit improvement plans;
(2) Identify by position title the
individual who is responsible for
carrying out the recommended
improvements;
(3) Contain a timeline describing
when specific and measurable
milestones for implementing the
recommended improvements will be
achieved; and
(4) Specify processes for monitoring
the implementation and evaluating the
effectiveness of the recommended
improvements.
§ 271.405
Internal assessment reports.
(a) Within 60 days of completing its
internal assessment, a railroad shall
submit a copy of an internal assessment
report to the FRA Associate
Administrator for Railroad Safety/Chief
Safety Officer at Mail Stop 25, 1200
New Jersey Avenue SE., Washington,
DC, 20590.
(b) This report shall be signed by the
railroad’s chief official responsible for
safety and who bears primary
managerial authority for implementing
the railroad’s safety policy. The report
shall include:
(1) A description of the railroad’s
internal assessment;
(2) The findings of the internal
assessment;
(3) A specific description of the
recommended improvements contained
in the railroad’s internal assessment
improvement plan, including any
amendments that would be made to the
railroad’s RRP plan pursuant to
§ 271.303; and
(4) The status of the recommended
improvements contained in the
railroad’s internal assessment
improvement plan and any outstanding
recommended improvements from
previous internal assessment
improvement plans.
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Subpart F—External Audits
§ 271.501
External audits.
FRA will conduct (or cause to be
conducted) external audits of a
railroad’s RRP. Each audit shall evaluate
the railroad’s compliance with the
elements of its RRP required by this
part. FRA will provide a railroad written
notice of the audit results.
§ 271.503
plans.
External audit improvement
(a) Submission. Within 60 days of
receiving FRA’s written notice of the
audit results, if necessary, a railroad
shall submit for approval an
improvement plan addressing any
instances of deficiency or noncompliance found in the audit to the
FRA Associate Administrator for
Railroad Safety/Chief Safety Officer at
Mail Stop 25, 1200 New Jersey Avenue
SE., Washington, DC, 20590.
(b) Requirements. At a minimum, an
improvement plan shall:
(1) Describe the improvements the
railroad will implement to address the
audit findings;
(2) Identify by position title the
individual who is responsible for
carrying out the improvements
necessary to address the audit findings;
and
(3) Contain a timeline describing
when milestones for implementing the
recommended improvements will be
achieved. These implementation
milestones shall be specific and
measurable.
(c) Approval. If FRA does not approve
the railroad’s improvement plan, FRA
will notify the railroad of the plan’s
specific deficiencies. The railroad shall
amend the proposed plan to correct the
identified deficiencies and provide FRA
a corrected copy no later than 30 days
following receipt of FRA’s notice that
the proposed plan was not approved.
(d) Status reports. Upon the request of
the FRA Associate Administrator, a
railroad shall provide FRA for review a
status report on the implementation of
the improvements contained in the
improvement plan.
Appendix A to Part 271—Schedule of
Civil Penalties
tkelley on DSK3SPTVN1PROD with PROPOSALS3
[Reserved]
Appendix B to Part 271—Federal Railroad
Administration Guidance on the Risk
Reduction Program Consultation Process
A railroad required to develop a risk
reduction program (RRP) under this part
shall in good faith consult with and use
its best efforts to reach agreement with
its directly affected employees on the
contents of the RRP plan. See
§ 271.207(a)(1). This appendix discusses
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the meaning of the terms ‘‘good faith’’
and ‘‘best efforts,’’ and provides
guidance on how a railroad could
comply with the requirement to consult
with directly affected employees on the
contents of its RRP plan. Specific
guidance will be provided for
employees who are represented by a
non-profit employee labor organization
and employees who are not represented
by any such organization.
I. The Meaning of ‘‘Good Faith’’ and
‘‘Best Efforts’’
‘‘Good faith’’ and ‘‘best efforts’’ are
not interchangeable terms representing a
vague standard for the § 271.207
consultation process. Rather, each term
has a specific and distinct meaning.
When consulting with directly affected
employees, therefore, a railroad shall
independently meet the standards for
both the good faith and best efforts
obligations. A railroad that does not
meet the standard for one or the other
will not be in compliance with the
consultation requirements of § 271.207.
The good faith obligation requires a
railroad to consult with employees in a
manner that is honest, fair, and
reasonable, and to genuinely pursue
agreement on the contents of an RRP
plan. If a railroad consults with its
employees merely in a perfunctory
manner, without genuinely pursuing
agreement, it will not have met the good
faith requirement. A railroad may also
fail to meet its good faith obligation if
it merely attempts to use the RRP plan
to unilaterally modify a provision of a
collective bargaining agreement between
the railroad and a non-profit employee
labor organization.
On the other hand, ‘‘best efforts’’
establishes a higher standard than that
imposed by the good faith obligation,
and describes the diligent attempts that
a railroad shall pursue to reach
agreement with its employees on the
contents of its RRP plan. While the good
faith obligation is concerned with the
railroad’s state of mind during the
consultation process, the best efforts
obligation is concerned with the specific
efforts made by the railroad in an
attempt to reach agreement. This would
include considerations such as whether
a railroad had held sufficient meetings
with its employees, or whether the
railroad had made an effort to respond
to feedback provided by employees
during the consultation process. For
example, a railroad would not meet the
best efforts obligation if it did not
initiate the consultation process in a
timely manner, and thereby failed to
provide employees sufficient time to
engage in the consultation process. A
railroad would also likely not meet the
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best efforts obligation if it presented
employees with an RRP plan and only
permitted the employees to express
agreement or disagreement on the plan
(assuming that the employees had not
previously indicated that such a
consultation would be acceptable). A
railroad may, however, wish to hold off
substantive consultations regarding the
contents of its RRP plan until one year
after publication of the rule in order to
ensure that information generated as
part of the process is protected from
discovery and admissibility into
evidence under § 271.11 of the rule.
Generally, best efforts are measured by
the measures that a reasonable person in
the same circumstances and of the same
nature as the acting party would take.
Therefore, the standard imposed by the
best efforts obligation may vary with
different railroads, depending on a
railroad’s size, resources, and number of
employees.
When reviewing RRP plans, FRA will
determine on a case-by-case basis
whether a railroad has met its § 271.207
good faith and best efforts obligations.
This determination will be based upon
the consultation statement submitted by
the railroad pursuant to § 271.207(b)
and any statements submitted by
employees pursuant to § 271.207(c). If
FRA finds that these statements do not
provide sufficient information to
determine whether a railroad used good
faith and best efforts to reach agreement,
FRA may investigate further and contact
the railroad or its employees to request
additional information. (FRA also
expects a railroad’s directly affected
employees to utilize good faith and best
efforts when negotiating on the contents
of an RRP plan. If FRA’s review and
investigation of the statements
submitted by the railroad under
§ 271.207(b) and the directly affected
employees under § 271.207(c) reveal
that the directly affected employees did
not utilize good faith and best efforts,
FRA could consider this as part of its
approval process.)
If FRA determines that a railroad did
not use good faith and best efforts, FRA
may disapprove the RRP plan submitted
by the railroad and direct the railroad to
comply with the consultation
requirements of § 271.207. Pursuant to
§ 271.301(b)(3), if FRA does not approve
the RRP plan, the railroad will have 60
days, following receipt of FRA’s written
notice that the plan was not approved,
to correct any deficiency identified. In
such cases, the identified deficiency
would be that the railroad did not use
good faith and best efforts to consult
and reach agreement with its directly
affected employees. If a railroad then
does not submit to FRA within 60 days
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an RRP plan meeting the consultation
requirements of § 271.207, the railroad
could be subject to penalties for failure
to comply with § 271.301(b)(3).
II. Guidance on How a Railroad May
Consult With Directly Affected
Employees
Because the standard imposed by the
best efforts obligation will vary
depending upon the railroad, there may
be countless ways for various railroads
to comply with the consultation
requirements of § 271.207. Therefore,
FRA believes it is important to maintain
a flexible approach to the § 271.207
consultation requirements, in order to
give a railroad and its directly affected
employees the freedom to consult in a
manner best suited to their specific
circumstances.
FRA is nevertheless providing
guidance in this appendix as to how a
railroad may proceed when consulting
(utilizing good faith and best efforts)
with employees in an attempt to reach
agreement on the contents of an RRP
plan. FRA believes this guidance may be
useful as a starting point for railroads
that are uncertain about how to comply
with the § 271.207 consultation
requirements. This guidance
distinguishes between employees who
are represented by a non-profit
employee labor organization and
employees who are not, as the processes
a railroad may use to consult with
represented and non-represented
employees could differ significantly.
This guidance does not establish
prescriptive requirements with which a
railroad shall comply, but merely
outlines a consultation process a
railroad may choose to follow. A
railroad’s consultation statement could
indicate that the railroad followed the
guidance in this appendix as evidence
that it utilized good faith and best
efforts to reach agreement with its
employees on the contents of an RRP
plan.
tkelley on DSK3SPTVN1PROD with PROPOSALS3
(a) Employees Represented by a NonProfit Employee Labor Organization
As provided in § 271.207(a)(2), a
railroad consulting with the
representatives of a non-profit employee
labor organization on the contents of an
RRP plan will be considered to have
consulted with the directly affected
employees represented by that
organization.
A railroad could utilize the following
process as a roadmap for using good
faith and best efforts when consulting
with represented employees in an
attempt to reach agreement on the
contents of an RRP plan.
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(1) Pursuant to § 271.207(a)(3), a
railroad shall meet with representatives
from a non-profit employee labor
organization (representing a class or
craft of the railroad’s directly affected
employees) within 240 days from [THE
DATE OF PUBLICATION OF THE
FINAL RULE IN THE FEDERAL
REGISTER] to begin the process of
consulting on the contents of the
railroad’s RRP plan. A railroad should
provide notice at least 60 days before
the scheduled meeting.
(2) During the time between the initial
meeting and the applicability date of
§ 271.11 the parties may meet to discuss
administrative details of the
consultation process as necessary.
(3) Within 60 days after [365 DAYS
AFTER THE DATE OF PUBLICATION
OF THE FINAL RULE IN THE
FEDERAL REGISTER], a railroad
should have a meeting with the
representatives of the directly affected
employees to discuss substantive issues
with the RRP plan.
(4) Within 180 days after [365 DAYS
AFTER THE DATE OF PUBLICATION
OF THE FINAL RULE IN THE
FEDERAL REGISTER], a railroad would
file its RRP plan with FRA.
(5) As provided by § 271.207(c), if
agreement on the contents of an RRP
plan could not be reached, a labor
organization (representing a class or
craft of the railroad’s directly affected
employees) could file a statement with
the FRA Associate Administrator
explaining its views on the plan on
which agreement was not reached.
(b) Employees Who Are Not
Represented by a Non-Profit Employee
Labor Organization
FRA recognizes that some (or all) of
a railroad’s directly affected employees
may not be represented by a non-profit
employee labor organization. For such
non-represented employees, the
consultation process described for
represented employees may not be
appropriate or sufficient. For example,
FRA believes that a railroad with nonrepresented employees shall make a
concerted effort to ensure that its nonrepresented employees are aware that
they are able to participate in the
development of the railroad’s RRP plan.
FRA therefore is providing the following
guidance regarding how a railroad may
utilize good faith and best efforts when
consulting with non-represented
employees on the contents of its RRP
plan.
(1) Within 120 days from [THE DATE
OF PUBLICATION OF THE FINAL
RULE IN THE FEDERAL REGISTER], a
railroad should notify non-represented
employees that—
PO 00000
Frm 00050
Fmt 4701
Sfmt 4702
(A) The railroad is required to consult
in good faith with, and use its best
efforts to reach agreement with, all
directly affected employees on the
proposed contents of its RRP plan;
(B) Non-represented employees are
invited to participate in the consultation
process (and include instructions on
how to engage in this process); and
(C) If a railroad is unable to reach
agreement with its directly affected
employees on the contents of the
proposed RRP plan, an employee may
file a statement with the FRA Associate
Administrator explaining his or her
views on the plan on which agreement
was not reached.
(2) This initial notification (and all
subsequent communications, as
necessary or appropriate) could be
provided to non-represented employees
in the following ways:
(A) Electronically, such as by email or
an announcement on the railroad’s Web
site;
(B) By posting the notification in a
location easily accessible and visible to
non-represented employees; or
(C) By providing all non-represented
employees a hard copy of the
notification.
A railroad could use any or all of
these methods of communication, so
long as the notification complies with
the railroad’s obligation to utilize best
efforts in the consultation process.
(3) Following the initial notification
(and before the railroad submits its RRP
plan to FRA), a railroad should provide
non-represented employees a draft
proposal of its RRP plan. This draft
proposal should solicit additional input
from non-represented employees, and
the railroad should provide nonrepresented employees 60 days to
submit comments to the railroad on the
draft.
(4) Following this 60-day comment
period and any changes to the draft RRP
plan made as a result, the railroad
should submit the proposed RRP plan to
FRA, as required by this part.
(5) As provided by § 271.207(c), if
agreement on the contents of an RRP
plan cannot be reached, then a nonrepresented employee may file a
statement with the FRA Associate
Administrator explaining his or her
views on the plan on which agreement
was not reached.
Appendix C to Part 271—Procedures
for Submission of Railroad Risk
Reduction Program Plans and
Statements From Directly Affected
Employees
This appendix establishes procedures
for the submission of a railroad’s RRP
plan and statements by directly affected
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employees in accordance with the
requirements of this part.
tkelley on DSK3SPTVN1PROD with PROPOSALS3
Submission by a Railroad and Directly
Affected Employees
(a) As provided for in § 271.101, each
railroad must establish and fully
implement an RRP that continually and
systematically evaluates railroad safety
hazards on its system and manages the
resulting risks to reduce the number and
rates of railroad accidents, incidents,
injuries, and fatalities. The RRP shall be
fully implemented and supported by a
written RRP plan. Each railroad must
submit its RRP plan to FRA for approval
as provided for in § 271.201.
(b) As provided for in § 271.207(c), if
a railroad and its directly affected
employees cannot come to agreement on
the proposed contents of the railroad’s
RRP plan, the directly affected
employees have 30 days following the
railroad’s submission of its proposed
RRP plan to submit a statement to the
FRA Associate Administrator for
Railroad Safety/Chief Safety Officer
explaining the directly affected
employees’ views on the plan on which
agreement was not reached.
(c) The railroad’s and directly affected
employees’ submissions shall be sent to
the Associate Administrator for Railroad
Safety/Chief Safety Officer, FRA. The
mailing address for FRA is 1200 New
Jersey Avenue SE., Washington, DC
20590. When a railroad submits its RRP
plan and consultation statement to FRA
VerDate Sep<11>2014
19:02 Feb 26, 2015
Jkt 235001
pursuant to § 270.201, it must also
simultaneously send a copy of these
documents to all individuals identified
in the service list pursuant to
§ 271.107(b)(4).
(d) Each railroad and directly affected
employee is authorized to file by
electronic means any submissions
required under this part. Prior to any
person submitting anything
electronically, the person shall provide
the Associate Administrator with the
following information in writing:
(1) The name of the railroad or
directly affected employee(s);
(2) The names of two individuals,
including job titles, who will be the
railroad’s or directly affected
employees’ points of contact and will be
the only individuals allowed access to
FRA’s secure document submission site;
(3) The mailing addresses for the
railroad’s or directly affected
employees’ points of contact;
(4) The railroad’s system or main
headquarters address located in the
United States;
(5) The email addresses for the
railroad’s or directly affected
employees’ points of contact; and
(6) The daytime telephone numbers
for the railroad’s or directly affected
employees’ points of contact.
(e) A request for electronic
submission or FRA review of written
materials shall be addressed to the
Associate Administrator for Railroad
Safety/Chief Safety Officer, Federal
PO 00000
Frm 00051
Fmt 4701
Sfmt 9990
10999
Railroad Administration, 1200 New
Jersey Avenue SE., Washington, DC
20590. Upon receipt of a request for
electronic submission that contains the
information listed above, FRA will then
contact the requestor with instructions
for electronically submitting its program
or statement. A railroad that
electronically submits an initial RRP
plan or new portions or revisions to an
approved program required by this part
shall be considered to have provided its
consent to receive approval or
disapproval notices from FRA by email.
FRA may electronically store any
materials required by this part
regardless of whether the railroad that
submits the materials does so by
delivering the written materials to the
Associate Administrator and opts not to
submit the materials electronically. A
railroad that opts not to submit the
materials required by this part
electronically, but provides one or more
email addresses in its submission, shall
be considered to have provided its
consent to receive approval or
disapproval notices from FRA by email
or mail.
Issued in Washington, DC on February 11,
2015, under the authority provided by 49
U.S.C. 20156.
Sarah Feinberg,
Acting Administrator.
[FR Doc. 2015–03268 Filed 2–26–15; 8:45 am]
BILLING CODE 4910–06–P
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Agencies
[Federal Register Volume 80, Number 39 (Friday, February 27, 2015)]
[Proposed Rules]
[Pages 10949-10999]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2015-03268]
[[Page 10949]]
Vol. 80
Friday,
No. 39
February 27, 2015
Part IV
Department of Transportation
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Federal Railroad Administration
49 CFR Part 271
Risk Reduction Program; Proposed Rule
Federal Register / Vol. 80 , No. 39 / Friday, February 27, 2015 /
Proposed Rules
[[Page 10950]]
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DEPARTMENT OF TRANSPORTATION
Federal Railroad Administration
49 CFR Part 271
[Docket No. FRA-2009-0038, Notice No. 1]
RIN 2130-AC11
Risk Reduction Program
AGENCY: Federal Railroad Administration (FRA), Department of
Transportation (DOT).
ACTION: Notice of proposed rulemaking (NPRM).
-----------------------------------------------------------------------
SUMMARY: The Rail Safety Improvement Act of 2008 requires the
development and implementation of railroad safety risk reduction
programs. This NPRM proposes to implement this mandate by requiring
each Class I railroad and each railroad with inadequate safety
performance to develop and implement a Risk Reduction Program (RRP) to
improve the safety of their operations. RRP is a comprehensive, system-
oriented approach to safety that determines an operation's level of
risk by identifying and analyzing applicable hazards and involves
developing plans to mitigate, if not eliminate, that risk. Each RRP
would be statutorily required to include a risk analysis and a
technology implementation plan. An RRP would be implemented by a
written RRP plan that has been submitted to FRA for review and
approval. A railroad would be required to conduct an annual internal
assessment of its RRP, and a railroad's RRP processes and procedures
would be externally audited by FRA.
DATES: Written comments must be received by April 28, 2015. Comments
received after that date will be considered to the extent possible
without incurring additional expense or delay.
FRA anticipates being able to resolve this rulemaking without a
public, oral hearing. However, if FRA receives a specific request for a
public, oral hearing prior to March 30, 2015, one will be scheduled and
FRA will publish a supplemental notice in the Federal Register to
inform interested parties of the date, time, and location of any such
hearing.
ADDRESSES: Comments: Comments related to Docket No. FRA-2009-0038,
Notice No. 1, may be submitted by any of the following methods:
Web site: The Federal eRulemaking Portal,
www.regulations.gov. Follow the Web site's online instructions for
submitting comments.
Fax: 202-493-2251.
Mail: Docket Management Facility, U.S. Department of
Transportation, 1200 New Jersey Avenue SE., Room W12-140, Washington,
DC 20590.
Hand Delivery: Docket Management Facility, U.S. Department
of Transportation, 1200 New Jersey Avenue SE., Room W12-140 on the
Ground level of the West Building, between 9 a.m. and 5 p.m., Monday
through Friday, except Federal holidays.
Instructions: All submissions must include the agency name, docket
name and docket number or Regulatory Identification Number (RIN) for
this rulemaking (2130-AC11). Note that all comments received will be
posted without change to https://www.regulations.gov, including any
personal information provided. Please see the Privacy Act heading in
the SUPPLEMENTARY INFORMATION section of this document for Privacy Act
information related to any submitted comments or materials.
Docket: For access to the docket to read background documents or
comments received, go to https://www.regulations.gov at any time or
visit the Docket Management Facility, U.S. Department of
Transportation, 1200 New Jersey Avenue SE., Room W12-140 on the Ground
level of the West Building, between 9 a.m. and 5 p.m., Monday through
Friday, except Federal holidays.
FOR FURTHER INFORMATION CONTACT: Miriam Kloeppel, Staff Director, Risk
Reduction Program Division, U.S. Department of Transportation, Federal
Railroad Administration, Office of Railroad Safety, Mail Stop 25, West
Building 3rd Floor, 1200 New Jersey Avenue SE., Washington, DC 20590
(telephone: 202-493-6224), Miriam.Kloeppel@dot.gov; or Elizabeth Gross,
Trial Attorney, U.S. Department of Transportation, Federal Railroad
Administration, Office of Chief Counsel, Mail Stop 10, West Building
3rd Floor, 1200 New Jersey Avenue SE., Washington, DC 20590 (telephone:
202-493-1342), Elizabeth.Gross@dot.gov.
SUPPLEMENTARY INFORMATION:
Table of Contents for Supplementary Information
I. Introduction
A. Executive Summary
B. Abbreviations
II. Background and History
A. What is a Risk Reduction Program?
B. Passenger Railroads and System Safety Programs
C. Other Federal Safety Management System Programs
D. Risk Reducing FRA Programs
III. Statutory Background
A. Rail Safety Improvement Act of 2008
B. Related System Safety Rulemaking
C. Related Fatigue Management Plans Rulemaking
IV. Proceedings to Date
A. Advance Notice of Proposed Rulemaking (ANPRM)
B. Public Hearings
C. Railroad Safety Advisory Committee
1. Risk Reduction Program (RRP) Working Group
2. Working Group Tentative Agreement Vote
V. Railroads With Inadequate Safety Performance
VI. Risk Reduction Information Protection
A. Exemption From Freedom of Information Act Disclosure
B. Discovery and Other Use of Risk Analysis Information in
Litigation
1. The RSIA Mandate
2. The Study and Its Conclusions
3. FRA's Proposal
VII. RRP Plan Consultation Requirements
VIII. Section-by-Section Analysis
IX. Regulatory Impact and Notices
A. Executive Orders 12866 and 13563 and DOT Regulatory Policies
and Procedures
B. Regulatory Flexibility Act and Executive Order 13272; Initial
Regulatory Flexibility Analysis
C. Federalism
D. International Trade Impact Assessment
E. Paperwork Reduction Act
F. Environmental Assessment
G. Unfunded Mandates Reform Act of 1995
H. Energy Impact
I. Privacy Act
I. Introduction
A. Executive Summary
The proposed rulemaking would add to FRA's regulations a new part,
which would require each Class I railroad and each railroad with
inadequate safety performance to develop and implement a Risk Reduction
Program (RRP). An RRP is a structured program with proactive processes
and procedures developed and implemented by a railroad to identify
hazards and to mitigate, if not eliminate, the risks associated with
those hazards on its system. An RRP encourages a railroad and its
employees to work together to proactively identify hazards and to
jointly determine what action to take to mitigate or eliminate the
associated risks.
FRA understands that each railroad that would be subject to the RRP
rule would have a unique operating system, and that not all railroads
have the same amount of resources. Best practices for implementing an
RRP would therefore differ from railroad to railroad. Accordingly, the
proposed RRP rule does not establish prescriptive requirements that may
be appropriate for one railroad but unworkable for another. Instead,
the rule proposes only general, performance-based requirements. This
approach would
[[Page 10951]]
provide each railroad a substantial amount of flexibility to tailor
those requirements to its specific operations.
FRA is proposing this RRP rule as part of its efforts to
continually improve rail safety and to satisfy the statutory mandate
contained in sec. 103 and sec. 109 of the Rail Safety Improvement Act
of 2008 (RSIA), Public Law 110-432, Division A, 122 Stat. 4848 et seq.,
codified at 49 U.S.C. 20156, and 20118-20119. The proposed RRP rule is
a performance-based rule, and FRA seeks comments on all aspects of the
proposed rule.
Section 103 of the RSIA directs the Secretary of Transportation
(Secretary) to issue a regulation requiring Class I railroads, railroad
carriers that provide intercity rail passenger or commuter rail
passenger transportation (passenger railroads), and railroads with
inadequate safety performance to develop, submit to the Secretary for
review and approval, and implement a railroad safety risk reduction
program. The proposed rule would implement this mandate for Class I
freight railroads and railroads with inadequate safety performance. A
railroad not otherwise required to comply with the proposed rule would
also be permitted to voluntarily submit an RRP plan for FRA review and
approval. A separate system safety program (SSP) rulemaking would
similarly implement this mandate for passenger railroads, and an SSP
NPRM was published by FRA on September 7, 2012, 77 FR 55372.
Section 109 of the RSIA specifies that certain risk reduction
records obtained by the Secretary are exempt from the public disclosure
requirements of the Freedom of Information Act (FOIA). This exemption
is subject to two exceptions for disclosure necessary to enforce or
carry out any Federal law and disclosure when a record is comprised of
facts otherwise available to the public and FRA has determined that
disclosure would be consistent with the confidentiality needed for
RRPs. See 49 U.S.C. 20118. FRA therefore believes that railroad risk
reduction records in its possession would generally be exempted from
mandatory disclosure under FOIA. Unless one of the two exceptions
provided by the RSIA would apply, FRA would withhold disclosing any
such records in response to a FOIA request. See 5 U.S.C. 552(b)(3) and
49 CFR 7.13(c)(3).
Section 109 of the RSIA also authorizes the Secretary to issue a
regulation protecting from discovery and admissibility into evidence in
litigation certain information generated for the purpose of developing,
implementing, or evaluating an RRP. Currently, the proposed rule would
implement sec. 109 with respect to RRPs covered by this proposed part.
If an SSP final rule is published before an RRP final rule, however,
the information protection provisions contained in the SSP final rule
would specifically apply to information generated for an RRP as well.
The Secretary has delegated the responsibility to carry out his
responsibilities under both sec. 103 and sec. 109 of RSIA, as well as
the general responsibility to conduct rail safety rulemakings, codified
at 49 U.S.C. 20103, to the Administrator of FRA. See 49 CFR 1.89(m) and
(oo).
The primary component of an RRP would be an ongoing risk-based
hazard management program (risk-based HMP), supported by a risk-based
hazard analysis. A properly implemented risk-based HMP would identify
hazards and the associated risks on the railroad's system, compare and
prioritize the identified risks for mitigation purposes, and develop
mitigation strategies to address the risks. An RRP would also be
required to contain the following additional components: a safety
performance evaluation; a safety outreach component; and a technology
analysis and technology implementation plan (which would consider
various technologies that may mitigate or eliminate identified hazards
and the associated risks). A railroad would also be required to provide
RRP training to employees who have significant responsibility for
implementing and supporting the railroad's RRP.
Implementation of an RRP would be supported by a written risk
reduction program plan (RRP plan) describing the railroad's processes
and procedures for implementing the requirements for an RRP. An RRP
plan would not be required to contain the results of a railroad's risk-
based hazard analysis or to describe specific mitigation strategies. An
RRP plan would also be required to contain certain elements that
support the development of an RRP, such as a policy statement, a
statement of the railroad's RRP goals, a description of the railroad's
system, and an RRP implementation plan.
An RRP could be successful only if a railroad engaged in a robust
assessment of the hazards and associated risks on its system. However,
a railroad may be reluctant to reveal such hazards and risks if there
is the possibility that such information may be used against it in a
court proceeding for damages. In sec. 109 of the RSIA, Congress
directed FRA to conduct a study to determine if it was in the public
interest to withhold certain information, including the railroad's
assessment of its safety risks and its statement of mitigation
measures, from discovery and admission into evidence in proceedings for
damages involving personal injury and wrongful death. See 49 U.S.C.
20119. FRA contracted with an outside organization to conduct this
study, and the study concluded that it was in the public interest to
withhold this type of information from these types of proceedings. See
``Study of Existing Legal Protections for Safety-Related Information
and Analysis of Considerations for and Against Protecting Railroad
Safety Risk Reduction Program Information,'' FRA, docket no. FRA-2011-
0025-0031, Oct. 21, 2011. Furthermore, Congress authorized FRA, by
delegation from the Secretary, to prescribe a rule, subject to notice
and comment, to address the results of the study. See 49 U.S.C.
20119(b). The proposed rule would address the study's results and set
forth protections of certain information from discovery, admission into
evidence, or use for other purposes in a proceeding for damages.
An RRP could affect almost all facets of a railroad's operations.
To ensure that all employees directly affected by an RRP have an
opportunity to provide input on the development, implementation, and
evaluation of a railroad's RRP, a railroad would be required to consult
in good faith and use its best efforts to reach agreement with all of
its directly affected employees on the contents of the RRP plan and any
amendments to the plan. Guidance regarding what constitutes ``good
faith'' and ``best efforts'' would be included in proposed Appendix B.
FRA anticipates that a final RRP rule would become effective 60
days after the date of publication. However, by statute, the protection
of certain information from discovery, admission into evidence, or use
for other purposes in a proceeding for damages would not become
applicable until one year after the publication of the final rule.
Assuming that an SSP final rule could be published before an RRP final
rule, FRA would make the SSP information protection provisions
applicable to RRP programs as well. This approach would permit a
railroad subject to the RRP rule to obtain information protection as
soon as possible. A Class I railroad would be required to submit its
RRP plan to FRA for review no later than 545 days after the publication
date of the final rule. This deadline for submission accounts for the
time that must pass before an information protection provision could
become applicable. Similarly, railroads with inadequate safety
performance or
[[Page 10952]]
railroads either reclassified or newly classified by the Surface
Transportation Board (STB) as Class I railroads after the effective
date of the final rule would not be required to submit RRP plans before
the information protection provisions go into effect. These railroads
would be required to submit an RRP plan either no later than 90 days
after they have either received notification from FRA that they have
been determined to have an inadequate safety performance or after the
effective date of the STB classification or reclassification, or no
later than 545 days after the publication date of the final rule,
whichever is later. If an SSP final rule is published before an RRP
final rule, permitting the information protection provision of SSP to
apply to RRP information, an RRP final rule may require railroads to
submit an RRP plan sooner than 545 days after the publication date of
the final rule.
Within 90 days of receipt of a railroad's RRP plan, FRA would
review the plan and determine whether it meets all the process and
procedure requirements set forth in the regulation. FRA will not be
reviewing a railroad's risk-based hazard analysis or selection of
particular mitigation strategies as part of its RRP plan. If, during
the review, FRA determines that the railroad's RRP plan does not comply
with the requirements, FRA would notify the railroad of the specific
points in which the plan is deficient. The railroad would then have 60
days to correct these deficient points and resubmit the plan to FRA.
Whenever a railroad decides to amend its RRP, it would be required to
submit an amended RRP plan to FRA for approval and provide a cover
letter describing the amendments. A similar approval process and
timeline would apply whenever a railroad amends its RRP plan. A
railroad should not begin implementing an RRP plan before obtaining FRA
approval, as the information protection provisions proposed in this
NPRM would not apply to any risk reduction information that was not
compiled or collected pursuant to an FRA-approved RRP plan.
The costs for this proposed regulation basically stem from the
requirements for each railroad to which this rule would be applicable
to have a fully developed and implemented RRP that is supported by an
RRP plan. The primary costs come from the development of an ongoing
risk-based HMP, the ongoing evaluation of safety performance, and the
safety outreach component of the RRP. In addition, there are costs for
the development of a technology implementation plan, the consultation
process, and internal assessments.
The total cost for this proposed regulation is $18.6 million,
undiscounted. The discounted costs over 10 years are $12.7 million,
using a 7 percent discount rate, and $15.7 million, using a 3 percent
discount rate.
The proposed rule is expected to improve railroad safety on Class I
freight railroads by ensuring that railroad accidents/incidents,
associated casualties, other railroad-related incidents and workplace
injuries decrease through the process of identifying hazards,
mitigating the risks associated with those hazards, and decreasing
unsafe work practices. Decreases in unsafe behaviors or hazards create
a decrease in railroad-related incidents and casualties. The sections
of the proposed RRP regulation that contribute most to the potential
benefits include improved or more robust safety cultures, hazard
identification and risk-based hazard management, allying technology
with risk reduction, systemic evaluation of program and mitigation
strategy effectiveness, and the protection of information provision in
Sec. 271.11.
FRA has performed a break-even analysis for this proposed rule. In
this break-even analysis, FRA has estimated the amount of investment
(capital expenditure) savings or the decreases in costs stemming from
railroad-related incidents (and their associated casualties) for Class
I railroads that the proposed rule would need to break even. FRA has
found that only a very small improvement in either safety or investment
is sufficient to make the proposed rule break-even. The proposed rule
would break even if railroad investments improve by less than .006% (6
thousandths of a percent). FRA believes that such an improvement would
quite likely result from the adoption and implementation of RRPs by
Class I railroads, which would lead to reductions in the (1) number of
railroad accidents/incidents and employee injuries; (2) other railroad
incidents and related casualties; (3) employee absenteeism; and (4)
employee discipline actions.
B. Abbreviations
The following abbreviations are used in this preamble and are
collected here for the convenience of the reader:
CFR Code of Federal Regulations
DOT United States Department of Transportation
FMP Fatigue Management Plan
FOIA Freedom of Information Act
FR Federal Register
FRA Federal Railroad Administration
HMP Hazard Management Program
NPRM Notice of Proposed Rulemaking
OST Office of the Secretary, United States Department of
Transportation
PTC Positive Train Control
Pub. L. Public Law
RRP Risk Reduction Program
RSAC Railroad Safety Advisory Committee
RSIA Railroad Safety Improvement Act of 2008, Public Law 110-432,
Div. A, 122 Stat. 4848
Secretary Secretary of Transportation
SSP System Safety Program
U.S.C. United States Code
II. Background and History
A. What is a risk reduction program?
Risk reduction is a comprehensive, system-oriented approach to
improving safety by which an organization formally identifies and
analyzes applicable hazards and takes action to mitigate, if not
eliminate, the risks associated with those hazards. It provides a
railroad with a set of decision making processes and procedures that
can help it plan, organize, direct, and control its business activities
in a way that enhances safety and promotes compliance with regulatory
standards. As such, risk reduction is a form of safety management
system, which is a term generally referring to a comprehensive,
process-oriented approach to managing safety throughout an
organization.
The principles and processes of risk reduction are based on those
of safety management systems developed to assure high safety
performance in various industries, including aviation, passenger
railroads, the nuclear industry, and other industries with the
potential for catastrophic accidents. Safety management systems have
evolved through experience to include a multitude of equally important
elements without which the organization's safety does not reliably
improve. For ease of understanding, these elements are typically
grouped into larger descriptive categories. For safety management
systems, these descriptive categories include: (1) An organization-wide
safety policy; (2) formal methods for identifying hazards, and for
prioritizing and mitigating risks associated with those hazards; (3)
data collection, data analysis, and evaluation processes to determine
the effectiveness of mitigation strategies and to identify emerging
hazards; and (4) outreach, education, and promotion of an improved
safety culture within the organization.
The requirements of the proposed RRP rule provide a framework for
reducing safety risk. While each railroad subject to the proposed rule
would be required to develop all required components, the scope and
complexity
[[Page 10953]]
of those components would vary from one railroad to the next, because
of the railroads' differing safety needs, capabilities, and available
resources. Because risk reduction is inherently scalable, the burdens
imposed by the proposed rule would depend upon the size of a railroad,
the type of operations the railroad provides, and the strategies for
mitigating risk that the railroad decides to use.
B. Passenger Railroads and System Safety Programs
Risk reduction, as a type of safety management system, is not a new
concept to FRA. Specifically, FRA has previously worked with passenger
railroads to implement system safety programs (SSP), and has published
a separate SSP NPRM for passenger railroads. See System Safety Program,
77 FR 55372 (proposed Sep. 7, 2012) (to be codified at 49 CFR part
270). FRA anticipates that an SSP final rule will be published before
an RRP final rule.
In 1996, FRA issued Emergency Order No. 20, Notice No. 1 (EO 20),
which required, among other things, commuter and intercity passenger
railroads to promptly develop interim system safety plans addressing
the safety of operations that permit passengers to occupy the leading
car in a train.\1\ See 61 FR 6876, Feb. 22, 1996. Subsequently, in 1997
APTA and the commuter railroads, in conjunction with FRA and the U.S.
DOT, developed the ``Manual for the Development of System Safety
Program Plans for Commuter Railroads,'' to more comprehensively address
the safety of these railroad systems. Pursuant to APTA's manual, the
existing commuter railroads developed system safety plans, and a
triennial audit process for these plans began in early 1998 with FRA's
participation. A majority of commuter railroads still participate in
APTA's program.
---------------------------------------------------------------------------
\1\ FRA issued EO 20 in response to New Jersey Transit (NJT) and
Maryland Rail Commuter accidents in early 1996.
---------------------------------------------------------------------------
FRA has also developed a ``Collision Hazard Analysis Guide'' to
assist passenger rail operators in conducting collision hazard
assessments.\2\ See ``Collision Hazard Analysis Guide: Commuter and
Intercity Passenger Rail Service'' (2007), FRA, available at https://www.fra.dot.gov/eLib/Details/L03191. The ``Collision Hazard Analysis
Guide'' is based both on MIL-STD-882, discussed below, and the hazard
identification/resolution processes described in APTA's ``Manual for
the Development of System Safety Program Plans for Commuter
Railroads.'' The ``Collision Hazard Analysis Guide'' provides a ``step-
by-step procedure on how to perform hazard analysis and how to develop
effective mitigation strategies that will improve passenger rail
safety.'' See id. at 5. Although the ``Collision Hazard Analysis
Guide'' focuses on passenger rail collisions, the techniques described
in the guide are also valid for evaluating other hazards or safety
issues related to any type of operating system. See id. A railroad
subject to the requirements of a final RRP rule could use the
``Collision Hazard Analysis Guide'' as guidance on how to perform a an
acceptable hazard analysis.
---------------------------------------------------------------------------
\2\ FRA developed the ``Collision Hazard Analysis Guide:
Commuter and Intercity Passenger Rail Service'' following a January
2005 accident in Glendale, CA, in which a Southern California
Regional Rail Authority (Metrolink) commuter train derailed after
striking an abandoned vehicle left on the tracks. The derailment
caused the Metrolink train to collide with trains on both sides of
it, a Union Pacific Railroad Company (UP) freight train and another
Metrolink train, and resulted in the death of 11 people.
---------------------------------------------------------------------------
From its experience with the APTA program and the ``Collision
Hazard Analysis Guide,'' FRA has gained substantial knowledge regarding
the best methods for developing, implementing, and evaluating SSPs for
passenger railroads. This experience is reflected in a recently-
published NPRM, developed with the assistance of the Railroad Safety
Advisory Committee (RSAC), that would require passenger railroads to
develop and implement FRA-approved SSPs.
C. Other Federal Safety Management System Programs
Several Federal agencies have established or proposed safety
management system requirements or guidance for regulated entities. For
example, the Federal Transit Administration (FTA) has established
regulations at 49 CFR part 659 (Rail Fixed Guideway Systems; State
Safety Oversight) that implement a Congressional mandate for a program
requiring State-conducted oversight of the safety and security of rail
fixed guideway systems that are not regulated by FRA. See Intermodal
Surface Transportation Efficiency Act of 1991, Public Law 102-240, sec.
3029, also codified at 49 U.S.C. 5330; and 60 FR 67034, Dec. 27,
1995.\3\
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\3\ FTA's part 659 program applies only to rapid transit systems
or portions thereof not subject to FRA's regulations. See 49 CFR
659.3 and 659.5. FTA amended 49 CFR part 659 in April 2005 to
incorporate the experience and insight it had gained regarding the
benefits of and recommended practices for implementing State safety
oversight requirements. See 70 FR 22562, Apr. 29, 2005.
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The Federal Aviation Administration (FAA) has also published an
NPRM proposing to require each certificate holder operating under 14
CFR part 121 to develop and implement a safety management system (SMS).
See 75 FR 68224, Nov. 5, 2010; and 76 FR 5296, Jan. 31, 2011. An SMS
``is a comprehensive, process-oriented approach to managing safety
throughout the organization.'' 75 FR 68224, Nov. 5, 2010. An SMS
includes: ``an organization-wide safety policy; formal methods for
identifying hazards, controlling, and continually assessing risk; and
promotion of safety culture.'' Id. Under FAA's proposed rule, an SMS
would have four components: Safety Policy, Safety Risk Management,
Safety Assurance, and Safety Promotion. Id. at 68225. In addition, the
United States Coast Guard has published an NPRM proposing an SMS
regulation for towing vessels. See 76 FR 49976, Aug. 11, 2011.
Components similar to those included in both the FAA's SMS regulation
as well as the Coast Guard's regulation are found in this RRP rule
proposed by FRA.
The U.S. Department of Defense (DoD) has also set forth guidelines
for a system safety program. In July 1969, DoD published ``System
Safety Program Plan Requirements'' (MIL-STD-882). MIL-STD-882 is DoD's
standard practice for system safety, with the most recent version, MIL-
STD-882E, published on May 11, 2012. DoD, MIL-STD-882E, ``Department of
Defense Standard Practice System Safety'' (May 11, 2012). MIL-STD-882
is used by many industries in the U.S., and internationally, and could
be useful to a railroad (particularly a smaller railroad with
inadequate safety performance) when trying to determine which methods
to use to comply with this RRP rule. In fact, MIL-STD-882 is cited in
FRA's safety regulations for railroad passenger equipment, 49 CFR part
238, as an example of a formal safety methodology to use in complying
with certain analysis requirements in that rule. See 49 CFR 238.103 and
238.603. Part 238 defines MIL-STD-882 as a standard issued by DoD ``to
provide uniform requirements for developing and implementing a system
safety plan and program to identify and then eliminate the hazards of a
system or reduce the associated risk to an acceptable.''
D. Risk Reducing FRA Programs
FRA also has established two voluntary, independent programs that
exemplify the philosophy of risk reduction: The Confidential Close Call
Reporting System (C3RS) and the Clear Signal for Action (CSA) program.
FRA has developed these programs in the
[[Page 10954]]
belief that, in addition to process and technology innovations, human
factors-based solutions can make a significant contribution to
improving safety in the railroad industry.
The FRA C3RS program includes: (1) Voluntary confidential reporting
of close-call events by employees; (2) root-cause-analysis problem
solving by a Peer Review Team composed of labor, management, and FRA;
(3) identification and implementation of corrective actions; (4)
tracking the results of change; and (5) reporting the results of change
to employees. Confidential reporting and joint labor-management-FRA
root-cause problem solving are the most innovative of these
characteristics for the railroad industry. Demonstration pilot sites
for FRA C3RS are at the Union Pacific Railroad Company (UP), New Jersey
Transit, Strasburg Railroad, and the National Railroad Passenger
Corporation (Amtrak). An evaluation of one of these demonstration pilot
sites indicated that a C3RS program demonstrably resulted in increased
safety.\4\ See Ranney, J. and Raslear, T., ``Derailments decrease at a
C3RS site at midterm,'' FRA Research Results: RR12-04, April 2012,
available at https://www.fra.dot.gov/eLib/details/L01321.
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\4\ Additional evaluations will be performed for other
demonstration pilot sites as sufficient data become available.
---------------------------------------------------------------------------
FRA has also implemented the CSA program, another human factors-
based solution shown to improve safety. The CSA Program includes: (1)
Voluntary peer-to-peer feedback in the work environment on both safe
and risky behaviors and conditions (data associated with the program
are owned by labor and not disclosed to management); (2) labor Steering
Committee root cause analysis and the development of behavior and
condition-related corrective actions; (3) Steering Committee
implementation of behavior-related corrective actions; (4) joint labor-
management Barrier Removal Team refining condition-related corrective
actions and implementation; (5) tracking the results of the change; and
(6) reporting the results of change to employees. Peer-to-peer feedback
on safe and risky behaviors and conditions, root cause analysis, and
cooperation between labor and management in corrective actions are the
most innovative of these characteristics for the railroad industry. FRA
considers the CSA program ready for broad implementation across the
industry, as the completion of three demonstration pilots has
demonstrated its applicability in diverse railroad work settings. One
demonstration pilot covered Amtrak baggage handlers; a second covered
UP yard crews; and a third covered UP road crews. See Coplen, M.
Ranney, J. & Zuschlag, M., ``Promising Evidence of Impact on Road
Safety by Changing At-risk Behavior Process at Union Pacific,'' FRA
Research Results: RR08-08, June 2008, available at https://www.fra.dot.gov/eLib/details/L03483; Coplen, M. Ranney, J., Wu, S. &
Zuschlag, M., ``Safe Practices, Operating Rule Compliance and
Derailment Rates Improve at Union Pacific Yards with STEEL Process--A
Risk Reduction Approach to Safety,'' FRA Research Results: RR09-08, May
2009, available at https://www.fra.dot.gov/eLib/details/L04248. After
the completion of these pilot projects, BNSF Railway Company (BNSF)
elected to participate in a peer-to-peer pilot project, and UP elected
to develop and implement a system-wide peer-to-peer program modeled in
part on the CSA demonstration pilots. Currently, FRA is funding the
development of low cost program materials to aid in its distribution
starting with passenger rail.
The C3RS and CSA programs embody many of the concepts and
principles found in an RRP: Proactive identification of hazards and
risks; analysis of those hazards and risks; and implementation of
appropriate action to eliminate or mitigate the hazards and risks.
While FRA does not intend to require any railroad to implement a C3RS
or CSA program as part of its RRP, FRA believes that these types of
programs would be useful for a railroad developing an RRP, and
encourages railroads to include such programs as part of their RRPs.
FRA seeks comment on the extent to which these programs might be useful
in the development of an RRP or as a component of an RRP.
III. Statutory Background
A. Rail Safety Improvement Act of 2008
In sec. 103 of the RSIA, Congress directed the Secretary to issue a
regulation requiring certain railroads to develop, submit to the
Secretary for review and approval, and implement a railroad safety risk
reduction program. See 49 U.S.C. 20156. The Secretary has delegated
this responsibility to the FRA Administrator. See 49 CFR 1.89(oo) (74
FR 26981, Jun. 5, 2009); see also 49 U.S.C. 103(g). The railroads
required to comply with such a regulation include:
(1) Class I railroads;
(2) Railroad carriers with inadequate safety performance, as
determined by the Secretary; and
(3) Railroad carriers that provide intercity rail passenger or
commuter rail passenger transportation (passenger railroads).
The proposed rule would implement this railroad safety risk
reduction mandate for Class I freight railroads and railroads with
inadequate safety performance. See 49 U.S.C. 20156(a)(1). Generally,
these railroads would be required to assess and manage risk and develop
proactive risk mitigation strategies to promote safety improvement. The
proposed rule would also implement the Congressional mandate permitting
a railroad not required to develop and implement an RRP to voluntarily
submit an RRP plan meeting the requirements of any final RRP rule to
FRA for review and approval. See 49 U.S.C. 20156(a)(4). As proposed, a
railroad voluntarily submitting an RRP plan for FRA approval would be
required to implement the plan in accordance with FRA's requirements
and could be subject to civil penalties for noncompliance. The proposed
rule would also implement other specific safety risk reduction program
requirements found in sec. 103, such as the requirement that a railroad
consult with, employ good faith and use its best efforts to reach
agreement with all of its directly affected employees (including any
non-profit employee labor organization representing a class or craft of
directly affected employees) on the contents of the railroad's RRP
plan.
The proposed rule would also respond to sec. 109 of the RSIA, which
addresses the protection of information in railroad safety risk
analyses. See 49 U.S.C. 20118. In sec. 109, Congress specified that
certain risk reduction records obtained by the Secretary are exempt
from the public disclosure requirements of the Freedom of Information
Act (FOIA). See 49 U.S.C. 20118. Section 109 also directed FRA to
complete a study evaluating whether it is in the public interest
(including public safety and the legal rights of persons injured in
railroad accidents) to withhold from discovery or admission into
evidence in a Federal or State court proceeding for damages involving
personal injury or wrongful death against a railroad certain risk
reduction information, including a railroad's analysis of its safety
risks and its statement of the mitigation measures with which it will
address those risks. See 49 U.S.C. 20119(a). Based upon authority
granted by Congress in sec. 109, the proposed rule contains provisions
responding to the results of this study, which found that it is in the
public interest to protect certain risk reduction information from
discovery or admission into evidence in a Federal or
[[Page 10955]]
State court proceeding for damages. See 49 U.S.C. 20119(b). The study
and its results will be discussed in greater depth later in this
preamble.
B. Related System Safety Rulemaking
A separate SSP rulemaking, as discussed above, would implement the
sec. 103 and sec. 109 RSIA mandates for passenger railroads. See 49
U.S.C. 20156(a). On September 7, 2012, FRA published an NPRM proposing
an SSP rule in the Federal Register. See 77 FR 55372. Establishing
separate safety risk reduction rules for passenger railroads and the
Class I freight railroads \5\ would allow these rules to account for
significant differences between passenger and freight operations. For
example, freight railroads may generate risks uniquely associated with
the transportation of hazardous materials. The proposed RRP rule can be
specifically tailored to these types of risks, which are not
independently generated by passenger railroads.
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\5\ There is only one Class I railroad that also qualifies as a
passenger railroad: Amtrak. Amtrak would be required to comply with
the proposed requirements of the SSP rule. So long as Amtrak remains
in compliance with the requirements of an SSP rule, Amtrak would be
deemed to be in compliance with an RRP rule. This same approach will
be taken for any passenger railroad that also becomes designated as
a Class I railroad.
---------------------------------------------------------------------------
Some overlap would exist between certain components of the proposed
SSP and RRP rules. Most significantly, the RRP and SSP rules would
contain essentially identical provisions implementing the consultation
requirements of sec. 103(g) and responding to the information
protection study mandated under sec. 109 of the RSIA. There was
significant discussion during the RRP and SSP RSAC processes on how to
implement these provisions of the RSIA. FRA worked with the General
Passenger Safety Task Force's System Safety Task Group and the RRP
Working Group to receive input regarding how information protection and
the consultation process should be addressed, with the understanding
that the same language would be included in both the SSP and RRP NPRMs
for review and comment. The consultation and information protection
provisions proposed in this NPRM, therefore, are essentially identical
to those proposed in the 2012 SSP NPRM.
In response to the SSP NPRM, FRA has received a number of comments
addressing the proposed consultation and information protection
provisions. While FRA intends to discuss these comments further as part
of the ongoing RRP and SSP RSAC processes, FRA has decided not to
respond to the SSP comments on the consultation and information
protection provisions in this NPRM. Any comments submitted to the SSP
NPRM regarding these provisions, however, will be considered applicable
to the RRP NPRM as well and will be considered before publication of an
RRP final rule. Ultimately, FRA anticipates that the consultation and
information protection provisions of the SSP and RRP rules will be
essentially identical.
Furthermore, FRA intends to make any information protection
provision in a final SSP rule applicable to any railroad safety risk
reduction program required under chapter II of subtitle B of title 49,
Code of Federal Regulations, such as an RRP. When Congress granted FRA
authority to issue a rule based upon the results of the study, it also
specified that any such rule could not become effective until one year
after its adoption. See 49 U.S.C. 20119(b). Making an SSP information
protection provision applicable to any RRP program would allow RRP
information to be protected from use in certain litigation sooner. This
would allow a railroad subject to the proposed RRP rule to begin
developing its RRP earlier, without having to wait an entire year for
the information protection provisions to become effective.
In addition to the proposed consultation and information protection
sections, some overlap would exist between various other RRP and SSP
provisions (e.g., certain definitions, the process for amending plans,
etc.). The requirements in this proposed NPRM generally follow those in
the SSP NPRM, and do not reflect any comments FRA has received in
response to the SSP NPRM. FRA recognizes that drafting proposals on
related topics simultaneously can give the appearance of overlapping or
duplicative requirements. As these rulemakings progress, we will work
to minimize any overlapping or duplicative requirements.
C. Related Fatigue Management Plans Rulemaking
Section 103(f) of the RSIA states that an RRP must include a
fatigue management plan meeting certain requirements. See 49 U.S.C.
20156(d)(2) and 20156(f). This proposed RRP rulemaking does not address
this mandate, however, because it is currently being considered by a
separate rulemaking process.
On December 8, 2011, the RSAC voted to establish a Fatigue
Management Plans Working Group (FMP Working Group). The purpose of the
FMP Working Group is to provide ``advice regarding the development of
implementing regulations for Fatigue Management Plans and their
deployment under the Rail Safety Improvement Act of 2008.'' ``Railroad
Safety Advisory Committee Task Statement: Fatigue Management Plans,''
Task No.: 11-03, Dec. 8, 2011. (A copy of this statement will be placed
in the public docket for this RRP rulemaking.) Specifically, the FMP
Working Group is tasked to: ``review the mandates and objectives of the
[RSIA] related to the development of Fatigue Management Plans,
determine how medical conditions that affect alertness and fatigue will
be incorporated into Fatigue Management Plans, review available data on
existing alertness strategies, consider the role of innovative
scheduling practices in the reduction of employee fatigue, and review
the existing data on fatigue countermeasures.'' Id.
FRA notes that the RRP Working Group recommended including a
placeholder in the proposed RRP rule text that would require a
railroad, as part of its RRP, to develop a fatigue management plan no
later than three years after the effective date of the final rule, or
three years after commencing operations, whichever is later. This
placeholder did not contain any additional substantive requirements,
however, and was intended merely to be an acknowledgement of the RSIA
fatigue management plan mandate. FRA has elected to not include this
placeholder; however, because it may create confusion regarding the
separate FMP Working Group process and the ongoing fatigue management
plans rulemaking. Rather, FRA will address the substantive requirements
of the fatigue management plan mandate in the separate rulemaking that
FRA has initiated. FRA would approve an RRP plan without the fatigue
management plan component prior to the issuance of fatigue management
final rule, provided the plan met all other applicable RRP
requirements. Until the fatigue management plan final rule is
effective, a railroad could use the processes and procedures in its RRP
to address fatigue-related issues.
IV. Proceedings to Date
A. Advance Notice of Proposed Rulemaking (ANPRM)
On December 8, 2010, FRA published an ANPRM soliciting public
comment on how FRA could best develop and implement a risk reduction
regulation based upon the requirements of the RSIA. See 75 FR 76345-
76351.
[[Page 10956]]
Comments were due by February 7, 2011.
FRA received 11 written comments in response to the ANPRM from a
variety of entities, including railroads, industry organizations, non-
profit employee labor organizations, a consulting firm, and a private
citizen.\6\ Many of the questions and issues raised by commenters were
subsequently discussed in depth during the RSAC process. This NPRM,
therefore, will contain only a very brief overview of the comments.
Written comments submitted in response to the ANPRM are in the public
docket for this proceeding and can be viewed and downloaded at
www.regulations.gov.
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\6\ The following 18 entities were signatories to comments in
response to the ANPRM: Amtrak; Association of American Railroads
(AAR); Association of Railways Museums, Inc. (ARM); American Public
Transportation Association (APTA); American Short Line and Regional
Railroad Association (ASLRRA); American Train Dispatchers
Association (ATDA); Behavioral Science Technology (BST); Brotherhood
of Locomotive Engineers and Trainmen (BLET/IBT); Brotherhood of
Maintenance of Way Employees Division (BMWED/IBT); Brotherhood of
Railroad Signalmen (BRS); Metrolink; New York State Metropolitan
Transportation Authority (NYSMTA); Patrick J. Coyle (Chemical
Facility Security News); Southern Pennsylvania Transportation
Authority (SEPTA); Transport Workers Union of America (TWU);
Transportation Communications Union (TCU); Trinity Railway Express;
Tourist Railway Association (TRA); and United Transportation Union
(UTU).
---------------------------------------------------------------------------
Many of the ANPRM commenters identified similar issues or
questions. Two commenters recommended that FRA develop a performance-
based risk reduction rule, in order to encourage railroads to find
flexible and creative solutions to safety risks. These commenters also
stressed the importance of protecting risk reduction information from
disclosure and use in litigation. Other commenters requested
clarification on the relationship between risk reduction and system
safety, or expressed concerns related to how a risk reduction rule
would address issues such as contractors or training requirements.
Commenters also provided recommendations on how FRA should identify
railroads with inadequate safety performance. Several labor
organizations also submitted a joint comment strongly emphasizing the
importance of the sec. 103(g) consultation requirements. Issues such as
the above were subsequently discussed at length with both industry and
labor organization representatives during the RSAC process.
B. Public Hearings
Following publication of the ANPRM and close of the comment period,
FRA also held two public hearings that provided interested persons an
opportunity to discuss the development of a risk reduction regulation
in response to the ANPRM. Interested persons were invited to present
oral statements and to proffer information and views at the hearings.
The first public hearing was held on July 19, 2011 in Chicago, IL, and
the second public hearing was held on July 21, 2011 in Washington, DC.
See 76 FR 40320, July 8, 2011. During the hearings, testimony was given
by representatives of the AAR, ASLRRA, Rail World, Inc., and the
Teamsters Rail Conference (the BLET/IBT and BMWED/IBT). As with the
comments in response to the ANPRM, the hearing testimony focused almost
exclusively on topics that continued to be discussed during the RSAC
process. Significant topics of discussion included the following: The
identification of railroads with inadequate safety performance; the
consultation requirements of sec. 103(g); the role of contractors
within a railroad's RRP; the information protection study mandated by
sec. 109; retention of RRP records; and FRA review of a railroad's RRP.
Transcripts of the public hearings are in the public docket for this
proceeding and can be viewed and downloaded at www.regulations.gov.
C. Railroad Safety Advisory Committee (RSAC)
Following the close of the ANPRM comment period and the public
hearings, FRA decided that additional input regarding the development
of a risk reduction regulation would be beneficial. FRA therefore
placed the risk reduction rulemaking into a modified RSAC process,
which discussed many of the questions and concerns that appeared in the
ANPRM and in responses thereto.
1. Risk Reduction Program (RRP) Working Group
FRA proposed Task No. 11-04 to the RSAC on December 8, 2011. The
RSAC accepted the task, and formed the Risk Reduction Program (RRP)
Working Group (Working Group) for the purpose of developing and
implementing RRP under the RSIA. The Working Group is comprised of
members from the following organizations:
AAR; \7\
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\7\ The AAR is comprised of members including the following
entities: BNSF Railway Company (BNSF); Canadian National Railway
Company (CN); Canadian Pacific Railway (CP); CSX Transportation,
Inc. (CSXT); Iowa Interstate Railroad, Ltd. (IAIS); Kansas City
Southern (KCS); Metra Electric District; Norfolk Southern
Corporation (NS); and UP.
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Amtrak;
APTA;
ASLRRA;
BLET;
BMWED;
BRS;
FRA;
Long Island Rail Road (LIRR);
Metro-North Commuter Railroad Company (Metro-North);
National Association of Railroad Passengers (NARP);
National Railroad Construction and Maintenance
Association;
National Transportation Safety Board (NTSB);
SEPTA;
TRA; and
UTU.
The Working Group completed its work after four in-person meetings
and several conference calls. The first meeting of the Working Group
took place on January 31 and February 1, 2012, in Cambridge,
Massachusetts. At that meeting the group discussed the appropriate
scope of a risk reduction regulation and heard several presentations
from stakeholders regarding the requirements of the RSIA and current
risk reduction practices on railroads. Subsequent meetings were held in
Washington, DC on April 10, 2012; May 16, 2012; and June 13, 2012.
At the April, May, and June meetings, the group discussed a
document entitled ``Recommendations to the Administrator,'' which
provided FRA advice to consider in developing a risk reduction rule.
The document was updated after each meeting to reflect the Working
Group's discussions.
2. Working Group Tentative Agreement Vote
At the conclusion of the Working Group's last meeting on June 13,
2012, the Working Group obtained tentative agreement on the
``Recommendations to the Administrator'' document. This document did
not include advice regarding railroads with inadequate safety
performance, as this was developed further during subsequent conference
calls. The document was also not put before the full RSAC for vote, and
therefore does not represent formal RSAC consensus. FRA utilized the
comments and documents from the Working Group when developing the
proposed rule text, although it has streamlined and reorganized
suggestions from the Working Group in order to make the rule's
requirements as clear as possible. FRA has also attempted to note in
this NPRM areas in which the proposed rule text substantively differs
from the Working Group's suggestions. Ultimately, however, language
contained in this proposed rule reflects
[[Page 10957]]
the RSIA statutory requirements and the Working Group's tentative
agreement on how the requirements should be applied.
V. Railroads With Inadequate Safety Performance
As previously discussed, sec. 103 of the RSIA directs FRA to
require railroads with inadequate safety performance (as determined by
FRA) to develop and implement an RRP. FRA discussed potential
definitions of inadequate safety performance during the April, May, and
June 2012 RSAC Working Group meetings, and also conducted several
conference calls discussing the issue after the final June 2012 Working
Group meeting. These meetings and conference calls developed and
refined a general approach to determining inadequate safety
performance, and discussed several specific concerns of the ASLRRA,
whose member railroads are those most likely to be affected by FRA's
approach. For example, participants in the conference calls expressed
concerns regarding the need for consistent nationwide application of
FRA's approach to determining inadequate safety performance. FRA
achieved tentative agreement on the proposed approach, but did not seek
consensus.
As a result of these discussions and tentative agreement, FRA
developed an annual process, involving two phases, for determining
whether a railroad's safety performance may be inadequate. This process
would only evaluate railroads that were not already complying with an
SSP or RRP rule, including voluntarily-compliant railroads. In the
first phase, FRA would conduct a statistical quantitative analysis to
determine a railroad's safety performance index, using the three most
recent full calendar years' historical data maintained by FRA. The
quantitative analysis would utilize the following four factors: (1)
Fatalities; (2) FRA reportable injury/illness rate; (3) FRA reportable
accident/incident rate; and (4) FRA violation rate. Railroads that had
either a fatality, or that were at or above the 95th percentile in at
least two of the three other factors (FRA reportable injury/illness,
FRA reportable accident/incident, or FRA violation rate), would be
further examined in a qualitative assessment. FRA would notify the
railroads identified for further examination in a qualitative
assessment, and would give them an opportunity to comment and provide
evidence explaining why they should or should not be required to
develop an RRP. A railroad would also be required to inform its
employees that it had received the notification from FRA and that
employees could submit confidential comments on the matter directly to
FRA. For the second phase of its analysis, FRA would consider the
comments from the railroads, and any comments from the railroad's
employees, as well as any other pertinent evidence, in a qualitative
review of the railroad's safety performance. Following the qualitative
review, FRA would notify the affected railroads regarding whether or
not they must develop an RRP.
Based on Working Group input and results from the C3RS and CSA
projects, FRA also determined appropriate timeframes for compliance,
and deadlines for various notices and submissions. A railroad with
inadequate safety performance would have to comply with this part 271
for a period of at least five years, after which it could petition FRA
for removal from the program. These provisions are discussed further in
the section-by-section analysis.
During discussions, the RSAC Working Group advised FRA to allow a
railroad with inadequate safety performance to choose to establish
either an RRP in compliance with this proposed part 271 or an SSP in
compliance with proposed part 270. For reasons discussed further in the
section-by-section analysis for Sec. 271.13, FRA has not included this
suggestion in the NPRM, but could ultimately include it in a final
rule.
VI. Risk Reduction Information Protection
Section 109 of the RSIA (codified at 49 U.S.C. 20118-20119)
authorizes FRA to issue a rule protecting risk analysis information
generated by railroads. These provisions would apply to information
generated by passenger railroads pursuant to the proposed system safety
rulemaking and to any railroad safety risk reduction programs required
by FRA for Class I railroads and railroads with inadequate safety
performance.
As previously discussed, the information protection provisions
proposed in this NPRM are essentially identical to provisions in the
proposed SSP rule, as there was significant discussion during the SSP
and RRP RSAC processes on how to implement this provision of the RSIA.
FRA worked with the System Safety Task Group and the Risk Reduction
Program Working Group to receive input regarding how information
protection should be addressed, with the understanding that the same
language would be included in both the SSP and RRP NPRMs for review and
comment. While the language proposed in this NPRM does not respond to
comments already received in response to the SSP NPRM, FRA will
consider comments submitted to both the SSP and RRP NPRMs regarding the
information protection provisions when developing an RRP final rule.
A. Exemption From Freedom of Information Act Disclosure
In sec. 109 of the RSIA (codified at 49 U.S.C. 20118-20119),
Congress determined that for risk reduction programs to be effective,
the risk analyses must be shielded from production in response to
Freedom of Information Act (FOIA) requests. See 49 U.S.C. 20118. FOIA
is a Federal statute establishing certain requirements for the public
disclosure of records held by Federal agencies. See 5 U.S.C. 552.
Formal rules for making FOIA requests to DOT agencies are set forth in
49 CFR part 7. Generally, FOIA requires a Federal agency to make most
records available upon request, unless a record is protected from
mandatory disclosure by one of nine exemptions. One of those
exemptions, known as Exemption 3, applies to records that are
specifically exempted from disclosure by statute, if the statute
requires that matters be withheld from the public in such a manner as
to leave no discretion on the issue or establishes particular criteria
for withholding or refers to particular types of matters to be
withheld. See 5 U.S.C. 552(b)(3) and 49 CFR 7.13(c)(3).\8\
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\8\ In 2009, Congress amended 5 U.S.C. 552(b)(3) to require
Exemption 3 statutes to specifically cite to sec. 552(b)(3). See
OPEN FOIA Act of 2009, Public Law 111-83, 123 Stat. 2142, 2184 (Oct.
28, 2009). Because this requirement applies only to statutes enacted
after October 29, 2009, however, it does not apply to section 109 of
the RSIA, which was enacted in October of 2008.
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Section 109(a) of the RSIA specifically provides that a record
obtained by FRA pursuant to a provision, regulation, or order related
to a risk reduction program or pilot program is exempt from disclosure
under FOIA. The term ``record'' includes, but is not limited to, ``a
railroad carrier's analysis of its safety risks and its statement of
the mitigation measures it has identified with which to address those
risks.'' Id. This FOIA exemption would also apply to records made
available to FRA for inspection or copying pursuant to a risk reduction
program or pilot program. Section 109(c) also gives FRA the discretion
to prohibit the public disclosure of risk analyses or risk mitigation
analyses obtained under other FRA regulations if FRA determines that
the prohibition of
[[Page 10958]]
public disclosure is necessary to promote public safety.
FRA believes that sec. 109 of the RSIA qualifies as an Exemption 3
statute under FOIA. FRA therefore believes that railroad risk reduction
records in its possession would generally be exempted from mandatory
disclosure under FOIA, unless one of two exceptions provided by the
RSIA would apply. See 49 U.S.C. 20118(a)-(b). The first exception
permits disclosure when it is necessary to enforce or carry out any
Federal law. The second exception permits disclosure when a record is
comprised of facts otherwise available to the public and when FRA, in
its discretion, has determined that disclosure would be consistent with
the confidentiality needed for a risk reduction program or pilot
program.
B. Discovery and Other Use of Risk Analysis Information in Litigation
1. The RSIA Mandate
The RSIA also addressed the disclosure and use of risk analysis
information in litigation. Section 109 directed FRA to conduct a study
to determine whether it was in the public interest to withhold from
discovery or admission into evidence in a Federal or State court
proceeding for damages involving personal injury or wrongful death
against a carrier any information (including a railroad's analysis of
its safety risks and its statement of the mitigation measures with
which it will address those risks) compiled or collected for the
purpose of evaluating, planning, or implementing a risk reduction
program. See 49 U.S.C. 20119(a). In conducting this study, the RSIA
required FRA to solicit input from railroads, railroad non-profit
employee labor organizations, railroad accident victims and their
families, and the general public. See id. The RSIA also states that
upon completion of the study, if in the public interest, FRA may
prescribe a rule to address the results of the study (i.e., a rule to
protect risk analysis information from disclosure during litigation).
See 49 U.S.C. 20119(b). The RSIA prohibits any such rule from becoming
effective until one year after its adoption. See id.
2. The Study and Its Conclusions
FRA contracted with a law firm, Baker Botts L.L.P., to conduct the
study on FRA's behalf. Various documents related to the study are
available for review in public docket number FRA-2011-0025, which can
be accessed online at www.regulations.gov. As a first step, the
contracted law firm prepared a comprehensive report identifying and
evaluating other Federal safety programs that protect risk reduction
information from use in litigation. See ``Report on Federal Safety
Programs and Legal Protections for Safety-Related Information,'' FRA,
docket no. FRA-2011-0025-0002, April 14, 2011. Next, as required by
sec. 109 of the RSIA, FRA published a Federal Register notice seeking
public comment on the issue of whether it would be in the public
interest to protect certain railroad risk reduction information from
use in litigation. See 76 FR 26682, May 9, 2011. Comments received in
response to this notice may be viewed in the public docket.
On October 21, 2011, the contracted law firm produced a final
report on the study. See ``Study of Existing Legal Protections for
Safety-Related Information and Analysis of Considerations For and
Against Protecting Railroad Safety Risk Reduction Program Information''
(Study), FRA, docket no. FRA-2011-0025-0031, Oct. 21, 2011. The final
report contained analyses of other Federal programs that protect
similar risk reduction data, the public comments submitted to the
docket, and whether it would be in the public interest, including the
interests of public safety and the legal rights of persons injured in
railroad accidents, to protect railroad risk reduction information from
disclosure during litigation. The final report concluded that it would
be within FRA's authority and in the public interest for FRA to
promulgate a regulation protecting certain risk analysis information
held by the railroads from discovery and use in litigation and makes
recommendations for the drafting and structuring of such a regulation.
See id. at 63-64.
3. FRA's Proposal
In response to the final study report, this NPRM is proposing to
protect any information compiled or collected solely for the purpose of
developing, implementing or evaluating an RRP from discovery, admission
into evidence, or consideration for other purposes in a Federal or
State court proceeding for damages involving personal injury, wrongful
death, and property damage. The information protected would include a
railroad's identification of its safety hazards, analysis of its safety
risks, and its statement of the mitigation measures with which it would
address those risks and could be in the following forms or other forms:
Plans, reports, documents, surveys, schedules, lists, or data.
Additional specifics regarding this proposal will be discussed in the
section-by-section analysis of this NPRM.
VII. RRP Plan Consultation Requirements
Section 103(g)(1) of the RSIA states that a railroad required to
establish a safety risk reduction program must ``consult with, employ
good faith and use its best efforts to reach agreement with, all of its
directly affected employees, including any non-profit employee labor
organization representing a class or craft of directly affected
employees of the railroad carrier, on the contents of the safety risk
reduction program.'' 49 U.S.C. 20156(g)(1). Section 103(g)(2) of the
RSIA further provides that if a ``railroad carrier and its directly
affected employees, including any nonprofit employee labor organization
representing a class or craft of directly affected employees of the
railroad carrier, cannot reach consensus on the proposed contents of
the plan, then directly affected employees and such organizations may
file a statement with the Secretary explaining their views on the plan
on which consensus was not reached.'' 49 U.S.C. 20156(g)(2). The RSIA
requires FRA to consider these views during review and approval of a
railroad's RRP plan.
FRA is proposing to implement this mandate by requiring each
railroad required to establish an RRP to consult with its directly
affected employees (using good faith and best efforts) on the contents
of its RRP plan. A railroad would have to include a consultation
statement in its submitted plan describing how it consulted with its
employees. If a railroad and its employees were not able to reach
consensus, directly affected employees could file a statement with FRA
describing their views on the plan. Additional specifics regarding this
proposal are discussed in the section-by-section analysis of this NPRM
for proposed Sec. Sec. 271.207 and 271.209.
As with this NPRM's information protection provisions, the proposed
language is essentially identical to provisions proposed in the 2012
SSP NPRM, since there was significant discussion during the SSP and RRP
RSAC processes on how to implement this provision of the RSIA. FRA
worked with the System Safety Task Group to receive input regarding how
the consultation process should be addressed, with the understanding
that the same language would be included in both the SSP and RRP NPRMs
for review and comment. While the language proposed in this NPRM does
not respond to comments already
[[Page 10959]]
received in response to the SSP NPRM, FRA will consider comments
submitted to both the SSP and RRP NPRMs regarding consultation
requirements when developing an RRP final rule.
VIII. Section-by-Section Analysis
FRA proposes to add a new part 271 to chapter 49 of the CFR. Part
271 would satisfy the RSIA requirements regarding safety risk reduction
programs for Class I railroads and railroads with inadequate safety
performance. See 49 U.S.C. 20156(a)(1). Part 271 would also protect
certain information compiled or collected pursuant to a safety risk
reduction program from admission into evidence or discovery during
court proceedings for damages. See 49 U.S.C. 20119.
The proposed rule would require a risk reduction program that is a
somewhat streamlined version of a safety management system. To adhere
as closely as possible to the requirements of the RSIA, FRA has not
proposed to include a number of program and plan components that are
common to many safety management systems. For example, FRA is not
proposing to include a requirement for a description of the railroad
management and organizational structure (including charts or other
visual representations), but instead asks for a less specific system
description. The RRP plan is also not required to contain a description
of the processes and procedures used for maintenance and repair of
infrastructure and equipment, rules compliance and procedures review,
workplace safety, workplace safety assurance, or public safety
outreach. FRA is also not proposing to require an RRP to establish
processes ensuring that safety concerns are addressed during the
procurement process. As additional examples, a full safety management
system would also require: (1) Development and implementation of
processes to manage emergencies; (2) processes and procedures for the
railroad to manage changes that have a significant effect on railroad
safety; (3) processes and permissions for making configuration changes
to the railroad; and (4) safety certification prior to initiation of
operations or implementation of major projects. The proposed RRP rule
does not currently include such requirements. FRA is specifically
seeking public comments regarding whether any or all of these elements
should be considered essential in order for RRP to function
effectively, and requirements for such additional elements may be
included in the final rule.
The proposed rule contains various filing and communication
requirements. FRA is generally requesting public comment on whether any
provision imposing a filing or communication requirement should permit
a railroad to comply with that requirement electronically.
Subpart A--General
Subpart A of the proposed rule would contain general provisions,
including a formal statement of the rule's purpose and scope, and
provisions limiting the discovery and admissibility of certain RRP
information.
Section 271.1--Purpose and Scope
Proposed Sec. 271.1 would set forth the purpose and scope of the
proposed rule. Paragraph (a) would state that the purpose of this part
is to improve railroad safety through structured, proactive processes
and procedures developed and implemented by railroads. The proposed
rule would require each affected railroad to establish an RRP that
systematically evaluates railroad safety hazards on its system and
manages the risks generated by those hazards in order to reduce the
number and rates of railroad accidents/incidents, injuries, and
fatalities. The proposed rule would not require an RRP to address every
safety hazard on a railroad's system. For example, rather than
identifying every safety hazard on its system, a large railroad could
take a more focused and project-specific view of safety hazard
identification.
Paragraph (b) would state that the proposed rule prescribes minimum
Federal safety standards for the preparation, adoption, and
implementation of RRPs. A railroad would not be restricted from
adopting and enforcing additional or more stringent requirements that
are not inconsistent with a rule arising from this proposed rule.
Paragraph (c) would state that the proposed rule protects
information generated solely for the purpose of developing,
implementing, or evaluating an RRP. FRA may decide not to include this
provision in the final rule if an SSP final rule is published
significantly before an RRP final rule, so that the SSP information
protection provision could be made applicable to RRPs.
Paragraph (d) would contain a clarifying statement indicating that
RRPs are not intended to address certain areas of employee safety.
While FRA is always concerned with the safety of railroad employees
performing their duties, employee safety in maintenance and servicing
areas generally falls within the jurisdiction of the United States
Department of Labor's Occupational Safety and Health Administration
(OSHA). It is not FRA's intent in this rule to displace OSHA's
jurisdiction with regard to the safety of employees while performing
inspections, tests, and maintenance, except where FRA has already
addressed workplace safety issues, such as blue signal protection in 49
CFR part 218. Similar provisions are found in other rules, clarifying
that FRA does not intend to displace OSHA's jurisdiction over certain
subject matters. See, e.g., 49 CFR 238.107(c). FRA requests public
comment on whether this statement clearly indicates the relationship
between RRPs and OSHA's jurisdiction.
Similarly, while FRA is concerned with environmental damage that
could result from the violation of Federal railroad safety laws and
regulations, FRA does not intend this rule to address environmental
hazards and risks that are unrelated to railroad safety and that would
fall within the jurisdiction of the Environmental Protection Agency
(EPA). For example, FRA would not expect a railroad's RRP to address
environmental hazards regarding particulate emissions from locomotives
that otherwise comply with FRA's safety regulations. FRA seeks public
comment on whether it is necessary for this section to contain a
clarifying statement regarding any such subject matter that this
proposed part may affect, whether potentially implicating the
jurisdiction of OSHA, EPA, or another agency of the Federal government.
Section 271.3--Application
The RSIA directs FRA to require each Class I railroad, railroad
carrier that has inadequate safety performance, and railroad that
provides intercity rail passenger or commuter rail passenger
transportation to establish a railroad safety risk reduction program.
See 49 U.S.C. 20156(a)(1). This proposed rule sets forth requirements
related to a railroad safety risk reduction program for Class I freight
railroads and railroads with inadequate safety performance. Safety risk
reduction programs for railroads that provide intercity rail passenger
or commuter rail passenger transportation are being addressed in a
separate SSP rulemaking.
Paragraph (a) would state that, except as provided in paragraph (b)
of this section, this part applies to Class I railroads, railroads
determined to have inadequate safety performance pursuant to proposed
Sec. 271.13, and railroads that voluntarily comply with the part 271
requirements pursuant to Sec. 271.15 (voluntarily-compliant
railroads).
[[Page 10960]]
FRA proposes to exempt certain railroads from the proposed rule's
applicability. The applicability exemptions proposed in paragraphs
(b)(1) through (4) are general exemptions found in many FRA
regulations. The first exemption, proposed in paragraph (b)(1), would
apply to rapid transit operations in an urban area that are not
connected to the general railroad system of transportation. Paragraph
(b)(1) is intended merely to clarify the circumstances under which
rapid transit operations would not be subject to FRA jurisdiction under
the proposed rule. It should be noted, however, that some rapid transit
type operations, given their links to the general system, are within
FRA's jurisdiction, and FRA would specifically intend for part 271 to
apply to those rapid transit type operations.
Paragraph (b)(2) proposes an exemption for operations commonly
described as tourist, scenic, historic, or excursion service, whether
on or off the general railroad system of transportation. Tourist,
scenic, historic, or excursion rail operations are defined by proposed
Sec. 271.5, and this exemption is consistent with other FRA
regulations. See 49 CFR 227.3(b)(4), 232.3(c)(5), 238.3(c)(3) and
239.3(b)(3). FRA has also proposed to exempt tourist operations,
whether on or off the general railroad system of transportation, from
the proposed SSP rule. It should be noted, however, that this exemption
would not cover any freight operations conducted by a railroad that
also performed tourist operations. A railroad with both freight and
tourist operations may be required to establish an RRP covering the
freight operations if the railroad is determined to have inadequate
safety performance. The railroad's tourist operations would also have
to be addressed by the RRP to the extent that they created hazards
affecting the freight operations. If the tourist operations are
conducted by a separate entity, they would have to be addressed by a
railroad's RRP as required by proposed Sec. 271.101(d), which would
require a railroad to ensure that any persons utilizing or providing
safety-sensitive services support and participate in the railroad's
RRP. FRA specifically requests public comment on this exemption and how
an RRP final rule should address tourist operations that may create
hazards for freight operations.
Paragraph (b)(3) would clarify that the requirements of the
proposed rule do not apply to the operation of private passenger train
cars, including business or office cars and circus train cars. While
FRA believes that a private passenger car operation should be held to
the same basic level of safety as other passenger train operations,
such operations were not specifically identified in the RSIA mandate,
and FRA is taking into account the potential burden that would be
imposed by requiring private passenger car owners and operators to
conform to the requirements of this part. FRA is also proposing to
exempt private passenger train cars from the SSP rule, which would
implement the RSIA mandate for passenger railroads.
Paragraph (b)(4) proposes an exemption for railroads that operate
only on track inside an installation that is not part of the general
railroad system of transportation (i.e., plant railroads, as defined in
Sec. 271.5). Plant railroads are typified by operations such as those
in steel mills that do not go beyond the plant's boundaries and that do
not involve the switching of rail cars for entities other than
themselves. Generally, safety issues on a plant railroad are factually
unique, limited to a single operation, and can be addressed with
targeted safety measures. An RRP is designed to address systemic safety
issues on a railroad's operations through proactive processes and
procedures. Due to the difference in the type of safety issues plant
railroads typically encounter and the complexity of safety issues an
RRP is designed to address, plant railroads are exempt from
implementing an RRP.
Paragraph (b)(5) would exempt from the proposed RRP rule any
commuter or intercity passenger railroad that is already subject to an
FRA SSP rule. As RRP and SSP rules would both implement the RSIA
mandate for railroad safety risk reduction programs, FRA believes that
requiring a commuter or intercity passenger railroad to maintain two
separate safety risk reduction programs would be an unnecessary and
duplicative burden. FRA is therefore proposing to exempt commuter or
intercity passenger railroads required to comply with the SSP rule from
the RRP rule's requirements. Railroads should note that this proposal
would not exempt freight operations conducted by another railroad on
the same track as a commuter or intercity passenger railroad. A
railroad with both freight and passenger operations would be required
to account for its freight operations in its SSP. FRA is specifically
requesting public comment on this proposal and may elect in the final
rule to require railroads with both freight and passenger operations to
implement both an RRP and SSP, or to implement an RRP accounting for
passenger operations.
Section 271.5--Definitions
Proposed Sec. 271.5 would contain a set of definitions clarifying
the meaning of important terms used in the proposed rule. The proposed
definitions are carefully worded in an attempt to minimize potential
misinterpretation of the regulations. FRA requests public comment
regarding the terms defined in this section and whether other terms
should also be defined.
``Accident/incident'' means (1) any impact between railroad on-
track equipment and a highway user (including automobiles, buses,
trucks, motorcycles, bicycles, farm vehicles, pedestrians, and all
other modes of surface transportation motorized and un-motorized, at a
highway-rail grade crossing); (2) any collision, derailment, fire,
explosion, act of God, or other event involving operation of railroad
on-track equipment (standing or moving) that results in reportable
damages greater than the current reporting threshold identified in 49
CFR part 225 to railroad on-track equipment, signals, track, track
structures, and roadbed; and (3) each death, injury, or occupational
illness that is a new case and meets the general reporting criteria
listed in 49 CFR 225.19(d)(1) through (6) if any event or exposure
arising from the operation of a railroad is a discernible cause of a
significant aggravation to a pre-existing injury or illness. Regarding
item (3), the event or exposure arising from the operation of a
railroad need only be one of the discernible causes; it need not be the
sole or predominant cause. The proposed definition is identical to the
definition for ``accident/incident'' contained in FRA's accident/
incident reporting regulations at 49 CFR part 225.
``Administrator'' means the Administrator of the Federal Railroad
Administration or his or her delegate.
``FRA'' means the Federal Railroad Administration.
``FRA Associate Administrator'' means the Associate Administrator
for Railroad Safety/Chief Safety Officer, Federal Railroad
Administration, or the Associate Administrator's delegate.
``Fully implemented'' means that all RRP elements, as described in
an RRP plan, have been established and applied to the safety management
of the railroad.
``Hazard'' means any real or potential condition that can cause
injury, illness, or death; damage to or loss of a system, equipment, or
property; or damage to the environment. Because the proposed definition
would be limited to hazards
[[Page 10961]]
identified in a railroad's risk-based hazard analysis, discussed in
proposed Sec. 271.103, this would include hazards related to
``infrastructure; equipment; employee levels and work schedules;
operating rules and practices; management structure; employee training;
and other areas impacting railroad safety that are not covered by
railroad safety laws or regulations or other Federal laws or
regulations.'' FRA does not intend this definition to include hazards
that are completely unrelated to railroad safety and that would fall
exclusively under the jurisdiction of either OSHA or the EPA. The
proposed definition is identical to the SSP NPRM's proposed definition
for ``hazard'' and is based on an existing definition of the term found
in 49 CFR part 659, which contains FTA's regulations regarding system
safety program plans. See 49 CFR 659.5. The RSAC RRP Working Group
advised FRA to specify that the ``system'' referenced by the definition
of ``hazard'' was a ``safety system.'' FRA decided not to follow this
suggestion, however, in order to maintain consistency between the
proposed RRP and SSP rules. FRA also believes that the descriptor
``safety'' would improperly limit the scope of the proposed definition.
An RRP should address hazards that could result in damage or loss to
any system related to the railroad's operations, and not merely safety
systems.
``Inadequate safety performance'' means safety performance that FRA
has determined to be inadequate based on the analysis described in
proposed Sec. 271.13.
``Mitigation strategy'' means an action or program to reduce or
eliminate the risk generated by a hazard.
``Person'' means an entity of any type covered under 1 U.S.C. 1,
including, but not limited to, the following: A railroad; a manager,
supervisor, official, or other employee or agent of a railroad; any
owner, manufacturer, lessor, or lessee of railroad equipment, track, or
facilities; any independent contractor or subcontractor providing goods
or services to a railroad; and any employee of such owner,
manufacturer, lessor, lessee, or independent contractor or
subcontractor.
``Pilot project'' means a limited scope project used to determine
whether quantitative proof suggests that a particular system or
mitigation strategy has potential to succeed on a full-scale basis.
``Plant railroad'' means a type of operation that has traditionally
been excluded from the application of FRA regulations because it is not
part of the general railroad system of transportation. Under Sec.
271.3, FRA has chosen to exempt plant railroads, as defined in this
proposed section, from the proposed rule. In the past, FRA has not
defined the term ``plant railroad'' in other regulations that it has
issued because FRA assumed that its ``Statement of Agency Policy
Concerning Enforcement of the Federal Railroad Safety Laws, The Extent
and Exercise of FRA's Safety Jurisdiction'', 49 CFR part 209, Appendix
A (FRA's Policy Statement or the Policy Statement), provided sufficient
clarification as to the definition of that term. However, it has come
to FRA's attention that certain rail operations believed that they met
the characteristics of a plant railroad, as set forth in the Policy
Statement, when, in fact, their rail operations were part of the
general railroad system of transportation (general system) and
therefore did not meet the definition of a plant railroad. FRA would
like to avoid any confusion as to what types of rail operations qualify
as plant railroads. FRA would also like to save interested persons the
time and effort needed to cross-reference and review FRA's Policy
Statement to determine whether a certain operation qualifies as a plant
railroad. Consequently, FRA has decided to define the term ``plant
railroad'' in this part 271.
The proposed definition would clarify that when an entity operates
a locomotive to move rail cars in service for other entities, rather
than solely for its own purposes or industrial processes, the services
become public in nature. Such public services represent the interchange
of goods, which characterizes operation on the general system. As a
result, even if a plant railroad moves rail cars for entities other
than itself solely on its property, the rail operations will likely be
subject to FRA's safety jurisdiction because those rail operations
bring plant trackage into the general system.
The proposed definition of the term ``plant railroad'' is
consistent with FRA's longstanding policy that it will exercise its
safety jurisdiction over a rail operation that moves rail cars for
entities other than itself because those movements bring the track over
which the entity is operating into the general system. See 49 CFR part
209, Appendix A. Indeed, FRA's Policy Statement provides that
``operations by the plant railroad indicating it [i]s moving cars on .
. . trackage for other than its own purposes (e.g., moving cars to
neighboring industries for hire)'' brings plant track into the general
system and thereby subjects it to FRA's safety jurisdiction. 49 CFR
part 209, Appendix A. Additionally, this interpretation of the term
``plant railroad'' has been upheld in litigation before the U.S. Court
of Appeals for the Fifth Circuit. See Port of Shreveport-Bossier v.
Federal Railroad Administration, No. 10-60324 (5th Cir. 2011)
(unpublished per curium opinion).
``Positive train control'' means a system designed to prevent
train-to-train collisions, overspeed derailments, incursions into
established work zone limits, and the movement of a train through a
switch left in the wrong position, as described in subpart I of 49 CFR
part 236.
``Railroad'' means: (1) Any form of non-highway ground
transportation that runs on rails or electromagnetic guideways,
including--
(i) Commuter or other short-haul rail passenger service in a
metropolitan or suburban area and commuter railroad service that was
operated by the Consolidated Rail Corporation on January 1, 1979; and
(ii) High speed ground transportation systems that connect
metropolitan areas, without regard to whether those systems use new
technologies not associated with traditional railroads, but does not
include rapid transit operations in an urban area that are not
connected to the general railroad system of transportation; and
(2) A person or organization that provides railroad transportation,
whether directly or by contracting out operation of the railroad to
another person.
The definition of ``railroad'' is based upon 49 U.S.C. 20102(1) and
(2), and encompasses any person providing railroad transportation
directly or indirectly, including a commuter rail authority that
provides railroad transportation by contracting out the operation of
the railroad to another person, as well as any form of non-highway
ground transportation that runs on rails or electromagnetic guideways,
but excludes urban rapid transit not connected to the general system.
``Risk'' means the combination of the probability (or frequency of
occurrence) and the consequence (or severity) of a hazard.
``Risk-based HMP'' means a risk-based hazard management program.
``Risk reduction'' means the formal, top-down, organization-wide
approach to managing safety risk and assuring the effectiveness of
safety risk mitigation strategies. It includes systematic procedures,
practices, and policies for the management of safety risk.
``RRP'' means a Risk Reduction Program.
[[Page 10962]]
``RRP plan'' means a Risk Reduction Program plan.
``Safety culture'' means the shared values, actions, and behaviors
that demonstrate a commitment to safety over competing goals and
demands. FRA is proposing this definition because the RSIA requires a
railroad's RRP to address safety culture. See 49 U.S.C. 20156(c).
Because there was significant discussion in the RRP Working Group as to
whether this definition was needed, however, FRA specifically requests
public comment on the necessity and content of the proposed definition.
The proposed ``safety culture'' definition was discussed in the
section-by-section analysis of the SSP NPRM. See 77 FR 55382. This
definition is based on a research paper published by the DOT Safety
Council. See U.S. Dep't of Transp., Safety Council, ``Safety Culture: A
Significant Driver Affecting Safety in Transportation 2'' (2011),
available at https://safetycouncil.dot.gov/publications/safety-research-paper.pdf. The DOT Safety Council developed this definition after
extensive review of definitions used in a wide range of industries and
organizations over the past two decades.
FRA acknowledges that this proposed definition is different than
the one recommended by the RRP Working Group, and that railroads may
have a different understanding of what constitutes safety culture.
During RRP Working Group discussions, for example, some participants
expressed the concern that the language ``over competing goals and
demands'' would require a railroad to make safety the ultimate priority
to the exclusion of all other concerns, without providing flexibility
for a railroad to balance the concerns of profit and efficiency. FRA
believes it is important, however, to utilize in this rule a definition
that has been formulated by the DOT Safety Council. Furthermore, the
proposed definition would not require a railroad to always prioritize
safety concerns over competing goals and demands (i.e., it would not
require a railroad to have a perfect safety culture). Rather, the
definition merely expresses how a safety culture can be evaluated by
measuring the extent to which a railroad emphasizes safety over
competing goals and demands, without imposing any such requirement.
``Safety performance'' means a realized or actual safety
accomplishment relative to stated safety objectives.
``Safety outreach'' means the communication of safety information
to support the implementation of an RRP throughout a railroad.
``Senior management'' means personnel at the highest level of a
railroad's management who are responsible for making major policy
decisions and long-term business plans regarding the operation of the
railroad.
``STB'' means the Surface Transportation Board of the United
States.
``Tourist, scenic, historic, or excursion operations'' means
railroad operations that carry passengers, often using antiquated
equipment, with the conveyance of the passengers to a particular
destination not being the principal purpose. Train movements of new
passenger equipment for demonstration purposes are not tourist, scenic,
historic, or excursion operations. This definition is consistent with
FRA's other regulations. See 49 CFR 238.5 and 239.5.
The RSAC RRP Working Group recommended including definitions for
the following terms: safety performance index and safety performance
threshold. FRA determined that these definitions did not provide any
additional clarity and were unnecessary. FRA requests public comment
regarding whether any of these definitions or any other definitions
should be added to the final rule.
Section 271.7--Waivers
Proposed Sec. 271.7 would explain the process for requesting a
waiver from a provision of the rule. FRA has historically entertained
waiver petitions from parties affected by an FRA regulation. In
reviewing such requests, FRA conducts investigations to determine if a
deviation from the general regulatory criteria is in the public
interest and can be made without compromising or diminishing railroad
safety.
The rules governing the FRA waiver process are found in 49 CFR part
211. In general, these rules state that after a petition for a waiver
is received by FRA, a notice of the waiver request is published in the
Federal Register, an opportunity for public comment is provided, and an
opportunity for a hearing is afforded the petitioning or other
interested party. After reviewing information from the petitioning
party and others, FRA would grant or deny the petition. In certain
circumstances, conditions may be imposed on the grant of a waiver if
FRA concludes that the conditions are necessary to assure safety or if
they are in the public interest, or both.
Section 271.9--Penalties and Responsibility for Compliance
Proposed Sec. 271.9 would contain provisions regarding the
proposed penalties for failure to comply with the proposed rule and the
responsibility for compliance.
Paragraph (a) would identify the civil penalties that FRA may
impose upon any person that violates or causes a violation of any
requirement of the proposed rule. These penalties would be authorized
by 49 U.S.C. 20156(h), 21301, 21302, and 21304. The proposed penalty
provision parallels penalty provisions included in numerous other
safety regulations issued by FRA. Essentially, any person that violates
any requirement of the rule arising from this rulemaking or causes the
violation of any such requirement would be subject to a civil penalty
of at least $650 and not more than $25,000 per violation. Civil
penalties would be assessed against individuals only for willful
violations. Where a grossly negligent violation or a pattern of
repeated violations creates an imminent hazard of death or injury to
individuals, or causes death or injury, a penalty not to exceed
$105,000 per violation could be assessed. In addition, each day a
violation continues would constitute a separate offense. Maximum
penalties of $25,000 and $105,000 are required by the Federal Civil
Penalties Inflation Adjustment Act of 1990, Public Law 101-410, 28
U.S.C. 2461, note, as amended by the Debt Collection Improvement Act of
1996, Public Law 104-134, 110 Stat. 1321-373 (April 26, 1996), which
requires each agency to regularly adjust certain civil monetary
penalties in an effort to maintain their remedial impact and promote
compliance with the law. Furthermore, a person could be subject to
criminal penalties under 49 U.S.C. 21311 for knowingly and willfully
falsifying reports required by these regulations. FRA believes that the
inclusion of penalty provisions for the failure to comply with the
regulations is important in ensuring that compliance is achieved. The
proposed rule does not include a schedule of civil penalties, but a
final rule would contain such a schedule.
Proposed paragraph (b) would clarify that any person, including but
not limited to a railroad, contractor, or subcontractor for a railroad,
or a local or state governmental entity that performs any function
covered by the proposed rule, must perform that function in accordance
with the requirements of part 271.
[[Page 10963]]
Section 271.11--Discovery and Admission as Evidence of Certain
Information
As discussed in section VI of the preamble, above, an RSIA-mandated
study by FRA concluded that it is in the public interest to protect
certain information generated by railroads from discovery or admission
into evidence in litigation. Section 109 of the RSIA provides FRA with
the authority to promulgate a regulation if FRA determines that it is
in the public interest, including public safety and the legal rights of
persons injured in railroad accidents, to prescribe a rule that
addresses the results of the study.
Following the issuance of the study, the RSAC met and reached
consensus on recommendations regarding the discovery and admissibility
of information for the proposed SSP rule, with the understanding that
an identical provision would be included in a proposed RRP rule. RSAC
recommended that FRA issue a rule that would protect documents
generated solely for the purpose of developing, implementing, or
evaluating an RRP from: (1) Discovery, or admissibility into evidence,
or considered for other purposes in a Federal or State court proceeding
for damages involving property damage, personal injury, or wrongful
death; and (2) State discovery rules and sunshine laws that could be
used to require the disclosure of such information. As previously
discussed in section III.B of the preamble, FRA published an SSP NPRM
on September 7, 2012, and the information protection language contained
in this RRP NPRM is essentially identical to that proposed by the SSP
NPRM. See 77 FR 55390-55392. While this RRP NPRM does not respond to
comments already received in response to the SSP NPRM, FRA will
consider comments submitted to both the SSP and RRP NPRMs regarding the
information protection provisions when developing an RRP final rule.
Also, sec. 109 of the RSIA mandates that the effective date of a
rule prescribed pursuant to that section must be one year after the
publication of that rule. FRA believes that the public interest
considerations for the protections in Sec. 271.11 are the same for the
SSP rule for passenger railroads. Therefore, assuming that an SSP final
rule might be published before an RRP final rule, FRA would likely make
the SSP information protection provisions applicable to RRP programs as
well. The effect of this proposal is that the information protection
for RRP would become applicable one year after publication of an SSP
final rule, permitting a railroad subject to the RRP rule to obtain
information protection as soon as possible. FRA requests public comment
regarding this approach.
In this Sec. 271.11, FRA proposes discovery and admissibility
protections that are based on the study's results and the RSAC
recommendations. FRA modeled this proposed section after 23 U.S.C. 409.
In sec. 409, Congress enacted statutory protections for certain
information compiled or collected pursuant to Federal highway safety or
construction programs. See 23 U.S.C. 409. Section 409 protects both
data compilations and raw data. A litigant may rely on sec. 409 to
withhold certain documents from a discovery request, in seeking a
protective order, or as the basis to object to a line of questioning
during a trial or deposition. Section 409 extends protection to
information that may never have been in any Federal entity's
possession.
Section 409 was enacted by Congress in response to concerns raised
by the States that compliance with the Federal road hazard reporting
requirements could reveal certain information that would increase the
States' risk of liability. Without confidentiality protections, States
feared that their ``efforts to identify roads eligible for aid under
the Program would increase the risk of liability for accidents that
took place at hazardous locations before improvements could be made.''
Pierce County v. Guillen, 537 U.S. 129, 133-34 (2003) (citing H.R. Doc.
No. 94-366, p. 36 (1976)).
In Guillen, the Court considered the application of sec. 409 to
documents created pursuant to the Hazard Elimination Program, which is
a Federal highway program that provides funding to State and local
governments to improve the most dangerous sections of their roads. Id.
at 133. To be eligible for the program, the State or local government
must (1) maintain a systematic engineering survey of all roads, with
descriptions of all obstacles, hazards, and other dangerous conditions;
and (2) create a prioritized plan for improving those conditions. Id.
The Court held that sec. 409 protects information actually compiled
or collected by any government entity for the purpose of participating
in a Federal highway program, but does not protect information that was
originally compiled or collected for purposes unrelated to the Federal
highway program, even if the information was at some point used for the
Federal highway program. Guillen at 144. The Court took into
consideration Congress's desire to make clear that the Hazard
Elimination Program ``was not intended to be an effort-free tool in
litigation against state and local governments.'' Id. at 146. However,
the Court also noted that the text of sec. 409 ``evinces no intent to
make plaintiffs worse off than they would have been had section 152
[Hazard Management Program] funding never existed.'' Id. The Court also
held that sec. 409 was a valid exercise of Congress's powers under the
Commerce Clause because sec. 409 ``can be viewed as legislation aimed
at improving safety in the channels of commerce and increasing
protection for the instrumentalities of interstate commerce.'' Id.
A comparison of the text of sec. 409 with sec. 109, which was added
to the U.S. Code by the RSIA, shows that Congress used similar language
in both provisions. Given the similar language and concept of the two
statutes, and the Supreme Court's expressed acknowledgement of the
constitutionality of sec. 409, FRA views sec. 409 as an appropriate
model for proposed Sec. 271.11.
FRA proposes that under certain circumstances, information
(including plans, reports, documents, surveys, schedules, lists, or
data) would not be subject to discovery, admitted into evidence, or
considered for other purposes in a Federal or State court proceeding
for damages. This information may not be used in such litigation for
any purpose when it is compiled or collected solely for the purpose of
developing, implementing, or evaluating an RRP, including the
railroad's analysis of its safety risks conducted pursuant to proposed
Sec. 271.103(b) and any identification of the mitigation measures with
which it would address those risks pursuant to proposed Sec.
271.103(c). Proposed Sec. 271.11(a) applies to information that may
not be in the Federal government's possession; rather, it may be
information the railroad has as part of its RRP but would not be
required to provide to the Federal government under this part.
The RSIA identifies reports, surveys, schedules, lists, and data as
the forms of information that should be included as part of FRA's
Study. See 49 U.S.C. 20119(a). However, FRA does not necessarily view
this as an exclusive list. In the statute, Congress directed FRA to
consider the need for protecting information that includes a railroad's
analysis of its safety risks and its statement of the mitigation
measures with which it would address those risks. Therefore, FRA deems
it necessary to include ``documents'' and ``plans'' in this proposed
provision to effectuate Congress' directive in sec. 109 of the
[[Page 10964]]
RSIA. Notwithstanding, FRA does not propose protecting all documents
and plans that are part of an RRP. Rather, as proposed in Sec.
271.11(a), the document has to be ``compiled or collected solely for
the purpose of developing, implementing, or evaluating an RRP under
this part.'' The meaning of ``compiled or collected solely for the
purpose of developing, implementing, or evaluating an RRP under this
part'' is discussed below.
As discussed previously, the proposed regulation would require a
railroad to implement its RRP through an RRP plan. While the railroad
will not provide in the RRP plan that it submits to FRA the results of
the risk-based hazard analysis and the specific mitigation strategies
it will be implementing, its own RRP plan may contain this information
while it is in the possession of the railroad. Therefore, to adequately
protect this type of information, the term ``plan'' is added to cover a
railroad's RRP plan and any hazard elimination or mitigation plans.
It is important to note that these proposed protections will only
extend to information (including plans, reports, documents, surveys,
schedules, lists, or data) that is ``compiled or collected solely for
the purpose of developing, implementing, or evaluating an RRP.'' The
term ``compiled and collected'' is taken directly from the RSIA. FRA
recognizes that railroads may be reluctant to compile or collect
extensive and detailed information regarding the safety hazards and
associated risks on their system if this information could potentially
be used against them in litigation. The term ``compiles'' refers to
information that is generated by the railroad for the purposes of an
RRP; whereas the term ``collected'' refers to information that is not
necessarily generated for the purposes of the RRP, but is assembled in
a collection for use by the RRP. It is important to note that the
collection is protected; however, each separate piece of information
that is not originally compiled for use by the RRP remains subject to
discovery and admission into evidence subject to any other applicable
provision of law or regulation.
The information has to be compiled or collected solely for the
purpose of developing, implementing, or evaluating an RRP. The use of
the term ``solely'' means that the original purpose of compiling or
collecting the information is exclusively for the railroad's RRP. A
railroad cannot compile or collect the information for one purpose and
then try to use proposed paragraph (a) to protect that information
simply because it also uses that information for its RRP. The
railroad's original and primary purpose of compiling or collecting the
information must be for developing, implementing, or evaluating its RRP
in order for the protections to be extended to that information.
Information a railroad had previously compiled or collected for
non-RRP purposes would also not be protected, even if the railroad
continued to compile or collect that information as part of its RRP.
This is because RSIA limits the protections to information that is
compiled or collected pursuant to a risk reduction program required by
the statute; therefore, the proposed protections cannot be extended to
information that was compiled or collected prior to the proposed rule
because that information was not collected pursuant to a risk reduction
program required by RSIA. As discussed above, when interpreting section
409, the Supreme Court held that there is no reason to interpret the
protections as protecting information plaintiffs would have been free
to obtain prior to the enactment of the Hazard Elimination Program.
Consistent with the Court's ruling in Guillen, the proposed protections
would not protect information that plaintiffs would have been free to
obtain prior to the enactment of the proposed rule.
Furthermore, a single type of record, plan, document, etc., could
contain both information that would be protected under the proposed
provision and information that would not be protected. In other words,
an entire railroad document or record would not be protected simply
because it contained a single piece of information that was protected.
For example, if a railroad began collecting a new type of information
as part of its accident investigations, and that information was being
collected solely for the purpose of developing, implementing, or
evaluating its RRP, that specific information would be protected. The
information that had been historically collected as part of the
railroad's accident investigation program, however, would remain
unprotected. FRA stresses that the intent of the proposed provisions is
to leave neither railroads nor plaintiffs worse off than before the
implementation of an RRP rule.
Additionally, if the railroad is required by another provision of
law or regulation to collect the information, the protections of
proposed paragraph (a) do not extend to that information because it is
not being compiled or collected solely for the purpose of developing,
implementing, or evaluating an RRP. For example, information that a
railroad must compile pursuant to FRA's accident/incident reporting
regulations would not be protected.
The information protections would also not apply to information
generated by safety risk reduction programs that do not fully comply
with all the requirements of a final RRP rule. Section 109 extends
protection to information generated by a safety risk reduction program
that includes all the required elements of an RRP; a program that
includes one or more, but not all, of the required elements of an RRP
would not satisfy these statutory requirements. For example, FRA
supports the development of the Short Line Safety Institute (see https://www.fra.dot.gov/eLib/details/L15890) to promote the safety of short
line and regional railroad operations, information generated by such an
institute as part of a short line or regional railroad's risk reduction
program would only be protected if: (1) The railroad uses the
information generated by the institute in a fully-implemented RRP, and
(2) that information meets the other requirements in Sec. 109 to
receive protection. It is important to note, however, that RRP is
scalable by design. Full compliance with the RRP regulation by a short
line or regional railroad is therefore not likely to be as complex and
comprehensive as it would be for a larger railroad, and a short line or
regional railroad that voluntarily complies with an RRP final rule will
receive information protection. FRA therefore believes it would be both
unnecessary and not authorized by the RSIA to extend the proposed
information protection provisions to safety risk reduction programs
that did not fully comply with a final RRP rule. FRA invites public
comment on this approach.
The information must be compiled or collected solely for the
purpose of developing, implementing, or evaluating an RRP. These three
terms are taken directly from the RSIA. They cover the necessary uses
of the information compiled or collected solely for the RRP. To develop
an RRP, a railroad will need to conduct a risk-based hazard analysis to
evaluate and identify the safety hazards and associated risks on its
system. This type of information is essential and is information that a
railroad does not necessarily already have. In order for the railroad
to conduct a robust risk-based hazard analysis to develop its RRP, the
protections from discovery and admissibility are extended to the RRP
development stage. Based on the information generated by the risk-based
[[Page 10965]]
hazard analysis, the railroad would implement measures to mitigate or
eliminate the risks identified. To properly implement these measures,
the railroad will need the information regarding the hazards and risks
on the railroad's system identified during the development stage.
Therefore, the protection of this information is extended to the
implementation stage. Finally, the railroad would be required to
evaluate whether the measures it implements to mitigate or eliminate
the hazards and risks identified by the risk-based hazard analysis are
effective. To do so, it will need to review the information developed
by the risk-based hazard analysis and the methods it has used to
implement the elimination/mitigation measures. The use of this
information in the evaluation of the railroad's RRP is protected.
The proposed protections would not apply to the fact that a
railroad ultimately implemented a particular mitigation strategy,
although the protections would apply to the information informing the
railroad's decision as part of its RRP. For example, a railroad may
elect to implement a new type of technology, such as new track
inspection vehicles, as part of its technology implementation plan.
Once the railroad is using these new track inspection vehicles, the
fact that the railroad is using them is not protected by the proposed
provision, as the track inspection vehicles are now serving a purpose
other the development, implementation, or evaluation of the railroad's
RRP (i.e., they are being used for railroad operational purposes). The
manner in which the railroad is using these track inspection vehicles
would also not necessarily be protected (e.g., is the railroad
operating the track inspection vehicles properly?). Information from
the technology analysis and technology implementation plan regarding
the adopted track inspection vehicles, however, would remain protected.
For example, an analysis of the track inspection vehicles' likely
effectiveness in mitigating an identified hazard, as opposed to other
mitigation strategies, would remain protected, as would any analyses
regarding investment decisions related to the vehicles as opposed to
alternative mitigations. Information regarding other technologies that
had been analyzed but were not selected as mitigation strategies would
also be protected. Information regarding the track inspection vehicles'
ultimate effectiveness in addressing the identified hazard and risk
would also be protected. FRA specifically requests public comment on
this discussion.
The information covered by this proposed section shall not be
subject to discovery, admitted into evidence, or considered for other
purposes in a Federal or State court proceeding that involves a claim
for damages involving personal injury, wrongful death, or property
damage. The protections apply to discovery, admission into evidence, or
consideration for others purposes. The first two situations come
directly from the RSIA; however, FRA determined that for the
protections to be effective they must also apply to any other situation
where a litigant might try to use the information in a Federal or State
court proceeding that involves a claim for damages involving personal
injury, wrongful death, or property damage. For example, under proposed
Sec. 271.11, a litigant would be prohibited from admitting into
evidence a railroad's risk-based hazard analysis. However, without the
additional language, the railroad's risk-based hazard analysis could be
used by a party for the purpose of refreshing the recollection of a
witness or by an expert witness to support an opinion. The additional
language, ``or considered for other purposes,'' ensures that the
protected information remains out of a proceeding completely. The
protections would be useless if a litigant is able to use the
information in the proceeding for another purpose. To encourage
railroads to perform the necessary vigorous risk analysis and to
implement truly effective hazard elimination or mitigation measures,
the protections should be extended to any use in a proceeding.
FRA further notes that this proposed section applies to Federal or
State court proceedings that involve a claim for damages involving
personal injury, wrongful death, or property damage. This means, for
example, if a proceeding has a claim for personal injury and a claim
for property damage, the protections are extended to that entire
proceeding; therefore, a litigant cannot use any of the information
protected by this section as it applies to either the personal injury
or property damage claim. While sec. 109 of the RSIA only required the
study to consider proceedings that involve a claim for damages
involving personal injury or wrongful death, the RSAC (which includes
both railroad and labor representation) recommended that FRA extend the
information protection provisions to proceedings involving claims for
property damage as well.
FRA believes it is advisable to follow this RSAC recommendation
because extending the proposed information protections to property
damage claims is consistent with the goal of encouraging railroads to
engage in a robust and candid hazard analysis and to develop meaningful
mitigation measures. The typical railroad accident resulting in injury
or death also involves some form of property damage. Without protecting
proceedings that involve a claim for property damage, a litigant could
bring two separate claims arising from the same incident in two
separate proceedings, the first for property damages and the second one
for personal injury or wrongful death, and be able to conduct discovery
regarding the railroad's risk analysis and to introduce this analysis
in the property damage proceeding but not in the personal injury or
wrongful death proceeding. This means that a railroad's risk analysis
could be used against the railroad in a proceeding for damages. If this
is the case, a railroad will be hesitant to engage in a robust and
candid hazard analysis and develop meaningful mitigation measures. FRA
also believes that expanding the information protection provisions to
property damage claims would be supported by the same considerations
underlying the study's conclusion that protecting risk reduction
information from use in civil litigation claims for personal injuries
or wrongful death would serve the broader public interest. FRA's
proposed approach would also mitigate potential confusion from the
application of different discovery and evidential standards for
personal injury, wrongful death, and property damage claims all
potentially arising from the same event.
Proposed paragraph (b) would ensure that the proposed protections
set forth in paragraph (a) do not extend to information compiled or
collected for a purpose other than that specifically identified in
paragraph (a). This type of information shall continue to be
discoverable, admissible into evidence, or considered for other
purposes if it was discoverable, admissible, or considered for other
purposes prior to the existence of this section. This includes
information compiled or collected for a purpose other than that
specifically identified in paragraph (a) that either: (1) Existed prior
to 365 days after the publication date of a final rule; (2) was
compiled or collected prior to 365 days after the publication date of a
final rule and continues to be compiled or collected; or (3) is
compiled and collected after 365 days after the publication date of a
final rule. Proposed paragraph (b) affirms the
[[Page 10966]]
intent behind the use of the term ``solely'' in paragraph (a), in that
a railroad could not compile or collect information for a different
purpose and then expect to use paragraph (a) to protect that
information just because the information is also used in its RRP. If
the information was originally compiled or collected for a purpose
unrelated to the railroad's RRP, then it is unprotected and would
continue to be unprotected.
Examples of the types of information that proposed paragraph (b)
applies to may be records related to prior incidents/accidents and
reports prepared in the normal course of business (such as inspection
reports). Generally, this type of information is often discoverable,
may be admissible in Federal and State proceedings, or considered for
other purposes, and should remain discoverable, admissible, or
considered for other purposes where it is relevant and not unduly
prejudicial to a party after the implementation of this part. However,
FRA recognizes that evidentiary decisions are based on the facts of
each particular case; therefore, FRA does not intend this to be a
definitive and authoritative list. Rather, FRA merely provides these as
examples of the types of information that paragraph (a) is not intended
to protect.
Proposed paragraph (c) clarifies that a litigant cannot rely on
State discovery rules, evidentiary rules, or sunshine laws that could
be used to require the disclosure of information that is protected by
paragraph (a). This provision is necessary to ensure the effectiveness
of the Federal protections established in paragraph (a) in situations
where there is a conflict with State discovery rules or sunshine laws.
The concept that Federal law takes precedence where there is a direct
conflict between State and Federal law should not be controversial as
it derives from the constitutional principal that ``the Laws of the
United States . . . shall be the supreme Law of the Land.'' U.S.
Const., Art. VI. Additionally, FRA notes that 49 U.S.C. 20106 is
applicable to this section, as FRA's study concluded that a rule
``limiting the use of information collected as part of a railroad
safety risk reduction program in discovery or litigation'' furthers the
public interest by ``ensuring safety through effective railroad safety
risk reduction program plans.'' See Study at 64. FRA concurs in this
conclusion. Section 20106 provides that States may not adopt or
continue in effect any law, regulation, or order related to railroad
safety or security that covers the subject matter of a regulation
prescribed or order issued by the Secretary of Transportation (with
respect to railroad safety matters) or the Secretary of Homeland
Security (with respect to railroad security matters), except when the
State law, regulation, or order qualifies under the ``essentially local
safety or security hazard'' exception to sec. 20106.
Section 271.13--Determination of Inadequate Safety Performance
Proposed Sec. 271.13 would describe FRA's methodology for
determining which railroads must comply with this part because they
have inadequate safety performance. Overall, this section describes how
FRA's analysis would have two phases: A statistically-based
quantitative analysis phase followed by a qualitative assessment phase.
Only railroads identified as possibly having inadequate safety
performance in the quantitative analysis would continue on to the
qualitative assessment, as discussed further below.
Proposed paragraph (a) describes FRA's methodology as a two-phase
annual analysis, comprised of both a quantitative analysis and a
qualitative assessment. This analysis would not include railroads
excluded under proposed Sec. 271.3(b) (e.g., commuter or intercity
passenger railroads that would be subject to FRA SSP requirements),
railroads otherwise required to comply with part 271 (i.e., Class I
railroads and railroads previously determined to have inadequate safety
performance under this section), railroads that voluntarily comply with
this part under proposed Sec. 271.15, and new railroads that have
reported accident/incident data to FRA for fewer than three years,
except that new railroads formed through an amalgamation of operations
(for example, railroads formed through consolidations, mergers, or
acquisitions of control) will be included in the analysis using the
combined accident/incident data of the pre-amalgamation entities. FRA
is requesting public comment on whether and, if so, how, it should also
exclude from the analysis railroads formed by splitting off from a
larger railroad.
FRA specifically requests comment on whether railroads that comply
voluntarily under Sec. 271.15 should be included in FRA's analysis,
and FRA's final rule may elect to include voluntarily-compliant
railroads in the analysis.
Paragraph (b) would describe the quantitative analysis, which would
make a threshold identification of railroads that might have inadequate
safety performance. Paragraph (b)(1) would specify that the
quantitative analysis would be statistically-based and would include
each railroad within the scope of the analysis, using historical safety
data maintained by FRA for the three most recent full calendar years.
The quantitative analysis would identify four factors regarding a
railroad's safety performance: (1) Fatalities; (2) FRA reportable
injury/illness rate; (3) FRA reportable accident/incident rate; and (4)
FRA violation rate.\9\
---------------------------------------------------------------------------
\9\ During RRP Working Group discussions, the ASLRRA expressed
concern that use of FRA violation data to determine safety
performance might be inappropriate, because FRA's prosecutorial
discretion may result in different railroads receiving more or fewer
violations. FRA believes that a railroad identified during the
quantitative analysis could raise such a concern during the
qualitative assessment, and FRA would consider that concern when
making the final determination regarding the railroad's safety
performance.
---------------------------------------------------------------------------
The first factor, described in proposed paragraph (b)(1)(i), is a
railroad's number of on-duty employee fatalities during the three-year
period, determined using Worker on Duty-Railroad Employee (Class A)
information reported on FRA Form 6180.55a \10\ pursuant to FRA's
accident/incident reporting regulations in part 225. FRA is requesting
public comment on whether this factor should include fatalities to
other classes of persons reported on FRA Form 6180.55a, such as
Railroad Employee Not On Duty (Class B), Worker on Duty-Contractor
(Class F), Nontrespassers-On Railroad Property (Class D), etc.
---------------------------------------------------------------------------
\10\ Railroads use Form 6180.55a to report on-duty employee
injuries and occupational illnesses.
---------------------------------------------------------------------------
The second factor, described in proposed paragraph (b)(1)(ii), is a
railroad's FRA on-duty employee injury/illness rate, calculated using
``Worker on Duty-Railroad Employee'' information reported on FRA Form
6180.55a and Form 6180.55 \11\ pursuant to FRA's accident/incident
reporting regulations in part 225. This rate would be calculated with
the following formula:
---------------------------------------------------------------------------
\11\ Railroads use Form 6180.55 to report the number of employee
hours.
Injury/Illness Rate = (Total FRA Reportable On-Duty Employee
Injuries + Total FRA Reportable On-Duty Employee Occupational
Illnesses over a 3-year period) / (Total Employee Hours over a 3-
---------------------------------------------------------------------------
year period/200,000)
This calculation would give the rate of employee injuries and
occupational illnesses per 200,000 employee hours calculated over a 3-
year period. FRA is requesting public comment on whether this factor
should include injuries/illnesses to other classes of persons reported
on FRA Form 6180.55a, such as Railroad Employee Not On Duty
[[Page 10967]]
(Class B), Worker on Duty-Contractor (Class F), Nontrespassers-On
Railroad Property (Class D), etc.
The third factor, described in proposed paragraph (b)(1)(iii), is a
railroad's FRA reportable rail equipment accident/incident rate,
calculated using information reported on FRA Form 6180.54 and Form
6180.55.\12\ This rate would be calculated with the following formula:
---------------------------------------------------------------------------
\12\ Railroads use Form 6180.54 to report accidents/incidents
and Form 6180.55 to report total train miles.
Rail Equipment Accident/Incident Rate = Total FRA Reportable Rail
Equipment Accidents/Incidents over a 3-year period / (Total Train
---------------------------------------------------------------------------
Miles over a 3-year period/1,000,000)
This calculation would give the rate of rail equipment accidents/
incidents per 1,000,000 train miles calculated over a 3-year period.
FRA is not proposing to exclude rail equipment accident/incidents
occurring at highway-rail grade crossings from this calculation, as
highway-rail grade crossings present a significant safety issue for
many railroads. FRA requests public comment on whether it should
consider excluding rail equipment accidents/incidents occurring at
highway-rail grade crossings from this calculation.
The fourth factor, described in proposed paragraph (b)(1)(iv), is a
railroad's FRA violation rate, calculated using FRA's field inspector
data system, which captures the number of violations and is made
available to each railroad. The calculation also uses information
reported to FRA on Form 6180.55. This rate would be calculated with the
following formula:
Violation Rate = Total FRA Violations over a 3-year period / (Total
Train Miles over a 3-year period / 1,000,000)
This calculation gives the rate of violations issued by FRA to a
railroad per 1,000,000 train miles calculated over a 3-year period.
Proposed paragraph (b)(2) states that the quantitative analysis
would identify a railroad as possibly having inadequate safety
performance if at least one of two conditions were met. Identified
railroads would be examined further in the qualitative assessment,
described below.
The first condition would be whether a railroad has had one or more
fatalities. FRA considers an on-duty employee fatality a strong
indication of inadequate safety performance. If a railroad has at least
one fatality within the 3-year period of the quantitative analysis,
that railroad will be examined further in the qualitative assessment.
The second condition would be whether a railroad was at or above
the 95th percentile in at least two of the three factors described in
proposed paragraphs (b)(1)(ii) through (iv) of this section (e.g., a
railroad's FRA injury/illness rate, FRA accident/incident rate, and FRA
violation rate). For example, if the scope of data includes a set of
100 railroads, the railroads with the five highest injury/illness
rates, accident/incident rates, or violation rates would be flagged.
Those railroads flagged in two or more of these factors would be
examined further in the qualitative assessment. Preliminary analyses
estimate that FRA's proposed approach would identify approximately 42
railroads over a five year period, which FRA believes is a reasonable
pool of potential railroads to examine further in the qualitative
analysis. Lowering the threshold to railroads in the 90th percentile
would identify approximately 84 railroads, and lowering the threshold
further to the 80th percentile would identify approximately about 167
railroads. While FRA believes these lower thresholds would yield a pool
too large and unwieldy to address comprehensively in the qualitative
analysis, FRA requests public comment on whether it should consider
flagging railroads at a threshold either above or below the 95th
percentile in two or more of the identified factors.
Proposed paragraph (c) would describe FRA's qualitative assessment
of railroads identified in the quantitative analysis as possibly having
inadequate safety performance. During the qualitative assessment, FRA
would consider input from both a railroad and the railroad's employees,
as well as any other pertinent information. FRA believes such input
would be helpful in determining whether the quantitative analysis
accurately identified a problem with the railroad's safety performance.
Paragraph (c)(1) would state that FRA would provide initial written
notification to railroads identified in the threshold quantitative
analysis as possibly having inadequate safety performance. Paragraph
(c)(1)(i) would further specify that a notified railroad must inform
its employees of FRA's notice within 15 days of receiving notification.
This employee notification would have to be posted at all locations
where a railroad reasonably expects its employees to report for work
and have an opportunity to observe the notice. The notice must be
continuously displayed until 45 days following FRA's initial notice. A
railroad must use other means to notify employees who do not have a
regular on-duty point to report for work, consistent with the
railroad's standard practice for communicating for employees. Such a
notification could take place by email, for example. The notification
must inform employees that they may submit confidential comments to FRA
regarding the railroad's safety performance, and must contain
instructions for doing so. Any such employee comments must be submitted
within 45 days of FRA's initial notice.
Likewise, paragraph (c)(1)(ii) would provide railroads 45 days from
FRA's initial notice to provide FRA documentation supporting any claim
that the railroad does not have inadequate safety performance. For
example, if a fatality on railroad property was determined to be due to
natural causes (such as cardiac arrest), or an accident/incident due to
an act of God, the railroad's chief safety officer could provide a
signed letter attesting to the facts, and asserting the railroad's
reasons for believing that it should not be found to have inadequate
safety performance. A railroad could also submit information regarding
any extenuating circumstances of an incident or the severity of an
injury (for example, a bee sting may not be as serious a safety concern
as a broken bone). FRA will also consider explanations regarding FRA-
issued violations, as well as any mitigating action taken by the
railroad to remedy the violations.
Paragraph (c)(2) would generally describe the qualitative
assessment of railroads identified by the quantitative analysis. During
the qualitative assessment, FRA would consider any information provided
by a railroad or its employees pursuant to paragraph (c)(1) of this
section, as well as any other pertinent information. FRA may
communicate with the railroad during the assessment to clarify its
understanding of any information the railroad may have submitted. Based
upon the qualitative assessment, FRA would make a final determination
regarding whether a railroad has inadequate safety performance no later
than 90 days following FRA's initial notice to the railroad.
Paragraph (d) would state that FRA will provide a final
notification to each railroad given an initial notification pursuant to
paragraph (c) of this section, informing the railroad whether or not it
has been found to have inadequate safety performance. A railroad with
inadequate safety performance must develop and implement an RRP
compliant with the proposed rule and must provide FRA an RRP plan no
later than 90 days after receiving the final notification, as provided
by proposed Sec. 271.301(a).
[[Page 10968]]
The RRP Working Group advised FRA to allow a railroad with
inadequate safety performance to choose to establish either an RRP in
compliance with proposed part 271 or an SSP in compliance with proposed
part 270. The Working Group believed that some railroads (particularly
smaller railroads more in need of formal structures to help them
improve safety) would elect to develop, with FRA assistance, an SSP
rather than an RRP. While FRA supports providing additional flexibility
to railroads with inadequate safety performance, this provision has not
been included in the current rule text because an SSP rule has not yet
taken effect. If the SSP rule goes into effect before the publication
of an RRP final rule, FRA would review this section and could provide
for the choice in the final rule, as advised by the Working Group. FRA
is also soliciting additional public comment on such an approach.
Paragraph (e) would state that a railroad with inadequate safety
performance would have to comply with the requirements of part 271 for
at least five years, running from the date on which FRA approves the
railroad's RRP plan. FRA believes a five-year compliance period
provides the minimum amount of time necessary for an RRP to have a
substantive effect on a railroad's safety performance, particularly if,
pursuant to proposed Sec. 271.221, the railroad has taken 36 months (3
years) to fully implement its RRP. An evaluation of an FRA C3RS
demonstration site showed the following safety improvements after two
and a half years: (1) A 31-percent increase in the number of cars moved
between incidents; (2) improved labor-management relationships and
employee engagement (i.e., an improved safety culture); and (3) a
reduction in discipline cases. FRA believes this evaluation shows that
risk-reduction-type programs can successfully yield positive impacts
within a period of only a few years. See Ranney, J. and Raslear, T.,
``Derailments decrease at a C3RS site at midterm,'' FRA Research
Results: RR12-04, April 2012, available at https://www.fra.dot.gov/eLib/details/L01321. The five-year minimum compliance period should create
the time necessary to determine whether safety improvements achieved
upon implementation of the RRP are sustainable. Furthermore, the
initial development and implementation of an RRP requires the
expenditure of resources, and as discussed in the Regulatory Impact
Analysis for this proposed rule, FRA does not expect an RRP to create a
full level of benefits until the RRP is fully implemented or no later
than the fourth year after the implementation of the rule. A minimum
five-year compliance period, therefore, provides time for a railroad to
begin receiving the full benefits of its RRP investment, although fewer
overall benefits could be received if the railroad had elected to take
the entire three years provided to fully implement its RRP.
At the end of the five-year period, under proposed paragraph (f),
the railroad could petition FRA, according to the procedures for
waivers in 49 CFR part 211, for approval to discontinue compliance with
part 271. Upon receiving a petition, FRA would evaluate the railroad's
safety performance in order to determine whether the railroad's RRP has
resulted in significant safety improvements, and whether these measured
improvements are likely to be sustainable in the long term. FRA's
evaluation would include a quantitative analysis as described in
proposed paragraph (b). FRA would also examine qualitative factors and
review information from FRA RRP audits and other relevant sources.
Analysis of the railroad's safety performance for purpose of
deciding whether its petition should be granted will be driven by the
unique characteristics of the railroad and its RRP; for this reason it
is not possible to enumerate the types of data that will be examined in
the context of a petition to discontinue compliance. In general, FRA
would look at information to determine whether real and lasting changes
to the operational safety and to the organizational safety culture had
been made. The Safety Board will use staff recommendations and other
information it deems necessary to make a final determination about
whether granting a petition is in the interest of public safety. FRA
seeks comment, however, on whether it should specify various factors,
criteria, and data that should be considered to determine whether a
waiver should be granted. If so, what should those factors, criteria,
and data be? FRA may include any such standards in a final rule.
After completing the evaluation, FRA would notify the railroad in
writing whether or not it would be required to continue compliance with
part 271. FRA specifically requests public comment on whether railroads
with inadequate safety performance should be required to comply with
part 271 permanently. In general, RRPs are strategies for gradually
improving railroad safety over the long-term. If a railroad
discontinues an implemented RRP, this could result in the loss of many
future safety improvements. Additionally, the development and
implementation of an RRP require the expenditure of railroad resources.
If an RRP is ended too soon, this might result in a railroad not
obtaining the greatest benefit possible from its RRP investment.
Requiring permanent compliance for railroads with inadequate safety
performance, therefore, could maximize both the safety improvement and
benefits of an RRP over the long-term. Furthermore, an inadequate
safety performance railroad required to comply with part 271
permanently would also continue to receive the information protections
provided for in proposed Sec. 271.11. FRA requests comment on this
approach and could elect to require continued compliance for inadequate
safety performance railroads in a final rule.
FRA also specifically requests public comment on whether the five-
year compliance period in proposed paragraph (e) should run from the
date that the railroad's RRP is fully implemented--rather than the date
on which FRA approved the railroad's RRP plan--in order to provide more
time for the RRP to have a significant effect on the railroad's safety
and for FRA to obtain more information in order to determine whether it
should consider granting a petition for approval to discontinue
compliance with this part. This alternative approach would also provide
an incentive for a railroad to implement its RRP quickly, as doing so
would then allow the railroad to terminate its RRP sooner as well.
FRA also specifically requests public comment on what should happen
when FRA denies an inadequate safety performance railroad's petition to
discontinue compliance with part 271. Should the railroad be permitted
to submit a new petition as soon as it wishes, or should the
regulations impose a new mandatory compliance period upon the railroad?
In other words, should FRA permit the railroad to submit a new petition
immediately or only after a certain period of time, such as one year or
five years?
Railroads should note that Sec. 271.223 proposes to give each
affected railroad 36 months, running from the date FRA approves the
railroad's RRP plan, to fully implement its RRP. If the final rule
ultimately adopts this proposal, FRA anticipates that a petition for
approval to discontinue compliance would most likely be unsuccessful if
an inadequate safety performance railroad took the entire 36 months to
achieve full implementation. In such a scenario, FRA would likely find
that a petition could not be granted because it had only two years'
worth of data to determine
[[Page 10969]]
whether the fully implemented RRP had been successful in improving the
railroad's safety performance. FRA would be more likely to grant a
petition, however, if the railroad had fully implemented its RRP before
the 36-month deadline. FRA anticipates that many inadequate safety
performance railroads, with systems significantly smaller than those of
Class I railroads, would not require the full 36 months to implement an
RRP.
FRA would encourage a railroad with inadequate safety performance
to continue its RRP even if FRA grants its petition to discontinue
compliance with part 271. If a railroad does continue its RRP, it could
be considered a voluntarily-compliant railroad under proposed Sec.
271.15, which would allow proposed Sec. 271.11 to continue to protect
information that continues to be compiled or collected pursuant to the
railroad's RRP from discovery and admission as evidence in litigation.
If a railroad decides not to continue with a part 271-compliant RRP,
information that had been compiled or collected pursuant to the part
271-compliant RRP would remain protected under Sec. 271.11. Any
information compiled or collected pursuant to a non-compliant RRP,
however, would not be protected under Sec. 271.11.
Section 271.15--Voluntary Compliance
The RSIA provides that railroads not required to establish a
railroad safety risk reduction program may nevertheless voluntarily
submit for FRA approval a plan meeting the requirements of the statute.
See 49 U.S.C. 20156(a)(4). Proposed Sec. 271.15(a) would implement
this language by permitting a railroad not otherwise subject to the
proposed rule to voluntarily comply by establishing and fully
implementing an RRP that meets the requirements of this part 271. Any
such voluntary RRP must be supported by an RRP plan that has been
submitted to FRA for approval pursuant to the requirements of proposed
subpart D. Paragraph (a) would also clarify that following FRA's
approval of the RRP plan for a voluntarily-compliant railroad, the
railroad could be subject to civil penalties or other enforcement
action if it then failed to comply with the part 271 requirements. It
is important to ensure that voluntarily-compliant railroads meet the
regulatory requirements because information compiled or collected
pursuant to a voluntarily-compliant RRP would be protected from
discovery or disclosure in litigation under proposed Sec. 271.11. If
the RRP information for a voluntarily-compliant railroad is protected,
FRA believes such a railroad should be subject to civil penalties or
other enforcement action for failing to comply with part 271. FRA
specifically requests public comment on this proposal.
Paragraph (b) would specify that a voluntarily-compliant railroad
would be required to comply with this part 271's requirements for a
minimum period of five years, running from the date on which FRA
approves the railroad's RRP plan. As explained above regarding
railroads with inadequate safety performance, FRA believes that a
minimum five-year period may provide time for a railroad to realize the
safety improvements and benefits associated with its RRP investment.
Under proposed paragraph (c), a voluntarily-compliant railroad would be
able to petition FRA for approval to discontinue compliance with this
part after the end of this five-year period. Any such petition would
have to be filed in accordance with the procedures for waivers
contained in 49 CFR part 211. This NPRM is not proposing any specific
standards for the granting of such petitions other than what are
currently found in part 211. FRA requests public comment, however, on
whether it should establish such standards and, if so, what those
standards should consist of. Furthermore, as with inadequate safety
performance railroads, FRA specifically requests public comment on
whether the minimum five-year compliance period should run from the
date that a railroad's RRP is fully implemented, in order to provide
more time for the RRP to have a significant effect on the railroad's
safety.
Paragraph (d) would provide that the information protection
provisions of proposed Sec. 271.11 (Discovery and admission as
evidence of certain information) would not apply to information that
was compiled or collected pursuant to a voluntarily-compliant RRP that
was not conducted in accordance with the provisions of this part 271.
As discussed in the section-by-section analysis for Sec. 271.11,
voluntary risk reduction programs (such programs generated as part of a
Short Line Safety Institute) would have to fully comply with an RRP
final rule in order for the information generated to be protected from
discovery and use as evidence in litigation.
During the RSAC process, FRA and the RRP Working Group discussed
the possibility of permitting Class II or Class III railroads not
otherwise required to comply with this proposed rule to voluntarily
comply with an SSP rule instead of an RRP rule. While not proposed in
this NPRM, as an SSP rule has not been finalized, FRA is specifically
requesting public comment on whether railroads should be permitted to
voluntarily comply with an SSP rule. The FRA may elect to either
include such an approach in an RRP final rule or to amend an SSP final
rule to provide for such.
Subpart B--Risk Reduction Program Requirements
Subpart B would contain the basic elements of an RRP required by
the proposed rule. The proposed rule would provide a railroad
significant flexibility in developing and implementing an RRP.
Section 271.101--Risk Reduction Programs
Proposed Sec. 271.101 would contain general requirements regarding
RRPs. Paragraph (a)(1) would require railroads to establish and fully
implement an RRP meeting the requirements of this part 271. As
specified by the RSIA, an RRP must systematically evaluate safety
hazards on a railroad's system and manage risks associated with those
hazards to reduce the number and rates of railroad accidents/incidents,
injuries, and fatalities. See 49 U.S.C. 20156(a)(1)(A). FRA intends for
an RRP to be scalable based upon the size of a railroad. For example, a
large railroad would not be expected to identify every safety hazard on
its system, but could take a more focused and project specific view of
safety hazard identification. A railroad with a smaller system (e.g., a
Class II or III railroad determined to have inadequate safety
performance), however, might be asked to take a closer look at specific
safety hazards.
Paragraph (a) also clarifies that an RRP must be an ongoing program
that supports continuous safety improvement. A railroad that conducts a
one-time risk-based hazard analysis and does nothing further after
addressing the results of that analysis will not have established a
compliant RRP. Paragraph (a) would also list the necessary components
that an RRP must contain, including: (1) A risk-based hazard management
program (described in Sec. 271.103); (2) a safety performance
evaluation component (described in Sec. 271.105); (3) a safety
outreach component (described in Sec. 271.107); (4) a technology
analysis and technology implementation plan (described in Sec.
271.109); and (5) RRP implementation and support training (described in
Sec. 271.111).
Paragraph (b) would require a railroad's RRP to be supported by an
RRP plan, meeting the requirements of
[[Page 10970]]
proposed subpart C, that has been approved by FRA.
Paragraph (c) would address railroads subject to the RRP rule that
host passenger train service for passenger railroads subject to the
requirements of the proposed SSP rule. Under Sec. 270.103(a)(2) of the
proposed SSP rule, a passenger railroad must communicate with each host
railroad to coordinate the portions of its SSP plan that are applicable
to the host railroad. Paragraph (c) would require a host railroad, as
part of its RRP, to participate in this communication and coordination
with the passenger railroad.
Paragraph (d) would require a railroad to ensure that persons
utilizing or performing on its behalf a significant safety-related
service support and participate in the railroad's RRP. Such persons
would include entities such as host railroads, contract operators,
shared track/corridor operators, or other contractors utilizing or
performing significant safety-related services, and must be identified
by the railroad in its RRP plan pursuant to proposed Sec. 271.205(b).
Section 271.103--Risk-Based Hazard Management Program
This proposed section would contain the requirements for each risk-
based hazard management program (HMP). Proposed Sec. 271.103(a)(1)
would require a railroad's RRP to include a risk-based HMP that
proactively identifies hazards and mitigates the risks associated with
those hazards. A risk-based HMP must be integrated, system-wide, and
ongoing. The scope of a risk-based HMP would be scalable based upon the
size and extent of the railroad's system.
Paragraph (a)(2) proposes that a risk-based HMP must be fully
implemented (i.e., activities initiated) within 36 months after FRA
approves a railroad's RRP plan. Full implementation means that a
railroad should have completed its risk analysis and begun mitigation
strategies within 36 months of plan approval. If a railroad elects to
test a mitigation strategy in a pilot project (as permitted by proposed
Sec. 271.103(c)(2)), ``fully implemented'' means that the pilot
project must be fully operational within 36 months.
Paragraph (b) would state that a railroad must conduct a risk-based
hazard analysis as part of its risk-based HMP. The types of principles
and processes that inform a successful risk-based hazard analysis have
already been well-established by programs previously discussed in this
preamble, such as MIL-STD-882, APTA's ``Manual for the Development of
System Safety Program Plans for Commuter Railroads'', and FRA's
``Collision Hazard Analysis Guide.'' A railroad subject to a final RRP
rule could use any of these programs for guidance on how to conduct a
risk-based hazard analysis, pursuant to FRA's approval of the processes
in the railroad's RRP plan under proposed Sec. 271.211. As described
in the ``Collision Hazard Analysis Guide,'' a risk-based hazard
analysis is performed to identify hazardous conditions for the purpose
of mitigation, and could include several analysis techniques applied
throughout the lifetime of an RRP. See ``Collision Hazard Analysis
Guide'' at 8. A full hazard analysis could consist of various analyses,
including a Preliminary Hazard Analysis, Failure Modes and Effects
Analysis, Operating Hazard Analysis, and others, although existing
operations already designed, built, and operating may not require all
these analyses. Id. FRA specifically requests public comment regarding
what type of additional guidance would help railroads comply with the
requirements of this proposed section.
Paragraph (b) specifies that, at a minimum, a risk-based hazard
analysis must address the following components of a railroad's system:
Infrastructure; equipment; employee levels and work schedules;
operating rules and practices; management structure; employee training;
and other areas impacting railroad safety that are not covered by
railroad safety laws or regulations or other Federal laws or
regulations.
While the RSIA directed railroads to address safety culture in
their risk-based hazard analyses, FRA chose not to be prescriptive
regarding this requirement, as prescribing how risk-based hazard
analysis would identify hazards generated by a safety culture would be
difficult. FRA would require railroads to measure their safety culture,
however, in proposed Sec. 271.105(a), and believes that this proposed
approach would adequately address any related safety concerns presented
by a railroad's safety culture. With respect to measuring safety
culture, the proposed rule would permit railroads to identify the
safety culture measurements methods that they find most effective and
appropriate to their local conditions. When measuring safety culture,
FRA would expect a railroad to use a method that was capable of
correlating a railroad's safety culture with actual safety outcomes.
For example, such measurement methods could include surveys that assess
safety culture using validated scales, or some other method or
measurement that accurately identifies aspects of the railroad's safety
culture that correlate to safety outcomes. Ultimately, FRA would expect
a railroad to demonstrate that improvements in the measured aspects of
safety culture would reliably lead to reductions in accidents,
injuries, and fatalities. FRA requests public comment on how a railroad
should measure its safety culture as part of its RRP.
As further described in paragraph (b), a risk-based hazard analysis
must identify hazards by analyzing the following: (1) Various aspects
of the railroad's system (including any operational changes, system
extensions, or system modifications); and (2) accidents/incidents,
injuries, fatalities, and other known indicators of hazards (such as
data compiled from a close call reporting program). A railroad must
then calculate risk by determining and analyzing the likelihood and
severity of potential events associated with the identified hazards.
These risks must then be compared and prioritized for the purpose of
mitigation.
Paragraph (c)(1) would require a railroad, based on its risk-based
HMP, to design and implement mitigation strategies that improve safety
by mitigating or eliminating aspects of a railroad's system that
increase risks identified in the risk-based hazard analysis and
enhancing aspects of a railroad's system that decrease risks identified
in the risk-based hazard analysis. As provided in proposed paragraph
(c)(2), a railroad could use pilot projects (including those conducted
by other railroads) to determine whether quantitative data suggests
that a particular mitigation strategy has potential to succeed on a
full-scale basis. FRA anticipates that railroads will design and
implement mitigation strategies that are either cost-beneficial or
cost-neutral. FRA requests public comment on this assumption. FRA is
specifically interested in the experience of any railroads that may
have already utilized risk reduction strategies, and whether or not
such railroads have realized cost benefits from the design and
implementation of risk mitigation strategies. In railroads'
experiences, how much have mitigation strategies related to risk
reduction activities cost?
As discussed above in the analysis of the purpose and scope
provisions of proposed Sec. 271.1, FRA does not intend the proposed
regulation to address hazards and risks that are completely unrelated
to railroad safety and that would fall directly under the jurisdiction
of either OSHA or the EPA. FRA would not, therefore, expect a risk-
based HMP to address hazards and risks that go beyond the limits of
FRA's railroad safety jurisdiction. A risk-based
[[Page 10971]]
HMP should, however, include railroad safety hazards and risks that
could result in damage to the environment, such as a derailment that
could result in a hazardous materials release. In such situations, the
underlying hazard or risk would fall within FRA's railroad safety
jurisdiction. FRA seeks public comment on whether this section should
include a statement clarifying the railroad safety scope of the risk-
based HMP.
Additionally, the proposed regulation does not define a level of
risk that railroads must target with their risk-based HMPs. FRA's
Passenger Equipment Safety Standards require passenger railroads,
however, when procuring new passenger cars and locomotives, to ensure
that fire safety considerations and features in the design of the
equipment reduce the risk of personal injury caused by fire to an
acceptable level using a formal safety methodology such as MIL-STD-882.
See 49 CFR 238.103(c). Passenger railroads operating Tier II passenger
equipment are also required to eliminate or reduce risks posed by
identified hazards to an acceptable level. See 49 CFR 238.603(a)(3).
FRA seeks comment on whether a final RRP rule should define levels of
risks that a railroad's risk-based HMP must target.
Section 271.105--Safety Performance Evaluation
This section would contain requirements for safety performance
evaluations. Safety performance evaluation is a necessary part of a
railroad's RRP because it determines whether the RRP is effectively
reducing risk. It also monitors the railroad's system to identify
emerging or new risks. In this sense, it is essential for ensuring that
a railroad's RRP is an ongoing process, and not merely a one-time
exercise.
Paragraph (a) would require a railroad to develop and maintain
ongoing processes and systems for evaluating the safety performance of
a railroad's system. A railroad must also develop and maintain
processes and systems for measuring its safety culture. For example, a
railroad could measure its safety culture by surveying employees and
management to establish an initial baseline safety culture, and then
comparing that initial baseline to subsequent surveys. FRA would give a
railroad substantial flexibility, however, to decide which safety
culture measurement was the best fit for the organization. FRA's
primary concern would be that the selected measurement would provide a
way to demonstrate that an improvement in the safety culture
measurement would reliably lead to a corresponding improvement in
safety. Overall, a safety performance evaluation would consist of both
a safety monitoring and a safety assessment component.
Paragraph (b) would establish the safety monitoring component by
requiring a railroad to monitor the safety performance of its system.
At a minimum, a railroad must do so by establishing processes and
systems for acquiring safety data and information from the following
sources: (1) Continuous monitoring of operational processes and systems
(including any operational changes, system extensions, or system
modifications); (2) periodic monitoring of the operational environment
to detect changes that may generate new hazards; (3) investigations of
accidents/incidents, injuries, fatalities, and other known indicators
of hazards; (4) investigations of reports regarding potential non-
compliance with Federal railroad safety laws or regulations, railroad
operating rules and practices, or mitigation strategies established by
the railroad; and (5) a reporting system through which employees can
report safety concerns (including, but not limited to, hazards, issues,
occurrences, and incidents) and propose safety solutions and
improvements. The requirement for a reporting system would not require
a railroad to establish an extensive program like FRA's Confidential
Close Call Reporting System (C3RS). Rather, a railroad would have
substantial flexibility to design a reporting system best suited to its
own organization (or, if a railroad already has some sort of reporting
system, to modify it to meet the needs of the railroad's RRP). For
example, a railroad could decide whether or not it wanted its reporting
system to be confidential or non-punitive.\13\ Or, in the alternative,
the reporting system could be something as simple as a suggestion box
made available to employees.
---------------------------------------------------------------------------
\13\ If a railroad elected to use a reporting system that was
non-punitive in nature, FRA would expect it to contain certain
limitations that would prevent the system from becoming a way for
railroad employees to completely avoid culpability for any type of
wrongdoing, such as willful misconduct. For example, FRA's C3RS
pilot programs do not protect an employee from discipline under
certain circumstances, including when: The employee's action or lack
of action was intended to damage property, injure individuals, or
place others in danger; the employee's action or lack of action
involved a criminal defense; and the event resulted in an
identifiable release of hazardous materials. FRA would expect any
railroad non-punitive reporting system to have similar limitations.
---------------------------------------------------------------------------
Paragraph (c) would establish the safety assessment component, the
purpose of which is to assess the need for changes to a railroad's
mitigation strategies or overall RRP. To do so, a railroad must
establish processes to analyze the data and information collected
pursuant to the safety monitoring component of this section, as well as
any other relevant data regarding the railroad's operations, products,
and services. At a minimum, this safety assessment must: (1) Evaluate
the overall effectiveness of the railroad's RRP in reducing the number
and rates of railroad accidents/incidents, injuries, and fatalities;
(2) evaluate the effectiveness of the railroad's RRP in meeting the
goals described in its RRP plan pursuant to proposed Sec. 271.203(c);
(3) evaluate the effectiveness of risk mitigations in reducing the risk
associated with an identified hazard (any hazards associated with
ineffective mitigation strategies would be required to be reevaluated
through the railroad's risk-based HMP); and (4) identify new,
potential, or previously unknown hazards, which shall then be evaluated
by the railroad's risk-based HMP.
Section 271.107--Safety Outreach
This section contains requirements regarding the safety outreach
component of an RRP. Under proposed paragraph (a), an RRP must include
a safety outreach component that communicates RRP safety information to
railroad personnel (including contractors) as that information is
relevant to their positions. At a minimum, a safety outreach program
must: (1) Convey safety-critical information; (2) explain why RRP-
related safety actions are taken; and (3) explain why safety procedures
are introduced or changed.
Railroads should note that this section imposes only a general
education and communication requirement (similar to a briefing), and
not a training curriculum requirement that would require railroads to
test and qualify employees on the information conveyed. The focus of
this section would be limited to outreach and safety awareness. A
limited one-time RRP training requirement for railroad employees who
have significant responsibility for implementing and supporting a
railroad's RRP is contained in proposed Sec. 271.111, discussed below.
Furthermore, this section would only require a railroad to communicate
RRP safety information that is relevant to an employee's position. For
example, a railroad could be expected to notify railroad employees of a
mitigation strategy that is being implemented that requires employee
participation (e.g., a close call program). A railroad would also have
to communicate safety information to employees who worked
[[Page 10972]]
in the implementation and support of the RRP, in addition to providing
these employees the implementation and support training proposed in
Sec. 271.111. For example, a railroad would be expected to communicate
the effect the RRP was having on the railroad's overall safety
performance to employees who implemented and supported the railroad's
RRP. This section would not, however, require a railroad to train all
employees on RRP requirements and principles. This section would also
not require a railroad to provide employees any sort of job-specific
training.
Paragraph (b) would require a railroad to report the status of
risk-based HMP activities to railroad senior management on an ongoing
basis. A railroad would have flexibility in its RRP plan to specify
what ``ongoing basis'' means.
Section 271.109--Technology Analysis and Technology Implementation Plan
This section would implement the RSIA requirement that an RRP
include a technology analysis and a technology implementation plan. See
49 U.S.C. 20156(e).
Paragraph (a) would require a Class I railroad to conduct a
technology analysis and to develop and adopt a technology
implementation plan no later than three years after the publication
date of the final rule. A railroad with inadequate safety performance
shall conduct a technology analysis and develop and adopt a technology
implementation plan no later than three years after receiving final
written notification from FRA that it shall comply with this part,
pursuant to Sec. 271.13(e), or no later than three years after the
publication date of the final rule, whichever is later. A railroad that
the STB reclassifies or newly classifies as a Class I railroad shall
conduct a technology analysis and develop or adopt a technology
implementation plan no later than three years following the effective
date of the classification or reclassification or no later than three
years after the effective date of the final rule, whichever is later. A
voluntarily-compliant railroad shall conduct a technology analysis and
develop and adopt a technology implementation plan no later than three
years after FRA approves the railroad's RRP plan. It is important to
note that the technology implementation plan needs to be adopted within
three years of the various events described in paragraph (a), not
necessarily the actual technology. FRA understands that certain
technologies may take longer than three years to properly implement,
and the three year timeline in paragraph (a) does not apply to this
technology. FRA would, however, expect a railroad to implement
technology in a timely manner consistent with its implementation plan.
Further, as addressed by paragraph (d), if a railroad implements
technology pursuant to 49 CFR part 236, subpart I (Positive Train
Control Systems), the railroad is required to comply with the timeline
set forth in RSIA.
Under paragraph (b), a technology analysis must evaluate current,
new, or novel technologies that may mitigate or eliminate hazards and
the resulting risks identified through the risk-based hazard management
program. The railroad would analyze the safety impact, feasibility, and
costs and benefits of implementing technologies that will mitigate or
eliminate hazards and the resulting risks. At a minimum, a technology
analysis must consider processor-based technologies, positive train
control (PTC) systems, electronically-controlled pneumatic brakes, rail
integrity inspection systems, rail integrity warning systems, switch
position monitors and indicators, trespasser prevention technology, and
highway-rail grade crossing warning and protection technology. FRA
specifically requests public comment on whether a technology analysis
should be required to consider additional technologies, or whether some
of the proposed technologies do not need to be addressed by the
technology analysis.
Under paragraph (c), a railroad must develop, and periodically
update as necessary, a technology implementation plan that contains a
prioritized implementation schedule describing the railroad's plan for
development, adoption, implementation, maintenance, and use of current,
new, or novel technologies on its system over a 10-year period to
reduce safety risks identified in the railroad's risk-based HMP. A
railroad would not be required to include a certain number or type of
technology in its plan, as this will depend upon the identified
hazards. As proposed, the phrase ``periodically update as necessary''
means that a railroad's plan must be ongoing and continuous, rather
than a one-time exercise. When a railroad updates its plan, it would be
required to do so in a way that extended the plan 10 years from the
date of the update. FRA is specifically requesting public comment on
whether the phrase ``as necessary'' should be replaced by a definite
requirement for a railroad to update its plan after a specific period
of time. If so, how long should this time period be? For example,
should a railroad be required to update its technology implementation
plan annually?
Paragraph (d) would state that, except as required by 49 CFR part
236, subpart I (Positive Train Control Systems), if a railroad decides
to implement a PTC system as part of its technology implementation
plan, the railroad shall set forth and comply with a schedule that
would implement the system no later than December 31, 2018, as required
by the RSIA. See 49 U.S.C. 20156(e)(4)(B). However, this paragraph
would not, in itself, require a railroad to implement a PTC system. In
addition, FRA specifically seeks public comment on whether a railroad
electing to implement a PTC system would find it difficult to meet the
December 31, 2018 implementation deadline. If so, what measures could
be taken to assist a railroad struggling to meet the deadline and
achieve the safety purposes of the statute?
Section 271.111--Implementation and Support Training
This proposed section would require a railroad to provide RRP
training to each employee who has significant responsibility for
implementing and supporting the railroad's RRP. This proposed training
requirement would apply to any employee with such responsibility,
including an employee of a person identified by a railroad's RRP plan
under proposed Sec. 271.205(a)(3) as utilizing or performing
significant safety-related services on the railroad's behalf. While
railroads will have some flexibility in identifying which employees
have significant RRP responsibilities, the following two categories of
employees are examples of who should be included: (1) Employees who
hold positions of safety leadership (e.g., corporate safety and
operations officers); and (2) employees whose job duties primarily
relate to developing and implementing an RRP (e.g., employees tasked
with conducting the mandatory risk-based hazard analysis or
implementing mitigation measures). Railroad operating employees whose
jobs are only tangentially related to RRP, such as locomotive engineers
or dispatchers, would not be expected to have RRP training. FRA
specifically requests public comment regarding which railroad employees
should be provided RRP training.
This training would help ensure that personnel with significant RRP
responsibilities are familiar with the elements of the railroad's
program and have the knowledge and skills needed to fulfill their
responsibilities. While this training requirement was not contained in
the ``Recommendations to the Administrator'' document voted on by the
RSAC RRP Working Group, FRA
[[Page 10973]]
believes the requirement is necessary to ensure the effectiveness of a
railroad's RRP.\14\ A railroad's RRP can be successful only if those
who are responsible for implementing and supporting the program
understand the requirements and goals of the program. Including an RRP
training component in this NPRM is also necessary because such RRP
training would not otherwise be required by FRA's training standards
rule, published on November 7, 2014. See 79 FR 66460. In general, the
training standards rule requires a railroad to develop and submit for
FRA approval a training program for ``safety-related railroad
employees.'' Id. Section 243.5 defines a ``safety-related railroad
employee'' as follows:
---------------------------------------------------------------------------
\14\ A training component is also included in the SSP NPRM,
published September 7, 2012. See 77 FR 55386-55387, 55404-55405.
While the proposed RRP training requirement shares similarities with
the SSP proposal, it has been modified to reflect what FRA believes
to be the different training needs of the freight railroad industry.
Safety-related railroad employee means an individual who is
engaged or compensated by an employer to: (1) Perform work covered
under the hours of service laws found at 49 U.S.C. 21101, et seq.;
(2) Perform work as an operating railroad employee who is not
subject to the hours of service laws found at 49 U.S.C. 21101, et
seq.; (3) In the application of parts 213 and 214 of this chapter,
inspect, install, repair, or maintain track, roadbed, and signal and
communication systems, including a roadway worker or railroad bridge
worker as defined in Sec. 214.7 of this chapter; (4) Inspect,
repair, or maintain locomotives, passenger cars or freight cars; (5)
Inspect, repair, or maintain other railroad on-track equipment when
such equipment is in a service that constitutes a train movement
under part 232 of this chapter; (6) Determine that an on-track
roadway maintenance machine or hi-rail vehicle may be used in
accordance with part 214, subpart D of this chapter, without repair
of a non-complying condition; (7) Directly instruct, mentor,
inspect, or test, as a primary duty, any person while that other
person is engaged in a safety-related task; or (8) Directly
supervise the performance of safety-related duties in connection
---------------------------------------------------------------------------
with periodic oversight in accordance with Sec. 243.205.
Because this definition focuses on railroad operating employees and
those who directly train and supervise them, FRA assumes that it would
not include the typical railroad employee who has significant
responsibility for implementing and supporting a railroad's RRP, as FRA
believes it is unlikely that employees with significant RRP
responsibilities would also be engaged in performing operational duties
or directly training or supervising those who do.\15\ Therefore,
railroad employees with significant RRP responsibilities are not likely
to be covered by the requirements in the training standards final rule.
---------------------------------------------------------------------------
\15\ Furthermore, even if an RRP employee performed duties that
fell within the proposed definition of ``safety-related railroad
employee,'' the training standards NPRM only proposed to require
training for a safety-related railroad employee to the extent that
he or she is required to comply with a Federal mandate. See 77 FR
6420. For example, a railroad employee who is expected to perform
any of the inspections, tests, or maintenance required by 49 CFR
part 238 would be required to be trained in accordance with all
Federal requirements for that work. Id. Because the RRP regulation
proposed in this NPRM is performance-based and focuses on process,
FRA would not consider it as containing specific mandates for the
way in which a railroad employee with significant RRP responsibility
has to perform his or her RRP duties. Therefore, even if an RRP
employee also qualified as a ``safety-related railroad employee''
under the proposed training standards rule, the proposed training
standards rule would not subject the employee to any additional RRP
training requirement. FRA believes it would be inconsistent to apply
the proposed training standards rule to some RRP employees and not
others, based solely upon whether the employee performed safety-
related duties that were subject to the training standards rule but
otherwise unrelated to RRP.
---------------------------------------------------------------------------
FRA is specifically requesting public feedback on this proposed RRP
implementation and support training requirement. What topics should RRP
implementation and support training cover? (For example, should
employees with significant RRP responsibilities be trained in the
principles and requirements of a final rule?) Also, should periodic or
refresher training be provided?
Subpart C--Risk Reduction Program Plan Requirements
Subpart C would contain proposed requirements for RRP plans.
Section 271.201--General
Proposed Sec. 271.201 would require a railroad to adopt and
implement its RRP through a written RRP plan meeting the requirements
of subpart C. This plan must be approved by FRA according to the
requirements of subpart D.
Section 271.203--Policy, Purpose and Scope, and Goals
Proposed Sec. 271.203 would contain requirements for policy,
purpose and scope, and goals statements for an RRP plan. Under
paragraph (a), an RRP plan must contain a policy statement, signed by
the railroad's chief official (e.g., Chief Executive Officer),
endorsing the railroad's RRP. This signature endorsement would indicate
that the railroad's chief official has reviewed and supports the policy
statement, thereby demonstrating the importance of safety to the
railroad. The RSAC Working Group recommended that FRA allow the safety
policy statement to be signed by the railroad's chief safety officer.
Prior experience with effective risk management programs, however, has
demonstrated to FRA the importance of the active involvement of the
highest officials in improving safety and safety culture. For this
reason, FRA has determined that the chief official at the railroad
should sign the safety policy. The policy statement should endorse the
railroad's RRP and include a commitment to implement and maintain the
RRP, as well as a commitment to the management of safety risk and a
commitment to continuously seek improvements in the level of safety.
Paragraph (b) would require an RRP plan to include a statement
describing the purpose and scope of the railroad's RRP. This statement
must describe the railroad's safety philosophy and safety culture. A
safety philosophy is what a railroad thinks about safety, while a
safety culture is the railroad's practices and behaviors with respect
to safety. This statement must also describe how the railroad promotes
improvements to its safety culture, the roles and responsibilities of
railroad personnel (including management) within the railroad's RRP,
and how any person utilizing or performing on a railroad's behalf
significant safety-related services (including host railroads, contract
operators, shared track/corridor operators, or other contractors) will
support and participate in the railroad's RRP.
Under paragraph (c), an RRP plan must contain a statement defining
the railroad's goals for an RRP and describing clear strategies for
reaching those goals. The central goal of an RRP is to manage or
eliminate hazards and the resulting risks to reduce the number and
rates of railroad accidents, incidents, injuries, and fatalities. FRA
believes one way to achieve this central goal is for a railroad to set
forth goals that are designed in such a way that when the railroad
achieves these goals, the central goal is achieved as well. These goals
may not be merely vague aspirations towards general safety improvement.
Rather, as described further below, the goals must be long-term,
meaningful, measurable, and focused on the mitigation of risks
associated with identified safety hazards.
Long-term: Goals must be long-term so that they are
relevant to the railroad's RRP. This does not mean that goals cannot
have relevance in the short-term. Rather, goals must have significance
beyond the short-term and must continue to contribute to the RRP.
Meaningful: Goals must be meaningful so that they are not
so broad
[[Page 10974]]
that they cannot be attributed to specific aspects of the railroad's
operations. The desired results must be specific and must have a
meaningful impact on safety.
Measurable: Goals must be measurable so that they are
designed in such a way that it is easily determined whether each goal
is achieved or at least progress is being made to achieve the goal. A
measurable goal is one which is supported by specific measurable
objectives, which address activities and outcomes that help achieve the
goals.
The goals must be consistent with the overall goal of the
RRP, in that they must be focused on the mitigation of risks arising
from identified safety hazards.
For example, a railroad could have goals such as reducing the
number of incidents involving run-through switches, reducing the number
of injuries due to distraction, increasing the number of days between
minor derailments, or identifying and eliminating or mitigating
hazardous conditions with a railroad's processes and operations. Such
goals must be supported by specific, measurable objectives. For
example, the goal of identifying and eliminating or mitigating
hazardous conditions with a railroad's processes and operations could
be supported by the following objectives: (1) Increase safety hazard
reporting by 10 percent over the next year; and (2) initiate mitigation
of all unacceptable hazards within a certain numbers of months
following the risk-based hazard analysis. Whatever the goal, there
should be a specific measurable objective associated with it, and once
mitigation has enabled a railroad to reach that goal, resources should
be allowed to shift from mitigation to maintenance. This goal
specificity is necessary so that a railroad may be able to determine
whether its RRP is meeting these goals and effectively improving
safety. Furthermore, the statement required by proposed paragraph (c)
must describe clear strategies on how the railroad will achieve these
goals. These strategies will be the railroad's opportunity to provide
its vision on how these particular goals will ultimately reduce the
number and rates of railroad accidents, incidents, injuries, and
fatalities.
Section 271.205--System Description
This section would require an RRP plan to include a statement
describing the characteristics of the railroad system. This section
would not, however, require a railroad to describe every facet of its
system in minute detail. Rather, the description should be sufficient
to support the identification of hazards by establishing a basic
understanding of the scope of the railroad's system. For example, the
description should contain information such as the general geographic
scope of the railroad's system, the total miles of track that the
railroad operates, and which track segments the railroad shares with
other railroads. More specifically, the statement must describe the
following:
A brief history of the railroad, including when and how
the railroad was established and the major milestones in the railroad's
history. Safety culture, operating rules, and practices have been
affected by railroad mergers and other significant events, and this
information will provide background as to the railroad's organizational
history and how it may have shaped the way in which the railroad
addresses safety risk;
The railroad's operations (including any host operations),
including the roles, responsibilities, and organization of the railroad
operating departments;
The scope of the service the railroad provides, including
the number of routes, the major types of freight the railroad
transports (including intermodal and hazardous materials), and their
respective traffic proportions. The railroad may also provide a system
map;
The physical characteristics of the railroad, including
the number of miles of track the railroad operates over, the number and
types of grade crossings the railroad operates over, and which track
segments the railroad shares with other railroads;
A brief description of the railroad's maintenance
activities and the type of maintenance required by the railroad's
operations and facilities;
Identification of the size and location of the railroad's
physical plant, including major physical assets such as maintenance
facilities, offices, and large classification yards; and
Any other aspects of the railroad pertinent to the
railroad's operations.
The system description must also identify all persons that utilize
or perform on the railroad's behalf significant safety-related services
(including entities such as host railroads, contract operations, shared
track/corridor operators, or other contractors). FRA would give a
railroad significant discretion to identify which persons utilize or
provide on its behalf significant safety-related services. In
interpreting this proposed provision, emphasis would be placed upon the
words ``significant'' and ``safety-related.'' FRA does not expect a
railroad to identify every contractor that provides services. For
example, a railroad would be expected to identify a signal contractor
that routinely performed services on its behalf, but not a contractor
hired on a one-time basis to pave a grade crossing. Generally, this
section would require identification of those persons whose significant
safety-related services or utilization would be affected by the
railroad's RRP.
Section 271.207--Consultation Process Description
Section 271.207 would implement section 103(g)(1) of the RSIA,
which states that a railroad required to establish an RRP must
``consult with, employ good faith and use its best efforts to reach
agreement with, all of its directly affected employees, including any
non-profit employee labor organization representing a class or craft of
directly affected employees of the railroad carrier, on the contents of
the safety risk reduction program.'' 49 U.S.C. 20156(g)(1). This
section would also implement section 103(g)(2) of the RSIA, which
further provides that if a ``railroad carrier and its directly affected
employees, including any nonprofit employee labor organization
representing a class or craft of directly affected employees of the
railroad carrier, cannot reach consensus on the proposed contents of
the plan, then directly affected employees and such organizations may
file a statement with the Secretary explaining their views on the plan
on which consensus was not reached.'' 49 U.S.C. 20156(g)(2). The RSIA
requires FRA to consider these views during review and approval of a
railroad's RRP plan.
As discussed above in section III.B of the preamble, the proposed
language is essentially identical to that proposed in the separate SSP
NPRM, published on September 7, 2012, except that it contains
additional language applying specifically to the unique situations of
railroads with inadequate safety performance, railroads that have been
reclassified or newly classified as Class I railroads by the STB, and
voluntarily-compliant railroads. While the RSAC did not provide
recommended language for this section, FRA worked with the System
Safety Task Group to receive input regarding how the consultation
process should be addressed, with the understanding that the language
would be provided in both the RRP and SSP NPRMs for review and comment.
Therefore, FRA seeks comment on this rule's proposal regarding the
consultation requirement set forth in sec. 103(g) of the RSIA.
Furthermore,
[[Page 10975]]
while this NPRM does not respond to comments already received in
response to the already-published SSP NPRM, FRA will consider comments
submitted to both the SSP and RRP NPRMs regarding the consultation
process requirements when developing an RRP final rule. FRA requests
comments on all aspects of the proposed provisions, and is specifically
interested in comment regarding the proposed timelines for meeting with
directly affected employees.
Paragraph (a)(1) would implement sec. 103(g)(1) of the RSIA by
requiring a railroad to consult with its directly affected employees on
the contents of its RRP plan, including any non-profit employee labor
organization representing a class or craft of the railroad's directly
affected employees. As part of that consultation, a railroad must
utilize good faith and best efforts to reach agreement with its
directly affected employees on the contents of its plan.
Paragraph (a)(2) would specify that a railroad that consults with a
non-profit employee labor organization is considered to have consulted
with the directly affected employees represented by that organization.
Paragraph (a)(3) would require a Class I railroad to meet with its
directly affected employees to discuss the consultation process no
later than 240 days after the publication date of the final rule. This
meeting will be the Class I railroads' and directly affected employees'
opportunity to schedule, plan, and discuss the consultation process.
FRA does not expect a Class I railroad to discuss any substantive
material until the information protection provisions of Sec. 271.11
become applicable. Rather, this initial meeting should be more
administrative in nature so that both parties understand the
consultation process as they go forward and so that they may engage in
substantive discussions as soon as possible after the applicability
date of Sec. 271.11. This will also be an opportunity to educate the
directly affected employees on risk reduction and how it may affect
them. The Class I railroad will be required to provide notice to the
directly affected employees no less than 60 days before the meeting is
scheduled.
Paragraph (a)(4) would require a railroad with inadequate safety
performance to meet no later than 30 days following FRA's notification
with its directly affected employees to discuss the consultation
process. The inadequate safety performance railroad would have to
notify the employees of this meeting no less than 15 days before it is
scheduled. Under paragraph (a)(5), a railroad reclassified or newly
classified by the STB would have to meet with its directly affected
employees to discuss the consultation process no later than 30 days
following the effective date of the classification or reclassification.
The reclassified or newly classified Class I railroad would also be
required to notify its directly affected employees of the meeting no
less than 15 days before it is scheduled. FRA specifically requests
public comment on whether this schedule allows railroads with
inadequate safety performance or reclassified or newly classified Class
I railroads sufficient time to consult with directly affected
employees.
Paragraph (a)(6) would clarify that while a voluntarily-compliant
railroad must also consult with its directly affected employees using
good faith and best efforts, there are no timeline requirements
governing when such meetings must take place.
Paragraph (a)(7) would direct readers to proposed appendix B for
additional guidance on how a railroad might comply with the
consultation requirements of this section. Appendix B is discussed
later in this preamble.
Paragraph (b) would require a railroad to submit, together with its
RRP plan, a consultation statement. The purpose of this consultation
statement would be twofold: (1) To help FRA determine whether the
railroad has complied with Sec. 271.207(a) by, in good faith,
consulting and using its best efforts to reach agreement with its
directly affected employees on the contents of its RRP plan; and (2) to
ensure that the directly affected employees with which the railroad has
consulted were aware of the railroad's submission of its RRP plan to
FRA for review. The consultation statement must contain specific
information described in proposed paragraphs (b)(1) through (4) of this
section.
Paragraph (b)(1) would require a consultation statement to contain
a detailed description of the process the railroad utilized to consult
with its directly affected employees. This description should contain
information such as (but not limited to) the following: (1) How many
meetings the railroad held with its directly affected employees; (2)
what materials the railroad provided its directly affected employees
regarding the draft RRP plan; and (3) how input from directly affected
employees was received and handled during the consultation process.
If the railroad is unable to reach agreement with its directly
affected employees on the contents of its RRP plan, paragraph (b)(2)
would require that the consultation statement identify any areas of
non-agreement and provide the railroad's explanation for why it
believed agreement was not reached. A railroad could specify, in this
portion of the statement, whether it was able to reach agreement on the
contents of its RRP plan with certain directly affected employees, but
not others.
If the RRP plan would affect a provision of a collective bargaining
agreement between the railroad and a non-profit employee labor
organization, paragraph (b)(3) would require the consultation statement
to identify any such provision and explain how the railroad's RRP plan
would affect it.
Under proposed paragraph (b)(4), the consultation statement must
include a service list containing the names and contact information for
the international/national president of any non-profit employee labor
organization representing directly affected employees and any directly
affected employee not represented by a non-profit employee labor
organization who significantly participated in the consultation
process. If an international/national president did not participate in
the consultation process, the service list must also contain the name
and contact information for a designated representative who
participated on his or her behalf. This paragraph would also require a
railroad (at the same time it submits its proposed RRP plan and
consultation statement to FRA) to provide individuals identified in the
service list a copy of the RRP plan and consultation statement.
Railroads could provide the documents to the identified individuals
electronically, or using other means of service reasonably calculated
to succeed (e.g., sending identified individuals a hyperlink to a copy
of the submitted RRP plan). This service list would help FRA determine
whether the railroad had complied with the Sec. 271.207(a) requirement
to consult with its directly affected employees. Requiring the railroad
to provide individuals identified in the service list with a copy of
its submitted plan and consultation statement would also notify those
individuals that they now have 60 days under Sec. 271.207(c)(2)
(discussed below) to submit a statement to FRA if they are not able to
come to reach agreement with the railroad on the contents of the RRP
plan.
Paragraph (c)(1) would implement sec. 103(g)(2) of the RSIA by
providing that, if a railroad and its directly affected employees
cannot reach agreement on the proposed contents of an RRP plan, then a
directly affected employee may file a statement with the
[[Page 10976]]
FRA Associate Administrator for Railroad Safety/Chief Safety Officer
explaining his or her views on the plan on which agreement was not
reached. See 49 U.S.C. 20156(g)(2). The FRA Associate Administrator for
Railroad Safety/Chief Safety Officer will consider any such views
during the plan review and approval process.
Paragraph (c)(2) would specify, as also provided in Sec.
271.301(a)(1), that a railroad's directly affected employees have 60
days following the railroad's submission of its proposed RRP plan to
submit the statement described in paragraph (c)(1) of this section. FRA
believes 60 days would provide directly affected employees sufficient
time to review a railroad's proposed RRP plan and to draft and submit
to FRA a statement if they were not able to come to agreement with the
railroad on the contents of that plan. In order to provide directly
affected employees the opportunity to submit a statement, FRA would not
approve or disapprove a railroad's proposed RRP plan before the
conclusion of this 60-day period.
Section 271.209--Consultation on Amendments
This section would describe the consultation requirements for
amendments to a railroad's RRP plan. Under this section, an RRP plan
would be required to include a description of the process the railroad
will use to consult with its directly affected employees on any
substantive amendments to the railroad's RRP plan. Examples of
substantive amendments could include the following: the addition of new
stakeholder groups (or the removal of a stakeholder group); major
changes to the processes employed, including changes to the frequency
of governing body meetings; or changing the organizational level of the
manager responsible for the RRP (e.g., changing from the Chief Safety
Officer to someone who reports to the Chief Safety Officer). Non-
substantive amendments could include changes that update any names or
addresses included in the plan. As with its initial RRP plan, a
railroad would be required to use good faith and best efforts to reach
agreement with directly affected employees on any substantive
amendments to that plan. Requiring a railroad to detail that process in
its plan would facilitate the consultation by establishing a known path
to be followed. A railroad that did not follow this process when
substantively amending its RRP plan could then be subject to penalties
for failing to comply with the provisions of its plan. This requirement
would not apply to non-substantive amendments (e.g., amendments
updating names and addresses of railroad personnel).
Section 271.211--Risk-Based Hazard Management Program Process
This section would require an RRP plan to describe the railroad's
process for conducting an HMP. As previously discussed, railroads could
look to well-established safety management systems for guidance on how
to describe the process for conducting an HMP, such as MIL-STD-882,
APTA's Manual for the Development of System Safety Program Plans for
Commuter Railroads, and FRA's Collision Hazard Analysis Guide. While
FRA understands that railroads subject to a final RRP rule would likely
need to develop processes unique to their own operations, FRA would
expect a railroad's HMP process to use techniques similar to those used
by these types of current safety management systems. FRA specifically
requests public comment on what type(s) of guidance could help a
railroad comply with the requirements of this proposed section.
This section also specifies certain information that must be
contained in an RRP plan's description of a railroad's HMP process.
Under paragraph (a), this description must specify: (1) The railroad's
processes for identifying hazards and the risks associated with those
hazards; (2) the sources the railroad will use to support the ongoing
identification of hazards and the risks associated with those hazards;
and (3) the railroad's processes for comparing and prioritizing the
identified risks for mitigation purposes.
Paragraph (b) would require an RRP plan to describe the railroad's
processes for identifying and selecting mitigation strategies and for
monitoring an identified hazard through the mitigation of the risk
associated with that hazard.
Section 271.213--Safety Performance Evaluation Process
This section would require an RRP plan to describe the railroad's
processes for measuring its safety culture pursuant to Sec. 271.105,
monitoring safety performance pursuant to Sec. 271.105(b), and
conducting safety assessments pursuant to Sec. 271.105(c). Regarding
the requirement for a railroad to describe its processes for measuring
safety culture, this would require a railroad's plan to explain its
definition of safety culture and how the railroad measures whether that
definition is being achieved. For example, a railroad could define the
parameters by which it measures its safety culture, and then measure
changes to its safety culture relative to that initial baseline.
Overall, FRA would give a railroad substantial flexibility in
determining what safety culture definition and measurement processes
worked best for its organization.
Section 271.215--Safety Outreach Process
This section would require an RRP plan to describe a railroad's
process for communicating safety information to railroad personnel and
management pursuant to Sec. 271.107.
Section 271.217--Technology Implementation Plan Process
This section would require an RRP plan to describe a railroad's
processes for conducting a technology analysis pursuant to Sec.
271.109(b) and for developing a technology implementation plan pursuant
to Sec. 271.109(c).
Section 271.219--Implementation and Support Training Plan
Paragraph (a) of this section would require an RRP plan to contain
a training plan describing the railroad's processes for training,
pursuant to Sec. 271.111, employees with significant responsibility
for implementing and supporting the RRP (including employees of a
person identified pursuant to Sec. 271.205(a)(3) as utilizing or
performing significant safety-related services on the railroad's behalf
who have significant responsibility for implementing and supporting the
railroad's RRP).
Paragraph (b) would require the training plan to specifically
describe the frequency and content of the RRP training for each
position or job function identified pursuant to Sec. 271.223(b)(3) as
having significant responsibilities for implementing the RRP.
Section 271.221--Internal Assessment Process
Paragraph (a) of this section would require an RRP plan to describe
a railroad's processes for conducting an internal assessment of its RRP
pursuant to proposed subpart E. At a minimum, this description must
contain the railroad's processes for: (1) Conducting an internal RRP
assessment; (2) internally reporting the results of its internal
assessment to railroad senior management; and (3) developing
improvement plans, including developing and monitoring recommended
improvements (including any necessary revisions or updates to its RRP
plan) for fully implementing its RRP, complying with the implemented
elements of the RRP plan, or achieving the goals identified in the
railroad's RRP
[[Page 10977]]
plan pursuant to Sec. 271.203(c). Paragraph (b) would be reserved.
Section 271.223--RRP Implementation Plan
Paragraph (a) of this section would require an RRP plan to describe
how the railroad would implement its RRP. A railroad may implement its
RRP in stages, so long as the RRP is fully implemented within 36 months
of FRA's approval of the plan. Under paragraph (b), this implementation
plan must cover the entire implementation period and contain a timeline
(beginning with the date FRA approved the railroad's RRP plan)
describing when certain specific and measurable implementation
milestones will be achieved. The implementation plan must also describe
the roles and responsibilities of each position or job function with
significant responsibility for implementing the railroad's RRP or any
changes to the railroad's RRP (including any such positions or job
functions held by an entity or contractor that utilizes or performs on
the railroad's behalf significant safety-related services). An
implementation plan must also describe how significant changes to the
railroad's RRP will be made.
Subpart D--Review, Approval, and Retention of Risk Reduction Program
Plans
The RSIA requires a railroad to submit its RRP, including any of
the required plans, to the Administrator (as delegate of the Secretary)
for review and approval. See 49 U.S.C. 20156(a)(1)(B). Subpart D,
Review, Approval, and Retention of System Safety Program Plans, would
contain requirements addressing this mandate.
Section 271.301--Filing and Approval
This section would contain requirements for the filing of an RRP
plan and FRA's approval process.
Paragraph (a) would require a Class I railroad to submit one copy
of its RRP plan to the FRA Associate Administrator for Railroad Safety/
Chief Safety Officer no later than 545 days after the publication date
of the RRP final rule. A railroad with inadequate safety performance
would be required to submit its RRP plan no later than 90 days after it
receives final written notification from FRA that it is required to
comply with the RRP rule pursuant to proposed Sec. 271.13(e), or no
later than 545 days after the publication date of the RRP final rule,
whichever is later. A railroad that the STB reclassifies or newly
classifies as a Class I railroad shall submits its RRP plan no later
than 90 days following the effective date of the classification or
reclassification, or no later than 545 days after the publication date
of the RRP final rule, whichever is later. A voluntarily-compliant
railroad could submit an RRP plan at any time. FRA specifically
requests public comment on whether electronic submission of an RRP plan
should be permitted and, if so, what type of process FRA should use to
accept such submissions.
A railroad would be required to provide certain additional
information as part of its submission. Under paragraph (a)(1), a
submitted RRP plan would be required to include the signature, name,
title, address, and telephone number of the chief official responsible
for safety and who bears the primary managerial authority for
implementing the submitting railroad's safety policy. By signing, the
chief official responsible for safety is certifying that the contents
of the RRP plan are accurate and that the railroad will implement the
contents of the program as approved by FRA.
Paragraph (a)(2) would require a submitted RRP plan to contain the
contact information for the primary person responsible for managing the
RRP for the railroad. This person may be the same person as the chief
official responsible for safety and who bears the primary managerial
authority for implementing the submitting railroad's safety policy. If
it is not the same person, however, the contact information for both
must be provided. The contact information for the primary person
managing the RRP is necessary so that FRA knows who to contact
regarding any issues with the railroad's RRP.
Under paragraph (a)(3), the submitted RRP plan would have to
contain the contact information for the senior representatives of the
persons that the railroad has determined utilize or provide significant
safety-related services (including entities such as host railroads,
contract operators, shared track/corridor operators, and other
contractors). This contact information is necessary so that FRA is
aware of which persons will be involved in implementing and supporting
the railroad's RRP.
Finally, paragraph (a)(4) would reference proposed Sec. 271.207(b)
and require a railroad to submit the consultation statement describing
how it consulted with its directly affected employees on the contents
of the RRP plan. When the railroad provides the consultation statement
to FRA, proposed Sec. 271.207(b)(4) would also require the railroad to
provide a copy of the statement to directly affected employees
identified in a service list. Directly affected employees could then
file a statement within 60 days after the railroad filed its
consultation statement, as discussed in proposed Sec. 271.207(c).
Paragraph (b) would describe FRA's process for approving a
railroad's RRP plan. Within 90 days of receipt of an RRP plan, or
within 90 days of receipt of each RRP plan submitted prior to the
commencement of railroad operations, FRA would review the proposed RRP
plan to determine if the elements required by part 271 are sufficiently
addressed, and whether the processes and resources described by the
plan are sufficient to support effective implementation of the required
RRP elements. This review would also consider any statement submitted
by directly affected employees pursuant to proposed Sec. 271.207(c).
This process would involve continuous communication between FRA and the
railroad, and FRA intends to work with a railroad when reviewing its
plan and to keep directly affected employees informed of this process.
If this communication process results in substantively significant
changes to the railroad's submitted RRP plan, FRA may direct the
railroad to consult further with its directly affected employees before
FRA approves the plan.
Railroads should note the FRA will not be approving specific
mitigation measures as part of a railroad's RRP plan. Rather, a
railroad's RRP plan should only describe the processes and procedures
the railroad will use to develop and implement its RRP, including the
processes and procedures that will be used to identify and mitigate or
eliminate hazards and risks. FRA does not expect railroads to have
already identified and analyzed hazards and risks, and to have
developed specific mitigation strategies, at the time FRA approves the
railroad's RRP plan.
Once FRA determines whether a railroad's RRP plan complies with the
requirements of part 271, FRA would provide the railroad's primary
contact person written notification of whether the railroad's RRP plan
is approved or not. If FRA does not approve a plan, it would inform the
railroad of the specific points in which the plan is deficient. FRA
would also provide written notification to each individual identified
in the service list accompanying the consultation statement required
under proposed Sec. 271.207(b)(4). If a railroad receives notification
that the plan is not approved (including notification of the specific
points in which the plan is deficient), the railroad would have 60
[[Page 10978]]
days to correct all of the deficiencies and resubmit the plan to FRA.
If these corrections are substantively significant, FRA will inform the
railroad that it must consult further with its directly affected
employees about the corrections and submit an updated consultation
statement with its corrected RRP plan. Directly affected employees
would also be afforded the opportunity to submit a statement in
response to the substantively significant corrections. Directly
affected employees would not be given a second opportunity, however, to
address plan provisions that were unrelated to the substantively
significant corrections.
Paragraph (c) would specify that all documents required to be
submitted to FRA under this part may be submitted electronically
pursuant to the procedures in proposed appendix C to this part.
Section 271.303--Amendments
This section would address the process a railroad must follow
whenever it amends its FRA-approved RRP plan, regardless of whether the
amendments are substantive or non-substantive. If a railroad makes
substantive amendments, however, it would be required to follow the
process described in its RRP plan (pursuant to Sec. 271.209) for
consulting with its directly affected employees. A railroad must submit
the amended RRP plan to FRA not less than 60 days prior to the proposed
effective date of the amendment(s). Along with the amended RRP plan,
the railroad must also file a cover letter outlining the proposed
change(s) to the original, approved RRP plan. The cover letter should
provide enough information so that FRA knows what is being added or
removed from the original approved RRP. These requirements would not
apply if the proposed amendment is limited to adding or changing a
name, title, address, or telephone number of a person, although the
railroad would still be required to file the amended RRP plan with
FRA's Associate Administrator for Railroad Safety/Chief Safety Officer.
Such amendments would be implemented by the railroad upon filing with
FRA.
FRA would review the proposed amended RRP plan within 45 days of
receipt. FRA would then notify the railroad's primary contact person
whether the amended plan has been approved. If the amended plan is not
approved, FRA would inform the railroad of the specific points in which
the proposed amendment is deficient. In some instances, FRA may not be
able to complete its review in 45 days. In these cases, if FRA fails to
timely notify the railroad, the railroad may implement the amendment(s)
to the plan, which may be subject to change once FRA completes its
review. Within 60 days of receiving notification from FRA that a
proposed amendment has not been approved, a railroad must provide FRA
either a corrected copy of the amendment, addressing all deficiencies
noted by FRA, or notice that the railroad is retracting the amendment.
(Railroads should note that a retracted amendment would be covered by
the information protections provisions of proposed Sec. 271.11, as the
amendment would have been information compiled for the sole purpose of
developing an RRP.) Through its general oversight, FRA may also
determine that amendments to the RRP plan are necessary. In these
cases, the FRA would follow the process set forth in proposed Sec.
271.305.
This section does not propose a provision for amendments that a
railroad may deem safety-critical. Because a railroad's RRP plan would
only explain the processes and procedures for the program, FRA is
uncertain whether a railroad would ever need to amend the plan in order
to address a specific safety-critical concern. Rather, FRA believes
that any such safety-critical concern would require changes in the way
the RRP is implemented and maintained, rather than changes in the
processes and procedures outlined in the plan. FRA is specifically
requesting public comment, however, on whether an RRP plan would ever
need to be amended in a way that is safety-critical, so that it would
be impractical for a railroad to submit the amendment 60 days before
its proposed effective date. If so, FRA would likely include in a final
rule a provision stating that a railroad must provide FRA a safety-
critical amendment as soon as possible, instead of 60 days before its
proposed effective date.
Section 271.305--Reopened Review
Proposed Sec. 271.305 would provide that, for cause stated, FRA
could reopen consideration of an RRP plan or amendment (in whole or in
part) after approval of the plan or amendment. For example, FRA could
reopen review if it determines that the railroad has not been complying
with its plan/amendment or if information has been made available that
was not available when FRA originally approved the plan or amendment.
The determination of whether to reopen consideration would be solely
within FRA's discretion and made on a case-by-case basis.
Section 271.307--Retention of RRP Plans
Proposed Sec. 271.307 would contain requirements related to a
railroad's retention of its RRP plan. A railroad would be required to
retain at its system and various division headquarters a copy of its
RRP plan and a copy of any amendments to the plan. A railroad may
comply with this requirement by making an electronic copy available.
The railroad must make the plan and any amendments available to
representatives of FRA or States participating under part 212 of this
chapter for inspection and copying during normal business hours.
In its tentative agreement document, the RSAC Working Group advised
FRA to permit only specific RRP-trained FRA representatives to have the
authority to request access to a railroad's RRP plan. FRA is not
including this suggestion in the proposed rule, however, because it has
concerns regarding how it could be implemented. For example, how could
a railroad know whether or not an FRA representative has been trained
in RRP? FRA also believes that rule text may not be the appropriate
place for such a distinction, as the question of which inspectors have
authority to conduct inspections is an internal FRA matter. FRA
nevertheless is specifically requesting public comment on both the
proposed rule text and the Working Group's suggestion, and the final
rule may contain the Working Group's suggestion. FRA would also be
interested in any suggested alternate approaches that may be included
in the final rule.
Subpart E--Internal Assessments
In order to help ensure that an RRP is properly implemented and
effective, a railroad would need to evaluate its program on an annual
basis. Subpart E would contain provisions requiring a railroad to
conduct an internal assessment of its RRP.
Section 271.401--Annual Internal Assessments
This section would describe the processes a railroad must use to
evaluate its RRP. Because this evaluation is an internal assessment, a
railroad could tailor the processes to its specific operations, and FRA
would work with the railroad to determine the best method to internally
measure the implementation and effectiveness of the railroad's RRP.
Paragraph (a) would require a railroad to conduct an annual (once
every calendar year) internal assessment of its RRP. If desired, a
railroad could audit
[[Page 10979]]
its program more than once a year. This internal assessment must begin
in the first calendar year after the calendar year in which FRA
approves the railroad's RRP plan. The internal assessment would
determine the extent to which the railroad has: (1) Achieved the
implementation milestones described in its RRP plan pursuant to
proposed Sec. 271.223(b); (2) complied with the elements of its
approved RRP plan that have already been implemented; (3) achieved the
goals described in its RRP plan pursuant to proposed Sec. 271.203(c);
(4) implemented previous internal assessment improvement plans pursuant
to proposed Sec. 271.403; and (5) implemented previous external audit
improvement plans pursuant to Sec. 271.503. A properly executed
internal assessment would provide the railroad with detailed knowledge
of the status of its program implementation and the degree to which the
program is effectively reducing risk. The railroad would be required to
ensure that the results of the assessment of these various elements are
internally reported to the railroad's senior management.
Section 271.403--Internal Assessment Improvement Plans
Paragraph (a) of this section would require a railroad, within 30
days of completing its internal assessment, to develop an improvement
plan addressing the results of its internal assessment. Paragraph (b)
would require the improvement plan to have at least four elements.
First, the improvement plan must describe the recommended improvements
that address the findings of the internal assessment for fully
implementing the railroad's RRP, complying with the elements of the RRP
that are already implemented, or achieving the goals identified in the
RRP plan pursuant to Sec. 271.203(c). These improvements would include
any necessary revisions or updates to the RRP plan, which would have to
be made pursuant to the amendment process in proposed Sec. 271.303.
Second, the improvement plan must identify by position title the
individual who is responsible for carrying out the recommended
improvements. Third, the improvement plan must set forth a timeline
that establishes when specific and measurable milestones for
implementing the recommended improvements would be achieved. Finally,
the improvement plan must specify the process for monitoring and
evaluating the effectiveness of the recommended improvements. FRA
believes that if a railroad's internal assessment improvement plan
contains these four elements, the railroad would effectively identify
any areas in which the RRP is either improperly implemented or
ineffective at reducing risk, and could adequately address those
deficiencies.
Section 271.405--Internal Assessment Reports
Paragraph (a) of this section would require a railroad to submit a
copy of its internal assessment report to the FRA Associate
Administrator for Railroad Safety/Chief Safety Officer. The railroad
must submit this report within 60 days of completing its internal
assessment. Under paragraph (b), the report must be signed by the
railroad's chief official responsible for safety who bears primary
managerial authority for implementing that railroad's safety policy and
contain at least four elements. First, the report must describe the
railroad's internal assessment, including a description of how the
railroad satisfied the requirements set forth in proposed Sec.
271.401(b)(1) through (3). Second, the report must describe the
findings of the internal assessment. Third, the report must
specifically describe the recommended improvements set forth in the
railroad's improvement plan pursuant to proposed Sec. 271.403. Fourth,
the report must describe the status of the recommended improvements
that were set forth in the railroad's recent internal assessment
improvement plan and any outstanding recommended improvements from
previous internal assessment improvement plans.
Subpart F--External Audits
This subpart would address FRA's process for conducting audits of
the railroad's RRP and establish requirements regarding the actions a
railroad must take in response to FRA's audits. FRA's audits would
focus on reviewing the railroad's RRP process and ensuring that the
railroad is following the processes and procedures described in its
FRA-approved RRP plan.
Section 271.501--External Audits
As described in this section, FRA would conduct (or cause to be
conducted) external audits of a railroad's RRP. These audits would
focus on RRP process, evaluating the railroad's compliance with the RRP
elements required by this part, as supported by the railroad's approved
RRP plan. Because the railroad's RRP plan and any amendments would have
already been approved by FRA, this section would permit FRA to focus on
the extent to which the railroad is complying with the processes and
procedures in its own plan.
Similar to the review process for RRP plans, FRA would not audit a
railroad's RRP in a vacuum. Rather, FRA would communicate with the
railroad during the audit and attempt to resolve any issues before its
completion. Once the audit is completed, FRA would provide the railroad
with written notification of the audit results. For example, these
results would identify any areas where the railroad was not properly
complying with its RRP plan, any areas that needed to be addressed by
the railroad's RRP but were not, or any other areas in which FRA found
that the railroad and its program were not in compliance with this
part.
Section 271.503--External Audit Improvement Plans
This section would establish requirements for railroad improvement
plans responding to the results of FRA's external audit. If the results
of the audit require the railroad to take any corrective action,
paragraph (a) would provide the railroad 60 days to submit for FRA
approval an improvement plan addressing any such instances of
deficiency or non-compliance. At a minimum, paragraph (b) would require
the improvement plan to: (1) Describe the improvements the railroad
would implement to address the audit findings; (2) identify by position
title the individual who would be responsible for carrying out the
improvements necessary to address the audit findings; and (3) contain a
timeline describing when specific and measurable milestones for
implementing the recommended improvements would be achieved.
Specification of milestones is important because it would allow the
railroad to determine the appropriate progress of the improvements,
while also allowing FRA to gauge the railroad's compliance with its
improvement plan.
Under paragraph (c), if FRA does not approve a railroad's
improvement plan, FRA would notify the railroad of the plan's specific
deficiencies. The railroad would then have no more than 30 days to
amend the improvement plan to correct the deficiencies identified by
FRA and provide FRA a copy of the amended improvement plan. Paragraph
(d) would require a railroad to provide FRA for review, upon the
request of the FRA Associate Administrator for Railroad Safety/Chief
Safety Office, a status report on the implementation of the
improvements contained in the improvement plan.
[[Page 10980]]
Appendix A to Part 271--Schedule of Civil Penalties
Appendix A to part 271 would contain a schedule of civil penalties
for use in connection with this part. Because such penalty schedules
are statements of agency policy, notice and comment are not required
prior to their issuance. See 5 U.S.C. 553(b)(3)(A). Nevertheless,
commenters are invited to submit suggestions to FRA describing the
types of actions or omissions for each proposed regulatory section that
would subject a person to the assessment of a civil penalty. Commenters
are also invited to recommend what penalties may be appropriate, based
upon the relative seriousness of each type of violation.
Appendix B to Part 271--Federal Railroad Administration Guidance on the
Risk Reduction Program Consultation Process
Appendix B would contain guidance on how a railroad could comply
with Sec. 271.207, which states that a railroad must in good faith
consult with and use its best efforts to reach agreement with all of
its directly affected employees on the contents of the RRP plan. The
appendix begins with a general discussion of the terms ``good faith''
and ``best efforts,'' explaining that they are separate terms and that
each has a specific and distinct meaning. For example, the good faith
obligation is concerned with a railroad's state of mind during the
consultation process, and the best efforts obligation is concerned with
the specific efforts made by the railroad in an attempt to reach
agreement with its directly affected employees. The appendix also
explains that FRA will determine a railroad's compliance with the Sec.
271.207 requirements on a case-by-case basis and outlines the potential
consequences for a railroad that fails to consult with its directly
affected employees in good faith and using best efforts.
The appendix also contains specific guidance on the process a
railroad may use to consult with its directly affected employees. This
guidance would not establish prescriptive requirements with which a
railroad must comply, but would provide a road map for how a railroad
may conduct the consultation process. The guidance also distinguishes
between employees who are represented by a non-profit employee labor
organization and employees who are not, as the processes a railroad may
use to consult with represented and non-represented employees could
differ significantly. Overall, however, the appendix stresses that
there are many compliant ways in which a railroad may choose to consult
with its directly affected employees and that FRA believes, therefore,
that it is important to maintain a flexible approach to the Sec.
271.207 consultation requirements, so a railroad and its directly
affected employees may consult in the manner best suited to their
specific circumstances.
Appendix C to Part 271--Procedures for Submission of Railroad Risk
Reduction Program Plans and Statements From Directly Affected Employees
Proposed Appendix C would provide railroads and directly affected
employees the option to file RRP plans or consultation statements
electronically. FRA intends to create a secure document submission site
and would need basic information from railroads or directly affected
employees before setting up a user's account. In order to provide
secure access, information regarding the points of contact would be
required. It is anticipated that FRA would be able to approve or
disapprove all or part of a program and generate automated
notifications by email to a railroad's points of contact. Thus, FRA
would want each point of contact to understand that by providing any
email addresses, the railroad would be consenting to receive approval
and disapproval notices from FRA by email. Railroads that allow notice
from FRA by email would gain the benefit of receiving such notices
quickly and efficiently. FRA specifically requests public comment on
whether to allow electronic submission, and on what electronic formats
might be practical and acceptable.
While the proposed appendix would request the names and contact
information for two individuals who would be the railroad's or directly
affected employees' points of contact and who would be the only
individuals allowed access to FRA's document submission site, FRA
specifically requests public comment on whether this is a sufficient
number of points of contact, or whether more would be necessary,
particularly for railroads with multiple non-profit labor
organizations.
Those railroads that would choose to submit printed materials to
FRA would be required to deliver them directly to the specified
address. Some railroads may choose to deliver a CD, DVD, or other
electronic storage format to FRA rather than requesting access to
upload the documents directly to the secure electronic database.
Although that would be an acceptable method of submission, FRA would
encourage each railroad to utilize the electronic submission
capabilities of the system. Of course, if FRA does not have the
capability to read the type of electronic storage format sent, FRA
would be able to reject the submission.
FRA may be able to develop a secure document submission site so
that confidential materials would be identified and not shared with the
general public. However, FRA does not expect the information in an RRP
plan to be of such a confidential or proprietary nature, particularly
since each railroad is required to share the submitted RRP plan with
individuals identified in the service list pursuant to Sec.
271.107(b)(4). RRP records in FRA's possession are also exempted from
disclosure under the Freedom of Information Act pursuant to sec. 109(a)
of the RSIA, and FRA is proposing in Sec. 271.11 of this NPRM to
protect any information compiled or collected solely for the purpose of
developing, implementing, or evaluating an RRP from discovery,
admission into evidence, or consideration for other purposes in a
Federal or State court proceeding for damages involving personal
injury, wrongful death, and property damage. Accordingly, FRA does not
at this time believe it is necessary to develop a document submission
system which addresses confidential materials at this time.
IX. Regulatory Impact and Notices
A. Executive Orders 12866 and 13563 and DOT Regulatory Policies and
Procedures
This NPRM has been evaluated in accordance with existing policies
and procedures, and determined to be significant under Executive Order
12866, Executive Order 13563, and DOT policies and procedures. See 44
FR 11034 (Feb. 26, 1979). FRA has prepared and placed in the docket a
regulatory impact analysis (RIA) addressing the economic impact of this
NPRM.
This NPRM directly responds to the Congressional mandate of sec.
103 of the RSIA, which states that FRA shall require each Class I
railroad and railroads with inadequate safety performance to establish
a railroad safety risk reduction program. See 49 U.S.C. 20156(a)(1).
This NPRM proposes to implement this mandate by requiring each Class I
railroad and railroad with inadequate safety performance to develop and
implement a RRP to improve the safety of their operations. FRA believes
that all of the requirements of the NPRM are directly or implicitly
required by the RSIA.
[[Page 10981]]
The costs for this proposed regulation basically stem from the
requirements to have a fully developed and implemented RRP that is
supported by an RRP plan. The primary costs come from the development
of an ongoing risk-based HMP, the ongoing evaluation of safety
performance, and the safety outreach component of the RRP. In addition,
there are costs for the development of a technology implementation
plan, the consultation process, and internal assessments.
In analyzing this proposed rule, FRA has applied DOT's updated
``Guidance on the Economic Value of a Statistical Life in US Department
of Transportation Analyses,'' published in March 2013. This policy
updated the Value of a Statistical Life (VSL) from $6.2 million to $9.1
million and revised guidance used to compute benefits based on injury
and fatality avoidance in each year of the analysis based on forecasts
from the Congressional Budget Office of a 1.07 percent annual growth
rate in median real wages over a 30 year period (2013-2043). FRA also
adjusted wage based labor costs in each year of the analysis
accordingly. Real wages represent the purchasing power of nominal
wages. Non-wage inputs are not impacted. The primary cost and benefit
drivers for this analysis are labor costs and avoided injuries and
fatalities, both of which in turn depend on wage rates.
The total cost for this proposed regulation is $18.6 million,
undiscounted. The discounted costs over 10 years are $12.7 million,
using a 7 percent discount rate, and $15.7 million, using a 3 percent
discount rate. The annualized costs are $1.81 million at a 7% discount
rate and $1.84 million at a 3% discount rate.
Table 1--Costs (10 years)
----------------------------------------------------------------------------------------------------------------
RRP NPRM
-----------------------------------------------------------------------------------------------------------------
Railroads with
Costs Class I railroads inadequate safety Total for all Annualized
performance railroads
----------------------------------------------------------------------------------------------------------------
Subpart A: General.................. $0 $10,194 $10,194 .................
Subpart B: RR Programs.............. 14,352,029 2,008,553 16,360,582 .................
Subpart C: RRP Plans................ 791,776 743,231 1,535,007 .................
Subpart D: Review and Approval of 2,387 6,362 8,750 .................
Plans..............................
Subpart E: Internal Assessments..... 253,369 388,140 641,509 .................
Subpart F: External Audits.......... 42,647 25,690 68,337 .................
----------------------------------------------------------------------------------------------------------------
Total Cost...................... 15,442,208 3,182,169 18,624,377 $1,862,438
(PV 7)...................... 10,699,013 2,039,639 12,738,652 1,813,698
(PV 3)...................... 13,095,827 2,610,750 15,706,578 1,841,290
----------------------------------------------------------------------------------------------------------------
RRPs create benefits through several mechanisms. RRPs identify
potential hazards at an early stage, so that expenditures can be made
with a view to avoiding the hazards, making expenditures more
effective. Because of these characteristics RRPs identify a wide array
of potential safety issues, and potential solutions, so that railroads
can use their available resources where the effect will be most
beneficial per dollar spent. In addition, RRPs help maintain safety
gains over time. When railroads adopt countermeasures to safety
problems, they may over time lose the focus that made those
countermeasures effective. With RRP plans, those safety gains are
likely to continue for longer time periods. Because of these
characteristics of RRP, safety is improved, while at the same time
costs of countermeasures are reduced. RRPs can also be instrumental in
addressing hazards that are not well-addressed through conventional
safety programs, such as minor injuries and incidents, or risks that
occur because safety equipment is not used correctly or continuously.
It is difficult, if not impossible, to segregate totally railroad
expenses that go to enhance safety from other railroad expenses. Track,
vehicle, and signal maintenance expenses all contribute to safety on a
railroad. Every operational and maintenance employee, as well as track
or signal inspector, performs duties with few functions that do not
work to enhance safety. Every capital expenditure is likely to have a
safety component, whether for equipment, right-of-way, signal, or
facility. RRPs can increase the safety return on any investment related
to the operation and maintenance of the railroad. FRA believes a very
conservative estimate of investment expenditures by all Class I
railroads is $42.7 billion per year. For purposes of this analysis, FRA
assumes that RRPs will not create benefits until they are fully
implemented by the railroad, after the third year, and so cannot
improve the effectiveness of investments until Year 4, after which they
will affect investments through Year 10. Improved effectiveness of
investment benefits can reasonably be expected to impact between $188
billion (discounted at 7 percent) and $244 billion (discounted at 3
percent) over the next ten years.
Another way to look at the benefits that might accrue from RRPs is
to look at total Class I freight operation-related accident/incident
costs. For the time-period 2001-2010 the total number of accidents/
incidents (excluding grade crossing incidents and platform accidents/
incidents) involving Class I freight railroads was 66,116, which
resulted in 6,956 fatalities and 42,289 injuries. For purposes of this
NPRM's RIA, FRA used the averages from 2008-2010 which had 5,325
incidents, 602 fatalities and 3,428 injuries. Of course, these
accidents/incidents also caused damage to other property, delays on
both railroads and highways, response costs, and many other costs.
Applying the same methodology used in other analyses, FRA has found
that the total societal cost of a serious accident/incident is at least
1.97 times the fatality costs.\16\ Societal accident costs include
fatality costs, injury costs, delay costs, response costs, damage to
equipment, damage to track and structures, and equipment clearing,
although there may
[[Page 10982]]
be other societal costs not accounted for. Those accidents/incidents
that are serious enough to result in fatalities can result in broader
societal costs, as noted above. Further, some accidents/incidents, such
as grade crossing accidents, can be quite severe, resulting in very
serious injuries but not a fatality, resulting in costs per fatality of
grade crossing accidents being more than the costs of those accidents
that result only in fatalities. FRA believes multiplying societal costs
of fatalities times a factor of 1.97 to derive total societal cost of
serious accidents/incidents is conservative. In this case, if the
fatality costs are $9.1 million per fatality, and the average number of
fatalities per year is 602, then the societal cost of fatalities is
$5.5 billion per year, and the total societal cost of freight operation
related serious accidents/incidents is $10.8 billion for the base year
of 2012. According to the DOT Guidance issued in March 2013, the VSL is
expected to increase annually based on an expected 1.07 percent annual
growth rate in median real wages. As noted above, for purposes of this
analysis, FRA assumes that RRP implementation will not result in
benefits until railroads are required to fully implement their RRPs,
after the third year, and so cannot reduce accidents until Year 4, and
then will affect accidents through Year 10. Total ten-year accident
safety costs total between $77.7 billion (discounted at 7 percent) and
$102.3 billion (discounted at 3 percent).
---------------------------------------------------------------------------
\16\ See DOT/FRA--``Positive Train Control Systems, Final Rule,
Regulatory Impact Analysis,'' Document FRA 2008-0132-0060, available
at https://www.regulations.gov/#!documentDetail;D=FRA-2008-0132-0060.
The RIA for FRA's Positive Train Control System final rule
originally found that the total societal cost of serious accidents
and incidents is at least 2.33 times the fatality costs. Due to the
revised approach for assessing VSL over time in accordance with
DOT's Guidance, discussed above, this number has been revised to
1.97 times the fatality costs.
---------------------------------------------------------------------------
FRA analyzed what percentage of the potential accident reduction
benefit pools would have to be saved in order for the NPRM to have
accident reduction benefits at least equal to costs that apply to
existing Class I railroads. The results are presented in Table 2 below,
which shows the percentage of the total benefit pools that would need
to be saved in order for the rule to break even. FRA believes that such
savings are more than attainable. Please note that the rule would break
even if it met either percentage by itself, and that the rule would not
need to meet both percentages.
Table 2--Ten-Year Costs as Percent of Benefit Pools for Class I Freight Railroads
----------------------------------------------------------------------------------------------------------------
Current dollar Discounted value Discounted value
Benefit pool value 7% 3%
----------------------------------------------------------------------------------------------------------------
Railroad Investment.................................... 0.0062 0.0068 0.0065
Railroad Incidents..................................... 0.0146 0.0164 0.0154
----------------------------------------------------------------------------------------------------------------
With the new VSL policy, DOT also recommends a sensitivity analysis
be considered using a VSL of $5.2 million and $12.9 million. Using a
VSL of $5.2 million, FRA estimates the break-even point is less than 3
hundredths of a percent, and using a VSL of $12.9 million the break-
even point is approximately 1.1 hundredths of a percent.
In conclusion, FRA is confident that the accident reduction and
cost effectiveness benefits together would justify the $12.7 million
(discounted at 7 percent) to $15.7 million (discounted at 3 percent)
implementation cost over the first ten years of the rule as proposed.
B. Regulatory Flexibility Act and Executive Order 13272; Initial
Regulatory Flexibility Analysis
The Regulatory Flexibility Act of 1980 (5 U.S.C. 601 et seq.) and
Executive Order 13272 (67 FR 53461, Aug. 16, 2002) require agency
review of proposed and final rules to assess their impacts on small
entities. An agency must prepare an initial regulatory flexibility
analysis (IRFA) unless it determines and certifies that a rule, if
promulgated, would not have a significant economic impact on a
substantial number of small entities. FRA has not determined whether
this proposed rule would have a significant economic impact on a
substantial number of small entities. Therefore, FRA is publishing this
IRFA to aid the public in commenting on the potential small business
impacts of the requirements in this NPRM. FRA invites all interested
parties to submit data and information regarding the potential economic
impact on small entities that would result from the adoption of the
proposals in this NPRM. FRA will consider all information and comments
received in the public comment process when making a determination
regarding the economic impact on small entities in the final rule.
For the railroad industry over a 10-year period, FRA estimates that
the total cost for the proposed rule will be $18.6 million,
undiscounted; $12.7 million, discounted at 7 percent; or $15.7 million,
discounted at 3 percent.\17\ Based on information currently available,
FRA estimates that less than 17 percent of the total railroad costs
associated with implementing the proposed rule would be borne by small
entities.
---------------------------------------------------------------------------
\17\ FRA's estimates follow Office of Management and Budget
(OMB) guidance in OMB Circular A-94 to use real discount rates of 7
and 3 percent for regulatory analysis.
---------------------------------------------------------------------------
A Class II or III railroad may be brought under FRA's proposed RRP
regulation if FRA determines that the railroad has inadequate safety
performance. This determination would be made according to proposed
Sec. 271.13. Based on an initial review and evaluation, FRA estimates
that approximately 10 railroads that are considered small entities for
the purpose of this analysis would be found to have inadequate safety
performance in the initial year of the rule, and would therefore be
required to comply with FRA's RRP requirements. On average, FRA
estimates that five additional Class III railroads with inadequate
safety performance would be added incrementally per annum after the
first full year of implementation, and that the number of railroads
with inadequate safety performance would reach a maximum of 40 to 45
railroads around the tenth year of the rule. Together, these railroads
do not compose a substantial number of the 629 Class III railroads,
which potentially fall under this proposed rule and would be evaluated
for inadequate safety performance, and a minor percentage of the
railroad operations impacted directly by this proposed regulation, as
measured by total employees. Thus, a very few number of small entities
in this sector would be impacted. In order to get a better
understanding of the total costs for the entire freight railroad
industry (which forms the basis for the estimates in this IRFA), or for
more cost detail on any specific requirement, please see the Regulatory
Impact Analysis (RIA) that FRA has placed in the docket for this
rulemaking.
In accordance with the Regulatory Flexibility Act, an IRFA must
contain:
1. A description of the reasons why action by the agency is being
considered.
2. A succinct statement of the objectives of, and the legal basis
for, the proposed rule.
3. A description--and, where feasible, an estimate of the number--
of small
[[Page 10983]]
entities to which the proposed rule will apply.
4. A description of the projected reporting, recordkeeping, and
other compliance requirements of the proposed rule, including an
estimate of the classes of small entities that will be subject to the
requirement and the type of professional skills necessary for
preparation of the report or record.
5. Identification, to the extent practicable, of all relevant
Federal rules that may duplicate, overlap, or conflict with the
proposed rule.
1. Reasons for Considering Agency Action
FRA has proposed this part 271 in order to comply with sec. 103 and
sec. 109 of the RSIA. The RSIA states, in part, that FRA shall require
each Class I railroad and railroad with ``inadequate safety
performance'' to establish a railroad safety risk reduction
program.\18\ See 49 U.S.C. 20156, 20118, and 20119. This proposed rule
sets forth RRP requirements for Class I freight railroads and railroads
with inadequate safety performance.
---------------------------------------------------------------------------
\18\ As discussed elsewhere in this NPRM, the RSIA mandate to
require safety risk reduction programs for passenger railroads is
being addressed in a separate SSP rulemaking.
---------------------------------------------------------------------------
2. The Proposed Rule: Objectives and Legal Basis
The purpose of this proposed rule is to improve railroad safety
through structured, proactive processes and procedures developed and
implemented by railroad operators. The proposed rule would require a
railroad to establish an RRP that systematically evaluates railroad
safety hazards on its system and manages those risks in order to reduce
the number and rates of railroad accidents/incidents, injuries, and
fatalities.
The proposed rule would prescribe minimum Federal safety standards
for the preparation, adoption, and implementation of RRPs. The proposed
rule does not restrict railroads from adopting and enforcing additional
or more stringent requirements not inconsistent with this proposed
rule.
The Secretary has delegated the responsibility to carry out his
responsibilities under both sec. 103 and sec. 109 of RSIA, as well as
the general responsibility to conduct rail safety rulemakings, codified
at 49 U.S.C. 20103, to the Administrator of FRA. See 49 CFR 1.89(m) and
(oo).
The proposed rulemaking would add to FRA's regulations a new part
271. Part 271 would satisfy the RSIA mandate that FRA require safety
risk reduction programs for Class I freight railroads and railroads
with inadequate safety performance. See 49 U.S.C. 20156(a)(1). It would
also include protection from admission or discovery of certain
information compiled or collected pursuant to a safety RRP. See 49
U.S.C. 20119.
3. Descriptions and Estimates of Small Entities to Which the Proposed
Rule Would Apply
The universe of the entities considered in an IRFA generally
includes only those small entities that can reasonably expect to be
directly regulated by the proposed action. Small railroads are the
types of small entities potentially affected by this proposed rule.
A ``small entity'' is defined in 5 U.S.C. 601(3) as having the same
meaning as ``small business concern'' under sec. 3 of the Small
Business Act. This includes any small business concern that is
independently owned and operated, and is not dominant in its field of
operation. Title 49 U.S.C. 601(4) likewise includes within the
definition of small entities non-profit enterprises that are
independently owned and operated, and are not dominant in their field
of operation.
The U.S. Small Business Administration (SBA) stipulates in its size
standards that the largest a ``for-profit'' railroad business firm may
be, and still be classified as a small entity, is 1,500 employees for
``line haul operating railroads'' and 500 employees for ``switching and
terminal establishments.'' Additionally, 5 U.S.C. 601(5) defines as
small entities governments of cities, counties, towns, townships,
villages, school districts, or special districts with populations less
than 50,000.
Federal agencies may adopt their own size standards for small
entities in consultation with SBA and in conjunction with public
comment. Pursuant to that authority, FRA has published a final
Statement of Agency Policy that formally establishes small entities or
small businesses as being railroads, contractors, and hazardous
materials shippers that meet the revenue requirements of a Class III
railroad as set forth in 49 CFR 1201.1-1, which is $20 million or less
in inflation-adjusted annual revenues, and commuter railroads or small
governmental jurisdictions that serve populations of 50,000 or less.
See 68 FR 24891, May 9, 2003 (codified as appendix C to 49 CFR part
209). The $20 million limit is based on the Surface Transportation
Board's revenue threshold for a Class III railroad. Railroad revenue is
adjusted for inflation by applying a revenue deflator formula in
accordance with 49 CFR 1201.1-1. This definition is what FRA is
proposing to use for the rulemaking.
Railroads
Class I freight railroads and railroads with inadequate safety
performance would have to comply with all of the proposed provisions of
part 271. However, the amount of effort to comply with the proposed
rule is commensurate with the size of the entity.
In the universe of railroads for potential compliance under this
proposed rule, there are 7 Class I railroads, 10 Class II railroads (1
of which is classified as a passenger railroad that would be excepted
from the proposed rule), and 629 Class III freight railroads. Railroads
with tourist operations are excluded, and these comprise approximately
90 of the total 719 Class III railroads.
To identify the non-Class I railroads that must comply with the
proposed rule, FRA will annually conduct a two-phase analysis to
determine which railroads have inadequate safety performance. This is
accomplished by the following: (1) A statistically-based quantitative
analysis of fatalities, FRA-reportable injuries/illnesses, FRA-
reportable accidents/incidents, and FRA safety violations; and (2) a
qualitative assessment that includes input from affected railroads and
their employees. (See Sec. 271.13 of the proposed rule for a full
description of the process used to determine inadequate safety
performance.)
As FRA's initial inadequate safety performance analysis would occur
at least one year after an RRP final rule goes into effect, it is
impossible to tell how many railroads with inadequate safety
performance would be required to comply with the RRP regulation, and
consequently how many of those might be small businesses. However,
using a recent 3-year rolling average of safety data to test the
selection analytical process, and accounting for those that might seek
relief through the qualitative review process, FRA would expect between
7 and 13 Class III railroads to qualify initially for the program, or a
simple average of 10; and between 3 and 7, incrementally, per annum
thereafter, or a simple average of 5. FRA expects the number of
inadequate safety performance railroads to grow each year by 4 or 5 to
a maximum of 40 to 45 by year 9 or 10, at which point it should flatten
out or actually decline. This declining involvement is due to several
factors: (1) Safety performance will improve; (2) after 7 years, some
railroads will seek and receive relief
[[Page 10984]]
from being in the program; (3) the size of the railroad pool being
examined for inadequate safety performance would shrink as more
railroads are required to comply with part 271; and (4) railroads will
observe the positive behaviors and results of those railroads with RRPs
and will embrace the better safety practices of those railroads as a
model. FRA does not find this number of small railroads to be a
substantial number of small entities when compared with the 629 small
railroads that could potentially be impacted (i.e., Class III
railroads) in the industry.
FRA intends to provide assistance to railroads, including small
business entities, in the development of their RRPs, starting at the
planning phase and continuing through the implementation phase. The
proposed rule is also scalable in nature, and FRA would provide
assistance to those railroads so that the scope and content of their
RRPs are proportionate to their size and the nature of their operation.
As indicated above, FRA would assist a small entity in preparing
its RRP program and plan. FRA anticipates that the RRP plan for such an
entity would be a very concise and brief document.
FRA requests comments on these findings and conclusions.
Contractors
Some railroads use contractors to perform many different functions
on their railroads. For some of these railroads, contractors perform
safety-related functions, such as operating trains. For the purpose of
assessing the impact of an RRP, contractors fall into two groups:
Larger contractors who perform a primary operating or maintenance
function for the railroads, and smaller contractors who perform
ancillary functions to the primary operations. Larger contractors are
typically large private companies, such as Sperry Rail Service, or part
of an international conglomerate such as Balfour Beatty. Smaller
contractors may perform such duties as brush clearing, painting
facilities, etc.
Safety-related policies, work rules, guidelines, and regulations
are imparted to the small contractors today as part of their
contractual obligations and qualification to work on the Class I
freight railroads, and potentially to work for railroads with
inadequate safety performance. FRA sees minimal additional burden to
imparting the same type of information under each railroad's RRP. A
very small administrative burden may result.
Under the proposed rule, contractors (small or large) who provide
significant safety-related services are not required to do anything
under the rule. While the proposed rule requires the railroad to
involve the persons that provide significant safety-related services in
the railroad's RRP, it doesn't require the entity to do any training.
Thus, any burdens imposed on contractors would be indirect or taken
into account in the contract with the pertinent railroad or both. FRA
requests comment on these findings and conclusions.
4. Description of the Projected Reporting, Recordkeeping, and Other
Compliance Requirements of the Rule
There are reporting, recordkeeping, and compliance costs associated
with the proposed regulation.
FRA believes that the added burden is marginal due to the proposed
NPRM requirements. The total 10-year cost of this proposed rulemaking
is $18.6 million, of which FRA estimates $3.2 million or less will be
attributable to small entities ($3.2 million in current dollars, $2
million at a 7-percent discount rate, or $2.6 million at a 3-percent
discount rate.) Based on FRA's RIA, which has been placed in the docket
for this proposed rulemaking, the average railroad with inadequate
safety performance would incur an average of $13,500 (non-discounted)
of burden per year. If on average railroads with inadequate safety
performance were in the RRP for eight years, then the life-time cost
would be approximately $108,000. Previously, FRA sampled small
railroads and found that revenue averaged approximately $4.7 million
(not discounted) in 2006. One percent of average annual revenue per
small railroad, or $47,000, is more than three times the average annual
cost that these railroads will incur because of this proposed rule. FRA
realizes that some railroads will have lower revenue than $4.7 million.
However, FRA believes that this average provides a good representation
of the small railroads, in general.
Overall, FRA believes that the proposed regulation would not be a
significant economic burden for small entities. However, due to the
small number of small railroads that are estimated to be impacted by
this proposed rule, the cost per railroad could be found to be
significant. For a thorough presentation of cost estimates, please
refer to the RIA, which has been placed in the docket for this proposed
rulemaking. FRA expects that most of the skills necessary to comply
with the proposed regulation would be professional hazard assessment
personnel, and recordkeeping and reporting personnel.
The following section outlines the potential additional burden on
small railroads for each subpart of the proposed rule:
Subpart A--General: Risk Reduction Program Regulation
The policy, purpose, and definitions outlined in subpart A, alone,
would not impose a significant burden on small railroads. However,
there is the small requirement for notifying employees of the railroad
that FRA has found that the railroad may have inadequate safety
performance. This subpart of the proposed rule would impose less than 1
percent of the total burden for small entities.
Subpart B--Risk Reduction Program Requirements
Subpart B of the proposed rule would have a more or less
proportional effect directly related to the size and complexity of a
railroad. This subpart of the proposed rule would impose approximately
63 percent of the total burden for small entities. The proposed
requirements in this subpart describe what must be developed and placed
in the RRP to properly implement the RRP. More specifically, it
requires the development of the risk-based hazard analysis, risk-based
hazard management processes, and technology implementation plans.
Because of the scalable nature of the proposed rule, the requirements
of an RRP would be much less complex for a small railroad than they
would be for a Class I railroad. This is due to several characteristics
of small railroads, such as the concentrated geography of operation in
a small area, the short distance of operation, and a non-fragmented and
non-diffused work force (in other words, most employees of a small
railroad are located in one place). Hence, the number and types of
hazards for a small railroad should be limited. Also, such RRP
requirements as technology plans should not be burdensome. A small
railroad is very limited in the investments it can place in new
technologies, and what they do invest in would quite likely be a tried-
and-true technology that has been thoroughly tested elsewhere.
Subpart C--Risk Reduction Program Plan Requirements
Subpart C of the proposed rule would have a more or less
proportional effect directly related to the size and complexity of a
railroad. In other words, it would have less impact on small entities
than it would on Class I railroads. This subpart of the proposed rule
would impose approximately 23 percent of the total burden for small
[[Page 10985]]
entities. These proposed requirements describe what must be developed
and placed in the RRP plan to properly implement the RRP. Specifically,
it requires a plan statement on each element of the RRP, including
safety policy and goals, system description, consultation process,
risk-based hazard management processes, technology plans, internal
assessment process, and an RRP implementation plan. This proposed
subpart is primarily the paperwork or written plan that supports the
processes and programs in the RRP.
Subpart D--Review, Approval, and Retention of Risk Reduction
Program Plans
Subpart D of the proposed rule would impose less than 1 percent of
the total burden for small entities. The proposed requirements of this
subpart are for the initial delivery and review of the RRP plan, as
well as delivery of any ongoing amendments. Since this is initially
only expected to have 10 small railroads submitting plans for approval
and approximately 5 railroads each year thereafter, this subpart should
have a very small economic impact.
Subpart E--Internal Assessments
Subpart E of the proposed rule would impose approximately 12
percent of the total burden for small entities. This burden is for the
ongoing cost for the small railroads to perform an internal assessment
and report on internal audits on annual basis. As noted above,
initially very few small railroads would be performing internal
assessments, which would serve to minimize the economic impact on small
railroads.
Subpart F--External Audits
Subpart F of the proposed rule would impose approximately 1 percent
of the total burden for small entities. This burden is for the ongoing
cost for the small railroads to host an external audit by FRA or its
designees on a periodic basis. This includes the burden to produce an
improvement plan if such were required as a result of the external
audit findings. FRA does not expect more than five of these railroads
to receive an external audit for any given year.
Market and Competition Considerations
The railroad industry has several significant barriers to entry,
such as the need to own or otherwise obtain access to rights-of-way and
the high capital expenditure needed to purchase a fleet, as well as
track and equipment. Furthermore, the small railroads under
consideration would potentially be competing only with the trucking
industry and typically deal with the transport of commodities or goods
that are not truck-friendly. Thus, while this proposed rule would have
an economic impact on Class I freight railroads and railroads with
inadequate safety performance, it should not have an impact on the
competitive position of small railroads. FRA requests comment on these
findings and conclusions.
5. Identification of Any Duplicative, Overlapping, or Conflicting
Federal Rules
FRA is not aware of any relevant Federal rules that may duplicate,
overlap, or conflict with the proposed rule. In fact, the rule would
support most other safety regulations for railroad operations.
The Federal Transit Administration (FTA) first implemented
requirements similar to an RRP in 49 CFR part 659 in 1995, and its
requirements can be much more systemic and encompassing. However, FTA's
part 659 program applies to only rapid transit systems, or portions
thereof, that are not subject to FRA's rules. See 49 CFR 659.3 and
659.5. Therefore, FTA's part 659 does not apply to any of the railroads
that are within the scope of the proposed RRP rule.
FRA invites all interested parties to submit data and information
regarding the potential economic impact on small entities that would
result from the adoption of the proposals in this NPRM. As noted above
FRA has estimated that railroads with inadequate safety performance
would incur less than 12 percent of the total cost of this proposed
rule. Based on FRA's RIA, the average railroad with inadequate safety
performance would incur an average of $13,500 (non-discounted) of
burden per year. If on average railroads with inadequate safety
performance were in the RRP for eight years, then the life-time cost
would be approximately $108,000. Previously, FRA sampled small
railroads and found that revenue averaged approximately $4.7 million
(not discounted) in 2006. One percent of average annual revenue per
small railroad, or $47,000, is more than three times the average annual
cost that these railroads will incur because of this proposed rule. FRA
realizes that some railroads will have lower revenue than $4.7 million.
However, FRA believes that this average provides a good representation
of the small railroads, in general. FRA specifically requests comments
as to whether small railroads would incur a significant economic impact
from this proposed rule. FRA will consider all comments received in the
public comment process when making a final determination regarding the
economic impact on small entities.
C. Federalism
Executive Order 13132, ``Federalism'' (64 FR 43255, Aug. 10, 1999),
requires FRA to develop an accountable process to ensure ``meaningful
and timely input by State and local officials in the development of
regulatory policies that have federalism implications.'' ``Policies
that have federalism implications'' are defined in the Executive Order
to include regulations that 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.'' Under Executive Order 13132, the agency
may not issue a regulation with federalism 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 State and local governments
or the agency consults with State and local government officials early
in the process of developing the regulation. Where a regulation has
federalism implications and preempts State law, the agency seeks to
consult with State and local officials in the process of developing the
regulation.
This NPRM has been analyzed in accordance with the principles and
criteria contained in Executive Order 13132. FRA has determined that
the proposed rule 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. In addition, FRA has determined that this
proposed rule will not impose substantial direct compliance costs on
State and local governments. Therefore, the consultation and funding
requirements of Executive Order 13132 do not apply.
This NPRM proposes to add part 271, Risk Reduction Programs. FRA is
not aware of any State having regulations similar to proposed part 271.
However, FRA notes that this part could have preemptive effect by the
operation of law under a provision of the former Federal Railroad
Safety Act of 1970, repealed and codified at 49 U.S.C. 20106 (Sec.
20106). Sec. 20106 provides that States may not adopt or continue in
effect any law, regulation, or order related to railroad safety or
security that covers the subject matter of a regulation prescribed or
order issued by the
[[Page 10986]]
Secretary of Transportation (with respect to railroad safety matters)
or the Secretary of Homeland Security (with respect to railroad
security matters), except when the State law, regulation, or order
qualifies under the ``essentially local safety or security hazard''
exception to Sec. 20106. Although FRA is proposing to specify in
proposed Sec. 271.11(c) that state discovery rules and sunshine laws
that could be used to require the disclosure of information protected
by Sec. 271.11(a) are preempted, the purpose of this language is only
to clarify the preemptive effect of Sec. 20106, and is not intended to
have preemptive effect that goes beyond the operation of Sec. 20106.
The proposed information protection provisions clearly relate to
matters of railroad safety because, as previously discussed, 49 U.S.C.
20119(b) authorizes FRA to issue a rule governing the discovery and use
of risk analysis information in litigation.
In sum, FRA has analyzed this proposed rule in accordance with the
principles and criteria contained in Executive Order 13132. As
explained above, FRA has determined that this proposed rule has no
federalism implications, other than preemption of State laws under 49
U.S.C. 20106 and 20119. Accordingly, FRA has determined that
preparation of a federalism summary impact statement for this proposed
rule is not required.
D. International Trade Impact Assessment
The Trade Agreement Act of 1979 prohibits Federal agencies from
engaging in any standards or related activities that create unnecessary
obstacles to the foreign commerce of the United States. Legitimate
domestic objectives, such as safety, are not considered unnecessary
obstacles. The statute also requires consideration of international
standards and where appropriate, that they be the basis for U.S.
standards. This rulemaking is purely domestic in nature and is not
expected to affect trade opportunities for U.S. firms doing business
overseas or for foreign firms doing business in the United States.
E. Paperwork Reduction Act
The information collection requirements in this proposed rule are
being submitted for approval to the Office of Management and Budget
(OMB) under the Paperwork Reduction Act of 1995, 44 U.S.C. 3501 et seq.
The sections that contain the new information collection requirements
are duly designated, and the estimated time to fulfill each requirement
is as follows:
----------------------------------------------------------------------------------------------------------------
Total annual Average time per Total annual
CFR section/subject Respondent universe responses response burden hours
----------------------------------------------------------------------------------------------------------------
271.7--Waiver Petitions to FRA... 22 railroads....... 1 petition......... 80 hours........... 80
271.13--Determination of 22 railroads....... 120 notices........ 30 minutes......... 60
Inadequate Safety Performance
(ISP)--Notice to Employees of
ISP Designation by FRA.
--Employee Confidential 100 employees...... 10 comments........ 30 minutes......... 5
Comments to FRA regarding RR
ISP Designation.
--RR Documentation to FRA 10 railroads....... 10 document........ 8 hours............ 80
Refuting ISP Designation.
271.101(a)--Risk Reduction 7 railroads........ 7 RRPs............. 6,987 hours........ 48,910
Programs (RRPs)--Class I
Railroads.
--Risk Reduction Programs 10 railroads....... 10 RRPs............ 343 hours.......... 3,430
(RRPs)--Inadequate Safety
Performance (ISP) Railroads.
(c)--Communication by RRs 7 railroads........ 40 consults........ 2 hours............ 80
that host passenger train
service with Class I RRs
subject to FRA System Safety
Program Requirements.
(d)--RR Identification/ 7 railroads........ 318 consults....... 2 hours............ 636
Communication with railroads
performing significant
safety-related services--
Class I RRs.
--RR Identification/ 7 railroads........ 1,488 consult...... 1 hour............. 1,488
Communication with
contractors performing
significant safety related
services.
(d)--ISP RRs identification/ 10 railroads....... 10 consults........ 4 hours............ 40
communication w/entities
performing significant
safety-related services.
271.107--Reporting to management 7 railroads........ 84 reports......... 30 minutes......... 42
risk-based HMP Activities--Class
I.
--Reporting to management-- 10 railroads....... 120 reports........ 3 hours............ 360
ISP RRs.
271.111--Implementation Training.
--Employee RRP training-- 150,000 employees.. 1,400 worker....... 2 hours............ 2,800
Class I RR.
--Replacement/new employees: 150,000 employees.. 140 workers........ 2 hours............ 280
Class I.
--Employee RRP training--ISP 1,000 employees.... 100 workers........ 2 hours............ 200
RRs.
--Employee RRP training 17 railroads....... 1,640 records...... 3 minutes.......... 82
records (Class I RRs + ISP
RRs).
271.201/203--Written Risk 7 railroads........ 7 RRP Plans........ 1,152 hours........ 8,064
Reduction Plans (RRPs)--Adoption
and Implementation of RRP Plans--
Class I.
--Written RRP Plans--ISP RRs. 10 railroads....... 10 RRP Plans....... 240 hours.......... 2,400
271.207--RR Good Faith 7 Railroads........ 7 consults......... 200 hours.......... 1,400
Consultation w/Directly Affected
Employees--Class I RRs.
--RR Good Faith 10 Railroads....... 10 consults........ 20 hours........... 200
Consultations--ISP RRs.
--RR Notification to 7 Railroads........ 2 notices.......... 8 hours............ 16
Employees of Consultation
Meeting--Class I RRs.
--ISP RR Notification to 10 Railroads....... 1 notice........... 30 minutes......... 1
Employees.
[[Page 10987]]
--Voluntarily compliant RR 72 railroads....... 1 consult/statement 20 hours........... 20
consultation with directly
affected employees on RRP
Plan contents.
--Copy of RRP Plan/ 7 Railroads........ 380 plan copies + 2 minutes.......... 25
Consultation Statement to 380.
General Chair of Labor Union
and to Individuals
Identified in RRP Plan
Service List.
--Statements from Directly 10 Labor Unions.... 3 statements....... 6 hours............ 18
Affected Employees--Class I
RRs.
271.209--Substantive Amendments 7 Railroads........ 7 amended plans.... 40 hours........... 280
to RRP Plan--Class I RRs.
Substantive Amendments to RRP 10 Railroads....... 10 amended plans... 4 hours............ 40
Plan--ISP RRs.
271.301--Filing of RRP Plan w/ 17 railroads....... 17 filed plans..... 2 hours............ 34
FRA--Class I RRs + ISP RRs.
--Class I RR corrected RRP 7 railroads........ 2 RRP plans........ 2 hours............ 4
Plan.
--FRA requested Class I RR 7 railroads........ 2 consulting 3 hours............ 6
consultation with directly statements.
affected employees regarding
substantive corrections/
changes to RRP Plan.
271.303--Amendments Consultation 17 railroads....... 2 consults......... 60 minutes......... 2
w/Directly Affected Employees on
Substantive Amendments to RRP
Plan--Class I RRs + ISP RRs.
--Amended RRP Plan--Class I 7 railroads........ 7 plans............ 6 hours............ 42
RRs.
--Amended RRP Plan--ISP RRs.. 10 railroads....... 1 plan............. 1 hour............. 1
--Amended RRP Plan 7 Railroads........ 1 corrected RRP 80 hours........... 80
Disapproved by FRA and Plan.
Requiring Correction.
271.307--Retention of RRP Plans-- 17 railroads....... 34 plan copies..... 10 minutes......... 6
Copies of RRP Plan/Amendments by
RR at System/Division
Headquarters.
217.401/403--RR Internal 7 railroads........ 7 plans............ 120 hours.......... 840
Assessment/Improvement Plans--
Class I RRs.
--ISP RR Improvement Plans... 10 railroads....... 10 plans........... 32 hours........... 320
271.405--Internal Assessment 7 railroads........ 7 reports/copies... 8 hours............ 56
Report Copy to FRA--Class I RRs.
--Internal Assessment Report 10 railroads....... 10 reports/copies.. 2 hours............ 20
Copy to FRA--ISP RRs.
271.503--External Audit 7 railroads........ 2 plans............ 40 hours........... 80
Improvement Plans--Submission of
Improvement Plans upon FRA
Written Notice of Agency Audit
Results--Class I RRs.
--External Audit Improvement 10 railroads....... 1 plan............. 4 hours............ 4
Plans--Submission of
Improvement Plans upon FRA
Written Notice of Agency
Audit Results--Class I RRs.
--Submission of Amended 7 railroads........ 1 plan............. 8 hours............ 8
Improvement Plan after FRA
Disapproval.
--Status Report Requested by 7 railroads........ 1 status report.... 8 hours............ 8
FRA concerning
Implementation of
Improvements in Improvement
Plan.
Appendix B--Request by FRA for 7 railroads........ 3 documents........ 40 hours........... 120
Additional Information/Documents
to determine whether Railroad
has met Good Faith and Best
Efforts Consultation
Requirements of Section 271.207.
--Further Railroad 7 railroads........ 1 consult.......... 8 hours............ 8
Consultation w/employees
after determination by FRA
that railroad did not use
Good Faith/Best Efforts.
--Meeting to discuss 7 railroads........ 7 meetings/consults 2 hours............ 14
Administrative Details of
Consultation Process during
the time between Initial
Meeting and Applicability
Date--Class I RRs.
--Meeting to discuss 10 railroads....... 10 meetings/ 1 hour............. 10
Administrative Details of consults.
Consultation Process during
the time between Initial
Meeting and Applicability
Date -ISP RRs.
--Draft RRP Plan Proposal to 10 railroads....... 2 proposals/copies. 20 hours........... 40
Employees--ISP RRs.
--Employee comments on RRP 100 Employees...... 6 comments......... 1 hour............. 6
Plan Draft Proposal.
----------------------------------------------------------------------------------------------------------------
The estimates in this table are based upon FRA's general experience
and expertise regarding the railroad industry and the development of
plans. All estimates include the time for reviewing instructions;
searching existing data sources; gathering or maintaining the needed
data; and reviewing the information. Pursuant to 44 U.S.C.
[[Page 10988]]
3506(c)(2)(B), FRA solicits comments concerning: whether these
information collection requirements are necessary for the proper
performance of the functions of FRA, including whether the information
has practical utility; the accuracy of FRA's estimates of the burden of
the information collection requirements; the quality, utility, and
clarity of the information to be collected; and whether the burden of
collection of information on those who are to respond, including
through the use of automated collection techniques or other forms of
information technology, may be minimized. For information or a copy of
the paperwork package submitted to OMB, contact Mr. Robert Brogan,
Information Clearance Officer, at 202-493-6292, or Ms. Kimberly Toone
at 202-493-6132.
Organizations and individuals desiring to submit comments on the
collection of information requirements should direct them to Mr. Robert
Brogan or Ms. Kimberly Toone, Federal Railroad Administration, 1200 New
Jersey Avenue SE., 3rd Floor, Washington, DC 20590. Comments may also
be submitted via email to Mr. Brogan or Ms. Toone at the following
address: Robert.Brogan@dot.gov; Kim.Toone@dot.gov.
OMB is required to make a decision concerning the collection of
information requirements contained in this proposed rule between 30 and
60 days after publication of this document in the Federal Register.
Therefore, a comment to OMB is best assured of having its full effect
if OMB receives it within 30 days of publication. The final rule will
respond to any OMB or public comments on the information collection
requirements contained in this proposal.
FRA is not authorized to impose a penalty on persons for violating
information collection requirements which do not display a current OMB
control number, if required. FRA intends to obtain current OMB control
numbers for any new information collection requirements resulting from
this rulemaking action prior to the effective date of the final rule.
The OMB control number, when assigned, will be announced by separate
notice in the Federal Register.
F. Environmental Assessment
FRA has evaluated this proposed rule in accordance with its
``Procedures for Considering Environmental Impacts'' (FRA's Procedures)
(64 FR 28545, May 26, 1999) as required by the National Environmental
Policy Act (42 U.S.C. 4321 et seq.), other environmental statutes,
Executive Orders, and related regulatory requirements. FRA has
determined that this proposed rule is not a major FRA action (requiring
the preparation of an environmental impact statement or environmental
assessment) because it is categorically excluded from detailed
environmental review pursuant to section 4(c)(20) of FRA's Procedures.
See 64 FR 28547, May 26, 1999. Section 4(c)(20) reads as follows: ``(c)
Actions categorically excluded. Certain classes of FRA actions have
been determined to be categorically excluded from the requirements of
these Procedures as they do not individually or cumulatively have a
significant effect on the human environment. * * * The following
classes of FRA actions are categorically excluded: * * * (20)
Promulgation of railroad safety rules and policy statements that do not
result in significantly increased emissions or air or water pollutants
or noise or increased traffic congestion in any mode of
transportation.''
In accordance with section 4(c) and (e) of FRA's Procedures, the
agency has further concluded that no extraordinary circumstances exist
with respect to this regulation that might trigger the need for a more
detailed environmental review. As a result, FRA finds that this
proposed rule is not a major Federal action significantly affecting the
quality of the human environment.
G. Unfunded Mandates Reform Act of 1995
Pursuant to sec. 201 of the Unfunded Mandates Reform Act of 1995
(Public Law 104-4, 2 U.S.C. 1531), each Federal agency ``shall, unless
otherwise prohibited by law, assess the effects of Federal regulatory
actions on State, local, and tribal governments, and the private sector
(other than to the extent that such regulations incorporate
requirements specifically set forth in law).'' Section 202 of the Act
(2 U.S.C. 1532) further requires that ``before promulgating any general
notice of proposed rulemaking that is likely to result in the
promulgation of any rule that includes any Federal mandate that may
result in expenditure by State, local, and tribal governments, in the
aggregate, or by the private sector, of $100,000,000 or more (adjusted
annually for inflation) in any 1 year, and before promulgating any
final rule for which a general notice of proposed rulemaking was
published, the agency shall prepare a written statement'' detailing the
effect on State, local, and tribal governments and the private sector.
For the year 2010, this monetary amount of $100,000,000 has been
adjusted to $143,100,000 to account for inflation. This proposed rule
would not result in the expenditure of more than $143,100,000 by the
public sector in any one year, and thus preparation of such a statement
is not required.
H. Energy Impact
Executive Order 13211 requires Federal agencies to prepare a
Statement of Energy Effects for any ``significant energy action.'' 66
FR 28355, May 22, 2001. Under the Executive Order, a ``significant
energy action'' is defined as any action by an agency (normally
published in the Federal Register) that promulgates, or is expected to
lead to the promulgation of, a final rule or regulation (including a
notice of inquiry, advance notice of proposed rulemaking, and notice of
proposed rulemaking) that (1)(i) is a significant regulatory action
under Executive Order 12866 or any successor order and (ii) is likely
to have a significant adverse effect on the supply, distribution, or
use of energy; or (2) is designated by the Administrator of the Office
of Information and Regulatory Affairs as a significant energy action.
FRA has evaluated this NPRM in accordance with Executive Order 13211.
FRA has determined that this NPRM will not have a significant adverse
effect on the supply, distribution, or use of energy. Consequently, FRA
has determined that this regulatory action is not a ``significant
energy action'' within the meaning of Executive Order 13211.
I. Privacy Act Statement
In accordance with 5 U.S.C. 553(c), DOT solicits comments from the
public to better inform its rulemaking process. DOT posts these
comments, without edit, including any personal information the
commenter provides, to www.regulations.gov, as described in the system
of records notice (DOT/ALL-14 FDMS), which can be reviewed at
www.dot.gov/privacy.
List of Subjects in 49 CFR Part 271
Penalties; Railroad safety; Reporting and recordkeeping
requirements; and Risk reduction.
The Proposal
In consideration of the foregoing, FRA proposes to add part 271 to
chapter II, subtitle B of title 49, Code of Federal Regulations, to
read as follows:
PART 271--RISK REDUCTION PROGRAM
Subpart A--General
Sec.
271.1 Purpose and scope.
71.3 Application.
71.5 Definitions.
271.7 Waivers.
[[Page 10989]]
271.9 Penalties and responsibility for compliance.
271.11 Discovery and admission as evidence of certain information.
271.13 Determination of inadequate safety performance.
271.15 Voluntary compliance.
Subpart B--Risk Reduction Program Requirements
271.101 Risk reduction programs.
271.103 Risk-based hazard management program.
271.105 Safety performance evaluation.
271.107 Safety outreach.
271.109 Technology analysis and technology implementation plan.
271.111 Implementation and support training.
Subpart C--Risk Reduction Program Plan Requirements
271.201 General.
271.203 Policy, purpose and scope, and goals.
271.205 System description.
271.207 Consultation process description.
271.209 Consultation on amendments.
271.211 Risk-based hazard management program process.
271.213 Safety performance evaluation process.
271.215 Safety outreach process.
271.217 Technology implementation plan process.
271.219 Implementation and support training plan.
271.221 Internal assessment process.
271.223 RRP implementation plan.
Subpart D--Review, Approval, and Retention of Risk Reduction Program
Plans
271.301 Filing and approval.
271.303 Amendments.
271.305 Reopened review.
271.307 Retention of RRP plans.
Subpart E--Internal Assessments
271.401 Annual internal assessments.
271.403 Internal assessment improvement plans.
271.405 Internal assessment reports.
Subpart F--External Audits
271.501 External audits.
271.503 External audit improvement plans.
Appendix A to Part 271--Schedule of Civil Penalties [Reserved]
Appendix B to Part 271--Federal Railroad Administration Guidance on
the Risk Reduction Program Consultation Process
Appendix C to Part 271--Procedures for Submission of Risk Reduction
Program Plans and Statements from Directly Affected Employees
Authority: 49 U.S.C. 20103, 20106-20107, 20118-20119, 20156,
21301, 21304, 21311; 28 U.S.C. 2461, note; and 49 CFR 1.89.
Subpart A--General
Sec. 271.1 Purpose and scope.
(a) The purpose of this part is to improve railroad safety through
structured, proactive processes and procedures developed and
implemented by railroads. Each railroad subject to this part must
establish a Risk Reduction Program (RRP) that systematically evaluates
railroad safety hazards on its system and manages the risks associated
with those hazards in order to reduce the number and rates of railroad
accidents/incidents, injuries, and fatalities.
(b) This part prescribes minimum Federal safety standards for the
preparation, adoption, and implementation of RRPs. This part does not
restrict railroads from adopting and enforcing additional or more
stringent requirements not inconsistent with this part.
(c) This part prescribes the protection of information generated
solely for the purpose of developing, implementing, or evaluating an
RRP under this part.
(d) An RRP required by this part is not intended to address and
should not address the safety of employees while performing
inspections, tests, and maintenance, except where FRA has already
addressed workplace safety issues, such as blue signal protection in
part 218 of this chapter. FRA does not intend to approve any specific
portion of an RRP plan that relates to employee working conditions.
Sec. 271.3 Application.
(a) Except as provided in paragraph (b) of this section, this part
applies to--
(1) Class I railroads;
(2) Railroads determined to have inadequate safety performance
pursuant to Sec. 271.13; and
(3) Railroads that voluntarily comply with the requirements of this
part pursuant to Sec. 271.15.
(b) This part does not apply to:
(1) Rapid transit operations in an urban area that are not
connected to the general railroad system of transportation;
(2) Tourist, scenic, historic, or excursion operations, whether on
or off the general railroad system of transportation;
(3) Operation of private cars, including business/office cars and
circus trains;
(4) Railroads that operate only on track inside an installation
that is not part of the general railroad system of transportation
(i.e., plant railroads, as defined in Sec. 271.5); and
(5) Commuter or intercity passenger railroads that are subject to
Federal system safety program requirements.
Sec. 271.5 Definitions.
As used in this part only--
Accident/incident means--
(1) Any impact between railroad on-track equipment and a highway
user at a highway-rail grade crossing. The term ``highway user''
includes automobiles, buses, trucks, motorcycles, bicycles, farm
vehicles, pedestrians, and all other modes of surface transportation
(motorized and un-motorized);
(2) Any collision, derailment, fire, explosion, act of God, or
other event involving operation of railroad on-track equipment
(standing or moving) that results in reportable damages greater than
the current reporting threshold identified in part 225 of this chapter
to railroad on-track equipment, signals, track, track structures, and
roadbed;
(3) Each death, injury, or occupational illness that is a new case
and meets the general reporting criteria listed in Sec. 225.19(d)(1)
through (6) of this chapter if any event or exposure arising from the
operation of a railroad is a discernible cause of a significant
aggravation to a pre-existing injury or illness. The event or exposure
arising from the operation of a railroad need only be one of the
discernible causes; it need not be the sole or predominant cause.
Administrator means the Administrator of the Federal Railroad
Administration or the Administrator's delegate.
FRA means the Federal Railroad Administration.
FRA Associate Administrator means the Associate Administrator for
Railroad Safety/Chief Safety Officer, Federal Railroad Administration,
or the Associate Administrator's delegate.
Fully implemented means that all elements of an RRP as described in
the RRP plan are established and applied to the safety management of
the railroad.
Hazard means any real or potential condition that can cause injury,
illness, or death; damage to or loss of a system, equipment, or
property; or damage to the environment.
Inadequate safety performance means safety performance that FRA has
determined to be inadequate based on the criteria described in Sec.
271.13.
Mitigation strategy means an action or program intended to reduce
or eliminate the risk associated with a hazard.
Person means an entity of any type covered under 1 U.S.C. 1,
including, but not limited to, the following: A railroad; a manager,
supervisor, official, or other employee or agent of a railroad; any
owner, manufacturer, lessor, or lessee of railroad equipment, track, or
facilities; any independent contractor or subcontractor providing goods
or services to a railroad; and any employee of such owner,
manufacturer, lessor, lessee, or independent contractor or
subcontractor.
Pilot project means a limited scope project used to determine
whether
[[Page 10990]]
quantitative proof suggests that a particular system or mitigation
strategy has potential to succeed on a full-scale basis.
Plant railroad means a plant or installation that owns or leases a
locomotive, uses that locomotive to switch cars throughout the plant or
installation, and is moving goods solely for use in the facility's own
industrial processes. The plant or installation could include track
immediately adjacent to the plant or installation if the plant railroad
leases the track from the general system railroad and the lease
provides for (and actual practice entails) the exclusive use of that
trackage by the plant railroad and the general system railroad for
purposes of moving only cars shipped to or from the plant. A plant or
installation that operates a locomotive to switch or move cars for
other entities, even if solely within the confines of the plant or
installation, rather than for its own purposes or industrial processes,
is not considered a plant railroad because the performance of such
activity makes the operation part of the general railroad system of
transportation.
Positive train control system means a system designed to prevent
train-to-train collisions, overspeed derailments, incursions into
established work zone limits, and the movement of a train through a
switch left in the wrong position, as described in subpart I of part
236 of this chapter.
Railroad means--
(1) Any form of non-highway ground transportation that runs on
rails or electromagnetic guideways, including--
(i) Commuter or other short-haul rail passenger service in a
metropolitan or suburban area and commuter railroad service that was
operated by the Consolidated Rail Corporation on January 1, 1979; and
(ii) High speed ground transportation systems that connect
metropolitan areas, without regard to whether those systems use new
technologies not associated with traditional railroads, but does not
include rapid transit operations in an urban area that are not
connected to the general railroad system of transportation; and
(2) A person or organization that provides railroad transportation,
whether directly or by contracting out operation of the railroad to
another person.
Risk means the combination of the probability (or frequency of
occurrence) and the consequence (or severity) of a hazard.
Risk-based HMP means a risk-based hazard management program.
Risk reduction means the formal, top-down, organization-wide
approach to managing safety risk and assuring the effectiveness of
safety risk mitigation strategies. It includes systematic procedures,
practices, and policies for the management of safety risk.
RRP means a Risk Reduction Program.
RRP plan means a Risk Reduction Program plan.
Safety culture means the shared values, actions, and behaviors that
demonstrate a commitment to safety over competing goals and demands.
Safety performance means a realized or actual safety accomplishment
relative to stated safety objectives.
Safety outreach means the communication of safety information to
support the implementation of an RRP throughout a railroad.
Senior management means personnel at the highest level of a
railroad's management who are responsible for making major policy
decisions and long-term business plans regarding the operation of the
railroad.
STB means the Surface Transportation Board of the United States.
Tourist, scenic, historic, or excursion operations means railroad
operations that carry passengers, often using antiquated equipment,
with the conveyance of the passengers to a particular destination not
being the principal purpose. Train movements of new passenger equipment
for demonstration purposes are not tourist, scenic, historic, or
excursion operations.
Sec. 271.7 Waivers.
(a) A person subject to a requirement of this part may petition the
Administrator for a waiver of compliance with such requirement. The
filing of such a petition does not affect that person's responsibility
for compliance with that requirement while the petition is being
considered.
(b) Each petition for a waiver under this section shall be filed in
the manner and contain the information required by part 211 of this
chapter.
(c) If the Administrator finds that a waiver of compliance is in
the public interest and is consistent with railroad safety, the
Administrator may grant the waiver subject to any conditions the
Administrator deems necessary.
Sec. 271.9 Penalties and responsibility for compliance.
(a) Any person that violates any requirement of this part or causes
the violation of any such requirement is subject to a civil penalty of
at least $650 and not more than $25,000 per violation, except that:
Penalties may be assessed against individuals only for willful
violations, and, where a grossly negligent violation or a pattern of
repeated violations has created an imminent hazard of death or injury
to individuals, or has caused death or injury, a penalty not to exceed
$105,000 per violation may be assessed. Each day a violation continues
shall constitute a separate offense. Any person that knowingly and
willfully falsifies a record or report required by this part may be
subject to criminal penalties under 49 U.S.C. 21311 (formerly codified
in 45 U.S.C. 438(e)). Appendix A to this part contains a schedule of
civil penalty amounts used in connection with this part.
(b) Although the requirements of this part are stated in terms of
the duty of a railroad, when any person, including a contractor or
subcontractor to a railroad, performs any function covered by this
part, that person (whether or not a railroad) shall perform that
function in accordance with this part.
Sec. 271.11 Discovery and admission as evidence of certain
information.
(a) Any information (including plans, reports, documents, surveys,
schedules, lists, or data) compiled or collected for the sole purpose
of developing, implementing, or evaluating an RRP under this part,
including a railroad carrier's analysis of its safety risks conducted
pursuant to Sec. 271.103(b) and a statement of the mitigation measures
with which it would address those risks created pursuant to Sec.
271.103(c), shall not be subject to discovery, admitted into evidence,
or considered for other purposes in a Federal or State court proceeding
for damages involving personal injury, wrongful death, or property
damage.
(b) This section does not affect the discovery, admissibility, or
consideration for other purposes of information (including plans,
reports, documents, surveys, schedules, lists, or data) compiled or
collected for a purpose other than that specifically identified in
paragraph (a) of this section. Such information shall continue to be
discoverable, admissible into evidence, or considered for other
purposes if it was discoverable, admissible, or considered for other
purposes prior to the existence of this section. This includes such
information that either:
(1) Existed prior to [365 DAYS AFTER THE DATE OF PUBLICATION OF THE
FINAL RULE IN THE FEDERAL REGISTER];
(2) Was compiled or collected prior to [365 DAYS AFTER THE DATE OF
PUBLICATION OF THE FINAL RULE
[[Page 10991]]
IN THE FEDERAL REGISTER] and that continues to be compiled or
collected; or
(3) Is compiled or collected after [365 DAYS AFTER THE DATE OF
PUBLICATION OF THE FINAL RULE IN THE FEDERAL REGISTER].
(c) State discovery rules and sunshine laws that could be used to
require the disclosure of information protected by paragraph (a) of
this section are preempted.
Sec. 271.13 Determination of inadequate safety performance.
(a) General. (1) This section describes FRA's methodology for
determining which railroads are required to establish an RRP because
they have inadequate safety performance. FRA's methodology will consist
of a two-phase annual analysis, comprised of both a quantitative
analysis and qualitative assessment, which will include all railroads
except for:
(i) Railroads excluded from this part under Sec. 271.3(b);
(ii) Railroads already required to comply with this part;
(iii) Railroads that are voluntarily complying with this part under
Sec. 271.15; and
(iv) Except as provided in paragraph (a)(2) of this section, new
start-up railroads that have reported accident/incident data to FRA
pursuant to part 225 of this chapter for fewer than three years.
(2) Notwithstanding paragraph (a)(1)(iv) of this section, railroads
formed through amalgamation of operations (for example, railroads
formed through consolidations, mergers, or acquisitions of control)
will be included in the analysis using the combined data of the pre-
amalgamation entities.
(b) Quantitative analysis. (1) Methodology. The first phase of
FRA's annual analysis will be a statistically-based quantitative
analysis of each railroad within the scope of the analysis, using
historical safety data maintained by FRA for the three most recent full
calendar years. The purpose of the quantitative analysis is to make a
threshold identification of railroads that possibly have inadequate
safety performance. This quantitative analysis will calculate the
following four factors:
(i) A railroad's number of on-duty employee fatalities during the
3-year period, calculated using ``Worker on Duty-Railroad Employee
(Class A)'' information reported on FRA Form 6180.55a pursuant to FRA's
accident/incident reporting regulations in part 225 of this chapter;
(ii) A railroad's on-duty employee injury/illness rate, calculated
using ``Worker on Duty-Railroad Employee (Class A)'' information
reported on FRA Forms 6180.55a and 6180.55 pursuant to FRA's accident/
incident reporting regulations in part 225 of this chapter. This rate
will be calculated using the following formula, which gives the rate of
employee injuries and occupational illnesses per 200,000 employee hours
over a 3-year period:
Injury/Illness Rate = (Total FRA Reportable On-Duty Employee
Injuries + Total FRA Reportable On-Duty Employee Occupational
Illnesses over a 3-year period) / (Total Employee Hours over a 3-
year period/200,000)
(iii) A railroad's rail equipment accident/incident rate,
calculated using information reported on FRA Forms 6180.54 and 6180.55
pursuant to FRA's accident/incident reporting regulations in part 225
of this chapter. This rate will be calculated using the following
formula, which gives the rate of rail equipment accidents/incidents per
1,000,000 train miles over a 3-year period:
Rail Equipment Accident/Incident Rate = Total FRA Reportable Rail
Equipment Accidents/Incidents over a 3-year period / (Total Train
Miles over a 3-year period/1,000,000)
(iv) A railroad's violation rate. This rate will be calculated
using the following formula, which gives the rate of violations issued
by FRA to a railroad per 1,000,000 train miles over a 3-year period:
Violation Rate = Total FRA Violations over a 3-year period /
(Total Train Miles over a 3-year period/1,000,000)
(2) Identification. The quantitative analysis will identify
railroads as possibly having inadequate safety performance if at least
one of the following two conditions exists within the scope and
timeframe of the analysis:
(i) A railroad has one or more fatality; or
(ii) A railroad is at or above the 95th percentile in at least two
of three factors described in paragraphs (b)(1)(ii) through (iv) of
this section.
(c) Qualitative assessment. The second phase of FRA's analysis will
be a qualitative assessment of railroads identified in the quantitative
analysis as possibly having inadequate safety performance.
(1) Notification and railroad/employee comment. FRA will notify a
railroad in writing if it will be subject to a qualitative assessment
because it was identified in the quantitative analysis as possibly
having inadequate safety performance.
(i) No later than 15 days after receiving FRA's written notice, a
railroad shall notify its employees of FRA's written notice. This
employee notification shall be posted at all locations where the
railroad reasonably expects its employees to report and to have an
opportunity to observe the notice. The notification shall be posted and
remain continuously displayed until 45 days after FRA's initial written
notice. Employees who do not have a regular on-duty point for reporting
to work shall be notified by other means, in accordance with the
railroad's standard practice for communicating with employees. The
notification shall inform railroad employees that they may
confidentially submit comments to FRA regarding the railroad's safety
performance for a period of 45 days following FRA's initial written
notice, and shall contain instructions for doing so.
(ii) No later than 45 days after receiving FRA's written notice, a
railroad may provide FRA documentation supporting any claims that the
railroad does not have inadequate safety performance.
(2) Methodology. No later than 90 days after providing the initial
notice to a railroad identified by the quantitative analysis, FRA will
conduct a qualitative assessment of the identified railroad and make a
final determination regarding whether it has inadequate safety
performance. The qualitative assessment will consider any documentation
provided by the railroad, comments submitted by railroad employees, and
any other pertinent information.
(d) Final notification and compliance. FRA will provide a final
written notice to each railroad that receives an initial written
notice, informing the railroad whether or not FRA determines that the
railroad has demonstrated inadequate safety performance. A railroad
with inadequate safety performance shall develop and implement an RRP
meeting the requirements of this part. As provided by Sec. 271.301(a),
a railroad with inadequate safety performance shall submit to FRA an
RRP plan no later than 90 days after receiving final written notice
from FRA that it shall comply with this part, or no later than [545
DAYS AFTER DATE OF PUBLICATION OF THE FINAL RULE IN THE FEDERAL
REGISTER], whichever is later.
(e) Compliance. A railroad with inadequate safety performance shall
comply with the requirements of this part for a minimum period of five
years, running from the date on which FRA approves the railroad's RRP
plan pursuant to subpart D of this part.
[[Page 10992]]
(f) Petition. After the five-year compliance period, the railroad
may petition FRA for approval to discontinue compliance with this part.
A petition shall be filed according to the procedures for waivers
contained in part 211 of this chapter. Upon receiving a petition, FRA
will reevaluate the railroad's safety performance for the purpose of
determining whether the railroad's RRP has resulted in significant and
sustained safety improvements, and whether these measured improvements
are likely sustainable in the long term. FRA's evaluation will include
a quantitative analysis as described in paragraph (b) of this section.
FRA will also examine qualitative factors and review information from
FRA RRP audits and other relevant sources. After completing its
evaluation, FRA will notify the railroad in writing whether or not it
shall be required to continue compliance with this part.
Sec. 271.15 Voluntary compliance.
(a) General. A railroad not otherwise subject to this part may
voluntarily comply by establishing and fully implementing an RRP
meeting the requirements of this part. A voluntary RRP shall be
supported by an RRP plan that has been submitted to FRA for approval
pursuant to the requirements of subpart D of this part. After FRA has
approved its RRP plan, a voluntarily-compliant railroad could be
subject to civil penalties or other enforcement action for failing to
comply with the requirements of this part.
(b) Duration. A voluntarily-compliant railroad will be required to
comply with the requirements of this part for a minimum period of five
years, running from the date on which FRA approves the railroad's plan
pursuant to subpart D of this part.
(c) Petition. After this five-year period, a voluntarily-compliant
railroad may petition FRA for approval to discontinue compliance with
this part. This petition shall be filed according to the procedures for
waivers contained in part 211 of this chapter.
(d) Discovery and admission as evidence of certain information. The
information protection provisions found in Sec. 271.11 apply only to
information compiled or collected pursuant to a voluntary RRP that is
conducted in accordance with the requirements of this part.
Subpart B--Risk Reduction Program Requirements
Sec. 271.101 Risk reduction programs.
(a) Program required. Each railroad shall establish and fully
implement an RRP meeting the requirements of this part. An RRP shall
systematically evaluate safety hazards on a railroad's system and
manage the resulting risks to reduce the number and rates of railroad
accidents/incidents, injuries, and fatalities. An RRP is not a one-time
exercise, but an ongoing program that supports continuous safety
improvement. An RRP shall include the following:
(1) A risk-based hazard management program, as described in Sec.
271.103;
(2) A safety performance evaluation component, as described in
Sec. 271.105;
(3) A safety outreach component, as described in Sec. 271.107;
(4) A technology analysis and technology implementation plan, as
described in Sec. 271.109; and
(5) RRP implementation and support training, as described in Sec.
271.111.
(b) RRP plans. A railroad's RRP shall be supported by an FRA-
approved RRP plan meeting the requirements of subpart C of this part.
(c) Host railroads and system safety programs. As part of its RRP,
each railroad that hosts passenger train service for a railroad subject
to FRA system safety program requirements shall communicate with the
railroad that provides or operates such passenger service and
coordinate the portions of the system safety program applicable to the
railroad hosting the passenger train service.
(d) Persons that utilize or perform significant safety-related
services. Under Sec. 271.205(b), a railroad's RRP plan shall identify
persons utilizing or performing on the railroad's behalf significant
safety-related services (including entities such as host railroads,
contract operators, shared track/corridor operators, or other
contractors utilizing or performing significant safety-related
services). A railroad shall ensure that these persons utilizing or
performing significant safety-related services on its behalf support
and participate in its RRP.
Sec. 271.103 Risk-based hazard management program.
(a) General. (1) An RRP shall include an integrated, system-wide,
and ongoing risk-based hazard management program (HMP) that proactively
identifies hazards and mitigates the risks resulting from those
hazards.
(2) A risk-based HMP shall be fully implemented (i.e., activities
initiated) within 36 months after FRA approves a railroad's RRP plan
pursuant to Sec. 271.301(b).
(b) Risk-based hazard analysis. As part of its risk-based HMP, a
railroad shall conduct a risk-based hazard analysis that addresses, at
a minimum, the following aspects of a railroad's system:
Infrastructure; equipment; employee levels and work schedules;
operating rules and practices; management structure; employee training;
and other areas impacting railroad safety that are not covered by
railroad safety laws or regulations or other Federal laws or
regulations. A railroad shall make the results of its risk-based hazard
analysis available to FRA upon request. At a minimum, a risk-based
hazard analysis shall:
(1) Identify hazards by analyzing:
(i) Aspects of the railroad's system, including any operational
changes, system extensions, or system modifications; and
(ii) Accidents/incidents, injuries, fatalities, and other known
indicators of hazards;
(2) Calculate risk by determining and analyzing the likelihood and
severity of potential events associated with identified risk-based
hazards; and
(3) Compare and prioritize the identified risks for mitigation
purposes.
(c) Mitigation strategies. (1) As part of its risk-based HMP, a
railroad shall design and implement mitigation strategies that improve
safety by:
(i) Mitigating or eliminating aspects of a railroad's system that
increase risks identified in the risk-based hazard analysis; and
(ii) Enhancing aspects of a railroad's system that decrease risks
identified in the risk-based hazard analysis.
(2) A railroad may use pilot projects, including pilot projects
conducted by other railroads, to determine whether quantitative data
suggests that a particular mitigation strategy has potential to succeed
on a full-scale basis.
Sec. 271.105 Safety performance evaluation.
(a) General. As part of its RRP, a railroad shall develop and
maintain ongoing processes and systems for evaluating the safety
performance of its system and measuring its safety culture. A
railroad's safety performance evaluation shall consist of both a safety
monitoring and a safety assessment component.
(b) Safety monitoring. A railroad shall monitor the safety
performance of its system by, at a minimum, establishing processes and
systems to acquire safety data and information from the following
sources:
[[Page 10993]]
(1) Continuous monitoring of operational processes and systems
(including any operational changes, system extensions, or system
modifications);
(2) Periodic monitoring of the operational environment to detect
changes that may generate new hazards;
(3) Investigations of accidents/incidents, injuries, fatalities,
and other known indicators of hazards;
(4) Investigations of reports regarding potential non-compliance
with Federal railroad safety laws or regulations, railroad operating
rules and practices, or mitigation strategies established by the
railroad; and
(5) A reporting system through which employees can report safety
concerns (including, but not limited to, hazards, issues, occurrences,
and incidents) and propose safety solutions and improvements.
(c) Safety assessment. For the purpose of assessing the need for
changes to a railroad's mitigation strategies or overall RRP, a
railroad shall establish processes to analyze the data and information
collected pursuant to paragraph (b) of this section (as well as any
other relevant data regarding its operations, products, and services).
At a minimum, this assessment shall:
(1) Evaluate the overall effectiveness of the railroad's RRP in
reducing the number and rates of railroad accidents/incidents,
injuries, and fatalities;
(2) Evaluate the effectiveness of the railroad's RRP in meeting the
goals described by its RRP plan (see Sec. 271.203(c));
(3) Evaluate the effectiveness of risk mitigations in reducing the
risk associated with an identified hazard. Any hazards associated with
ineffective mitigation strategies shall be reevaluated through the
railroad's risk-based HMP, as described in Sec. 271.103; and
(4) Identify new, potential, or previously unknown hazards, which
shall then be evaluated by the railroad's risk-based HMP, as described
in Sec. 271.103.
Sec. 271.107 Safety outreach.
(a) Outreach. An RRP shall include a safety outreach component that
communicates RRP safety information to railroad personnel (including
contractors) as that information is relevant to their positions. At a
minimum, a safety outreach program shall:
(1) Convey safety-critical information;
(2) Explain why RRP-related safety actions are taken; and
(3) Explain why safety procedures are introduced or changed.
(b) Reporting to management. The status of risk-based HMP
activities shall be reported to railroad senior management on an
ongoing basis.
Sec. 271.109 Technology analysis and technology implementation plan.
(a) General. As part of its RRP, a Class I railroad shall conduct a
technology analysis and develop and adopt a technology implementation
plan no later than [1095 DAYS AFTER DATE OF PUBLICATION OF THE FINAL
RULE IN THE FEDERAL REGISTER]. A railroad with inadequate safety
performance shall conduct a technology analysis and develop and adopt a
technology implementation plan no later than three years after
receiving final written notification from FRA that it shall comply with
this part, pursuant to Sec. 271.13(e), or no later than [1095 DAYS
AFTER DATE OF PUBLICATION OF THE FINAL RULE IN THE FEDERAL REGISTER],
whichever is later. A railroad that the STB reclassifies or newly
classifies as a Class I railroad shall conduct a technology analysis
and develop and adopt a technology implementation plan no later than
three years following the effective date of the classification or
reclassification or no later than [1155 DAYS AFTER DATE OF PUBLICATION
OF THE FINAL RULE IN THE FEDERAL REGISTER], whichever is later. A
voluntarily-compliant railroad shall conduct a technology analysis and
develop and adopt a technology implementation plan no later than three
years after FRA approves the railroad's RRP plan.
(b) Technology analysis. A technology analysis shall evaluate
current, new, or novel technologies that may mitigate or eliminate
hazards and the resulting risks identified through the risk-based
hazard management program. The railroad shall analyze the safety
impact, feasibility, and costs and benefits of implementing
technologies that will mitigate or eliminate hazards and the resulting
risks. At a minimum, the technologies a railroad shall consider as part
of its technology analysis are: processor-based technologies, positive
train control systems, electronically-controlled pneumatic brakes, rail
integrity inspection systems, rail integrity warning systems, switch
position monitors and indicators, trespasser prevention technology, and
highway-rail grade crossing warning and protection technology.
(c) Technology implementation plan. A railroad shall develop, and
periodically update as necessary, a technology implementation plan that
contains a prioritized implementation schedule describing the railroad
carrier's plan for development, adoption, implementation, maintenance,
and use of current, new, or novel technologies on its system over a 10-
year period to reduce safety risks identified in the railroad's risk-
based hazard management program.
(d) Positive train control. Except as required by subpart I of part
236 of this chapter, if a railroad decides to implement positive train
control systems as part of its technology implementation plan, the
railroad shall set forth and comply with a schedule for implementation
of the positive train control system no later than December 31, 2018.
Sec. 271.111 Implementation and support training.
(a) A railroad shall provide RRP training to each employee,
including an employee of any person identified by the railroad's RRP
plan pursuant to Sec. 271.205(a)(3) as utilizing or performing
significant safety-related services on the railroad's behalf, who has
significant responsibility for implementing and supporting the
railroad's RRP. This training shall help ensure that all personnel with
significant responsibility for implementing and supporting the RRP
understand the goals of the program, are familiar with the elements of
the railroad's program, and have the requisite knowledge and skills to
fulfill their responsibilities under the program.
(b) A railroad shall keep a record of training conducted under this
section and update that record as necessary.
(c) Training under this section may include, but is not limited to,
interactive computer-based training, video conferencing, or formal
classroom training.
Subpart C--Risk Reduction Program Plan Requirements
Sec. 271.201 General.
A railroad shall adopt and implement its RRP through a written RRP
plan containing the elements described in this subpart. A railroad's
RRP plan shall be approved by FRA according to the requirements
contained in subpart D of this part.
Sec. 271.203 Policy, purpose and scope, and goals.
(a) Policy statement. An RRP plan shall contain a policy statement
endorsing the railroad's RRP. This statement shall be signed by the
chief official at the railroad (e.g., Chief Executive Officer).
(b) Purpose and scope. An RRP plan shall contain a statement
describing the purpose and scope of the railroad's RRP.
[[Page 10994]]
This purpose and scope statement shall describe:
(1) The railroad's safety philosophy and safety culture;
(2) How the railroad promotes improvements to its safety culture;
(3) The roles and responsibilities of railroad personnel (including
management) within the railroad's RRP; and
(4) How any person that utilizes or provides significant safety-
related services to a railroad (including host railroads, contract
operators, shared track/corridor operators, or other contractors) will
support and participate in the railroad's RRP.
(c) Goals. An RRP plan shall contain a statement that defines the
specific goals of the RRP and describes clear strategies for reaching
those goals. These goals shall be long-term, meaningful, measurable,
and focused on the mitigation of risks arising from identified safety
hazards.
Sec. 271.205 System description.
(a) An RRP plan shall contain a description of the characteristics
of the railroad's system. At a minimum, the system description shall:
(1) Support the identification of hazards by establishing a basic
understanding of the scope of the railroad's system;
(2) Include components briefly describing the railroad's history,
operations, scope of service, maintenance, physical plant, and system
requirements; and
(3) Identify all persons that utilize or perform significant
safety-related services on the railroad's behalf (including entities
such as host railroads, contract operations, shared track/corridor
operators, or other contractors).
(b) [Reserved]
Sec. 271.207 Consultation process description.
(a) General duty. (1) Each railroad required to establish an RRP
under this part shall in good faith consult with, and use its best
efforts to reach agreement with, all of its directly affected
employees, including any non-profit labor organization representing a
class or craft of directly affected employees, on the contents of the
RRP plan.
(2) A railroad that consults with a non-profit employee labor
organization is considered to have consulted with the directly affected
employees represented by that organization.
(3) A Class I railroad shall meet no later than [240 DAYS AFTER THE
DATE OF PUBLICATION OF THE FINAL RULE IN THE FEDERAL REGISTER] with its
directly affected employees to discuss the consultation process. The
Class I railroad shall notify the directly affected employees of this
meeting no less than 60 days before it is scheduled.
(4) A railroad determined to have inadequate safety performance
shall meet no later than 30 days following FRA's notification with its
directly affected employees to discuss the consultation process. The
inadequate safety performance railroad shall notify the directly
affected employees of this meeting no less than 15 days before it is
scheduled.
(5) A railroad that the STB reclassifies or newly classifies as a
Class I railroad shall meet with its directly affected employees to
discuss the consultation process no later than 30 days following the
effective date of the classification or reclassification. The
reclassified or newly classified Class I railroad shall notify the
directly affected employees of this meeting no less than 15 days before
it is scheduled.
(6) A voluntarily-compliant railroad shall in good faith consult
with, and use its best efforts to reach agreement with, all of its
directly affected employees, including any non-profit labor
organization representing a class or craft of directly affected
employees, on the contents of the RRP plan. However, as there is no
deadline for a voluntarily-compliant railroad to file an RRP plan with
FRA, there is also no requirement for a voluntarily-compliant railroad
to meet with its directly affected employees within a certain
timeframe.
(7) Appendix B to this part contains guidance on how a railroad
might comply with the requirements of this section.
(b) Railroad consultation statements. A railroad required to submit
an RRP plan under Sec. 271.301(a) shall also submit, together with
that plan, a consultation statement that includes the following
information:
(1) A detailed description of the process the railroad utilized to
consult with its directly affected employees;
(2) If the railroad was not able to reach agreement with its
directly affected employees on the contents of its RRP plan,
identification of any known areas of non-agreement and an explanation
why it believes agreement was not reached;
(3) If the RRP plan would affect a provision of a collective
bargaining agreement between the railroad and a non-profit employee
labor organization, identification of any such provision and an
explanation how the RRP plan would affect it; and
(4) A service list containing the names and contact information for
the international/national president of any non-profit employee labor
organization representing a class or craft of the railroad's directly
affected employees and any directly affected employee not represented
by a non-profit employee labor organization who significantly
participated in the consultation process. If an international/national
president did not participate in the consultation process, the service
list shall also contain the name and contact information for a
designated representative who participated on his or her behalf. When a
railroad submits its RRP plan and consultation statement to FRA, it
shall also send a copy of these documents to all individuals identified
in the service list. A railroad may send the documents to the
identified individuals via electronic means or utilizing other service
means reasonably calculated to succeed.
(c) Statements from directly affected employees. (1) If a railroad
and its directly affected employees cannot reach agreement on the
proposed contents of an RRP plan, then directly affected employees may
file a statement with the FRA Associate Administrator explaining their
views on the plan on which agreement was not reached. The FRA Associate
Administrator shall consider any such views during the plan review and
approval process.
(2) As provided in Sec. 271.301(a)(4), a railroad's directly
affected employees have 60 days following the railroad's submission of
a proposed RRP plan to submit the statement described in paragraph
(c)(1) of this section.
Sec. 271.209 Consultation on amendments.
A railroad's RRP plan shall include a description of the process
the railroad will use to consult with its directly affected employees
on any subsequent substantive amendments to the railroad's system
safety program. The requirements of this paragraph do not apply to non-
substantive amendments (e.g., amendments that update names and
addresses of railroad personnel).
Sec. 271.211 Risk-based hazard management program process.
(a) Risk-based hazard analysis. An RRP plan shall describe the
railroad's method for conducting its risk-based hazard analysis
pursuant to Sec. 271.103(b). The description shall specify:
(1) The processes the railroad will use to identify hazards and the
risks associated with those hazards;
(2) The sources the railroad will use to support the ongoing
identification of
[[Page 10995]]
hazards and the risks associated with those hazards; and
(3) The processes the railroad will use to compare and prioritize
identified risks for mitigation purposes.
(b) Mitigation strategies. An RRP plan shall describe the
railroad's processes for:
(1) Identifying and selecting mitigation strategies; and
(2) Monitoring an identified hazard through the mitigation of the
risk associated with that hazard.
Sec. 271.213 Safety performance evaluation process.
An RRP plan shall describe a railroad's processes for measuring its
safety culture pursuant to Sec. 271.105(a), monitoring safety
performance pursuant to Sec. 271.105(b), and conducting safety
assessments pursuant to Sec. 271.105(c).
Sec. 271.215 Safety outreach process.
An RRP plan shall describe a railroad's process for communicating
safety information to railroad personnel and management pursuant to
Sec. 271.107.
Sec. 271.217 Technology implementation plan process.
(a) An RRP plan shall contain a description of the railroad's
processes for:
(1) Conducting a technology analysis pursuant to Sec. 271.109(b);
and
(2) Developing a technology implementation plan pursuant to Sec.
271.109(c).
(b) [Reserved]
Sec. 271.219 Implementation and support training plan.
(a) An RRP plan shall contain a training plan describing the
railroad's processes, pursuant to Sec. 271.111, for training employees
with significant responsibility for implementing and supporting the RRP
(including employees of a person identified pursuant to Sec.
271.205(a)(3) as utilizing or performing significant safety-related
services on the railroad's behalf who have significant responsibility
for implementing and supporting the railroad's RRP).
(b) The training plan shall describe the frequency and content of
the RRP training for each position or job function identified pursuant
to Sec. 271.223(b)(3) as having significant responsibilities for
implementing the RRP.
Sec. 271.221 Internal assessment process.
(a) An RRP plan shall describe the railroad's process for
conducting an internal assessment of its RRP pursuant to subpart E of
this part. At a minimum, this description shall contain the railroad's
processes used to:
(1) Conduct an internal assessment of its RRP;
(2) Internally report the results of its internal assessment to
railroad senior management; and
(3) Develop improvement plans, including developing and monitoring
recommended improvements (including any necessary revisions or updates
to the RRP plan) for fully implementing the railroad's RRP, complying
with the implemented elements of the RRP plan, or achieving the goals
identified in the railroad's RRP plan pursuant to Sec. 271.203(c).
(b) [Reserved]
Sec. 271.223 RRP implementation plan.
(a) An RRP plan shall describe how the railroad will implement its
RRP. A railroad may implement its RRP in stages, so long as the entire
RRP is fully implemented within 36 months of FRA's approval of the
plan.
(b) At a minimum, a railroad's implementation plan shall:
(1) Cover the entire implementation period;
(2) Contain a timeline describing when certain implementation
milestones will be achieved. Implementation milestones shall be
specific and measurable;
(3) Describe the roles and responsibilities of each position or job
function that has significant responsibility for implementing the
railroad's RRP or any changes to the railroad's RRP (including any such
positions or job functions held by an entity or contractor that
utilizes or performs on the railroad's behalf significant safety-
related services); and
(4) Describe how significant changes to the RRP may be made.
Subpart D--Review, Approval, and Retention of Risk Reduction
Program Plans
Sec. 271.301 Filing and approval.
(a) Filing. A Class I railroad shall submit one copy of its RRP
plan to the FRA Associate Administrator for Railroad Safety/Chief
Safety Officer at Mail Stop 25, 1200 New Jersey Avenue SE., Washington,
DC, 20590, no later than [545 DAYS AFTER THE DATE OF PUBLICATION OF THE
FINAL RULE IN THE FEDERAL REGISTER]. A railroad with inadequate safety
performance shall submit its RRP plan no later than 90 days after
receiving final written notification from FRA that it shall comply with
this part, pursuant to Sec. 271.13(d), or no later than [545 DAYS
AFTER THE DATE OF PUBLICATION OF THE FINAL RULE IN THE FEDERAL
REGISTER], whichever is later. A railroad that the STB reclassifies or
newly classifies as a Class I railroad shall submit its RRP plan no
later than 90 days following the effective date of the classification
or reclassification or no later than [545 DAYS AFTER THE DATE OF
PUBLICATION OF THE FINAL RULE IN THE FEDERAL REGISTER], whichever is
later. A voluntarily-compliant railroad may submit an RRP plan at any
time. A railroad's submitted RRP plan shall include:
(1) The signature, name, title, address, and telephone number of
the chief official responsible for safety and who bears the primary
managerial authority for implementing the submitting railroad's safety
policy. By signing, this chief official is certifying that the contents
of the RRP plan are accurate and that the railroad will implement the
contents of the program as approved by FRA;
(2) The contact information for the primary person responsible for
managing the RRP;
(3) The contact information for the senior representatives of the
persons that the railroad has determined utilize or provide significant
safety-related services (including host railroads, contract operators,
shared track/corridor operators, and other contractors); and
(4) As required by Sec. 271.207(b), a statement describing how it
consulted with its directly affected employees on the contents of its
RRP plan. Directly affected employees have 60 days following the
railroad's submission of its proposed RRP plan to file a statement in
accordance with Sec. 271.207(c).
(b) Approval. (1) Within 90 days of receipt of an RRP plan, or
within 90 days of receipt of each RRP plan submitted prior to the
commencement of railroad operations, FRA will review the proposed RRP
plan to determine if it sufficiently addresses the required elements.
This review will also consider any statement submitted by directly
affected employees pursuant to Sec. 271.207(c).
(2) FRA will notify the primary contact person of the submitting
railroad in writing whether FRA has approved the proposed plan and, if
not approved, the specific points in which the RRP plan is deficient.
FRA will also provide this notification to each individual identified
in the service list accompanying the consultation statement required
under Sec. 271.207(b)(4).
(3) If FRA does not approve an RRP plan, the submitting railroad
shall amend the proposed plan to correct all identified deficiencies
and shall provide FRA a corrected copy no later than 60
[[Page 10996]]
days following receipt of FRA's written notice that the submitted plan
was not approved. If FRA determines that the necessary corrections are
substantively significant, it will direct the railroad to consult
further with its directly affected employees regarding the corrections.
If the corrections are substantively significant, a railroad will also
be required to include an updated consultation statement, along with
its resubmitted plan, pursuant to Sec. 217.107(b). Directly affected
employees will also have 30 days following the railroad's resubmission
of its proposed RRP plan to file a statement addressing the
substantively significant changes in accordance with Sec. 271.207(c).
(c) Electronic Submission. All documents required to be submitted
to FRA under this part may be submitted electronically pursuant to the
procedures in Appendix C to this part.
Sec. 271.303 Amendments.
(a) Consultation requirements. For substantive amendments, a
railroad shall follow the process, described in its RRP plan pursuant
to Sec. 271.209, for consulting with its directly affected employees.
(b) Filing. (1) A railroad shall submit any amendment(s) to its
approved RRP plan to FRA's Associate Administrator not less than 60
days prior to the proposed effective date of the amendment(s). The
railroad shall file the amendment(s) with a cover letter outlining the
proposed change(s) to the approved RRP plan.
(2) If the proposed amendment is limited to adding or changing a
name, title, address, or telephone number of a person, FRA approval is
not required under the process of this section, although the railroad
shall still file the amended RRP plan with FRA's Associate
Administrator for Railroad Safety/Chief Safety Officer. These proposed
amendments may be implemented by the railroad upon filing with FRA. All
other proposed amendments must comply with the formal approval process
described by this section.
(c) Review. (1) FRA will review a proposed amendment to an RRP plan
within 45 days of receipt. FRA will then notify the primary contact
person of the railroad, whether the proposed amendment has been
approved by FRA. If not approved, FRA will inform the railroad of the
specific points in which the proposed amendment is deficient.
(2) If FRA has not notified the railroad by the proposed effective
date of the amendment whether the amendment has been approved or not,
the railroad may implement the amendment, subject to FRA's decision.
(3) If a proposed RRP plan amendment is not approved by FRA, no
later than 60 days following the receipt of FRA's written notice, the
railroad shall either provide FRA a corrected copy of the amendment
that addresses all deficiencies noted by FRA or notice that the
railroad is retracting the amendment.
Sec. 271.305 Reopened review.
Following approval of an RRP plan or an amendment to such a plan,
FRA may reopen consideration of the plan or amendment, in whole or in
part, for cause stated.
Sec. 271.307 Retention of RRP plans.
(a) Railroads. A railroad shall retain at its system and division
headquarters one copy of its RRP plan and each subsequent amendment(s)
to that plan. A railroad may comply with this requirement by making an
electronic copy available.
(b) Inspection and copying. A railroad shall make a copy of the RRP
plan available to representatives of the FRA or States participating
under part 212 of this chapter for inspection and copying during normal
business hours.
Subpart E--Internal Assessments
Sec. 271.401 Annual internal assessments.
(a) Beginning with the first calendar year after the calendar year
in which FRA approves a railroad's RRP plan pursuant to Sec.
271.301(b), the railroad shall annually (i.e., once every calendar
year) conduct an internal assessment of its RRP.
(b) The internal assessment shall determine the extent to which the
railroad has:
(1) Achieved the implementation milestones described in its RRP
plan pursuant to Sec. 271.223(b);
(2) Complied with the implemented elements of the approved RRP
plan;
(3) Achieved the goals described in its RRP plan pursuant to Sec.
271.203(c);
(4) Implemented previous internal assessment improvement plans
pursuant to Sec. 271.403; and
(5) Implemented previous external audit improvements plans pursuant
to Sec. 271.503.
(c) A railroad shall ensure that the results of its internal
assessments are internally reported to railroad senior management.
Sec. 271.403 Internal assessment improvement plans.
(a) Within 30 days of completing its internal assessment, a
railroad shall develop an improvement plan that addresses the findings
of its internal assessment.
(b) At a minimum, a railroad's improvement plan shall:
(1) Describe recommended improvements (including any necessary
revisions or updates to the RRP plan, which would be made through the
amendment process described in Sec. 271.303) that address the findings
of the internal assessment for fully implementing the railroad's RRP,
complying with the implemented elements of the RRP plan, achieving the
goals identified in the railroad's RRP plan pursuant to Sec.
271.203(c), and implementing previous internal assessment improvement
plans and external audit improvement plans;
(2) Identify by position title the individual who is responsible
for carrying out the recommended improvements;
(3) Contain a timeline describing when specific and measurable
milestones for implementing the recommended improvements will be
achieved; and
(4) Specify processes for monitoring the implementation and
evaluating the effectiveness of the recommended improvements.
Sec. 271.405 Internal assessment reports.
(a) Within 60 days of completing its internal assessment, a
railroad shall submit a copy of an internal assessment report to the
FRA Associate Administrator for Railroad Safety/Chief Safety Officer at
Mail Stop 25, 1200 New Jersey Avenue SE., Washington, DC, 20590.
(b) This report shall be signed by the railroad's chief official
responsible for safety and who bears primary managerial authority for
implementing the railroad's safety policy. The report shall include:
(1) A description of the railroad's internal assessment;
(2) The findings of the internal assessment;
(3) A specific description of the recommended improvements
contained in the railroad's internal assessment improvement plan,
including any amendments that would be made to the railroad's RRP plan
pursuant to Sec. 271.303; and
(4) The status of the recommended improvements contained in the
railroad's internal assessment improvement plan and any outstanding
recommended improvements from previous internal assessment improvement
plans.
[[Page 10997]]
Subpart F--External Audits
Sec. 271.501 External audits.
FRA will conduct (or cause to be conducted) external audits of a
railroad's RRP. Each audit shall evaluate the railroad's compliance
with the elements of its RRP required by this part. FRA will provide a
railroad written notice of the audit results.
Sec. 271.503 External audit improvement plans.
(a) Submission. Within 60 days of receiving FRA's written notice of
the audit results, if necessary, a railroad shall submit for approval
an improvement plan addressing any instances of deficiency or non-
compliance found in the audit to the FRA Associate Administrator for
Railroad Safety/Chief Safety Officer at Mail Stop 25, 1200 New Jersey
Avenue SE., Washington, DC, 20590.
(b) Requirements. At a minimum, an improvement plan shall:
(1) Describe the improvements the railroad will implement to
address the audit findings;
(2) Identify by position title the individual who is responsible
for carrying out the improvements necessary to address the audit
findings; and
(3) Contain a timeline describing when milestones for implementing
the recommended improvements will be achieved. These implementation
milestones shall be specific and measurable.
(c) Approval. If FRA does not approve the railroad's improvement
plan, FRA will notify the railroad of the plan's specific deficiencies.
The railroad shall amend the proposed plan to correct the identified
deficiencies and provide FRA a corrected copy no later than 30 days
following receipt of FRA's notice that the proposed plan was not
approved.
(d) Status reports. Upon the request of the FRA Associate
Administrator, a railroad shall provide FRA for review a status report
on the implementation of the improvements contained in the improvement
plan.
Appendix A to Part 271--Schedule of Civil Penalties
[Reserved]
Appendix B to Part 271--Federal Railroad Administration Guidance on the
Risk Reduction Program Consultation Process
A railroad required to develop a risk reduction program (RRP) under
this part shall in good faith consult with and use its best efforts to
reach agreement with its directly affected employees on the contents of
the RRP plan. See Sec. 271.207(a)(1). This appendix discusses the
meaning of the terms ``good faith'' and ``best efforts,'' and provides
guidance on how a railroad could comply with the requirement to consult
with directly affected employees on the contents of its RRP plan.
Specific guidance will be provided for employees who are represented by
a non-profit employee labor organization and employees who are not
represented by any such organization.
I. The Meaning of ``Good Faith'' and ``Best Efforts''
``Good faith'' and ``best efforts'' are not interchangeable terms
representing a vague standard for the Sec. 271.207 consultation
process. Rather, each term has a specific and distinct meaning. When
consulting with directly affected employees, therefore, a railroad
shall independently meet the standards for both the good faith and best
efforts obligations. A railroad that does not meet the standard for one
or the other will not be in compliance with the consultation
requirements of Sec. 271.207.
The good faith obligation requires a railroad to consult with
employees in a manner that is honest, fair, and reasonable, and to
genuinely pursue agreement on the contents of an RRP plan. If a
railroad consults with its employees merely in a perfunctory manner,
without genuinely pursuing agreement, it will not have met the good
faith requirement. A railroad may also fail to meet its good faith
obligation if it merely attempts to use the RRP plan to unilaterally
modify a provision of a collective bargaining agreement between the
railroad and a non-profit employee labor organization.
On the other hand, ``best efforts'' establishes a higher standard
than that imposed by the good faith obligation, and describes the
diligent attempts that a railroad shall pursue to reach agreement with
its employees on the contents of its RRP plan. While the good faith
obligation is concerned with the railroad's state of mind during the
consultation process, the best efforts obligation is concerned with the
specific efforts made by the railroad in an attempt to reach agreement.
This would include considerations such as whether a railroad had held
sufficient meetings with its employees, or whether the railroad had
made an effort to respond to feedback provided by employees during the
consultation process. For example, a railroad would not meet the best
efforts obligation if it did not initiate the consultation process in a
timely manner, and thereby failed to provide employees sufficient time
to engage in the consultation process. A railroad would also likely not
meet the best efforts obligation if it presented employees with an RRP
plan and only permitted the employees to express agreement or
disagreement on the plan (assuming that the employees had not
previously indicated that such a consultation would be acceptable). A
railroad may, however, wish to hold off substantive consultations
regarding the contents of its RRP plan until one year after publication
of the rule in order to ensure that information generated as part of
the process is protected from discovery and admissibility into evidence
under Sec. 271.11 of the rule. Generally, best efforts are measured by
the measures that a reasonable person in the same circumstances and of
the same nature as the acting party would take. Therefore, the standard
imposed by the best efforts obligation may vary with different
railroads, depending on a railroad's size, resources, and number of
employees.
When reviewing RRP plans, FRA will determine on a case-by-case
basis whether a railroad has met its Sec. 271.207 good faith and best
efforts obligations. This determination will be based upon the
consultation statement submitted by the railroad pursuant to Sec.
271.207(b) and any statements submitted by employees pursuant to Sec.
271.207(c). If FRA finds that these statements do not provide
sufficient information to determine whether a railroad used good faith
and best efforts to reach agreement, FRA may investigate further and
contact the railroad or its employees to request additional
information. (FRA also expects a railroad's directly affected employees
to utilize good faith and best efforts when negotiating on the contents
of an RRP plan. If FRA's review and investigation of the statements
submitted by the railroad under Sec. 271.207(b) and the directly
affected employees under Sec. 271.207(c) reveal that the directly
affected employees did not utilize good faith and best efforts, FRA
could consider this as part of its approval process.)
If FRA determines that a railroad did not use good faith and best
efforts, FRA may disapprove the RRP plan submitted by the railroad and
direct the railroad to comply with the consultation requirements of
Sec. 271.207. Pursuant to Sec. 271.301(b)(3), if FRA does not approve
the RRP plan, the railroad will have 60 days, following receipt of
FRA's written notice that the plan was not approved, to correct any
deficiency identified. In such cases, the identified deficiency would
be that the railroad did not use good faith and best efforts to consult
and reach agreement with its directly affected employees. If a railroad
then does not submit to FRA within 60 days
[[Page 10998]]
an RRP plan meeting the consultation requirements of Sec. 271.207, the
railroad could be subject to penalties for failure to comply with Sec.
271.301(b)(3).
II. Guidance on How a Railroad May Consult With Directly Affected
Employees
Because the standard imposed by the best efforts obligation will
vary depending upon the railroad, there may be countless ways for
various railroads to comply with the consultation requirements of Sec.
271.207. Therefore, FRA believes it is important to maintain a flexible
approach to the Sec. 271.207 consultation requirements, in order to
give a railroad and its directly affected employees the freedom to
consult in a manner best suited to their specific circumstances.
FRA is nevertheless providing guidance in this appendix as to how a
railroad may proceed when consulting (utilizing good faith and best
efforts) with employees in an attempt to reach agreement on the
contents of an RRP plan. FRA believes this guidance may be useful as a
starting point for railroads that are uncertain about how to comply
with the Sec. 271.207 consultation requirements. This guidance
distinguishes between employees who are represented by a non-profit
employee labor organization and employees who are not, as the processes
a railroad may use to consult with represented and non-represented
employees could differ significantly.
This guidance does not establish prescriptive requirements with
which a railroad shall comply, but merely outlines a consultation
process a railroad may choose to follow. A railroad's consultation
statement could indicate that the railroad followed the guidance in
this appendix as evidence that it utilized good faith and best efforts
to reach agreement with its employees on the contents of an RRP plan.
(a) Employees Represented by a Non-Profit Employee Labor Organization
As provided in Sec. 271.207(a)(2), a railroad consulting with the
representatives of a non-profit employee labor organization on the
contents of an RRP plan will be considered to have consulted with the
directly affected employees represented by that organization.
A railroad could utilize the following process as a roadmap for
using good faith and best efforts when consulting with represented
employees in an attempt to reach agreement on the contents of an RRP
plan.
(1) Pursuant to Sec. 271.207(a)(3), a railroad shall meet with
representatives from a non-profit employee labor organization
(representing a class or craft of the railroad's directly affected
employees) within 240 days from [THE DATE OF PUBLICATION OF THE FINAL
RULE IN THE FEDERAL REGISTER] to begin the process of consulting on the
contents of the railroad's RRP plan. A railroad should provide notice
at least 60 days before the scheduled meeting.
(2) During the time between the initial meeting and the
applicability date of Sec. 271.11 the parties may meet to discuss
administrative details of the consultation process as necessary.
(3) Within 60 days after [365 DAYS AFTER THE DATE OF PUBLICATION OF
THE FINAL RULE IN THE FEDERAL REGISTER], a railroad should have a
meeting with the representatives of the directly affected employees to
discuss substantive issues with the RRP plan.
(4) Within 180 days after [365 DAYS AFTER THE DATE OF PUBLICATION
OF THE FINAL RULE IN THE FEDERAL REGISTER], a railroad would file its
RRP plan with FRA.
(5) As provided by Sec. 271.207(c), if agreement on the contents
of an RRP plan could not be reached, a labor organization (representing
a class or craft of the railroad's directly affected employees) could
file a statement with the FRA Associate Administrator explaining its
views on the plan on which agreement was not reached.
(b) Employees Who Are Not Represented by a Non-Profit Employee Labor
Organization
FRA recognizes that some (or all) of a railroad's directly affected
employees may not be represented by a non-profit employee labor
organization. For such non-represented employees, the consultation
process described for represented employees may not be appropriate or
sufficient. For example, FRA believes that a railroad with non-
represented employees shall make a concerted effort to ensure that its
non-represented employees are aware that they are able to participate
in the development of the railroad's RRP plan. FRA therefore is
providing the following guidance regarding how a railroad may utilize
good faith and best efforts when consulting with non-represented
employees on the contents of its RRP plan.
(1) Within 120 days from [THE DATE OF PUBLICATION OF THE FINAL RULE
IN THE FEDERAL REGISTER], a railroad should notify non-represented
employees that--
(A) The railroad is required to consult in good faith with, and use
its best efforts to reach agreement with, all directly affected
employees on the proposed contents of its RRP plan;
(B) Non-represented employees are invited to participate in the
consultation process (and include instructions on how to engage in this
process); and
(C) If a railroad is unable to reach agreement with its directly
affected employees on the contents of the proposed RRP plan, an
employee may file a statement with the FRA Associate Administrator
explaining his or her views on the plan on which agreement was not
reached.
(2) This initial notification (and all subsequent communications,
as necessary or appropriate) could be provided to non-represented
employees in the following ways:
(A) Electronically, such as by email or an announcement on the
railroad's Web site;
(B) By posting the notification in a location easily accessible and
visible to non-represented employees; or
(C) By providing all non-represented employees a hard copy of the
notification.
A railroad could use any or all of these methods of communication,
so long as the notification complies with the railroad's obligation to
utilize best efforts in the consultation process.
(3) Following the initial notification (and before the railroad
submits its RRP plan to FRA), a railroad should provide non-represented
employees a draft proposal of its RRP plan. This draft proposal should
solicit additional input from non-represented employees, and the
railroad should provide non-represented employees 60 days to submit
comments to the railroad on the draft.
(4) Following this 60-day comment period and any changes to the
draft RRP plan made as a result, the railroad should submit the
proposed RRP plan to FRA, as required by this part.
(5) As provided by Sec. 271.207(c), if agreement on the contents
of an RRP plan cannot be reached, then a non-represented employee may
file a statement with the FRA Associate Administrator explaining his or
her views on the plan on which agreement was not reached.
Appendix C to Part 271--Procedures for Submission of Railroad Risk
Reduction Program Plans and Statements From Directly Affected Employees
This appendix establishes procedures for the submission of a
railroad's RRP plan and statements by directly affected
[[Page 10999]]
employees in accordance with the requirements of this part.
Submission by a Railroad and Directly Affected Employees
(a) As provided for in Sec. 271.101, each railroad must establish
and fully implement an RRP that continually and systematically
evaluates railroad safety hazards on its system and manages the
resulting risks to reduce the number and rates of railroad accidents,
incidents, injuries, and fatalities. The RRP shall be fully implemented
and supported by a written RRP plan. Each railroad must submit its RRP
plan to FRA for approval as provided for in Sec. 271.201.
(b) As provided for in Sec. 271.207(c), if a railroad and its
directly affected employees cannot come to agreement on the proposed
contents of the railroad's RRP plan, the directly affected employees
have 30 days following the railroad's submission of its proposed RRP
plan to submit a statement to the FRA Associate Administrator for
Railroad Safety/Chief Safety Officer explaining the directly affected
employees' views on the plan on which agreement was not reached.
(c) The railroad's and directly affected employees' submissions
shall be sent to the Associate Administrator for Railroad Safety/Chief
Safety Officer, FRA. The mailing address for FRA is 1200 New Jersey
Avenue SE., Washington, DC 20590. When a railroad submits its RRP plan
and consultation statement to FRA pursuant to Sec. 270.201, it must
also simultaneously send a copy of these documents to all individuals
identified in the service list pursuant to Sec. 271.107(b)(4).
(d) Each railroad and directly affected employee is authorized to
file by electronic means any submissions required under this part.
Prior to any person submitting anything electronically, the person
shall provide the Associate Administrator with the following
information in writing:
(1) The name of the railroad or directly affected employee(s);
(2) The names of two individuals, including job titles, who will be
the railroad's or directly affected employees' points of contact and
will be the only individuals allowed access to FRA's secure document
submission site;
(3) The mailing addresses for the railroad's or directly affected
employees' points of contact;
(4) The railroad's system or main headquarters address located in
the United States;
(5) The email addresses for the railroad's or directly affected
employees' points of contact; and
(6) The daytime telephone numbers for the railroad's or directly
affected employees' points of contact.
(e) A request for electronic submission or FRA review of written
materials shall be addressed to the Associate Administrator for
Railroad Safety/Chief Safety Officer, Federal Railroad Administration,
1200 New Jersey Avenue SE., Washington, DC 20590. Upon receipt of a
request for electronic submission that contains the information listed
above, FRA will then contact the requestor with instructions for
electronically submitting its program or statement. A railroad that
electronically submits an initial RRP plan or new portions or revisions
to an approved program required by this part shall be considered to
have provided its consent to receive approval or disapproval notices
from FRA by email. FRA may electronically store any materials required
by this part regardless of whether the railroad that submits the
materials does so by delivering the written materials to the Associate
Administrator and opts not to submit the materials electronically. A
railroad that opts not to submit the materials required by this part
electronically, but provides one or more email addresses in its
submission, shall be considered to have provided its consent to receive
approval or disapproval notices from FRA by email or mail.
Issued in Washington, DC on February 11, 2015, under the
authority provided by 49 U.S.C. 20156.
Sarah Feinberg,
Acting Administrator.
[FR Doc. 2015-03268 Filed 2-26-15; 8:45 am]
BILLING CODE 4910-06-P