Effluent Limitations Guidelines and Standards for the Oil and Gas Extraction Point Source Category, 18557-18580 [2015-07819]
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Federal Register / Vol. 80, No. 66 / Tuesday, April 7, 2015 / Proposed Rules
identifiers, contact information, or other
personal information provided, to:
https://www.regulations.gov. Do not
submit confidential business
information, trade secret information, or
other sensitive or protected information
electronically. Such information should
be submitted in writing.
Docket: For access to the docket to
read background documents or
comments received, go to: https://
www.regulations.gov and insert the
Docket No. CPSC–2009–0087 into the
‘‘Search’’ box and follow the prompts.
SUPPLEMENTARY INFORMATION: On
November 19, 2014, the Commission
published an NPR in the Federal
Register proposing standards that would
apply to ROVs. (79 FR 68964). The
Commission issued the proposed rule
under the authority of the Consumer
Product Safety Act (CPSA). In response
to requests for an extension of the
comment period by the Recreational
Off-Highway Vehicle Association
(ROHVA) and the Outdoor Power
Equipment Institute (OPEI), the
Commission extended the comment
period to April 8, 2015. (80 FR 3535
(January 23, 2015)). ROHVA and OPEI
have each requested another extension
to the comment period. ROHVA asked
for additional time to review documents
provided by the Commission. OPEI
noted a need for additional time for
OPEI to complete and review ‘‘round
robin’’ testing that OPEI is conducting to
gauge the reproducibility and
repeatability of tests the Commission
proposed in the NPR. The Commission
has considered the requests and is
extending the comment period until
June 19, 2015.
Alberta E. Mills,
Acting Secretary, U.S. Consumer Product
Safety Commission.
[FR Doc. 2015–07910 Filed 4–6–15; 8:45 am]
BILLING CODE 6355–01–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 435
[EPA–HQ–OW–2014–0598; FRL–9917–78–
OW]
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RIN 2040–AF35
Effluent Limitations Guidelines and
Standards for the Oil and Gas
Extraction Point Source Category
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
EPA proposes a Clean Water
Act (CWA) regulation that would better
SUMMARY:
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protect human health and the
environment and protect the operational
integrity of publicly owned treatment
works (POTWs) by establishing
pretreatment standards that would
prevent the discharge of pollutants in
wastewater from onshore
unconventional oil and gas extraction
facilities to POTWs. Unconventional oil
and gas (UOG) extraction wastewater
can be generated in large quantities and
contains constituents that are
potentially harmful to human health
and the environment. Because they are
not typical of POTW influent
wastewater, some UOG extraction
wastewater constituents can be
discharged, untreated, from the POTW
to the receiving stream; can disrupt the
operation of the POTW (e.g., by
inhibiting biological treatment); can
accumulate in biosolids (sewage
sludge), limiting their use; and can
facilitate the formation of harmful
disinfection by-products (DBPs). Based
on the information collected by EPA,
the requirements in this proposal reflect
current industry practices for
unconventional oil and gas extraction
facilities, therefore, EPA does not
project the proposed rule will impose
any costs or lead to pollutant removals,
but will ensure that such current
industry best practice is maintained
over time.
DATES: Comments on this proposed rule
must be received on or before June 8,
2015. EPA will conduct a public hearing
on the proposed pretreatment standards
on May 29, 2015 at 1:00 p.m. in the EPA
East Building, Room 1153, 1201
Constitution Avenue NW., Washington,
DC.
ADDRESSES: Submit your comments on
the proposed rule, identified by Docket
No. EPA–HQ–OW–2014–0598 by one of
the following methods:
• https://www.regulations.gov: Follow
the on-line instructions for submitting
comments.
• Email: OW-Docket@epa.gov,
Attention Docket ID No. EPA–HQ–OW–
2014–0598.
• Mail: Water Docket, U.S.
Environmental Protection Agency, Mail
code: 4203M, 1200 Pennsylvania Ave.
NW., Washington, DC 20460. Attention
Docket ID No. EPA–HQ–OW–2014–
0598. Please include three copies.
• Hand Delivery: Water Docket, EPA
Docket Center, EPA West Building
Room 3334, 1301 Constitution Ave.
NW., Washington, DC, Attention Docket
ID No. EPA–HQ–OW–2014–0598. Such
deliveries are only accepted during the
Docket’s normal hours of operation, and
you should make special arrangements
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for deliveries of boxed information by
calling 202–566–2426.
Instructions: Direct your comments to
Docket No. EPA–HQ–OW–2014–0598.
EPA’s policy is that all comments
received will be included in the public
docket without change and can be made
available online at https://
www.regulations.gov, including any
personal information provided, unless
the comment includes information
claimed to be Confidential Business
Information (CBI) or other information
whose disclosure is restricted by statute.
Do not submit information that you
consider to be CBI or otherwise
protected through https://
www.regulations.gov or email. The
https://www.regulations.gov Web site is
an ‘‘anonymous access’’ system, which
means EPA will not know your identity
or contact information unless you
provide it in the body of your comment.
If you send an email comment directly
to EPA without going through https://
www.regulations.gov your email address
will be automatically captured and
included as part of the comment that is
placed in the public docket and made
available on the Internet. If you submit
an electronic comment, EPA
recommends that you include your
name and other contact information in
the body of your comment and with any
disk or CD–ROM you submit. If EPA
cannot read your comment due to
technical difficulties and cannot contact
you for clarification, EPA will not be
able to consider your comment.
Electronic files should avoid the use of
special characters, any form of
encryption, and be free of any defects or
viruses.
Docket: All documents in the docket
are listed in the https://
www.regulations.gov index. A detailed
record index, organized by subject, is
available on EPA’s Web site at https://
water.epa.gov/scitech/wastetech/guide/
oilandgas/unconv.cfm. Although listed
in the index, some information is not
publicly available, e.g., CBI or other
information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
will be publicly available only in hard
copy. Publicly available docket
materials are available either
electronically in https://
www.regulations.gov or in hard copy at
the Water Docket in EPA Docket Center,
EPA/DC, EPA West, Room 3334, 1301
Constitution Ave. NW., Washington,
DC. The Public Reading Room is open
from 8:30 a.m. to 4:30 p.m., Monday
through Friday, excluding legal
holidays. The telephone number for the
Public Reading Room is 202–566–1744,
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and the telephone number for the Water
Docket is 202–566–2426.
Pretreatment Hearing Information:
EPA will conduct a public hearing on
the proposed pretreatment standards on
May 29, 2015 at 1:00 p.m. in the East
Building, Room 1153, 1201 Constitution
Avenue NW., Washington, DC.
Registration is not required for this
public hearing, however pre-registration
will be possible via a link on EPA’s Web
site: at https://water.epa.gov/scitech/
wastetech/guide/oilandgas/unconv.cfm.
During the hearing, the public will have
an opportunity to provide oral comment
to EPA on the proposed pretreatment
standards. EPA will not address any
issues raised during the hearing at that
time but these comments will be
included in the public record for the
rule. For security reasons, we request
that you bring photo identification with
you to the meeting. Also, if you let us
know in advance of your plans to
attend, it will expedite the process of
signing in. Seating will be provided on
a first-come, first-served basis. Please
note that parking is very limited in
downtown Washington, and use of
public transit is recommended. EPA
Headquarters complex is located near
the Federal Triangle Metro station.
Upon exiting the Metro station, walk
east to 12th Street. On 12th Street, walk
south to Constitution Avenue. At the
corner, turn right onto Constitution
Avenue and proceed to EPA East
Building entrance.
FOR FURTHER INFORMATION CONTACT: For
technical information, contact Lisa
Biddle, Engineering and Analysis
Division, Telephone: 202–566–0350;
email: biddle.lisa@epa.gov. For
economic information, contact Karen
Milam, Engineering and Analysis
Division, Telephone: 202–566–1915;
email: milam.karen@epa.gov.
SUPPLEMENTARY INFORMATION:
Table of Contents
I. Regulated Entities
II. How To Submit Comments
III. Supporting Documentation
IV. Overview
V. Legal Authority
VI. Purpose and Summary of Proposed Rule
A. Purpose of the Regulatory Action
B. Summary of the Proposed Rule
C. Summary of Costs and Benefits
VII. Solicitation of Data and Comments
VIII. Background
A. Clean Water Act
B. Effluent Limitations Guidelines and
Standards Program
1. Best Practicable Control Technology
Currently Available (BPT)
2. Best Conventional Pollutant Control
Technology (BCT)
3. Best Available Technology Economically
Achievable (BAT)
4. Best Available Demonstrated Control
Technology (BADCT)/New Source
Performance Standards (NSPS)
5. Pretreatment Standards for Existing
Sources (PSES) and Pretreatment
Standards for New Sources (PSNS)
C. Oil and Gas Extraction Effluent
Guidelines Rulemaking History
1. Subpart C: Onshore
2. Subpart E: Agricultural and Wildlife Use
D. State Pretreatment Requirements That
Apply to UOG Extraction Wastewater
E. Related Federal Requirements in the
Safe Drinking Water Act
IX. Summary of Data Collection
A. Site Visits and Contacts With Treatment
Facilities and Vendors
B. Meetings with Stakeholder
Organizations
1. Stakeholder Organizations
2. State Stakeholders
C. Secondary Data Sources
D. Drilling Info Desktop® Data Set
E. EPA Hydraulic Fracturing Study
X. Description of the Oil and Gas Industry
A. Economic Profile
B. Industry Structure and Economic
Performance
C. Financial Performance
XI. Scope
XII. Unconventional Oil and Gas Extraction:
Resources, Process, and Wastewater
A. Unconventional Oil and Gas Extraction
Resources
B. Unconventional Oil and Gas Extraction
Process
1. Well Drilling
2. Well Completion
3. Production
C. UOG Extraction Wastewater
1. Drilling Wastewater
2. Produced Water
D. UOG Extraction Wastewater
Characteristics
1. Total Dissolved Solids (TDS) and TDSContributing Ions
2. Organic Constituents
3. Radioactive Constituents
E. Wastewater Management and Disposal
Practices
1. Injection into Disposal Wells
2. Reuse in Fracturing
3. Transfer to Centralized Waste Treatment
Facilities
4. Transfer to POTWs
XIII. Subcategorization
XIV. Proposed Regulation
A. Discussion of Options
1. PSES and PSNS Option Selection
2. Other Options Considered
B. Pollutants of Concern
C. POTW Pass Through Analysis
XV. Environmental Impacts
A. Pollutants
B. Impacts From the Discharge of
Pollutants Found in UOG Extraction
Wastewater
C. Impact on Surface Water Designated
Uses
1. Drinking Water Uses
2. Aquatic Life Support Uses
3. Livestock Watering Uses
4. Irrigation Uses
5. Industrial Uses
XVI. Non-Water Quality Environmental
Impacts Associated With the Proposed
Rule
XVII. Implementation
A. Implementation Deadline
B. Upset and Bypass Provisions
C. Variances and Modifications
XVIII. Statutory and Executive Order
Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order 13045: Protection of
Children From Environmental Health
and Safety Risks
H. Executive Order 13211: Energy Effects
I. National Technology Transfer
Advancement Act
J. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
I. Regulated Entities
Entities potentially regulated by this
proposed action include:
North American Industry Classification
System (NAICS)
Code
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Category
Examples of regulated entities
Industry ...................................................
Crude Petroleum and Natural Gas Extraction ........................................................
Natural Gas Liquid Extraction .................................................................................
This section is not intended to be
exhaustive, but rather provides a guide
for readers regarding entities likely to be
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regulated by this proposed action. Other
types of entities that do not meet the
above criteria could also be regulated.
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To determine whether your facility
would be regulated by this proposed
action, you should carefully examine
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the applicability criteria listed in 40
CFR 435.30 and the definitions in 40
CFR 435.33(b) of the proposed rule and
detailed further in Section XI—Scope, of
this preamble. If you still have questions
regarding the proposed applicability of
this action to a particular entity, consult
the person listed for technical
information in the preceding FOR
FURTHER INFORMATION CONTACT section.
II. How To Submit Comments
The public can submit comments in
written or electronic form. (See the
ADDRESSES section above.) Electronic
comments must be identified by the
Docket No. EPA–HQ–OW–2014–0598
and must be submitted as a MS Word,
WordPerfect, or ASCII text file, avoiding
the use of special characters and any
form of encryption. EPA requests that
any graphics included in electronic
comments also be provided in hardcopy form. EPA also will accept
comments and data on disks in the
aforementioned file formats. Electronic
comments received on this notice can be
filed online at many Federal Depository
Libraries. No confidential business
information (CBI) should be sent by
email.
III. Supporting Documentation
The proposed rule is supported by a
number of documents including the
Technical Development Document for
Proposed Effluent Limitations
Guidelines and Standards for Oil and
Gas Extraction (TDD), Document No.
EPA–821–R–15–003 (DCN SGE00704).
This and other supporting documents
are available in the public record for
this proposed rule and on EPA’s Web
site at https://water.epa.gov/scitech/
wastetech/guide/oilandgas/unconv.cfm.
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IV. Overview
This preamble describes the reasons
for the proposed rule; the legal authority
for the proposed rule; a summary of the
options considered for the proposal;
background information, including
terms, acronyms, and abbreviations
used in this document; and the
technical and economic methodologies
used by the Agency to develop the
proposed rule. In addition, this
preamble also solicits comment and
data from the public.
V. Legal Authority
EPA proposes this regulation under
the authorities of sections 101, 301, 304,
306, 307, 308, and 501 of the CWA, 33
U.S.C. 1251, 1311, 1314, 1316, 1317,
1318, 1324, and 1361.
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VI. Purpose and Summary of Proposed
Rule
A. Purpose of the Regulatory Action
Responsible development of
America’s oil and gas resources offers
important economic, energy security,
and environmental benefits. EPA is
working with states and other
stakeholders to understand and address
potential impacts of hydraulic
fracturing, an important process
involved in producing unconventional
oil and natural gas, so the public has
confidence that oil and natural gas
production will proceed in a safe and
responsible manner.1 EPA is moving
forward with several initiatives to
provide regulatory clarity with respect
to existing laws and using existing
authorities where appropriate to
enhance human health and
environmental safeguards. This
proposed rule would fill a gap in
existing federal wastewater regulations
to ensure that the current practice of not
sending wastewater discharges from this
sector to POTWs continues into the
future. This proposed rule does not,
however, address the practice of
underground injection of wastewater
discharges from this sector since such
activity is not subject to the CWA but
rather the Safe Drinking Water Act
(SDWA) (see TDD Chapter A.3).
Recent advances in the well
completion process, combining
hydraulic fracturing and horizontal
drilling, have made extraction of oil and
natural gas from low permeability, low
porosity geologic formations (referred to
hereafter as unconventional oil and gas
(UOG) resources) more technologically
and economically feasible than it had
been. As a result, according to the U.S.
Department of Energy (DOE), in 2012,
U.S. crude oil and natural gas
production reached their highest levels
in more than 15 and 30 years,
respectively (DCN SGE00989). DOE
projects natural gas production in the
U.S. will likely increase by 56 percent
by 2040, compared to 2012 production
levels (DCN SGE00989). Similarly, DOE
projects that by 2019, crude oil
production in the United States (U.S.)
will increase by 48 percent compared to
2012 production levels (DCN
SGE00989).
Hydraulic fracturing is used to extract
oil and natural gas from highly
impermeable rock formations, such as
shale rock, by injecting fracturing fluids
at high pressures to create a network of
fissures in the rock formations and give
1 For more information on EPA’s continued
engagement with states and other stakeholders, see:
https://www2.epa.gov/hydraulicfracturing.
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the oil and/or natural gas a pathway to
travel to the well for extraction. Pressure
within the low permeability, low
porosity geologic formations forces
wastewaters, as well as oil and/or gas,
to the surface. In this proposed
rulemaking, oil and gas extraction
includes production, field exploration,
drilling, well completion, and/or well
treatment; wastewater sources
associated with these activities in low
permeability, low porosity formations
are collectively referred to as UOG
extraction wastewater.
Direct discharges of oil and gas
extraction wastewater pollutants from
onshore oil and gas resources, including
UOG resources, to waters of the U.S.
have been regulated since 1979 under
the existing Oil and Gas Effluent
Limitations Guidelines and Standards
(ELGs) (40 CFR part 435), the majority
of which fall under subpart C, the
Onshore Subcategory. The limitations
for direct dischargers in the Onshore
Subcategory represent Best Practicable
Control Technology Currently Available
(BPT). Based on the availability and
economic practicability of underground
injection technologies, the BPT-based
limitations for direct dischargers require
zero discharge of pollutants to waters of
the U.S. However, there are currently no
requirements in subpart C that apply to
onshore oil and gas extraction facilities
that are ‘‘indirect dischargers,’’ i.e.,
those that send their discharges to
POTWs (municipal wastewater
treatment facilities) which treat the
water before discharging it to waters of
the U.S.
UOG extraction wastewater can be
generated in large quantities and
contains constituents that are
potentially harmful to human health
and the environment. Wastewater from
UOG wells often contains high
concentrations of total dissolved solids
(TDS) (salt content). The wastewater can
also contain various organic chemicals,
inorganic chemicals, metals, and
naturally-occurring radioactive
materials (referred to as technologically
enhanced naturally occurring
radioactive material or TENORM).2 This
potentially harmful wastewater creates a
need for appropriate wastewater
2 Naturally occurring radioactive materials that
have been concentrated or exposed to the accessible
environment as a result of human activities such as
manufacturing, mineral extraction, or water
processing is referred to as technologically
enhanced naturally occurring radioactive material
(TENORM). ‘‘Technologically enhanced’’ means
that the radiological, physical, and chemical
properties of the radioactive material have been
altered by having been processed, or beneficiated,
or disturbed in a way that increases the potential
for human and/or environmental exposures. (See
EPA 402–r–08–005–v2)
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management infrastructure and
management practices. Historically,
operators primarily managed their
wastewater via underground injection
(where available). Where UOG wells
were drilled in areas with limited
underground injection wells, and/or
there was a lack of wastewater
management alternatives, it became
more common for operators to look to
public and private wastewater treatment
facilities to manage their wastewater.
POTWs collect wastewater from
homes, commercial buildings, and
industrial facilities and pipe it to their
sewage treatment plant. In some cases,
industrial dischargers can haul
wastewater to the treatment plant by
tanker truck. The industrial wastewater,
commingled with domestic wastewater,
is treated by the POTW and discharged
to a receiving waterbody. However,
most POTWs are designed primarily to
treat municipally generated, not
industrial, wastewater. They typically
provide at least secondary level
treatment and, thus, are designed to
remove suspended solids and organic
material using biological treatment. As
mentioned previously, wastewater from
UOG extraction can contain high
concentrations of TDS, radioactive
elements, metals, chlorides, sulfates,
and other dissolved inorganic
constituents that POTWs are not
designed to remove. Because they are
not typical of POTW influent
wastewater, some UOG extraction
wastewater constituents can be
discharged, untreated, from the POTW
to the receiving stream; can disrupt the
operation of the POTW (e.g., by
inhibiting biological treatment); can
accumulate in biosolids (sewage
sludge), limiting their use; and can
facilitate the formation of harmful DBPs.
Under section 307(b) of the CWA,
there are general and specific
prohibitions on the discharge to POTWs
of pollutants in specified circumstances
in order to prevent ‘‘pass through’’ or
‘‘interference.’’ Pass through is defined
as whenever the introduction of
pollutants from a user will result in a
discharge that causes or contributes to a
violation of any requirement of the
POTW permit. See 40 CFR 403.3(p).
Interference means a discharge that,
among other things, inhibits or disrupts
the POTW or prevents biosolids use
consistent with the POTW’s chosen
method of disposal. See 40 CFR
403.3(k). These general and specific
prohibitions must be implemented
through local limits established by
POTWs in certain cases. See 40 CFR
403.5(c). POTWs with approved
pretreatment programs must develop
and enforce local limits to implement
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the general prohibitions on user
discharges that pass through or interfere
with the POTW or discharges to the
POTW prohibited under the specific
prohibitions in 40 CFR 403.5(b). In the
case of POTWs not required to develop
a pretreatment program, the POTWs
must develop local limits where there is
interference or pass through and the
limits are necessary to ensure
compliance with the POTW’s National
Pollutant Discharge Elimination System
(NPDES) permit or biosolids use.
Under section 307(b) of the CWA,
EPA is authorized to establish
nationally applicable pretreatment
standards for industrial categories that
discharge indirectly (i.e., requirements
for an industrial discharge category that
sends its wastewater to any POTW) for
key pollutants, such as TDS and its
constituents, not susceptible to
treatment by POTWs or for pollutants
that would interfere with the operation
of POTWs. Generally, EPA designs
nationally applicable pretreatment
standards for categories of industry (also
referred to as categorical pretreatment
standards) to ensure that wastewaters
from direct and indirect industrial
dischargers are subject to similar levels
of treatment. EPA, in its discretion
under section 304(g) of the Act,
periodically evaluates indirect
dischargers not subject to categorical
pretreatment standards to identify
potential candidates for new
pretreatment standards. To date, EPA
has not established nationally
applicable pretreatment standards for
the onshore oil and gas extraction point
source subcategory.
To legally discharge wastewater, the
POTW must have an NPDES permit that
limits the type and quantity of
pollutants that it can discharge.
Discharges from POTWs are subject to
the secondary treatment effluent
limitations at 40 CFR part 133, which
address certain conventional pollutants
but do not address the main parameters
of concern in UOG extraction
wastewater (e.g., TDS, chloride,
radionuclides, etc.). POTWs are also
subject to water quality-based effluent
limitations (WQBELs) where necessary
to protect state water quality standards,
as required under CWA section
301(b)(1)(C).
It is currently uncommon for POTWs
to establish local limits for some of the
parameters of concern identified for this
proposed rulemaking. This is due to a
number of factors, including lack of
sufficient information regarding
pollutants in the wastewater being sent
to POTWs; lack of national water quality
recommendations for key pollutants,
such as TDS; and lack of state water
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quality criteria for such key pollutants
in some states, all of which can create
significant informational hurdles to
including appropriate WQBELs in
POTW permits. Where a POTW’s permit
does not contain a WQBEL for all of the
constituents of concern in the
wastewater being sent to POTWs, it is
difficult to demonstrate pass through of
industrial pollutants (because ‘‘pass
through’’ here means making the POTW
exceed its permit limits), and thus
difficult for POTWs to establish local
limits to implement the general
prohibition in the pretreatment
regulations. See Section XV. for
additional information.
As a result of the gap in federal CWA
regulations, increases in onshore oil and
gas extraction from UOG resources and
the related generation of wastewater
requiring management, concerns over
the level of treatment provided by
public wastewater treatment facilities,
as well as potential interference with
treatment processes, and concerns over
water quality and aquatic life impacts
that can result from inadequate
treatment, EPA proposes technologybased categorical pretreatment
standards under the CWA for discharges
of pollutants into POTWs from existing
and new onshore UOG extraction
facilities in subpart C of 40 CFR part
435. Consistent with existing BPT-based
requirements for direct dischargers in
this subcategory, EPA proposes
pretreatment standards for existing and
new sources (PSES and PSNS,
respectively) that would prohibit the
indirect discharge of wastewater
pollutants associated with onshore UOG
extraction facilities.
Based on the information reviewed as
part of this proposed rulemaking, this
proposed prohibition reflects current
industry practice. EPA has not
identified any existing onshore UOG
extraction facilities that currently
discharge UOG extraction wastewater to
POTWs. However, because onshore
unconventional oil and gas extraction
facilities have discharged to POTWs in
the past, and because the potential
remains that some facilities can
consider discharging to POTWs in the
future, EPA proposes this rule.
B. Summary of the Proposed Rule
EPA proposes pretreatment standards
for existing and new sources (PSES and
PSNS, respectively) that would prohibit
the indirect discharge of wastewater
pollutants associated with onshore UOG
extraction facilities. EPA is defining
UOG extraction wastewater as sources
of wastewater pollutants associated with
production, field exploration, drilling,
well completion, or well treatment for
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unconventional oil and gas extraction
(e.g., produced water (which includes
formation water, injection water, and
any chemicals added downhole or
during the oil/water separation process);
drilling muds; drill cuttings; produced
sand). According to sources surveyed by
EPA (see Section IX), there are no
known discharges to POTWs from UOG
extraction at the time of this proposal.
UOG extraction wastewater is typically
managed through disposal via
underground injection wells, reuse in
subsequent fracturing jobs, or transfer to
a privately owned wastewater treatment
facility (see Section XII.E). EPA
proposes PSES and PSNS that would
require zero discharge of pollutants and
be effective on the effective date of this
rule.
EPA does not propose pretreatment
standards for wastewater pollutants
associated with conventional oil and gas
extraction facilities at this time (see
Section XIV). EPA proposes to reserve
such standards to a future rulemaking,
if appropriate.
C. Summary of Costs and Benefits
Because the data reviewed by EPA
show that the UOG extraction industry
is not currently managing wastewaters
by sending them to POTWs, the
proposed rule causes no incremental
change to current industry practice that
EPA measured as compliance costs or
monetized benefits.
Still, EPA has considered that while
states, localities, and POTWs are not
currently approving these wastewaters
for acceptance at POTWs, some POTWs
continue to receive requests to accept
UOG extraction wastewater (DCN
SGE00742; DCN SGE00743; DCN
SGE00762). This proposed rule would
provide regulatory certainty and would
eliminate the burden on POTWs to
analyze such requests.
The proposed rule would also
eliminate the need to develop
requirements in states where UOG
extraction is not currently occurring, but
is likely to occur in the future. There are
few states where existing regulations
address UOG extraction wastewater
discharges to POTWs (see Section
VIII.D. and TDD Chapter A.2.). While
EPA knows there will likely be some
reduction in state and POTW staff time
and resources, EPA did not attempt to
estimate, quantitatively, monetary
savings associated with the reduced
burden to states and localities that
would result from this proposed rule.
Most POTWs are not able to
sufficiently treat TDS and many other
pollutants in UOG extraction
wastewater, and thus this proposed rule
would potentially prevent elevated TDS
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and the presence of other pollutants in
POTW effluent. Prevention of the
discharge of TDS accomplished by the
proposed rule would further protect
water quality because national water
quality criteria recommendations have
not yet been established for many
constituents of TDS.
The proposed rule could impose some
costs on industry if discharging
wastewaters to POTWs becomes
economically attractive to UOG
operations relative to other management
options such as reuse or disposal via
underground injection wells in the
future. EPA did not estimate these
potential compliance costs or
environmental benefits because of the
uncertainty about future demand for
POTWs to accept UOG extraction
wastewaters and the associated
incremental costs or benefits.
6. Volumes of, and pollutants and
concentrations in, wastewater generated
from conventional oil and gas
extraction. See Section XIV.A.2.c.
7. The prevalence of conventional oil
and gas wastewater discharges to
POTWs, including information on any
pretreatment that could be applied,
geologic formations the gas or oil is
extracted from, and locations within the
U.S. See Section XII. and Section
XIV.A.2.
8. Removal and ‘‘pass through’’ of
UOG extraction wastewater pollutants at
POTWs. See Section XIV. and Section
XII.E.4.
9. The environmental impacts of UOG
extraction wastewater discharges to
POTWs. See Section XV.
VII. Solicitation of Data and Comments
EPA solicits comments on the
proposed rule, including EPA’s
rationale as described in this preamble.
EPA seeks comments on issues
specifically identified in this document
as well as any other issues that are not
specifically addressed in this document.
Comments are most helpful when
accompanied by specific examples and
supporting data. Specifically, EPA
solicits information and data on the
following topics.
1. EPA’s proposed definitions of UOG
and UOG extraction wastewater and
specifically whether the proposed
definition of unconventional oil and gas
is sufficiently clear to enable oil and gas
extraction operators and/or pretreatment
authorities to determine whether
specific wastewaters are from
conventional or unconventional
sources. See Section XII.
2. Whether or not there are any
existing onshore UOG extraction
facilities that currently discharge UOG
extraction wastewater to POTWs in the
U.S. See Section XII.E.4. If existing
discharges to POTWs are identified,
EPA requests comment on whether or
not the proposed effective date remains
appropriate. See Section XVII.
3. Costs and benefits to POTWs,
states, and localities associated with the
proposed rule. See Section VI.C.
4. Volumes of, and pollutants and
concentrations in, wastewater generated
from UOG extraction. See Section XII.
5. The nature and frequency of
requests received by POTWs to accept
UOG extraction wastewater, and the
likelihood that such requests will
continue to be submitted in the future.
EPA is particularly interested in hearing
from POTWs and states on this matter.
See Section VI.C. and Section XIV.A.2.
Congress passed the Federal Water
Pollution Control Act Amendments of
1972, also known as the CWA, to
‘‘restore and maintain the chemical,
physical, and biological integrity of the
Nation’s waters.’’ 33 U.S.C. 1251(a). The
CWA establishes a comprehensive
program for protecting our nation’s
waters. Among its core provisions, the
CWA prohibits the discharge of
pollutants from a point source to waters
of the U.S., except as authorized under
the CWA. Under section 402 of the
CWA, discharges can be authorized
through a NPDES permit. The CWA
establishes a two-pronged approach for
these permits, technology-based
controls that establish the floor of
performance for all dischargers, and
water quality-based limits where the
technology-based limits are insufficient
for the discharge to meet applicable
water quality standards. To serve as the
basis for the technology-based controls,
the CWA authorizes EPA to establish
national technology-based effluent
limitations guidelines and new source
performance standards for discharges
from different categories of point
sources, such as industrial, commercial,
and public sources, that discharge
directly into waters of the U.S.
The CWA also authorizes EPA to
promulgate nationally applicable
pretreatment standards that restrict
pollutant discharges from facilities that
discharge pollutants indirectly, by
sending wastewater to POTWs, as
outlined in sections 307(b) and (c) and
33 U.S.C. 1317(b) and (c). Specifically,
the CWA authorizes that EPA establish
pretreatment standards for those
pollutants in wastewater from indirect
dischargers that EPA determines are not
susceptible to treatment by a POTW or
which would interfere with POTW
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VIII. Background
A. Clean Water Act
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operations. Pretreatment standards must
be established to prevent the discharge
of any pollutant that can pass through,
interfere with, or are otherwise
incompatible with POTW operations.
CWA sections 307(b) and (c). The
legislative history of the 1977 CWA
amendments explains that pretreatment
standards are technology-based and
analogous to BAT effluent limitations
for the removal of toxic pollutants. As
further explained in the legislative
history, the combination of pretreatment
and treatment by the POTW is intended
to achieve the level of treatment that
would be required if the industrial
source were making a direct discharge.
Conf. Rep. No. 95–830, at 87 (1977),
reprinted in U.S. Congress. Senate.
Committee on Public Works (1978), A
Legislative History of the CWA of 1977,
Serial No. 95–14 at 271 (1978).
Direct dischargers (those discharging
directly to surface waters) must comply
with effluent limitations in NPDES
permits. Technology-based effluent
limitations in NPDES permits for direct
dischargers are derived from effluent
limitations guidelines (CWA sections
301 and 304) and new source
performance standards (CWA section
306) promulgated by EPA, or based on
best professional judgment (BPJ) where
EPA has not promulgated an applicable
effluent guideline or new source
performance standard (CWA section
402(a)(1)(B) and 40 CFR 125.3).
Additional limitations based on water
quality standards are also required to be
included in the permit where necessary
to meet water quality standards. CWA
section 301(b)(1)(C). The effluent
guidelines and new source performance
standards are established by regulation
for categories of industrial dischargers
and are based on the degree of control
that can be achieved using various
levels of pollution control technology,
as specified in the Act.
EPA promulgates national effluent
guidelines and new source performance
standards for major industrial categories
for three classes of pollutants: (1)
Conventional pollutants (total
suspended solids, oil and grease,
biochemical oxygen demand (BOD5),
fecal coliform, and pH), as outlined in
CWA section 304(a)(4) and 40 CFR
401.16; (2) toxic pollutants (e.g., metals
such as arsenic, mercury, selenium, and
chromium; and organic pollutants such
as benzene, benzo-a-pyrene, phenol, and
naphthalene), as outlined in section
307(a) of the Act, 40 CFR 401.15 and 40
CFR part 423, appendix A; and (3)
nonconventional pollutants, which are
those pollutants that are not categorized
as conventional or toxic (e.g., ammoniaN, phosphorus, and TDS).
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B. Effluent Limitations Guidelines and
Standards Program
EPA develops ELGs that are
technology-based regulations for
specific categories of dischargers. EPA
bases these regulations on the
performance of control and treatment
technologies. The legislative history of
CWA section 304(b), which is the heart
of the effluent guidelines program,
describes the need to press toward
higher levels of control through research
and development of new processes,
modifications, replacement of obsolete
plants and processes, and other
improvements in technology, taking into
account the cost of controls. Congress
has also stated that EPA need not
consider water quality impacts on
individual water bodies as the
guidelines are developed; see Statement
of Senator Muskie (October 4, 1972),
reprinted in U.S. Senate Committee on
Public Works, Legislative History of the
Water Pollution Control Act
Amendments of 1972, Serial No. 93–1,
at 170).
There are four types of standards
applicable to direct dischargers
(facilities that discharge directly to
surface waters), and two types of
standards applicable to indirect
dischargers (facilities that discharge to
POTWs), described in detail below.
Subsections 1 through 4 describe
standards for direct discharges and
subsection 5 describes standards for
indirect discharges.
1. Best Practicable Control Technology
Currently Available (BPT)
Traditionally, EPA defines BPT
effluent limitations based on the average
of the best performances of facilities
within the industry, grouped to reflect
various ages, sizes, processes, or other
common characteristics. BPT effluent
limitations control conventional, toxic,
and nonconventional pollutants. In
specifying BPT, EPA looks at a number
of factors. EPA first considers the cost
of achieving effluent reductions in
relation to the effluent reduction
benefits. The Agency also considers the
age of equipment and facilities, the
processes employed, engineering
aspects of the control technologies, any
required process changes, non-water
quality environmental impacts
(including energy requirements), and
such other factors as the Administrator
deems appropriate. See CWA section
304(b)(1)(B). If, however, existing
performance is uniformly inadequate,
EPA can establish limitations based on
higher levels of control than what is
currently in place in an industrial
category, when based on an Agency
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determination that the technology is
available in another category or
subcategory, and can be practically
applied.
2. Best Conventional Pollutant Control
Technology (BCT)
The 1977 amendments to the CWA
require EPA to identify additional levels
of effluent reduction for conventional
pollutants associated with BCT
technology for discharges from existing
industrial point sources. In addition to
other factors specified in section
304(b)(4)(B), the CWA requires that EPA
establish BCT limitations after
consideration of a two-part ‘‘cost
reasonableness’’ test. EPA explained its
methodology for the development of
BCT limitations in July 9, 1986 (51 FR
24974). Section 304(a)(4) designates the
following as conventional pollutants:
BOD5, total suspended solids (TSS),
fecal coliform, pH, and any additional
pollutants defined by the Administrator
as conventional. The Administrator
designated oil and grease as an
additional conventional pollutant on
July 30, 1979 (44 FR 44501; 40 CFR part
401.16).
3. Best Available Technology
Economically Achievable (BAT)
BAT represents the second level of
stringency for controlling direct
discharge of toxic and nonconventional
pollutants. In general, BAT-based
effluent guidelines and new source
performance standards represent the
best available economically achievable
performance of facilities in the
industrial subcategory or category.
Following the statutory language, EPA
considers the technological availability
and the economic achievability in
determining what level of control
represents BAT. CWA section
301(b)(2)(A). Other statutory factors that
EPA considers in assessing BAT are the
cost of achieving BAT effluent
reductions, the age of equipment and
facilities involved, the process
employed, potential process changes,
and non-water quality environmental
impacts, including energy requirements
and such other factors as the
Administrator deems appropriate. CWA
section 304(b)(2)(B). The Agency retains
considerable discretion in assigning the
weight to be accorded these factors.
Weyerhaeuser Co. v. Costle, 590 F.2d
1011, 1045 (D.C. Cir. 1978).
4. Best Available Demonstrated Control
Technology (BADCT)/New Source
Performance Standards (NSPS)
NSPS reflect effluent reductions that
are achievable based on the best
available demonstrated control
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technology (BADCT). Owners of new
facilities have the opportunity to install
the best and most efficient production
processes and wastewater treatment
technologies. As a result, NSPS should
represent the most stringent controls
attainable through the application of the
BADCT for all pollutants (that is,
conventional, nonconventional, and
toxic pollutants). In establishing NSPS,
EPA is directed to take into
consideration the cost of achieving the
effluent reduction and any non-water
quality environmental impacts and
energy requirements. CWA section
306(b)(1)(B).
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5. Pretreatment Standards for Existing
Sources (PSES) and New Sources
(PSNS)
As discussed above, section 307(b) of
the Act calls for EPA to issue
pretreatment standards for discharges of
pollutants from existing sources to
POTWs. Section 307(c) of the Act calls
for EPA to promulgate pretreatment
standards for new sources (PSNS). Both
standards are designed to prevent the
discharge of pollutants that pass
through, interfere with, or are otherwise
incompatible with the operation of
POTWs. Categorical pretreatment
standards for existing sources are
technology-based and are analogous to
BPT and BAT effluent limitations
guidelines, and thus the Agency
typically considers the same factors in
promulgating PSES as it considers in
promulgating BAT. See Natural
Resources Defense Council v. EPA, 790
F.2d 289, 292 (3rd Cir. 1986). Similarly,
in establishing pretreatment standards
for new sources, the Agency typically
considers the same factors in
promulgating PSNS as it considers in
promulgating NSPS (BADCT).
C. Oil and Gas Extraction Effluent
Guidelines Rulemaking History
EPA promulgated the first Oil and Gas
Extraction ELGs (40 CFR part 435) in
1979, and substantially amended the
regulation in 1993 (Offshore), 1996
(Coastal), and 2001 (Synthetic-based
drilling fluids). The Oil and Gas
Extraction industry is subcategorized in
40 CFR part 435 as follows: (1) Subpart
A: Offshore; (2) subpart C: Onshore; (3)
subpart D: Coastal; (4) subpart E:
Agricultural and Wildlife Water Use;
and (5) subpart F: Stripper.
The existing subpart C regulation
covers wastewater discharges from field
exploration, drilling, production, well
treatment, and well completion
activities in the oil and gas industry.
Although unconventional oil and gas
resources occur in offshore and coastal
regions, recent development of UOG
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resources in the U.S. has occurred
primarily onshore in regions to which
the regulations in subpart C (Onshore)
and subpart E (Agricultural and Wildlife
Water Use) apply and thus, the gap in
onshore regulations is the focus of this
proposed rulemaking effort. For this
reason, only the regulations that apply
to onshore oil and gas extraction are
described in more detail here.
1. Subpart C: Onshore
Subpart C applies to facilities engaged
in the production, field exploration,
drilling, well completion, and well
treatment in the oil and gas extraction
industry which are located landward of
the inner boundary of the territorial
seas—and which are not included in the
definition of other subparts—including
subpart D (Coastal). The regulations at
40 CFR 435.32 specify the following for
BPT: There shall be no discharge of
waste water pollutants into navigable
waters from any source associated with
production, field exploration, drilling,
well completion, or well treatment (i.e.,
produced water, drilling muds, drill
cuttings, and produced sand). The
existing regulations do not include
national categorical pretreatment
standards for discharges to POTWs. The
existing oil and gas extraction ELGs did
not establish requirements that would
apply to privately-owned wastewater
treatment facilities that accept oil and
gas extraction wastewaters but that are
not engaged in production, field
exploration, drilling, well completion,
or well treatment. Discharges from such
facilities are not subject to 40 CFR part
435, but rather are subject to
requirements in 40 CFR part 437, the
Centralized Waste Treatment Category.
2. Subpart E: Agricultural and Wildlife
Use
Subpart E applies to onshore facilities
located in the continental U.S. and west
of the 98th meridian for which the
produced water has a use in agriculture
or wildlife propagation when
discharged into navigable waters.
Definitions in 40 CFR 435.51(c) explain
that the term ‘‘use in agricultural or
wildlife propagation’’ means that (1) the
produced water is of good enough
quality to be used for wildlife or
livestock watering or other agricultural
uses; and (2) the produced water is
actually put to such use during periods
of discharge. The regulations at 40 CFR
435.52 specify that the only allowable
discharge is produced water, with an oil
and grease concentration not exceeding
35 milligrams per liter (mg/L). The BPT
regulations prohibit the discharge of
waste pollutants into navigable waters
from any source (other than produced
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water) associated with production, field
exploration, drilling, well completion,
or well treatment (i.e., drilling muds,
drill cuttings, produced sands).
D. State Pretreatment Requirements
That Apply to UOG Extraction
Wastewater
In addition to applicable federal
requirements, some states regulate the
management, storage, and disposal of
UOG extraction wastewater, including
regulations concerning pollutant
discharges to POTWs from oil and gas
extraction facilities. In addition to
pretreatment requirements, some states
have indirectly addressed the issue of
pollutant discharges to POTWs by
limiting the management and disposal
options available for operators to use.
During initial development of
Marcellus shale gas resources, some
operators managed UOG wastewater by
transfer to POTWs. EPA did not identify
other areas in the U.S. where POTWs
routinely accepted UOG extraction
wastewaters. Refer to TDD Chapter A.2
which summarizes how Pennsylvania,
Ohio, and West Virginia responded to
UOG extraction wastewater discharges
into their POTWs. EPA did not identify
any state level requirements that require
zero discharges of pollutants from UOG
operations to POTWs in the same
manner as the proposed rule.
E. Related Federal Requirements in the
Safe Drinking Water Act
As required by the SDWA section
1421, EPA has promulgated regulations
to protect underground sources of
drinking water through Underground
Injection Control (UIC) programs that
regulate the injection of fluids
underground. These regulations are
found at 40 CFR parts 144–148, and
specifically prohibit any underground
injection not authorized by UIC permit.
40 CFR 144.11. The regulations classify
underground injection into six classes;
wells that inject fluids brought to the
surface in connection with oil and gas
production are classified as Class II UIC
wells. Thus, onshore oil and gas
extraction facilities that seek to meet the
zero discharge requirements of the
existing ELGs or proposed pretreatment
standard through underground injection
of wastewater must obtain a Class II UIC
permit for such disposal.
IX. Summary of Data Collection
In developing the proposed rule, EPA
considered information collected
through site visits and telephone
contacts with UOG facility operators,
facilities that treat and/or dispose of
UOG extraction wastewater, and
wastewater management equipment
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vendors. EPA also collected information
through outreach to stakeholders
including industry organizations,
environmental organizations, and state
regulators. EPA conducted an extensive
review of published information and
participated in industry conferences and
webinars. The following describes
EPA’s data collection activities that
support the proposed rule.
A. Site Visits and Contacts With
Treatment Facilities and Vendors
EPA conducted seven site visits
between May, 2012 and September,
2013 to UOG extraction companies and
UOG extraction wastewater treatment
facilities. The purpose of these visits
was to collect information about facility
operations, wastewater generation and
management practices, and wastewater
treatment and reuse. Six of the seven
visits were to facilities in Pennsylvania,
and one was in Arkansas, however,
information collected often covered
operations beyond just those visited
during the site visits, at times including
company operations in many UOG
formations across the U.S. In addition to
site visits, EPA conducted 11 telephone
conferences or meetings with UOG
operators and facilities that treat and/or
dispose of UOG extraction wastewater.
EPA collected detailed information from
the facilities visited and contacted, such
as information about the operations
associated with wastewater generation,
wastewater treatment, and reuse. EPA
also contacted 11 vendors of equipment
and processes used to manage and treat
UOG extraction wastewater. EPA
prepared site visit and telephone
meeting reports, and telephone call
reports summarizing the collected
information. EPA has included in the
public record site visit reports, meeting
reports, and telephone contact reports
that contain all information collected for
which facilities have not asserted a
claim of CBI.
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B. Meetings With Stakeholder
Organizations
Since announcing initiation of this
proposed rulemaking activity, EPA has
actively reached out to interested
stakeholders to solicit input from well
operators, industry trade associations,
interested regulatory authorities,
technology vendors, and environmental
organizations. Stakeholder involvement
in the regulatory development process is
essential to the success of this effort.
EPA will continue to engage with the
affected regulated sector and concerned
stakeholders throughout the rulemaking
process.
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1. Stakeholder Organizations
In addition to the site visit related
activities described above, EPA
participated in multiple meetings with
industry stakeholders, their
representatives, and/or their members,
including America’s Natural Gas
Alliance (ANGA), American Petroleum
Institute (API) and the Independent
Petroleum Association of America
(IPAA). The purpose of the meetings
was to discuss EPA’s thinking
concerning a pretreatment standard for
the UOG extraction industry, to better
understand industry wastewater
management practices, and to gather
information to inform its proposed
rulemaking (see DCN SGE00967).
EPA participated in conference calls
with the environmental stakeholders,
Environmental Defense Fund (EDF) and
Clean Water Action. The purpose of
these meetings was to explain EPA’s
thinking about the standard under
development and learn about the
perspectives of these stakeholders
regarding wastewater management in
the UOG extraction industry.
EPA participated in a two conference
calls with the Center for Sustainable
Shale Development (CSSD), a
collaborative group made up of
environmental organizations,
philanthropic foundations, and energy
companies from the Appalachian Basin.
The purpose of these calls was to learn
about the performance standards under
development by the CSSD for
sustainable shale gas development,
based on an ‘‘independent, third-party
evaluation process.’’
2. State Stakeholders
In an effort to improve future
implementation of any UOG regulation,
EPA initiated an EPA-State
implementation pilot project
coordinated by the Environmental
Council of States (ECOS) and the
Association of Clean Water
Administrators (ACWA) to draw on
experience of state agency experts.
Through this pilot project, EPA has been
able to more thoroughly consider the
strengths and weaknesses of different
approaches in order to select one that
produces environmental results while
more fully considering implementation
burden. This pilot effort with the states
has also been an opportunity to hear
ideas on how technology innovation can
be fostered during both development
and implementation of the regulation.
In addition to the state
implementation pilot, EPA also reached
out to EPA regional, as well as state,
pretreatment coordinators. One way
EPA did this was by participating in
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calls, where EPA staff learned about
past or present discharges to POTWs
from UOG operations. See DCN
SGE00742; DCN SGE00743.
C. Secondary Data Sources
EPA conducted an extensive search
and review of published information
about UOG development, wastewater
generation and management practices,
and wastewater treatment, disposal, and
reuse. Because of the rapid
developments in the UOG industry, in
addition to reviewing published
information, EPA participated in more
than 10 industry conferences and
webinars between March 2012 and June
2014. Presenters at these conferences
provided information about current
industry wastewater management
practices. EPA also obtained
information from EPA Regions and
states. EPA Region 3 provided
information about the development of
the Marcellus shale gas industry and
disposal of shale gas wastewater,
including discharges to POTWs.
D. Drilling Info Desktop® Data Set
EPA used a propriety database of all
oil and gas wells in the U.S., called DI
Desktop®, obtained from DrillingInfo.
This comprehensive database includes
information such as well API number,
operator name, basin (e.g., Western
Gulf), formation (e.g., Eagle Ford), well
depth, drilling type (horizontal,
directional, vertical), and completion
date. It also includes annual oil, gas,
and water production for each well.
EPA primarily used this database to
quantify and identify locations of
existing UOG wells, quantify
wastewater generation rates, and
supplement geological information (e.g.,
basin, formation) in other data sources.
E. EPA Hydraulic Fracturing Study
At the request of Congress, EPA’s
Office of Research and Development is
conducting a study to better understand
any potential impacts of hydraulic
fracturing on drinking water resources.
The scope of the research includes the
full lifecycle of water in hydraulic
fracturing, including wastewater
management and disposal. In support of
its study, EPA conducted a series of
technical workshops, including, among
others, a workshop on Wastewater
Treatment and Related Modeling. In
support of the proposed rule, EPA
reviewed information collected in
support of the Congressionallymandated study and attended meetings,
workshops, and roundtable discussions
pertaining to water and wastewater
management and treatment in the UOG
extraction industry. See DCN SGE00063,
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DCN SGE00585, DCN SGE00604, DCN
SGE00614, DCN SGE00616, DCN
SGE00691, and DCN SGE00721.
X. Description of the Oil and Gas
Industry
Oil and Gas Extraction is the
exploration and production of crude oil
and natural gas from wells. Refer to
Section XII for additional background
on unconventional gas resources,
extraction processes, and wastewater
generation. As explained previously, the
scope of this proposed rulemaking is
limited to pretreatment standards for
wastewater generated from
unconventional, rather than
conventional, oil and gas extraction
facilities. The description here provides
a broader description of the oil and gas
industry in order to provide the context
in which the UOG industry lies.
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A. Economic Profile
The major products of the Oil and Gas
Extraction Industry are petroleum,
natural gas, and natural gas liquids.3
Domestic consumption of crude oil and
petroleum products is met by a
combination of domestic production
and imports. Like oil consumption,
natural gas consumption is met both by
domestic production and imports of
natural gas, although imports contribute
a much lower share of total domestic
consumption for natural gas than for oil.
Domestic consumption of natural gas
rose throughout the 1980s and 1990s
due to low prices relative to prices for
oil products. This led to investments in
infrastructure for natural gas, especially
electric generation facilities (DCN
SGE00809). According to 2012 Energy
Information Administration (EIA) data,
8 percent of the gross domestic supply
of natural gas (from domestic
production and imports) was consumed
in the natural gas production and
delivery process, as lease and plant fuel
(5 percent of total) and fuel for pipeline
and distribution services (3 percent of
total) (DCN SGE00906). The remaining
92 percent of gross supply is available
to natural gas consumers, and was
delivered to the following sectors:
Electrical power (36 percent of total),
industrial (28 percent of total),
residential (16 percent of total),
commercial (11 percent of total), and
vehicle fuel (0.1 percent of total) (DCN
SGE00906).
3 Natural gas can include ‘‘natural gas liquids’’
(NGLs), components that are liquid at ambient
temperature and pressure. NGLs are
hydrocarbons—in the same family of molecules as
natural gas and crude oil, composed exclusively of
carbon and hydrogen. Ethane, propane, butane,
isobutane, and pentane are all NGLs.
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Natural gas can be produced both
from conventional natural gas deposits
and unconventional deposits. Natural
gas, and especially unconventional
natural gas, has become increasingly
significant to the U.S. energy economy.
The rising importance of natural gas
results, in part, from its lower air
pollution characteristics compared to
other fossil fuels; its substantial, and
increasing, domestic supply; and the
presence of a well-developed processing
and transmission/distribution
infrastructure in the U.S. (DCN
SGE00010). Increased natural gas
production from shale formations also
has the potential to reduce U.S.
dependence on energy-related imports.
Between 2000 and 2012, total
marketed production of natural gas in
the U.S. as a whole grew by another 25
percent, with an average annual growth
rate of 0.8 percent (DCN SGE00908).
The sharp rise in production of shale
gas contributed to a lower price of
natural gas, thereby increasing the gap
between prices of gas and oil, which
made oil a relatively more attractive
option for producers. Beginning in 2005,
the disparity between oil and natural
gas prices started to grow as oil prices
continued to rise while natural gas
prices declined. Many firms that
produce both gas and oil began to focus
on acquisition of, and production from,
liquids-rich formations over natural gas
production (DCN SGE00817, DCN
SGE00832).
Overall, domestic crude oil
production steadily declined between
2000 and 2008, while steadily
increasing after that. This shift towards
liquids production is evident in the
sharp rise in production from tight oil
resources, including shale, beginning in
2008. From 2007 to 2013, the EIA
estimated that tight oil production
increased 10-fold, from 0.34 to 3.48
million barrels per day (DCN
SGE00902). Future domestic demand for
liquid fuels will depend on the future
level of activities dependent on liquid
fuels, such as transportation. Demand
will also be affected by the fuel
efficiency of the consumption
technology. The transportation sector
will continue to account for the largest
share of total consumption despite its
share of total consumption falling due to
improvements in vehicle efficiency. The
industrial sector is the only end-use
sector likely to see an increase in
consumption of petroleum and liquids
(DCN SGE00913).
While oil and natural gas are often
considered together, the way in which
prices are set for each greatly differs.
While the price of oil is set at the global
level, natural gas prices for the U.S. tend
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to be set regionally. In recent years, the
ratio of oil prices to natural gas prices
has reached historically high levels
(DCN SGE00547). While these two
products have some commonalities in
their uses, oil and gas are not perfect
substitutes as they require different
transportation and processing
infrastructure, and have a number of
differentiated uses.
EPA gathered information on the
industry via the NAICS, which is a
standard created by the U.S. Census for
use in classifying business
establishments within the U.S.
economy. The industry category that
would be affected by this proposed rule
is Oil and Gas Extraction Industry
(NAICS 21111). This industry has two
subcategories: (1) Crude Petroleum and
Natural Gas Extraction (NAICS 211111),
which is made up of facilities that have
wells with petroleum or natural gas or
produce crude petroleum from surface
shale or tar sands, and Natural Gas
Liquid Extraction (NAICS 211112),
which recover liquid hydrocarbons from
oil and gas field gases and sulfur from
natural gas.
B. Industry Structure and Economic
Performance
According to data from the Statistics
of U.S. Businesses (SUSB), in 2011 there
were 6,528 firms under the overall oil
and gas extraction sector. This reflects a
total 2 percent growth from 2000 to
2011 and an average annual growth rate
of 0.2 percent. The Crude Petroleum and
Natural Gas Extraction segment
contributed 6,523 (or 99%) firms to the
total Oil and Gas Extraction sector, and
the Natural Gas Liquid Extraction
segment contributed 136 (less than 1%)
firms to the overall sector. Although the
Natural Gas Liquid Extraction segment
is much smaller in numbers compared
to the Crude Petroleum and Natural Gas
Extraction segment, the total percent
change in number of firms from 2000 to
2011 is much higher for natural gas
liquids extraction at 62% as compared
to 2% for crude petroleum and natural
gas extraction. If the ratio of oil-tonatural gas prices remains high, there
could be a shift towards drilling in
liquids-rich shale formations, making
this sector increasingly important to oil
and gas extraction firms (DCN
SGE00832; DCN SGE00807; DCN
SGE00817; DCN SGE00921).
In 2011, 99% of the Oil and Gas
Extraction Industry was estimated to be
small businesses when using the Small
Business Administration definition of a
small business as having 500 or fewer
employees. Average revenues for firms
for the overall oil and gas extraction
sector in 2007 were estimated at $54
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million. This is an average revenue of
$46 million per firm in the crude
petroleum and natural gas extraction
segment, and average revenue of $414
million per firm in the natural gas liquid
extraction segment. The oil and gas
extraction sector overall has an average
of 18 employees per firm. Breaking it
out per segment, the natural gas liquid
extraction segment has an average of 74
employees per firm, whereas the crude
petroleum and natural gas extraction
segment shows an average of 17
employees per firm. See the Industry
Profile (DCN SGE00932) for more
information.
The oil market is a globally integrated
market with multiple supply sources
that are connected to multiple markets.
Because of the Organization of
Petroleum Exporting Countries’
(OPEC’s) high accounting of global oil
reserves, OPEC is able to place producer
quotas on members in an effort to
manage world oil prices. Other oil
producers have relatively smaller
reserves and have no influence,
individually, on price (DCN SGE00854).
On the other hand, global oil prices are
also greatly influenced by global
demand for oil, with the largest sources
of demand being the U.S. and China
(DCN SGE00854). While the U.S. is also
one of the largest crude oil producers,
it remains a major importer (demander)
of oil; as a result the level of U.S.
imports can significantly influence oil
prices. The recent upsurge in U.S. oil
production, largely from tight and shale
oil resources, with a consequent decline
in U.S. imports, has exerted downward
pressure on international oil prices.
In North America, specifically within
the U.S., there is a relatively mature,
integrated natural gas market with a
robust spot market for the natural gas
commodity. Essentially, the spot market
is the daily market, where natural gas is
bought and sold for immediate delivery.
For understanding the price of natural
gas on a specific day, the spot market
price is most informative. In U.S.
natural gas markets, natural gas spot
prices are determined by overall supply
and demand (DCN SGE00547).
Large volume consumers of natural
gas, mainly industrial consumers and
electricity generators, generally have the
ability to switch between oil and natural
gas. When the price of gas is low
relative to oil, these consumers could
switch to gas, increasing demand for
natural gas and increasing gas prices.
Alternatively, when gas prices are high,
demand could shift in the opposite
direction causing a relative decrease in
natural gas prices (DCN SGE00921).
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C. Financial Performance
EPA reviewed financial performance
of UOG extraction firms and other oil
and gas firms. EPA found no
deterioration in financial performance
and conditions for UOG firms over the
previous decade, and this suggests that
UOG firms are well-positioned for
continued investment in UOG
exploration and development. The
strong growth in revenue and total
capital outlays by the UOG firms during
the latter part of the last decade—which
coincides with the growth in UOG
exploration and production activity—
underscores the economic opportunity
provided by the emerging UOG resource
and the industry’s commitment to
investing and producing UOG for the
foreseeable future. See the Industry
Profile (DCN SGE00932) for more
information.
XI. Scope
Through the proposed rule, EPA is
not reopening the regulatory
requirements applicable to direct
dischargers. Rather, EPA would amend
subpart C only to add requirements for
indirect dischargers where there
currently are none: Specifically,
pretreatment standards for facilities
engaged in oil and gas extraction from
UOG sources that send their discharges
directly to POTWs. For purposes of this
proposed rulemaking, EPA proposes to
define ‘‘unconventional oil and gas
(UOG)’’ as ‘‘crude oil and natural gas 4
produced by a well drilled into a low
porosity, low permeability formation
(including, but not limited to, shale gas,
shale oil, tight gas, tight oil).’’ As a point
of clarification, although coalbed
methane would fit this definition, the
proposed pretreatment standards would
not apply to pollutant discharges to
POTWs associated with coalbed
methane extraction. EPA notes that the
requirements in the existing effluent
guidelines for direct dischargers also do
not apply to coalbed methane
extraction, as this industry did not exist
at the time that the effluent guidelines
were developed and was not considered
by the Agency in establishing the
effluent guidelines (DCN SGE00761). To
reflect the fact that neither the proposed
pretreatment standards nor the existing
effluent guideline requirements apply to
coalbed methane extraction, EPA is
expressly reserving a separate
unregulated subcategory for coalbed
methane in the proposed rule. For
information on coalbed methane, see
https://water.epa.gov/scitech/wastetech/
4 Natural gas can include ‘‘natural gas liquids,’’
components that are liquid at ambient temperature
and pressure.
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guide/oilandgas/cbm.cfm. The
remainder of the information presented
in this document is specific to the UOG
resources subject to the proposed rule.
XII. Unconventional Oil and Gas
Extraction: Resources, Process, and
Wastewater
A. Unconventional Oil and Gas
Extraction Resources
For purposes of the proposed rule,
UOG consists of crude oil and natural
gas 5 produced by wells drilled into
formations with low porosity and low
permeability. UOG resources include
shale oil and gas, resources that were
formed, and remain, in low permeability
shale. UOG resources also include tight
oil and gas, resources that were formed
in a source rock and migrated into a
reservoir rock such as sandstone,
siltstones, or carbonates. The tight oil/
gas reservoir rocks have permeability
and porosity lower than reservoirs of
conventional oil and gas resources but
with permeability generally greater than
shale. As described above, while
coalbed methane is sometimes referred
to as an unconventional resource, the
proposed rule does not apply to this
industry.
B. Unconventional Oil and Gas
Extraction Process
1. Well Drilling
Prior to the well development
processes described in the following
subsections, operators conduct
exploration and obtain surface use
agreements, mineral leases, and permits.
These steps can take a few months to
several years to complete. When
completed, operators construct the well
pad and begin the well development
process, as described in the following
subsections.
Drilling occurs in two phases:
exploration and development.
Exploration activities are those
operations involving the drilling of
wells to locate hydrocarbon bearing
formations and to determine the size
and production potential of
hydrocarbon reserves. Development
activities involve the drilling of
production wells once a hydrocarbon
reserve has been discovered and
delineated.
Drilling for oil and gas is generally
performed by rotary drilling methods,
which involve the use of a circularly
rotating drill bit that grinds through the
earth’s crust as it descends. Drilling
fluids (muds) are injected down through
5 Natural gas can include ‘‘natural gas liquids,’’
components that are liquid at ambient temperature
and pressure.
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the drill bit via a pipe that is connected
to the bit, and serve to cool and
lubricate the bit during drilling. Drilling
fluids can be water or synthetic based.
Synthetic-based drilling fluids are also
referred to as non-aqueous drilling
fluids. Air is also used in place of water
or synthetic based drilling fluids for the
vertical phase of wells. The rock chips
that are generated as the bit drills
through the earth are termed drill
cuttings. The drilling fluid also serves to
transport the drill cuttings back up to
the surface through the space between
the drill pipe and the well wall (this
space is termed the annulus), in
addition to controlling downhole
pressure. As drilling progresses, pipes
called ‘‘casing’’ are inserted into the
well to line the well wall. Drilling
continues until the hydrocarbon bearing
formations are encountered.
In UOG resources, the crude oil and
natural gas often occur continuously
within a formation. As a result, UOG
drilling often employs ‘‘horizontal
drilling.’’ Horizontal drilling involves a
sequence of drilling steps: (1) Vertical
(described above) and (2) horizontal. In
horizontal drilling, operators drill
vertically down to a desired depth,
about 500 feet above the target
formation (called the ‘‘kickoff point’’),
and then gradually turn the drill
approximately 90 degrees to continue
drilling laterally continuously through
the target formation. UOG wells are also
drilled vertically or directionally,6
depending on the characteristics of the
formation. Directional drilling is a
technique used to drill a wellbore at an
angle off of the vertical to reach an end
location not directly below the well pad;
horizontal drilling is considered a type
of directional drilling. In UOG well
drilling, well depths range from
approximately 1,000 to 13,500 feet deep
(but the majority of wells are drilled
between 6,000 and 12,000 feet), wells
often have a long horizontal lateral
which can vary in length between 1,000
and 5,000 feet, and it takes
approximately 5 to 60 days to complete
well drilling. See TDD, Chapter B.3.
rljohnson on DSK3VPTVN1PROD with PROPOSALS
2. Well Completion
Once the target formation has been
reached, and a determination has been
made as to whether or not the formation
has commercial potential, the well is
made ready for production by a process
termed ‘‘well completion.’’ Well
completion involves cleaning the well
to remove drilling fluids and debris,
6 Shale oil and gas wells, are primarily drilled
directionally (and specifically horizontally), while
tight oil and gas wells are drilled vertically and
directionally.
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perforating the casing that lines the
producing formation 7, inserting
production tubing to transport the
hydrocarbon fluids to the surface,
installing the surface wellhead,
stimulating the well, setting plugs in
each stage, and eventually drilling the
plugs out of the well and allowing fluids
to return to the surface. During
perforation, operators lower a
perforation gun into the stage using a
line wire. The perforation gun releases
an explosive charge to create holes that
penetrate approximately one foot into
the formation rock in a radial fashion.
These perforations create a starting
point for the hydraulic fractures.
Since UOG resources are extracted
from formations with low porosity and
low permeability in which the natural
reservoir and fluid characteristics do not
permit the oil and/or natural gas to
readily flow to the wellbore, hydraulic
fracturing is often used to complete the
well and extract UOG resources.8
Although there are some vertical and
directional UOG wells that are
hydraulically fractured, existing
literature indicates that the majority of
UOG wells are horizontally drilled and
hydraulically fractured. Therefore, the
remainder of this discussion focuses on
the hydraulic fracturing of horizontally
drilled UOG wells; however, all drill
types (including vertical and
directional) would be covered by this
proposed rule.
Hydraulic fracturing involves the
injection of fracturing fluids (e.g.,
mixtures of water, sand, and other
additives) at high pressures into the
well to create small fractures in the rock
formation. The primary component of
fracturing fluid is the base fluid into
which proppant (e.g., sand) and
chemicals are added. Currently, the
most common base fluid is water;
however, other fluids such as liquid
nitrogen and propane (LPG) are also
used. Historically, base fluid consisted
exclusively of freshwater, but as more
wastewater is increasingly reused/
recycled, base fluid can contain
mixtures of fresh water blended with
reused/recycled UOG extraction
wastewater. Chemical additives, used to
adjust the fracturing fluid properties,
vary according to the formation, target
7 In some instances, open-hole completions may
be used, where the well is drilled into the top of
the target formation and casing is set from the top
of the formation to the surface. Open-hole well
completions leave the bottom of the wellbore
uncased.
8 Hydraulic fracturing techniques are also often
used to improve recovery from conventional oil and
gas wells. However, the scope of this section is
focused on UOG extraction, therefore, the
application of this process to conventional wells is
not further discussed here.
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resource (e.g., shale oil), chemical
composition of base fluid (e.g., volume
of reused/recycled wastewater in base
fluid), and operator preference (DCN
SGE00721; DCN SGE00070; DCN
SGE00780; DCN SGE00781). Additives
commonly include, among other things,
acids (e.g., hydrochloric acid), biocides
(e.g., glutaraldehyde), friction reducers
(e.g., ethylene glycol, petroleum
distillate), and gelling agents (e.g., guar
gum, hydroxyethyl cellulose) (DCN
SGE00721; DCN SGE00070; DCN
SGE00780; DCN SGE00781). See TDD,
Chapter C.1.
The amount of fracturing fluid
required per well typically depends on
the well trajectory (e.g., vertical,
horizontal), well length, and target
resource (e.g., shale oil). UOG wells
require between 50,000 to over ten
million gallons of fracturing fluid per
well (DCN SGE00532; DCN SGE00556;
DCN SGE00637.A3). Operators typically
fracture a horizontal well in eight to 23
stages using between 250,000 and
420,000 gallons (6,000 and 10,000
barrels) of fracturing fluid per stage
(DCN SGE00280). Literature reports that
tight oil and gas wells typically require
less fracturing fluid than shale oil and
gas wells (DCN SGE00533).
Because laterals in horizontally
drilled UOG wells are between 1,000
and 5,000 feet long, operators typically
hydraulically fracture horizontal wells
in stages to maintain the high pressures
necessary to stimulate the well over the
entire length. Stages are completed
starting with the stage at the end of the
wellbore and working back towards the
wellhead.9 Operators use anywhere
between eight and 23 stages (DCN
SGE00280). A fracturing crew can
fracture two to three stages per day
when operating 12 hours per day or four
to five stages per day when operating 24
hours per day.10 Consequently, a typical
well can take between two and seven
days to complete (DCN SGE00239; DCN
SGE00090).
Once the stage is hydraulically
fractured, a stage plug is inserted down
the wellbore separating it from
additional stages until all stages are
completed. After all of the stages have
been completed, the plugs are drilled
out of the wellbore allowing the
fracturing fluids and other fluids to
return to the surface. At the wellhead,
9 The first stage is fractured with what is known
as the pad fracture. The pad is the injection of high
pressure water and chemical additives (no
proppant) to create the initial fractures into the
formation. After the pad is pumped down hole,
proppant is introduced to the fracturing fluid for
the additional stages.
10 The hours per day depends on the operator,
local ordinances, and weather.
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a combination of liquid (produced
water), sand, oil, and/or gas are routed
through phase separators that separate
products from wastes.
A portion of produced water can
return to the wellhead at this time; this
waste stream is often referred to as
‘‘flowback’’ and consists of the portion
of fracturing fluid injected into the
wellbore that returns to the surface
during initial well depressurization
often combined with formation water.11
Higher volumes of water are generated
in the beginning of the flowback
process. Over time, flowback rates
decrease as the well goes into the
production phase. Operators typically
store flowback in 500 barrel fracturing
tanks onsite before treatment or
transport offsite.12 In addition to
flowback, small quantities of oil and/or
gas can be produced during the initial
flowback process. The small quantities
of produced gas could be flared or
captured if the operator is using ‘‘green
completions’’, which involves capturing
the gas rather than flaring.13
The flowback period typically lasts
from a few days to a few weeks before
the production phase commences (DCN
SGE00010; DCN SGE00011; DCN
SGE00622; DCN SGE00592; DCN
SGE00286). At some wells, the majority
of fracturing fluid can be recovered
within a few hours (DCN SGE00010;
DCN SGE00011; DCN SGE00622; DCN
SGE00592; DCN SGE00286). See TDD,
Chapter B.3.
rljohnson on DSK3VPTVN1PROD with PROPOSALS
3. Production
After the initial flowback period, the
well begins producing oil and/or gas;
this next phase is referred to as the
production phase. During the
production phase, UOG wells produce
oil and/or gas and generate long-term
produced water. Long-term produced
water, generated during the well
production phase after the initial
flowback process, consists primarily of
formation water and continues to be
produced throughout the lifetime of the
well, though typically at much lower
rates than flowback (DCN SGE00592).
This long-term produced water is
typically stored onsite in tanks or pits
11 Formation water is naturally occurring water
contained in the reservoir rock pores.
12 Fracturing tanks cannot be transported when
they contain wastewater. Wastewater is typically
transported via trucks with approximately 100 to
120 barrel capacities or via pipe (DCN SGE00635).
13 On April 17, 2012, the U.S. EPA issued
regulations under the Clean Air Act, requiring the
natural gas industry to reduce air pollution by using
green completions, or reduced emission
completions. EPA identified a transition period
until January 1, 2015 to allow operators to locate
and install green completion equipment (40 CFR
part 60 and 63).
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(DCN SGE00280; DCN SGE00275; DCN
SGE00636) and is periodically trucked,
or sometimes piped, offsite for
treatment, reuse, or disposal. See TDD,
Chapter B.3.
therefore, these wastewaters are
described further below.
1. Drilling Wastewater
UOG extraction wastewater, as EPA
proposes to define it (see Section VII.B.)
includes the following sources of
wastewater pollutants: 14
• Produced water—the water (brine)
brought up from the hydrocarbonbearing strata during the extraction of
oil and gas. This can include formation
water, injection water, and any
chemicals added downhole or during
the oil/water separation process. Based
on the stage of completion and
production the well is in, produced
water can be further broken down into
the following components:
Æ Flowback—After the hydraulic
fracturing procedure is completed and
pressure is released, the direction of
fluid flow reverses, and the fluid flows
up through the wellbore to the surface.
The water that returns to the surface is
commonly referred to as ‘‘flowback.’’
Æ Long-term produced water—This is
the wastewater generated by UOG wells
during the production phase of the well
after the flowback process. Long-term
produced water continues to be
produced throughout the lifetime of the
well.
• Drilling wastewater, including
pollutants from:
Æ Drill cuttings—The particles
generated by drilling into subsurface
geologic formations and carried out
from the wellbore with the drilling
fluid.
Æ Drilling muds—The circulating
fluid (mud) used in the rotary drilling
of wells to clean and condition the hole
and to counterbalance formation
pressure.
• Produced sand—The slurried
particles used in hydraulic fracturing,
the accumulated formation sands and
scales particles generated during
production. Produced sand also
includes desander discharge from the
produced water waste stream, and
blowdown of the water phase from the
produced water treating system.
EPA identified drilling wastewater
and produced water as the major
sources of wastewater pollutants
associated with UOG extraction,
As discussed in Section XII.B.1.,
operators inject drilling fluids down the
well bore during drilling to cool the
drill bit and to remove fragments of rock
(drill cuttings) from the wellbore (DCN
SGE00090; DCN SGE00274). Drilling
fluid can be water or synthetic based.
Air has recently been used in place of
drilling fluids in the vertical phase of
wells. Operators can use a combination
of drilling fluids and air during the
drilling process of a single well. The
drilling fluid used depends on the
properties of the formation, the depth,
and associated regulations, safety, and
cost considerations (DCN SGE00090;
DCN SGE00635; TDD Chapter B.3).
When returned to the surface, ground
rock removed from the wellbore (drill
cuttings) is entrained in the drilling
fluid. Operators separate the solids from
the drilling fluid on the surface, striving
to remove as much solids (drill cuttings)
from the drilling fluid as possible. The
separation process generates two
streams: a solid waste stream referred to
as drill cuttings and a liquid waste
stream referred to as drilling
wastewater. Operators typically transfer
their drill cuttings to a landfill (DCN
SGE00090; DCN SGE00635). Drilling
wastewater is often reused/recycled
until well drilling is complete (though
in some cases it is processed for
discharge and/or disposal).
At the end of drilling, operators use
a variety of practices to manage drilling
wastewater, primarily reuse/recycle in
drilling subsequent wells. The following
list presents drilling wastewater
management options used by UOG
operators (DCN SGE00740):
• Reuse/recycle wastewater in
subsequent drilling and/or fracturing
jobs 15
• Disposal via landfill 16
• Disposal via underground injection
wells
• Land application
• Transfer wastewater to a centralized
waste treatment (CWT) facility
• On-site burial 16
Nearly all of the volume of drilling
fluid circulated during drilling is
recovered as drilling wastewater and
requires management. Typical drilling
wastewater volumes for UOG drilling
14 Stormwater is not considered a source of UOG
extraction wastewater. In general, no permit is
required for discharges of stormwater from any field
activities or operations associated with oil and gas
production, except as specified in 40 CFR
122.26(c)(1)(iii) for discharges of a reportable
quantity or that contribute to a violation of a water
quality standard.
15 Synthetic fluids, which are more expensive
than water-based drilling fluid, are almost always
reused/recycled in drilling additional wells.
16 Burial and landfill disposal options are
generally limited to ‘‘semisolid’’ waste.
Solidification processes may occur prior to
transferring the waste to the landfill or they may
occur at the landfill. (DCN SGE00139).
C. UOG Extraction Wastewater
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vary from 100,000 to 300,000 gallons
per well depending primarily on
vertical depth, horizontal length, and
the well bore diameter (DCN
SGE00740).
2. Produced Water
a. Flowback
As explained above, the portion of
produced water that returns to the
wellhead after the plugs are drilled out
of the wellbore is often referred to as
‘‘flowback’’ and the largest daily volume
of produced water generated occurs
during the flowback period. Over time,
flowback rates decrease as the well
begins to produce oil and gas. Initially,
flowback has characteristics that can
resemble the fracturing fluid. During the
flowback period, the generated
wastewater increasingly resembles
characteristics of the underlying
formation.
The volume of flowback produced by
a well varies, and it is often looked at
in relation to the volume of the
fracturing fluid used to fracture the well
(as explained in Section XII.B.2. above,
fracturing fluid volumes used depend
on many factors, including the total
number of stages drilled). Flowback
recovery percentages also vary due to
factors such as resource type (e.g., shale
oil) and well trajectory and have been
documented anywhere between 3 and
75 percent of the volume of the
fracturing fluid injected, with median
flowback recovery between 4 and 29
percent (DCN SGE00724). These percent
recoveries can result in total flowback
volumes ranging from less than 210,000
gallons per well to more than 2,100,000
gallons per well (5,000 to 50,000 barrels
per well) (DCN SGE00724). See TDD,
Chapter C. 2.
b. Long-term Produced Water
After flowback generation, long-term
produced water is generated during the
well production phase. Long-term
produced water has characteristics that
primarily reflect the formation. The
long-term produced water flow rate
from a UOG well gradually decreases
over time. In addition, the amount of
produced water generated per well
varies by formation. Median long-term
produced water flow rates vary by
resource type (e.g., shale oil) and well
trajectory and can be between 200 and
800 gallons per day (4.8 to 19 barrels per
day), depending on well trajectory,
formation type and well age (DCN
SGE00635; DCN SGE00724). See TDD,
Chapter C.2.
D. UOG Extraction Wastewater
Characteristics
wastewater. Produced water data
included measurements of TDS, anions/
cations, metals, hardness, radioactive
constituents, and organics. The
characteristics of UOG produced water
vary primarily depending on the
characteristics of the UOG formation
(DCN SGE00090). Drilling wastewater
characterization data included
suspended solids, salts, metals, and
organics. Because drilling wastewater is
typically recycled/re-used for drilling
another well, detailed pollutant specific
information is less readily available for
drilling wastewater than for produced
water. As such, the remainder of this
section is specific to produced water.17
1. TDS and TDS-Contributing Ions
TDS provides a measure of the
dissolved matter, including salts (e.g.,
sodium, chloride, nitrate), organic
matter, and minerals (DCN SGE00046).
TDS is not a specific chemical, but is
defined as the portion of solids that pass
through a filter with a nominal pore size
of 2.0 micron (mm) or less (EPA Method
160.1). Table XII–1. shows ranges and
median TDS concentrations associated
with various shale and tight oil and gas
formations.
EPA reviewed published
characterization data for UOG extraction
TABLE XII–1—CONCENTRATIONS OF TDS IN PRODUCED WATERS IN VARIOUS UOG FORMATIONS
Shale/tight oil and gas formation
TDS concentration
range
(mg/L)
Bakken ......................................................................................................................
Barnett ......................................................................................................................
Bradford-Venango-Elk (Tight) ..................................................................................
Cleveland (Tight) ......................................................................................................
Cotton Valley/Bossier (Tight) ...................................................................................
Dakota (Tight) ...........................................................................................................
Devonian ..................................................................................................................
Eagle Ford ................................................................................................................
Fayetteville ...............................................................................................................
Haynesville/Bossier ..................................................................................................
Marcellus ..................................................................................................................
Mississippi Lime (Tight) ............................................................................................
New Albany ..............................................................................................................
Niobrara ....................................................................................................................
Pearsall .....................................................................................................................
Spraberry (Tight) ......................................................................................................
Utica .........................................................................................................................
Woodford-Cana-Caney .............................................................................................
TDS median
concentration
(mg/L)
98,000–220,000 ....
25,000–150,000 ....
32,000–400,000 ....
84,000–220,000 ....
110,000–230,000 ..
2,900–7,700 ..........
320–250,000 .........
3,700–89,000 ........
13,000–57,000 ......
110,000–120,000 ..
680–350,000 .........
...............................
...............................
39,000–140,000 ....
300,000–380,000 ..
58,000–160,000 ....
6,500–44,000 ........
14,000–110,000 ....
150,000
50,000
180,000
120,000
170,000
6,000
130,000
21,000
25,000
120,000
92,000
150,000
88,000
100,000
370,000
130,000
16,000
36,000
Number of data
points
13
40
5
11
3
3
11
1,648
6
2
383
1
1
8
3
26
8
8
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Source: See TDD, Chapter C.3.
Salts are the majority of TDS in UOG
produced water, and sodium chloride
constitutes approximately 50 percent of
the TDS in UOG produced water (DCN
SGE00046). In addition to sodium and
chloride, UOG produced water typically
contains divalent cations such as
calcium, strontium, magnesium, and, in
some formations, barium and radium.
Other ions such as potassium, bromide,
fluoride, nitrate, nitrite, phosphate, and
sulfate can also contribute to TDS in
UOG produced water. Metals, other than
those contributing to TDS (e.g., calcium,
magnesium, strontium), are typically
17 As explained above, produced water includes
both flowback and long-term produced water.
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not found in high concentrations in
UOG produced water. Table XII–2.
presents ranges and median
concentrations of TDS and TDS-
contributing ions in UOG produced
water. Based on available data,
concentrations of TDS and TDScontributing ions, including divalent
cations, typically increase from
flowback to long-term produced water.
See TDD, Chapter C.3.
TABLE XII–2—CONCENTRATIONS OF TDS AND TDS-CONTRIBUTING IONS IN UOG PRODUCED WATERS
Constituent
Concentration
range
(mg/L)
TDS ..........................................................................................................................
Chloride ....................................................................................................................
Sodium .....................................................................................................................
Calcium .....................................................................................................................
Strontium ..................................................................................................................
Magnesium ...............................................................................................................
Bromide ....................................................................................................................
Potassium .................................................................................................................
Barium ......................................................................................................................
Sulfate ......................................................................................................................
Phosphate ................................................................................................................
Nitrate .......................................................................................................................
Nitrite ........................................................................................................................
Fluoride .....................................................................................................................
Median
concentration
(mg/L)
20–400,000 ...........
64–230,000 ...........
64–98,000 .............
13–34,000 .............
0–8,000 .................
3–15,000 ...............
0.2–4,300 ..............
0–5,800 .................
0–16,000 ...............
0–3,400 .................
12–88 ....................
5–10 ......................
...............................
0.045–390 .............
Number of data
points
110,000
48,000
25,000
3,400
580
570
540
290
100
71
12
5
5
2.5
2,223
2,063
1,913
2,068
207
2,030
119
344
289
1,585
3
3
2
99
Source: See TDD, Chapter C.3.
2. Organic Constituents
Organic constituents in UOG
produced water can originate from both
the fracturing fluid that is injected down
the wellbore and from the UOG
formation itself. Organic constituents
and hydrocarbons in UOG produced
water appear to be less frequently
sampled in comparison to the welldocumented TDS concentrations. EPA
has reviewed available data on organic
pollutants in produced water and found
a range of pollutant concentrations:
phenol (0.7 to 460 parts per billion
(ppb)), pyridine (1.1 to 2,600 ppb),
benzene (0.99 to 800,000 ppb), ethyl
benzene (0.63 to 650 ppb), toluene (0.91
to 1,700,000 ppb), and total xylenes (3
to 440,000 ppb) (DCN SGE00724). See
TDD, Chapter C.3.
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3. Radioactive Constituents
Oil and gas formations contain
varying levels of radioactivity resulting
from uranium decay which can be
transferred to UOG produced water.
Radioactive decay products typically
include uranium 238, radium 226, and
radium 228. EPA identified available
data on some radioactive elements in
UOG produced water, including radium
226, radium 228, gross alpha, and gross
beta, and, therefore, focused the
radioactive constituent discussion and
data presentation on data for these
parameters. Radium 226, which has a
half-life over 1,000 years, has been
found in UOG produced water at
concentrations up to 16,900 picocuries
per liter (pCi/L) (DCN SGE00241; DCN
SGE00724). As a point of comparison,
the International Atomic Energy Agency
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(IAEA) published a report in 2014 that
included radium isotope concentrations
in rivers and lakes. The average of
measured concentrations of radium 226
found in U.S. rivers and lakes was 0.56
pCi/L (21 millibecquerel per liter (mBq/
L)) and the measured values ranged
from 0.01 to 1.7 pCi/L (0.37 to 63 mBq/
L) (DCN SGE00769). Data for radium
228 were limited.
Data characterizing produced water
radioactivity concentrations were not
available for all shale and tight oil and
gas formations. However, the available
data 18 from five different tight or shale
oil and gas formations show that the
concentrations of one or more
radioactive constituents (radium 226,
radium 228, gross alpha, gross beta) in
UOG produced water was above
naturally occurring concentrations in
rivers and lakes throughout the world.
The highest reported radium 228 value
was in the Ganges River in India and
was measured at 0.07 pCi/L (2.6 mBq/
L). (See DCN SGE00769)
18 A report was released by the Pennsylvania
Department of Environmental Protection, titled
‘‘Technologically Enhanced Naturally Occurring
Radioactive Materials (TENORM) Study Report’’ on
January 15, 2015. These data have not yet been
incorporated into EPA’s analyses. The report
presents additional data for the Marcellus Shale
formation, which is one of the five formations for
which EPA has identified additional data sources.
See TDD Chapter C.3 and DCN SGE00933.
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E. Wastewater Management and
Disposal Practices
Historically, UOG operators primarily
managed their wastewater using the
following four methods: 19
• Disposal via underground injection
wells;
• Reuse in subsequent fracturing jobs;
• Transfer to a POTW; or
• Transfer to a privately owned
wastewater treatment facility (also
called a CWT facility).20
(DCN SGE00613; DCN SGE00276);
DCN SGE00528).
The frequency with which UOG
operators use each of the management
options listed above varies by operator,
formation, and sometimes within each
region of the formation (DCN SGE00579;
DCN SGE00276). Relative cost is also an
important factor for an UOG operator
when considering how to manage their
wastewater. This proposed rule
addresses only transfers to a POTW.
Historically, the oil and gas industry has
most commonly managed its wastewater
by underground injection (DCN
SGE00182), but the industry is
increasingly turning to reuse, and in
some areas transfer to CWT facilities, to
manage increasing volumes of UOG
extraction wastewater (see TDD, Chapter
D).
19 Occasionally, UOG operators in the western
U.S. may use evaporation as a means of wastewater
management.
20 Operators may haul wastewater to CWT
facilities that handle the wastewater by (1) treating
for reuse; (2) direct discharging to surface water; or
(3) indirect discharging to surface water through a
POTW.
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1. Injection into Disposal Wells
Underground injection involves
pumping wastes into a deep
underground formation with a confining
layer of impermeable rock. The
receiving formation must also be porous
enough to accept the wastewater. In
previous decades, and in most oil and
gas basins, drillers found underground
injection of oil and gas extraction
wastewater to be the most economical
and reliable means of disposal; this is
similarly the case today (DCN
SGE00623). As of 2009, over 90 percent
of oil and gas wastewater (conventional
and unconventional) was disposed of
via Class II injection wells (DCN
SGE00623; DCN SGE00132).
The availability of underground
injection as a disposal method varies by
state. Some states have a large number
of Class II disposal wells (e.g., Texas,
Oklahoma, Kansas) while others have
very few (e.g., Pennsylvania, West
Virginia). In many UOG formations,
distances from the average producing
well to the nearest disposal well are
short and disposal capacity is abundant
making it the least expensive disposal
practice (DCN SGE00635).
2. Reuse in Fracturing
Reuse involves mixing flowback and/
or long-term produced water from
previously fractured wells with source
water 21 to create the base fluid used to
fracture a new well (DCN SGE00046).
Reused UOG extraction wastewater is
typically transported, by truck, from
storage to the fracturing site just prior to
the start of hydraulic fracturing. When
hydraulic fracturing commences, the
stored UOG wastewater is pumped from
the fracturing tanks and blended with
source water to form the base fluid. The
blending occurs upstream of other steps
such as sand and fracturing chemical
addition or pressurization by the pump
trucks (DCN SGE00625).
In considering whether to reuse
wastewater, operators evaluate
wastewater generation rates compared
to water demand for new fracturing jobs,
water quality and treatment
requirements for use in fracturing, and
the risks and costs of wastewater
management and transportation for
reuse compared to disposal, or transfer
practices. Typically, for an operator to
reuse wastewater, the cost per barrel for
reuse must be less than the cost per
barrel for disposal or transfer (DCN
SGE00095). The cost for reuse depends
on several factors that vary by formation
and operator; and, therefore, the
21 Source waters may include freshwater, ground
water, treated municipal wastewater, and other
industrial wastewater.
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potential for reusing UOG extraction
wastewater for fracturing varies by
formation and operator.
Since the late 2000s, UOG operators
have increased wastewater reuse (DCN
SGE00613). The Petroleum Equipment
Suppliers Association (PESA) surveyed
205 UOG operators in 2012 about their
wastewater management practices.
Survey results included 143 operators
active in major UOG formations. UOG
operators reported reusing 23 percent of
the total volume of wastewater
generated to refracture another well.
The survey results also showed that
most operators anticipated reusing
higher percentages of their wastewater
in the two to three years following the
survey (DCN SGE00707; DCN
SGE00708; DCN SGE00575). EPA
participated in several site visits and
conference calls with operators in
several UOG formations that have been
able to reuse 100 percent of the volume
of their wastewater under certain
circumstances (DCN SGE00625; DCN
SGE00635; DCN SGE00275; DCN
SGE00636).
3. Transfer to Centralized Waste
Treatment Facilities
Some operators manage UOG
extraction wastewater by transporting it
to CWT facilities for treatment.
Following treatment, these facilities can
return it to an operator for reuse to
fracture another well (‘‘zero discharge’’)
and/or discharge it, either to surface
water or to a POTW. Operators can
choose to use CWT facilities if they drill
and complete relatively few wells,
making discharging to CWT facilities
more feasible than investing in other
management options (DCN SGE00300),
or if other wastewater management
options are not available or cost
effective in the region where they are
operating (DCN SGE00139; DCN
SGE00182). EPA identified 73
commercial CWT facilities that accept
UOG extraction wastewater. See TDD,
Chapter D.3. EPA found that the number
of CWT facilities available to operators
in the Marcellus and Utica Shale
formations has increased with the
number of wells drilled. A similar trend
was observed in the Fayetteville Shale
formation in Arkansas (DCN SGE00704).
Operators can haul their wastewater
to ‘‘zero discharge’’ CWT facilities that
treat but do not discharge UOG
extraction wastewater, either to surface
water or to a POTW. Instead, they return
the wastewater to UOG operators for
reuse in subsequent hydraulic fracturing
jobs. Commercial CWT facilities that fall
into this category typically allow
operators to unload a truck load of
wastewater for treatment and take a load
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18571
of treated wastewater on a cost per
barrel basis (DCN SGE00245). Some of
these facilities offer operators the option
of unloading a truck load of wastewater
without taking a load of treated
wastewater for a surcharge, as long as
other operators are in need of additional
treated wastewater. The CWT facility
can also provide this service if it can
dispose of the wastewater without
discharge (DCN SGE00299). For
example, one facility in Wyoming treats
UOG extraction wastewater for reuse by
removing TDS and other pollutants
through electrocoagulation followed by
reverse osmosis (RO). The facility
evaporates the concentrated brine from
the RO unit in large evaporation ponds
to dispose of wastewater not reused by
operators (DCN SGE00374).
Some operators can haul their
wastewater to CWT facilities that
discharge directly to surface waters.
Discharges from these CWT facilities are
controlled by NDPES permits that
include pollutant discharge limitations
based on the technology-based ELGs set
out in 40 CFR part 437 (representing the
floor), or more stringent WQBELs where
the technology-based effluent limits are
not sufficiently stringent to meet
applicable state water quality standards.
The ELGs established by EPA for CWTs
do not include limitations for TDS;
however, to meet applicable state water
quality standards, direct discharging
CWT facilities can use treatment
processes (e.g., evaporation/
condensation, reverse osmosis) that
remove TDS.
Finally, other operators can haul their
wastewater to CWT facilities that
discharge indirectly to a POTW.
Discharges from the CWT facility to the
POTW are controlled by an Industrial
User Agreement (IUA) that must
incorporate the pretreatment standards
set out in 40 CFR part 437.
4. Transfer to POTWs
Historically, in locations such as in
Pennsylvania where disposal wells and
CWT facilities were limited, operators
managed UOG extraction wastewater by
transfer to POTWs (DCN SGE00011;
DCN SGE00739; DCN SGE00598). This
practice can be problematic because
POTWs are not able to remove many of
the constituents found in UOG
extraction wastewater (DCN SGE00011;
DCN SGE00600; DCN SGE00765).
Because they are not typical of POTW
influent wastewater, UOG extraction
wastewater constituents can be
discharged, largely untreated, from the
POTW to the receiving stream; can
disrupt the operation of the POTW (e.g.,
by inhibiting biological treatment); can
accumulate in biosolids, limiting their
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use; and can facilitate the formation of
harmful DBPs (which are a concern for
downstream drinking water uses). These
constituents can interfere with POTW
operations and can increase salt loads in
receiving streams to the detriment of
downstream water use. (DCN SGE00286;
DCN SGE00345; DCN SGE00579; DCN
SGE00531; DCN SGE00633). See TDD,
Chapter D.5. As discussed above, EPA
has not been able to identify any
existing UOG discharges at present to
POTWs (DCN SGE00579; DCN
SGE00286; DCN SGE00345). The lack of
existing discharges to POTWs can be
attributed to the availability of one or
more cost effective alternative
wastewater management options
(injection for disposal, reuse/recycling,
and transfer to a CWT), concerns about
inability of POTWs to treat such waste
appropriately, and concerns that such
discharges can disrupt POTW treatment
processes. In a few cases, they can also
be associated with state-level drivers
(see TDD Chapter A.2).
XIII. Subcategorization
In developing ELGs, EPA can divide
an industry category into groupings
called ‘‘subcategories’’ to provide a
method for addressing variations among
products, processes, and other factors,
which result in distinctly different
effluent characteristics that affect the
determination of the ‘‘best available’’
technology. See Texas Oil & Gas Ass’n.
v. U.S. EPA, 161 F.3d 923, 939–40 (5th
Cir. 1998). Regulation of a category by
subcategories provides that each
subcategory has a uniform set of effluent
limitations or pretreatment standards
that take into account technological
achievability, economic impacts, and
non-water quality environmental
impacts unique to that subcategory. In
some cases, effluent limitations or
pretreatment standards within a
subcategory can be different based on
consideration of these same factors,
which are identified in CWA section
304(b)(2)(B). The CWA requires EPA, in
developing effluent guidelines and
pretreatment standards, to consider a
number of different factors, which are
also relevant for subcategorization. The
CWA also authorizes EPA to take into
account other factors that the
Administrator deems appropriate. CWA
section 304(b).
Within the oil and gas extraction
category, EPA has already established
subcategories. As explained in Section
VIII.C., the existing oil and gas
extraction ELGs are divided into five
subcategories. The scope of the
proposed rule is specific to subpart C:
onshore. The proposed rule is specific
to pollutant discharges from UOG
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extraction as defined in Section XI. EPA
considered whether further
subcategorization of the UOG extraction
industry was warranted. EPA evaluated
a number of factors including available
data regarding wastewater chemical
constituents, generation volumes, and
rates. Although some differences can be
observed among these characteristics
(between different types of
unconventional resource and geologic
formations, and sometimes between
wells within the same source), EPA
proposes that further subcategorization
is not appropriate because EPA has not
identified any onshore UOG operations
that currently discharge to POTWs.
XIV. Proposed Regulation
A. Discussion of Options
1. PSES and PSNS Option Selection
EPA proposes to establish PSES and
PSNS that apply to wastewater
discharges from onshore UOG extraction
facilities. Generally, EPA designs PSES
and PSNS to ensure that wastewaters
from direct and indirect industrial
dischargers are subject to similar levels
of treatment prior to discharge to waters
of the U.S. This means that, typically,
the requirements for indirect
dischargers are analogous to those for
direct dischargers. As explained in
Section VIII.C., the existing
requirements for BPT for the Onshore
Subcategory are zero discharge of
wastewater pollutants into waters of the
U.S. from any source associated with
production, field exploration, drilling,
well completion, or well treatment. As
also explained in Section VIII.C., the
existing BPT requirements do not apply
to discharges to POTWs.
Most POTWs are designed primarily
to treat municipally generated
wastewater. POTWs typically provide at
least secondary level treatment and,
thus, are designed to remove settleable
solids, suspended solids and organic
material using biological treatment. EPA
is not aware of any POTWs that are
designed to treat dissolved pollutants in
UOG extraction wastewater such as TDS
(e.g., chlorides, sulfates, metals) or
radioactive elements. As a result, the
mass of untreated pollutants would be
discharged from the POTW to the
receiving water, could disrupt the
operation of the POTW (e.g., by
inhibiting biological treatment) or could
facilitate the formation of harmful DBPs.
As explained in Section XII.E., EPA
evaluated the practices currently used to
manage UOG extraction wastewaters.
Based on the information reviewed as
part of this proposed rulemaking, EPA
identified that current industry practice
is not to discharge pollutants from
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onshore UOG extraction to POTWs.
Rather, the vast majority of this
wastewater is managed by disposal in
underground injection wells and/or reuse in fracturing another well.22 A
small, but in some geographic areas
increasing, portion of the industry also
transfers its wastewater to privately
owned wastewater treatment facilities
(also referred to as CWT facilities).
Because of this information, EPA
identified one candidate PSES/PSNS
option; that is, zero discharge of
wastewater pollutants to POTWs. UOG
extraction wastewater is discussed in
Section XII.C.
The technology basis for the proposed
PSES is disposal in UIC wells and/or
wastewater reuse/recycling to fracture
another well. Because existing UOG
extraction facilities currently employ
alternative wastewater management
practices, the technology basis for
meeting a zero discharge requirement is
widely available. While EPA estimates
that there will be no incremental
pollutant reductions associated with the
proposed PSES, the technology basis is
best performing in that it achieves zero
discharges of pollutants in UOG
extraction wastewater. Additionally,
because this technology represents
current industry practice nationwide, no
facilities will incur incremental costs for
compliance with the proposed PSES
and, therefore, the proposed PSES is
economically achievable. For the same
reasons, the proposed PSES will result
in no incremental non-water quality
environmental impacts. Finally, because
the proposal represents current industry
practice, EPA proposes that PSES
requiring zero discharge of wastewater
pollutants be effective as of the effective
date of this rule.
As previously noted, under section
307(c) of the CWA, new sources of
pollutants into POTWs must comply
with standards which reflect the greatest
degree of effluent reduction achievable
through application of the best available
demonstrated control technologies.
Congress envisioned that new treatment
systems could meet tighter controls than
existing sources because of the
opportunity to incorporate the most
efficient processes and treatment
systems into the facility design. EPA
proposes PSNS that would control the
same pollutants using the same
technologies proposed for control by
PSES. The technologies used to control
22 While pollutant discharges from onshore oil
and gas extraction produced water are allowed
under subpart E in certain geographic locations for
use in agriculture or wildlife propagation, EPA has
not found that these types of permits are typically
written for unconventional oil and gas extraction
wastewater (as defined for the proposed rule).
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pollutants at existing sources, disposal
in UIC wells and/or wastewater reuse/
recycling to fracture another well, are
fully available to new sources. They
achieve the greatest degree of effluent
reduction available: zero discharge of
pollutants in UOG extraction
wastewater. Furthermore, EPA has not
identified any technologies that are
demonstrated to be available for new
sources that are different from those
identified for existing sources. Finally,
EPA determined that the proposed
PSNS present no barrier to entry into
the market for new sources. While EPA
cannot say with certainty exactly how
new sources will manage their UOG
extraction wastewater, information in
the record indicates that new sources
would manage their UOG extraction
wastewater following current industry
practice. EPA has found that overall
impacts from the proposed standards on
new sources would be minimal, as is the
case for existing sources, since the costs
faced by new sources generally will be
the same as those faced by existing
sources. EPA projects no (and, therefore,
acceptable) incremental non-water
quality environmental impacts.
Therefore, EPA proposes to establish
PSNS that are the same as the proposed
PSES.
rljohnson on DSK3VPTVN1PROD with PROPOSALS
2. Other Options Considered
a. ‘‘No Rule’’
In addition to the PSES/PSNS option
of zero discharge of wastewater
pollutants, EPA also considered the
option of no proposed PSES or PSNS, a
‘‘no rule’’ option. Based on the
discussion above that no UOG facilities
are currently transferring wastewater to
POTWs, and given available alternative
management options such as disposal in
UIC wells and reuse/recycling, EPA
considered the option of no proposed
rule. A ‘‘no rule’’ option would impose
no change to the existing pretreatment
regulatory regime, or industry practice,
and would, therefore, be a ‘‘no
incremental cost and pollutant
reduction’’ option.
EPA, however, did not select this ‘‘no
rule’’ option for several reasons. First,
there is no national federal regulation
that would prevent or require
pretreatment of such discharges—and,
as mentioned above, EPA is not aware
of any POTWs that are designed to treat
dissolved pollutants common in UOG
extraction wastewater. This means that
constituents of such wastewater could
be discharged to receiving waters when
other [available] options such as reuse
and proper disposal in a Class II UIC
well better protect water quality and
aquatic communities and help further
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the zero discharge goal of the CWA.
CWA section 101(a)(1). Second, as
detailed in Chapter A.2 of the TDD, few
states have regulations or policies that
prevent discharges of pollutants in UOG
extraction wastewater to POTWs or that
mandate pre-treatment prior to
discharge to a POTW. In the absence of
such regulations or policies, resourceconstrained control authorities and/or
POTWs who receive requests to accept
UOG extraction wastewater would be in
the position of having to evaluate
whether to accept transfers of
wastewater on a case-by-case basis.
Third, history demonstrates that absent
controls preventing the transfer of or
requiring pretreatment of such
wastewater, POTWs can accept it, as
occurred in Pennsylvania (see TDD
Chapters A.2 and D.5), where POTWs
were used to manage UOG extraction
wastewater until the state took action,
including promulgating new regulations
requiring pretreatment. Among the
drivers behind these actions taken by
Pennsylvania was that some waters
were impaired by TDS. (DCN
SGE00187).
To avoid future scenarios where
POTWs receive UOG extraction
wastewater, it is reasonable to codify the
good practice already adopted by the
industry that is technologically and
economically viable. Moreover, it is
beneficial to the states as a practical
matter to establish federal regulations
that mandate this existing practice, in
order to avoid the burden for each state
to potentially repeat the effort of
promulgating state-level regulations.
EPA has discussed this proposed rule
with several states, who have indicated
that a federal pretreatment standard
would reduce their administrative
burden (DCN SGE00762; DCN
SGE00762; DCN SGE00743).
EPA also considered the future
burden that continued lack of
pretreatment standards can impose on
POTWs. The UOG extraction industry is
predicted to continue to grow in the
future, resulting in the installation,
fracturing, and possible refracturing of
hundreds of thousands of wells. Well
operators will continue to generate UOG
extraction wastewater and could request
local POTWs to accept their wastewater
for discharge. In the absence of federal
pretreatment standards, POTWs can
legally accept UOG extraction
wastewater to the extent that such
wastewater transfers are in compliance
with state and local requirements.
Evaluating each potential customer
(industrial user), developing a
determination for each new UOG
extraction wastewater source on a caseby-case basis could be burdensome for
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18573
POTWs. In addition, where a POTW
determines it can accept this
wastewater, complying with applicable
reporting requirements could be a
significant burden to some POTWs. EPA
concluded that a national-level
determination that UOG extraction
wastewater contains pollutant
concentrations that could pass through
POTWs, and development of categorical
pretreatment standards, will avoid
burdening individual POTWs with
evaluating each individual request.
Thus, the national categorical
pretreatment standards will reduce the
process burden on pretreatment Control
Authorities (e.g., POTWs). While EPA
does not have the information to
quantify the reductions in
administrative burden that will likely
result from the proposed rule, states
generally support EPA’s position that
such reductions will be realized (DCN
SGE00762; DCN SGE00762; DCN
SGE00743).
Moreover, as explained above,
because some pollutants of concern in
UOG extraction wastewater will not be
physically, chemically, or biologically
reduced by the treatment processes
typically used at POTWs, these
pollutants are expected to be discharged
from the POTW into receiving waters. In
addition, these pollutants can cause
operational problems for the POTW’s
biological treatment processes and alter
the POTW’s ability to adequately
remove BOD, TSS, and other pollutants
for which it is regulated. For some UOG
pollutants, such as radionuclides, the
data indicate POTWs will remove some
portion while discharging the remainder
(DCN SGE00136). In these cases, some
portion of the radionuclides will
partition to the POTW biosolids, which
can cause the POTW to incur increased
costs to change its selected method of
biosolids management (DCN SGE00615).
See also TDD Chapter D.5.
Finally, EPA did not select the ‘‘no
rule’’ option because it concluded that
national pretreatment standards provide
clear direction and certainty to industry,
POTWs, states, and the public that UOG
extraction wastewaters are not treated
by POTWs and should not be
transferred to them. Categorical
pretreatment standards support the
CWA goal that the discharge of
pollutants into the nation’s navigable
waters be eliminated. CWA section
101(a).
b. Non-Zero Numeric Discharge
Pretreatment Requirements
EPA considered an option that would
have included non-zero numerical
discharge pre-treatment requirements
prior to discharge to a POTW. Such an
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option could be similar to the one
adopted in Pennsylvania in 2010 that
requires pretreatment of oil and gas
wastewaters before discharge to a POTW
to meet a maximum TDS concentration
of 500 mg/L as well as specific
numerical concentrations for other
pollutants. Some have suggested this
would provide an ‘‘escape-valve’’ for the
future in the event that UIC disposal
well capacity is exhausted. Others have
suggested this would allow the water to
be available for re-use (other than in
fracturing another well) if technologies
become available to pre-treat it to
remove dissolved pollutants in a cost
effective manner.
EPA does not propose an option with
numerical discharge pretreatment
requirements prior to discharge to a
POTW for the following reasons. First,
the existing requirements for direct
discharges of UOG extraction
wastewater in the Onshore Subcategory
require no discharge of pollutants. As
explained above, EPA generally
establishes requirements for direct and
indirect discharges so that the
wastewater receives comparable
treatment prior to discharge to waters of
the U.S.
Second, the option EPA proposes,
zero discharge of pollutants in UOG
extraction wastewater to POTWs, is
widely available, economically
achievable and has no incremental (and,
therefore, acceptable) non-water quality
environmental impacts. Because the
proposed zero pollutant discharge
requirement is current practice and,
therefore, clearly both available and
achievable, any option that includes
non-zero discharge requirements for any
pollutants would potentially increase
pollutant discharges from current
industry best practices. Such an option
would not fulfill the CWA requirement
to establish limitations based on ‘‘Best
Available Technology Economically
Achievable’’ (CWA section
301(b)(2)(A)), or the CWA goals of
eliminating the discharge of pollutants
into navigable waters (CWA section
101(a)(1)).
Third, EPA does not have any data to
demonstrate that UIC capacity
nationwide will be expended and that
this current management approach will
not be available in the future (DCN
SGE00613). In fact, industry has been
managing oil and gas extraction
wastewater through underground
injection for decades. In recent years,
industry has greatly expanded its
knowledge about the ability to re-use
UOG flowback and long-term produced
water (the major contributors to UOG
extraction wastewater by volume) in
fracturing another well. Consequently,
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while the UOG industry continues to
grow and new wells are being fractured,
the need for UIC capacity for UOG
extraction wastewater is decreasing,
even in geographic locations with an
abundance of UIC capacity (see TDD
Chapter D.2).
Fourth, EPA identified technologies
that currently exist to treat dissolved
pollutants in UOG extraction
wastewater. Relative to underground
injection and reuse/recycling to fracture
another well (the basis for the preferred
option EPA proposes), these
technologies are costly, would result in
more pollutant discharges, and are
energy intensive. While EPA did not
attempt to calculate a numerical
standard for TDS, data collected for this
proposed rulemaking demonstrate that
the current technologies are capable of
reducing TDS (and other dissolved
pollutants) well below 500 mg/L. To the
extent that these technologies or others
are developed in the future to reduce
pollutants in UOG extraction
wastewater to enable them to be reused
for purposes other than fracturing
another well, these pre-treated
wastewaters can be used directly for the
other applications without going
through a POTW.23
c. Conventional Oil and Gas Wastewater
As explained in Section VIII., while
the existing oil and gas regulation
applies to both conventional and UOG
extraction (except coalbed methane), the
proposed rule would add pretreatment
standards only for facilities engaged in
oil and gas extraction from UOG sources
that send their discharges to POTWs.
EPA proposes to reserve standards for
conventional oil and gas extraction for
possible future rulemaking, if
appropriate. This is consistent with
EPA’s stated scope throughout the
development of this proposed rule. See
specific comment solicitation on
conventional oil and gas extraction
wastewaters in Section VII.
B. Pollutants of Concern
Since the effectiveness of the
technology basis for the proposed
standards results in zero discharge of all
pollutants, it is not appropriate in this
proposed rule to further specify the
pollutants of concern. Rather, as is the
case for the existing BPT requirements,
the proposed PSES/PSNS apply to the
discharge of all pollutants in UOG
extraction wastewater.
23 As a point of clarification, except in certain
geographic areas, these wastewaters would remain
subject to the requirements in the Onshore
Subcategory that require no discharge of pollutants
to waters of the U.S. (40 CFR 435.30).
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C. POTW Pass Through Analysis
Sections 307(b) and (c) of the CWA
authorize EPA to promulgate
pretreatment standards for pollutants
that are not susceptible to treatment by
POTWs or which would interfere with
the operation of POTWs. EPA looks at
a number of factors in selecting the
technology basis for pretreatment
standards for existing and new sources.
These factors are generally the same as
those considered in establishing the
direct discharge technology basis.
However, unlike direct dischargers
whose wastewater will receive no
further treatment once it leaves the
facility, indirect dischargers send their
wastewater to POTWs for further
treatment.
Therefore, before establishing PSES/
PSNS for a pollutant, EPA examines
whether the pollutant ‘‘passes through’’
a POTW to waters of the U.S. or
interferes with the POTW operation or
biosolids disposal practices. In
determining whether a pollutant would
pass through POTWs for these purposes,
EPA generally compares the percentage
of a pollutant removed by well-operated
POTWs performing secondary treatment
to the percentage removed by a
candidate technology basis. A pollutant
is determined to pass through POTWs
when the median percentage removed
nationwide by well-operated POTWs is
less than the median percentage
removed by the candidate technology
basis. Pretreatment standards are
established for those pollutants
regulated under the direct discharge
level of control (typically BAT/NSPS)
that passes through. In addition, EPA
can regulate pollutants that do not pass
through but otherwise interfere with
POTW operations or biosolids disposal
practices. This approach to the
definition of pass through satisfies two
competing objectives set by Congress:
(1) That standards for indirect
dischargers be equivalent to standards
for direct dischargers, and (2) that the
treatment capability and performance of
POTWs be recognized and taken into
account in regulating the discharge of
pollutants from indirect dischargers.
Historically, EPA’s primary source of
POTW removal data is its 1982 ‘‘Fate of
Priority Pollutants in Publicly Owned
Treatment Works’’ (also known as the
50 POTW Study) (see DCN SGE00765).
The 50 POTW study presents data on
the performance of 50 POTWs achieving
secondary treatment in removing certain
toxic pollutants. While the 50 POTW
study demonstrates a wide variability in
the effectiveness of POTWs in removing
toxic pollutants, it demonstrates that
POTWs remove these pollutants by less
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than 100%. Although this study does
not contain information on pollutant
removals for TDS, as explained earlier,
secondary treatment technologies are
generally understood to be ineffective at
removing TDS and as such little to no
TDS removals are likely to occur at
POTWs through secondary treatment
(DCN SGE00011; DCN SGE00600).
While the POTW study also does not
contain information for other pollutants
that may be present in UOG extraction
wastewater, it is reasonable for EPA to
conclude that removal of UOG
extraction wastewater pollutants by a
well-operated POTW would be less than
100%, the percentage removal by the
candidate technology basis for the
proposed rule, and therefore would if
discharged to a POTW ‘‘pass through’’
the POTW, as the term applies under
the CWA, into waters of the U.S.
rljohnson on DSK3VPTVN1PROD with PROPOSALS
XV. Environmental Impacts
UOG production generates significant
volumes of wastewater that need to be
managed. As described in Section
XII.C.2, wells can produce flowback
volumes ranging between 210,000 and
2,100,000 gallons during the initial
flowback process.24 During the
production phase, wells typically
produce smaller volumes of water
(median flow rates range from 200–800
gallons per day) and continue producing
wastewater throughout the life of the
well.
In general, evidence of environmental
impacts to surface waters from
discharges of UOG extraction
wastewater is sparsely documented.
Some of the environmental impacts
documented to date, such as increased
DBP formation in downstream drinking
water treatment plants, resulted from
wastewater pollutants that passed
untreated through POTWs in
Pennsylvania (TDD, Chapter D.5).
A. Pollutants
As described in Section XII.D., high
concentrations of TDS are common in
UOG extraction wastewater. As shown
in Table XII–2. (in Section XII.D.), major
inorganic constituents leaching from
geologic formations such as sodium,
potassium, bromide, calcium, fluoride,
nitrate, phosphate, chloride, sulfate, and
magnesium represent most of the TDS
in UOG extraction wastewater. TDS in
produced water can also include
barium, radium, and strontium. Based
on available data, TDS cations
(positively charged ions) in UOG
extraction wastewater are generally
24 As explained in the TDD (Chapter B) the length
of the flowback process is variable. Literature
generally reports it as 30 days or less (DCN
SGE00532).
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dominated by sodium and calcium, and
the anions (negatively charged ions) are
dominated by chloride (DCN
SGE00284). TDS concentrations vary
among the UOG formations. Table XII–
1. (in Section XII.D.), presents the
varying TDS concentrations in tight and
shale oil and gas formations. The
highest median TDS concentration
(370,000 mg/L) is found in the Pearsall
shale gas formation. For comparison, sea
water contains approximately 35,000
mg/L TDS.
B. Impacts From the Discharge of
Pollutants Found in UOG Extraction
Wastewater
Conventional POTW treatment
operations are designed primarily to
treat organic waste and remove total
suspended solids and constituents
responsible for biochemical oxygen
demand, not to treat waters with high
TDS. When transfers of UOG extraction
wastewater to POTWs were occurring in
Pennsylvania, these POTWs, lacking
adequate TDS removal processes,
diluted UOG extraction wastewaters
with other sewage flows and discharged
TDS-laden effluent into local streams
and rivers. POTWs not sufficiently
treating TDS in UOG extraction
wastewater were a suspected source of
elevated TDS levels in the Monongahela
River in 2009 (DCN SGE00525). Also see
TDD, Chapter D.5 for additional
examples.
In addition to UOG wastewater
pollutants passing through POTWs,
other industrial discharges of
inadequately treated UOG extraction
wastewater pollutants have also been
associated with in-stream impacts. One
study reviewed by EPA of discharges
from a CWT facility in western
Pennsylvania that treats UOG extraction
wastewater examined the water quality
and isotopic compositions of discharged
effluents, surface waters, and stream
sediments (DCN SGE00629).25 The
study found that the discharge of the
effluent from the CWT facility increased
downstream concentrations of chloride
and bromide above background levels.
The chloride concentrations 1.7
kilometers downstream of the treatment
facility were two to ten times higher
than chloride concentrations found in
similar reference streams in western
Pennsylvania. Radium 226 levels in
stream sediments at the point of
discharge were approximately 200 times
greater than upstream and background
25 Discharges from CWT facilities are subject to
ELGs in 40 CFR part 437 and would not be subject
to the proposed rule. However, the effect of
discharges of treated oil and gas wastewaters from
CWT facilities that lack high level treatment is
similarly representative of POTWs.
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18575
sediments. EPA intends to further study
the frequency and magnitude of such
impacts from CWTs.
C. Impact on Surface Water Designated
Uses
UOG extraction wastewater TDS
levels are high enough, if discharged
untreated to surface water, to affect
adversely a number of designated uses
of surface water, including drinking
water, aquatic life support, livestock
watering, irrigation, and industrial use.
1. Drinking Water Uses
Available data indicate the levels of
TDS in UOG extraction wastewaters can
often significantly exceed recommended
drinking water concentrations. Because
TDS concentrations in drinking water
sources are typically well below the
recommended drinking water levels,
few drinking water treatment facilities
have technologies to remove TDS. Two
published standards for TDS in drinking
water include the U.S. Public Health
Service recommendation and EPA’s
secondary maximum contaminant level
recommendation that TDS in drinking
water should not exceed 500 mg/L. High
concentrations of TDS in drinking water
primarily degrade its taste rather than
pose a human health risk. Taste surveys
found that water with less than 300 mg/
L TDS is considered excellent, and
water with TDS above 1,100 mg/L is
unacceptable (DCN SGE00939). The
World Health Organization dropped its
health-based recommendations for TDS
in 1993, instead retaining 1,000 mg/L as
a secondary standard for taste (DCN
SGE00947).
EPA also reviewed a study concerning
unintentional creation of harmful DBPs
due to insufficient removal of bromide
and other UOG wastewater constituents
by POTWs accepting UOG extraction
wastewaters (DCN SGE00535; DCN
SGE00587). DBPs have been shown to
have both adverse human health and
ecological affects. The study found that
UOG extraction wastewaters contain
various inorganic and organic DBP
precursors that can react with
disinfectants used by POTWs to
promote the formation of DBPs, or alter
speciation of DBPs, particularly
brominated-DBPs, which are suspected
to be among the more toxic DBPs (DCN
SGE00535; DCN SGE00985). These
precursors are a concern for drinking
water managers wherever they can enter
raw water intakes. See TDD, Chapter D.5
for further discussion of DBP formation
associated with UOG extraction
wastewaters.
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2. Aquatic Life Support Uses
TDS and its accompanying salinity
play a primary role in the distribution
and abundance of aquatic animal and
plant communities. High levels of TDS
can impact aquatic biota through
increases in salinity, loss of osmotic
balance in tissues, and toxicity of
individual ions. Increases in salinity
have been shown to cause shifts in
biotic communities, limit biodiversity,
exclude less-tolerant species and cause
acute or chronic effects at specific life
stages (DCN SGE00946). A detailed
study of plant communities associated
with irrigation drains, reported
substantial changes in marsh
communities in part because of an
increase in dissolved solids (DCN
SGE00941). Observations over time
indicate a shift in plant community
coinciding with increases in dissolved
solids from estimated historic levels of
270 to 1170 mg/L, as species that are
less salt tolerant such as coontail
(Ceratophyllus demersum) and cattail
(Typha sp.) were nearly eliminated. A
related study found that lakes with
higher salinity exhibit lower aquatic
biodiversity, with species distribution
also affected by ion composition (DCN
SGE00940).
It is often a specific ion concentration
in TDS that is responsible for adverse
effects to aquatic ecosystems. For
example, a TDS concentration of 2,000
mg/L with chloride as the primary
anionic constituent is acutely toxic to
aquatic life, but the same TDS
concentration composed primarily of
sulfate is nontoxic. Sodium chloride
accounts for about 50 percent of the
TDS typically found in UOG extraction
wastewater. As reported in Table XII–2
(in Section XII.D.), chloride has been
measured at concentrations up to
230,000 mg/L. Macroinvertebrates, such
as fresh water shrimp and aquatic
insects that are a primary prey of many
fish species, have open circulatory
systems that are especially sensitive to
pollutants like chloride. Based on
laboratory toxicity data from EPA’s 1988
chloride criteria document and more
recent studies, invertebrate sensitivity to
chloride acute effect concentrations
ranged from 953 mg/L to 13,691 mg/L.
Chronic effect concentrations of
chloride ranged from 489 mg/L to 556
mg/L. In addition to the laboratory data,
EPA also reviewed data from a 2009
Pennsylvania Department of
Environmental Protection violation
report documenting a fish kill attributed
to a spill of diluted produced water in
Hopewell Township, PA. TDS at the
location of the fish kill was as high as
7,000 mg/L. While not related to UOG
extraction wastewater, negative impacts
of high TDS, including fish kills, were
documented during 2009 at Dunkard
Creek located in Monongalia County,
Pennsylvania. (DCN SGE00001 and DCN
SGE00001.A01)
EPA has published chemical-specific
national recommended water quality
criteria for some of the TDS constituents
in UOG extraction wastewater, such as
barium, chloride, manganese, and iron,
based on a variety of human health or
ecological benchmarks. A review of
state and tribal water quality standards
in 2012 indicated that 26 states had
adopted a numeric or narrative criterion
for TDS, either for state-wide or sitespecific application (DCN SGE00945).
The TDS criteria levels and the
designated uses they are intended to
protect vary greatly from state to state.
For example, Alaska has a criterion of
1,500 mg/L TDS to protect aquatic life;
Mississippi has a criterion of 750 mg/L
monthly average for protection of fish,
wildlife and recreation criteria, and
Illinois has a statewide 1,000 mg/L TDS
criterion for aquatic life and a 1,500 mg/
L TDS criterion for secondary contact
recreation and indigenous aquatic life.
TDS criteria adopted specifically for the
protection of aquatic life have been
developed for at least 16 of the 26 states,
with some criteria applying only to
specific waterbodies. Oregon has the
most stringent TDS criterion using a
standard of 100 mg/L for all freshwater
streams and tributaries in order to
protect aquatic life, public water use,
agriculture, and recreation.
3. Livestock Watering Uses
POTW discharges to surface waters
containing high concentrations of TDS
can impact downstream uses for
livestock watering. High TDS
concentrations in water sources for
livestock watering can adversely affect
animal health by disrupting cellular
osmotic and metabolic processes (DCN
SGE01053). Domestic livestock, such as
cattle, sheep, goats, horses, and pigs
have varying degrees of sensitivity to
TDS in drinking water as shown in
Table XV–1. Sheep seem to be more
tolerant of saline water than most
domestic species, but will only drink it
if introduced to the saline water over a
period of several weeks (DCN
SGE00937).
TABLE XV–1—TOLERANCES OF LIVESTOCK TO TDS IN DRINKING WATER
Total Dissolved Solids (TDS) (mg/L)
No adverse
effects on
animals
expected
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Livestock
Beef cattle ............................................................................................................
Dairy cattle ...........................................................................................................
Sheep ...................................................................................................................
Horses ..................................................................................................................
Pigs ......................................................................................................................
Poultry ..................................................................................................................
Animals can
have initial
reluctance to drink
or there can be
some scouring, but
stock should adapt
without loss of
production
Loss of production
and a decline in
animal condition
and health would
be expected. Stock
can tolerate these
levels for short
periods if
introduced
gradually
4,000–5,000
2,400–4,000
4,000–10,000
4,000–6,000
4,000–6,000
2,000–3,000
5,000–10,000
4,000–7,000
10,000–13,000
6,000–7,000
6,000–8,000
3,000–4,000
0–4,000
0–2,400
0–4,000
0–4,000
0–4,000
0–2,000
Source: Australia and New Zealand Water Quality Guidelines 2000. Chapter 3 Primary Industries—9.3 Livestock drinking water guidelines
(DCN SGE00937).
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4. Irrigation Uses
If UOG extraction wastewater
discharges to POTWs increase TDS
concentrations in receiving streams,
downstream irrigation uses of that
surface water can be negatively affected.
Elevated TDS levels can limit the
usefulness of water for irrigation.
Excessive salts affect crop yield in the
short term, and the soil structure in the
long term. Primary direct impacts of
high salinity water on plant crops
include physiological drought,
increased osmotic potential of soil,
specific ion toxicity, leaf burn, and
nutrient uptake interferences (DCN
SGE00938). In general, for various
classes of crops the salinity tolerance
decreases in the following order: forage
crops, field crops, vegetables, fruits.
The suitability of water for irrigation
is classified using several different
measurements, including TDS and
electrical conductivity (EC). Table XV–
2. shows a classification of TDS
concentrations for irrigation suitability.
TABLE XV–2—PERMISSIBLE LIMITS FOR CLASSES OF IRRIGATION WATER
Concentrations of TDS
Class of water
Class
Class
Class
Class
Class
1.
2.
3.
4.
5.
Electrical
conductivity a
(dS/m)
Excellent ....................................................................................................................................
Good ..........................................................................................................................................
Permissible b ..............................................................................................................................
Doubtful c ...................................................................................................................................
Unsuitable c ................................................................................................................................
TDS by gravimetric
(mg/L)
0.250
0.250–0.750
0.750–2.0
2.0–3.0
3.0
175
175–275
525–1,400
1.400–2,100
>2,100
a = TDS (mg/L) ≈ Electrical Conductivity (EC) (deci-Siemen/meter (dS/m)) × 640 for EC < 5 dS/m.
b = leaching needed if used.
c = good drainage needed and sensitive plants will have difficulty obtaining stands.
Source: Fipps (2003) (DCN SGE00936).
rljohnson on DSK3VPTVN1PROD with PROPOSALS
The impact of irrigation water salinity
on crop productivity is a function of
both the SAR value and the electrical
conductivity. The actual field-observed
impacts are very site-specific depending
on soil and crop system. (DCN
SGE00938)
5. Industrial Uses
POTW discharges to surface waters
are often upstream of industrial
facilities that withdraw surface waters
for various cooling and process uses.
26 The variables in the equation are defined as
follows: [Na+]¥Sodium concentration (mg/L);
[Ca2+]¥Calcium concentration (mg/L);
[Mg2+]¥Magnesium concentration (mg/L).
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High levels of TDS can adversely affect
industrial applications requiring the use
of water in cooling tower operations,
boiler feed water, food processing, and
electronics manufacturing.
Concentrations of TDS above 500 mg/L
result in excessive corrosivity, scaling,
and sedimentation in water pipes, water
heaters, boilers and household
appliances. Depending on the industry,
TDS in intake water can interfere with
chemical processes within the plant.
Some industries requiring ultrapure
water, such as semi-conductor
manufacturing facilities, are particularly
sensitive to high TDS levels due to the
treatment cost for the removal of TDS.
XVI. Non-Water Quality Environmental
Impacts Associated With the Proposed
Rule
Because the elimination or reduction
of one form of pollution can create or
aggravate other environmental
problems, EPA considers non-water
quality environmental impacts
(including energy impacts) that can
result from the implementation of
proposed regulations. EPA evaluated the
potential impact of the proposed
pretreatment standards on air emissions,
solid waste generation, and energy
consumption.
The proposed PSES/PSNS would
prohibit the discharge to POTWs of
wastewater pollutants associated with
UOG extraction. Because EPA knows of
no POTWs that are currently accepting
UOG extraction wastewater, the
proposed PSES will require no changes
in current industry wastewater
management practices and,
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consequently, will have no incremental
impacts on air emissions, solid waste
generation, or energy consumption.
Based on the reasoning that new sources
will follow current industry practice,
EPA projects no incremental non-water
quality environmental impacts
associated with PSNS.
XVII. Implementation
A. Implementation Deadline
Because the requirements of the
proposed rule are based on current
practice, EPA proposes that the PSES/
NSPS standards based on the regulatory
options being proposed apply on the
effective date of the final rule.
B. Upset and Bypass Provisions
A ‘‘bypass’’ is an intentional diversion
of waste streams from any portion of a
treatment facility. An ‘‘upset’’ is an
exceptional incident in which there is
unintentional and temporary
noncompliance with technology-based
permit effluent limitations because of
factors beyond the reasonable control of
the permittee. EPA’s regulations for
indirect dischargers concerning
bypasses and upsets are set forth at 40
CFR 403.16 and 403.17.
C. Variances and Modifications
The CWA requires application of
effluent limitations established pursuant
to section 304 for direct dischargers and
section 307 for all indirect dischargers.
However, the statute provides for the
modification of these national
requirements in a limited number of
circumstances. Moreover, the Agency
E:\FR\FM\07APP1.SGM
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EP07AP15.012
In addition to short-term impacts to
crop plants, irrigating with high TDS
water can result in gradual
accumulation of salts or sodium in soil
layers and eventual decrease in soil
productivity. The susceptibility of soils
to degradation is dependent on the soil
type and structure. Sandy soils are less
likely than finely textured soils to
accumulate salts or sodium. Soils with
a high water table or poor drainage are
more susceptible to salt or sodium
accumulation. The most common
method of estimating the suitability of a
soil for crop production is through
calculation of its sodicity as estimated
by the soil’s sodium absorption ratio
(SAR). The SAR value is calculated by
the equation: 26
rljohnson on DSK3VPTVN1PROD with PROPOSALS
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Federal Register / Vol. 80, No. 66 / Tuesday, April 7, 2015 / Proposed Rules
has established administrative
mechanisms to provide an opportunity
for relief from the application of the
national pretreatment standards for
categories of existing sources.
EPA can develop pretreatment
standards different from the otherwise
applicable requirements for an
individual existing discharger if it is
fundamentally different with respect to
factors considered in establishing the
standards applicable to the individual
discharger. Such a modification is
known as a ‘‘fundamentally different
factors’’ (FDF) variance. See 40 CFR
403.13. EPA, in its initial
implementation of the effluent
guidelines program, provided for the
FDF modifications in regulations. These
were variances from the BCT effluent
limitations, BAT limitations for toxic
and nonconventional pollutants, and
BPT limitations for conventional
pollutants for direct dischargers. FDF
variances for toxic pollutants were
challenged judicially and ultimately
sustained by the Supreme Court in
Chemical Manufacturers Association v.
Natural Resources Defense Council, 479
U.S. 116, 124 (U.S. 1985). FDF
variances, however, are not available for
new sources. E.I. Dupont v. Train, 430
U.S. 112, 138 (U.S. 1977).
Subsequently, in the Water Quality
Act of 1987, Congress added new CWA
section 301(n). This provision explicitly
authorizes modifications of the
otherwise applicable BAT effluent
limitations or categorical pretreatment
standards if a discharger is
fundamentally different with respect to
the factors specified in CWA section 304
or 403 (other than costs) from those
considered by EPA in establishing the
effluent limitations or pretreatment
standards. CWA section 301(n) also
defined the conditions under which
EPA can establish alternative
requirements. Under section 301(n), an
application for approval of a FDF
variance must be based solely on (1)
information submitted during
rulemaking raising the factors that are
fundamentally different or (2)
information the applicant did not have
an opportunity to submit. The alternate
limitation must be no less stringent than
justified by the difference and must not
result in markedly more adverse nonwater quality environmental impacts
than the national limitation or standard.
The legislative history of section
301(n) underscores the necessity for the
FDF variance applicant to establish
eligibility for the variance. EPA’s
regulations at 40 CFR 403.13 are explicit
in imposing this burden upon the
applicant. The applicant must show that
the factors relating to the discharge
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controlled by the applicant’s permit that
are claimed to be fundamentally
different are, in fact, fundamentally
different from those factors considered
by EPA in establishing the applicable
pretreatment standards. In practice, very
few FDF variances have been granted for
past ELGs. An FDF variance may be
available to an existing source subject to
the proposed PSES, but an FDF variance
is not available to a new source that
would be subject to PSNS.
entities, I certify that this action will not
have a significant economic impact on
a substantial number of small entities.
The small entities that would be subject
to the requirements of this proposed
rule are small businesses that engage in
UOG extraction as defined in Section
XI. No small businesses will experience
an impact because the proposed
rulemaking does not impose any new
requirement that is not already being
met by the industry.
XVIII. Statutory and Executive Order
Reviews
D. Unfunded Mandates Reform Act
This proposed rule does not contain
a Federal mandate that can result in
expenditures of $100 million or more
for state, local, and tribal governments,
in the aggregate, or the private sector in
any one year. As explained in Section
VI.C., this proposed rule has no costs.
Thus, this proposed rule would not be
subject to the requirements of sections
202 or 205 of the Unfunded Mandates
Reform Act (UMRA).
This proposed rule also would not be
subject to the requirements of section
203 of UMRA because it contains no
regulatory requirements that might
significantly or uniquely affect small
governments. EPA has not identified
any oil and gas facilities that are owned
by small governments.
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
This action is a ‘‘significant regulatory
action’’ under the terms of Executive
Order 12866 (58 FR 51735, October 4,
1993). Accordingly, EPA submitted this
action to the Office of Management and
Budget (OMB) for review under
Executive Orders 12866 and 13563 (76
FR 3821, January 21, 2011) and any
changes made in response to OMB
recommendations have been
documented in the docket for this
action.
B. Paperwork Reduction Act
This action does not impose an
information collection burden under the
provisions of the Paperwork Reduction
Act, 44 U.S.C. 3501 et seq. Burden is
defined at 5 CFR 1320.3(b). This
proposal would codify current industry
practice and would not impose any
additional reporting requirements.
C. Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA)
generally requires an agency to prepare
a regulatory flexibility analysis of any
proposed rule that would be subject to
notice and comment rulemaking
requirements under the Administrative
Procedure Act or any other statute
unless the agency certifies that the rule
will not have a significant economic
impact on a substantial number of small
entities. Small entities include small
businesses, small organizations, and
small governmental jurisdictions.
For purposes of assessing the impacts
of the proposed rule on small entities,
small entity is defined as: (1) a small
business that is primarily engaged in
Crude Petroleum and Natural Gas
Extraction and Natural Gas Liquid
Extraction by NAICS code 211111 and
211112 with fewer than 500 employees
(based on Small Business
Administration size standards).
After considering the economic
impacts of the proposed rule on small
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E. Executive Order 13132: Federalism
This action does not have federalism
implications. It will not have substantial
direct effects on the states, on the
relationship between the national
government and the states, or on the
distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132. The proposed
rule would not alter the basic statefederal scheme established in the CWA
under which EPA authorizes states to
carry out the NPDES permit program.
EPA expects the proposed rule would
have little effect on the relationship
between, or the distribution of power
and responsibilities among, the federal
and state governments. Thus, Executive
Order 13132 does not apply to this
action. Although this order does not
apply to this action, as explained in
Section IX., EPA coordinated closely
with states through a workgroup, as well
as outreach efforts to pretreatment
coordinators and pretreatment
authorities.
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This action does not have tribal
implications, as specified in Executive
Order 13175 (65 FR 67249, November 9,
2000). It will not have substantial direct
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effects on tribal governments, on the
relationship between the Federal
government and Indian tribes, or on the
distribution of power and
responsibilities between the Federal
government and Indian tribes. The
proposed rule contains no Federal
mandates for tribal governments and
does not impose any enforceable duties
on tribal governments. Thus, Executive
Order 13175 does not apply to this
action.
Although Executive Order 13175 does
not apply to this action, EPA
coordinated with tribal officials in
developing this action. EPA coordinated
with federally recognized tribal
governments in May and June of 2014,
sharing information about the UOG
pretreatment standards proposed
rulemaking with the National Tribal
Caucus and the National Tribal Water
Council. As part of this outreach effort,
EPA collected data about UOG
operations on tribal reservations, UOG
operators that are affiliated with Indian
tribes, and POTWs owned or operated
by tribes that can accept industrial
wastewaters (see DCN SGE00785).
Based on this information, there are no
tribes operating UOG wells that
discharge wastewater to POTWs nor are
there any tribes that own or operate
POTWs that accept industrial
wastewater from UOG facilities;
therefore, this proposed rule will not
impose any costs on tribes.
G. Executive Order 13045: Protection of
Children From Environmental Health
and Safety Risks
E.O. 13045 (62 FR 19885, April 23,
1997) applies to rules that are
economically significant according to
E.O. 12866 and involve a health or
safety risk that can disproportionately
affect children. This proposed action
would not be subject to E.O. 13045
because it is estimated to cost less than
$100 million and does not involve a
safety or health risk that can have
disproportionately negative effects on
children.
rljohnson on DSK3VPTVN1PROD with PROPOSALS
H. Executive Order 13211: Energy
Effects
This proposed action is not subject to
Executive Order 13211, because it not a
‘‘significant energy action’’ as defined in
Executive Order 13211, ‘‘Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use’’ (66 FR 28355, May
22, 2001). This action will not have a
significant adverse effect on the supply,
distribution, or use of energy, as
described in Section XVI. of the
proposed rule.
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I. National Technology Transfer
Advancement Act
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (‘‘NTTAA’’), Public Law
104–113, 12(d) (15 U.S.C. 272 note)
directs EPA to use voluntary consensus
standards in its regulatory activities
unless to do so would be inconsistent
with applicable law or otherwise
impractical. Voluntary consensus
standards are technical standards (e.g.,
materials specifications, test methods,
sampling procedures, and business
practices) that are developed or adopted
by voluntary consensus standards
bodies. NTTAA directs EPA to provide
Congress, through OMB, explanations
when the Agency decides not to use
available and applicable voluntary
consensus standards.
This proposed rulemaking does not
involve technical standards. Therefore,
EPA is not considering the use of any
voluntary consensus standards.
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
Executive Order 12898 (59 FR 7629
(Feb. 16, 1994)) establishes federal
executive policy on environmental
justice. Its main provision directs
federal agencies, to the greatest extent
practicable and permitted by law, to
make environmental justice part of their
mission by identifying and addressing,
as appropriate, disproportionately high
and adverse human health or
environmental effects of their programs,
policies, and activities on minority
populations and low-income
populations in the U.S.
EPA determined that this proposed
rule will not have disproportionately
high and adverse human health or
environmental effects on minority or
low-income populations because it does
not affect the level of protection
provided to human health or the
environment. The proposed rule
changes the control technology required
but will neither increase nor decrease
environmental protection (as described
in Section VII.C.).
EPA welcomes comments on this
aspect of the proposed rulemaking and,
specifically, invites the public to
identify potential environmental justice
considerations associated with this
proposed regulation.
List of Subjects in 40 CFR Part 435
Environmental protection,
Pretreatment, Waste treatment and
disposal, Water pollution control,
Unconventional oil and gas extraction.
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18579
Dated: March 31, 2015.
Gina McCarthy,
Administrator.
Therefore, it is proposed that 40 CFR
part 435 be amended as follows:
PART 435—OIL AND GAS
EXTRACTION POINT SOURCE
CATEGORY
1. The authority citation for part 435
continues to read as follows:
■
Authority: 33 U.S.C. 1311, 1314, 1316,
1317, 1318, 1342 and 1361.
■
2. Add § 435.33 to read as follows:
§ 435.33 Pretreatment standards of
performance for existing sources (PSES).
(a) PSES for Wastewater from
Conventional Oil and Gas Extraction.
[Reserved]
(b) PSES for Wastewater from
Unconventional Oil and Gas Extraction.
Except as provided in 40 CFR 403.7 and
403.13, any existing source subject to
this section, must achieve the following
pretreatment standards for existing
sources (PSES).
(1) There shall be no discharge of
wastewater pollutants associated with
production, field exploration, drilling,
well completion, or well treatment for
unconventional oil and gas extraction
(e.g., drilling muds, drill cuttings,
produced sand, produced water) into
publicly owned treatment works.
(2) For the purposes of this section,
(i) Unconventional oil and gas means
crude oil and natural gas produced by
a well drilled into a low porosity, low
permeability formation (including, but
not limited to, shale gas, shale oil, tight
gas, tight oil).
(ii) Drill cuttings means the particles
generated by drilling into subsurface
geologic formations and carried out
from the wellbore with the drilling
fluid.
(iii) Drilling muds means the
circulating fluid (mud) used in the
rotary drilling of wells to clean and
condition the hole and to
counterbalance formation pressure.
(iv) Produced sand means the slurried
particles used in hydraulic fracturing,
the accumulated formation sands, and
scales particles generated during
production. Produced sand also
includes desander discharge from the
produced water waste stream, and
blowdown of the water phase from the
produced water treating system.
(v) Produced water means the water
(brine) brought up from the
hydrocarbon-bearing strata during the
extraction of oil and gas, and can
include formation water, injection
water, and any chemicals added
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downhole or during the oil/water
separation process.
■ 3. Add § 435.34 to read as follows:
§ 435.34 Pretreatment standards of
performance for new sources (PSNS).
(a) PSNS for Wastewater from
Conventional Oil and Gas Extraction.
[Reserved]
(b) PSNS for Wastewater from
Unconventional Oil and Gas Extraction.
Except as provided in 40 CFR 403.7 and
403.13, any new source with discharges
subject to this section must achieve the
following pretreatment standards for
new sources (PSNS).
(1) There shall be no discharge of
wastewater pollutants associated with
production, field exploration, drilling,
well completion, or well treatment for
unconventional oil and gas extraction
(e.g., drilling muds, drill cuttings,
produced sand, produced water) into
publicly owned treatment works.
(2) For the purposes of this section,
the definitions of unconventional oil
and gas, drill cuttings, drilling muds,
produced sand, and produced water are
as specified in § 435.33(b)(2)(i) through
(v).
■ 4. Add subpart H to read as follows:
Subpart H—Coalbed Methane
Subcategory [Reserved]
[FR Doc. 2015–07819 Filed 4–6–15; 8:45 a.m.]
BILLING CODE 6560–50–P
NATIONAL AERONAUTICS AND
SPACE ADMINISTRATION
48 CFR Parts 1801, 1802, 1805, 1807,
1812, 1813, 1823, 1833, 1836, 1847,
1850, and 1852
RIN 2700–AE19
NASA FAR Supplement Regulatory
Review No. 3
National Aeronautics and
Space Administration.
ACTION: Proposed rule.
AGENCY:
NASA is updating the NASA
FAR Supplement (NFS) with the goal of
eliminating unnecessary regulation,
streamlining overly-burdensome
regulation, clarifying language, and
simplifying processes where possible.
This proposed rule is the third and final
in a series and includes updates and
revisions to 10 parts of the NFS. On
January 18, 2011, President Obama
signed Executive Order (E.O.) 13563,
Improving Regulations and Regulatory
Review, directing agencies to develop a
plan for a retrospective analysis of
existing regulations. The revisions to
this proposed rule are part of NASA’s
rljohnson on DSK3VPTVN1PROD with PROPOSALS
SUMMARY:
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retrospective plan under E.O. 13563
completed in August 2011.
DATES: Interested parties should submit
comments to NASA at the address
below on or before June 8, 2015 to be
considered in formulation of the final
rule.
ADDRESSES: Interested parties may
submit comments, identified by RIN
number 2700–AE19 via the Federal
eRulemaking Portal: https://
www.regulations.gov. Follow the
instructions for submitting comments.
Comments may also be submitted to
Cynthia Boots via email at
cynthia.d.boots@nasa.gov.
FOR FURTHER INFORMATION CONTACT:
Cynthia Boots, NASA, Office of
Procurement, email: cynthia.d.boots@
nasa.gov.
SUPPLEMENTARY INFORMATION:
A. Background
The NASA FAR Supplement (NFS) is
codified at 48 CFR part 1800.
Periodically, NASA performs a
comprehensive review and analysis of
the regulation, makes updates and
corrections, and reissues the NASA FAR
Supplement. The last reissue was in
2004. The goal of the review and
analysis is to reduce regulatory burden
where justified and appropriate and
make the NFS content and processes
more efficient and effective, faster and
simpler, in support of NASA’s mission.
Consistent with Executive Order (E.O.)
13563, Improving Regulations and
Regulatory Review, NASA is currently
reviewing and revising the NFS with an
emphasis on streamlining it and
reducing associated burdens. Due to the
volume of the NFS, these revisions are
being made in increments. This
proposed rule is the third and final rule.
The three rules together will constitute
the NFS update and reissue. This
proposed rule includes regulatory
revisions to the following ten parts of
the NFS:
1801—Federal Acquisition Regulations
Systems
1802—Definitions
1805—Publicizing Contract Actions
1807—Acquisition Planning
1812—Acquisition of Commercial Items
1813—Simplified Acquisition Procedures
1823—Environment, Energy and Water
Efficiency, Renewable Energy
Technologies, Occupational Safety, and
Drug-Free Workplace
1833—Protests, Disputes and Appeals
1836—Construction and Architect-Engineer
Contracts
1847—Transportation
1850—Extraordinary Contractual Actions and
the Safety Act
1852—Solicitation Provisions and Contract
Clauses
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Further, this proposed rule provides
notice that no regulatory changes will be
made to the following ten parts of the
NFS:
1803—Improper Business Practices and
Personal Conflicts of Interest
1804—Administrative Matters
1808—Required Sources of Supplies and
Services
1811—Describing Agency Needs
1825—Foreign Acquisition
1839—Acquisition of Information
Technology
1835—Research and Development
Contracting
1845—Government Property
1848—Value Engineering
1872—Acquisition of Investigations
NASA analyzed the existing
regulation to determine whether any
portions should be modified,
streamlined, expanded, or repealed in
order to make the regulation more
efficient and effective. Special emphasis
was placed on identifying and
eliminating or simplifying overly
burdensome processes that could be
streamlined without jeopardizing
Agency mission effectiveness.
Additionally, NASA sought to identify
current regulatory coverage that is not
regulatory in nature, and to remove or
relocate such coverage to internal
guidance. In addition to substantive
changes, this proposed rule includes
administrative changes necessary to
make minor corrections and updates.
Specifically, the changes in this
proposed rule are summarized as
follows:
1801.106 is revised to reflect currently
approved OMB Information Collection
Requests
1802.101 is revised to update the
definition of Head of Contracting
Activity to reflect internal
organizational changes.
1805.303(a)(i) is revised to delete the
dollar figure of $3.5 million but retain
the reference to the threshold at FAR
5.303(a). Consequently, if the threshold
at FAR 5.303(a) changes at any time,
NFS 1805.303(a)(i) will continue to be
correct and will not require rule-making
to reflect the FAR change.
1807.107 and 1807.107–70 are deleted
from the regulation. These sections
provide NASA-internal direction to
contracting officers and are not
regulatory in nature. These sections,
with minor edits, will remain noncodified internal guidance.
1807.7200 is revised to reflect a
change to a Web site address.
1807.7201, the definition of ‘‘contract
opportunity’’ is revised to delete
‘‘$25,000’’ and replace it with ‘‘the
simplified acquisition threshold’’.
1812.301, the list of NFS clauses
authorized for use in acquisition of
E:\FR\FM\07APP1.SGM
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Agencies
[Federal Register Volume 80, Number 66 (Tuesday, April 7, 2015)]
[Proposed Rules]
[Pages 18557-18580]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2015-07819]
=======================================================================
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 435
[EPA-HQ-OW-2014-0598; FRL-9917-78-OW]
RIN 2040-AF35
Effluent Limitations Guidelines and Standards for the Oil and Gas
Extraction Point Source Category
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: EPA proposes a Clean Water Act (CWA) regulation that would
better protect human health and the environment and protect the
operational integrity of publicly owned treatment works (POTWs) by
establishing pretreatment standards that would prevent the discharge of
pollutants in wastewater from onshore unconventional oil and gas
extraction facilities to POTWs. Unconventional oil and gas (UOG)
extraction wastewater can be generated in large quantities and contains
constituents that are potentially harmful to human health and the
environment. Because they are not typical of POTW influent wastewater,
some UOG extraction wastewater constituents can be discharged,
untreated, from the POTW to the receiving stream; can disrupt the
operation of the POTW (e.g., by inhibiting biological treatment); can
accumulate in biosolids (sewage sludge), limiting their use; and can
facilitate the formation of harmful disinfection by-products (DBPs).
Based on the information collected by EPA, the requirements in this
proposal reflect current industry practices for unconventional oil and
gas extraction facilities, therefore, EPA does not project the proposed
rule will impose any costs or lead to pollutant removals, but will
ensure that such current industry best practice is maintained over
time.
DATES: Comments on this proposed rule must be received on or before
June 8, 2015. EPA will conduct a public hearing on the proposed
pretreatment standards on May 29, 2015 at 1:00 p.m. in the EPA East
Building, Room 1153, 1201 Constitution Avenue NW., Washington, DC.
ADDRESSES: Submit your comments on the proposed rule, identified by
Docket No. EPA-HQ-OW-2014-0598 by one of the following methods:
https://www.regulations.gov: Follow the on-line
instructions for submitting comments.
Email: OW-Docket@epa.gov, Attention Docket ID No. EPA-HQ-
OW-2014-0598.
Mail: Water Docket, U.S. Environmental Protection Agency,
Mail code: 4203M, 1200 Pennsylvania Ave. NW., Washington, DC 20460.
Attention Docket ID No. EPA-HQ-OW-2014-0598. Please include three
copies.
Hand Delivery: Water Docket, EPA Docket Center, EPA West
Building Room 3334, 1301 Constitution Ave. NW., Washington, DC,
Attention Docket ID No. EPA-HQ-OW-2014-0598. Such deliveries are only
accepted during the Docket's normal hours of operation, and you should
make special arrangements for deliveries of boxed information by
calling 202-566-2426.
Instructions: Direct your comments to Docket No. EPA-HQ-OW-2014-
0598. EPA's policy is that all comments received will be included in
the public docket without change and can be made available online at
https://www.regulations.gov, including any personal information
provided, unless the comment includes information claimed to be
Confidential Business Information (CBI) or other information whose
disclosure is restricted by statute. Do not submit information that you
consider to be CBI or otherwise protected through https://www.regulations.gov or email. The https://www.regulations.gov Web site
is an ``anonymous access'' system, which means EPA will not know your
identity or contact information unless you provide it in the body of
your comment. If you send an email comment directly to EPA without
going through https://www.regulations.gov your email address will be
automatically captured and included as part of the comment that is
placed in the public docket and made available on the Internet. If you
submit an electronic comment, EPA recommends that you include your name
and other contact information in the body of your comment and with any
disk or CD-ROM you submit. If EPA cannot read your comment due to
technical difficulties and cannot contact you for clarification, EPA
will not be able to consider your comment. Electronic files should
avoid the use of special characters, any form of encryption, and be
free of any defects or viruses.
Docket: All documents in the docket are listed in the https://www.regulations.gov index. A detailed record index, organized by
subject, is available on EPA's Web site at https://water.epa.gov/scitech/wastetech/guide/oilandgas/unconv.cfm. Although listed in the
index, some information is not publicly available, e.g., CBI or other
information whose disclosure is restricted by statute. Certain other
material, such as copyrighted material, will be publicly available only
in hard copy. Publicly available docket materials are available either
electronically in https://www.regulations.gov or in hard copy at the
Water Docket in EPA Docket Center, EPA/DC, EPA West, Room 3334, 1301
Constitution Ave. NW., Washington, DC. The Public Reading Room is open
from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding legal
holidays. The telephone number for the Public Reading Room is 202-566-
1744,
[[Page 18558]]
and the telephone number for the Water Docket is 202-566-2426.
Pretreatment Hearing Information: EPA will conduct a public hearing
on the proposed pretreatment standards on May 29, 2015 at 1:00 p.m. in
the East Building, Room 1153, 1201 Constitution Avenue NW., Washington,
DC. Registration is not required for this public hearing, however pre-
registration will be possible via a link on EPA's Web site: at https://water.epa.gov/scitech/wastetech/guide/oilandgas/unconv.cfm. During the
hearing, the public will have an opportunity to provide oral comment to
EPA on the proposed pretreatment standards. EPA will not address any
issues raised during the hearing at that time but these comments will
be included in the public record for the rule. For security reasons, we
request that you bring photo identification with you to the meeting.
Also, if you let us know in advance of your plans to attend, it will
expedite the process of signing in. Seating will be provided on a
first-come, first-served basis. Please note that parking is very
limited in downtown Washington, and use of public transit is
recommended. EPA Headquarters complex is located near the Federal
Triangle Metro station. Upon exiting the Metro station, walk east to
12th Street. On 12th Street, walk south to Constitution Avenue. At the
corner, turn right onto Constitution Avenue and proceed to EPA East
Building entrance.
FOR FURTHER INFORMATION CONTACT: For technical information, contact
Lisa Biddle, Engineering and Analysis Division, Telephone: 202-566-
0350; email: biddle.lisa@epa.gov. For economic information, contact
Karen Milam, Engineering and Analysis Division, Telephone: 202-566-
1915; email: milam.karen@epa.gov.
SUPPLEMENTARY INFORMATION:
Table of Contents
I. Regulated Entities
II. How To Submit Comments
III. Supporting Documentation
IV. Overview
V. Legal Authority
VI. Purpose and Summary of Proposed Rule
A. Purpose of the Regulatory Action
B. Summary of the Proposed Rule
C. Summary of Costs and Benefits
VII. Solicitation of Data and Comments
VIII. Background
A. Clean Water Act
B. Effluent Limitations Guidelines and Standards Program
1. Best Practicable Control Technology Currently Available (BPT)
2. Best Conventional Pollutant Control Technology (BCT)
3. Best Available Technology Economically Achievable (BAT)
4. Best Available Demonstrated Control Technology (BADCT)/New
Source Performance Standards (NSPS)
5. Pretreatment Standards for Existing Sources (PSES) and
Pretreatment Standards for New Sources (PSNS)
C. Oil and Gas Extraction Effluent Guidelines Rulemaking History
1. Subpart C: Onshore
2. Subpart E: Agricultural and Wildlife Use
D. State Pretreatment Requirements That Apply to UOG Extraction
Wastewater
E. Related Federal Requirements in the Safe Drinking Water Act
IX. Summary of Data Collection
A. Site Visits and Contacts With Treatment Facilities and
Vendors
B. Meetings with Stakeholder Organizations
1. Stakeholder Organizations
2. State Stakeholders
C. Secondary Data Sources
D. Drilling Info Desktop[supreg] Data Set
E. EPA Hydraulic Fracturing Study
X. Description of the Oil and Gas Industry
A. Economic Profile
B. Industry Structure and Economic Performance
C. Financial Performance
XI. Scope
XII. Unconventional Oil and Gas Extraction: Resources, Process, and
Wastewater
A. Unconventional Oil and Gas Extraction Resources
B. Unconventional Oil and Gas Extraction Process
1. Well Drilling
2. Well Completion
3. Production
C. UOG Extraction Wastewater
1. Drilling Wastewater
2. Produced Water
D. UOG Extraction Wastewater Characteristics
1. Total Dissolved Solids (TDS) and TDS-Contributing Ions
2. Organic Constituents
3. Radioactive Constituents
E. Wastewater Management and Disposal Practices
1. Injection into Disposal Wells
2. Reuse in Fracturing
3. Transfer to Centralized Waste Treatment Facilities
4. Transfer to POTWs
XIII. Subcategorization
XIV. Proposed Regulation
A. Discussion of Options
1. PSES and PSNS Option Selection
2. Other Options Considered
B. Pollutants of Concern
C. POTW Pass Through Analysis
XV. Environmental Impacts
A. Pollutants
B. Impacts From the Discharge of Pollutants Found in UOG
Extraction Wastewater
C. Impact on Surface Water Designated Uses
1. Drinking Water Uses
2. Aquatic Life Support Uses
3. Livestock Watering Uses
4. Irrigation Uses
5. Industrial Uses
XVI. Non-Water Quality Environmental Impacts Associated With the
Proposed Rule
XVII. Implementation
A. Implementation Deadline
B. Upset and Bypass Provisions
C. Variances and Modifications
XVIII. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review and
Executive Order 13563: Improving Regulation and Regulatory Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments
G. Executive Order 13045: Protection of Children From
Environmental Health and Safety Risks
H. Executive Order 13211: Energy Effects
I. National Technology Transfer Advancement Act
J. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
I. Regulated Entities
Entities potentially regulated by this proposed action include:
------------------------------------------------------------------------
North American
Industry
Category Examples of regulated Classification
entities System (NAICS)
Code
------------------------------------------------------------------------
Industry..................... Crude Petroleum and 211111
Natural Gas
Extraction.
Natural Gas Liquid 211112
Extraction.
------------------------------------------------------------------------
This section is not intended to be exhaustive, but rather provides
a guide for readers regarding entities likely to be regulated by this
proposed action. Other types of entities that do not meet the above
criteria could also be regulated. To determine whether your facility
would be regulated by this proposed action, you should carefully
examine
[[Page 18559]]
the applicability criteria listed in 40 CFR 435.30 and the definitions
in 40 CFR 435.33(b) of the proposed rule and detailed further in
Section XI--Scope, of this preamble. If you still have questions
regarding the proposed applicability of this action to a particular
entity, consult the person listed for technical information in the
preceding FOR FURTHER INFORMATION CONTACT section.
II. How To Submit Comments
The public can submit comments in written or electronic form. (See
the ADDRESSES section above.) Electronic comments must be identified by
the Docket No. EPA-HQ-OW-2014-0598 and must be submitted as a MS Word,
WordPerfect, or ASCII text file, avoiding the use of special characters
and any form of encryption. EPA requests that any graphics included in
electronic comments also be provided in hard-copy form. EPA also will
accept comments and data on disks in the aforementioned file formats.
Electronic comments received on this notice can be filed online at many
Federal Depository Libraries. No confidential business information
(CBI) should be sent by email.
III. Supporting Documentation
The proposed rule is supported by a number of documents including
the Technical Development Document for Proposed Effluent Limitations
Guidelines and Standards for Oil and Gas Extraction (TDD), Document No.
EPA-821-R-15-003 (DCN SGE00704). This and other supporting documents
are available in the public record for this proposed rule and on EPA's
Web site at https://water.epa.gov/scitech/wastetech/guide/oilandgas/unconv.cfm.
IV. Overview
This preamble describes the reasons for the proposed rule; the
legal authority for the proposed rule; a summary of the options
considered for the proposal; background information, including terms,
acronyms, and abbreviations used in this document; and the technical
and economic methodologies used by the Agency to develop the proposed
rule. In addition, this preamble also solicits comment and data from
the public.
V. Legal Authority
EPA proposes this regulation under the authorities of sections 101,
301, 304, 306, 307, 308, and 501 of the CWA, 33 U.S.C. 1251, 1311,
1314, 1316, 1317, 1318, 1324, and 1361.
VI. Purpose and Summary of Proposed Rule
A. Purpose of the Regulatory Action
Responsible development of America's oil and gas resources offers
important economic, energy security, and environmental benefits. EPA is
working with states and other stakeholders to understand and address
potential impacts of hydraulic fracturing, an important process
involved in producing unconventional oil and natural gas, so the public
has confidence that oil and natural gas production will proceed in a
safe and responsible manner.\1\ EPA is moving forward with several
initiatives to provide regulatory clarity with respect to existing laws
and using existing authorities where appropriate to enhance human
health and environmental safeguards. This proposed rule would fill a
gap in existing federal wastewater regulations to ensure that the
current practice of not sending wastewater discharges from this sector
to POTWs continues into the future. This proposed rule does not,
however, address the practice of underground injection of wastewater
discharges from this sector since such activity is not subject to the
CWA but rather the Safe Drinking Water Act (SDWA) (see TDD Chapter
A.3).
---------------------------------------------------------------------------
\1\ For more information on EPA's continued engagement with
states and other stakeholders, see: https://www2.epa.gov/hydraulicfracturing.
---------------------------------------------------------------------------
Recent advances in the well completion process, combining hydraulic
fracturing and horizontal drilling, have made extraction of oil and
natural gas from low permeability, low porosity geologic formations
(referred to hereafter as unconventional oil and gas (UOG) resources)
more technologically and economically feasible than it had been. As a
result, according to the U.S. Department of Energy (DOE), in 2012, U.S.
crude oil and natural gas production reached their highest levels in
more than 15 and 30 years, respectively (DCN SGE00989). DOE projects
natural gas production in the U.S. will likely increase by 56 percent
by 2040, compared to 2012 production levels (DCN SGE00989). Similarly,
DOE projects that by 2019, crude oil production in the United States
(U.S.) will increase by 48 percent compared to 2012 production levels
(DCN SGE00989).
Hydraulic fracturing is used to extract oil and natural gas from
highly impermeable rock formations, such as shale rock, by injecting
fracturing fluids at high pressures to create a network of fissures in
the rock formations and give the oil and/or natural gas a pathway to
travel to the well for extraction. Pressure within the low
permeability, low porosity geologic formations forces wastewaters, as
well as oil and/or gas, to the surface. In this proposed rulemaking,
oil and gas extraction includes production, field exploration,
drilling, well completion, and/or well treatment; wastewater sources
associated with these activities in low permeability, low porosity
formations are collectively referred to as UOG extraction wastewater.
Direct discharges of oil and gas extraction wastewater pollutants
from onshore oil and gas resources, including UOG resources, to waters
of the U.S. have been regulated since 1979 under the existing Oil and
Gas Effluent Limitations Guidelines and Standards (ELGs) (40 CFR part
435), the majority of which fall under subpart C, the Onshore
Subcategory. The limitations for direct dischargers in the Onshore
Subcategory represent Best Practicable Control Technology Currently
Available (BPT). Based on the availability and economic practicability
of underground injection technologies, the BPT-based limitations for
direct dischargers require zero discharge of pollutants to waters of
the U.S. However, there are currently no requirements in subpart C that
apply to onshore oil and gas extraction facilities that are ``indirect
dischargers,'' i.e., those that send their discharges to POTWs
(municipal wastewater treatment facilities) which treat the water
before discharging it to waters of the U.S.
UOG extraction wastewater can be generated in large quantities and
contains constituents that are potentially harmful to human health and
the environment. Wastewater from UOG wells often contains high
concentrations of total dissolved solids (TDS) (salt content). The
wastewater can also contain various organic chemicals, inorganic
chemicals, metals, and naturally-occurring radioactive materials
(referred to as technologically enhanced naturally occurring
radioactive material or TENORM).\2\ This potentially harmful wastewater
creates a need for appropriate wastewater
[[Page 18560]]
management infrastructure and management practices. Historically,
operators primarily managed their wastewater via underground injection
(where available). Where UOG wells were drilled in areas with limited
underground injection wells, and/or there was a lack of wastewater
management alternatives, it became more common for operators to look to
public and private wastewater treatment facilities to manage their
wastewater.
---------------------------------------------------------------------------
\2\ Naturally occurring radioactive materials that have been
concentrated or exposed to the accessible environment as a result of
human activities such as manufacturing, mineral extraction, or water
processing is referred to as technologically enhanced naturally
occurring radioactive material (TENORM). ``Technologically
enhanced'' means that the radiological, physical, and chemical
properties of the radioactive material have been altered by having
been processed, or beneficiated, or disturbed in a way that
increases the potential for human and/or environmental exposures.
(See EPA 402-r-08-005-v2)
---------------------------------------------------------------------------
POTWs collect wastewater from homes, commercial buildings, and
industrial facilities and pipe it to their sewage treatment plant. In
some cases, industrial dischargers can haul wastewater to the treatment
plant by tanker truck. The industrial wastewater, commingled with
domestic wastewater, is treated by the POTW and discharged to a
receiving waterbody. However, most POTWs are designed primarily to
treat municipally generated, not industrial, wastewater. They typically
provide at least secondary level treatment and, thus, are designed to
remove suspended solids and organic material using biological
treatment. As mentioned previously, wastewater from UOG extraction can
contain high concentrations of TDS, radioactive elements, metals,
chlorides, sulfates, and other dissolved inorganic constituents that
POTWs are not designed to remove. Because they are not typical of POTW
influent wastewater, some UOG extraction wastewater constituents can be
discharged, untreated, from the POTW to the receiving stream; can
disrupt the operation of the POTW (e.g., by inhibiting biological
treatment); can accumulate in biosolids (sewage sludge), limiting their
use; and can facilitate the formation of harmful DBPs.
Under section 307(b) of the CWA, there are general and specific
prohibitions on the discharge to POTWs of pollutants in specified
circumstances in order to prevent ``pass through'' or ``interference.''
Pass through is defined as whenever the introduction of pollutants from
a user will result in a discharge that causes or contributes to a
violation of any requirement of the POTW permit. See 40 CFR 403.3(p).
Interference means a discharge that, among other things, inhibits or
disrupts the POTW or prevents biosolids use consistent with the POTW's
chosen method of disposal. See 40 CFR 403.3(k). These general and
specific prohibitions must be implemented through local limits
established by POTWs in certain cases. See 40 CFR 403.5(c). POTWs with
approved pretreatment programs must develop and enforce local limits to
implement the general prohibitions on user discharges that pass through
or interfere with the POTW or discharges to the POTW prohibited under
the specific prohibitions in 40 CFR 403.5(b). In the case of POTWs not
required to develop a pretreatment program, the POTWs must develop
local limits where there is interference or pass through and the limits
are necessary to ensure compliance with the POTW's National Pollutant
Discharge Elimination System (NPDES) permit or biosolids use.
Under section 307(b) of the CWA, EPA is authorized to establish
nationally applicable pretreatment standards for industrial categories
that discharge indirectly (i.e., requirements for an industrial
discharge category that sends its wastewater to any POTW) for key
pollutants, such as TDS and its constituents, not susceptible to
treatment by POTWs or for pollutants that would interfere with the
operation of POTWs. Generally, EPA designs nationally applicable
pretreatment standards for categories of industry (also referred to as
categorical pretreatment standards) to ensure that wastewaters from
direct and indirect industrial dischargers are subject to similar
levels of treatment. EPA, in its discretion under section 304(g) of the
Act, periodically evaluates indirect dischargers not subject to
categorical pretreatment standards to identify potential candidates for
new pretreatment standards. To date, EPA has not established nationally
applicable pretreatment standards for the onshore oil and gas
extraction point source subcategory.
To legally discharge wastewater, the POTW must have an NPDES permit
that limits the type and quantity of pollutants that it can discharge.
Discharges from POTWs are subject to the secondary treatment effluent
limitations at 40 CFR part 133, which address certain conventional
pollutants but do not address the main parameters of concern in UOG
extraction wastewater (e.g., TDS, chloride, radionuclides, etc.). POTWs
are also subject to water quality-based effluent limitations (WQBELs)
where necessary to protect state water quality standards, as required
under CWA section 301(b)(1)(C).
It is currently uncommon for POTWs to establish local limits for
some of the parameters of concern identified for this proposed
rulemaking. This is due to a number of factors, including lack of
sufficient information regarding pollutants in the wastewater being
sent to POTWs; lack of national water quality recommendations for key
pollutants, such as TDS; and lack of state water quality criteria for
such key pollutants in some states, all of which can create significant
informational hurdles to including appropriate WQBELs in POTW permits.
Where a POTW's permit does not contain a WQBEL for all of the
constituents of concern in the wastewater being sent to POTWs, it is
difficult to demonstrate pass through of industrial pollutants (because
``pass through'' here means making the POTW exceed its permit limits),
and thus difficult for POTWs to establish local limits to implement the
general prohibition in the pretreatment regulations. See Section XV.
for additional information.
As a result of the gap in federal CWA regulations, increases in
onshore oil and gas extraction from UOG resources and the related
generation of wastewater requiring management, concerns over the level
of treatment provided by public wastewater treatment facilities, as
well as potential interference with treatment processes, and concerns
over water quality and aquatic life impacts that can result from
inadequate treatment, EPA proposes technology-based categorical
pretreatment standards under the CWA for discharges of pollutants into
POTWs from existing and new onshore UOG extraction facilities in
subpart C of 40 CFR part 435. Consistent with existing BPT-based
requirements for direct dischargers in this subcategory, EPA proposes
pretreatment standards for existing and new sources (PSES and PSNS,
respectively) that would prohibit the indirect discharge of wastewater
pollutants associated with onshore UOG extraction facilities.
Based on the information reviewed as part of this proposed
rulemaking, this proposed prohibition reflects current industry
practice. EPA has not identified any existing onshore UOG extraction
facilities that currently discharge UOG extraction wastewater to POTWs.
However, because onshore unconventional oil and gas extraction
facilities have discharged to POTWs in the past, and because the
potential remains that some facilities can consider discharging to
POTWs in the future, EPA proposes this rule.
B. Summary of the Proposed Rule
EPA proposes pretreatment standards for existing and new sources
(PSES and PSNS, respectively) that would prohibit the indirect
discharge of wastewater pollutants associated with onshore UOG
extraction facilities. EPA is defining UOG extraction wastewater as
sources of wastewater pollutants associated with production, field
exploration, drilling, well completion, or well treatment for
[[Page 18561]]
unconventional oil and gas extraction (e.g., produced water (which
includes formation water, injection water, and any chemicals added
downhole or during the oil/water separation process); drilling muds;
drill cuttings; produced sand). According to sources surveyed by EPA
(see Section IX), there are no known discharges to POTWs from UOG
extraction at the time of this proposal. UOG extraction wastewater is
typically managed through disposal via underground injection wells,
reuse in subsequent fracturing jobs, or transfer to a privately owned
wastewater treatment facility (see Section XII.E). EPA proposes PSES
and PSNS that would require zero discharge of pollutants and be
effective on the effective date of this rule.
EPA does not propose pretreatment standards for wastewater
pollutants associated with conventional oil and gas extraction
facilities at this time (see Section XIV). EPA proposes to reserve such
standards to a future rulemaking, if appropriate.
C. Summary of Costs and Benefits
Because the data reviewed by EPA show that the UOG extraction
industry is not currently managing wastewaters by sending them to
POTWs, the proposed rule causes no incremental change to current
industry practice that EPA measured as compliance costs or monetized
benefits.
Still, EPA has considered that while states, localities, and POTWs
are not currently approving these wastewaters for acceptance at POTWs,
some POTWs continue to receive requests to accept UOG extraction
wastewater (DCN SGE00742; DCN SGE00743; DCN SGE00762). This proposed
rule would provide regulatory certainty and would eliminate the burden
on POTWs to analyze such requests.
The proposed rule would also eliminate the need to develop
requirements in states where UOG extraction is not currently occurring,
but is likely to occur in the future. There are few states where
existing regulations address UOG extraction wastewater discharges to
POTWs (see Section VIII.D. and TDD Chapter A.2.). While EPA knows there
will likely be some reduction in state and POTW staff time and
resources, EPA did not attempt to estimate, quantitatively, monetary
savings associated with the reduced burden to states and localities
that would result from this proposed rule.
Most POTWs are not able to sufficiently treat TDS and many other
pollutants in UOG extraction wastewater, and thus this proposed rule
would potentially prevent elevated TDS and the presence of other
pollutants in POTW effluent. Prevention of the discharge of TDS
accomplished by the proposed rule would further protect water quality
because national water quality criteria recommendations have not yet
been established for many constituents of TDS.
The proposed rule could impose some costs on industry if
discharging wastewaters to POTWs becomes economically attractive to UOG
operations relative to other management options such as reuse or
disposal via underground injection wells in the future. EPA did not
estimate these potential compliance costs or environmental benefits
because of the uncertainty about future demand for POTWs to accept UOG
extraction wastewaters and the associated incremental costs or
benefits.
VII. Solicitation of Data and Comments
EPA solicits comments on the proposed rule, including EPA's
rationale as described in this preamble. EPA seeks comments on issues
specifically identified in this document as well as any other issues
that are not specifically addressed in this document. Comments are most
helpful when accompanied by specific examples and supporting data.
Specifically, EPA solicits information and data on the following
topics.
1. EPA's proposed definitions of UOG and UOG extraction wastewater
and specifically whether the proposed definition of unconventional oil
and gas is sufficiently clear to enable oil and gas extraction
operators and/or pretreatment authorities to determine whether specific
wastewaters are from conventional or unconventional sources. See
Section XII.
2. Whether or not there are any existing onshore UOG extraction
facilities that currently discharge UOG extraction wastewater to POTWs
in the U.S. See Section XII.E.4. If existing discharges to POTWs are
identified, EPA requests comment on whether or not the proposed
effective date remains appropriate. See Section XVII.
3. Costs and benefits to POTWs, states, and localities associated
with the proposed rule. See Section VI.C.
4. Volumes of, and pollutants and concentrations in, wastewater
generated from UOG extraction. See Section XII.
5. The nature and frequency of requests received by POTWs to accept
UOG extraction wastewater, and the likelihood that such requests will
continue to be submitted in the future. EPA is particularly interested
in hearing from POTWs and states on this matter. See Section VI.C. and
Section XIV.A.2.
6. Volumes of, and pollutants and concentrations in, wastewater
generated from conventional oil and gas extraction. See Section
XIV.A.2.c.
7. The prevalence of conventional oil and gas wastewater discharges
to POTWs, including information on any pretreatment that could be
applied, geologic formations the gas or oil is extracted from, and
locations within the U.S. See Section XII. and Section XIV.A.2.
8. Removal and ``pass through'' of UOG extraction wastewater
pollutants at POTWs. See Section XIV. and Section XII.E.4.
9. The environmental impacts of UOG extraction wastewater
discharges to POTWs. See Section XV.
VIII. Background
A. Clean Water Act
Congress passed the Federal Water Pollution Control Act Amendments
of 1972, also known as the CWA, to ``restore and maintain the chemical,
physical, and biological integrity of the Nation's waters.'' 33 U.S.C.
1251(a). The CWA establishes a comprehensive program for protecting our
nation's waters. Among its core provisions, the CWA prohibits the
discharge of pollutants from a point source to waters of the U.S.,
except as authorized under the CWA. Under section 402 of the CWA,
discharges can be authorized through a NPDES permit. The CWA
establishes a two-pronged approach for these permits, technology-based
controls that establish the floor of performance for all dischargers,
and water quality-based limits where the technology-based limits are
insufficient for the discharge to meet applicable water quality
standards. To serve as the basis for the technology-based controls, the
CWA authorizes EPA to establish national technology-based effluent
limitations guidelines and new source performance standards for
discharges from different categories of point sources, such as
industrial, commercial, and public sources, that discharge directly
into waters of the U.S.
The CWA also authorizes EPA to promulgate nationally applicable
pretreatment standards that restrict pollutant discharges from
facilities that discharge pollutants indirectly, by sending wastewater
to POTWs, as outlined in sections 307(b) and (c) and 33 U.S.C. 1317(b)
and (c). Specifically, the CWA authorizes that EPA establish
pretreatment standards for those pollutants in wastewater from indirect
dischargers that EPA determines are not susceptible to treatment by a
POTW or which would interfere with POTW
[[Page 18562]]
operations. Pretreatment standards must be established to prevent the
discharge of any pollutant that can pass through, interfere with, or
are otherwise incompatible with POTW operations. CWA sections 307(b)
and (c). The legislative history of the 1977 CWA amendments explains
that pretreatment standards are technology-based and analogous to BAT
effluent limitations for the removal of toxic pollutants. As further
explained in the legislative history, the combination of pretreatment
and treatment by the POTW is intended to achieve the level of treatment
that would be required if the industrial source were making a direct
discharge. Conf. Rep. No. 95-830, at 87 (1977), reprinted in U.S.
Congress. Senate. Committee on Public Works (1978), A Legislative
History of the CWA of 1977, Serial No. 95-14 at 271 (1978).
Direct dischargers (those discharging directly to surface waters)
must comply with effluent limitations in NPDES permits. Technology-
based effluent limitations in NPDES permits for direct dischargers are
derived from effluent limitations guidelines (CWA sections 301 and 304)
and new source performance standards (CWA section 306) promulgated by
EPA, or based on best professional judgment (BPJ) where EPA has not
promulgated an applicable effluent guideline or new source performance
standard (CWA section 402(a)(1)(B) and 40 CFR 125.3). Additional
limitations based on water quality standards are also required to be
included in the permit where necessary to meet water quality standards.
CWA section 301(b)(1)(C). The effluent guidelines and new source
performance standards are established by regulation for categories of
industrial dischargers and are based on the degree of control that can
be achieved using various levels of pollution control technology, as
specified in the Act.
EPA promulgates national effluent guidelines and new source
performance standards for major industrial categories for three classes
of pollutants: (1) Conventional pollutants (total suspended solids, oil
and grease, biochemical oxygen demand (BOD5), fecal
coliform, and pH), as outlined in CWA section 304(a)(4) and 40 CFR
401.16; (2) toxic pollutants (e.g., metals such as arsenic, mercury,
selenium, and chromium; and organic pollutants such as benzene, benzo-
a-pyrene, phenol, and naphthalene), as outlined in section 307(a) of
the Act, 40 CFR 401.15 and 40 CFR part 423, appendix A; and (3)
nonconventional pollutants, which are those pollutants that are not
categorized as conventional or toxic (e.g., ammonia-N, phosphorus, and
TDS).
B. Effluent Limitations Guidelines and Standards Program
EPA develops ELGs that are technology-based regulations for
specific categories of dischargers. EPA bases these regulations on the
performance of control and treatment technologies. The legislative
history of CWA section 304(b), which is the heart of the effluent
guidelines program, describes the need to press toward higher levels of
control through research and development of new processes,
modifications, replacement of obsolete plants and processes, and other
improvements in technology, taking into account the cost of controls.
Congress has also stated that EPA need not consider water quality
impacts on individual water bodies as the guidelines are developed; see
Statement of Senator Muskie (October 4, 1972), reprinted in U.S. Senate
Committee on Public Works, Legislative History of the Water Pollution
Control Act Amendments of 1972, Serial No. 93-1, at 170).
There are four types of standards applicable to direct dischargers
(facilities that discharge directly to surface waters), and two types
of standards applicable to indirect dischargers (facilities that
discharge to POTWs), described in detail below. Subsections 1 through 4
describe standards for direct discharges and subsection 5 describes
standards for indirect discharges.
1. Best Practicable Control Technology Currently Available (BPT)
Traditionally, EPA defines BPT effluent limitations based on the
average of the best performances of facilities within the industry,
grouped to reflect various ages, sizes, processes, or other common
characteristics. BPT effluent limitations control conventional, toxic,
and nonconventional pollutants. In specifying BPT, EPA looks at a
number of factors. EPA first considers the cost of achieving effluent
reductions in relation to the effluent reduction benefits. The Agency
also considers the age of equipment and facilities, the processes
employed, engineering aspects of the control technologies, any required
process changes, non-water quality environmental impacts (including
energy requirements), and such other factors as the Administrator deems
appropriate. See CWA section 304(b)(1)(B). If, however, existing
performance is uniformly inadequate, EPA can establish limitations
based on higher levels of control than what is currently in place in an
industrial category, when based on an Agency determination that the
technology is available in another category or subcategory, and can be
practically applied.
2. Best Conventional Pollutant Control Technology (BCT)
The 1977 amendments to the CWA require EPA to identify additional
levels of effluent reduction for conventional pollutants associated
with BCT technology for discharges from existing industrial point
sources. In addition to other factors specified in section
304(b)(4)(B), the CWA requires that EPA establish BCT limitations after
consideration of a two-part ``cost reasonableness'' test. EPA explained
its methodology for the development of BCT limitations in July 9, 1986
(51 FR 24974). Section 304(a)(4) designates the following as
conventional pollutants: BOD5, total suspended solids (TSS),
fecal coliform, pH, and any additional pollutants defined by the
Administrator as conventional. The Administrator designated oil and
grease as an additional conventional pollutant on July 30, 1979 (44 FR
44501; 40 CFR part 401.16).
3. Best Available Technology Economically Achievable (BAT)
BAT represents the second level of stringency for controlling
direct discharge of toxic and nonconventional pollutants. In general,
BAT-based effluent guidelines and new source performance standards
represent the best available economically achievable performance of
facilities in the industrial subcategory or category. Following the
statutory language, EPA considers the technological availability and
the economic achievability in determining what level of control
represents BAT. CWA section 301(b)(2)(A). Other statutory factors that
EPA considers in assessing BAT are the cost of achieving BAT effluent
reductions, the age of equipment and facilities involved, the process
employed, potential process changes, and non-water quality
environmental impacts, including energy requirements and such other
factors as the Administrator deems appropriate. CWA section
304(b)(2)(B). The Agency retains considerable discretion in assigning
the weight to be accorded these factors. Weyerhaeuser Co. v. Costle,
590 F.2d 1011, 1045 (D.C. Cir. 1978).
4. Best Available Demonstrated Control Technology (BADCT)/New Source
Performance Standards (NSPS)
NSPS reflect effluent reductions that are achievable based on the
best available demonstrated control
[[Page 18563]]
technology (BADCT). Owners of new facilities have the opportunity to
install the best and most efficient production processes and wastewater
treatment technologies. As a result, NSPS should represent the most
stringent controls attainable through the application of the BADCT for
all pollutants (that is, conventional, nonconventional, and toxic
pollutants). In establishing NSPS, EPA is directed to take into
consideration the cost of achieving the effluent reduction and any non-
water quality environmental impacts and energy requirements. CWA
section 306(b)(1)(B).
5. Pretreatment Standards for Existing Sources (PSES) and New Sources
(PSNS)
As discussed above, section 307(b) of the Act calls for EPA to
issue pretreatment standards for discharges of pollutants from existing
sources to POTWs. Section 307(c) of the Act calls for EPA to promulgate
pretreatment standards for new sources (PSNS). Both standards are
designed to prevent the discharge of pollutants that pass through,
interfere with, or are otherwise incompatible with the operation of
POTWs. Categorical pretreatment standards for existing sources are
technology-based and are analogous to BPT and BAT effluent limitations
guidelines, and thus the Agency typically considers the same factors in
promulgating PSES as it considers in promulgating BAT. See Natural
Resources Defense Council v. EPA, 790 F.2d 289, 292 (3rd Cir. 1986).
Similarly, in establishing pretreatment standards for new sources, the
Agency typically considers the same factors in promulgating PSNS as it
considers in promulgating NSPS (BADCT).
C. Oil and Gas Extraction Effluent Guidelines Rulemaking History
EPA promulgated the first Oil and Gas Extraction ELGs (40 CFR part
435) in 1979, and substantially amended the regulation in 1993
(Offshore), 1996 (Coastal), and 2001 (Synthetic-based drilling fluids).
The Oil and Gas Extraction industry is subcategorized in 40 CFR part
435 as follows: (1) Subpart A: Offshore; (2) subpart C: Onshore; (3)
subpart D: Coastal; (4) subpart E: Agricultural and Wildlife Water Use;
and (5) subpart F: Stripper.
The existing subpart C regulation covers wastewater discharges from
field exploration, drilling, production, well treatment, and well
completion activities in the oil and gas industry. Although
unconventional oil and gas resources occur in offshore and coastal
regions, recent development of UOG resources in the U.S. has occurred
primarily onshore in regions to which the regulations in subpart C
(Onshore) and subpart E (Agricultural and Wildlife Water Use) apply and
thus, the gap in onshore regulations is the focus of this proposed
rulemaking effort. For this reason, only the regulations that apply to
onshore oil and gas extraction are described in more detail here.
1. Subpart C: Onshore
Subpart C applies to facilities engaged in the production, field
exploration, drilling, well completion, and well treatment in the oil
and gas extraction industry which are located landward of the inner
boundary of the territorial seas--and which are not included in the
definition of other subparts--including subpart D (Coastal). The
regulations at 40 CFR 435.32 specify the following for BPT: There shall
be no discharge of waste water pollutants into navigable waters from
any source associated with production, field exploration, drilling,
well completion, or well treatment (i.e., produced water, drilling
muds, drill cuttings, and produced sand). The existing regulations do
not include national categorical pretreatment standards for discharges
to POTWs. The existing oil and gas extraction ELGs did not establish
requirements that would apply to privately-owned wastewater treatment
facilities that accept oil and gas extraction wastewaters but that are
not engaged in production, field exploration, drilling, well
completion, or well treatment. Discharges from such facilities are not
subject to 40 CFR part 435, but rather are subject to requirements in
40 CFR part 437, the Centralized Waste Treatment Category.
2. Subpart E: Agricultural and Wildlife Use
Subpart E applies to onshore facilities located in the continental
U.S. and west of the 98th meridian for which the produced water has a
use in agriculture or wildlife propagation when discharged into
navigable waters. Definitions in 40 CFR 435.51(c) explain that the term
``use in agricultural or wildlife propagation'' means that (1) the
produced water is of good enough quality to be used for wildlife or
livestock watering or other agricultural uses; and (2) the produced
water is actually put to such use during periods of discharge. The
regulations at 40 CFR 435.52 specify that the only allowable discharge
is produced water, with an oil and grease concentration not exceeding
35 milligrams per liter (mg/L). The BPT regulations prohibit the
discharge of waste pollutants into navigable waters from any source
(other than produced water) associated with production, field
exploration, drilling, well completion, or well treatment (i.e.,
drilling muds, drill cuttings, produced sands).
D. State Pretreatment Requirements That Apply to UOG Extraction
Wastewater
In addition to applicable federal requirements, some states
regulate the management, storage, and disposal of UOG extraction
wastewater, including regulations concerning pollutant discharges to
POTWs from oil and gas extraction facilities. In addition to
pretreatment requirements, some states have indirectly addressed the
issue of pollutant discharges to POTWs by limiting the management and
disposal options available for operators to use.
During initial development of Marcellus shale gas resources, some
operators managed UOG wastewater by transfer to POTWs. EPA did not
identify other areas in the U.S. where POTWs routinely accepted UOG
extraction wastewaters. Refer to TDD Chapter A.2 which summarizes how
Pennsylvania, Ohio, and West Virginia responded to UOG extraction
wastewater discharges into their POTWs. EPA did not identify any state
level requirements that require zero discharges of pollutants from UOG
operations to POTWs in the same manner as the proposed rule.
E. Related Federal Requirements in the Safe Drinking Water Act
As required by the SDWA section 1421, EPA has promulgated
regulations to protect underground sources of drinking water through
Underground Injection Control (UIC) programs that regulate the
injection of fluids underground. These regulations are found at 40 CFR
parts 144-148, and specifically prohibit any underground injection not
authorized by UIC permit. 40 CFR 144.11. The regulations classify
underground injection into six classes; wells that inject fluids
brought to the surface in connection with oil and gas production are
classified as Class II UIC wells. Thus, onshore oil and gas extraction
facilities that seek to meet the zero discharge requirements of the
existing ELGs or proposed pretreatment standard through underground
injection of wastewater must obtain a Class II UIC permit for such
disposal.
IX. Summary of Data Collection
In developing the proposed rule, EPA considered information
collected through site visits and telephone contacts with UOG facility
operators, facilities that treat and/or dispose of UOG extraction
wastewater, and wastewater management equipment
[[Page 18564]]
vendors. EPA also collected information through outreach to
stakeholders including industry organizations, environmental
organizations, and state regulators. EPA conducted an extensive review
of published information and participated in industry conferences and
webinars. The following describes EPA's data collection activities that
support the proposed rule.
A. Site Visits and Contacts With Treatment Facilities and Vendors
EPA conducted seven site visits between May, 2012 and September,
2013 to UOG extraction companies and UOG extraction wastewater
treatment facilities. The purpose of these visits was to collect
information about facility operations, wastewater generation and
management practices, and wastewater treatment and reuse. Six of the
seven visits were to facilities in Pennsylvania, and one was in
Arkansas, however, information collected often covered operations
beyond just those visited during the site visits, at times including
company operations in many UOG formations across the U.S. In addition
to site visits, EPA conducted 11 telephone conferences or meetings with
UOG operators and facilities that treat and/or dispose of UOG
extraction wastewater. EPA collected detailed information from the
facilities visited and contacted, such as information about the
operations associated with wastewater generation, wastewater treatment,
and reuse. EPA also contacted 11 vendors of equipment and processes
used to manage and treat UOG extraction wastewater. EPA prepared site
visit and telephone meeting reports, and telephone call reports
summarizing the collected information. EPA has included in the public
record site visit reports, meeting reports, and telephone contact
reports that contain all information collected for which facilities
have not asserted a claim of CBI.
B. Meetings With Stakeholder Organizations
Since announcing initiation of this proposed rulemaking activity,
EPA has actively reached out to interested stakeholders to solicit
input from well operators, industry trade associations, interested
regulatory authorities, technology vendors, and environmental
organizations. Stakeholder involvement in the regulatory development
process is essential to the success of this effort. EPA will continue
to engage with the affected regulated sector and concerned stakeholders
throughout the rulemaking process.
1. Stakeholder Organizations
In addition to the site visit related activities described above,
EPA participated in multiple meetings with industry stakeholders, their
representatives, and/or their members, including America's Natural Gas
Alliance (ANGA), American Petroleum Institute (API) and the Independent
Petroleum Association of America (IPAA). The purpose of the meetings
was to discuss EPA's thinking concerning a pretreatment standard for
the UOG extraction industry, to better understand industry wastewater
management practices, and to gather information to inform its proposed
rulemaking (see DCN SGE00967).
EPA participated in conference calls with the environmental
stakeholders, Environmental Defense Fund (EDF) and Clean Water Action.
The purpose of these meetings was to explain EPA's thinking about the
standard under development and learn about the perspectives of these
stakeholders regarding wastewater management in the UOG extraction
industry.
EPA participated in a two conference calls with the Center for
Sustainable Shale Development (CSSD), a collaborative group made up of
environmental organizations, philanthropic foundations, and energy
companies from the Appalachian Basin. The purpose of these calls was to
learn about the performance standards under development by the CSSD for
sustainable shale gas development, based on an ``independent, third-
party evaluation process.''
2. State Stakeholders
In an effort to improve future implementation of any UOG
regulation, EPA initiated an EPA-State implementation pilot project
coordinated by the Environmental Council of States (ECOS) and the
Association of Clean Water Administrators (ACWA) to draw on experience
of state agency experts. Through this pilot project, EPA has been able
to more thoroughly consider the strengths and weaknesses of different
approaches in order to select one that produces environmental results
while more fully considering implementation burden. This pilot effort
with the states has also been an opportunity to hear ideas on how
technology innovation can be fostered during both development and
implementation of the regulation.
In addition to the state implementation pilot, EPA also reached out
to EPA regional, as well as state, pretreatment coordinators. One way
EPA did this was by participating in calls, where EPA staff learned
about past or present discharges to POTWs from UOG operations. See DCN
SGE00742; DCN SGE00743.
C. Secondary Data Sources
EPA conducted an extensive search and review of published
information about UOG development, wastewater generation and management
practices, and wastewater treatment, disposal, and reuse. Because of
the rapid developments in the UOG industry, in addition to reviewing
published information, EPA participated in more than 10 industry
conferences and webinars between March 2012 and June 2014. Presenters
at these conferences provided information about current industry
wastewater management practices. EPA also obtained information from EPA
Regions and states. EPA Region 3 provided information about the
development of the Marcellus shale gas industry and disposal of shale
gas wastewater, including discharges to POTWs.
D. Drilling Info Desktop[supreg] Data Set
EPA used a propriety database of all oil and gas wells in the U.S.,
called DI Desktop[supreg], obtained from DrillingInfo. This
comprehensive database includes information such as well API number,
operator name, basin (e.g., Western Gulf), formation (e.g., Eagle
Ford), well depth, drilling type (horizontal, directional, vertical),
and completion date. It also includes annual oil, gas, and water
production for each well. EPA primarily used this database to quantify
and identify locations of existing UOG wells, quantify wastewater
generation rates, and supplement geological information (e.g., basin,
formation) in other data sources.
E. EPA Hydraulic Fracturing Study
At the request of Congress, EPA's Office of Research and
Development is conducting a study to better understand any potential
impacts of hydraulic fracturing on drinking water resources. The scope
of the research includes the full lifecycle of water in hydraulic
fracturing, including wastewater management and disposal. In support of
its study, EPA conducted a series of technical workshops, including,
among others, a workshop on Wastewater Treatment and Related Modeling.
In support of the proposed rule, EPA reviewed information collected in
support of the Congressionally-mandated study and attended meetings,
workshops, and roundtable discussions pertaining to water and
wastewater management and treatment in the UOG extraction industry. See
DCN SGE00063,
[[Page 18565]]
DCN SGE00585, DCN SGE00604, DCN SGE00614, DCN SGE00616, DCN SGE00691,
and DCN SGE00721.
X. Description of the Oil and Gas Industry
Oil and Gas Extraction is the exploration and production of crude
oil and natural gas from wells. Refer to Section XII for additional
background on unconventional gas resources, extraction processes, and
wastewater generation. As explained previously, the scope of this
proposed rulemaking is limited to pretreatment standards for wastewater
generated from unconventional, rather than conventional, oil and gas
extraction facilities. The description here provides a broader
description of the oil and gas industry in order to provide the context
in which the UOG industry lies.
A. Economic Profile
The major products of the Oil and Gas Extraction Industry are
petroleum, natural gas, and natural gas liquids.\3\ Domestic
consumption of crude oil and petroleum products is met by a combination
of domestic production and imports. Like oil consumption, natural gas
consumption is met both by domestic production and imports of natural
gas, although imports contribute a much lower share of total domestic
consumption for natural gas than for oil. Domestic consumption of
natural gas rose throughout the 1980s and 1990s due to low prices
relative to prices for oil products. This led to investments in
infrastructure for natural gas, especially electric generation
facilities (DCN SGE00809). According to 2012 Energy Information
Administration (EIA) data, 8 percent of the gross domestic supply of
natural gas (from domestic production and imports) was consumed in the
natural gas production and delivery process, as lease and plant fuel (5
percent of total) and fuel for pipeline and distribution services (3
percent of total) (DCN SGE00906). The remaining 92 percent of gross
supply is available to natural gas consumers, and was delivered to the
following sectors: Electrical power (36 percent of total), industrial
(28 percent of total), residential (16 percent of total), commercial
(11 percent of total), and vehicle fuel (0.1 percent of total) (DCN
SGE00906).
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\3\ Natural gas can include ``natural gas liquids'' (NGLs),
components that are liquid at ambient temperature and pressure. NGLs
are hydrocarbons--in the same family of molecules as natural gas and
crude oil, composed exclusively of carbon and hydrogen. Ethane,
propane, butane, isobutane, and pentane are all NGLs.
---------------------------------------------------------------------------
Natural gas can be produced both from conventional natural gas
deposits and unconventional deposits. Natural gas, and especially
unconventional natural gas, has become increasingly significant to the
U.S. energy economy. The rising importance of natural gas results, in
part, from its lower air pollution characteristics compared to other
fossil fuels; its substantial, and increasing, domestic supply; and the
presence of a well-developed processing and transmission/distribution
infrastructure in the U.S. (DCN SGE00010). Increased natural gas
production from shale formations also has the potential to reduce U.S.
dependence on energy-related imports.
Between 2000 and 2012, total marketed production of natural gas in
the U.S. as a whole grew by another 25 percent, with an average annual
growth rate of 0.8 percent (DCN SGE00908). The sharp rise in production
of shale gas contributed to a lower price of natural gas, thereby
increasing the gap between prices of gas and oil, which made oil a
relatively more attractive option for producers. Beginning in 2005, the
disparity between oil and natural gas prices started to grow as oil
prices continued to rise while natural gas prices declined. Many firms
that produce both gas and oil began to focus on acquisition of, and
production from, liquids-rich formations over natural gas production
(DCN SGE00817, DCN SGE00832).
Overall, domestic crude oil production steadily declined between
2000 and 2008, while steadily increasing after that. This shift towards
liquids production is evident in the sharp rise in production from
tight oil resources, including shale, beginning in 2008. From 2007 to
2013, the EIA estimated that tight oil production increased 10-fold,
from 0.34 to 3.48 million barrels per day (DCN SGE00902). Future
domestic demand for liquid fuels will depend on the future level of
activities dependent on liquid fuels, such as transportation. Demand
will also be affected by the fuel efficiency of the consumption
technology. The transportation sector will continue to account for the
largest share of total consumption despite its share of total
consumption falling due to improvements in vehicle efficiency. The
industrial sector is the only end-use sector likely to see an increase
in consumption of petroleum and liquids (DCN SGE00913).
While oil and natural gas are often considered together, the way in
which prices are set for each greatly differs. While the price of oil
is set at the global level, natural gas prices for the U.S. tend to be
set regionally. In recent years, the ratio of oil prices to natural gas
prices has reached historically high levels (DCN SGE00547). While these
two products have some commonalities in their uses, oil and gas are not
perfect substitutes as they require different transportation and
processing infrastructure, and have a number of differentiated uses.
EPA gathered information on the industry via the NAICS, which is a
standard created by the U.S. Census for use in classifying business
establishments within the U.S. economy. The industry category that
would be affected by this proposed rule is Oil and Gas Extraction
Industry (NAICS 21111). This industry has two subcategories: (1) Crude
Petroleum and Natural Gas Extraction (NAICS 211111), which is made up
of facilities that have wells with petroleum or natural gas or produce
crude petroleum from surface shale or tar sands, and Natural Gas Liquid
Extraction (NAICS 211112), which recover liquid hydrocarbons from oil
and gas field gases and sulfur from natural gas.
B. Industry Structure and Economic Performance
According to data from the Statistics of U.S. Businesses (SUSB), in
2011 there were 6,528 firms under the overall oil and gas extraction
sector. This reflects a total 2 percent growth from 2000 to 2011 and an
average annual growth rate of 0.2 percent. The Crude Petroleum and
Natural Gas Extraction segment contributed 6,523 (or 99%) firms to the
total Oil and Gas Extraction sector, and the Natural Gas Liquid
Extraction segment contributed 136 (less than 1%) firms to the overall
sector. Although the Natural Gas Liquid Extraction segment is much
smaller in numbers compared to the Crude Petroleum and Natural Gas
Extraction segment, the total percent change in number of firms from
2000 to 2011 is much higher for natural gas liquids extraction at 62%
as compared to 2% for crude petroleum and natural gas extraction. If
the ratio of oil-to-natural gas prices remains high, there could be a
shift towards drilling in liquids-rich shale formations, making this
sector increasingly important to oil and gas extraction firms (DCN
SGE00832; DCN SGE00807; DCN SGE00817; DCN SGE00921).
In 2011, 99% of the Oil and Gas Extraction Industry was estimated
to be small businesses when using the Small Business Administration
definition of a small business as having 500 or fewer employees.
Average revenues for firms for the overall oil and gas extraction
sector in 2007 were estimated at $54
[[Page 18566]]
million. This is an average revenue of $46 million per firm in the
crude petroleum and natural gas extraction segment, and average revenue
of $414 million per firm in the natural gas liquid extraction segment.
The oil and gas extraction sector overall has an average of 18
employees per firm. Breaking it out per segment, the natural gas liquid
extraction segment has an average of 74 employees per firm, whereas the
crude petroleum and natural gas extraction segment shows an average of
17 employees per firm. See the Industry Profile (DCN SGE00932) for more
information.
The oil market is a globally integrated market with multiple supply
sources that are connected to multiple markets. Because of the
Organization of Petroleum Exporting Countries' (OPEC's) high accounting
of global oil reserves, OPEC is able to place producer quotas on
members in an effort to manage world oil prices. Other oil producers
have relatively smaller reserves and have no influence, individually,
on price (DCN SGE00854). On the other hand, global oil prices are also
greatly influenced by global demand for oil, with the largest sources
of demand being the U.S. and China (DCN SGE00854). While the U.S. is
also one of the largest crude oil producers, it remains a major
importer (demander) of oil; as a result the level of U.S. imports can
significantly influence oil prices. The recent upsurge in U.S. oil
production, largely from tight and shale oil resources, with a
consequent decline in U.S. imports, has exerted downward pressure on
international oil prices.
In North America, specifically within the U.S., there is a
relatively mature, integrated natural gas market with a robust spot
market for the natural gas commodity. Essentially, the spot market is
the daily market, where natural gas is bought and sold for immediate
delivery. For understanding the price of natural gas on a specific day,
the spot market price is most informative. In U.S. natural gas markets,
natural gas spot prices are determined by overall supply and demand
(DCN SGE00547).
Large volume consumers of natural gas, mainly industrial consumers
and electricity generators, generally have the ability to switch
between oil and natural gas. When the price of gas is low relative to
oil, these consumers could switch to gas, increasing demand for natural
gas and increasing gas prices. Alternatively, when gas prices are high,
demand could shift in the opposite direction causing a relative
decrease in natural gas prices (DCN SGE00921).
C. Financial Performance
EPA reviewed financial performance of UOG extraction firms and
other oil and gas firms. EPA found no deterioration in financial
performance and conditions for UOG firms over the previous decade, and
this suggests that UOG firms are well-positioned for continued
investment in UOG exploration and development. The strong growth in
revenue and total capital outlays by the UOG firms during the latter
part of the last decade--which coincides with the growth in UOG
exploration and production activity--underscores the economic
opportunity provided by the emerging UOG resource and the industry's
commitment to investing and producing UOG for the foreseeable future.
See the Industry Profile (DCN SGE00932) for more information.
XI. Scope
Through the proposed rule, EPA is not reopening the regulatory
requirements applicable to direct dischargers. Rather, EPA would amend
subpart C only to add requirements for indirect dischargers where there
currently are none: Specifically, pretreatment standards for facilities
engaged in oil and gas extraction from UOG sources that send their
discharges directly to POTWs. For purposes of this proposed rulemaking,
EPA proposes to define ``unconventional oil and gas (UOG)'' as ``crude
oil and natural gas \4\ produced by a well drilled into a low porosity,
low permeability formation (including, but not limited to, shale gas,
shale oil, tight gas, tight oil).'' As a point of clarification,
although coalbed methane would fit this definition, the proposed
pretreatment standards would not apply to pollutant discharges to POTWs
associated with coalbed methane extraction. EPA notes that the
requirements in the existing effluent guidelines for direct dischargers
also do not apply to coalbed methane extraction, as this industry did
not exist at the time that the effluent guidelines were developed and
was not considered by the Agency in establishing the effluent
guidelines (DCN SGE00761). To reflect the fact that neither the
proposed pretreatment standards nor the existing effluent guideline
requirements apply to coalbed methane extraction, EPA is expressly
reserving a separate unregulated subcategory for coalbed methane in the
proposed rule. For information on coalbed methane, see https://water.epa.gov/scitech/wastetech/guide/oilandgas/cbm.cfm. The remainder
of the information presented in this document is specific to the UOG
resources subject to the proposed rule.
---------------------------------------------------------------------------
\4\ Natural gas can include ``natural gas liquids,'' components
that are liquid at ambient temperature and pressure.
---------------------------------------------------------------------------
XII. Unconventional Oil and Gas Extraction: Resources, Process, and
Wastewater
A. Unconventional Oil and Gas Extraction Resources
For purposes of the proposed rule, UOG consists of crude oil and
natural gas \5\ produced by wells drilled into formations with low
porosity and low permeability. UOG resources include shale oil and gas,
resources that were formed, and remain, in low permeability shale. UOG
resources also include tight oil and gas, resources that were formed in
a source rock and migrated into a reservoir rock such as sandstone,
siltstones, or carbonates. The tight oil/gas reservoir rocks have
permeability and porosity lower than reservoirs of conventional oil and
gas resources but with permeability generally greater than shale. As
described above, while coalbed methane is sometimes referred to as an
unconventional resource, the proposed rule does not apply to this
industry.
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\5\ Natural gas can include ``natural gas liquids,'' components
that are liquid at ambient temperature and pressure.
---------------------------------------------------------------------------
B. Unconventional Oil and Gas Extraction Process
1. Well Drilling
Prior to the well development processes described in the following
subsections, operators conduct exploration and obtain surface use
agreements, mineral leases, and permits. These steps can take a few
months to several years to complete. When completed, operators
construct the well pad and begin the well development process, as
described in the following subsections.
Drilling occurs in two phases: exploration and development.
Exploration activities are those operations involving the drilling of
wells to locate hydrocarbon bearing formations and to determine the
size and production potential of hydrocarbon reserves. Development
activities involve the drilling of production wells once a hydrocarbon
reserve has been discovered and delineated.
Drilling for oil and gas is generally performed by rotary drilling
methods, which involve the use of a circularly rotating drill bit that
grinds through the earth's crust as it descends. Drilling fluids (muds)
are injected down through
[[Page 18567]]
the drill bit via a pipe that is connected to the bit, and serve to
cool and lubricate the bit during drilling. Drilling fluids can be
water or synthetic based. Synthetic-based drilling fluids are also
referred to as non-aqueous drilling fluids. Air is also used in place
of water or synthetic based drilling fluids for the vertical phase of
wells. The rock chips that are generated as the bit drills through the
earth are termed drill cuttings. The drilling fluid also serves to
transport the drill cuttings back up to the surface through the space
between the drill pipe and the well wall (this space is termed the
annulus), in addition to controlling downhole pressure. As drilling
progresses, pipes called ``casing'' are inserted into the well to line
the well wall. Drilling continues until the hydrocarbon bearing
formations are encountered.
In UOG resources, the crude oil and natural gas often occur
continuously within a formation. As a result, UOG drilling often
employs ``horizontal drilling.'' Horizontal drilling involves a
sequence of drilling steps: (1) Vertical (described above) and (2)
horizontal. In horizontal drilling, operators drill vertically down to
a desired depth, about 500 feet above the target formation (called the
``kickoff point''), and then gradually turn the drill approximately 90
degrees to continue drilling laterally continuously through the target
formation. UOG wells are also drilled vertically or directionally,\6\
depending on the characteristics of the formation. Directional drilling
is a technique used to drill a wellbore at an angle off of the vertical
to reach an end location not directly below the well pad; horizontal
drilling is considered a type of directional drilling. In UOG well
drilling, well depths range from approximately 1,000 to 13,500 feet
deep (but the majority of wells are drilled between 6,000 and 12,000
feet), wells often have a long horizontal lateral which can vary in
length between 1,000 and 5,000 feet, and it takes approximately 5 to 60
days to complete well drilling. See TDD, Chapter B.3.
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\6\ Shale oil and gas wells, are primarily drilled directionally
(and specifically horizontally), while tight oil and gas wells are
drilled vertically and directionally.n
---------------------------------------------------------------------------
2. Well Completion
Once the target formation has been reached, and a determination has
been made as to whether or not the formation has commercial potential,
the well is made ready for production by a process termed ``well
completion.'' Well completion involves cleaning the well to remove
drilling fluids and debris, perforating the casing that lines the
producing formation \7\, inserting production tubing to transport the
hydrocarbon fluids to the surface, installing the surface wellhead,
stimulating the well, setting plugs in each stage, and eventually
drilling the plugs out of the well and allowing fluids to return to the
surface. During perforation, operators lower a perforation gun into the
stage using a line wire. The perforation gun releases an explosive
charge to create holes that penetrate approximately one foot into the
formation rock in a radial fashion. These perforations create a
starting point for the hydraulic fractures.
---------------------------------------------------------------------------
\7\ In some instances, open-hole completions may be used, where
the well is drilled into the top of the target formation and casing
is set from the top of the formation to the surface. Open-hole well
completions leave the bottom of the wellbore uncased.
---------------------------------------------------------------------------
Since UOG resources are extracted from formations with low porosity
and low permeability in which the natural reservoir and fluid
characteristics do not permit the oil and/or natural gas to readily
flow to the wellbore, hydraulic fracturing is often used to complete
the well and extract UOG resources.\8\ Although there are some vertical
and directional UOG wells that are hydraulically fractured, existing
literature indicates that the majority of UOG wells are horizontally
drilled and hydraulically fractured. Therefore, the remainder of this
discussion focuses on the hydraulic fracturing of horizontally drilled
UOG wells; however, all drill types (including vertical and
directional) would be covered by this proposed rule.
---------------------------------------------------------------------------
\8\ Hydraulic fracturing techniques are also often used to
improve recovery from conventional oil and gas wells. However, the
scope of this section is focused on UOG extraction, therefore, the
application of this process to conventional wells is not further
discussed here.
---------------------------------------------------------------------------
Hydraulic fracturing involves the injection of fracturing fluids
(e.g., mixtures of water, sand, and other additives) at high pressures
into the well to create small fractures in the rock formation. The
primary component of fracturing fluid is the base fluid into which
proppant (e.g., sand) and chemicals are added. Currently, the most
common base fluid is water; however, other fluids such as liquid
nitrogen and propane (LPG) are also used. Historically, base fluid
consisted exclusively of freshwater, but as more wastewater is
increasingly reused/recycled, base fluid can contain mixtures of fresh
water blended with reused/recycled UOG extraction wastewater. Chemical
additives, used to adjust the fracturing fluid properties, vary
according to the formation, target resource (e.g., shale oil), chemical
composition of base fluid (e.g., volume of reused/recycled wastewater
in base fluid), and operator preference (DCN SGE00721; DCN SGE00070;
DCN SGE00780; DCN SGE00781). Additives commonly include, among other
things, acids (e.g., hydrochloric acid), biocides (e.g.,
glutaraldehyde), friction reducers (e.g., ethylene glycol, petroleum
distillate), and gelling agents (e.g., guar gum, hydroxyethyl
cellulose) (DCN SGE00721; DCN SGE00070; DCN SGE00780; DCN SGE00781).
See TDD, Chapter C.1.
The amount of fracturing fluid required per well typically depends
on the well trajectory (e.g., vertical, horizontal), well length, and
target resource (e.g., shale oil). UOG wells require between 50,000 to
over ten million gallons of fracturing fluid per well (DCN SGE00532;
DCN SGE00556; DCN SGE00637.A3). Operators typically fracture a
horizontal well in eight to 23 stages using between 250,000 and 420,000
gallons (6,000 and 10,000 barrels) of fracturing fluid per stage (DCN
SGE00280). Literature reports that tight oil and gas wells typically
require less fracturing fluid than shale oil and gas wells (DCN
SGE00533).
Because laterals in horizontally drilled UOG wells are between
1,000 and 5,000 feet long, operators typically hydraulically fracture
horizontal wells in stages to maintain the high pressures necessary to
stimulate the well over the entire length. Stages are completed
starting with the stage at the end of the wellbore and working back
towards the wellhead.\9\ Operators use anywhere between eight and 23
stages (DCN SGE00280). A fracturing crew can fracture two to three
stages per day when operating 12 hours per day or four to five stages
per day when operating 24 hours per day.\10\ Consequently, a typical
well can take between two and seven days to complete (DCN SGE00239; DCN
SGE00090).
---------------------------------------------------------------------------
\9\ The first stage is fractured with what is known as the pad
fracture. The pad is the injection of high pressure water and
chemical additives (no proppant) to create the initial fractures
into the formation. After the pad is pumped down hole, proppant is
introduced to the fracturing fluid for the additional stages.
\10\ The hours per day depends on the operator, local
ordinances, and weather.
---------------------------------------------------------------------------
Once the stage is hydraulically fractured, a stage plug is inserted
down the wellbore separating it from additional stages until all stages
are completed. After all of the stages have been completed, the plugs
are drilled out of the wellbore allowing the fracturing fluids and
other fluids to return to the surface. At the wellhead,
[[Page 18568]]
a combination of liquid (produced water), sand, oil, and/or gas are
routed through phase separators that separate products from wastes.
A portion of produced water can return to the wellhead at this
time; this waste stream is often referred to as ``flowback'' and
consists of the portion of fracturing fluid injected into the wellbore
that returns to the surface during initial well depressurization often
combined with formation water.\11\ Higher volumes of water are
generated in the beginning of the flowback process. Over time, flowback
rates decrease as the well goes into the production phase. Operators
typically store flowback in 500 barrel fracturing tanks onsite before
treatment or transport offsite.\12\ In addition to flowback, small
quantities of oil and/or gas can be produced during the initial
flowback process. The small quantities of produced gas could be flared
or captured if the operator is using ``green completions'', which
involves capturing the gas rather than flaring.\13\
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\11\ Formation water is naturally occurring water contained in
the reservoir rock pores.
\12\ Fracturing tanks cannot be transported when they contain
wastewater. Wastewater is typically transported via trucks with
approximately 100 to 120 barrel capacities or via pipe (DCN
SGE00635).
\13\ On April 17, 2012, the U.S. EPA issued regulations under
the Clean Air Act, requiring the natural gas industry to reduce air
pollution by using green completions, or reduced emission
completions. EPA identified a transition period until January 1,
2015 to allow operators to locate and install green completion
equipment (40 CFR part 60 and 63).
---------------------------------------------------------------------------
The flowback period typically lasts from a few days to a few weeks
before the production phase commences (DCN SGE00010; DCN SGE00011; DCN
SGE00622; DCN SGE00592; DCN SGE00286). At some wells, the majority of
fracturing fluid can be recovered within a few hours (DCN SGE00010; DCN
SGE00011; DCN SGE00622; DCN SGE00592; DCN SGE00286). See TDD, Chapter
B.3.
3. Production
After the initial flowback period, the well begins producing oil
and/or gas; this next phase is referred to as the production phase.
During the production phase, UOG wells produce oil and/or gas and
generate long-term produced water. Long-term produced water, generated
during the well production phase after the initial flowback process,
consists primarily of formation water and continues to be produced
throughout the lifetime of the well, though typically at much lower
rates than flowback (DCN SGE00592). This long-term produced water is
typically stored onsite in tanks or pits (DCN SGE00280; DCN SGE00275;
DCN SGE00636) and is periodically trucked, or sometimes piped, offsite
for treatment, reuse, or disposal. See TDD, Chapter B.3.
C. UOG Extraction Wastewater
UOG extraction wastewater, as EPA proposes to define it (see
Section VII.B.) includes the following sources of wastewater
pollutants: \14\
---------------------------------------------------------------------------
\14\ Stormwater is not considered a source of UOG extraction
wastewater. In general, no permit is required for discharges of
stormwater from any field activities or operations associated with
oil and gas production, except as specified in 40 CFR
122.26(c)(1)(iii) for discharges of a reportable quantity or that
contribute to a violation of a water quality standard.
---------------------------------------------------------------------------
Produced water--the water (brine) brought up from the
hydrocarbon-bearing strata during the extraction of oil and gas. This
can include formation water, injection water, and any chemicals added
downhole or during the oil/water separation process. Based on the stage
of completion and production the well is in, produced water can be
further broken down into the following components:
[cir] Flowback--After the hydraulic fracturing procedure is
completed and pressure is released, the direction of fluid flow
reverses, and the fluid flows up through the wellbore to the surface.
The water that returns to the surface is commonly referred to as
``flowback.''
[cir] Long-term produced water--This is the wastewater generated by
UOG wells during the production phase of the well after the flowback
process. Long-term produced water continues to be produced throughout
the lifetime of the well.
Drilling wastewater, including pollutants from:
[cir] Drill cuttings--The particles generated by drilling into
subsurface geologic formations and carried out from the wellbore with
the drilling fluid.
[cir] Drilling muds--The circulating fluid (mud) used in the rotary
drilling of wells to clean and condition the hole and to counterbalance
formation pressure.
Produced sand--The slurried particles used in hydraulic
fracturing, the accumulated formation sands and scales particles
generated during production. Produced sand also includes desander
discharge from the produced water waste stream, and blowdown of the
water phase from the produced water treating system.
EPA identified drilling wastewater and produced water as the major
sources of wastewater pollutants associated with UOG extraction,
therefore, these wastewaters are described further below.
1. Drilling Wastewater
As discussed in Section XII.B.1., operators inject drilling fluids
down the well bore during drilling to cool the drill bit and to remove
fragments of rock (drill cuttings) from the wellbore (DCN SGE00090; DCN
SGE00274). Drilling fluid can be water or synthetic based. Air has
recently been used in place of drilling fluids in the vertical phase of
wells. Operators can use a combination of drilling fluids and air
during the drilling process of a single well. The drilling fluid used
depends on the properties of the formation, the depth, and associated
regulations, safety, and cost considerations (DCN SGE00090; DCN
SGE00635; TDD Chapter B.3).
When returned to the surface, ground rock removed from the wellbore
(drill cuttings) is entrained in the drilling fluid. Operators separate
the solids from the drilling fluid on the surface, striving to remove
as much solids (drill cuttings) from the drilling fluid as possible.
The separation process generates two streams: a solid waste stream
referred to as drill cuttings and a liquid waste stream referred to as
drilling wastewater. Operators typically transfer their drill cuttings
to a landfill (DCN SGE00090; DCN SGE00635). Drilling wastewater is
often reused/recycled until well drilling is complete (though in some
cases it is processed for discharge and/or disposal).
At the end of drilling, operators use a variety of practices to
manage drilling wastewater, primarily reuse/recycle in drilling
subsequent wells. The following list presents drilling wastewater
management options used by UOG operators (DCN SGE00740):
Reuse/recycle wastewater in subsequent drilling and/or
fracturing jobs \15\
---------------------------------------------------------------------------
\15\ Synthetic fluids, which are more expensive than water-based
drilling fluid, are almost always reused/recycled in drilling
additional wells.
---------------------------------------------------------------------------
Disposal via landfill \16\
---------------------------------------------------------------------------
\16\ Burial and landfill disposal options are generally limited
to ``semisolid'' waste. Solidification processes may occur prior to
transferring the waste to the landfill or they may occur at the
landfill. (DCN SGE00139).
---------------------------------------------------------------------------
Disposal via underground injection wells
Land application
Transfer wastewater to a centralized waste treatment (CWT)
facility
On-site burial \16\
Nearly all of the volume of drilling fluid circulated during
drilling is recovered as drilling wastewater and requires management.
Typical drilling wastewater volumes for UOG drilling
[[Page 18569]]
vary from 100,000 to 300,000 gallons per well depending primarily on
vertical depth, horizontal length, and the well bore diameter (DCN
SGE00740).
2. Produced Water
a. Flowback
As explained above, the portion of produced water that returns to
the wellhead after the plugs are drilled out of the wellbore is often
referred to as ``flowback'' and the largest daily volume of produced
water generated occurs during the flowback period. Over time, flowback
rates decrease as the well begins to produce oil and gas. Initially,
flowback has characteristics that can resemble the fracturing fluid.
During the flowback period, the generated wastewater increasingly
resembles characteristics of the underlying formation.
The volume of flowback produced by a well varies, and it is often
looked at in relation to the volume of the fracturing fluid used to
fracture the well (as explained in Section XII.B.2. above, fracturing
fluid volumes used depend on many factors, including the total number
of stages drilled). Flowback recovery percentages also vary due to
factors such as resource type (e.g., shale oil) and well trajectory and
have been documented anywhere between 3 and 75 percent of the volume of
the fracturing fluid injected, with median flowback recovery between 4
and 29 percent (DCN SGE00724). These percent recoveries can result in
total flowback volumes ranging from less than 210,000 gallons per well
to more than 2,100,000 gallons per well (5,000 to 50,000 barrels per
well) (DCN SGE00724). See TDD, Chapter C. 2.
b. Long-term Produced Water
After flowback generation, long-term produced water is generated
during the well production phase. Long-term produced water has
characteristics that primarily reflect the formation. The long-term
produced water flow rate from a UOG well gradually decreases over time.
In addition, the amount of produced water generated per well varies by
formation. Median long-term produced water flow rates vary by resource
type (e.g., shale oil) and well trajectory and can be between 200 and
800 gallons per day (4.8 to 19 barrels per day), depending on well
trajectory, formation type and well age (DCN SGE00635; DCN SGE00724).
See TDD, Chapter C.2.
D. UOG Extraction Wastewater Characteristics
EPA reviewed published characterization data for UOG extraction
wastewater. Produced water data included measurements of TDS, anions/
cations, metals, hardness, radioactive constituents, and organics. The
characteristics of UOG produced water vary primarily depending on the
characteristics of the UOG formation (DCN SGE00090). Drilling
wastewater characterization data included suspended solids, salts,
metals, and organics. Because drilling wastewater is typically
recycled/re-used for drilling another well, detailed pollutant specific
information is less readily available for drilling wastewater than for
produced water. As such, the remainder of this section is specific to
produced water.\17\
---------------------------------------------------------------------------
\17\ As explained above, produced water includes both flowback
and long-term produced water.
---------------------------------------------------------------------------
1. TDS and TDS-Contributing Ions
TDS provides a measure of the dissolved matter, including salts
(e.g., sodium, chloride, nitrate), organic matter, and minerals (DCN
SGE00046). TDS is not a specific chemical, but is defined as the
portion of solids that pass through a filter with a nominal pore size
of 2.0 micron ([micro]m) or less (EPA Method 160.1). Table XII-1. shows
ranges and median TDS concentrations associated with various shale and
tight oil and gas formations.
Table XII-1--Concentrations of TDS in Produced Waters in Various UOG Formations
----------------------------------------------------------------------------------------------------------------
TDS median
Shale/tight oil and gas formation TDS concentration range (mg/L) concentration (mg/ Number of data
L) points
----------------------------------------------------------------------------------------------------------------
Bakken................................. 98,000-220,000................... 150,000 13
Barnett................................ 25,000-150,000................... 50,000 40
Bradford-Venango-Elk (Tight)........... 32,000-400,000................... 180,000 5
Cleveland (Tight)...................... 84,000-220,000................... 120,000 11
Cotton Valley/Bossier (Tight).......... 110,000-230,000.................. 170,000 3
Dakota (Tight)......................... 2,900-7,700...................... 6,000 3
Devonian............................... 320-250,000...................... 130,000 11
Eagle Ford............................. 3,700-89,000..................... 21,000 1,648
Fayetteville........................... 13,000-57,000.................... 25,000 6
Haynesville/Bossier.................... 110,000-120,000.................. 120,000 2
Marcellus.............................. 680-350,000...................... 92,000 383
Mississippi Lime (Tight)............... ................................. 150,000 1
New Albany............................. ................................. 88,000 1
Niobrara............................... 39,000-140,000................... 100,000 8
Pearsall............................... 300,000-380,000.................. 370,000 3
Spraberry (Tight)...................... 58,000-160,000................... 130,000 26
Utica.................................. 6,500-44,000..................... 16,000 8
Woodford-Cana-Caney.................... 14,000-110,000................... 36,000 8
----------------------------------------------------------------------------------------------------------------
Source: See TDD, Chapter C.3.
Salts are the majority of TDS in UOG produced water, and sodium
chloride constitutes approximately 50 percent of the TDS in UOG
produced water (DCN SGE00046). In addition to sodium and chloride, UOG
produced water typically contains divalent cations such as calcium,
strontium, magnesium, and, in some formations, barium and radium. Other
ions such as potassium, bromide, fluoride, nitrate, nitrite, phosphate,
and sulfate can also contribute to TDS in UOG produced water. Metals,
other than those contributing to TDS (e.g., calcium, magnesium,
strontium), are typically
[[Page 18570]]
not found in high concentrations in UOG produced water. Table XII-2.
presents ranges and median concentrations of TDS and TDS-contributing
ions in UOG produced water. Based on available data, concentrations of
TDS and TDS-contributing ions, including divalent cations, typically
increase from flowback to long-term produced water. See TDD, Chapter
C.3.
Table XII-2--Concentrations of TDS and TDS-Contributing Ions in UOG Produced Waters
----------------------------------------------------------------------------------------------------------------
Median
Constituent Concentration range (mg/L) concentration (mg/ Number of data
L) points
----------------------------------------------------------------------------------------------------------------
TDS.................................... 20-400,000....................... 110,000 2,223
Chloride............................... 64-230,000....................... 48,000 2,063
Sodium................................. 64-98,000........................ 25,000 1,913
Calcium................................ 13-34,000........................ 3,400 2,068
Strontium.............................. 0-8,000.......................... 580 207
Magnesium.............................. 3-15,000......................... 570 2,030
Bromide................................ 0.2-4,300........................ 540 119
Potassium.............................. 0-5,800.......................... 290 344
Barium................................. 0-16,000......................... 100 289
Sulfate................................ 0-3,400.......................... 71 1,585
Phosphate.............................. 12-88............................ 12 3
Nitrate................................ 5-10............................. 5 3
Nitrite................................ ................................. 5 2
Fluoride............................... 0.045-390........................ 2.5 99
----------------------------------------------------------------------------------------------------------------
Source: See TDD, Chapter C.3.
2. Organic Constituents
Organic constituents in UOG produced water can originate from both
the fracturing fluid that is injected down the wellbore and from the
UOG formation itself. Organic constituents and hydrocarbons in UOG
produced water appear to be less frequently sampled in comparison to
the well-documented TDS concentrations. EPA has reviewed available data
on organic pollutants in produced water and found a range of pollutant
concentrations: phenol (0.7 to 460 parts per billion (ppb)), pyridine
(1.1 to 2,600 ppb), benzene (0.99 to 800,000 ppb), ethyl benzene (0.63
to 650 ppb), toluene (0.91 to 1,700,000 ppb), and total xylenes (3 to
440,000 ppb) (DCN SGE00724). See TDD, Chapter C.3.
3. Radioactive Constituents
Oil and gas formations contain varying levels of radioactivity
resulting from uranium decay which can be transferred to UOG produced
water. Radioactive decay products typically include uranium 238, radium
226, and radium 228. EPA identified available data on some radioactive
elements in UOG produced water, including radium 226, radium 228, gross
alpha, and gross beta, and, therefore, focused the radioactive
constituent discussion and data presentation on data for these
parameters. Radium 226, which has a half-life over 1,000 years, has
been found in UOG produced water at concentrations up to 16,900
picocuries per liter (pCi/L) (DCN SGE00241; DCN SGE00724). As a point
of comparison, the International Atomic Energy Agency (IAEA) published
a report in 2014 that included radium isotope concentrations in rivers
and lakes. The average of measured concentrations of radium 226 found
in U.S. rivers and lakes was 0.56 pCi/L (21 millibecquerel per liter
(mBq/L)) and the measured values ranged from 0.01 to 1.7 pCi/L (0.37 to
63 mBq/L) (DCN SGE00769). Data for radium 228 were limited.
Data characterizing produced water radioactivity concentrations
were not available for all shale and tight oil and gas formations.
However, the available data \18\ from five different tight or shale oil
and gas formations show that the concentrations of one or more
radioactive constituents (radium 226, radium 228, gross alpha, gross
beta) in UOG produced water was above naturally occurring
concentrations in rivers and lakes throughout the world. The highest
reported radium 228 value was in the Ganges River in India and was
measured at 0.07 pCi/L (2.6 mBq/L). (See DCN SGE00769)
---------------------------------------------------------------------------
\18\ A report was released by the Pennsylvania Department of
Environmental Protection, titled ``Technologically Enhanced
Naturally Occurring Radioactive Materials (TENORM) Study Report'' on
January 15, 2015. These data have not yet been incorporated into
EPA's analyses. The report presents additional data for the
Marcellus Shale formation, which is one of the five formations for
which EPA has identified additional data sources. See TDD Chapter
C.3 and DCN SGE00933.
---------------------------------------------------------------------------
E. Wastewater Management and Disposal Practices
Historically, UOG operators primarily managed their wastewater
using the following four methods: \19\
---------------------------------------------------------------------------
\19\ Occasionally, UOG operators in the western U.S. may use
evaporation as a means of wastewater management.
---------------------------------------------------------------------------
Disposal via underground injection wells;
Reuse in subsequent fracturing jobs;
Transfer to a POTW; or
Transfer to a privately owned wastewater treatment
facility (also called a CWT facility).\20\
---------------------------------------------------------------------------
\20\ Operators may haul wastewater to CWT facilities that handle
the wastewater by (1) treating for reuse; (2) direct discharging to
surface water; or (3) indirect discharging to surface water through
a POTW.
---------------------------------------------------------------------------
(DCN SGE00613; DCN SGE00276); DCN SGE00528).
The frequency with which UOG operators use each of the management
options listed above varies by operator, formation, and sometimes
within each region of the formation (DCN SGE00579; DCN SGE00276).
Relative cost is also an important factor for an UOG operator when
considering how to manage their wastewater. This proposed rule
addresses only transfers to a POTW. Historically, the oil and gas
industry has most commonly managed its wastewater by underground
injection (DCN SGE00182), but the industry is increasingly turning to
reuse, and in some areas transfer to CWT facilities, to manage
increasing volumes of UOG extraction wastewater (see TDD, Chapter D).
[[Page 18571]]
1. Injection into Disposal Wells
Underground injection involves pumping wastes into a deep
underground formation with a confining layer of impermeable rock. The
receiving formation must also be porous enough to accept the
wastewater. In previous decades, and in most oil and gas basins,
drillers found underground injection of oil and gas extraction
wastewater to be the most economical and reliable means of disposal;
this is similarly the case today (DCN SGE00623). As of 2009, over 90
percent of oil and gas wastewater (conventional and unconventional) was
disposed of via Class II injection wells (DCN SGE00623; DCN SGE00132).
The availability of underground injection as a disposal method
varies by state. Some states have a large number of Class II disposal
wells (e.g., Texas, Oklahoma, Kansas) while others have very few (e.g.,
Pennsylvania, West Virginia). In many UOG formations, distances from
the average producing well to the nearest disposal well are short and
disposal capacity is abundant making it the least expensive disposal
practice (DCN SGE00635).
2. Reuse in Fracturing
Reuse involves mixing flowback and/or long-term produced water from
previously fractured wells with source water \21\ to create the base
fluid used to fracture a new well (DCN SGE00046). Reused UOG extraction
wastewater is typically transported, by truck, from storage to the
fracturing site just prior to the start of hydraulic fracturing. When
hydraulic fracturing commences, the stored UOG wastewater is pumped
from the fracturing tanks and blended with source water to form the
base fluid. The blending occurs upstream of other steps such as sand
and fracturing chemical addition or pressurization by the pump trucks
(DCN SGE00625).
---------------------------------------------------------------------------
\21\ Source waters may include freshwater, ground water, treated
municipal wastewater, and other industrial wastewater.
---------------------------------------------------------------------------
In considering whether to reuse wastewater, operators evaluate
wastewater generation rates compared to water demand for new fracturing
jobs, water quality and treatment requirements for use in fracturing,
and the risks and costs of wastewater management and transportation for
reuse compared to disposal, or transfer practices. Typically, for an
operator to reuse wastewater, the cost per barrel for reuse must be
less than the cost per barrel for disposal or transfer (DCN SGE00095).
The cost for reuse depends on several factors that vary by formation
and operator; and, therefore, the potential for reusing UOG extraction
wastewater for fracturing varies by formation and operator.
Since the late 2000s, UOG operators have increased wastewater reuse
(DCN SGE00613). The Petroleum Equipment Suppliers Association (PESA)
surveyed 205 UOG operators in 2012 about their wastewater management
practices. Survey results included 143 operators active in major UOG
formations. UOG operators reported reusing 23 percent of the total
volume of wastewater generated to refracture another well. The survey
results also showed that most operators anticipated reusing higher
percentages of their wastewater in the two to three years following the
survey (DCN SGE00707; DCN SGE00708; DCN SGE00575). EPA participated in
several site visits and conference calls with operators in several UOG
formations that have been able to reuse 100 percent of the volume of
their wastewater under certain circumstances (DCN SGE00625; DCN
SGE00635; DCN SGE00275; DCN SGE00636).
3. Transfer to Centralized Waste Treatment Facilities
Some operators manage UOG extraction wastewater by transporting it
to CWT facilities for treatment. Following treatment, these facilities
can return it to an operator for reuse to fracture another well (``zero
discharge'') and/or discharge it, either to surface water or to a POTW.
Operators can choose to use CWT facilities if they drill and complete
relatively few wells, making discharging to CWT facilities more
feasible than investing in other management options (DCN SGE00300), or
if other wastewater management options are not available or cost
effective in the region where they are operating (DCN SGE00139; DCN
SGE00182). EPA identified 73 commercial CWT facilities that accept UOG
extraction wastewater. See TDD, Chapter D.3. EPA found that the number
of CWT facilities available to operators in the Marcellus and Utica
Shale formations has increased with the number of wells drilled. A
similar trend was observed in the Fayetteville Shale formation in
Arkansas (DCN SGE00704).
Operators can haul their wastewater to ``zero discharge'' CWT
facilities that treat but do not discharge UOG extraction wastewater,
either to surface water or to a POTW. Instead, they return the
wastewater to UOG operators for reuse in subsequent hydraulic
fracturing jobs. Commercial CWT facilities that fall into this category
typically allow operators to unload a truck load of wastewater for
treatment and take a load of treated wastewater on a cost per barrel
basis (DCN SGE00245). Some of these facilities offer operators the
option of unloading a truck load of wastewater without taking a load of
treated wastewater for a surcharge, as long as other operators are in
need of additional treated wastewater. The CWT facility can also
provide this service if it can dispose of the wastewater without
discharge (DCN SGE00299). For example, one facility in Wyoming treats
UOG extraction wastewater for reuse by removing TDS and other
pollutants through electrocoagulation followed by reverse osmosis (RO).
The facility evaporates the concentrated brine from the RO unit in
large evaporation ponds to dispose of wastewater not reused by
operators (DCN SGE00374).
Some operators can haul their wastewater to CWT facilities that
discharge directly to surface waters. Discharges from these CWT
facilities are controlled by NDPES permits that include pollutant
discharge limitations based on the technology-based ELGs set out in 40
CFR part 437 (representing the floor), or more stringent WQBELs where
the technology-based effluent limits are not sufficiently stringent to
meet applicable state water quality standards. The ELGs established by
EPA for CWTs do not include limitations for TDS; however, to meet
applicable state water quality standards, direct discharging CWT
facilities can use treatment processes (e.g., evaporation/condensation,
reverse osmosis) that remove TDS.
Finally, other operators can haul their wastewater to CWT
facilities that discharge indirectly to a POTW. Discharges from the CWT
facility to the POTW are controlled by an Industrial User Agreement
(IUA) that must incorporate the pretreatment standards set out in 40
CFR part 437.
4. Transfer to POTWs
Historically, in locations such as in Pennsylvania where disposal
wells and CWT facilities were limited, operators managed UOG extraction
wastewater by transfer to POTWs (DCN SGE00011; DCN SGE00739; DCN
SGE00598). This practice can be problematic because POTWs are not able
to remove many of the constituents found in UOG extraction wastewater
(DCN SGE00011; DCN SGE00600; DCN SGE00765). Because they are not
typical of POTW influent wastewater, UOG extraction wastewater
constituents can be discharged, largely untreated, from the POTW to the
receiving stream; can disrupt the operation of the POTW (e.g., by
inhibiting biological treatment); can accumulate in biosolids, limiting
their
[[Page 18572]]
use; and can facilitate the formation of harmful DBPs (which are a
concern for downstream drinking water uses). These constituents can
interfere with POTW operations and can increase salt loads in receiving
streams to the detriment of downstream water use. (DCN SGE00286; DCN
SGE00345; DCN SGE00579; DCN SGE00531; DCN SGE00633). See TDD, Chapter
D.5. As discussed above, EPA has not been able to identify any existing
UOG discharges at present to POTWs (DCN SGE00579; DCN SGE00286; DCN
SGE00345). The lack of existing discharges to POTWs can be attributed
to the availability of one or more cost effective alternative
wastewater management options (injection for disposal, reuse/recycling,
and transfer to a CWT), concerns about inability of POTWs to treat such
waste appropriately, and concerns that such discharges can disrupt POTW
treatment processes. In a few cases, they can also be associated with
state-level drivers (see TDD Chapter A.2).
XIII. Subcategorization
In developing ELGs, EPA can divide an industry category into
groupings called ``subcategories'' to provide a method for addressing
variations among products, processes, and other factors, which result
in distinctly different effluent characteristics that affect the
determination of the ``best available'' technology. See Texas Oil & Gas
Ass'n. v. U.S. EPA, 161 F.3d 923, 939-40 (5th Cir. 1998). Regulation of
a category by subcategories provides that each subcategory has a
uniform set of effluent limitations or pretreatment standards that take
into account technological achievability, economic impacts, and non-
water quality environmental impacts unique to that subcategory. In some
cases, effluent limitations or pretreatment standards within a
subcategory can be different based on consideration of these same
factors, which are identified in CWA section 304(b)(2)(B). The CWA
requires EPA, in developing effluent guidelines and pretreatment
standards, to consider a number of different factors, which are also
relevant for subcategorization. The CWA also authorizes EPA to take
into account other factors that the Administrator deems appropriate.
CWA section 304(b).
Within the oil and gas extraction category, EPA has already
established subcategories. As explained in Section VIII.C., the
existing oil and gas extraction ELGs are divided into five
subcategories. The scope of the proposed rule is specific to subpart C:
onshore. The proposed rule is specific to pollutant discharges from UOG
extraction as defined in Section XI. EPA considered whether further
subcategorization of the UOG extraction industry was warranted. EPA
evaluated a number of factors including available data regarding
wastewater chemical constituents, generation volumes, and rates.
Although some differences can be observed among these characteristics
(between different types of unconventional resource and geologic
formations, and sometimes between wells within the same source), EPA
proposes that further subcategorization is not appropriate because EPA
has not identified any onshore UOG operations that currently discharge
to POTWs.
XIV. Proposed Regulation
A. Discussion of Options
1. PSES and PSNS Option Selection
EPA proposes to establish PSES and PSNS that apply to wastewater
discharges from onshore UOG extraction facilities. Generally, EPA
designs PSES and PSNS to ensure that wastewaters from direct and
indirect industrial dischargers are subject to similar levels of
treatment prior to discharge to waters of the U.S. This means that,
typically, the requirements for indirect dischargers are analogous to
those for direct dischargers. As explained in Section VIII.C., the
existing requirements for BPT for the Onshore Subcategory are zero
discharge of wastewater pollutants into waters of the U.S. from any
source associated with production, field exploration, drilling, well
completion, or well treatment. As also explained in Section VIII.C.,
the existing BPT requirements do not apply to discharges to POTWs.
Most POTWs are designed primarily to treat municipally generated
wastewater. POTWs typically provide at least secondary level treatment
and, thus, are designed to remove settleable solids, suspended solids
and organic material using biological treatment. EPA is not aware of
any POTWs that are designed to treat dissolved pollutants in UOG
extraction wastewater such as TDS (e.g., chlorides, sulfates, metals)
or radioactive elements. As a result, the mass of untreated pollutants
would be discharged from the POTW to the receiving water, could disrupt
the operation of the POTW (e.g., by inhibiting biological treatment) or
could facilitate the formation of harmful DBPs.
As explained in Section XII.E., EPA evaluated the practices
currently used to manage UOG extraction wastewaters. Based on the
information reviewed as part of this proposed rulemaking, EPA
identified that current industry practice is not to discharge
pollutants from onshore UOG extraction to POTWs. Rather, the vast
majority of this wastewater is managed by disposal in underground
injection wells and/or re-use in fracturing another well.\22\ A small,
but in some geographic areas increasing, portion of the industry also
transfers its wastewater to privately owned wastewater treatment
facilities (also referred to as CWT facilities).
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\22\ While pollutant discharges from onshore oil and gas
extraction produced water are allowed under subpart E in certain
geographic locations for use in agriculture or wildlife propagation,
EPA has not found that these types of permits are typically written
for unconventional oil and gas extraction wastewater (as defined for
the proposed rule).
---------------------------------------------------------------------------
Because of this information, EPA identified one candidate PSES/PSNS
option; that is, zero discharge of wastewater pollutants to POTWs. UOG
extraction wastewater is discussed in Section XII.C.
The technology basis for the proposed PSES is disposal in UIC wells
and/or wastewater reuse/recycling to fracture another well. Because
existing UOG extraction facilities currently employ alternative
wastewater management practices, the technology basis for meeting a
zero discharge requirement is widely available. While EPA estimates
that there will be no incremental pollutant reductions associated with
the proposed PSES, the technology basis is best performing in that it
achieves zero discharges of pollutants in UOG extraction wastewater.
Additionally, because this technology represents current industry
practice nationwide, no facilities will incur incremental costs for
compliance with the proposed PSES and, therefore, the proposed PSES is
economically achievable. For the same reasons, the proposed PSES will
result in no incremental non-water quality environmental impacts.
Finally, because the proposal represents current industry practice, EPA
proposes that PSES requiring zero discharge of wastewater pollutants be
effective as of the effective date of this rule.
As previously noted, under section 307(c) of the CWA, new sources
of pollutants into POTWs must comply with standards which reflect the
greatest degree of effluent reduction achievable through application of
the best available demonstrated control technologies. Congress
envisioned that new treatment systems could meet tighter controls than
existing sources because of the opportunity to incorporate the most
efficient processes and treatment systems into the facility design. EPA
proposes PSNS that would control the same pollutants using the same
technologies proposed for control by PSES. The technologies used to
control
[[Page 18573]]
pollutants at existing sources, disposal in UIC wells and/or wastewater
reuse/recycling to fracture another well, are fully available to new
sources. They achieve the greatest degree of effluent reduction
available: zero discharge of pollutants in UOG extraction wastewater.
Furthermore, EPA has not identified any technologies that are
demonstrated to be available for new sources that are different from
those identified for existing sources. Finally, EPA determined that the
proposed PSNS present no barrier to entry into the market for new
sources. While EPA cannot say with certainty exactly how new sources
will manage their UOG extraction wastewater, information in the record
indicates that new sources would manage their UOG extraction wastewater
following current industry practice. EPA has found that overall impacts
from the proposed standards on new sources would be minimal, as is the
case for existing sources, since the costs faced by new sources
generally will be the same as those faced by existing sources. EPA
projects no (and, therefore, acceptable) incremental non-water quality
environmental impacts. Therefore, EPA proposes to establish PSNS that
are the same as the proposed PSES.
2. Other Options Considered
a. ``No Rule''
In addition to the PSES/PSNS option of zero discharge of wastewater
pollutants, EPA also considered the option of no proposed PSES or PSNS,
a ``no rule'' option. Based on the discussion above that no UOG
facilities are currently transferring wastewater to POTWs, and given
available alternative management options such as disposal in UIC wells
and reuse/recycling, EPA considered the option of no proposed rule. A
``no rule'' option would impose no change to the existing pretreatment
regulatory regime, or industry practice, and would, therefore, be a
``no incremental cost and pollutant reduction'' option.
EPA, however, did not select this ``no rule'' option for several
reasons. First, there is no national federal regulation that would
prevent or require pretreatment of such discharges--and, as mentioned
above, EPA is not aware of any POTWs that are designed to treat
dissolved pollutants common in UOG extraction wastewater. This means
that constituents of such wastewater could be discharged to receiving
waters when other [available] options such as reuse and proper disposal
in a Class II UIC well better protect water quality and aquatic
communities and help further the zero discharge goal of the CWA. CWA
section 101(a)(1). Second, as detailed in Chapter A.2 of the TDD, few
states have regulations or policies that prevent discharges of
pollutants in UOG extraction wastewater to POTWs or that mandate pre-
treatment prior to discharge to a POTW. In the absence of such
regulations or policies, resource-constrained control authorities and/
or POTWs who receive requests to accept UOG extraction wastewater would
be in the position of having to evaluate whether to accept transfers of
wastewater on a case-by-case basis. Third, history demonstrates that
absent controls preventing the transfer of or requiring pretreatment of
such wastewater, POTWs can accept it, as occurred in Pennsylvania (see
TDD Chapters A.2 and D.5), where POTWs were used to manage UOG
extraction wastewater until the state took action, including
promulgating new regulations requiring pretreatment. Among the drivers
behind these actions taken by Pennsylvania was that some waters were
impaired by TDS. (DCN SGE00187).
To avoid future scenarios where POTWs receive UOG extraction
wastewater, it is reasonable to codify the good practice already
adopted by the industry that is technologically and economically
viable. Moreover, it is beneficial to the states as a practical matter
to establish federal regulations that mandate this existing practice,
in order to avoid the burden for each state to potentially repeat the
effort of promulgating state-level regulations. EPA has discussed this
proposed rule with several states, who have indicated that a federal
pretreatment standard would reduce their administrative burden (DCN
SGE00762; DCN SGE00762; DCN SGE00743).
EPA also considered the future burden that continued lack of
pretreatment standards can impose on POTWs. The UOG extraction industry
is predicted to continue to grow in the future, resulting in the
installation, fracturing, and possible refracturing of hundreds of
thousands of wells. Well operators will continue to generate UOG
extraction wastewater and could request local POTWs to accept their
wastewater for discharge. In the absence of federal pretreatment
standards, POTWs can legally accept UOG extraction wastewater to the
extent that such wastewater transfers are in compliance with state and
local requirements. Evaluating each potential customer (industrial
user), developing a determination for each new UOG extraction
wastewater source on a case-by-case basis could be burdensome for
POTWs. In addition, where a POTW determines it can accept this
wastewater, complying with applicable reporting requirements could be a
significant burden to some POTWs. EPA concluded that a national-level
determination that UOG extraction wastewater contains pollutant
concentrations that could pass through POTWs, and development of
categorical pretreatment standards, will avoid burdening individual
POTWs with evaluating each individual request. Thus, the national
categorical pretreatment standards will reduce the process burden on
pretreatment Control Authorities (e.g., POTWs). While EPA does not have
the information to quantify the reductions in administrative burden
that will likely result from the proposed rule, states generally
support EPA's position that such reductions will be realized (DCN
SGE00762; DCN SGE00762; DCN SGE00743).
Moreover, as explained above, because some pollutants of concern in
UOG extraction wastewater will not be physically, chemically, or
biologically reduced by the treatment processes typically used at
POTWs, these pollutants are expected to be discharged from the POTW
into receiving waters. In addition, these pollutants can cause
operational problems for the POTW's biological treatment processes and
alter the POTW's ability to adequately remove BOD, TSS, and other
pollutants for which it is regulated. For some UOG pollutants, such as
radionuclides, the data indicate POTWs will remove some portion while
discharging the remainder (DCN SGE00136). In these cases, some portion
of the radionuclides will partition to the POTW biosolids, which can
cause the POTW to incur increased costs to change its selected method
of biosolids management (DCN SGE00615). See also TDD Chapter D.5.
Finally, EPA did not select the ``no rule'' option because it
concluded that national pretreatment standards provide clear direction
and certainty to industry, POTWs, states, and the public that UOG
extraction wastewaters are not treated by POTWs and should not be
transferred to them. Categorical pretreatment standards support the CWA
goal that the discharge of pollutants into the nation's navigable
waters be eliminated. CWA section 101(a).
b. Non-Zero Numeric Discharge Pretreatment Requirements
EPA considered an option that would have included non-zero
numerical discharge pre-treatment requirements prior to discharge to a
POTW. Such an
[[Page 18574]]
option could be similar to the one adopted in Pennsylvania in 2010 that
requires pretreatment of oil and gas wastewaters before discharge to a
POTW to meet a maximum TDS concentration of 500 mg/L as well as
specific numerical concentrations for other pollutants. Some have
suggested this would provide an ``escape-valve'' for the future in the
event that UIC disposal well capacity is exhausted. Others have
suggested this would allow the water to be available for re-use (other
than in fracturing another well) if technologies become available to
pre-treat it to remove dissolved pollutants in a cost effective manner.
EPA does not propose an option with numerical discharge
pretreatment requirements prior to discharge to a POTW for the
following reasons. First, the existing requirements for direct
discharges of UOG extraction wastewater in the Onshore Subcategory
require no discharge of pollutants. As explained above, EPA generally
establishes requirements for direct and indirect discharges so that the
wastewater receives comparable treatment prior to discharge to waters
of the U.S.
Second, the option EPA proposes, zero discharge of pollutants in
UOG extraction wastewater to POTWs, is widely available, economically
achievable and has no incremental (and, therefore, acceptable) non-
water quality environmental impacts. Because the proposed zero
pollutant discharge requirement is current practice and, therefore,
clearly both available and achievable, any option that includes non-
zero discharge requirements for any pollutants would potentially
increase pollutant discharges from current industry best practices.
Such an option would not fulfill the CWA requirement to establish
limitations based on ``Best Available Technology Economically
Achievable'' (CWA section 301(b)(2)(A)), or the CWA goals of
eliminating the discharge of pollutants into navigable waters (CWA
section 101(a)(1)).
Third, EPA does not have any data to demonstrate that UIC capacity
nationwide will be expended and that this current management approach
will not be available in the future (DCN SGE00613). In fact, industry
has been managing oil and gas extraction wastewater through underground
injection for decades. In recent years, industry has greatly expanded
its knowledge about the ability to re-use UOG flowback and long-term
produced water (the major contributors to UOG extraction wastewater by
volume) in fracturing another well. Consequently, while the UOG
industry continues to grow and new wells are being fractured, the need
for UIC capacity for UOG extraction wastewater is decreasing, even in
geographic locations with an abundance of UIC capacity (see TDD Chapter
D.2).
Fourth, EPA identified technologies that currently exist to treat
dissolved pollutants in UOG extraction wastewater. Relative to
underground injection and reuse/recycling to fracture another well (the
basis for the preferred option EPA proposes), these technologies are
costly, would result in more pollutant discharges, and are energy
intensive. While EPA did not attempt to calculate a numerical standard
for TDS, data collected for this proposed rulemaking demonstrate that
the current technologies are capable of reducing TDS (and other
dissolved pollutants) well below 500 mg/L. To the extent that these
technologies or others are developed in the future to reduce pollutants
in UOG extraction wastewater to enable them to be reused for purposes
other than fracturing another well, these pre-treated wastewaters can
be used directly for the other applications without going through a
POTW.\23\
---------------------------------------------------------------------------
\23\ As a point of clarification, except in certain geographic
areas, these wastewaters would remain subject to the requirements in
the Onshore Subcategory that require no discharge of pollutants to
waters of the U.S. (40 CFR 435.30).
---------------------------------------------------------------------------
c. Conventional Oil and Gas Wastewater
As explained in Section VIII., while the existing oil and gas
regulation applies to both conventional and UOG extraction (except
coalbed methane), the proposed rule would add pretreatment standards
only for facilities engaged in oil and gas extraction from UOG sources
that send their discharges to POTWs. EPA proposes to reserve standards
for conventional oil and gas extraction for possible future rulemaking,
if appropriate. This is consistent with EPA's stated scope throughout
the development of this proposed rule. See specific comment
solicitation on conventional oil and gas extraction wastewaters in
Section VII.
B. Pollutants of Concern
Since the effectiveness of the technology basis for the proposed
standards results in zero discharge of all pollutants, it is not
appropriate in this proposed rule to further specify the pollutants of
concern. Rather, as is the case for the existing BPT requirements, the
proposed PSES/PSNS apply to the discharge of all pollutants in UOG
extraction wastewater.
C. POTW Pass Through Analysis
Sections 307(b) and (c) of the CWA authorize EPA to promulgate
pretreatment standards for pollutants that are not susceptible to
treatment by POTWs or which would interfere with the operation of
POTWs. EPA looks at a number of factors in selecting the technology
basis for pretreatment standards for existing and new sources. These
factors are generally the same as those considered in establishing the
direct discharge technology basis. However, unlike direct dischargers
whose wastewater will receive no further treatment once it leaves the
facility, indirect dischargers send their wastewater to POTWs for
further treatment.
Therefore, before establishing PSES/PSNS for a pollutant, EPA
examines whether the pollutant ``passes through'' a POTW to waters of
the U.S. or interferes with the POTW operation or biosolids disposal
practices. In determining whether a pollutant would pass through POTWs
for these purposes, EPA generally compares the percentage of a
pollutant removed by well-operated POTWs performing secondary treatment
to the percentage removed by a candidate technology basis. A pollutant
is determined to pass through POTWs when the median percentage removed
nationwide by well-operated POTWs is less than the median percentage
removed by the candidate technology basis. Pretreatment standards are
established for those pollutants regulated under the direct discharge
level of control (typically BAT/NSPS) that passes through. In addition,
EPA can regulate pollutants that do not pass through but otherwise
interfere with POTW operations or biosolids disposal practices. This
approach to the definition of pass through satisfies two competing
objectives set by Congress: (1) That standards for indirect dischargers
be equivalent to standards for direct dischargers, and (2) that the
treatment capability and performance of POTWs be recognized and taken
into account in regulating the discharge of pollutants from indirect
dischargers.
Historically, EPA's primary source of POTW removal data is its 1982
``Fate of Priority Pollutants in Publicly Owned Treatment Works'' (also
known as the 50 POTW Study) (see DCN SGE00765). The 50 POTW study
presents data on the performance of 50 POTWs achieving secondary
treatment in removing certain toxic pollutants. While the 50 POTW study
demonstrates a wide variability in the effectiveness of POTWs in
removing toxic pollutants, it demonstrates that POTWs remove these
pollutants by less
[[Page 18575]]
than 100%. Although this study does not contain information on
pollutant removals for TDS, as explained earlier, secondary treatment
technologies are generally understood to be ineffective at removing TDS
and as such little to no TDS removals are likely to occur at POTWs
through secondary treatment (DCN SGE00011; DCN SGE00600). While the
POTW study also does not contain information for other pollutants that
may be present in UOG extraction wastewater, it is reasonable for EPA
to conclude that removal of UOG extraction wastewater pollutants by a
well-operated POTW would be less than 100%, the percentage removal by
the candidate technology basis for the proposed rule, and therefore
would if discharged to a POTW ``pass through'' the POTW, as the term
applies under the CWA, into waters of the U.S.
XV. Environmental Impacts
UOG production generates significant volumes of wastewater that
need to be managed. As described in Section XII.C.2, wells can produce
flowback volumes ranging between 210,000 and 2,100,000 gallons during
the initial flowback process.\24\ During the production phase, wells
typically produce smaller volumes of water (median flow rates range
from 200-800 gallons per day) and continue producing wastewater
throughout the life of the well.
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\24\ As explained in the TDD (Chapter B) the length of the
flowback process is variable. Literature generally reports it as 30
days or less (DCN SGE00532).
---------------------------------------------------------------------------
In general, evidence of environmental impacts to surface waters
from discharges of UOG extraction wastewater is sparsely documented.
Some of the environmental impacts documented to date, such as increased
DBP formation in downstream drinking water treatment plants, resulted
from wastewater pollutants that passed untreated through POTWs in
Pennsylvania (TDD, Chapter D.5).
A. Pollutants
As described in Section XII.D., high concentrations of TDS are
common in UOG extraction wastewater. As shown in Table XII-2. (in
Section XII.D.), major inorganic constituents leaching from geologic
formations such as sodium, potassium, bromide, calcium, fluoride,
nitrate, phosphate, chloride, sulfate, and magnesium represent most of
the TDS in UOG extraction wastewater. TDS in produced water can also
include barium, radium, and strontium. Based on available data, TDS
cations (positively charged ions) in UOG extraction wastewater are
generally dominated by sodium and calcium, and the anions (negatively
charged ions) are dominated by chloride (DCN SGE00284). TDS
concentrations vary among the UOG formations. Table XII-1. (in Section
XII.D.), presents the varying TDS concentrations in tight and shale oil
and gas formations. The highest median TDS concentration (370,000 mg/L)
is found in the Pearsall shale gas formation. For comparison, sea water
contains approximately 35,000 mg/L TDS.
B. Impacts From the Discharge of Pollutants Found in UOG Extraction
Wastewater
Conventional POTW treatment operations are designed primarily to
treat organic waste and remove total suspended solids and constituents
responsible for biochemical oxygen demand, not to treat waters with
high TDS. When transfers of UOG extraction wastewater to POTWs were
occurring in Pennsylvania, these POTWs, lacking adequate TDS removal
processes, diluted UOG extraction wastewaters with other sewage flows
and discharged TDS-laden effluent into local streams and rivers. POTWs
not sufficiently treating TDS in UOG extraction wastewater were a
suspected source of elevated TDS levels in the Monongahela River in
2009 (DCN SGE00525). Also see TDD, Chapter D.5 for additional examples.
In addition to UOG wastewater pollutants passing through POTWs,
other industrial discharges of inadequately treated UOG extraction
wastewater pollutants have also been associated with in-stream impacts.
One study reviewed by EPA of discharges from a CWT facility in western
Pennsylvania that treats UOG extraction wastewater examined the water
quality and isotopic compositions of discharged effluents, surface
waters, and stream sediments (DCN SGE00629).\25\ The study found that
the discharge of the effluent from the CWT facility increased
downstream concentrations of chloride and bromide above background
levels. The chloride concentrations 1.7 kilometers downstream of the
treatment facility were two to ten times higher than chloride
concentrations found in similar reference streams in western
Pennsylvania. Radium 226 levels in stream sediments at the point of
discharge were approximately 200 times greater than upstream and
background sediments. EPA intends to further study the frequency and
magnitude of such impacts from CWTs.
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\25\ Discharges from CWT facilities are subject to ELGs in 40
CFR part 437 and would not be subject to the proposed rule. However,
the effect of discharges of treated oil and gas wastewaters from CWT
facilities that lack high level treatment is similarly
representative of POTWs.
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C. Impact on Surface Water Designated Uses
UOG extraction wastewater TDS levels are high enough, if discharged
untreated to surface water, to affect adversely a number of designated
uses of surface water, including drinking water, aquatic life support,
livestock watering, irrigation, and industrial use.
1. Drinking Water Uses
Available data indicate the levels of TDS in UOG extraction
wastewaters can often significantly exceed recommended drinking water
concentrations. Because TDS concentrations in drinking water sources
are typically well below the recommended drinking water levels, few
drinking water treatment facilities have technologies to remove TDS.
Two published standards for TDS in drinking water include the U.S.
Public Health Service recommendation and EPA's secondary maximum
contaminant level recommendation that TDS in drinking water should not
exceed 500 mg/L. High concentrations of TDS in drinking water primarily
degrade its taste rather than pose a human health risk. Taste surveys
found that water with less than 300 mg/L TDS is considered excellent,
and water with TDS above 1,100 mg/L is unacceptable (DCN SGE00939). The
World Health Organization dropped its health-based recommendations for
TDS in 1993, instead retaining 1,000 mg/L as a secondary standard for
taste (DCN SGE00947).
EPA also reviewed a study concerning unintentional creation of
harmful DBPs due to insufficient removal of bromide and other UOG
wastewater constituents by POTWs accepting UOG extraction wastewaters
(DCN SGE00535; DCN SGE00587). DBPs have been shown to have both adverse
human health and ecological affects. The study found that UOG
extraction wastewaters contain various inorganic and organic DBP
precursors that can react with disinfectants used by POTWs to promote
the formation of DBPs, or alter speciation of DBPs, particularly
brominated-DBPs, which are suspected to be among the more toxic DBPs
(DCN SGE00535; DCN SGE00985). These precursors are a concern for
drinking water managers wherever they can enter raw water intakes. See
TDD, Chapter D.5 for further discussion of DBP formation associated
with UOG extraction wastewaters.
[[Page 18576]]
2. Aquatic Life Support Uses
TDS and its accompanying salinity play a primary role in the
distribution and abundance of aquatic animal and plant communities.
High levels of TDS can impact aquatic biota through increases in
salinity, loss of osmotic balance in tissues, and toxicity of
individual ions. Increases in salinity have been shown to cause shifts
in biotic communities, limit biodiversity, exclude less-tolerant
species and cause acute or chronic effects at specific life stages (DCN
SGE00946). A detailed study of plant communities associated with
irrigation drains, reported substantial changes in marsh communities in
part because of an increase in dissolved solids (DCN SGE00941).
Observations over time indicate a shift in plant community coinciding
with increases in dissolved solids from estimated historic levels of
270 to 1170 mg/L, as species that are less salt tolerant such as
coontail (Ceratophyllus demersum) and cattail (Typha sp.) were nearly
eliminated. A related study found that lakes with higher salinity
exhibit lower aquatic biodiversity, with species distribution also
affected by ion composition (DCN SGE00940).
It is often a specific ion concentration in TDS that is responsible
for adverse effects to aquatic ecosystems. For example, a TDS
concentration of 2,000 mg/L with chloride as the primary anionic
constituent is acutely toxic to aquatic life, but the same TDS
concentration composed primarily of sulfate is nontoxic. Sodium
chloride accounts for about 50 percent of the TDS typically found in
UOG extraction wastewater. As reported in Table XII-2 (in Section
XII.D.), chloride has been measured at concentrations up to 230,000 mg/
L. Macroinvertebrates, such as fresh water shrimp and aquatic insects
that are a primary prey of many fish species, have open circulatory
systems that are especially sensitive to pollutants like chloride.
Based on laboratory toxicity data from EPA's 1988 chloride criteria
document and more recent studies, invertebrate sensitivity to chloride
acute effect concentrations ranged from 953 mg/L to 13,691 mg/L.
Chronic effect concentrations of chloride ranged from 489 mg/L to 556
mg/L. In addition to the laboratory data, EPA also reviewed data from a
2009 Pennsylvania Department of Environmental Protection violation
report documenting a fish kill attributed to a spill of diluted
produced water in Hopewell Township, PA. TDS at the location of the
fish kill was as high as 7,000 mg/L. While not related to UOG
extraction wastewater, negative impacts of high TDS, including fish
kills, were documented during 2009 at Dunkard Creek located in
Monongalia County, Pennsylvania. (DCN SGE00001 and DCN SGE00001.A01)
EPA has published chemical-specific national recommended water
quality criteria for some of the TDS constituents in UOG extraction
wastewater, such as barium, chloride, manganese, and iron, based on a
variety of human health or ecological benchmarks. A review of state and
tribal water quality standards in 2012 indicated that 26 states had
adopted a numeric or narrative criterion for TDS, either for state-wide
or site-specific application (DCN SGE00945). The TDS criteria levels
and the designated uses they are intended to protect vary greatly from
state to state. For example, Alaska has a criterion of 1,500 mg/L TDS
to protect aquatic life; Mississippi has a criterion of 750 mg/L
monthly average for protection of fish, wildlife and recreation
criteria, and Illinois has a statewide 1,000 mg/L TDS criterion for
aquatic life and a 1,500 mg/L TDS criterion for secondary contact
recreation and indigenous aquatic life. TDS criteria adopted
specifically for the protection of aquatic life have been developed for
at least 16 of the 26 states, with some criteria applying only to
specific waterbodies. Oregon has the most stringent TDS criterion using
a standard of 100 mg/L for all freshwater streams and tributaries in
order to protect aquatic life, public water use, agriculture, and
recreation.
3. Livestock Watering Uses
POTW discharges to surface waters containing high concentrations of
TDS can impact downstream uses for livestock watering. High TDS
concentrations in water sources for livestock watering can adversely
affect animal health by disrupting cellular osmotic and metabolic
processes (DCN SGE01053). Domestic livestock, such as cattle, sheep,
goats, horses, and pigs have varying degrees of sensitivity to TDS in
drinking water as shown in Table XV-1. Sheep seem to be more tolerant
of saline water than most domestic species, but will only drink it if
introduced to the saline water over a period of several weeks (DCN
SGE00937).
Table XV-1--Tolerances of Livestock to TDS in Drinking Water
----------------------------------------------------------------------------------------------------------------
Total Dissolved Solids (TDS) (mg/L)
-----------------------------------------------------------
Loss of production
Animals can have and a decline in
initial animal condition
reluctance to and health would
Livestock No adverse drink or there can be expected. Stock
effects on be some scouring, can tolerate these
animals expected but stock should levels for short
adapt without loss periods if
of production introduced
gradually
----------------------------------------------------------------------------------------------------------------
Beef cattle......................................... 0-4,000 4,000-5,000 5,000-10,000
Dairy cattle........................................ 0-2,400 2,400-4,000 4,000-7,000
Sheep............................................... 0-4,000 4,000-10,000 10,000-13,000
Horses.............................................. 0-4,000 4,000-6,000 6,000-7,000
Pigs................................................ 0-4,000 4,000-6,000 6,000-8,000
Poultry............................................. 0-2,000 2,000-3,000 3,000-4,000
----------------------------------------------------------------------------------------------------------------
Source: Australia and New Zealand Water Quality Guidelines 2000. Chapter 3 Primary Industries--9.3 Livestock
drinking water guidelines (DCN SGE00937).
[[Page 18577]]
4. Irrigation Uses
If UOG extraction wastewater discharges to POTWs increase TDS
concentrations in receiving streams, downstream irrigation uses of that
surface water can be negatively affected. Elevated TDS levels can limit
the usefulness of water for irrigation. Excessive salts affect crop
yield in the short term, and the soil structure in the long term.
Primary direct impacts of high salinity water on plant crops include
physiological drought, increased osmotic potential of soil, specific
ion toxicity, leaf burn, and nutrient uptake interferences (DCN
SGE00938). In general, for various classes of crops the salinity
tolerance decreases in the following order: forage crops, field crops,
vegetables, fruits.
The suitability of water for irrigation is classified using several
different measurements, including TDS and electrical conductivity (EC).
Table XV-2. shows a classification of TDS concentrations for irrigation
suitability.
Table XV-2--Permissible Limits for Classes of Irrigation Water
------------------------------------------------------------------------
Concentrations of TDS
---------------------------------------
Class of water Electrical
conductivity \a\ TDS by gravimetric
(dS/m) (mg/L)
------------------------------------------------------------------------
Class 1. Excellent.............. 0.250 175
Class 2. Good................... 0.250-0.750 175-275
Class 3. Permissible \b\........ 0.750-2.0 525-1,400
Class 4. Doubtful \c\........... 2.0-3.0 1.400-2,100
Class 5. Unsuitable \c\......... 3.0 >2,100
------------------------------------------------------------------------
a = TDS (mg/L) [ap] Electrical Conductivity (EC) (deci-Siemen/meter (dS/
m)) x 640 for EC < 5 dS/m.
b = leaching needed if used.
c = good drainage needed and sensitive plants will have difficulty
obtaining stands.
Source: Fipps (2003) (DCN SGE00936).
In addition to short-term impacts to crop plants, irrigating with
high TDS water can result in gradual accumulation of salts or sodium in
soil layers and eventual decrease in soil productivity. The
susceptibility of soils to degradation is dependent on the soil type
and structure. Sandy soils are less likely than finely textured soils
to accumulate salts or sodium. Soils with a high water table or poor
drainage are more susceptible to salt or sodium accumulation. The most
common method of estimating the suitability of a soil for crop
production is through calculation of its sodicity as estimated by the
soil's sodium absorption ratio (SAR). The SAR value is calculated by
the equation: \26\
[GRAPHIC] [TIFF OMITTED] TP07AP15.012
The impact of irrigation water salinity on crop productivity is a
function of both the SAR value and the electrical conductivity. The
actual field-observed impacts are very site-specific depending on soil
and crop system. (DCN SGE00938)
---------------------------------------------------------------------------
\26\ The variables in the equation are defined as follows:
[Na\+\]-Sodium concentration (mg/L); [Ca\2+\]-Calcium concentration
(mg/L); [Mg\2+\]-Magnesium concentration (mg/L).
---------------------------------------------------------------------------
5. Industrial Uses
POTW discharges to surface waters are often upstream of industrial
facilities that withdraw surface waters for various cooling and process
uses. High levels of TDS can adversely affect industrial applications
requiring the use of water in cooling tower operations, boiler feed
water, food processing, and electronics manufacturing. Concentrations
of TDS above 500 mg/L result in excessive corrosivity, scaling, and
sedimentation in water pipes, water heaters, boilers and household
appliances. Depending on the industry, TDS in intake water can
interfere with chemical processes within the plant. Some industries
requiring ultrapure water, such as semi-conductor manufacturing
facilities, are particularly sensitive to high TDS levels due to the
treatment cost for the removal of TDS.
XVI. Non-Water Quality Environmental Impacts Associated With the
Proposed Rule
Because the elimination or reduction of one form of pollution can
create or aggravate other environmental problems, EPA considers non-
water quality environmental impacts (including energy impacts) that can
result from the implementation of proposed regulations. EPA evaluated
the potential impact of the proposed pretreatment standards on air
emissions, solid waste generation, and energy consumption.
The proposed PSES/PSNS would prohibit the discharge to POTWs of
wastewater pollutants associated with UOG extraction. Because EPA knows
of no POTWs that are currently accepting UOG extraction wastewater, the
proposed PSES will require no changes in current industry wastewater
management practices and, consequently, will have no incremental
impacts on air emissions, solid waste generation, or energy
consumption. Based on the reasoning that new sources will follow
current industry practice, EPA projects no incremental non-water
quality environmental impacts associated with PSNS.
XVII. Implementation
A. Implementation Deadline
Because the requirements of the proposed rule are based on current
practice, EPA proposes that the PSES/NSPS standards based on the
regulatory options being proposed apply on the effective date of the
final rule.
B. Upset and Bypass Provisions
A ``bypass'' is an intentional diversion of waste streams from any
portion of a treatment facility. An ``upset'' is an exceptional
incident in which there is unintentional and temporary noncompliance
with technology-based permit effluent limitations because of factors
beyond the reasonable control of the permittee. EPA's regulations for
indirect dischargers concerning bypasses and upsets are set forth at 40
CFR 403.16 and 403.17.
C. Variances and Modifications
The CWA requires application of effluent limitations established
pursuant to section 304 for direct dischargers and section 307 for all
indirect dischargers. However, the statute provides for the
modification of these national requirements in a limited number of
circumstances. Moreover, the Agency
[[Page 18578]]
has established administrative mechanisms to provide an opportunity for
relief from the application of the national pretreatment standards for
categories of existing sources.
EPA can develop pretreatment standards different from the otherwise
applicable requirements for an individual existing discharger if it is
fundamentally different with respect to factors considered in
establishing the standards applicable to the individual discharger.
Such a modification is known as a ``fundamentally different factors''
(FDF) variance. See 40 CFR 403.13. EPA, in its initial implementation
of the effluent guidelines program, provided for the FDF modifications
in regulations. These were variances from the BCT effluent limitations,
BAT limitations for toxic and nonconventional pollutants, and BPT
limitations for conventional pollutants for direct dischargers. FDF
variances for toxic pollutants were challenged judicially and
ultimately sustained by the Supreme Court in Chemical Manufacturers
Association v. Natural Resources Defense Council, 479 U.S. 116, 124
(U.S. 1985). FDF variances, however, are not available for new sources.
E.I. Dupont v. Train, 430 U.S. 112, 138 (U.S. 1977).
Subsequently, in the Water Quality Act of 1987, Congress added new
CWA section 301(n). This provision explicitly authorizes modifications
of the otherwise applicable BAT effluent limitations or categorical
pretreatment standards if a discharger is fundamentally different with
respect to the factors specified in CWA section 304 or 403 (other than
costs) from those considered by EPA in establishing the effluent
limitations or pretreatment standards. CWA section 301(n) also defined
the conditions under which EPA can establish alternative requirements.
Under section 301(n), an application for approval of a FDF variance
must be based solely on (1) information submitted during rulemaking
raising the factors that are fundamentally different or (2) information
the applicant did not have an opportunity to submit. The alternate
limitation must be no less stringent than justified by the difference
and must not result in markedly more adverse non-water quality
environmental impacts than the national limitation or standard.
The legislative history of section 301(n) underscores the necessity
for the FDF variance applicant to establish eligibility for the
variance. EPA's regulations at 40 CFR 403.13 are explicit in imposing
this burden upon the applicant. The applicant must show that the
factors relating to the discharge controlled by the applicant's permit
that are claimed to be fundamentally different are, in fact,
fundamentally different from those factors considered by EPA in
establishing the applicable pretreatment standards. In practice, very
few FDF variances have been granted for past ELGs. An FDF variance may
be available to an existing source subject to the proposed PSES, but an
FDF variance is not available to a new source that would be subject to
PSNS.
XVIII. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review and Executive
Order 13563: Improving Regulation and Regulatory Review
This action is a ``significant regulatory action'' under the terms
of Executive Order 12866 (58 FR 51735, October 4, 1993). Accordingly,
EPA submitted this action to the Office of Management and Budget (OMB)
for review under Executive Orders 12866 and 13563 (76 FR 3821, January
21, 2011) and any changes made in response to OMB recommendations have
been documented in the docket for this action.
B. Paperwork Reduction Act
This action does not impose an information collection burden under
the provisions of the Paperwork Reduction Act, 44 U.S.C. 3501 et seq.
Burden is defined at 5 CFR 1320.3(b). This proposal would codify
current industry practice and would not impose any additional reporting
requirements.
C. Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA) generally requires an agency
to prepare a regulatory flexibility analysis of any proposed rule that
would be subject to notice and comment rulemaking requirements under
the Administrative Procedure Act or any other statute unless the agency
certifies that the rule will not have a significant economic impact on
a substantial number of small entities. Small entities include small
businesses, small organizations, and small governmental jurisdictions.
For purposes of assessing the impacts of the proposed rule on small
entities, small entity is defined as: (1) a small business that is
primarily engaged in Crude Petroleum and Natural Gas Extraction and
Natural Gas Liquid Extraction by NAICS code 211111 and 211112 with
fewer than 500 employees (based on Small Business Administration size
standards).
After considering the economic impacts of the proposed rule on
small entities, I certify that this action will not have a significant
economic impact on a substantial number of small entities. The small
entities that would be subject to the requirements of this proposed
rule are small businesses that engage in UOG extraction as defined in
Section XI. No small businesses will experience an impact because the
proposed rulemaking does not impose any new requirement that is not
already being met by the industry.
D. Unfunded Mandates Reform Act
This proposed rule does not contain a Federal mandate that can
result in expenditures of $100 million or more for state, local, and
tribal governments, in the aggregate, or the private sector in any one
year. As explained in Section VI.C., this proposed rule has no costs.
Thus, this proposed rule would not be subject to the requirements of
sections 202 or 205 of the Unfunded Mandates Reform Act (UMRA).
This proposed rule also would not be subject to the requirements of
section 203 of UMRA because it contains no regulatory requirements that
might significantly or uniquely affect small governments. EPA has not
identified any oil and gas facilities that are owned by small
governments.
E. Executive Order 13132: Federalism
This action does not have federalism implications. It will not have
substantial direct effects on the states, on the relationship between
the national government and the states, or on the distribution of power
and responsibilities among the various levels of government, as
specified in Executive Order 13132. The proposed rule would not alter
the basic state-federal scheme established in the CWA under which EPA
authorizes states to carry out the NPDES permit program. EPA expects
the proposed rule would have little effect on the relationship between,
or the distribution of power and responsibilities among, the federal
and state governments. Thus, Executive Order 13132 does not apply to
this action. Although this order does not apply to this action, as
explained in Section IX., EPA coordinated closely with states through a
workgroup, as well as outreach efforts to pretreatment coordinators and
pretreatment authorities.
F. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
This action does not have tribal implications, as specified in
Executive Order 13175 (65 FR 67249, November 9, 2000). It will not have
substantial direct
[[Page 18579]]
effects on tribal governments, on the relationship between the Federal
government and Indian tribes, or on the distribution of power and
responsibilities between the Federal government and Indian tribes. The
proposed rule contains no Federal mandates for tribal governments and
does not impose any enforceable duties on tribal governments. Thus,
Executive Order 13175 does not apply to this action.
Although Executive Order 13175 does not apply to this action, EPA
coordinated with tribal officials in developing this action. EPA
coordinated with federally recognized tribal governments in May and
June of 2014, sharing information about the UOG pretreatment standards
proposed rulemaking with the National Tribal Caucus and the National
Tribal Water Council. As part of this outreach effort, EPA collected
data about UOG operations on tribal reservations, UOG operators that
are affiliated with Indian tribes, and POTWs owned or operated by
tribes that can accept industrial wastewaters (see DCN SGE00785). Based
on this information, there are no tribes operating UOG wells that
discharge wastewater to POTWs nor are there any tribes that own or
operate POTWs that accept industrial wastewater from UOG facilities;
therefore, this proposed rule will not impose any costs on tribes.
G. Executive Order 13045: Protection of Children From Environmental
Health and Safety Risks
E.O. 13045 (62 FR 19885, April 23, 1997) applies to rules that are
economically significant according to E.O. 12866 and involve a health
or safety risk that can disproportionately affect children. This
proposed action would not be subject to E.O. 13045 because it is
estimated to cost less than $100 million and does not involve a safety
or health risk that can have disproportionately negative effects on
children.
H. Executive Order 13211: Energy Effects
This proposed action is not subject to Executive Order 13211,
because it not a ``significant energy action'' as defined in Executive
Order 13211, ``Actions Concerning Regulations That Significantly Affect
Energy Supply, Distribution, or Use'' (66 FR 28355, May 22, 2001). This
action will not have a significant adverse effect on the supply,
distribution, or use of energy, as described in Section XVI. of the
proposed rule.
I. National Technology Transfer Advancement Act
Section 12(d) of the National Technology Transfer and Advancement
Act of 1995 (``NTTAA''), Public Law 104-113, 12(d) (15 U.S.C. 272 note)
directs EPA to use voluntary consensus standards in its regulatory
activities unless to do so would be inconsistent with applicable law or
otherwise impractical. Voluntary consensus standards are technical
standards (e.g., materials specifications, test methods, sampling
procedures, and business practices) that are developed or adopted by
voluntary consensus standards bodies. NTTAA directs EPA to provide
Congress, through OMB, explanations when the Agency decides not to use
available and applicable voluntary consensus standards.
This proposed rulemaking does not involve technical standards.
Therefore, EPA is not considering the use of any voluntary consensus
standards.
J. Executive Order 12898: Federal Actions To Address Environmental
Justice in Minority Populations and Low-Income Populations
Executive Order 12898 (59 FR 7629 (Feb. 16, 1994)) establishes
federal executive policy on environmental justice. Its main provision
directs federal agencies, to the greatest extent practicable and
permitted by law, to make environmental justice part of their mission
by identifying and addressing, as appropriate, disproportionately high
and adverse human health or environmental effects of their programs,
policies, and activities on minority populations and low-income
populations in the U.S.
EPA determined that this proposed rule will not have
disproportionately high and adverse human health or environmental
effects on minority or low-income populations because it does not
affect the level of protection provided to human health or the
environment. The proposed rule changes the control technology required
but will neither increase nor decrease environmental protection (as
described in Section VII.C.).
EPA welcomes comments on this aspect of the proposed rulemaking
and, specifically, invites the public to identify potential
environmental justice considerations associated with this proposed
regulation.
List of Subjects in 40 CFR Part 435
Environmental protection, Pretreatment, Waste treatment and
disposal, Water pollution control, Unconventional oil and gas
extraction.
Dated: March 31, 2015.
Gina McCarthy,
Administrator.
Therefore, it is proposed that 40 CFR part 435 be amended as
follows:
PART 435--OIL AND GAS EXTRACTION POINT SOURCE CATEGORY
0
1. The authority citation for part 435 continues to read as follows:
Authority: 33 U.S.C. 1311, 1314, 1316, 1317, 1318, 1342 and
1361.
0
2. Add Sec. 435.33 to read as follows:
Sec. 435.33 Pretreatment standards of performance for existing
sources (PSES).
(a) PSES for Wastewater from Conventional Oil and Gas Extraction.
[Reserved]
(b) PSES for Wastewater from Unconventional Oil and Gas Extraction.
Except as provided in 40 CFR 403.7 and 403.13, any existing source
subject to this section, must achieve the following pretreatment
standards for existing sources (PSES).
(1) There shall be no discharge of wastewater pollutants associated
with production, field exploration, drilling, well completion, or well
treatment for unconventional oil and gas extraction (e.g., drilling
muds, drill cuttings, produced sand, produced water) into publicly
owned treatment works.
(2) For the purposes of this section,
(i) Unconventional oil and gas means crude oil and natural gas
produced by a well drilled into a low porosity, low permeability
formation (including, but not limited to, shale gas, shale oil, tight
gas, tight oil).
(ii) Drill cuttings means the particles generated by drilling into
subsurface geologic formations and carried out from the wellbore with
the drilling fluid.
(iii) Drilling muds means the circulating fluid (mud) used in the
rotary drilling of wells to clean and condition the hole and to
counterbalance formation pressure.
(iv) Produced sand means the slurried particles used in hydraulic
fracturing, the accumulated formation sands, and scales particles
generated during production. Produced sand also includes desander
discharge from the produced water waste stream, and blowdown of the
water phase from the produced water treating system.
(v) Produced water means the water (brine) brought up from the
hydrocarbon-bearing strata during the extraction of oil and gas, and
can include formation water, injection water, and any chemicals added
[[Page 18580]]
downhole or during the oil/water separation process.
0
3. Add Sec. 435.34 to read as follows:
Sec. 435.34 Pretreatment standards of performance for new sources
(PSNS).
(a) PSNS for Wastewater from Conventional Oil and Gas Extraction.
[Reserved]
(b) PSNS for Wastewater from Unconventional Oil and Gas Extraction.
Except as provided in 40 CFR 403.7 and 403.13, any new source with
discharges subject to this section must achieve the following
pretreatment standards for new sources (PSNS).
(1) There shall be no discharge of wastewater pollutants associated
with production, field exploration, drilling, well completion, or well
treatment for unconventional oil and gas extraction (e.g., drilling
muds, drill cuttings, produced sand, produced water) into publicly
owned treatment works.
(2) For the purposes of this section, the definitions of
unconventional oil and gas, drill cuttings, drilling muds, produced
sand, and produced water are as specified in Sec. 435.33(b)(2)(i)
through (v).
0
4. Add subpart H to read as follows:
Subpart H--Coalbed Methane Subcategory [Reserved]
[FR Doc. 2015-07819 Filed 4-6-15; 8:45 a.m.]
BILLING CODE 6560-50-P