National Emission Standards for Hazardous Air Pollutants for Secondary Aluminum Production, 56699-56762 [2015-21031]
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Vol. 80
Friday,
No. 181
September 18, 2015
Part III
Environmental Protection Agency
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40 CFR Part 63
National Emission Standards for Hazardous Air Pollutants for Secondary
Aluminum Production; Final Rule
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Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 63
[EPA–HQ–OAR–2010–0544; FRL–9932–44–
OAR]
RIN 2060–AQ40
National Emission Standards for
Hazardous Air Pollutants for
Secondary Aluminum Production
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
This action finalizes the
residual risk and technology review
(RTR), and the rule review, we
conducted for the Secondary Aluminum
Production source category regulated
under national emission standards for
hazardous air pollutants (NESHAP). In
this action, we are finalizing several
amendments to the NESHAP based on
the rule review. These final
amendments include a requirement to
report performance testing through the
Electronic Reporting Tool (ERT);
provisions allowing owners and
operators to change furnace
classifications; requirements to account
for unmeasured emissions during
compliance testing for group 1 furnaces
that do not have add-on control devices;
alternative compliance options for the
operating and monitoring requirements
for sweat furnaces; compliance
provisions for hydrogen fluoride;
provisions addressing emissions during
periods of startup, shutdown, and
malfunction (SSM); and other
corrections and clarifications to the
applicability, definitions, operating,
monitoring and performance testing
requirements. These amendments will
improve the monitoring, compliance
and implementation of the rule.
DATES: Effective date: This final action
is effective on September 18, 2015.
Compliance dates: The compliance
date for the final amendments listed in
40 CFR 63.1501(b) for existing
secondary aluminum production
affected sources is March 16, 2016. The
compliance date for the final
amendments listed in 40 CFR 63.1501(c)
for existing affected sources is
September 18, 2017. The owner or
operator of a new affected source that
commences construction or
reconstruction after February 14, 2012,
must comply with all of the
requirements listed in 40 CFR
63.1501(b) and (c) by September 18,
2015 or upon startup, whichever is later.
The incorporation by reference of
certain publications listed in the rule is
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SUMMARY:
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approved by the Director of the Federal
Register as of September 18, 2015.
ADDRESSES: The Environmental
Protection Agency (EPA) has established
a docket for this action under Docket ID
No. EPA–HQ–OAR–2010–0544. All
documents in the docket are listed on
the www.regulations.gov Web site.
Although listed in the index, some
information is not publicly available,
e.g., confidential business information
(CBI) or other information whose
disclosure is restricted by statute.
Certain other material, such as
copyrighted material, is not placed on
the Internet and will be publicly
available only in hard copy form.
Publicly available docket materials are
available either electronically through
https://www.regulations.gov, or in hard
copy at the EPA Docket Center, EPA
WJC West Building, Room Number
3334, 1301 Constitution Ave. NW.,
Washington, DC. The Public Reading
Room hours of operation are 8:30 a.m.
to 4:30 p.m., Monday through Friday.
The telephone number for the Public
Reading Room is (202) 566–1744, and
the telephone number for the Air Docket
is (202) 566–1742.
FOR FURTHER INFORMATION CONTACT: For
questions about this final action, contact
Ms. Rochelle Boyd, Sector Policies and
Programs Division (D243–02), Office of
Air Quality Planning and Standards,
U.S. Environmental Protection Agency,
Research Triangle Park, North Carolina,
27711; telephone number: (919) 541–
1390; fax number: (919) 541–3207; and
email address: boyd.rochelle@epa.gov.
For specific information regarding the
risk modeling methodology, contact
James Hirtz, Health and Environmental
Impacts Division (C539–02), Office of
Air Quality Planning and Standards,
U.S. Environmental Protection Agency,
Research Triangle Park, North Carolina
27711; telephone number: (919) 541–
0881; fax number: (919) 541–0840; and
email address: hirtz.james@epa.gov. For
information about the applicability of
the NESHAP to a particular entity,
contact Scott Throwe, Office of
Enforcement and Compliance
Assurance, U.S. Environmental
Protection Agency, EPA WJC West
Building, 1200 Pennsylvania Ave. NW.,
Washington, DC 20460; telephone
number: (202) 564–7013; and email
address: throwe.scott@epa.gov.
SUPPLEMENTARY INFORMATION: Preamble
Acronyms and Abbreviations. We use
multiple acronyms and terms in this
preamble. While this list may not be
exhaustive, to ease the reading of this
preamble and for reference purposes,
the EPA defines the following terms and
acronyms here:
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ACGIH American Conference of
Government Industrial Hygienists
AEGL acute exposure guideline levels
AERMOD air dispersion model used by the
HEM–3 model
APCD air pollution control device
AMOS ample margin of safety
ATSDR Agency for Toxic Substances and
Disease Registry
BACT best available control technology
CAA Clean Air Act
CalEPA California Environmental
Protection Agency
CBI confidential business information
CDX Central Data Exchange
CFR Code of Federal Regulations
D/F dioxins and furans
Dscf dry standard cubic feet
Dscm dry standard cubic meters
EJ environmental justice
EPA United States Environmental
Protection Agency
ERPG Emergency Response Planning
Guidelines
ERT Electronic Reporting Tool
g grams
gr grains
HAP hazardous air pollutants
HCl hydrogen chloride
HEM–3 Human Exposure Model, Version 3
HF hydrogen fluoride
HI hazard index
HQ hazard quotient
ICR information collection request
IRIS Integrated Risk Information System
km kilometer
lb pounds
lbs/yr pounds per year
LOAEL lowest-observed-adverse-effect level
MACT maximum achievable control
technology
MIR maximum individual risk
NAAQS National Ambient Air Quality
Standards
NAICS North American Industry
Classification System
NAS National Academy of Sciences
NATA National Air Toxics Assessment
NEI National Emissions Inventory
NESHAP National Emission Standards for
Hazardous Air Pollutants
NOAEL no observed adverse effects level
NRC National Research Council
NTTAA National Technology Transfer and
Advancement Act
O&M operation and maintenance
OAQPS Office of Air Quality Planning and
Standards
OECA Office of Enforcement and
Compliance Assurance
OMB Office of Management and Budget
OM&M operation, maintenance and
monitoring
PAH polycyclic aromatic hydrocarbons
PB–HAP hazardous air pollutants known to
be persistent and bio-accumulative in the
environment
PEL probable effect levels
PM particulate matter
POM polycyclic organic matter
REL reference exposure level
RFA Regulatory Flexibility Act
RfC reference concentration
RfD reference dose
RTR Risk and Technology Review
SAB Science Advisory Board
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SAPU secondary aluminum processing unit
SBA Small Business Administration
SOP standard operating procedures
SSM startup, shutdown, and malfunction
TEQ toxicity equivalents
THC total hydrocarbons
TOSHI target organ-specific hazard index
tpy tons per year
TRIM.FaTE Total Risk Integrated
Methodology Fate, Transport and
Ecological Exposure model
TTN Technology Transfer Network
UBC used beverage containers
UF uncertainty factor
m/m3 microgram per cubic meter
UMRA Unfunded Mandates Reform Act
UPL upper prediction limit
URE unit risk estimate
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Background Information. On February
14, 2012, and December 8, 2014, the
EPA proposed decisions based on the
RTR and proposed revisions to the
Secondary Aluminum Production
NESHAP based on review of the rule. In
this action, we are finalizing decisions
and revisions to the rule. We summarize
major comments we timely received
regarding the proposed rule and provide
responses in this preamble. A summary
of all other public comments on the
proposal and the EPA’s responses to
those comments is available in the
document, National Emission Standards
for Hazardous Air Pollutants: Secondary
Aluminum Production. Summary of
Public Comments and Responses on
Proposed Rule (77 FR 8576, February
14, 2012) and Supplemental Proposal
(79 FR 72874, December 8, 2014),
Docket ID No. EPA–HQ–OAR–2010–
0544. A ‘‘track changes’’ version of the
regulatory language that shows the
regulatory changes in this action is also
available in the docket for the
convenience of the reader.
Organization of this Document. The
information in this preamble is
organized as follows:
I. General Information
A. Does this action apply to me?
B. Where can I get a copy of this document
and other related information?
C. Judicial Review and Administrative
Reconsideration
II. Background
A. What is the statutory authority for this
action?
B. What is the Secondary Aluminum
Production source category and how
does the NESHAP regulate HAP
emissions from the source category?
C. What changes did we propose for the
Secondary Aluminum Production source
category in our February 14, 2012, and
December 8, 2014, proposals?
III. What is included in this final rule?
A. What are the final rule amendments
based on the risk review for the
Secondary Aluminum Production source
category?
B. What are the final rule amendments
based on the technology review for the
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Secondary Aluminum Production source
category?
C. What are the final rule amendments
addressing emissions during periods of
startup, shutdown, and malfunction?
D. What other changes have been made to
the NESHAP?
E. What are the effective and compliance
dates of the standards?
F. What are the requirements for
submission of performance test data to
the EPA?
G. What materials are being incorporated
by reference?
IV. What is the rationale for our final
decisions and amendments for the
Secondary Aluminum Production source
category?
A. Residual Risk Review for the Secondary
Aluminum Production Source Category
B. Technology Review for the Secondary
Aluminum Production Source Category
C. Testing of Group 1 Furnaces That Do
Not Have Add-on Pollution Control
Devices
D. Changing Furnace Classification
E. Flow Rate Measurements and Annual
Inspections of Capture/Collection
Systems
F. Compliance Dates
V. Summary of Cost, Environmental and
Economic Impacts and Additional
Analyses Conducted
A. What are the affected sources?
B. What are the air quality impacts?
C. What are the cost impacts?
D. What are the economic impacts?
E. What are the benefits?
F. What analysis of environmental justice
did we conduct?
G. What analysis of children’s
environmental health did we conduct?
VI. Statutory and Executive Order Reviews
A. Executive Orders 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
B. Paperwork Reduction Act (PRA)
C. Regulatory Flexibility Act (RFA)
D. Unfunded Mandates Reform Act
(UMRA)
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
H. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution or Use
I. National Technology Transfer and
Advancement Act (NTTAA) and 1 CFR
Part 51
J. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
K. Congressional Review Act (CRA)
I. General Information
A. Does this action apply to me?
Regulated Entities. Categories and
entities potentially regulated by this
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action are shown in Table 1 of this
preamble.
TABLE 1—INDUSTRIAL SOURCE CATEGORIES AFFECTED BY THIS FINAL
ACTION
NAICS
code a
Source category
Primary Aluminum Production Facilities ..........................................
Secondary Aluminum Production
Facilities ......................................
Aluminum Sheet, Plate, and Foil
Manufacturing Facilities ..............
Aluminum Extruded Product Manufacturing Facilities .......................
Other Aluminum Rolling and Drawing Facilities ................................
Aluminum Die Casting Facilities .....
Aluminum Foundry Facilities ..........
a North
System.
American
Industry
331312
331314
331315
331316
331319
331521
331524
Classification
Table 1 of this preamble is not
intended to be exhaustive, but rather to
provide a guide for readers regarding
entities likely to be affected by the final
action for the secondary aluminum
production source category. To
determine whether your facility is
affected, you should examine the
applicability criteria in the appropriate
NESHAP. If you have any questions
regarding the applicability of any aspect
of this NESHAP, please contact the
appropriate person listed in the
preceding FOR FURTHER INFORMATION
CONTACT section of this preamble.
B. Where can I get a copy of this
document and other related
information?
In addition to being available in the
docket, an electronic copy of this final
action will be available on the Internet
through the Technology Transfer
Network (TTN) Web site, a forum for
information and technology exchange in
various areas of air pollution control.
Following signature by the EPA
Administrator, the EPA will post a copy
of this final action at https://
www.epa.gov/ttn/atw/alum2nd/
alum2pg.html. Following publication in
the Federal Register, the EPA will post
the Federal Register version at this
same Web site.
Additional information is available on
the (RTR) Web site at https://
www.epa.gov/ttn/atw/rrisk/rtrpg.html.
This information includes an overview
of the RTR program, and links to project
Web sites for the RTR source categories.
C. Judicial Review and Administrative
Reconsideration
Under Clean Air Act (CAA) section
307(b)(1), judicial review of this final
action is available only by filing a
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petition for review in the United States
Court of Appeals for the District of
Columbia Circuit by November 17,
2015. Under CAA section 307(b)(2), the
requirements established by this final
rule may not be challenged separately in
any civil or criminal proceedings
brought by the EPA to enforce the
requirements.
Section 307(d)(7)(B) of the CAA
further provides that ‘‘[o]nly an
objection to a rule or procedure which
was raised with reasonable specificity
during the period for public comment
(including any public hearing) may be
raised during judicial review.’’ This
section also provides a mechanism for
the EPA to reconsider the rule ‘‘[i]f the
person raising an objection can
demonstrate to the Administrator that it
was impracticable to raise such
objection within [the period for public
comment] or if the grounds for such
objection arose after the period for
public comment (but within the time
specified for judicial review) and if such
objection is of central relevance to the
outcome of the rule.’’ Any person
seeking to make such a demonstration
should submit a Petition for
Reconsideration to the Office of the
Administrator, U.S. EPA, Room 3000,
EPA WJC West Building, 1200
Pennsylvania Ave. NW., Washington,
DC 20460, with a copy to both the
person(s) listed in the preceding FOR
FURTHER INFORMATION CONTACT section,
and the Associate General Counsel for
the Air and Radiation Law Office, Office
of General Counsel (Mail Code 2344A),
U.S. EPA, 1200 Pennsylvania Ave. NW.,
Washington, DC 20460.
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II. Background
A. What is the statutory authority for
this action?
Section 112 of the CAA establishes a
two-stage regulatory process to address
emissions of hazardous air pollutants
(HAP) from stationary sources. In the
first stage, we must identify categories
of sources emitting one or more of the
HAP listed in CAA section 112(b) and
then promulgate technology-based
NESHAP for those sources. ‘‘Major
sources’’ are those that emit, or have the
potential to emit, any single HAP at a
rate of 10 tons per year (tpy) or more,
or 25 tpy or more of any combination of
HAP. For major sources, these standards
are commonly referred to as maximum
achievable control technology (MACT)
standards and must reflect the
maximum degree of emission reductions
of HAP achievable (after considering
cost, energy requirements, and non-air
quality health and environmental
impacts). In developing MACT
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standards, CAA section 112(d)(2) directs
the EPA to consider the application of
measures, processes, methods, systems,
or techniques, including but not limited
to those that reduce the volume of or
eliminate HAP emissions through
process changes, substitution of
materials, or other modifications;
enclose systems or processes to
eliminate emissions; collect, capture, or
treat HAP when released from a process,
stack, storage, or fugitive emissions
point; are design, equipment, work
practice, or operational standards; or
any combination of the above.
For these MACT standards, the statute
specifies certain minimum stringency
requirements, which are referred to as
MACT floor requirements, and which
may not be based on cost
considerations. See CAA section
112(d)(3). For new sources, the MACT
floor cannot be less stringent than the
emission control achieved in practice by
the best-controlled similar source. The
MACT standards for existing sources
can be less stringent than floors for new
sources, but they cannot be less
stringent than the average emission
limitation achieved by the bestperforming 12 percent of existing
sources in the category or subcategory
(or the best-performing five sources for
categories or subcategories with fewer
than 30 sources). In developing MACT
standards, we must also consider
control options that are more stringent
than the floor, under CAA section
112(d)(2). We may establish standards
more stringent than the floor, based on
the consideration of the cost of
achieving the emissions reductions, any
non-air quality health and
environmental impacts, and energy
requirements.
In the second stage of the regulatory
process, the CAA requires the EPA to
undertake two different analyses, which
we refer to as the technology review and
the residual risk review. Under the
technology review, we must review the
technology-based standards and revise
them ‘‘as necessary (taking into account
developments in practices, processes,
and control technologies)’’ no less
frequently than every 8 years, pursuant
to CAA section 112(d)(6). Under the
residual risk review, we must evaluate
the risk to public health remaining after
application of the technology-based
standards and revise the standards, if
necessary, to provide an ample margin
of safety to protect public health or to
prevent, taking into consideration costs,
energy, safety, and other relevant
factors, an adverse environmental effect.
The residual risk review is required
within 8 years after promulgation of the
technology-based standards, pursuant to
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CAA section 112(f). In conducting the
residual risk review, if the EPA
determines that the current standards
provide an ample margin of safety to
protect public health, it is not necessary
to revise the MACT standards pursuant
to CAA section 112(f).1 For more
information on the statutory authority
for this rule, see 77 FR 8576 and 79 FR
72874.
B. What is the Secondary Aluminum
Production source category and how
does the NESHAP regulate HAP
emissions from the source category?
The EPA initially promulgated the
Secondary Aluminum Production
NESHAP on March 23, 2000 (65 FR
15690). The rule was amended on
December 30, 2002 (67 FR 79808),
September 3, 2004 (69 FR 53980),
October 3, 2005 (70 FR 57513), and
December 19, 2005 (70 FR 75320). The
standards are codified at 40 CFR part 63,
subpart RRR. The existing Subpart RRR
NESHAP regulates HAP emissions from
secondary aluminum production
facilities that are major sources of HAP
and that operate aluminum scrap
shredders, thermal chip dryers, scrap
dryers/delacquering kilns/decoating
kilns, group 1 furnaces, group 2
furnaces, sweat furnaces, dross only
furnaces, rotary dross coolers, and
secondary aluminum processing units
(SAPUs). The SAPUs include group 1
furnaces and in-line fluxers. The
Subpart RRR NESHAP regulates HAP
emissions from secondary aluminum
production facilities that are area
sources of HAP only with respect to
emissions of dioxins/furans (D/F) from
thermal chip dryers, scrap dryers/
delacquering kilns/decoating kilns,
group 1 furnaces, sweat furnaces, and
SAPUs. The secondary aluminum
industry consists of approximately 161
secondary aluminum production
facilities, of which the EPA estimates 53
to be major sources of HAP. Several of
the secondary aluminum facilities are
co-located with primary aluminum, coil
coating, and possibly other source
category facilities. Natural gas boilers or
process heaters may also be co-located
at a few secondary aluminum facilities.
The standards promulgated in 2000
established emission limits for
particulate matter (PM) as a surrogate
for metal HAP, total hydrocarbons
(THC) as a surrogate for organic HAP
1 The U.S. Court of Appeals for the District of
Columbia Circuit has affirmed this approach of
implementing CAA section 112(f)(2)(A). NRC v.
EPA, 529 F.3d 1077, 1083 (D.C. Cir. 2008) (‘‘If EPA
determines that the existing technology-based
standards provide an ‘ample margin of safety,’ then
the Agency is free to readopt those standards during
the residual risk rulemaking.’’).
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other than D/F, D/F expressed as
toxicity equivalents (TEQ), and
hydrogen chloride (HCl) as a surrogate
for acid gases including hydrogen
fluoride (HF), chlorine, and fluorine.
HAP are emitted from the following
affected sources: Aluminum scrap
shredders (subject to PM standards),
thermal chip dryers (subject to
standards for THC and D/F), scrap
dryers/delacquering kilns/decoating
kilns (subject to standards for PM, D/F,
HCl, and THC), sweat furnaces (subject
to D/F standards), dross-only furnaces
(subject to PM standards), rotary dross
coolers (subject to PM standards), group
1 furnaces (subject to standards for PM,
HCl, and D/F), and in-line fluxers
(subject to standards for PM and HCl).
Group 2 furnaces and certain in-line
fluxers are subject to work practice
standards. For a more detailed
description of the industry, processes,
and the key requirements of the MACT
rule, see the 2014 supplemental
proposal (79 FR 72879, December 8,
2014).
C. What changes did we propose for the
Secondary Aluminum Production
source category in our February 14,
2012, and December 8, 2014, proposals?
On February 14, 2012, the EPA
published a proposed rule in the
Federal Register (77 FR 8576) for the
Secondary Aluminum Production
NESHAP, 40 CFR part 63, subpart RRR,
that took into consideration the RTR
analyses and other reviews of the MACT
rule. We proposed that no amendments
to Subpart RRR were necessary as a
result of the RTR analyses. However, we
proposed several amendments to correct
and clarify existing requirements based
on other reviews of the rule, including:
• Proposed criteria and procedures
for changing furnace classification (i.e.,
operating mode) and a limit on
frequency of switching furnace
classification of once per 6-month
period, with an exception for control
device maintenance requiring
shutdown;
• Proposed amendments to clarify
that performance tests under multiple
scenarios may be required in order to
reflect the emissions ranges for each
regulated pollutant;
• Proposed compliance alternatives
for testing of furnaces that do not have
add-on air pollution control devices
(also referred to as ‘‘uncontrolled
furnaces’’), i.e., either temporary
installation of American Conference of
Governmental Industrial Hygienists
(ACGIH) hooding or, for existing
uncontrolled furnaces, use of an
assumption of 67-percent capture
efficiency for furnace exhaust. If the
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source fails to demonstrate compliance
using the 67-percent capture efficiency
assumption, the source would have to
retest within 90 days using hooding that
meets ACGIH guidelines or submit a
petition that such hoods are impractical
and propose alternative testing
procedures that will minimize
unmeasured fugitive emissions;
• With regard to annual inspections
of capture/collection systems, proposed
codification of our existing
interpretation that annual hood
inspections include flow rate
measurements using EPA Reference
Methods 1 and 2;
• Proposed removal of exemptions
from the requirement to comply with 40
CFR part 63, subpart RRR emission
standards during periods of startup,
shutdown, and malfunction (SSM),
clarification of related provisions, and
an alternative method for demonstrating
compliance with certain emission limits
during startup and shutdown;
• Proposed requirement for electronic
submission of test results to increase the
ease and efficiency of data submittal
and improve data accessibility; and
• Proposed compliance date for
existing affected sources to comply with
the proposed amendments within 90
days after publication of the final rule.
In the 2012 proposal, we also
proposed several other corrections and
clarifications of the rule on the
following topics based on
recommendations and suggestions from
individual representatives from state
regulatory agencies and industry, as
well as based on EPA experience, to
correct errors in the rule and to help
clarify the intent and implementation of
the rule:
• ACGIH Guidelines;
• Testing worst-case scenarios;
• Lime injection rate;
• Flux monitoring;
• Cover flux;
• Capture and collection system
definition;
• Bale breakers;
• Bag Leak Detection Systems (BLDS);
• Sidewell furnaces;
• Testing representative units;
• Initial performance tests;
• Scrap dryer/delacquering/decoating
kiln and scrap shredder definitions;
• Group 2 furnace definition;
• HF emissions compliance;
• SAPU definition;
• Clean charge definition;
• Residence time definition;
• SAPU feed/charge rate;
• Dross-only versus dross/scrap
furnaces;
• Applicability of rule to area
sources;
• Altering parameters during testing
with new scrap streams;
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• Controlled furnaces that are
temporarily idled for 24 hours or longer;
and
• Annual compliance certification for
area sources.
In the December 8, 2014,
supplemental proposal (79 FR 72874),
we presented a revised risk review and
a revised technology review. Similar to
the 2012 proposal, we found risks due
to emissions of air toxics to be
acceptable from this source category and
we identified no cost-effective controls
under the updated AMOS analysis or
the technology review to achieve further
emissions reductions. We proposed no
revisions to the emission standards
based on the revised risk and
technology review. However, in the
2014 supplemental proposal, we
supplemented and modified several of
the proposed technical corrections and
rule clarifications from the 2012
proposal, including the following:
• Revised proposed limit on the total
number of furnace operating mode
changes (i.e., frequency) of four times in
any 6-month period, with the ability of
sources to apply to the appropriate
authority for additional furnace
operating mode changes;
• Revised wording in proposed 40
CFR 63.1511(b)(1) related to worst-case
scenario testing clarifying under what
conditions the performance tests are to
be conducted;
• Revised proposed compliance
requirements for performance testing of
uncontrolled furnaces, such that if a
source: (1) Chooses to use an
assumption of 67-percent 2 capture/
collection efficiency, instead of
installing temporary hooding according
to ACGIH guidelines, and (2) fails to
demonstrate compliance using the 67percent efficiency assumption, then the
source must either retest using ACGIH
hooding within 180 days (rather than
the 90 days specified in the 2012
proposal) or petition the appropriate
authority within 180 days that installing
ACGIH hooding is impractical and
propose alternative testing procedures
that will minimize unmeasured
emissions;
• Revised proposed requirement that
emission sources comply with the
emissions limits at all times, including
periods of SSM. Proposed definitions of
startup and shutdown as well as an
additional alternative method for
demonstrating compliance with certain
emission limits during startup and
shutdown;
• Revised proposed requirements for
annual inspection of capture/collection
2 The capture efficiency of 66.67 percent was
rounded to 67 percent.
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systems to allow additional compliance
options;
• Revised proposed compliance dates
of 180 days for certain requirements and
2 years for other requirements; and
• Revised operating and monitoring
requirements for sweat furnaces to allow
an additional compliance option.
In addition, we withdrew our 2012
proposal to include provisions
establishing an affirmative defense in
light of a recent court decision vacating
an affirmative defense in one of the
EPA’s CAA section 112(d) regulations.
NRDC v. EPA, 749 F.3d 1055 (D.C. Cir.
2014) (vacating affirmative defense
provisions in CAA section 112(d) rule
establishing emission standards for
Portland cement kilns).
III. What is included in this final rule?
This action finalizes the EPA’s
determinations pursuant to the RTR
provisions of CAA section 112 for the
Secondary Aluminum Production
source category. This action also
finalizes changes to the NESHAP,
including technical corrections and rule
clarifications as well as alternative
compliance options.
A. What are the final rule amendments
based on the risk review for the
Secondary Aluminum Production
source category?
There are no rule amendments based
on the risk review for this source
category.
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B. What are the final rule amendments
based on the technology review for the
Secondary Aluminum Production
source category?
There are no rule amendments based
on the technology review for this source
category.
C. What are the final rule amendments
addressing emissions during periods of
startup, shutdown, and malfunction?
In its 2008 decision in Sierra Club v.
EPA, 551 F.3d 1019 (D.C. Cir. 2008), the
United States Court of Appeals for the
District of Columbia Circuit vacated
portions of two provisions in the EPA’s
CAA section 112 regulations governing
the emissions of HAP during periods
SSM. Specifically, the Court vacated the
SSM exemption contained in 40 CFR
63.6(f)(1) and 40 CFR 63.6(h)(1), holding
that under section 302(k) of the CAA,
emissions standards or limitations must
be continuous in nature and that the
SSM exemption violates the CAA’s
requirement that some section 112
standards apply continuously.
We have eliminated the SSM
exemption in this rule. Consistent with
Sierra Club v. EPA, the EPA has
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established standards in this rule that
apply at all times. We have also revised
Appendix A to Subpart RRR of part 63
(the General Provisions applicability
table) in several respects as is explained
in more detail below. For example, we
have eliminated the incorporation of the
General Provisions’ requirement that the
source develop an SSM plan. We have
also eliminated and revised certain
recordkeeping and reporting that is
related to the SSM exemption as
described in detail in the proposed rule
and summarized again here.
In establishing the standards in this
rule, the EPA has taken into account
startup and shutdown periods and, for
the reasons explained below, has not
established alternate emission standards
for those periods.
We are finalizing amendments to
eliminate provisions that exempt
sources from the requirement to comply
with the otherwise applicable CAA
section 112(d) emission standards
during periods of SSM. As explained in
the 2012 proposal and 2014
supplemental proposal, because the
scrap processed at secondary aluminum
production facilities is the source of
emissions, we expect emissions during
startup and shutdown would be no
higher, and most likely significantly
lower, than emissions during normal
operations since no scrap is processed
during those periods. The final
amendments include alternative
methods for demonstrating compliance
with applicable emission limits that are
expressed in units of pounds per ton of
feed/charge, or microgram (mg) TEQ or
nanogram (ng) TEQ per megagram (Mg)
of feed/charge, based on emissions
during startup and shutdown and,
alternatively, demonstrating compliance
by keeping records that show that
during startup and shutdown, the feed/
charge rate was zero, the flux rate was
zero, and the affected source or
emission unit was heated with
electricity, propane, or natural gas as the
sole sources of heat or was not heated.
See 40 CFR 63.1513(f).
We are also finalizing definitions for
the periods of startup and shutdown to
account for the fact that many furnaces
are batch operations and are often in a
standby condition that, under the
proposed definitions, might have been
considered to be shutdown. The final
definition of shutdown recognizes that
shutdown begins when the addition of
feed/charge is halted, the heat sources
are removed, and product is removed
from the equipment to the greatest
extent practicable, and ends when the
equipment cools to near ambient
temperature. The final definition
recognizes that, after tapping, most
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furnaces (tilting furnaces are an
exception) retain a molten metal heel
and are not emptied completely. In the
final amendments, startup is defined as
beginning with equipment warming
from a shutdown and ending at the
point that feed/charge or flux is
introduced.
Other SSM-related changes include:
• Revising 40 CFR 63.1510(s)(2)(iv),
63.1515(b)(10), 63.1516(a),
63.1516(b)(1)(v), and 63.1517(b)(16)(i) to
reflect the revised requirements related
to periods of SSM;
• Revising 40 CFR 63.1506(a)(5) to
incorporate the general duty from 40
CFR 63.6(e)(1)(i) to minimize emissions;
and
• Adding 40 CFR 63.1516(d), and 40
CFR 63.1517(b)(18) and (19) to require
reporting and recordkeeping associated
with periods of SSM.
Periods of startup, normal operations,
and shutdown are all predictable and
routine aspects of a source’s operations.
Malfunctions, in contrast, are neither
predictable nor routine. Instead, they
are, by definition, sudden, infrequent,
and not reasonably preventable failures
of emissions control, process, or
monitoring equipment (40 CFR 63.2)
(Definition of malfunction). The EPA
interprets CAA section 112 as not
requiring emissions that occur during
periods of malfunction to be factored
into development of CAA section 112
standards. Under CAA section 112,
emissions standards for new sources
must be no less stringent than the level
‘‘achieved’’ by the best controlled
similar source and for existing sources
generally must be no less stringent than
the average emission limitation
‘‘achieved’’ by the best performing 12
percent of sources in the category. There
is nothing in section 112 that directs the
Agency to consider malfunctions in
determining the level ‘‘achieved’’ by the
best performing sources when setting
emission standards. As the D.C. Circuit
has recognized, the phrase ‘‘average
emissions limitation achieved by the
best performing 12 percent of’’ sources
‘‘says nothing about how the
performance of the best units is to be
calculated.’’ Nat’l Ass’n of Clean Water
Agencies v. EPA, 734 F.3d 1115, 1141
(D.C. Cir. 2013). While the EPA
accounts for variability in setting
emissions standards, nothing in CAA
section 112 requires the Agency to
consider malfunctions as part of that
analysis. A malfunction should not be
treated in the same manner as the type
of variation in performance that occurs
during routine operations of a source. A
malfunction is a failure of the source to
perform in a ‘‘normal or usual manner’’
and no statutory language compels the
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EPA to consider such events in setting
CAA section 112 standards.
Further, accounting for malfunctions
in setting emission standards would be
difficult, if not impossible, given the
myriad different types of malfunctions
that can occur across all sources in the
category and given the difficulties
associated with predicting or accounting
for the frequency, degree, and duration
of various malfunctions that might
occur. As such, the performance of units
that are malfunctioning is not
‘‘reasonably’’ foreseeable. See, e.g.,
Sierra Club v. EPA, 167 F.3d 658, 662
(D.C. Cir. 1999) (‘‘The EPA typically has
wide latitude in determining the extent
of data-gathering necessary to solve a
problem. We generally defer to an
agency’s decision to proceed on the
basis of imperfect scientific information,
rather than to ‘invest the resources to
conduct the perfect study.’ ’’) See also
Weyerhaeuser v. Costle, 590 F.2d 1011,
1058 (D.C. Cir. 1978) (‘‘In the nature of
things, no general limit, individual
permit, or even any upset provision can
anticipate all upset situations. After a
certain point, the transgression of
regulatory limits caused by
‘uncontrollable acts of third parties,’
such as strikes, sabotage, operator
intoxication or insanity, and a variety of
other eventualities, must be a matter for
the administrative exercise of case-bycase enforcement discretion, not for
specification in advance by
regulation.’’). In addition, emissions
during a malfunction event can be
significantly higher than emissions at
any other time of source operation. For
example, if an air pollution control
device with 99-percent removal goes offline as a result of a malfunction (as
might happen if, for example, the bags
in a baghouse catch fire) and the
emission unit is a steady state type unit
that would take days to shutdown, the
source would go from 99-percent
control to zero control until the control
device was repaired. The source’s
emissions during the malfunction
would be 100 times higher than during
normal operations. As such, the
emissions over a 4-day malfunction
period would exceed the annual
emissions of the source during normal
operations. As this example illustrates,
accounting for malfunctions could lead
to standards that are not reflective of
(and significantly less stringent than)
levels that are achieved by a wellperforming non-malfunctioning source.
It is reasonable to interpret CAA section
112 to avoid such a result. The EPA’s
approach to malfunctions is consistent
with CAA section 112 and is a
reasonable interpretation of the statute.
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In the event that a source fails to
comply with the applicable CAA section
112(d) standards as a result of a
malfunction event, the EPA would
determine an appropriate response
based on, among other things, the good
faith efforts of the source to minimize
emissions during malfunction periods,
including preventative and corrective
actions, as well as root cause analyses
to ascertain and rectify excess
emissions. The EPA would also
consider whether the source’s failure to
comply with the CAA section 112(d)
standard was, in fact, sudden,
infrequent, not reasonably preventable,
and not caused in part by poor
maintenance or careless operation. 40
CFR 63.2 (Definition of malfunction).
If the EPA determines in a particular
case that an enforcement action against
a source for violation of an emission
standard is warranted, the source can
raise any and all defenses in that
enforcement action and the federal
district court will determine what, if
any, relief is appropriate. The same is
true for citizen enforcement actions.
Similarly, the presiding officer in an
administrative proceeding can consider
any defense raised and determine
whether administrative penalties are
appropriate. In summary, the EPA
interpretation of the CAA and, in
particular, CAA section 112 is
reasonable and encourages practices
that will avoid malfunctions.
Administrative and judicial procedures
for addressing exceedances of the
standards fully recognize that violations
may occur despite good faith efforts to
comply and can accommodate those
situations.
In the 2012 proposed rule, the EPA
proposed to include an affirmative
defense to civil penalties for violations
caused by malfunctions. Although the
EPA recognized that its case-by-case
enforcement discretion provides
sufficient flexibility, it proposed to
include the affirmative defense to
provide a more formalized approach
and more regulatory clarity. See
Weyerhaeuser Co. v. Costle, 590 F.2d
1011, 1057–58 (D.C. Cir. 1978) (holding
that an informal case-by-case
enforcement discretion approach is
adequate); but see Marathon Oil Co. v.
EPA, 564 F.2d 1253, 1272–73 (9th Cir.
1977) (requiring a more formalized
approach to consideration of ‘‘upsets
beyond the control of the permit
holder.’’). Under the proposed
regulatory affirmative defense
provisions, if a source could
demonstrate in a judicial or
administrative proceeding that it had
met the requirements of the affirmative
defense in the regulation, civil penalties
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would not be assessed. After the 2012
proposal, the United States Court of
Appeals for the District of Columbia
Circuit vacated an affirmative defense in
one of the EPA’s CAA section 112
regulations. NRDC v. EPA, 749 F.3d
1055 (D.C. Cir., 2014) (vacating
affirmative defense provisions in CAA
section 112 rule establishing emission
standards for Portland cement kilns).
The Court found that the EPA lacked
authority to establish an affirmative
defense for private civil suits and held
that under the CAA, the authority to
determine civil penalty amounts in such
cases lies exclusively with the courts,
not the EPA. Specifically, the Court
found: ‘‘As the language of the statute
makes clear, the courts determine, on a
case-by-case basis, whether civil
penalties are ‘appropriate.’ ’’ See NRDC
at 1063 (‘‘[U]nder this statute, deciding
whether penalties are ‘appropriate’ in a
given private civil suit is a job for the
courts, not EPA.’’).3 In light of NRDC,
the EPA in the 2014 supplemental
proposal withdrew the proposed
affirmative defense and is not including
a regulatory affirmative defense
provision in the final rule. As explained
above, if a source is unable to comply
with emissions standards as a result of
a malfunction, the EPA may use its caseby-case enforcement discretion to
provide flexibility, as appropriate.
Further, as the D.C. Circuit recognized,
in an EPA or citizen enforcement action,
the court has the discretion to consider
any defense raised and determine
whether penalties are appropriate. Cf.
NRDC at 1064 (arguments that violation
were caused by unavoidable technology
failure can be made to the courts in
future civil cases when the issue arises).
The same is true for the presiding officer
in EPA administrative enforcement
actions.4
We are revising the General
Provisions table (Appendix A to Subpart
RRR of 40 CFR part 63) entry for 40 CFR
63.6(e)(1)(i) by changing the ‘‘yes’’ in
3 The Court’s reasoning in NRDC focuses on civil
judicial actions. The Court noted that ‘‘EPA’s ability
to determine whether penalties should be assessed
for Clean Air Act violations extends only to
administrative penalties, not to civil penalties
imposed by a court.’’ Id.
4 Although the NRDC case does not address the
EPA’s authority to establish an affirmative defense
to penalties that is available in administrative
enforcement actions, the EPA is not including such
an affirmative defense in the final rule. As
explained above, such an affirmative defense is not
necessary, and in the 2014 supplemental proposal,
we withdrew the proposed affirmative defense.
Moreover, assessment of penalties for violatiing
caused by malfunctions in administrative
proceedings and judicial proceedings should be
consistent, Cf. CAA section 113(e) (requiring both
the Administrator and the Court to take specified
criteria into account when assessing penalties).
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column ‘‘Applies to RRR’’ to ‘‘no.’’
Section 63.6(e)(1)(i) describes the
general duty to minimize emissions.
Some of the language in that section is
no longer necessary or appropriate in
light of the elimination of the SSM
exemption. We have instead added
general duty regulatory text at 40 CFR
63.1506(a)(5) that reflects the general
duty to minimize emissions while
eliminating the reference to periods
covered by an SSM exemption. The
current language in 40 CFR 63.6(e)(1)(i)
characterizes what the general duty
entails during periods of SSM. With the
elimination of the SSM exemption,
there is no need to differentiate between
normal operations, startup and
shutdown, and malfunction events in
describing the general duty. Therefore,
the language the EPA is promulgating
for Subpart RRR does not include that
language from 40 CFR 63.6(e)(1).
We are also revising the General
Provisions table entry for 40 CFR
63.6(e)(1)(ii) by changing the ‘‘yes’’ in
column ‘‘Applies to RRR’’ to ‘‘no.’’
Section 63.6(e)(1)(ii) imposes
requirements that are not necessary with
the elimination of the SSM exemption
or are redundant with the general duty
requirement being added at 40 CFR
63.1506(a)(5).
We are revising the General
Provisions table entry for 40 CFR
63.6(e)(3) by changing the ‘‘yes’’ in
column ‘‘Applies to RRR’’ to ‘‘no.’’
Generally, these paragraphs require
development of an SSM plan and
specify SSM recordkeeping and
reporting requirements related to the
SSM plan. As noted, the EPA is
removing the SSM exemptions.
Therefore, affected units will be subject
to an emission standard during such
events. The applicability of a standard
during such events will ensure that
sources have ample incentive to plan for
and achieve compliance and, thus, the
SSM plan requirements are no longer
necessary.
We are revising the General
Provisions table entry for 40 CFR
63.6(f)(1) by changing the ‘‘yes’’ in
column ‘‘Applies to RRR’’ to ‘‘no.’’ The
current language of 40 CFR 63.6(f)(1)
exempts sources from non-opacity
standards during periods of SSM. As
discussed above, the Court in Sierra
Club vacated the exemptions contained
in this provision and held that the CAA
requires that some section 112 standards
apply continuously. Consistent with
Sierra Club, the EPA is revising
standards in this rule to apply at all
times.
We are revising the General
Provisions table entry for 40 CFR
63.6(h)(1) by changing the ‘‘yes’’ in
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column ‘‘Applies to RRR’’ to ‘‘no.’’ The
current language of 40 CFR 63.6(h)(1)
exempts sources from opacity standards
during periods of SSM. As discussed
above, the Court in Sierra Club vacated
the exemptions contained in this
provision and held that the CAA
requires that some section 112 standards
apply continuously. Consistent with
Sierra Club, the EPA is revising
standards in this rule to apply at all
times.
We are revising the General
Provisions table entry for 40 CFR
63.7(e)(1) by changing the ‘‘yes’’ in
column ‘‘Applies to RRR’’ to ‘‘no.’’
Section 63.7(e)(1) describes performance
testing requirements. The EPA is instead
adding a performance testing
requirement at 40 CFR 63.1513(f). The
performance testing requirements we
are adding differ from the General
Provisions performance testing
provisions in several respects. The
regulatory text does not include the
language in 40 CFR 63.7(e)(1) that
restated the SSM exemption and
language that precluded startup and
shutdown periods from being
considered ‘‘representative’’ for
purposes of performance testing. The
revised performance testing provisions
include alternative methods for
demonstrating compliance with
emission limits that are expressed in
units of pounds per ton of feed/charge,
or mg TEQ or ng TEQ per Mg of feed/
charge. Compliance with such limits
during startup and shutdown can be
demonstrated using the emissions
measured during startup and shutdown
along with the measured feed/charge
rate from the most recent performance
test associated with a production rate
greater than zero, or the rated capacity
of the affected source if no prior
performance test data are available.
Alternatively, compliance can be
demonstrated by keeping records that
show that during startup and shutdown,
the feed/charge rate was zero, the flux
rate was zero, and the affected source or
emission unit either was heated with
electricity, propane, or natural gas as the
sole sources of heat or was not heated.
As in 40 CFR 63.7(e)(1), we are
requiring in 40 CFR 63.1511(b) that
performance tests conducted under this
subpart not be conducted during
malfunctions because conditions during
malfunctions are often not
representative of normal operating
conditions. The EPA is adding language
in 40 CFR 63.1517(b)(19) that requires
the owner or operator to record the
process information that is necessary to
document operating conditions during
the test and include in such record an
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explanation to support that such
conditions are representative of startup
and shutdown operations. Section
63.7(e) requires that the owner or
operator make available to the
Administrator such records ‘‘as may be
necessary to determine the condition of
the performance test’’ available to the
Administrator upon request, but does
not specifically require the information
to be recorded. The regulatory text the
EPA is adding to this provision builds
on that requirement and makes explicit
the requirement to record the
information.
We are revising the General
Provisions table (Appendix A to Subpart
RRR of 40 CFR part 63) entry for 40 CFR
63.8(c)(1)(i) and (iii) by changing the
‘‘yes’’ in column ‘‘Applies to RRR’’ to
‘‘no.’’ The cross-references to the
general duty and SSM plan
requirements in those subparagraphs are
not necessary in light of other
requirements of 40 CFR 63.8 that require
good air pollution control practices (40
CFR 63.8(c)(1)) and that set out the
requirements of a quality control
program for monitoring equipment (40
CFR 63.8(d)).
We are revising the General
Provisions table entry for 40 CFR
63.8((d)(3) by changing the ‘‘yes’’ in
column ‘‘Applies to RRR’’ to ‘‘Yes,
except for last sentence which refers to
an SSM plan. SSM plans are not
required.’’ The final sentence in 40 CFR
63.8((d)(3) refers to the General
Provisions’ SSM plan requirement
which is no longer applicable.
We are revising the General
Provisions table entry for 40 CFR
63.10(b)(2)(i) by changing the ‘‘yes’’ in
column ‘‘Applies to RRR’’ to ‘‘no.’’
Section 63.10(b)(2)(i) describes the
recordkeeping requirements during
startup and shutdown. These recording
provisions are no longer necessary
because the EPA is promulgating that
recordkeeping and reporting applicable
to normal operations will apply to
startup and shutdown. In the absence of
special provisions applicable to startup
and shutdown, such as a startup and
shutdown plan, there is no reason to
retain additional records for startup and
shutdown periods. However, we are
adding an additional recordkeeping
provision at 40 CFR 63.1517(b)(18) for
owners and operators that wish to
demonstrate compliance with emission
limits that are expressed in units of
pounds per ton of feed/charge, or mg
TEQ or ng TEQ per Mg of feed/charge,
during startup and shutdown by
keeping records that show that during
startup and shutdown no feed/charge or
flux was added, only clean fuel was
used, or no fuel was used.
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We are revising the General
Provisions table entry for 40 CFR
63.10(b)(2)(ii) by changing the ‘‘yes’’ in
column ‘‘Applies to RRR’’ to ‘‘no.’’
Section 63.10(b)(2)(ii) describes the
recordkeeping requirements during a
malfunction. The EPA is adding such
requirements to 40 CFR 63.1517. The
regulatory text we are adding differs
from the General Provisions it is
replacing in that the General Provisions
require the creation and retention of a
record of the occurrence and duration of
each malfunction of process, air
pollution control, and monitoring
equipment. The EPA is applying the
recordkeeping requirement to any
failure to meet an applicable standard
and is requiring that the source record
the date, time, and duration of the
failure rather than the ‘‘occurrence.’’
We are revising the General
Provisions table entry for 40 CFR
63.10(b)(2)(iv) by changing the ‘‘yes’’ in
column ‘‘Applies to RRR’’ to ‘‘no.’’
When applicable, the provision requires
sources to record actions taken during
SSM events when actions were
inconsistent with their SSM plan. The
requirement is no longer appropriate
because SSM plans will no longer be
required. The requirement previously
applicable under 40 CFR
63.10(b)(2)(iv)(B) to record actions to
minimize emissions and record
corrective actions is now applicable by
reference to 40 CFR 63.1517.
We are revising the General
Provisions table entry for 40 CFR
63.10(b)(2)(v) by changing the ‘‘yes’’ to
‘‘no.’’ When applicable, the provision
requires sources to record actions taken
during SSM events to show that actions
taken were consistent with their SSM
plan. The requirement is no longer
appropriate because SSM plans will no
longer be required.
We are revising the General
Provisions table entry for 40 CFR
63.10(c)(15) by changing the ‘‘yes’’ to
‘‘no.’’ When applicable, the provision
allows an owner or operator to use the
affected source’s SSM plan or records
kept to satisfy the recordkeeping
requirements of the SSM plan, specified
in 40 CFR 63.6(e), to also satisfy the
requirements of 40 CFR 63.10(c)(10)
through (12). The EPA is eliminating
this requirement because SSM plans
will no longer be required, and,
therefore, 40 CFR 63.10(c)(15) no longer
serves any useful purpose.
We are revising the General
Provisions table entry for 40 CFR
63.10(d)(5), including (5)(i) and (ii), by
changing the ‘‘yes’’ in column ‘‘Applies
to RRR’’ to ‘‘no.’’ Section 63.10(d)(5)
describes the reporting requirements for
SSM. We will no longer require owners
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or operators to determine whether
actions taken to correct a malfunction
are consistent with an SSM plan or
report when actions taken during a
startup, shutdown, or malfunction were
not consistent with an SSM plan,
because SSM plans will no longer be
required. To replace the General
Provisions reporting requirement, the
EPA is adding reporting requirements to
40 CFR 63.1516(d). The replacement
language differs from the General
Provisions requirement in that it
eliminates periodic SSM reports as a
stand-alone report. We are requiring
sources that fail to meet an applicable
standard at any time to report the
information concerning such events in
the semi-annual excess emission report
already required under 40 CFR part 63,
subpart RRR. The report must contain
the emission unit ID, monitor ID,
pollutant or parameter monitored,
beginning date and time of event, end
date and time of the event, cause of the
deviation or exceedance, corrective
action taken, a list of the affected source
or equipment, an estimate of the
quantity of each regulated pollutant
emitted over any emission limit, and a
description of the method used to
estimate the emissions. Examples of
such methods would include productloss calculations, mass balance
calculations, measurements when
available, or engineering judgment
based on known process parameters.
The EPA is promulgating this
requirement to ensure that there is
adequate information to determine
compliance, to allow the EPA to
determine the severity of the failure to
meet an applicable standard, and to
provide data that may document how
the source met the general duty to
minimize emissions during a failure to
meet an applicable standard.
D. What other changes have been made
to the NESHAP?
This section provides a summary of
other changes to the NESHAP. More
details and further explanation of these
changes are provided in section IV of
this preamble and/or in the response to
comments document, which is available
in the docket for this action. These other
changes include the following:
1. Clarification of applicability of rule
provisions to area sources. We are
finalizing revisions to clarify which
operating, monitoring, performance
testing, and annual compliance
certification requirements apply to area
sources.
2. Addition or revision of definitions.
We added definitions for bale breaker,
capture and collection system, HF,
round top furnace, startup, shutdown,
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tap, and total reactive fluoride flux
injection rate. We revised the
definitions for aluminum scrap
shredder, clean charge, cover flux,
group 2 furnace, HCl, residence time,
scrap dryer/delacquering/decoating
kiln, and SAPU.
3. Revision of provisions to include
HF. We have revised 40 CFR 63.1503,
63.1505, 63.1506, 63.1510, 63.1511,
63.1512, 63.1513, 63.1516, and Table 1
of the rule to address HF in the emission
standards and in the performance
testing, monitoring, and compliance
demonstration provisions for group 1
furnaces.
4. Addition of criteria for changing
furnace classifications and an allowed
frequency of such changes of four times
in any 6-month period. We are
finalizing requirements for changing
furnace classifications in 40 CFR
63.1510, 63.1514, and 63.1517 of the
final rule.
5. Revisions to operating
requirements. We are finalizing
revisions to operating requirements with
respect to the following:
• Provisions for controlled group 1
furnaces that will be idled for at least 24
hours in 40 CFR 63.1506(m)(7) and
Table 2;
• A requirement for lime injection
rate verification in 40 CFR 63.1506(m),
63.1510(i)(4), 63.1512, and Table 3; and
• Alternative compliance options for
sweat furnaces in lieu of following the
ACGIH Guidelines.
6. Revisions to monitoring
requirements. We are finalizing
revisions to monitoring requirements
with regard to:
• Annual inspections of capture/
collection systems in 40 CFR
63.1510(d)(2);
• Flux monitoring in 40 CFR
63.1510(j)(4) and in Table 3 of the rule;
• Bag leak detection system
maintenance in 40 CFR 63.1510(f)(1)(ii)
and in Table 3;
• Monitoring of sidewell group 1
furnaces in 40 CFR 63.1510(n)(1);
• SAPU compliance with emission
factors in 40 CFR 63.1510(t); and
• Compliance options for sweat
furnaces in 40 CFR 63.1510(d)(3) as an
alternative to the monitoring
requirements to conduct annual flow
rate measurements using EPA Methods
1 and 2.
As a result of comments on the 2012
proposal, we are not finalizing an
amendment to require a 60-day approval
period for operation, maintenance and
monitoring (OM&M) plans.
7. Revisions to requirements for
performance testing/compliance
demonstration. We are finalizing
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revisions with respect to the following
performance testing requirements:
• References to ACGIH guidelines in
40 CFR 63.1502 and 63.1506 and Tables
2 Table 3 for capture and collection
systems;
• Section 63.1511(b)(1) and
63.1511(b)(6) to clarify the conditions
under which performance tests must be
conducted in order to be representative
of testing for a ‘‘worst case’’ scenario
and that multiple tests may be required
to characterize all regulated pollutants;
• Section 63.1511(b)(3) to clarify
testing requirements for batch processes;
• Section 63.1511(f)(6) to clarify that
testing for representative units means
that all performance tests must be
conducted on the same affected source
or emission unit;
• Section 63.1511(b) to allow 180
days to conduct initial performance
testing;
• Section 63.1511(g)(5) with respect
to altering parameters during
performance testing with new feed/
charge types; and
• Paragraphs in 40 CFR 63.1512(e) to
clarify the requirement to account for
unmeasured emissions during
performance testing of uncontrolled
group 1 furnaces, including:
Æ Requirements for installation of
temporary hooding for performance
testing on uncontrolled group 1 furnaces
or, for existing uncontrolled furnaces,
use of 80-percent capture efficiency
assumption;
Æ testing requirements for new
uncontrolled furnaces;
Æ conditions where installation of
temporary hooding that meets ACGIH
guidelines is impractical; and
Æ procedures to minimize
unmeasured emissions during
performance testing of uncontrolled
furnaces.
8. Revisions to recordkeeping
provisions. We are finalizing revisions
to 40 CFR 63.1517(b)(4)(ii) with respect
to lime injection rates, 40 CFR
63.1517(b)(14) with respect to records
related to the annual inspection of
capture/collection systems, and 40 CFR
63.1517(b)(19) with respect to records
related to startups and shutdowns.
E. What are the effective and
compliance dates of the standards?
The revisions to the MACT standards
being promulgated in this action are
effective on September 18, 2015.
The compliance date for the final
amendments listed in 40 CFR
63.1501(d) for existing secondary
aluminum production affected sources
is March 16, 2016. The compliance date
for the final amendments listed in 40
CFR 63.1501(c) for existing affected
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sources is September 18, 2017. The
owner or operator of a new affected
source that commences construction or
reconstruction after February 14, 2012,
must comply with all of the
requirements of this subparat by
September 18, 2015 or upon startup,
whichever is later.
In the 2012 proposal, we proposed
that existing affected sources comply
with the proposed amendments within
90 days of the publication of the final
rule in the Federal Register. As
described in detail in the 2014
supplemental proposal (79 FR 72906),
commenters stated that the proposed 90day compliance deadline was
insufficient for sources to comply with
certain provisions of the final rule.
These commenters recommended
compliance dates of 2 to 3 years due to
the need to conduct operational
planning, maintenance planning,
reprogramming of data acquisition
systems, design and installation of
hooding equipment, and/or negotiations
with permitting authorities to gain
performance test plan approvals. The
EPA agreed that the proposed 90-day
compliance deadline was insufficient.
However, we did not agree that sources
needed 2 to 3 years to comply with all
the requirements. Based on
consideration of the comments and
further evaluation of the amount of time
needed for each of the requirements, the
2014 supplemental proposal included
extended compliance periods of 180
days for the revisions listed in 40 CFR
63.1501(d). In this action, we are
finalizing compliance deadlines of 180
days after publication of this final rule
in the Federal Register for the revisions
in 40 CFR 63.1501(d). For the
amendments related to HF emissions
(40 CFR 63.1505(i)(4) and (k)(2)), testing
of existing uncontrolled furnaces (40
CFR 63.1512(e)(4), (e)(5), (e)(6) and
(e)(7)), and changing furnace
classification (40 CFR 63.1514), the EPA
agrees that a longer time to comply is
appropriate and proposed a compliance
period of 2 years in the 2014
supplemental proposal. In this action,
we are finalizing a compliance deadline
of 2 years after publication of this final
rule in the Federal Register for the
provisions listed in 40 CFR 63.1501(e).
F. What are the requirements for
submission of performance test data to
the EPA?
As stated in the preamble of the 2012
proposal, the EPA is taking a step to
increase the ease and efficiency of data
submittal and data accessibility.
Specifically, the EPA is requiring
owners and operators of secondary
aluminum production facilities to
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submit electronic copies of certain
required performance test reports.
As mentioned in the preamble of the
proposal, data will be collected by
direct computer-to-computer electronic
transfer using EPA-provided software.
As discussed in the proposal, the EPAprovided software is an electronic
performance test report tool called the
ERT. The ERT will generate an
electronic report package which will be
submitted to the Compliance and
Emissions Data Reporting Interface
(CEDRI) and then archived to the EPA’s
Central Data Exchange (CDX). A
description and instructions for use of
the ERT can be found at https://
www.epa.gov/ttn/chief/ert/,
and CEDRI can be accessed through the
CDX Web site at www.epa.gov/cdx.
The requirement to submit
performance test data electronically to
the EPA does not create any additional
performance testing and will apply only
to those performance tests conducted
using test methods that are supported by
the ERT. A listing of the pollutants and
test methods supported by the ERT is
available at the ERT Web site. The EPA
believes, through this approach,
industry will save time in the
performance test submittal process.
Additionally, this rulemaking benefits
industry by cutting back on
recordkeeping costs as the performance
test reports that are submitted to the
EPA using CEDRI are no longer required
to be kept in hard copy.
As mentioned in the proposed
preamble, state, local, and tribal
agencies will benefit from more
streamlined and accurate review of
performance test data that will be
available on the EPA WebFIRE database.
The public will also benefit. Having
these data publicly available enhances
transparency and accountability. For a
more thorough discussion of electronic
reporting of performance tests using
direct computer-to-computer electronic
transfer and using EPA-provided
software, see the discussion in the
preamble of the proposal.
In summary, in addition to supporting
regulation development, control strategy
development, and other air pollution
control activities, having an electronic
database populated with performance
test data will save industry, state, local,
tribal agencies, and the EPA significant
time, money, and effort while improving
the quality of emission inventories, air
quality regulations, and enhancing the
public’s access to this important
information.
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G. What materials are being
incorporated by reference?
In this final rule, the EPA is including
regulatory text that includes
incorporation by reference. In
accordance with requirements of 1 CFR
51.5, the EPA is incorporating by
reference the following documents
described in the amendments to 40 CFR
63.14:
• ASTM D7520–13, Standard Test
Method for Determining the Opacity of
a Plume in an Outdoor Ambient
Atmosphere, approved December 1,
2013.
• EPA–625/3–89–016, Interim
Procedures for Estimating Risks
Associated with Exposures to Mixtures
of Chlorinated Dibenzo-p-Dioxins and
-Dibenzofurans (CDDs and CDFs) and
1989 Update, March 1989, U.S.
Environmental Protection Agency.
• Industrial Ventilation: A Manual of
Recommended Practice, 23rd Edition,
1998, Chapter 3, ‘‘Local Exhaust Hoods’’
and Chapter 5, ‘‘Exhaust System Design
Procedure.’’ American Conference of
Governmental Industrial Hygienists.
• Industrial Ventilation: A Manual of
Recommended Practice for Design, 27th
Edition, 2010, American Conference of
Governmental Industrial Hygienists.
In the 2014 supplemental proposal,
we identified ASTM D7520–09 as an
alternative method for the currently
required EPA Method 9. Since then, the
method has been updated to incorporate
specific requirements that we included
as add-ons to our broad alternative test
method approval of the 2009 version of
the ASTM method. We do not expect
any concerns changing to the new
version because the additional
requirements are handled by the
vendors of the digital camera/software
systems.
The EPA has made, and will continue
to make, these documents generally
available electronically through
www.regulations.gov and/or in hard
copy at the appropriate EPA office (see
the ADDRESSES section of this preamble
for more information).
IV. What is the rationale for our final
decisions and amendments for the
Secondary Aluminum Production
source category?
For each issue, this section provides
a description of what we proposed and
what we are finalizing for the issue, the
EPA’s rationale for the final decisions
and amendments, and a summary of key
comments and responses. For all
comments not discussed in this
preamble, comment summaries and the
EPA’s responses can be found in the
comment summary and response
document, which is available in the
docket.
A. Residual Risk Review for the
Secondary Aluminum Production
Source Category
1. What did we propose pursuant to
CAA section 112(f) for the Secondary
Aluminum Production source category?
Pursuant to CAA section 112(f), we
conducted a revised residual risk review
and presented the results of this review,
along with our proposed decisions
regarding risk acceptability and AMOS,
in the December 8, 2014, supplemental
proposal (79 FR 72874). The results of
the revised risk assessment are
presented briefly below in Table 2 and
56709
in more detail in the residual risk
document, Residual Risk Assessment for
the Secondary Aluminum Source
Category in Support of the 2015 Risk
and Technology Review Final Rule,
which is available in the docket for this
rulemaking.
a. Inhalation Risk Assessment Results.
The results of the chronic baseline
inhalation cancer risk assessment
indicate that, based on estimates of
current actual emissions, the maximum
individual risk (MIR) posed by the
Secondary Aluminum Production
source category from major sources and
from area sources was less than 1-in-1
million. The estimated cancer incidence
was slightly higher for area sources
compared to the major sources due to
the larger number of area sources
nationwide. The total estimated cancer
incidence from secondary aluminum
production sources from both major and
area sources based on actual emission
levels was 0.002 excess cancer cases per
year, with emissions of D/F,
naphthalene, and Polycyclic Aromatic
Hydrocarbons (PAH) contributing 48
percent, 31 percent, and 11 percent,
respectively, to this cancer incidence. In
addition, we note that there are no
excess cancer risks greater than or equal
to 1-in-1 million as a result of inhalation
exposure to actual emissions from this
source category over a lifetime. The
maximum modeled chronic non-cancer
hazard index (HI) target organ-specific
HI (TOSHI) value for the source category
for both major and area sources based
on actual emissions was estimated to be
0.04, with HCl emissions from group 1
furnaces accounting for 99 percent of
the HI.
TABLE 2—SECONDARY ALUMINUM PRODUCTION SOURCE CATEGORY INHALATION RISK ASSESSMENT RESULTS
Maximum individual cancer
risk (in 1-million) a
Number of facilities modeled
Based on
actual
emissions
Estimated
annual
cancer
incidence
(cases/yr) d
Based on
allowable
emissions
Estimated
population at
increased
risk of cancer
≥ 1-in-1
million d
Maximum chronic non-cancer
TOSHI b
Based on
actual
emissions
level
Based on
allowable
emissions
level
0.6
4
0.0007
0
0.04
0.1
Area Sources (103) ......................................
Facility-wide (52 Major Sources) .................
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Major Sources (52) ......................................
0.3
70
1
NA
0.001
0.05
0
760,000
0.0003
1
0.001
NA
Worst-case maximum
screening acute
non-cancer HQ c
HQ(REL) = 0.7 (HF).
HQ(AEGL1) = 0.4 (HCl).
NA.
NA.
a Estimated maximum individual excess lifetime cancer risk due to HAP emissions from the source category for major sources and D/F emissions from the source
category for area sources.
b Maximum TOSHI. The target organ with the highest TOSHI for the Secondary Aluminum Production source category for both actual and allowable emissions is
the respiratory system.
c There is no acute dose-response value for D/F. Thus an acute hazard quotient (HQ) value for area sources was not calculated. The maximum off-site HQ acute
value of 0.7 for actuals is driven by emissions of hydrofluoric acid. See section III.A.3 of the 2014 supplemental proposal (79 FR 72885) for explanation of acute
dose-response values. Acute assessments are performed based on actual emissions.
d These estimates are based upon actual emissions.
When considering MACT-allowable
emissions, the inhalation cancer MIR
was estimated to be up to 4-in-1 million,
driven by emissions of D/F compounds,
naphthalene, and PAHs from the scrap
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dryer/delacquering/decoating kiln. The
estimated potential cancer incidence
considering allowable emissions for
both major and area sources was
estimated to be 0.014 excess cancer
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cases per year, or 1 case every 70 years.
Approximately 3,400 people were
estimated to have cancer risks greater
than or equal to 1-in-1 million
considering allowable emissions from
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secondary aluminum production plants.
When considering MACT-allowable
emissions, the maximum chronic noncancer TOSHI value was estimated to be
0.1, driven by allowable emissions of
HCl from the group 1 furnaces.
b. Acute Risk Results. Our screening
analysis for worst-case acute impacts
based on actual emissions indicates no
pollutants exceeding an HQ value of 1
based upon the REL.
c. Multipathway Risk Screening
Results. Results of the worst-case Tier 1
screening analysis indicated that 36 of
the 52 major sources exceeded the
persistent and bio-accumulative HAP
(PB–HAP) emission cancer screening
rates (based on estimates of actual
emissions) for D/F, and 3 of the 52
major sources exceeded the Tier 1
screen value for PAHs. Regarding area
sources, 60 of the 103 area sources
exceeded the PB–HAP emission cancer
screening rates (based on estimates of
actual emissions) for D/F. For the
compounds and facilities that did not
screen out at Tier 1, we conducted a
Tier 2 screen. The Tier 2 screen replaces
some of the assumptions used in Tier 1
with site-specific data, including the
location of fishable lakes and local
precipitation, wind direction, and
speed. The Tier 2 screen continues to
rely on high-end assumptions about
consumption of local fish and locally
grown or raised foods (adult female
angler at 99th percentile consumption
for fish for the subsistence fisherman
scenario and 90th percentile
consumption for locally grown or raised
foods for the farmer scenario). It is
important to note that, even with the
inclusion of some site-specific
information in the Tier 2 analysis, the
multipathway screening analysis is still
a very conservative, health-protective
assessment (e.g., upper-bound
consumption of local fish and locally
grown and/or raised foods). In all
likelihood, this analysis will yield
results that serve as an upper-bound
multipathway risk associated with a
facility.
While the screening analysis was not
designed to produce a quantitative risk
result, the factor by which the emissions
exceed the threshold serves as a rough
gauge of the ‘‘upper-limit’’ risks we
would expect from a facility. Thus, for
example, if a facility emitted a PB–HAP
carcinogen at a level 2 times the
screening threshold, we can say with a
high degree of confidence that the actual
maximum cancer risks will be less than
2-in-1 million. Likewise, if a facility
emitted a noncancer PB–HAP at a level
2 times the screening threshold, the
maximum noncancer hazard would
represent an HQ less than 2. The high
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degree of confidence comes from the
fact that the screens are developed using
the very conservative (health-protective)
assumptions that we describe above.
Based on the Tier 2 cancer screening
analysis, 25 of the 52 major sources and
34 of the 103 area sources emitted D/F
above the Tier 2 cancer screening
thresholds for the subsistence fisher and
farmer scenarios. The individual D/F
emissions were all scaled based on their
toxicity to 2,3,7,8-tetrachlorodibenzo-pdioxin and reported as TEQ. The
subsistence fisher scenario for the
highest risk facilities exceeded the D/F
cancer threshold by a factor of 80 for the
major sources and by a factor of 70 for
the area sources. The Tier 2 analysis
also identified 23 of the 52 major
sources and 26 of the 103 area sources
emitting D/F above the Tier 2 cancer
screening thresholds for the subsistence
farmer scenario. The highest exceedance
of the Tier 2 screen value was 40 for the
major sources and 20 for the area
sources for the farmer scenario.
We had only one major source
emitting PAHs above the Tier 2 cancer
screen value with an exceedance of 2 for
the farmer scenario. All PAH emissions
were scaled based on their toxicity to
benzo(a)pyrene and reported as TEQ.
A more refined Tier 3 multipathway
screening analysis was conducted for
six Tier 2 major source facilities. The six
facilities were selected because the Tier
2 cancer screening assessments for these
facilities had exceedances greater than
or equal to 50 times the screen value for
the subsistence fisher scenario. The
major sources represented the highest
screened cancer risk for multipathway
impacts. Therefore, further screening
analyses were not performed on the area
sources. The Tier 3 screen examined the
set of lakes from which the fisher might
ingest fish. Any lakes that appeared not
to be fishable or not publicly accessible
were removed from the assessment, and
the screening assessment was repeated.
After we made the determination the
critical lakes were fishable, we analyzed
plume rise data for each of the sites. The
Tier 3 screen was conducted only on
those HAP that exceeded the Tier 2
screening threshold, which for this
assessment were D/F and PAHs. Both of
these PB–HAP are carcinogenic. The
Tier 3 screen resulted in lowering the
maximum exceedance of the screen
value for the highest site from 80 to 70.
Results for the other sites were all less
than 70. The highest exceedance of the
Tier 2 cancer screen value of 40 for the
farmer scenario was also reduced in the
Tier 3 screening assessment to a value
of 30 for the major sources within this
source category.
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Overall, the refined multipathway
screening analysis for D/F and PAHs
utilizing the Tier 3 screen predicted a
potential lifetime cancer risk of 70-in-1
million or lower to the most exposed
individual, with D/F emissions from
group 1 furnaces handling other than
clean charge driving the risk. Cancer
risks due to PAH emissions for the
maximum exposed individual were less
than 1-in-1 million.
The chronic non-cancer HQ was
predicted to be below 1 for cadmium
compounds and 1 for mercury
compounds. For lead, we did not
estimate any exceedances of the Primary
Lead National Ambient Air Quality
Standards (NAAQS).
Further details on the refined
multipathway screening analysis can be
found in Appendix 8 of the Residual
Risk Assessment for the Secondary
Aluminum Production Source Category
in Support of the 2015 Risk and
Technology Review Final Rule, which is
available in the docket.
d. Environmental Risk Screening
Results. We conducted an
environmental risk screening
assessment for the Secondary
Aluminum Production source category
for the following seven pollutants:
PAHs, mercury (methyl mercury and
mercuric chloride), cadmium, lead, D/F,
HCl, and HF.
Of the seven pollutants included in
the environmental risk screen, major
sources in this source category emit
PAHs, mercuric chloride, cadmium,
lead, D/F, HCl, and HF. In the Tier 1
screening analysis for PB–HAP, none of
the individual modeled concentrations
for any facility in the source category
exceeded any of the ecological
benchmarks (either the lowest-observedadverse-effect level (LOAEL) or no
observed adverse effects level (NOAEL))
for PAHs, mercuric chloride, cadmium,
and D/F. For lead, we did not estimate
any exceedances of the Secondary Lead
NAAQS. For HCl and HF, the average
modeled concentration around each
facility (i.e., the average concentration
of all off-site data points in the
modeling domain) did not exceed any
ecological benchmark. In addition, each
individual modeled concentration of
HCl and HF (i.e., each off-site data point
in the modeling domain) was below the
ecological benchmarks for all facilities.
Of the seven pollutants included in
the environmental risk screen, area
sources in this source category are
regulated only for D/F. In the Tier 1
screening analysis for D/F, none of the
individual modeled concentrations for
any facility in the source category
exceeded any of the ecological
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benchmarks (either the LOAEL or
NOAEL) for D/F.
e. Facility-wide Risk Assessment
Results. Considering facility-wide
emissions at the 52 major sources, the
MIR was estimated to be 70-in-1 million
driven by arsenic and nickel emissions,
and the chronic non-cancer TOSHI
value was calculated to be 1, driven by
emissions of cadmium compounds. The
above risks were driven by emissions
from the potline roof vents at the colocated primary aluminum production
operations. The Secondary Aluminum
Production source category represents
less than 1 percent of the inhalation
risks from the facility-wide assessment
based upon actual emissions. The risks
due to primary aluminum production
operations are being addressed in a
separate RTR rulemaking for the
Primary Aluminum Production source
category that EPA plans to finalize later
this year.
f. What demographic groups might
benefit from this regulation? We
conducted a proximity analysis during
the development of the proposed rule,
and that analysis is also being used in
support of this final rule. We conclude
that this 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. However, the final
rule will provide additional benefits to
these demographic groups by improving
the compliance, monitoring and
implementation of the NESHAP.
The detailed results of the proximity
analyses can be found in the EJ
Screening Report for Secondary
Aluminum Area Sources and the EJ
Screening Report for Secondary
Aluminum Major Sources, which are
available in the docket for this
rulemaking.
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2. How did the risk review change for
the Secondary Aluminum Production
source category?
No new information was received that
would alter the results of the revised
risk review presented in support of the
2014 supplemental proposal, so no
changes were made.
3. What key comments did we receive
on the risk review, and what are our
responses?
Several comments were received
regarding the revised risk assessment for
the Secondary Aluminum Production
source category. The following is a
summary of some key comments and
our responses to those comments. Other
comments received and our responses to
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those comments can be found in the
document titled, National Emission
Standards for Hazardous Air Pollutant
Emissions: Secondary Aluminum
Production Summary of Public
Comments and Responses on Proposed
Rule (77 FR 8576, February 14, 2012)
and Supplemental Proposal (79 FR
72874, December 8, 2014), which is
available in the docket for this action.
Comment: One commenter 5 stated
that the EPA should reconsider its
finding of acceptable risk and instead
find risks unacceptable for the following
reasons.
The multipathway risk from D/F
emissions: i.e., a lifetime cancer risk of
up to 70-in-1 million for the mostexposed individual to emissions via a
fish (‘‘fisher’’) route of exposure, and an
additional cancer risk of up to 30-in-1
million for the most-exposed individual
to such emissions from a farm
(‘‘farmer’’) route of exposure. These
exposures add up to 100-in-1 million.
The EPA has a policy of adding cancer
risks to determine the most-exposed
individual’s maximum risk. The EPA
estimates cancer risks ‘‘as the sum of the
risks for each of the carcinogenic HAP’’
because ‘‘[s]umming the risks of these
individual compounds to obtain the
cumulative cancer risks is an approach
that was recommended by the EPA’s
SAB in their 2002 peer review of the
EPA’s National Air Toxics Assessment.’’
79 FR 72886 and n.7 (citing National Air
Toxic Assessment (NATA)—Evaluating
the National-scale Air Toxics
Assessment 1996 Data—a Science
Advisory Board (SAB) Advisory). The
Agency has given no valid justification
for not recognizing that the maximum
cancer risk from multipathway exposure
could be as high as 100-in-1 million,
sufficient for the EPA to find risk
unacceptable. Furthermore, the EPA has
recognized that the inhalation-based
cancer risk could be as high as 4 (based
on allowable emissions), or 0.6 (based
on so-called ‘‘actual’’ emissions).
Adding this risk (whether 0.6 or 4) to
100-in-1 million would exceed the
EPA’s benchmark of 100-in-1 million.
The EPA has provided no valid basis for
not adding inhalation and multipathway
cancer risks. The EPA should look at the
whole picture of cancer risk, in view of
its additive policy for cancer. Thus,
together these data points show that the
EPA should find total cancer risk from
this source category to be unacceptable.
Moreover, the EPA’s multipathway
risk does not evaluate all persistent and/
5 In summarizing the key comments, we have
indicated when a comment was submitted on the
2014 supplemental proposal. Unless otherwise
noted, the remaining comments were submitted on
the 2012 proposed rule.
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or bioaccumulative pollutants, and,
thus, its multipathway risk assessment
is likely underestimating these risks.
The EPA should evaluate all persistent,
bioaccumulative, and toxics (PBTs)
emitted by the secondary aluminum
source category, including all HAP
metals emitted (such as arsenic and
nickel).
In addition, if inhalation-based cancer
risk is more than 3 times as high from
allowable emissions (as from so-called
‘‘actual’’ emissions), then
multipathway-based cancer risk, which
the EPA has not evaluated based on
allowable emissions, is also likely to be
more than 3 times as high, or at least
higher than the numbers the EPA found.
Thus, the fish-based risk could be as
high as 210-in-1 million, and the farmbased risk could be as high as 90-in-1
million; together, the maximum
multipathway cancer risk the EPA
should be considering for the mostexposed individual is 300-in-1 million.
The EPA has given no valid justification
for not considering allowable emissionsbased risk from multipathway exposure.
Doing so would lead the Agency to find
cancer risk from multipathway exposure
to be well above 100-in-1 million.
The commenter stated that the above
analysis shows why, based on cancer
risk alone, the EPA should find
secondary aluminum plants’ current
risk is unacceptable and, thus, set
standards to reduce these plants’ D/F
and other cancer-causing emissions.
The commenter stated that the EPA
also found other health risks, including
chronic non-cancer and acute risks,
which only add more evidence of the
harm the most-exposed individual faces
from this source category. The
commenter stated that, for example, the
acute HQ from HF is 0.7, and from HCl
is 0.4, which, added together, to
consider the maximum acute risk,
would be 1.1, above the level at which
the EPA recognizes harm can occur. The
commenter stated that the EPA has not
added these risks, nor given any valid
justification for not doing so, even
though if there is an acute spike in
emissions, it is just as likely that the
most-exposed person would breathe
various pollutants that may spike
together—i.e., HCl, HF, and other
pollutants, not just each pollutant
individually. The commenter stated that
the EPA’s acute HQ is likely too low.
The commenter stated that it is also
unclear whether the EPA has used the
most current, most protective D/F
reference doses and concentrations,
including the 2012 D/F value of 7 ×
10 ¥10 milligram (mg)/kilogram (kg)-day,
for chronic oral exposure; the EPA
should confirm that it has used the best
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available scientific information on
reference values. The commenter stated
that the EPA should follow the best
available scientific approach to risk
assessment, as shown in California’s
risk assessment guidance manual and
supporting scientific documents.
Response: We disagree with the
commenter’s arguments for finding risks
to be unacceptable and have combined
risk to the extent that it is appropriate
to do so. We explain below and in the
Residual Risk Assessment document,
which is available in the docket for this
rulemaking, why we do not sum the risk
results from the fisher and farmer
scenarios in our multipathway analysis
and why we do not combine the risk
values from our inhalation assessment
with those of the multipathway
analysis. We also explain the scope of
our multipathway analysis in terms of
the pollutants, the source of their doseresponse values, and the emission
levels. In addition, we explain below
why we do not use a TOSHI approach
for acute analyses. (See also the
Residual Risk Assessment for the
Secondary Aluminum Production
Source Category in Support of the 2015
Risk and Technology Review Final
Rule.)
In the multipathway screening
assessment, we did not sum the risk
results of the fisher and farmer
scenarios. The modeling approach used
for this analysis constructs two different
exposure scenarios, which serves as a
conservative estimate of potential risks
to the most-exposed receptor in each
scenario. Based on the information and
assumptions in the assessment, it is
highly unlikely that the most-exposed
farmer is the same person as the mostexposed fisher, therefore, it is not
reasonable to add risk results from these
two exposure scenarios. (See Appendix
5 and Section 2.5 of the Residual Risk
Assessment for the Secondary
Aluminum Production Source Category
in Support of the 2015 Risk and
Technology Review Final Rule.)
We disagree with the commenter’s
statement that we should combine the
results of our inhalation and
multipathway assessments for this
source category. We determined that it
would be inappropriate to do so based
on the differences in the design and
results of the two types of assessments,
as well as the highly conservative nature
of the multipathway assessment. First,
the screening scenario is a hypothetical
scenario, and, due to the theoretical
construct of the screening model,
exceedances of the thresholds are not
directly translatable into, or additive
with, estimates of risk or HQ for these
facilities. The result of the
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multipathway screen is number
representing an exceedance of a
benchmark, which is a ratio, and the
results of a cancer risk assessment is a
mathematical probability (i.e., increased
risk of cancer due to exposure to the
HAP emissions from the source
category). It is not mathematically
appropriate or consistent to add them
together. Second, the multipathway risk
assessment was a screening-level
assessment and not a full risk
assessment. The screening assessment
used highly conservative assumptions
designed to ensure that facilities with
results below the screening threshold
values did not have the potential for
multipathway impacts of concern. The
results of the multipathway screen
represent a high-end estimate of what
the multipathway risk or hazard may be.
For example, an exceedance of 2 for a
non-carcinogen can be interpreted to
mean that we have high confidence that
the hazard would be less than 2.
Similarly, an exceedance of 30 for a
carcinogen means that we have high
confidence that the risk is lower than
30-in-1 million. Our confidence comes
from the conservative, health-protective
assumptions that are in the
multipathway screens: We choose
inputs from the upper end of the range
of possible values for the influential
parameters used in the screens; and we
assume that the exposed individual
exhibits ingestion behavior that would
lead to a high total multipathway
exposure. We conclude that it is not
appropriate to sum the risk results from
the chronic inhalation assessment and
the screening multipathway assessment.
In addition, it is highly unlikely that the
same receptor has the maximum results
in both assessments. In other words, it
is unlikely that the person with the
highest chronic inhalation cancer risk is
also the same person with the highest
individual multipathway cancer risk
because it is unlikely that the same
receptor has the maximum exposure
and risk in both assessments.
We currently do not have screening
values for some PB–HAP, but we
disagree that the multipathway
assessment is inadequate because it did
not include ‘‘all HAP metals emitted
(such as arsenic and nickel).’’ We
developed the current PB–HAP list
considering all available information on
persistence and bioaccumulation (see
https://www2.epa.gov/fera/air-toxicsrisk-assessment-reference-libraryvolumes-1-3, specifically Volume 1,
Appendix D). (The Air Toxics Risk
Assessment Reference Library presents
the decision process by which the PB–
HAP were selected and provides
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information on the fundamental
principles of risk-based assessment for
air toxics and how to apply those
principles.) In developing the list, we
considered HAP identified as PB–HAP
by other EPA Program Offices (e.g., the
Great Waters Program), as well as
information from the PBT profiler (see
https://www.pbtprofiler.net/).
Considering this list was peer-reviewed
by the SAB and found to be acceptable,
we believe it to be reasonable for use in
risk assessments for the RTR program.
Based on these sources and the limited
available information on the persistence
and bioaccumulation of other HAP, we
do not believe that the potential for
multipathway risk from other HAP not
on the list, such as other metal HAP
including arsenic and nickel, rises to the
level of the PB–HAP on the list.
However, in the future, we may add
more pollutants to the multipathway
analysis if we determine it is
appropriate to do so.
Regarding the commenter’s assertion
that we did not base the multipathway
risk assessment on allowable emissions,
we believe it is reasonable for the
multipathway risk assessment to be
based on actual emissions for this
source category, and not the allowable
level of emissions that facilities are
permitted to emit. The uncertainties
associated with the multipathway
screen along with uncertainties in the
allowable emissions estimates, which
are highly variable for this source
category, would make a multipathway
risk assessment based on allowable
emissions highly uncertain. Such an
assessment would be too uncertain to
support a regulatory decision. Many of
the best-performing (based on actual
emissions) sources have allowable
emissions that are orders of magnitude
greater than their actual emissions, and
those facilities could not reasonably be
expected to operate in such a manner
that would result in emissions that even
approach our estimates of allowable
emissions.
The commenter also argues for
summing acute hazard quotients from
different HAP to assess acute noncancer risk. We do not sum results of
the acute noncancer inhalation
assessment to create a combined acute
risk number that would represent the
total acute risk for all pollutants that act
in a similar way on the same organ
system or systems (analogous to the
chronic TOSHI) because the worst-case
acute screen is already a conservative
scenario. The acute screening scenario
assumes worst-case meteorology, peak
emissions for all emission points
occurring concurrently and an
individual being located at the site of
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maximum concentration for an hour.
Thus, as noted in the risk assessment
report available in the docket, ‘‘because
of the conservative nature of the acute
inhalation screening and the variable
nature of emissions and potential
exposures, acute impacts were screened
on an individual pollutant basis, not
using the TOSHI approach.’’
The dose-response values used in the
risk assessment, including those for
D/F, are based on the current peer
reviewed Integrated Risk Information
System (IRIS) values, as well as other
similarly peer-reviewed values. Our
approach, which uses conservative tools
and assumptions, ensures that our
decisions are appropriately health
protective and environmentally
protective. The approach for selecting
appropriate health benchmark values, in
general, places greater weight on the
EPA derived health benchmarks than
those from other agencies (see https://
www.epa.gov/ttn/atw/nata1999/99pdfs/
healtheffectsinfo.pdf). This approach
has been endorsed by the SAB. The SAB
further recommended that the EPA
scrutinize values that emerge as drivers
of risk assessment results and the
Agency has incorporated this
recommendation into the risk
assessment process. This may result in
the EPA determining that it is more
appropriate to use a peer-reviewed doseresponse value from another agency
even if an IRIS value exists.
We generally draw no bright lines of
acceptability regarding cancer or
noncancer risks from source category
HAP emissions. It is always important
to consider the specific uncertainties of
the emissions and health effects
information regarding the source
category in question when deciding
exactly what level of cancer and
noncancer risk should be considered
acceptable. In addition, the source
category-specific decision of what
constitutes an acceptable level of risk
should be a holistic one; that is, it
should simultaneously consider all
potential health impacts—chronic and
acute, cancer and noncancer, and
multipathway—along with their
uncertainties, when determining the
acceptable level of source category risk.
The Benzene NESHAP decision
framework of 1989 acknowledged this;
such flexibility is imperative, because
new information relevant to the
question of risk acceptability is being
developed all the time, and the accuracy
and uncertainty of each piece of
information must be considered in a
weight-of-evidence approach for each
decision. This relevant body of
information is growing fast (and will
continue to do so), necessitating a
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flexible weight-of-evidence approach
that acknowledges both complexity and
uncertainty in the simplest and most
transparent way possible. While this
challenge is formidable, it is
nonetheless the goal of the EPA’s RTR
decision-making, and it is the goal of the
risk assessment to provide the
information to support the decisionmaking process.
Comment: One commenter
recommended that the EPA consider
potential or allowable emissions, rather
than actual emissions, as much as
possible in evaluating residual risk. The
commenter stated that because facility
emissions could increase over time for
a variety of reasons, and with them the
associated impacts, the use of potential
or allowable emissions is more
appropriate; an analysis based on actual
emissions from a single point in time
could underestimate the risk. The
commenter stated that the major source
HAP thresholds are based on maximum
potential-to-emit, as opposed to actual
emissions, and air agencies issue
permits based on potential emissions.
The commenter stated that limiting the
scope of a risk evaluation to actual
emissions would be inconsistent with
the applicability section of 40 CFR part
63 rules. The commenter stated that
they were pleased that the EPA used
allowable emissions in parts of the
rulemaking, but were concerned that the
EPA continues to use actual emissions
in other parts of its assessment. The
commenter encouraged the agency to
use allowable emissions in the future,
including in assessing acute health
risks.
One commenter agreed that the EPA
appropriately concluded that secondary
aluminum production does not pose
risks warranting standard revision
under section 112(f) of the CAA. The
commenter noted that under the
proposal, the EPA would find that the
risks from the emission of HAP from
sources in the Secondary Aluminum
Production source category are
acceptable and that the current MACT
standards provide an AMOS to protect
public health and prevent an adverse
environmental effect. The commenter
stated that to determine these findings,
the EPA utilized both MACT-allowable
and actual emissions data for its risk
analysis. The commenter supported the
findings of acceptable risk and an
AMOS, but noted that the use of MACTallowable emissions in the risk
assessment process is not required for
such a finding.
The commenter indicated that the use
of actual emissions in risk assessments
is more accurate than MACT-allowable
emissions and is supported by the
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language of CAA section 112(f). The
EPA is required to promulgate emission
standards under CAA section 112(f) if
‘‘excess cancer risks to the individual
most exposed to emissions from a
source’’ are 1 in 1 million or greater.
The commenter states that the statute
does not use words such as ‘‘maximum
allowable,’’ or ‘‘potential.’’ Rather, the
statute limits the risk review to consider
the risks to the individual most exposed
to the emissions from a particular
source. The commenter concluded that
it is clear from the wording of the
statute that Congress intended the EPA
to estimate risk based on the actual
exposure. The commenter also stated
that MACT-allowable emissions
represent a hypothetical, worst-case,
emissions level to which an individual
is unlikely to ever be exposed,
especially given the already
conservative assumptions inherent in
the risk models. The commenter
claimed that basing emission standards
on worst-case scenarios can lead to
imposition of costly and unnecessary
controls which do little to reduce actual
risk. The commenter claimed that, given
that the EPA has actual emissions data
from secondary aluminum production
facilities, it should base its risk
assessments on this best available data.
In contrast, another commenter stated
that they support the findings of
acceptable risk, AMOS; and they also
support the EPA’s revisions to the
allowable emissions calculation method
that uses the actual amount of charge;
however, the use of MACT-allowable
emissions in the risk assessment process
is not required for such a finding. The
commenter stated that due to process
variability, sources cannot emit HAP at
MACT-allowable levels at all times and
remain in compliance and it is likely
that sources may reduce their emissions
due to state or local rules, or for reasons
other than compliance. The commenter
stated that basing emission standards on
worst-case scenarios can lead to
imposition of costly and unnecessary
controls, which do little to reduce actual
risk. The commenter stated that the EPA
points to two previous actions in which
the EPA noted that the use of allowable
emissions was reasonable; however, in
both of these actions, the EPA used
actual emissions because they were the
most accurate data available. Because
the EPA has actual emissions data from
secondary aluminum production
facilities, the commenter asserted that it
should base its risk assessments on
these data. The commenter further
stated that, to the extent that the EPA
continues to calculate allowable
emissions, they support the EPA’s use of
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actual charge rates, which reflect real
production rates and should result in
more accurate allowable emissions
totals than maximum production
capacity.
Response: Consistent with previous
risk assessments, the EPA considers
both allowable and actual emissions in
assessing chronic exposure and risk
under CAA section 112(f)(2). See, e.g.,
National Emission Standards for Coke
Oven Batteries (70 FR 19998–19999,
April 15, 2005); proposed and final
National Emission Standards for
Organic Hazardous Air Pollutants from
the Synthetic Organic Chemical
Manufacturing Industry (71 FR 34428,
June 14, 2006, and 71 FR 76603,
December 21, 2006). This approach is
both reasonable and consistent with the
flexibility inherent in the Benzene
NESHAP framework for assessing
acceptable risk and AMOS. As a general
matter, modeling allowable emission
levels is inherently reasonable since this
reflects the maximum level sources
could emit and still comply with
national emission standards. But it is
also reasonable to consider actual
emissions, where such data are
available, in the acceptable risk and
AMOS analyses. See National Emission
Standards for Coke Oven Batteries, 70
FR 19992, 19998 (April 15, 2005). The
risk assessment for the Secondary
Aluminum Production source category
was conducted using actual and
allowable emissions, and all of the
results were considered in determining
risk acceptability and AMOS. We agree
with the commenter that it is
appropriate to estimate allowable
emissions using production rates that
reflect current operations rather than
using maximum production capacity.
See Residual Risk Assessment for the
Secondary Aluminum Production
Source Category in Support of the 2015
Risk and Technology Review Final Rule.
One commenter claims that limiting
our review to actual emissions would be
inconsistent with the applicability
section of 40 CFR part 63 rules. As
explained above and in the 2014
supplemental proposal, however, we
did not limit our review to actual
emissions, but rather considered actual
emissions and allowable emissions, as
appropriate, in particular portions of the
risk assessment. The commenter also
urges the Agency to rely on allowable
emissions for the purpose of our acute
screening assessment. We did not rely
on allowable emissions for the acute
screening assessment due to the
conservative assumptions used to gauge
worst-case potential acute health effects.
The conservative assumptions built into
the acute health risk screening analysis
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include: (1) Use of peak 1-hour
emissions that are on average 10 times
the annual average 1-hour emission
rates; (2) that all emission points
experience peak emissions
concurrently; (3) worst-case
meteorology (from 1 year of local
meteorology); and (4) that a person is
located downwind at the point of
maximum impact during this same
1hour period. Thus, performing an acute
screen based on allowable emissions
would be overly conservative and, at
best, of questionable utility to decision
makers.
We also note that our use of allowable
emission levels in the risk assessments
in this rulemaking did not result in
revising the previously established
standards due to risk concerns.
Therefore, our consideration of
allowable emissions in the risk
assessments did not result in regulatory
decisions that affect any facilities.
Comment: One commenter on the
supplemental proposal stated that at
least nine secondary aluminum facilities
have co-located primary aluminum
operations, and for both source
categories the EPA found that the
facility-wide MIR is 70-in-1 million,
driven by arsenic, nickel, and
hexavalent chromium, and that the
TOSHI (chronic non-cancer risk) is 1,
driven by cadmium. The commenter
stated that both numbers appear to
consider only inhalation risk and must
be viewed in context, as scientists have
directed the EPA to do. The commenter
stated that, if considered in combination
with the high secondary aluminum
multipathway risk, and with the high
inhalation and multipathway risks for
primary aluminum, the facility-wide
cancer risk provides additional evidence
that risks from both source categories
are unacceptable, because the mostexposed person’s full amount of risk is
the combined amount from the colocated primary and secondary
aluminum, not just each source category
separately. The commenter stated that it
would be unlawful and arbitrary to
consider each type of risk separately,
when people near both sources are
exposed to both kinds of risk at the
same time, and, thus, face a higher
overall amount of risk.
The commenter stated that the EPA
has offered and can offer no valid
justification for not finding risk from
both source categories (including
primary aluminum prebake, and
secondary aluminum) to be
unacceptable based on the co-located
and combined risks. The commenter
stated that the EPA may not lawfully
ignore the full picture of risk that its
combined rulemakings show is present
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for people exposed simultaneously to
both source categories at the same
facility.
The commenter further stated that,
because the EPA only assessed facilitywide risks based on so-called ‘‘actual’’
emissions, the facility-wide risk number
could be at least 1.5 to 3 times higher.
The commenter bases this assertion on
the EPA’s recognition that allowable
emissions from primary aluminum are
about 1.5 to 1.9 times higher than actual
emissions and the fact that allowable
emissions from secondary aluminum are
at least 3 times higher than actual
emissions.
The commenter stated that it is
important that EPA is evaluating
facility-wide risk from sources in
multiple categories that are co-located
and that EPA needs to consider the
results of such facility-wide analyses
when determining if stronger standards
should be established for these sources.
The commenter stated that this
rulemaking is an important opportunity
for the EPA to recognize the need to act
based on data showing significant
combined and cumulative risks and
impacts at the facility-wide level. The
commenter stated that the EPA is also
required to do so to meet its CAA
section 7412(f)(2) duties.
The commenter stated that the EPA
also should be evaluating the
cumulative risks from all nearby toxics
sources in multiple source categories,
not looking only at multiple sources in
the same category, and different sources
at the same facility. The commenter
stated that the EPA has said it
recognizes the need to put risk in
context, but still has not even attempted
to evaluate the bigger picture of health
risks by looking at all nearby sources
(from various source categories,
including those collocated and those not
collocated). According to the
commenter, in doing so would likely
lead to recognizing that the individual
most-exposed to each of these source
categories is also experiencing
significant risks from other sources,
providing even more evidence as to why
the EPA should reduce risks from the
primary and secondary aluminum
source categories.
Response: With regard to facility-wide
assessments, we conducted such
assessments for all 52 major sources in
the source category, including the nine
secondary aluminum production
facilities co-located with primary
aluminum reduction plants. The
methods and results of the facility-wide
risk assessment, in addition to the
inhalation and multipathway analyses
for facilities in the source category, are
discussed above and in the risk
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assessment document for the 2014
supplemental proposal, as well as in the
risk assessment document for the 2015
final rule. Specifically, we modeled
whole-facility inhalation risks for both
chronic cancer and non-cancer impacts
to understand the risk contribution of
the sources within the secondary
aluminum source category to facilitywide risks. The individual cancer risks
for the source category were aggregated
for all carcinogens. In assessing
noncancer hazard from chronic
exposures for pollutants that have
similar modes of action or (where this
information is absent) that affect the
same target organ, we aggregated the
HQ. This process creates, for each target
organ, a TOSHI, defined as the sum of
hazard quotients for individual HAP
that affect the same organ or organ
system. All TOSHI calculations
presented here were based exclusively
on effects occurring at the ‘‘critical
dose’’ (i.e., the lowest dose that
produces adverse health effects). Whole
facility risks were estimated based on
emissions data obtained from facilities.
The commenter stated that the EPA
must find the risks unacceptable based
on the whole-facility risks from colocated primary and secondary
aluminum operations. The EPA does not
typically include whole-facility
assessments in the CAA section 112(f)
acceptability determination for a source
category. Reasons for this include the
fact that emissions and source
characterization data are usually not of
the same vintage and quality for all
source categories that are on the same
site, and thus the results of the wholefacility assessment are generally not
appropriate to include in the regulatory
decisions regarding acceptability.
However, in this rare case, we are
developing the risk assessments for
primary and secondary aluminum
production at the same time. The data
are generally of the same vintage and we
have actual emissions data and source
characterization data for both source
categories. In response to the comment,
we refer to the facility-wide risk
assessment, which included the nine
facilities with co-located primary and
secondary aluminum operations. As
discussed above and shown in Table 2,
for the facility with the highest risk from
inhalation, the facility-wide MIR for
cancer from actual emissions is 70-in-1
million. The facility-wide non-cancer
hazard is 1. The highest facility-wide
exceedance of the multipathway screen
is 70. There was no facility-wide
exceedance of a noncancer threshold in
the multipathway screen. Considering
these facility-wide results as part of the
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acceptability determination does not
change our determination that the risks
are acceptable for the secondary
aluminum source category. We note that
while the incorporation of additional
background concentrations from the
environment in our risk assessments
(including those from mobile sources
and other industrial and area sources)
could be technically challenging, they
are neither mandated nor barred from
our analysis. In developing the decision
framework in the Benzene NESHAP
used for making residual risk decisions,
the EPA rejected approaches that would
have mandated consideration of
background levels of pollution in
assessing the acceptability of risk,
concluding that comparison of
acceptable risk should not be associated
with levels in polluted urban air (54 FR
38044, 38061, September 14, 1989).
Background levels (including natural
background) are not barred from the
EPA’s AMOS analysis, and the EPA may
consider them, as appropriate and as
available, along with other factors, such
as cost and technical feasibility, in the
second step of its CAA section 112(f)
analysis. As discussed in the 2014
supplemental proposal, the risk
assessment for this source category did
not include background contributions
(that may reflect emissions that are from
outside the source category and from
other than co-located sources) because
the available data are of insufficient
quality upon which to base a
meaningful analysis.
The commenter is correct that we
based our facility-wide risk assessment
on actual emission rather than on
estimated allowable emissions. Because
the facility-wide allowable emissions
estimates have not been subjected to the
same level of scrutiny, quality
assurance, and technical evaluation as
the actual emissions estimates from the
source category, a facility-wide risk
assessment based on allowable
emissions estimates would be too
uncertain to support a regulatory
decision.
4. What is the rationale for our final
approach and final decisions for the risk
review?
As discussed above and in the 2014
supplemental proposal, after
considering health risk information and
other factors, including uncertainties,
we determined that the risks from the
Secondary Aluminum Production
source category are acceptable and the
current standards provide an AMOS to
protect public health. In summary, our
revised risk assessment indicates cancer
risks below the presumptive limit of
acceptability and non-cancer results
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indicating minimal likelihood of
adverse health effects, and we identified
no control technologies or other
measures that would be cost effective in
further reducing risks (or potential
risks). In particular, we did not identify
any cost-effective approaches to further
reduce D/F emissions and multipathway
risk beyond what is already being
achieved by the current NESHAP.
B. Technology Review for the Secondary
Aluminum Production Source Category
1. What did we propose pursuant to
CAA section 112(d)(6) for the Secondary
Aluminum Production source category?
Pursuant to CAA section 112(d)(6), we
conducted a technology review to
identify and evaluate developments in
practices, processes and control
technologies for the Secondary
Aluminum Production source category,
as described in the 2012 proposal.
Details of the technology review and its
findings are available in the
memoranda, Draft Technology Review
for the Secondary Aluminum
Production Source Category (Docket
item EPA–HQ–OAR–2010–0544–0144)
and Draft Technical Support Document
for the Secondary Aluminum
Production Source Category (Docket
item EPA–HQ–OAR–2010–0544–0152).
The typical controls used to minimize
emissions at secondary aluminum
facilities include fabric filters for control
of PM from aluminum scrap shredders;
afterburners for control of THC and
D/F from thermal chip dryers;
afterburners plus lime-injected fabric
filters for control of PM, HCl, THC and
D/F from scrap dryers/delacquering
kilns/decoating kilns; afterburners for
control of D/F from sweat furnaces;
fabric filters for control of PM from
dross-only furnaces and rotary dross
coolers; lime-injected fabric filters for
control of PM and HCl from in-line
fluxers; and lime-injected fabric filters
for control of PM, HCl and D/F from
group 1 furnaces. In our review of
technology, we determined that there
have been some developments in
practices, processes or control
technologies, but we did not identify
any of the developments as costeffective. We stated in the 2012 proposal
that the technology review did not
warrant any amendments to Subpart
RRR.
Following the 2012 proposal, no
public comments were received to alter
the conclusions of our technology
review for the Secondary Aluminum
Production source category. In the 2014
supplemental proposal, we proposed
that the technology review findings
from the 2012 proposal were still valid
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and that the EPA was not aware of any
changes in technology development
since the 2012 proposal. See
Supplemental Proposal Technology
Review for the Secondary Aluminum
Production Source Category and
Supplemental Proposal Technical
Support Document for the Secondary
Aluminum Production Source Category,
both available in the docket for this
rulemaking. Based on our findings, no
rule amendments based on the
technology review were proposed.
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2. How did the technology review
change for the Secondary Aluminum
Production source category?
Following the 2014 supplemental
proposal, we received no comments and
identified no information to alter our
findings and conclusions in the
technology review for the Secondary
Aluminum Production source category.
We did, however, update certain
information on capture efficiency and
costs. Updated information can be
found in Technical Support Document
for the Secondary Aluminum
Production Source Category Final Rule,
which is available in the docket for this
rulemaking.
3. What key comments did we receive
on the technology review, and what are
our responses?
Comment: In a comment on the
supplemental proposal, commenter
0301 stated that this source category is
listed for regulation under 42 U.S.C.
7412(c)(6) as a result of its dioxin/furan
emissions and that EPA has proposed to
rely on the Secondary Aluminum
standards to meet its section 7412(c)(6)
responsibility, in part, for dioxin
{Commenter’s footnote: EPA,
Completion of Requirement to
Promulgate Emissions Standards, 79 FR
74,656, 74,664 tbl.1 (Dec. 16, 2014)}.
The commenter stated that in this
rulemaking, EPA has proposed not to
update these emission standards to
strengthen protection from dioxins/
furans, even though it recognizes that
developments in practices, processes,
and control technologies have occurred
that could reduce HAP emissions, such
as activated carbon injection. The
commenter stated that as explained in
their 2012 comments on primary
aluminum, when there are
‘‘developments’’ under section
7412(d)(6), EPA must promulgate
revised standards. The commenter
stated that revised emission standards—
like any other section 7412(d)
standards—must satisfy the floor and
beyond-the-floor requirements of
section 7412(d)(2)–(3), which state that
they apply explicitly to ‘‘emissions
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standards promulgated under this
subsection,’’ i.e., under section 7412(d).
The commenter stated that EPA must set
revised standards that are at least as
stringent as the emission limitation
achieved by the relevant bestperforming sources under section
7412(d)(3), and must assure the
maximum achievable degree of emission
reduction at the beyond-the-floor stage,
as required by section 7412(d)(2).
Response: The original MACT
standards for dioxins/furans for the
secondary aluminum industry helped to
satisfy the EPA’s obligations under 42
U.S.C. 7412(c)(6), and the subsequent
technology reviews for the source
category has no bearing on our 112(c)(6)
finding.
The commenter is incorrect in stating
that there have been developments in
practices, processes, and control
technologies that would warrant
revisions to the standards. As we stated
in the preamble to the supplemental
proposal (79 FR at 72901), there have
been no developments in technology in
this industry that warrant any changes
to subpart RRR. The commenter’s
identification of activated carbon as a
new control technology for this industry
is also not correct as it has been
available to the industry since before the
2000 final rule. Furthermore, as part of
the technology review contained in the
2014 supplemental proposal (see 79 FR
at 72901), we performed an analysis to
evaluate lowering the D/F emissions
limit from 15 to 10 mg TEQ/Mg for group
1 furnaces processing other than clean
charge at all facilities. The analysis
performed for the supplemental
proposal assumed that furnaces above
10 mg TEQ/mg added activated carbon
injection to achieve exactly the 10 ug
TEQ/Mg limit. That analysis has been
updated and assumes that all furnaces
with emissions above 10 mg TEQ/Mg
that add activated carbon injection
achieve an 85-percent reduction in D/F
emissions. The updated analysis is
available in Technical Support
Document for the Secondary Aluminum
Production Source Category Final Rule,
which is available in the docket for this
rulemaking.
We disagree with the comments
suggesting that the EPA must recalculate
MACT floors and conduct beyond-the
floor analyses under CAA section
112(d)(2)–(3) as part of the section
112(d)(6) review. As explained in a
prior RTR rulemaking, the EPA does not
read 112(d)(6) as requiring a reanalysis
or recalculation of MACT floors. See
National Emission Standards for Coke
Oven Batteries (70 FR 19998–19999,
April 15, 2005). We read section
112(d)(6) as providing the EPA with
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substantial latitude in weighing a
variety of factors and arriving at an
appropriate balance in considering
revisions to standards promulgated
under section 112(d)(2) & (3). Nothing in
section 112(d)(6) expressly or implicitly
requires that EPA recalculate the MACT
floor as part of the section 112(d)(6)
review. This position has been upheld
by the court. NRDC v. EPA, 529 F.3d
1077, 1084 (D.C. Cir. 2008). We disagree
with the commenters that the court’s
decision hinged on the fact that for the
rulemaking at issue we had not
identified any developments in
practices, processes and control
technologies under CAA section
112(d)(6). Rather, the court first states
‘‘[w]e do not think the words ‘review
and revise as necessary’ can be
construed reasonably as imposing’’ an
obligation to completely recalculate
maximum achievable control
technology. Id.
In another comment on the
supplemental proposal, one commenter
stated that they concur with the
Agency’s determination that there have
been no new developments in practices,
processes or control technologies that
are applicable to the secondary
aluminum production source category
that would warrant revisions to the
NESHAP.
4. What is the rationale for our final
approach for the technology review?
As discussed above and in the 2012
and 2014 proposals, we determined that
there have been some developments in
practices, processes or control
technologies, but we concluded that the
technology developments did not
warrant any changes to Subpart RRR.
C. Testing of Group 1 Furnaces That Do
Not Have Add-On Pollution Control
Devices
1. What did we propose related to
testing of uncontrolled group 1
furnaces?
In the 2012 proposal, to clarify how
furnaces not equipped with an add-on
air pollution control device and
associated capture and collection
system are to be tested for compliance,
we proposed compliance alternatives
addressing capture and collection of
emissions for uncontrolled furnaces
during performance testing.
Specifically, we proposed that an owner
or operator with an uncontrolled
furnace could either temporarily install
hooding that meets ACGIH guidelines
for the duration of the testing or, for an
existing uncontrolled furnace, assume
67-percent capture efficiency for furnace
exhaust (i.e., multiply measured
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emissions by 1.5 to account for the
uncollected emissions) without
installing temporary hooding. As
proposed, if the source uses the 67percent capture efficiency assumption
but fails to demonstrate compliance
with the emission standard, the source
would have to retest using ACGIH
hooding or may petition the appropriate
authority (permitting authority for major
sources or the Administrator for area
sources) that such hoods are impractical
for the source and propose alternative
testing procedures that will minimize
unmeasured emissions. We proposed
that the retesting must occur within 90
days.
Based on comments received on the
2012 proposal and our consideration of
specific testing scenarios and types of
uncontrolled furnaces, we proposed
revised requirements for the testing of
uncontrolled furnaces in the 2014
supplemental proposal. We proposed
that if a source uses the 67-percent
capture efficiency assumption but fails
to demonstrate compliance, then they
must retest using ACGIH hooding
within 180 days, or the source may
petition the appropriate authority
within 180 days that such hoods are
impractical and propose alternative
testing procedures that will minimize
unmeasured emissions. In the
supplemental proposal, we also
proposed conditions that would be
considered impractical to install
temporary ACGIH hooding and
alternative procedures to minimize
unmeasured emissions during testing.
Based on comments received on the
2012 proposal, the 2014 supplemental
proposal also contained a provision to
exclude existing round top furnaces
from the proposed requirement to install
temporary ACGIH hooding or to use a
67-percent capture efficiency
assumption, as well as the proposed
option to submit a petition of
impracticality. Instead, we proposed
that round top furnaces must be
operated to minimize unmeasured
emissions during testing.
In response to commenters’ requests,
we proposed example procedures to
minimize unmeasured emissions during
testing and amendments to clarify in
what circumstances installation of
temporary capture hoods for testing
would be considered impractical.
2. What changed since proposal related
to testing of uncontrolled group 1
furnaces?
Based on our consideration of
comments and additional information
received following the 2014
supplemental proposal, the following
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changes have been made in the final
rule:
• If a facility owner or operator
knows in advance that installing ACGIH
hoods for testing is not practical, the
facility owner or operator may petition
the appropriate authority at least 180
days in advance for approval of plans to
use alternative testing procedures that
will minimize unmeasured emissions
during testing.
• Reconstructed round top furnaces
are exempt from the testing
requirements in 40 CFR 63.1512(e)(4)(i)
and (ii), and (iii).
• Additional methods of minimizing
unmeasured emissions during testing of
uncontrolled group 1 furnaces are added
to 40 CFR 63.1512(e)(7) including the
use of one or more fans positioned to
direct air flow into an open furnace
door, and the use of a smaller but
representative charge added to the
furnace at one time and conducting the
test without additional charge.
• We have revised the capture
efficiency assumption to 80 percent.
3. What key comments did we receive
related to testing of uncontrolled group
1 furnaces?
Comment: One commenter stated that
the EPA should not impose a
requirement for group 1 furnaces
without add-on air pollution control
devices (APCD) to construct hoods for
performance tests or be subject to a 33percent reduction in allowed emissions.
The commenter asserted that the EPA
improperly characterizes this
burdensome proposed requirement as a
revision to the NESHAP to reportedly
‘‘correct and clarify provisions in the
rule.’’
One commenter stated that the EPA
has provided no information to
demonstrate that the proposed
requirement for uncontrolled group 1
furnaces is warranted or is consistent
with requirements for developing
NESHAP. The commenter is concerned
that the only support for the proposed
hooding requirement that the EPA has
provided in the docket is a summary of
two stack tests conducted at a single
facility. The commenter states that these
tests show a large degree of variability
between the two tests and for different
chemical parameters within each test.
The commenter argued that the EPA has
provided no information to demonstrate
that these tests are indicative of
operations throughout the Secondary
Aluminum Production source category.
According to the commenter, the
information that the EPA provided in
the Technical Support Document
indicates that the EPA may not have
analyzed an appropriate operation to
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56717
establish regulatory requirements. The
commenter observed that if, as indicated
in the Technical Support Document, the
canopy hood was sampled for over 3
hours because there were emissions to
be captured by it, the charge door must
have been open for more than 3 hours
during the melt cycle. The commenter
stated that this scenario does not
represent a conventional melting
operation.
The commenter presented further
concerns that the Technical Support
Document states that the test cycle time
in the September 5, 2007, test report
‘‘could be a mistake’’ and that the
testing reported on September 5, 2007,
may be ‘‘flawed.’’ The commenter noted
a wide variation of capture efficiencies
for D/F and questioned the EPA’s
proposal to apply 67-percent capture
efficiency across all parameters and all
facilities. The commenter claimed that it
is unreasonable to apply capture
efficiency based on PM or HCl to area
sources when area sources are regulated
only for D/F.
The commenter stated that the EPA
placed the test reports discussed in the
RTI Technical Support Document in the
docket a month after the proposed rule
was published in the Federal Register,
which reduced the time reviewers had
for comment. The commenter had the
following concerns about the test
reports:
• There is not sufficient information
to understand how the furnaces are
configured or operated, including how
the hood was constructed or placed, and
when or for how long the door(s) were
left open;
• The hood draft volumes were large
compared to furnace stack gas flow
volumes, and the capture measured
during the tests may not be a good
measure of fugitive emissions that
would occur in the absence of an
induced draft hood;
• The stack temperatures also appear
to be low, possibly due to dilution air
being drawn into the stack duct prior to
the sampling point, which could mean
that actual combustion gas flowing from
the furnace are much lower than
reported at the stack, and the ratio of
hood flow volume is much higher than
that calculated in the Technical Support
Document;
• No production numbers are
provided so it is not possible to
determine if the furnaces were operating
in compliance with the NESHAP
requirements; and
• The EPA has provided no
indication that they attempted to
determine the representativeness of the
tests.
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One commenter stated that fugitive
emissions are minor from a well
operated group 1 furnace without addon controls, as door openings and top
removals are kept at a minimum to
conserve energy and burners are
generally kept at reduced firing rates
when furnaces are opened. The
commenter stated that the 67-percent
capture assumption that the EPA drew
does not seem reasonable based on the
commenter’s observations.
The commenter emphasized that
emissions from round top furnaces are
negligible during periods when the top
is off and burners are on low fire. The
commenter stated that these furnaces
would be placed at a competitive
disadvantage by reducing the allowable
emission by 33 percent. Further, the
commenter noted that new round top
furnaces are not allowed the 33-percent
emission limit reduction in the
proposed rule, so operators installing
new round top furnaces would be forced
to petition on a case-by-case basis to
demonstrate impracticability. The
commenter recommended that if the
EPA finalizes this provision, round top
furnaces should be categorically exempt
from any hooding requirements because
it is impractical to install hoods and
because the EPA should not burden
state and local agencies with the need
to make case-by-case determinations
when they can be categorically exempt.
In a comment on the supplemental
proposal, one commenter stated that the
EPA offers no explanation for limiting
the exemption to install ACGIHcompliant hoods for testing to existing
round top furnaces only. The
commenter stated that they own and
operate several existing and new source
round top furnaces for which the
physical configuration and operation is
very similar. The commenter stated that
they will construct new or reconstruct
existing round top furnaces in the future
and that it would be impracticable to
construct hoods of any type on any of
these furnaces regardless of whether
they are existing, new, or reconstructed
sources. The commenter recommended
that the EPA include new and
reconstructed furnaces in its hooding
exemption.
In a comment on the supplemental
proposal, one commenter stated that, for
a variety of design, technical,
operational, and safety reasons, it is
impractical to install temporary hooding
on round top furnaces for performance
testing and agreed with our proposed
exemption from the performance test
hooding requirements for existing round
top furnaces. The commenter disagreed,
however, with our not proposing an
exemption for ‘‘new or reconstructed’’
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sources (including round top furnaces),
asserting that the same fundamental
design factors that prohibit installation
of temporary hooding on existing round
top furnaces also prevent its installation
on new round top furnaces. The
commenter requested that the word
‘‘existing’’ be removed from the round
top furnace exemption language
proposed in 40 CFR 63.1512(e)(4)(iii)
and that the words ‘‘or reconstructed
non-round top’’ be added to (5) such
that it reads
‘‘(5) When testing a new or
reconstructed, non-round top
uncontrolled furnace the owner or
operator must . . .’’
One commenter maintained that
allowing facilities to petition permitting
authorities that such hoods are
impractical is not an acceptable
alternative to the proposed rule and
suggested that the EPA allow sitespecific procedures in OM&M plans for
group 1 uncontrolled furnaces to
minimize fugitive emissions.
One commenter asserted that the
proposed ACGIH hooding requirement
ignores the consideration that the EPA
made for fugitive emissions in the
original MACT floor determination and
implements requirements for ACGIH
hooding that go beyond the floor. The
commenter stated that, in the 2000
Secondary [Aluminum] MACT rule,
performance testing of controlled
sources was conducted to define the
MACT floor. Although some fugitive
emissions were visible near capture
hoods, the EPA did not specify a
numerical capture efficiency
requirement, visible emissions limit, or
specific limits or criteria for capture
systems. Instead, the EPA included a
provision to address hooding systems to
capture and collect emissions by
including guidelines published in
Chapters 3 and 5 of ACGIH Industrial
Ventilation: A Manual of Recommended
Practice, which is incorporated into the
rule by reference. The commenter stated
that owners/operators of sources with
existing add-on control systems have
been challenged with regard to the
capture/collection system design
guidelines in the ACGIH manual, and,
according to the commenter, there have
been instances when there has been a
misuse of the ACGIH Industrial
Ventilation Manual. The commenter
asserted that the EPA and some
permitting agencies are interpreting the
manual and incorporating portions of
various charts, tables and text as
regulatory requirements. The
commenter stated that the authors of the
ACGIH Industrial Ventilation Manual
did not intend, and specifically state in
the Forward of the manual that ‘‘The
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manual is not intended, to be used as
law, but rather as a guide.’’
One commenter contended that in the
original MACT proposal and
rulemaking, the EPA provided no
supporting data to demonstrate that the
MACT floor technology control systems
tested for each Secondary Aluminum
Production source category is actually
capable of meeting the capture/
collection system design requirements
in the ACGIH manual. The commenter
asserted that the EPA and some permit
authorities during implementation of
the rule, without supporting
documentation, imposed specific
capture/collection system design
requirements on all existing add-on
control systems that effectively exceed
the MACT floor determinations. The
commenter further asserted that the EPA
did not follow the regulatory procedures
for going ‘‘above the floor’’ during the
rulemaking process in imposing more
stringent hooding requirements.
In a comment on the supplemental
proposal, one commenter stated that, if
the EPA retains the requirement that
uncontrolled furnaces conduct
performance testing using ACGIHcompliant hooding, the current
emission limits for group 1 uncontrolled
furnaces should be reevaluated. The
commenter stated that the supplemental
proposal sets new requirements for
uncontrolled furnaces that go beyond
the existing MACT floor and was based
upon a 33-percent reduction developed
from limited data. The commenter
requested that the EPA collect more
emissions data from uncontrolled
furnaces tested with ACGIH capture
hoods and make new MACT floor
determinations and set new numerical
emission limits that properly account
for the higher total emissions caused by
the collection of fugitive emissions
collected by the ACGIH-compliant
hoods.
Several commenters maintained that
the EPA is basing the proposed ACGIH
hooding requirement on a limited,
unrepresentative, and flawed dataset.
One commenter expressed concern
that the dataset on which the EPA based
their proposed action was made
available only after publication of the
proposal. The commenter stated that
due to the limited information available
to the industry, no additional testing has
been performed to assess the impact of
the proposed action, or its economic or
engineering feasibility.
Two commenters observed that the
EPA has erroneously based the 67percent hooding assumption on very
limited test data from two furnaces
operating with forced-draft fans, a
scenario that is atypical of uncontrolled
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furnaces, which are normally operated
under natural draft. The commenter
believes that the ‘‘hooding efficiency’’
measured during these tests is not
representative because of the extremely
high design flow rate of the capture
hoods. The commenters maintained that
exhaust flow at the hood was three
times the stack exhaust flow rate,
causing furnace emissions to be drawn
out of the furnace door rather than
allowing these emissions to exhaust
through the stack.
One commenter cited an RTI
memorandum to Rochelle Boyd,
Environmental Engineer at the EPA,
regarding the testing period reported for
September 5, 2007, as a basis for the
claim that errors were made during data
collection, and that the EPA may be
basing their decision and approach to
regulating fugitive emissions on one
dataset. The commenter emphasized
that there are many furnace
configurations that are used in the
industry, so the EPA’s one limited
dataset cannot be representative of the
entire industry. The commenter
provided a copy of a table provided to
the EPA by the commenter on December
21, 2011, outlining the inherent
difference between several major
furnace types.
One commenter stated that this
proposal, in regard to installing hooding
that meets ACGIH guidelines, is
inconsistent with the requirement for
existing sources that the MACT floor
must equal the average emissions
limitations currently achieved by the
best-performing 12 percent of sources in
that source category if there are 30 or
more existing sources or, if there are
fewer than 30 existing sources, then the
MACT floor must equal the average
emissions limitation achieved by the
best-performing five sources in the
category.
In a comment on the supplemental
proposal, one commenter stated that
they are concerned that the hooding and
capture efficiency provisions in the
2014 supplemental proposal are
unnecessary and actually reflect
‘‘beyond the floor’’ provisions for the
installation of specific capture/
collection systems that are not justified
by the MACT floor determination
calculations and evaluations.
One commenter stated that given the
lack of evidence supporting these
provisions, the commenter believes 40
CFR 63.1512 should be eliminated from
the final rule.
Several commenters stated that
ACGIH-compliant hoods are impossible
to install on many group 1 uncontrolled
furnaces due to the engineering
limitations and considerations of many
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furnace installations such as size, type
and location of the furnace. One
commenter provided three examples of
existing furnace installations that are
unable to meet the requirements for
fugitive emissions testing.
One commenter discussed round top
furnace operations and how normal
operations would not allow hooding for
fugitive emissions.
One commenter stated that
installation of temporary hooding on
round top charge melters of the type the
commenter has at its plant located in
Lewisport, Kentucky, is not possible,
and due to installed furnace design it is
not possible to install temporary hoods
on some reverberatory furnaces. The
commenter included as attachments
background information about the
Lewisport testing.
One commenter stated that for group
1 uncontrolled furnaces, the proposed
33-percent emission reduction is a
mandatory reduction for some
operations, and also eliminates future
operating flexibility for operations that
are currently operating near the
proposed 67-percent emission level.
According to the commenter, the margin
between operating levels and actual
limits represents a margin of safety for
furnaces that experience normal
variations to be in continuous
compliance.
The commenter maintained that the
EPA proposed the 33-percent reduction
in emissions without proof or
justification that there are in fact
fugitive emissions being released at or
near these levels or for durations seen
in the limited data the EPA provides.
The commenter recommended that the
EPA promulgate a rule that maintains a
level playing field for the companies
affected by the rule.
Two commenters recommended that
the EPA allow the option to apply the
assumed 67-percent capture efficiency
for new furnaces to avoid the added cost
of installing temporary hooding where a
furnace can be operated in a manner
that meets the 67-percent emission limit
by changing the proposed requirement
in 40 CFR 63.1512. The commenters
argued that the proposed approach
essentially forces the installation of a
costly hood for new furnaces even when
such hoods are not needed due to good
pollution prevention practice and the
resulting low HAP emission rates. The
commenters opposed the HAP emission
rate adjustment for new uncontrolled
furnaces in instances where ACGIH
hooding specifications are not possible,
as the EPA proposed in 40 CFR
63.1512(e)(4)(ii), and asked that it be
removed.
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In a comment on the supplemental
proposal, one commenter stated that in
the original 40 CFR 63.1500,
Applicability, and 40 CFR 63.1501,
Dates, there are references to equipment
that is ‘‘new’’ and equipment that is
‘‘existing’’ depending on installation
date. The commenter suggested that
EPA revise 40 CFR 63.1512(e)(4) to read
as follows:
‘‘When testing an existing or new
uncontrolled furnace, . . .’’
One commenter stated that issues
addressed in 40 CFR 63.1512(e)(4)(ii), in
terms of assuming a 67-percent capture
efficiency for the furnace exhaust, were
previously covered in the stack testing
protocols that are part of the
commenter’s Consent Decree (included
as an attachment). The commenter
requested that the EPA provide
clarification that those protocols are not
impacted by this rule making and
remain fully acceptable.
Response: As discussed in the
preambles and technical support
documents to the 2012 proposal and
2014 supplementary proposal, the
existing performance testing
requirements in Subpart RRR that apply
to group 1 furnaces without add-on
APCD do not include specific
requirements relating to capture and
collection of emissions during
performance tests conducted to ensure
compliance with applicable emission
standards. During performance testing
of these sources, emissions may escape
without being accounted for (i.e.,
captured, collected, and measured) in
the emissions test. Thus, the
performance tests done to ensure
compliance may not provide an accurate
measure of whether the furnace is, in
fact, meeting the applicable emission
standards.
The ACGIH guidelines (as defined in
40 CFR 63.1503) provide specifications
for the proper design and installation of
capture and collection systems to
minimize unmeasured emissions and
ensure that process emissions are being
properly captured and conveyed to an
air pollution control device, where one
is in place, and also ensures that
emissions testing results are
representative of total emissions. The
Subpart RRR standard as promulgated
in 2000 includes a requirement that all
controlled emission units include
capture and collection systems designed
consistent with the ACGIH guidelines.
As stated in our response to comments
in the 2000 Subpart RRR rule, a capture
and collection system meeting ACGIH
criteria is necessary for occupational
safety, and for assuring compliance with
the emission standards. See Summary of
Public Comments and Responses on
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Secondary Aluminum NESHAP,
December 14, 1999, in the docket for
this rulemaking.
The emission standards that apply to
all group 1 furnaces were based on data
from systems that effectively capture
and contain emissions at the source
(minimizing unmeasured emissions)
and convey the emissions to the control
device for destruction or removal. In
addition, a capture and collection
system meeting ACGIH guidelines with
good hooding design will result in a
lower volume of exhaust air to be
treated, and, in many cases, a smaller,
lower-cost control device. The EPA
considered an ACGIH-compliant
capture and collection system to be part
of MACT floor technology for affected
sources with add-on controls (see 64 FR
6960, February 11, 1999).
The subpart RRR rule generally
applied the same emission standards to
uncontrolled group 1 furnaces as it did
to controlled group 1 furnaces and
thereby allowed secondary aluminum
facilities to continue to have
uncontrolled group 1 furnaces so long as
they met similar emission standards as
controlled group 1 furnaces. The lack of
clarity on the level of unmeasured
emissions that may be emitted from an
uncontrolled group 1 furnace during
performance testing has led to confusion
in rule implementation, as well as
significant concerns about the accuracy
and appropriateness of the compliance
determination protocol.
Because performance tests for
uncontrolled group 1 furnaces may not
accurately measure whether the furnace
is in compliance with the applicable
emission standards, the EPA concluded
that a testing protocol for uncontrolled
group 1 furnaces that allows a
potentially significant portion of HAP
emissions to be unmeasured and
unaccounted for in determining
compliance with emission standards is
inadequate.
A testing procedure for uncontrolled
furnaces that permits an unknown
degree of variance in the amount of
emissions that may escape measurement
during performance testing could call
into question whether the rule is
adequately ensures that the furnaces are
meeting applicable emission standards.
The commenters’ suggest that a
compliance demonstration that does not
account for unmeasured emissions is a
necessary result of the development of
the Subpart RRR emission standards.
The commenters are, in effect,
questioning whether the existing
standards for uncontrolled group 1
furnaces are consistent with the MACT
floor analysis, which was primarily
based on the performance of controlled
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furnaces. Moreover, if the level of
unmeasured emissions during
performance testing cannot be
quantified for purposes of determining
compliance with Subpart RRR emission
standards, there could be an issue
regarding the extent to which such
emissions are subject to any MACT
standard.
We note that one commenter stated
that if EPA finalizes the testing
requirements for uncontrolled furnaces,
the EPA should reevaluate group 1
uncontrolled furnace emission limits.
The commenter suggested that EPA
collect emissions test data from
uncontrolled furnaces using ACGIH
hooding, make new MACT floor
determinations, and set new numerical
MACT emission limits. The EPA
believes requiring additional furnace
testing and conducting further MACT
rulemaking is not necessary to address
unmeasured emissions during
performance testing of uncontrolled
furnaces. The EPA believes that the
actions taken in this rulemaking are
sufficient to address the issue.
Further, the EPA is not mandating
ACGIH hooding during performance
testing in all instances, but rather
providing alternative compliance
options for facilities to account for
unmeasured emissions from
uncontrolled group 1 furnaces during
performance testing. Specifically, for
existing uncontrolled furnaces we are
requiring either the installation of
temporary ACGIH hooding or an
assumption of a specified capture
efficiency for furnace exhaust.
Requirements for new uncontrolled
furnaces are discussed below. Although
we proposed using a 67-percent capture
efficiency in lieu of the installation of
temporary ACGIH hooding, in light of
comments, we have re-examined the
testing data on which the proposed 67percent capture efficiency assumption
was based, and revised the assumed
capture efficiency to 80 percent. This
80-percent capture efficiency is based
on the highest average capture of the
three HAP tested. See Draft Technical
Support Document for the Secondary
Aluminum Production Source Category,
Supplemental Proposal Technical
Support Document for the Secondary
Aluminum Production Source Category,
and Technical Support Document for
the Secondary Aluminum Production
Source Category Final Rule, all available
in this rulemaking docket. We believe
this revised percent capture efficiency
assumption of 80 percent provides the
best estimate of the capture efficiency of
uncontrolled furnaces for the several
pollutants being measured, based on the
limited data available. Under these
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provisions, if the source fails to
demonstrate compliance using the 80percent capture efficiency assumption,
the source must retest using hooding
that meets ACGIH guidelines or petition
the appropriate authority that such
hoods are impractical and propose
testing procedures that will minimize
unmeasured emissions. The retesting or
petition must occur within 180 days.
The commenters have not demonstrated
that these alternatives are inappropriate
or inconsistent with the 2000 MACT
floor.
Applying the same emission limits to
uncontrolled group 1 furnaces as
controlled group 1 furnaces necessarily
depends on emissions from
uncontrolled group 1 furnaces being
adequately captured and collected or
being reasonably accounted for when a
performance test is conducted. The
MACT floor analysis, and the emission
standards established by that analysis,
for all group 1 furnaces (including
controlled and uncontrolled furnaces)
incorporated well-designed and
maintained capture and collection
systems, such as those prescribed by
ACGIH guidelines. The rule revisions
being promulgated in this action
address this need by allowing facilities
to choose from the compliance options
described above.
In addition, CAA section 63.7(d)(5) of
the General Provisions, which applies to
this rule, requires that the owner or
operator provide the facilities necessary
for safe and adequate testing of a source.
Adequate testing includes the
responsibility to either provide a means
of directing emissions to the sampling
train, or to measure the capture
efficiency of the equipment used to
direct the emissions to the sampling
train so that the overall emissions from
the source can be determined. The rule
changes described above assist in
implementing this requirement for
uncontrolled group 1 furnaces.
In response to the commenter’s
concerns regarding the test results cited
by the EPA, the EPA obtained additional
information from personnel at the
facility at which the tests were
performed. This information, which is
available in the docket, indicates:
• Although sampling was conducted
for approximately 3 hours using the
canopy hoods at the two furnaces, the
charging doors were only open for
approximately 15 minutes on one
furnace, and approximately 30 minutes
on the other furnace;
• The testing times at the furnace
stacks for both furnaces were equal to
the entire cycle time for the furnace (so
there was no flaw in the testing periods,
such that the furnace stack emissions
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were not measured over the entire
cycle);
• There was no introduction of
dilution air between the furnace and the
furnace stack sampling point; and
• The furnaces were operating in
compliance with the NESHAP
requirements.
Therefore, although the test data are
limited, we have identified no flaws in
the testing procedures that render the
results invalid, and we believe it is
reasonable to rely on the test data to
support our rule revision. In addition, it
is undisputed that the test data are from
a Subpart RRR-affected facility, and the
commenter did not provide specific
reasons to support its assertion that the
tested furnaces are not ‘‘indicative’’ of
the source category nor did commenters
submit testing data to contradict, alter,
or draw into question the EPA’s
conclusions. The commenter also did
not explain why, or at what level,
different capture efficiencies should be
used based on differences in pollutants.
We are certain that at least some
unmeasured emissions escape from all
uncontrolled group 1 furnaces during
testing. Therefore, the only question is
what fraction of the total emissions is
directed to the furnace stack for
measurement, and what fraction escapes
as emissions that are not measured. Our
estimate, based on the limited dataset, is
that 80 percent of emissions at
uncontrolled furnaces are captured and
directed to the stack for measurement,
while 20 percent are emitted as
unmeasured emissions. The revised
testing procedures for uncontrolled
furnaces were proposed in February
2012, with one comment period in 2012
and a second comment period after the
2014 supplemental proposal, giving
commenters ample time to collect and
submit to EPA additional emissions test
data, although none were submitted. In
the absence of additional data, we relied
on the only data available, although,
upon further analysis of the data, we
revised the capture efficiency from 67
percent to 80 percent.
As noted by commenters, and
supported by information they
provided, the tops of round top furnaces
must be removed for charging by cranes
operating above the furnaces.
Commenters stated that for a variety of
design, technical, operational, and
safety reasons, it was not feasible to
install temporary hooding on existing
round top furnaces. Based on our review
of the information submitted by the
commenters, we agree that ACGIHcompliant hoods are not possible to
install on existing round top furnaces
because the top of the furnace must be
removed by a crane operating from
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above the furnace. We also agree that
state and local agencies should not be
burdened with the need for case-by-case
impracticability determinations for
existing round top furnaces.
Consequently, we are excluding existing
round top furnaces from the
requirement either to install temporary
ACGIH hooding or to use an 80-percent
capture efficiency assumption as well as
the requirement for a petition of
impracticality, but instead round top
furnaces must be operated to minimize
unmeasured emissions during testing.
The commenters have not provided
documentation to support an exclusion
for other types of furnaces, such as box
reverberatory furnaces and box
reverberatory furnaces with a side door.
For these furnaces, issues related to
hooding during performance tests may
or may not arise depending on the
specific site installation, including
factors such as the presence of
surrounding equipment and other
physical obstructions, limited access
and overhead cranes that may make it
impractical to install hooding.
Therefore, the exclusion in the final rule
applies only to existing round top
furnaces.
We note that, as discussed above, the
final rule also provides flexibility for
furnaces other than round top furnaces.
Where an ACGIH-compliant hood
cannot be installed on a furnace for
testing and an 80-percent capture
efficiency is not used, the source can
petition the appropriate authority that
temporary ACGIH hooding is
impractical for the source and propose
alternative testing procedures that will
minimize unmeasured emissions. In
some instances, furnace emissions can
be captured and measured without
ACGIH hooding. For example, the
building may be operated as an
enclosure, and emissions from the
building can be measured (e.g., by
installing a temporary fan and
associated ductwork or a stack, and
measuring emissions in that ductwork
or stack). In addition, there is an
alternate performance testing methods
provision available in 63.1511(d).
We disagree that new furnaces should
be allowed the option to assume 80
percent of emissions are directed to the
stack for measurement. We are allowing
existing uncontrolled group 1 furnaces
to use the 80-percent capture efficiency
assumption, since the physical
limitations of an existing furnace are
already established. However, this is not
the case for a new furnace; for a new
furnace, adequate testing of the source
can be achieved through the design of
the furnace. This need not involve
installation of a hood, since, for
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example, the building, or portion of the
building in which the new furnace is
located, could be used as an enclosure
for the purpose of testing. As we stated
earlier, adequate testing includes the
responsibility to either provide a means
of directing emissions to the sampling
train, or to measure the capture
efficiency of the equipment used to
direct the emissions to the sampling
train so that the overall emissions from
the source can be determined.
As discussed above, we have different
requirements for new uncontrolled
furnaces, including new uncontrolled
round top furnaces, than for existing
uncontrolled furnaces because we have
concluded that proper conditions for
testing are readily achieved in the
design of a new furnace. However, in
the specific case of reconstructed round
top furnaces, we agree that they are
likely to have the same physical
constraints as existing round top
furnaces that make it difficult or
impossible to construct the temporary
hooding needed for emissions testing.
Therefore, the final rule provides
reconstructed round top furnaces the
same exemption from the provisions
requiring the installation of temporary
ACGIH hooding or the assumption of
80-percent capture efficiency as allowed
for existing round top furnaces.
Regarding the commenter’s reference
to the conditions of their Consent
Decree, the decree at paragraph 122
states clearly that each company is
responsible for achieving and
maintaining complete compliance with
all applicable federal laws and
regulations, and compliance with the
Consent Decree does not necessarily
mean compliance with the Clean Air
Act or implementing regulations.
Further, the Consent Decree does not
limit the EPA’s authority to revise
Subpart RRR. Also note that the
compliance date for the rule revisions
concerning testing of uncontrolled
furnaces is 2 years after promulgation.
While it is not necessary to review the
specific protocols of the Consent Decree
for purposes of this rulemaking, the
commenter can follow up with their
EPA Regional Office regarding any
concerns.
Comment: In a comment on the
supplemental proposal, one commenter
stated it should not be a prerequisite
that facilities or emission sources must
first conduct a failed compliance test
using the 67-percent capture efficiency
assumption prior to petitioning
permitting authorities that ACGIH
equivalent hooding is impractical under
the provisions of paragraph (e)(6).
According to the commenter, some
facilities know upfront that installing a
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capture hood is impractical and that
they cannot comply with a stack test
assuming a 67-percent capture
efficiency. The commenter
recommended that the final rule provide
owners and operators a third option to
petition permitting authorities (prior to
performance testing) that installation of
hooding is impractical; this alternative
would avoid costs associated with
multiple performance tests, labor and
administrative burdens and potential
enforcement liability that would be
associated a failed performance test.
A commenter on the supplemental
proposal stated that many of the
hooding provisions are unworkable in
actual practice, and the commenter
therefore supports the petition process
proposed for alternate capture/
collection systems, coupled with testing
procedures designed to minimize
fugitive emissions. The commenter
stated that it is inefficient and a
significant waste of resources to require
initial testing under the assumption of
a 67-percent capture efficiency for a
facility where installing an ACGIHcompliant hood is impractical and the
facility knows or expects that it cannot
comply using the 67-percent capture
efficiency assumption. The commenter
suggests it would be more efficient to
allow facilities the option to submit a
petition regarding the impracticality of
hooding coupled with proposed testing
procedures that will minimize fugitive
emissions during the testing before the
next required performance test occurs
rather than after; this will minimize the
likelihood of retesting and result in
significant monetary, labor and
efficiency savings.
The commenter stated they assume
that, in the event of testing/retesting
following the approval of a petition
demonstrating the impracticability of
hooding requirements, the 67-percent
capture efficiency provisions would not
be applicable to the results of the
testing/retesting. However, because it is
not specifically stated, the commenter
seeks a clear statement to that effect in
the final rule.
The commenter requested that the
language in 40 CFR 63.1512(e)(4) be
revised as follows:
‘‘When testing an existing
uncontrolled furnace, the owner or
operator must comply with the
requirements of either paragraphs
(e)(4)(i), (ii), (iii) or (iv) of this section
at or prior to the next required
performance test required by 63.1511(e).
(i) Install hooding that meets ACGIH
Guidelines, or
(ii) At least 180 days prior to testing,
petition the permitting authority for
major sources, or the Administrator for
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area sources, that such hoods are
impractical under the provisions of
paragraph (e)(6) of this section and
propose testing procedures that will
minimize fugitive emissions during the
performance test according to the
paragraph (e)(7) of this section, or
(iii) Assume a 67-percent capture
efficiency for the furnace exhaust (i.e.,
multiply emissions measured at the
furnace exhaust outlet by 1.5). If the
source fails to demonstrate compliance
using the 67-percent capture efficiency
assumption, the owner or operator must
re-test with a hood that meets the
ACGIH Guidelines within 180 days, or
petition the permitting authority for
major sources, or the Administrator for
area sources, within 180 days that such
hoods are impractical under the
provisions of paragraph (e)(6) of this
section and propose testing procedures
that will minimize fugitive emissions
during the performance test according to
paragraph (e)(7) of this section.
(iv) The 67-percent capture efficiency
assumption is not applicable in the
event of testing conducted under an
approved petition submitted pursuant to
(ii) or (iii) above.’’
The commenter stated that making
these changes will also require that the
existing proposed paragraph (iii) be redesignated as (v).
Response: Based on the comments
received, the EPA reevaluated the
proposed requirements for testing
uncontrolled furnaces. Based on our
analysis of available data (described in
the Technical Support Document for the
Secondary Aluminum Production
Source Category Final Rule, which is
available in the docket), we believe that
the vast majority of furnaces will be able
to comply based on the 80 percent
assumption. However, we agree that
there might be cases where a facility
owner or operator may know in advance
that they cannot comply based on the
80-percent capture efficiency
assumption and that installing ACGIH
hoods for testing is not practical, so to
require them to conduct tests that they
know in advance will fail is
unreasonable and unnecessary.
Therefore, the final rule provides an
alternative for such cases whereby the
facility owner or operator can petition
their permitting authority at least 180
days in advance that ACGIH hooding is
impractical and request approval of
alternative testing procedures including
measures they will take that will
minimize unmeasured emissions during
testing. The EPA has also clarified in the
final rule that in testing or retesting
following approval of a petition
demonstrating impracticability of
temporary ACGIH hooding, the 80-
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percent capture efficiency assumption
does not apply to the results of the
testing or retesting.
Comment: In a comment on the
supplemental proposal, one commenter
requested that instead of the
requirement for uncontrolled furnaces
to conduct performance testing using
ACGIH hooding, the EPA should allow,
as they do for round top furnaces, the
use of alternative procedures for the
minimization of fugitive emissions
during performance testing for
consistency and cost considerations.
The commenter stated that allowing all
uncontrolled furnaces to use the work
practices for the minimization of
fugitive emissions, rather than install
ACGIH hooding, would achieve the
same capture efficiency during the
performance test as it would for round
top furnaces. The commenter further
stated that the installation and use of an
ACGIH hood is not cost effective and
would create unnecessary costs simply
to comply with testing requirements. A
commenter on the supplemental
proposal stated that the EPA should
delete the ACGIH capture hood
requirements for uncontrolled furnace
testing and instead specify work
practice alternatives for minimizing
fugitive emissions during testing.
Response: The commenters have not
provided documentation to support an
exclusion from ACGIH hooding and
associated requirements for furnaces
other than round top furnaces. Based on
the limited information available to the
EPA, we believe that, for these furnaces,
issues related to hooding during
performance tests may or may not arise
depending on the specific site
installation, including factors such as
the presence of surrounding equipment
and other physical obstructions, limited
access, and overhead cranes that may
make it impractical to install temporary
hooding. Therefore, the exclusion in the
final rule applies only to existing or
reconstructed round top furnaces. As
noted above, even if ACGIH-compliant
hoods cannot be installed on a furnace,
in some instances, furnace emissions
can be captured and measured without
ACGIH hooding. For example, the
building may be able to be operated as
an enclosure, and emissions from the
building can be measured (e.g., by
installing a temporary fan and
associated ductwork or a stack, and
measuring emissions in that ductwork
or stack) if there are no other furnaces
or other significant sources in the
building of the pollutant to be
measured. In addition, an owner or
operator of an existing uncontrolled
group 1 furnace other than a round top
furnace has the choice of assuming an
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80-percent capture efficiency for the
furnace exhaust, or, if the source does
not wish or fails to demonstrate
compliance using the 80-percent
capture efficiency assumption, the
owner or operator may petition the
permitting authority that such
temporary hoods are impractical.
Comment: Three commenters cited
safety concerns regarding the feasibility
of fugitive emissions testing for group 1
uncontrolled furnaces.
One commenter asserted that because
of the broad spectrum of furnace designs
and safe operating practices for the
group 1 uncontrolled furnace category,
it is impossible to fully characterize the
potential impacts on operator safety
from EPA’s proposed action. The
commenter observed that to conduct an
EPA Method 5 test at a hood requires an
operator to be present for the duration
of the emissions test in a location that
industry standard safe operating
practices prohibit. The commenter
asserted that this proposed requirement
would violate the industry standard
operation procedure of the vast majority
of group 1 uncontrolled furnaces, which
require the removal of the operator from
unsafe locations during normal furnace
operation. The commenter stated that
group 1 uncontrolled furnaces fall into
two broad categories, those designed for
operator presence on the furnace
structure and those that do not have any
infrastructure for operator presence
above the furnace.
One commenter stated that safe
operation of furnaces that charge
aluminum scrap only allows for
operators to access the area above the
furnace when the door is closed, and the
cycle is in a steady state (i.e., not
immediately following scrap charging),
entirely precluding the operator from
entering during operation. The
commenter emphasizes that the
operation of the proposed testing
apparatus, in accordance with EPA
Methods 1 and 2, would violate
industry best practices for the safe
operation of remelt furnaces.
Response: We disagree that the
Method 5 emissions tests must be
conducted ‘‘at a hood,’’ and therefore
have potential impacts on the safety of
the testing equipment operators or
furnace operators. The ductwork from
the hood can lead to the same stack as
the furnace. Therefore, fugitive
emissions captured by the hood can be
combined with emissions from the
furnace, and testing can be conducted at
the same stack location as the facility
has historically tested. Furthermore,
existing uncontrolled furnaces have the
additional option of assuming an 80percent capture efficiency and all
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uncontrolled furnaces may petition the
appropriate authority that such hoods
are impractical and propose testing
procedures that will minimize
unmeasured emissions during testing.
Comment: Three commenters asserted
that design and installation costs for
hooding are far higher when testing for
group 1 uncontrolled furnaces than
those provided by the EPA. One
commenter estimated a cost of $120,000
to $500,000 per hood.
One commenter noted that because
these hoods and ductwork would have
to be retrofitted to existing equipment,
there is little or no economy of scale.
Response: The commenters did not
provide supporting calculations or a
breakdown for their cost estimates. The
EPA contacted the commenter that
provided the higher estimated costs and
requested additional information on
their cost estimate. The commenter
provided cost estimates for an
installation of hooding that meets
ACGIH guidelines on a Reverb Melter
($208,146) and a Tilting Holder
($238,012). The EPA used these cost
estimates in a supplementary cost
analysis to provide further information
concerning the rule amendments being
adopted in this final rule Cost Estimate
for Rule Changes to Secondary
Aluminum NESHAP, which is available
in the docket for this action. Based on
the commenter’s estimates, the average
capital cost for the two installations is
approximately $223,000. The 2012 cost
can be scaled to 2011 cost by applying
the ratio of the Chemical Engineering
Plant Cost Index for March 2011 (final—
575.9) to March 2012 (preliminary—
596.1), or a ratio of 0.966. Using this
factor, the capital cost is estimated to be
$215,400 per furnace. If this value is
used in lieu of the original estimate
(contained in supporting documentation
for the proposed rule) of $76,000 for a
single hood, all costs would increase by
a factor of 2.83 (i.e., $215,400 divided
by $76,000). Assuming temporary
hooding will be installed on 107
furnaces, the total capital cost using this
value would therefore conservatively be
estimated to be $17,300,000 (i.e.,
$6,099,000 multiplied by 2.83). Note
that the $6,099,000 cost estimate is
based on an average cost per furnace of
$57,000, based on the assumption that
a hood for a second installation at a
facility would cost half as much (i.e.,
($76,000 + $38,000)/2 = $57,000).
Similarly, using these higher cost
estimates per furnace, the total
annualized cost for the source category
would be conservatively estimated at
$3.46 million per year, and the total
annualized cost per furnace would be
approximately $32,300 per year.
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Therefore, conservatively assuming 107
furnaces install temporary hooding,
total estimated annualized costs would
range from $1.2 million per year to
$3.46 million per year or an average of
$2.3 million per year. Total annualized
cost per furnace would range from
$11,000 per year to $32,300 per year, or
an average of $21,650 per year. We
believe that these total cost estimates are
conservative (more likely to be
overestimates rather than
underestimates) because these costs are
based on the assumption that all of the
estimated uncontrolled furnaces will
choose to install temporary hooding
rather than use the other options
provided in the rule for addressing
unmeasured emissions during
performance testing.
Comment: Two commenters, in
response to the 2012 proposed rule,
requested that the EPA revise proposed
40 CFR 63.1512(e)(4)(ii) to list example
work practices that the Agency
considers acceptable for minimizing
furnace fugitive emissions during a
performance test. The commenters
stated that the list of examples would
provide permitting authorities some
basis for evaluating proposed work
practices and approving test procedures.
In a comment on the supplemental
proposal, one commenter stated that,
with the approval of the applicable
permitting authority, when testing an
uncontrolled reverberatory furnace, they
have used a test plan that includes
positioning one or more fans to direct
flow into a furnace when the door is
opened in order to minimize fugitive
emissions escaping the furnace door.
The commenter recommended
paragraph 63.1512(e)(7)(x) be added to
read as follows:
‘‘(x) Use of fans or other device to
direct flow into a furnace when door is
open.’’
In a comment on the supplemental
proposal, one commenter stated that
most of the ‘‘testing procedures’’
presented in sections 63.1512(e)(7)(i)
through (ix) of the proposed rule are
reasonable suggestions for minimizing
fugitive emissions. However, the
commenter stated that, the installation
of temporary baffles would have no
practical effect on reducing fugitive
emissions for the types of emission
units regulated under this source
category. The commenter stated that,
additionally, increasing the exhaust rate
will require additional fuels to be
combusted and will cause an increase in
dross production; both will result in
particulate and HCl emission increases
that would otherwise not be created.
According to the commenter, the
creation of additional dross will
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produce a cascade of collateral
environmental impacts: More dross
must be processed, more dross
processing HAP will be created, and
there will be more residuals to be
handled, transported and disposed.
In a comment on the supplemental
proposal, one commenter stated that the
language the EPA uses to introduce the
procedures that can be used to minimize
fugitive emissions in the preamble is
better than that used in the original
proposed rule at 63.1512(e)(7). The
commenter stated that the preamble
introduces alternatives for minimizing
fugitive emissions with the words,
‘‘[t]hese procedures may include, if
practical, one or more of the following,
but are not limited to . . . .’’ The
commenter stated that, in contrast, the
proposed rule at 40 CFR 63.1512(e)(7)
simply states, ‘‘testing procedures that
will minimize fugitive emissions may
include, but are not limited to . . . .’’
The commenter recommended that the
EPA should include the phrase ‘‘if
practical, one or more of the following’’
in the language of the rule at 40 CFR
63.1512(e)(7), because this construction
makes clear that not every alternative to
minimize fugitive emissions may be
practical and therefore not all the listed
alternatives are required.
In a comment on the supplemental
proposal, one commenter stated that
they have conducted testing of round
top melting furnaces after development
of a test plan, with the EPA’s approval,
as part of a Consent Decree and as
approved by the applicable permitting
authority. The commenter stated that
this procedure involves removing the
top once and placing a representative
but lighter charge into the furnace and
replacing the top. The commenter stated
that the charge includes all materials
normally charged into the furnace but a
charge size of approximately 25 percent
to 35 percent of normal; this procedure
minimizes fugitive emissions from the
furnace. The commenter stated that
while they believe this procedure meets
the intent of paragraph 63.1512(e)(7)(v),
they request that the paragraph be
revised as follows:
(v) ‘‘In order to minimize time the
furnace door or top is open, it is
permissible to add a smaller but
representative charge into the furnace at
one time and conduct the test without
additional charge.’’
Response: In response to the
commenters’ requests, we have included
in the final rule a list of example
procedures for minimizing unmeasured
emissions during testing. These
procedures may include, if practical, but
are not limited to, one or more of the
following:
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• Installing a hood that does not meet
ACGIH guidelines;
• Using the building as an enclosure,
and measuring emissions exhausted
from the building if there are no other
furnaces or other significant sources in
the building of the pollutants to be
measured;
• Installing temporary baffles on the
sides or top of the furnace opening, if
it is practical to do so where they will
not interfere with material handling or
with the furnace door opening and
closing;
• Minimizing the time the furnace
doors are open or the top is off;
• Delaying gaseous reactive fluxing
until charging doors are closed and the
top is on;
• Agitating or stirring molten metal as
soon as practicable after salt flux
addition and closing doors as soon as
possible after solid fluxing operations,
including mixing and dross removal;
• Keeping building doors and other
openings closed to the greatest extent
possible to minimize drafts that would
divert emissions from being drawn into
the furnace;
• Maintain burners on low-fire or
pilot operation while the doors are open
or the top is off;
• Use of fans or other device to direct
flow into a furnace when door is open;
or
• Removing the furnace cover once in
order to add a smaller but representative
charge and then replacing the cover.
We disagree that baffles would be
ineffective in reducing unmeasured
emissions in all cases and note that they
are just one of several options that can
be used, as appropriate, to reduce
unmeasured emissions during testing of
uncontrolled furnaces. One way that
baffles can reduce unmeasured
emissions is to keep the smoke puff that
escapes the furnace when the scrap is
first put in from leaving the area around
the furnace. Therefore, some of the
smoke can be pulled back into the
furnace after the seconds-long initial
puff of smoke. Baffles also tend to
produce a higher-velocity corridor
leading to the furnace face, also making
it more likely that the puff of smoke that
escapes the furnace during charging will
subsequently get pulled back into the
furnace. Furthermore, their use would
be temporary only for the time that the
furnace doors are open to accept a
charge. As proposed, the final rule
includes the use of baffles as one testing
procedure that can be used to minimize
unmeasured emissions but does not
require that they be used.
We agree with the comment that
increasing exhaust rate may tend to
increase dross production, with a
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resultant increase in PM and HCl
emissions. Therefore, even though
increasing exhaust rate will improve
capture, we are removing the example of
raising flow rate from the list of
methods to minimize fugitive emissions.
We disagree with the comment that 40
CFR 63.1512(e)(7) does not adequately
introduce the procedures that can be
used to minimize unmeasured
emissions. We believe that the wording
at 40 CFR 63.1512(e)(7) clearly conveys
that any one of the listed procedures, or
others that are not listed, may be used
to minimize unmeasured emissions
during testing. The regulatory wording
does not require their use. Therefore,
the final rule has not been revised as
requested by the commenter.
We agree that, as the commenter
recommended, using a smaller but
representative charge, could reduce the
amount of time that furnace doors are
open, and could therefore reduce the
amount of emissions that are not
captured and measured during testing of
uncontrolled furnaces. Because
emission limits for group 1 furnaces are
in units of mass of pollutant per unit of
mass of feed, the mass of the charge by
itself does not affect the validity of test
results. The final rule includes the use
of smaller but representative charges as
another alternative to minimizing
unmeasured emissions during testing of
uncontrolled group 1 furnaces. If a
single test condition is not expected to
produce the highest level of emissions
for all HAP, testing under two or more
sets of conditions (for example high
contamination at low feed/charge rate
and low contamination at high feed/
charge rate) may be required.
Comment: Two commenters on the
2012 proposal requested that the EPA
extend the timeline proposed for
retesting under 40 CFR 63.1512(e)(4)(ii)
to 240 days. The commenter asserted
that the requirement proposed in 40
CFR 63.1512(e)(4)(ii) to ‘‘retest with a
hood that meets ACGIH Guidelines
within 90 days’’ is not practicable. For
the proposed provision to be workable,
the commenter argued, the EPA needs to
allow at least 240 days for retesting with
an ACGIH hood if a source fails to
demonstrate compliance using the 67percent capture efficiency assumption.
Response: The EPA agrees with
commenters that the 90-day period for
retesting in the 2012 proposal was
insufficient. Based on further review
and comments received, in the
supplemental proposal, the EPA
proposed a 180-day period for the
retesting provisions in section
63.1512(e)(4). We received no comments
on the 2014 supplemental proposal
objecting to the 180-day retesting
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period. Therefore, instead of the
initially proposed 90-day retesting
period, we are adopting in the final rule
a 180-day period for a source that fails
to demonstrate compliance using the
capture efficiency assumption either to:
(1) Retest with an ACGIH-compliant
hood; or (2) petition the permitting
authority that such hoods are
impractical for the furnace and propose
testing procedures that will minimize
unmeasured emissions during testing.
Comment: In a comment on the
supplemental proposal regarding 40
CFR 63.1512(e)(4)(iii), one commenter
stated that it is not clear if the EPA
intends to exempt all round top
furnaces in operation on the publication
date of the proposal, or if round top
furnaces that commenced construction
or reconstruction after February 11,
1999, (new) are purposely being
excluded. The commenter suggested the
language be revised to the following:
‘‘Existing and new round top furnaces
are exempt . . . .’’
Response: As proposed in the 2014
supplemental proposal, the final rule
exempts existing round top furnaces
from the testing requirements for
uncontrolled furnaces in 40 CFR
63.1512(e)(4)(i), (ii), and (iii). In
response to a comment on the
supplemental proposal, we have
expanded the exemption to also apply
to reconstructed round top furnaces.
The intent of the EPA is that existing
and reconstructed round top furnaces
that commenced construction or
reconstruction on or before February 12,
2012, are exempt, and new round top
furnaces that commence construction
after February 12, 2012, are not exempt,
from the testing requirements for
uncontrolled furnaces in 40 CFR
63.1512(e)(4)(i), (ii), and (iii). Therefore,
we are not adopting the revised
language suggested by the commenter.
Comment: One commenter asked that
the EPA clarify in 40 CFR
63.1512(e)(4)(ii) what constitutes
‘‘impractical’’ with respect to installing
temporary capture hoods.
Response: In response to the
commenter, 40 CFR 63.1512(e)(6) of the
final rule clarifies in what
circumstances installation of temporary
capture hoods would be considered
impractical.
Temporary capture hooding
installation is considered impractical if:
• Building or equipment obstructions
(for example, wall, ceiling, roof,
structural beams, utilities, overhead
crane, or other) are present such that the
temporary hood cannot be located
consistent with acceptable hood design
and installation practices;
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• Space limitations or work area
constraints exist such that the
temporary hood cannot be supported or
located to prevent interference with
normal furnace operations or avoid
unsafe working conditions for the
furnace operator; and/or
• Other obstructions and limitations
subject to agreement of the permitting
authority.
4. What is the rationale for our final
approach for testing of uncontrolled
group 1 furnaces?
As discussed above and in the 2012
and 2014 proposals, we are finalizing
compliance alternatives addressing
capture and collection of emissions for
uncontrolled furnaces during
performance testing. Owners and
operators of uncontrolled furnaces have
the options of installing temporary
ACGIH-compliant hooding for testing or
assuming that the capture efficiency of
the furnace exhaust is 80 percent
without installing hooding. Further
options are provided if a source fails to
comply using the 80-percent capture
efficiency assumption or decides not to
use the 80-percent assumption and
instead petitions at least 180 days in
advance that ACGIH hooding is
impractical for the furnace and for
approval of alternative testing
procedures, including measures that
will minimize unmeasured emissions
during testing. The final rule exempts
existing and reconstructed round top
furnaces from these requirements due to
the infeasibility of installing hooding.
The final rule clarifies the
circumstances under which the
installation of temporary ACGIH
hooding is considered impractical and
specifies work practices that can be
used to minimize unmeasured
emissions during testing of uncontrolled
furnaces.
D. Changing Furnace Classification
1. What did we propose regarding
changing furnace classification?
In the 2012 proposal, we proposed to
address an area of uncertainty under
Subpart RRR by specifying in 40 CFR
63.1514 rule provisions expressly
allowing changes in furnace
classification, subject to procedural and
testing requirements, operating
requirements and recordkeeping
requirements. We proposed a frequency
limit of no more than one change in
classification (and associated reversion)
every six months, with an exception for
planned control device maintenance
activities requiring shutdown. We
received comments on the 2012
proposal requesting additional or
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unlimited changes in furnace
classification. Based on the information
received, we reevaluated the
appropriate limit on frequency of
furnace classification changes. The EPA
received from one commenter an
inventory of the number of classification
changes that occurred each year at a
specific Subpart RRR furnace over a
nearly 10-year period (available in the
docket for this rulemaking). The highest
number of furnace classification
changes in one year, including both
planned and unplanned changes, was
nine.
Based on the comments and
information received, we proposed in
our 2014 supplemental proposal a
revised limit on the frequency of
changes in furnace classification of four
in any 6-month period, with a provision
allowing additional changes by
petitioning the appropriate authority.
2. What changed since proposal
regarding changing furnace
classification?
Based on our consideration of the
comments and additional information
received following the 2012 proposal
and the supplemental proposal, the
following changes are incorporated into
the final rule:
• Added a provision that if
compliance has already been
demonstrated for a given operating
mode, performance testing is not
required, provided the testing was in
compliance with the provisions in 40
CFR 63.1511;
• Added clarification in
§§ 63.1514(a)(2)(iii) and (4)(iii),
(b)(2)(iii) (b)(4)(iii), and (c) on
establishing the number of tap-to-tap
cycles elapsed (or time elapsed for
continuously operated units) during
performance testing as a parameter to be
met before changing to uncontrolled
mode, and provisions for continuous
operations;
• Removed the proposed requirement
to complete one or more charge-to-tap
cycles or 24 hours of operation prior to
changing furnace operating mode in
§§ 63.1514(2)(i) and (4)(i), (b)(2)(i),
(b)(4)(i), (c)(2)(i), (c)(4)(i);
• Added 40 CFR 63.1514(b)(4)(iv) that
requires that D/F emissions determined
at performance test must not exceed 1.5
ug D/F TEQ/Mg of feed/charge to
demonstrate that it qualifies as a group
2 furnace. This section was added for
consistency with § 63.1514(b)(2)(iv);
• Clarified §§ 63.1514(c)(5) and (6)
with respect to requirements for
changing operating modes between a
group 1 and a group 2 furnace; and
• Removed the proposed requirement
for area sources to conduct performance
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tests every 5 years in 40 CFR
63.1514(d)(2).
3. What key comments did we receive
regarding changing furnace
classification?
Comment: Several comments were
received objecting to the proposed
limits on the frequency of changing
furnace classification. Four commenters
on the 2012 proposal asked that the EPA
allow controlled furnaces to change
operating modes more frequently than
once every 6 months. The commenters
particularly noted the need for
flexibility for unplanned baghouse
maintenance and repair. Although the
2012 proposed rule allows a change of
operating mode for planned
maintenance of air pollution control
devices, the commenters stated that a
restriction to ‘‘once every 6 months’’ for
unplanned maintenance is ill-advised
because such a restriction may result in
shutdown of the entire casting operation
or encourage an owner or operator to
delay baghouse shutdown and repairs
that could be initiated immediately by
changing to a ‘‘cleaner’’ operating mode
that has already been demonstrated to
comply with the applicable emission
limits. One commenter stated that the
proposed limit (of once every 6 months)
on the frequency of changes other than
for ‘‘planned’’ maintenance would
severely limit facility flexibility. One of
the commenters requested the EPA to
revise 40 CFR 63.1514(e) to allow
controlled furnaces to change operating
modes (and revert to prechange
operating mode) without restriction on
frequency, when the air pollution
control device must be shutdown for
both planned and unplanned
maintenance.
One commenter on the 2012 proposal
noted that in the proposed 40 CFR
63.1514(e), the proposed requirements
for operating in different modes include
testing to demonstrate compliance
under each mode, revising the OM&M
plan to reflect all planned operating
modes and revising labels to display
compliant operating parameters for each
operating mode. The commenter
observed that the EPA has listed
recordkeeping requirements when
changing furnace classifications, but the
EPA has not listed any barriers to
implementation or enforcement once a
stack test has been performed
demonstrating compliance and an
OM&M plan submitted. The commenter
concludes that if tests prove compliance
while operating in each mode, there is
no justification for restricting the
frequency of changes.
One commenter noted interactions
over several years between the
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commenter and the EPA regarding the
use of alternative operating scenarios.
The commenter stated that those
communications (and litigation)
resulted in a February 16, 2012,
Applicability Determination (which was
attached to their comment). The
commenter noted that the commenter
had explained the need for flexibility to
change operating modes in this
proposed rule to EPA in a letter dated
January 18, 2012, (also attached to their
comment). The commenter
recommended that the EPA use the
approach in the February 16, 2012,
Applicability Determination in Subpart
RRR.
In a comment on the 2014
supplemental proposal, one commenter
stated that the EPA has not adequately
explained why it is proposing to allow
4 changes in furnace operating mode, or
provided any reasoned explanation for
why these changes are lawful and
reasonable, in view of the requirement
that standards apply at all times. The
commenter stated that before allowing
such changes to be made by a facility,
the EPA must ensure that this is not
equivalent to an exemption from the
standards, which a facility may take
advantage of under the EPA’s proposal
four times a year.
Response: As discussed in the
preamble to the 2012 proposed rule, the
EPA proposed to address an area of
uncertainty under Subpart RRR by
allowing changes in furnace
classification, or furnace operating
mode, subject to procedural and testing
requirements and a limit on frequency
of no more than one change (and
associated reversion) every 6 months.
As summarized above, the EPA received
comments on the 2012 proposal
requesting additional or unlimited
furnace classification changes. Based on
the comments received, the EPA
reevaluated the limit on frequency of
furnace classification changes. The EPA
received from a commenter an inventory
of the number of classification changes
that occurred each year at a specific
furnace over a nearly 10-year period
(available in the docket for this
rulemaking). The highest number of
furnace classification changes for this
furnace in one year, including both
planned and unplanned changes, was
nine.
In response to the comments and
information received and because of the
potential difficulty in distinguishing
between a planned and unplanned
change, in the 2014 supplemental
proposal we proposed a revised
frequency limit of four (including the
four associated reversions) in any 6month period, including both planned
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and unplanned events, with a provision
allowing additional changes by
petitioning the appropriate authority.
The EPA explained that the revised
limit balances the interest in allowing
furnace classification changes while
preserving the EPA’s and delegated
authorities’ practical and effective
enforcement of the emission limitations,
work practice standards, and other
requirements of Subpart RRR.
Based on the EPA’s experience in
overseeing facilities’ compliance with
the Subpart RRR NESHAP, the EPA
believes it will be challenging in many
circumstances for a regulatory
compliance inspector to retroactively
confirm which of two scrap inventories
(i.e., one clean charge and the other nonclean charge) was processed in a furnace
at a given time in the past, and whether
the allowed type of feed/charge was
used for the furnace classification that
was applicable for that time period.
Similarly, it may be difficult to
determine if the flux type and flux rate
applied during that time period were
compliant with the then-applicable
furnace classification. The difficulty of
verifying the inputs to the calculations
used to determine SAPU emission
limits, and daily and rolling average
SAPU emission rates when furnace
control device status and feed/charge
type are frequently changed for one or
more emission units within a SAPU
may lead to further uncertainty in
verifying compliance. On-site
inspections may be difficult to conduct
properly if the selected provisions of the
OM&M plan applicable to furnace
operation on the day and time of the
inspection are subject to frequent
change. For all of these reasons,
increased frequency of allowed furnace
classification changes places greater
burdens on regulatory oversight
agencies and personnel and creates the
potential for impaired regulatory
oversight.
In recognition of the issues raised by
allowing repeated changes in furnace
classification and applicable emission
standards, the EPA is finalizing a limit
of four on the number of times in a 6month period a Subpart RRR facility
may change classification of a furnace
(e.g., changing furnace classification
from a controlled group 1 furnace to an
uncontrolled group 2 furnace, and
back). The EPA appreciates the value in
providing operational flexibility for
regulated sources, but believes the limit
is necessary to ensure effective
implementation and regulatory
oversight of the rule. Facilities are
allowed to change furnace classification
up to four times during a 6-month
period. The final rule clarifies that a
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change from one operating mode to
another and back is considered one
change in operating mode. The EPA
believes allowing unlimited changes of
furnace classification would be
impractical, as the monitoring,
recordkeeping, reporting, and labeling
requirement changes associated with
changing furnace classifications would
be difficult for the regulated community
to follow and for the regulatory agencies
to determine and verify continuous
compliance. Furthermore, the EPA and
state agency experience has shown that
some facilities have difficulty
preventing excess emissions from
entering the flue gas from group 1
furnaces, and, therefore, changing from
a group 1 furnace to a group 2 or
uncontrolled group 1 status using
cleaner charge may not necessarily
result in a reduction of emissions. More
frequent changes in furnace
classifications could result in a greater
potential for excess emissions in some
instances. The EPA selected the number
of allowable changes in furnace
classifications based on information and
data received from industry on the
number of changes in furnace
classification over an annual period.
The EPA believes that four changes per
6-month period will allow industry the
flexibility it needs while maintaining
confidence in the level of
implementation, compliance and
enforcement that can be achieved in
changing from one classification to
another. If a source needs additional
classification changes in a 6-month
period, the rule allows the source to
petition the appropriate authority for
approval.
Following the 2014 supplemental
proposal, we received two positive
comments from industry on the revised
frequency limit and the option to
request additional changes if needed.
Only one comment was received
opposing the revised frequency limit. It
does not appear to the EPA that the
ability to change furnace modes has
been an issue for most of the secondary
aluminum production industry.
Furthermore, the commenter opposing
the revised limit did not provide
additional data to support a greater
frequency or the need for an unlimited
frequency. We note that in the
supplemental proposal, we specifically
requested ‘‘any commenter who would
like the EPA to consider a different limit
on frequency to include a specific
rationale and factual basis for why a
different frequency would be
appropriate as well as any data on
historical frequencies of furnace
classification changes under subpart
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RRR.’’ 79 FR at 72902. In addition, the
EPA is finalizing a rule provision to
allow the industry to request approval
for a greater frequency of furnace
classification changes if needed for their
particular operation. Based on data from
industry and the comments received on
the supplemental proposal, we do not
believe that it is necessary to further
revise the limit on the frequency of
furnace changes. In this final rule, we
allow four changes in furnace
classification per 6-month period with
the option of requesting in advance
additional changes from the appropriate
authority.
In response to the same commenter’s
suggestion that EPA ‘‘adopt the
approach’’ in a 2012 EPA letter allowing
changes in classification for a furnace
owned by the commenter, the EPA notes
the letter addressed only a single,
relatively unusual ‘‘tilt type’’
reverberatory furnace ‘‘in contrast to
most reverberatory furnaces’’ and was
located at an area source subject only to
D/F limits and not the other limits
applicable to major sources under
Subpart RRR. The letter also expressly
provided that it did not limit the EPA’s
authority to revise Subpart RRR
requirements through rulemaking.
We believe the February 16, 2012,
applicability determination is
conceptually consistent with the rule
changes, particularly for the specific
type of furnace at issue in that
determination. The Subpart RRR rule
changes build upon several elements of
the February 16, 2012, determination to
address concerns that switching
operating modes for any furnace subject
to Subpart RRR be done in a manner
that is fully compliant with Subpart
RRR for each operating mode, while at
the same time avoiding overly
burdensome requirements for industry.
In response to the commenter on the
2014 supplemental proposal who
asserted that EPA has not adequately
explained how it is lawful and
reasonable to allow four furnace
classification changes per year in view
of the requirement that standards apply
at all times and must ensure this is not
an exemption from standards, we
provided such an explanation in the
2012 proposed rule preamble, and the
commenter did not submit any
comments in response to the 2012
proposed rule. In the 2014 supplemental
proposal, we proposed a revised limit
on frequency of classification changes,
but we proposed no other revision and
stated we ‘‘are not requesting comments
on any other aspect of the proposed
provisions for furnace classification
changes.’’ 79 FR at 72902. The comment
refers to the revised proposed limit of
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four changes (per 6-month period, not
per year as described by the
commenter), but the substance of the
comment concerns continuity of
emission standards and potential
exemption from standards, which are
not specific to the frequency limit and
were addressed previously in the 2012
proposal.
We note that the rule ensures this is
not an exemption from standards. As
discussed above, there was uncertainty
about whether Subpart RRR allowed
changes in furnace classification, but, at
least in some specific circumstances and
conditions, furnace classification
changes were allowed under the
existing rule. The EPA addressed the
issue in the 2012 and 2014 proposals
and is finalizing rule provisions
clarifying the procedural, testing,
operating, and recordkeeping
requirements when changing furnace
operating modes, so as to ensure
continuous compliance with Subpart
RRR standards. The final rule specifies
how a furnace can lawfully change from
one operating mode under the rule to
another and does not at any time
exempt a furnace from meeting
applicable standards.
Comment: Several commenters
objected to the EPA’s addition to
Subpart RRR of any provisions
regulating the changing of furnace
classification. A commenter on the 2012
proposal stated that the proposed rule
will severely restrict flexibility, while
the EPA is taking credit for saving the
industry $600,000 by ‘‘allowing’’ actions
that were previously unrestricted. The
commenter proposes that all language
pertaining to furnace change
classification be removed from the
proposed rule.
In a comment on the 2014
supplemental proposal, one commenter
stated that any restrictions on changing
furnace classification are unnecessarily
burdensome and do not provide any
additional environmental benefit. The
commenter stated that Subpart RRR as
promulgated in 2000 provides sufficient
basis for facilities to change furnace
classification while maintaining
compliance with the emission limits
and other requirements. The commenter
attached a 2012 letter from Edward J.
Messina, in which the EPA
acknowledges that a facility ‘‘may
change operating modes consistent with
Subpart RRR’’ and ‘‘can comply with
Subpart RRR when it operates within
one (and only one) of three proposed
operating modes for the entirety of any
given melt cycle.’’ The commenter
provided a copy of the 2012 letter as
part of their submittal. The commenter
stated that they revised their
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Kalamazoo, Michigan, facility’s Permit
to Install, to include the ability to
change furnace classification consistent
with the EPA’s 2012 letter and have
successfully changed from group 1 to
group 2 operation in response to
unexpected baghouse system
malfunctions while maintaining
compliance with the applicable
emission limits and other requirements
of Subpart RRR.
In a comment on the supplemental
proposal, the same commenter stated
that the EPA attempts to justify the
restrictions on changing furnace
classification as necessary for practical
and effective enforcement of Subpart
RRR; however, the EPA does not
mention any occasion in the 14 year
history of the MACT rule when a
facility’s use of these provisions has
resulted in any problem related to
enforcement or compliance. The
commenter stated that facilities have
been using the ability to change furnace
classification while maintaining
compliance with all of the requirements
of Subpart RRR for some time without
creating any enforcement or compliance
problems. The EPA has provided no
rational basis for imposing this
additional regulatory burden. The
commenter recommended the EPA
adopt the approach to changing furnace
classification provided in the 2012 EPA
determination (the commenter attached
the 2012 letter to their comments),
which does not restrict frequency of
changes and does not require testing
with a number of cycles of clean charge
prior to unplanned changes, which is
unnecessary and impracticable.
Response: The EPA disagrees that
changes in furnace classification were
unrestricted prior to this rulemaking. As
explained in the preamble to the
proposed rule, the existing Subpart RRR
regulatory text did not explicitly
address whether and under what
conditions a furnace may change its
classification from one operating mode
to another. This led to uncertainty for
facilities and permitting authorities
when considering and evaluating
compliance options. The rule provisions
governing changes in furnace
classification are intended to provide
clarity and add flexibility for the
industry when, for example, normal
feed materials are temporarily
unavailable and there is a desire by the
facility to operate the furnace in a
different mode.
We disagree with the commenter’s
assertion that there have been no
problems related to enforcement or
compliance for facilities changing
furnace classification in the 14-year
history of the MACT rule. Although we
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have very limited data on the practice
of changing furnace classification in the
industry, in part because we received
data from only two companies following
the 2012 proposal, we know that some
facilities have submitted requests to
authorities that they be allowed to
change furnace classification and some
of these requests were denied. In such
cases, the absence of national
regulations clearly stating whether and
under what conditions the practice is
allowed under Subpart RRR served to
limit compliance flexibility and was
potentially costly to facilities that
sought to change their furnace operating
mode. Therefore, the addition of these
provisions provide clear instructions to
regulatory agencies and the industry on
the criteria and procedures necessary to
change from one furnace classification
to a different one.
Comment: Two commenters on the
2012 proposal disagreed with the EPA’s
proposal to allow secondary aluminum
producers to switch furnace
classification only after having one or
more cycles of operation with clean
charge before a control device can be
turned off. The commenters stated that
data from tests on two Alcoa furnaces
show that there is no carryover of
emissions from one charge to the next,
and, by requiring operators to wait more
than one cycle of operation before
turning off the control device, the rule
restricts a facility’s ability to take timely
action to repair an air pollution control
device in the event of an unexpected
equipment breakdown.
One of the commenters on the 2012
proposal described multiple instances of
performance tests for two melting
furnaces regarding emissions of batches
operated with clean charge immediately
after using dirty charge. The commenter
provided summaries of the performance
tests, and the tests show that emissions
measured during the very next furnace
cycle after using dirty charge were
below the group 1 furnace emission
limits.
In a comment on the supplemental
proposal, one commenter stated that the
requirement in the 2012 proposal to
wait one or more operational cycles
before turning off the control device
when switching to clean charge in a
furnace classification change is not
supported by available data indicating
that there is not ‘‘carry-over’’ of
emissions from one batch to the next.
The commenter cited furnace testing
data from testing at Alcoa’s Lancaster,
Pennsylvania, facility.
One commenter stated that the
preamble to the supplemental proposal
does not state whether the EPA is
proposing to remove the requirement in
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40 CFR 63.1514 of the 2012 proposal to
wait one or more charge-to-tap cycles
using clean charge and without reactive
flux addition before the performance
test can be performed for a change from
group 1 to group 2 operation. The
commenter stated that, based on the
proposed requirements, because the
change of classification to a furnace
without add-on control cannot be made
until waiting the number of cycles
operated during the performance test
with clean charge (and without adding
reactive flux), a classification change in
this scenario could not be made in
response to an unplanned event such as
an unexpected baghouse malfunction.
The commenter stated that facilities
would be prevented from responding to
unexpected baghouse system
malfunctions by changing to group 2
operation. The commenter stated that
similar restrictions are contained in
2012 proposed 40 CFR 63.1514 for
changing from group 1 with add-on
controls to group 1 without add-on
controls. The commenter stated that the
EPA provides no justification for
requiring a facility to wait one or more
charge-to-tap cycles before testing
without add-on controls; therefore, the
provision contained in the
supplemental proposal cannot provide
for reclassification during unplanned
changes such as baghouse malfunction.
One commenter on the 2012 proposal
asserted that if the EPA retains a flush
cycle requirement in order to reclassify
furnaces, each scenario should provide
a time-based option for determining
when the furnace can be reclassified.
The commenter observed that the
proposed sections 63.1514(a)(2)(i),
(a)(4)(i), (c)(2)(i) and (c)(4)(i) allow
either a number of charge-to-tap cycles
or an operating time of 24 hours to
elapse prior to furnace reclassification,
and sections 63.1514(b)(2)(i) and
(b)(4)(i) only provide a number of
charge-to-tap cycles, and do not provide
a time-based alternative. The
commenter also suggested that instead
of requiring ‘‘1 or more charge to tap
cycles, or 24 operating hours,’’ the rule
should require ‘‘1 or more operating
cycles or time period used in the
performance test.’’ The commenter
explained that this language is more
consistent with the description of
‘‘furnace cycle’’ used throughout
Subpart RRR, and is more appropriate
because a process cycle for some
continuous operations is less than 24
hours.
One commenter on the 2012 proposal
asked that the text for 40 CFR
63.1514(b)(2)(i) and 40 CFR
63.1514(b)(4)(i), ‘‘Testing under this
paragraph may be conducted at any time
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after the furnace has completed 1 or
more charge to tap cycles with clean
charge,’’ be changed to ‘‘Testing under
this paragraph may be conducted at any
time after the furnace has been tapped
and has completed at least one (1) more
additional cycle with clean charge.’’
A commenter on the 2012 proposal
observed that the proposed rule
inconsistently uses the phrase
‘‘additional tests,’’ which appears to
apply to operating modes for which the
facility has already demonstrated
compliance by conducting a valid
performance test. The commenter noted
that the February 16, 2012,
Applicability Determination already
specifies that testing is required to
demonstrate compliance with emission
limits for each operating mode, and
requiring additional tests would add
expense without any added
environmental benefit.
Another commenter on the 2012
proposal observed that this proposed
provision would require ‘‘additional
tests’’ to demonstrate compliance with
operating modes that already have valid
performance tests. The commenter
objected to the EPA requiring area
sources to retest every 5 years. The
commenter also objected to the EPA
requiring that tilting melters at area
sources in group 2 operating mode
perform stack testing.
Response: In response to the
comments and information provided by
the commenters, the EPA agrees that it
is not necessary to require one or more
cycles with clean charge before a control
device can be shut off under the change
of classification procedures. As such,
we have modified the final rule,
accordingly.
The EPA has also removed the
requirement that furnaces at area
sources using group 2 as any alternative
operating mode repeat the performance
test every 5 years. Our use of the phrase
‘‘additional performance tests’’ in 40
CFR 63.1514 was not intended to apply
to operating modes for which the
facility has already demonstrated
compliance by conducting a valid and
relevant performance test. Accordingly,
we have modified the final rule
language in 40 CFR 63.1514 to make it
clear that performance tests must be
performed only if compliance for the
operating mode has not already been
demonstrated by a valid performance
test and have clarified 40 CFR 63.1514
to indicate that ‘‘additional tests’’ are
not required for operating modes for
which the facility has already
demonstrated compliance by
conducting a valid performance test. In
response to the commenter’s objection
to requiring a tilting melter to test when
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in group 2 mode, neither the proposed
rule nor the final rule contains such a
requirement for any tilting reverberatory
furnace capable of completely removing
furnace contents between batches.
4. What is the rationale for our final
approach for changing furnace
classification?
The final rule addresses an area of
uncertainty under Subpart RRR by
specifying rule provisions expressly
allowing changes in furnace
classification from one authorized
operating mode to another, including
from a controlled furnace operating
mode to an uncontrolled furnace
operating mode, subject to procedural
and testing requirements, operating
requirements and recordkeeping
requirements. The final rule allows
changes in furnace operating modes up
to four times (including the four
associated reversions) in a 6-month
period. This frequency of changes in
furnace operating modes is based on
limited information submitted by
industry on the number of furnaces
changes that occur, taking into account
the increased burden on the EPA and
delegated states to oversee compliance
for furnaces that repeatedly change their
classification and associated emission
standards and compliance requirements
under Subpart RRR. The final rule
allows sources to request additional
changes in furnace operating mode by
petitioning the permitting authority for
major sources, or the Administrator for
area sources.
E. Flow Rate Measurements and Annual
Inspections of Capture/Collection
Systems
1. What did we propose regarding flow
rate measurements and annual
inspections of capture/collection
systems?
In the 2012 proposal, we proposed
codifying in Subpart RRR our existing
interpretation that annual hood
inspections include flow rate
measurements using EPA Reference
Methods 1 and 2 in Appendix A to 40
CFR part 60. These flow rate
measurements supplement the
effectiveness of the required visual
inspection for leaks, to reveal the
presence of obstructions in the
ductwork, confirm that fan efficiency
has not declined and provide a
measured value for air flow.
Commenters on the 2012 proposal
requested that the EPA allow flexibility
in the methods used to complete the
annual inspections of capture/collection
systems stating that the use of
volumetric flow measurement was often
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not necessary and Method 1 and 2 tests
could be a cost burden for some
facilities. Comments also indicated that
routine, but less frequent, flow rate
measurements could ensure that
capture/collection systems are operated
properly and suggested alternative
methods of ensuring the efficiency of
capture/collection systems.
Based on the comments received and
our consideration of inspection needs,
in the 2014 supplemental proposal we
proposed additional options that
provide more flexibility in how affected
sources can verify the efficiency of their
capture/collection system. Instead of
annual Methods 1 and 2 testing, we
proposed that sources may choose to
perform flow rate measurements using
EPA Methods 1 and 2 once every 5
years, provided that a flow rate
indicator consisting of a pitot tube and
differential pressure gauge is installed
and used to record daily the differential
pressure and to ensure that the
differential pressure is maintained at or
above 90 percent of the average pressure
differential measured during the most
recent Method 2 performance test series,
and that the flow rate indicator is
inspected annually. As another option
to annual flow rate measurements using
Methods 1 and 2, the EPA proposed to
allow Methods 1 and 2 testing to be
performed every 5 years provided that
daily measurements of the revolutions
per minute (RPM) of the capture and
collection system’s fan pr a fan motor
amperage (amps) are taken, the readings
are recorded daily, and the fan RPM or
amps are maintained at or above 90
percent of the average RPM or amps
measured during the most recent
Method 2 performance test.
Furthermore, we proposed that as an
alternative to the flow rate
measurements using Methods 1 and 2,
the annual hood inspection
requirements can be satisfied by
conducting annual verification of a
permanent total enclosure using EPA
Method 204. We further proposed that
as an alternative to the annual
verification of a permanent total
enclosure using EPA Method 204,
verification can be performed once
every 5 years if negative pressure in the
enclosure is directly monitored by a
pressure indicator and readings are
recorded daily or the system is
interlocked to halt material feed should
the system not operate under negative
pressure. We also proposed that
readings outside a specified range
would need to be investigated and steps
taken to restore normal operation, and
that pressure indicators would need to
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2. What changed since proposal
regarding flow rate measurements and
annual inspections of capture/collection
systems?
The final rule contains modified
monitoring requirements in 40 CFR
63.1510(d) to allow the use of non-pitot
based flow rate measuring equipment
(i.e., hotwire anemometer, ultrasonic
flow meter, cross-duct pressure
differential sensor, venturi pressure
differential monitoring or orifice plate)
equipped with an associated
thermocouple and automated data
logging software and associated
hardware. These monitoring provisions
provide the secondary aluminum
production source category with
flexibility and less costly alternatives to
annual inspections using Methods 1 and
2 and Method 204 while also ensuring
the proper operation of capture and
collection systems.
3. What key comments did we receive
regarding flow rate measurements and
annual inspections of capture/collection
systems?
Comment: One commenter on the
2012 proposal contended that the EPA
should continue to allow affected
sources flexibility in methods used to
complete annual inspections of capture/
collection and closed vent systems. The
commenter stated that the proposed rule
would add a volumetric flow
measurement requirement, which is
unnecessary in many cases, to
demonstrate proper operation of the
capture/collection and closed vent
system. The commenter contended that
current rule flexibility allows sources to
utilize monitoring methods that are
appropriate and cost effective for their
operations and equipment; this choice
of monitoring method is included in an
approved OM&M plan certified by the
owner or operator. The commenter also
noted that the additional cost burden on
facilities to perform a Method 1 and
Method 2 measurement was not
considered by the EPA in the
rulemaking process. The commenter
estimated that EPA Methods 1 and 2
will require the facility to hire an
outside contractor and incur costs of
more than $3,000 per unit. The
commenter recommended that the
Agency should continue to allow
affected sources the ability to determine
the best inspection methods to verify
that capture/collection and closed vent
systems meet operating requirements.
One commenter on the 2012 proposal
discussed 40 CFR 63.1510(d)(2), stating
that while in agreement with the need
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to routinely perform volumetric flow
rate measurements, after negotiation
with the EPA, a determination was
made that a frequency of every 30
months was sufficient, as documented
in a 2009 consent decree resolving a
federal enforcement action against the
company. The commenter asserted that
volumetric flow rate measurement is a
costly procedure, performed by outside
contractors costing about $2,000 a day,
and cost per inspection will vary by the
number of systems to be checked. The
commenter noted that for the
commenter’s facilities, approximately
fifty rechecks have been performed to
comply with the requirements of the
consent decree or due to new stack
testing. The commenter stated that all
have demonstrated that each system is
operating in accordance with the
requirements in 40 CFR 63.1506(c).
According to the commenter, this shows
that there is no need to conduct this
flow measurement more than once every
30 months. The commenter objected to
the requirement to perform volumetric
flow measurements on each hood. The
commenter stated that when multiple
hoods are manifolded together, it is not
always possible to meet Method 1
requirements on all hoods to be
measured, and at times it is necessary to
measure the main trunk and arrive at
the volumetric flow rate for an
individual hood by calculation.
According to the commenter, this
method has been used repeatedly and
submitted to the EPA and state agencies
with stack test reports, and has been
accepted. The commenter requested that
the EPA clarify that the proposed
language does not preclude this
approach, or modify the proposed
language to include such clarification.
Response: Verification of the flow rate
of the exhaust stream that is directed to
the control device is necessary to assure
the efficiency of the control system and
to ensure continuous compliance with
the emission standards between
performance tests. In addition, owners
or operators of area source facilities are
not required to conduct periodic
performance tests and this requirement
may help detect leaks and defects in the
duct work sooner than they otherwise
would be found. The EPA is adopting
the requirements as proposed in the
2012 and 2014 proposals, including
options that provide flexibility in how
affected sources can verify their flow
rates.
Instead of annual Methods 1 and 2
testing, flow rate measurements using
EPA Methods 1 and 2 can be performed
once every 5 years, provided that a flow
rate indicator consisting of a pitot tube
and differential pressure gauge is
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installed and used to record daily the
differential pressure, that the
differential pressure is maintained at or
above 90 percent of the pressure
differential measured during the most
recent Method 2 performance test series,
and that the flow rate indicator is
inspected annually. As another option
to annual flow rate measurements using
Methods 1 and 2, the EPA is allowing
Methods 1 and 2 to be performed every
5 years provided that daily
measurements of the capture and
collection system’s fan RPM are made,
that the readings are recorded daily, and
that the RPM are maintained at or above
90 percent of the RPM measured during
the most recent Method 2 performance
test series. Other options for annual
flow rate measurements using Methods
1 and 2 that we are allowing are annual
measurements of the face velocity of
booth-type hoods, or installation of
static pressure measurement in the duct
at the hood exit, provided that the
values obtained for these measurements
are at or above 90 percent of the values
measured during the most recent
Method 2 performance test series.
Further, we are allowing that as an
alternative to the flow rate
measurements using Methods 1 and 2,
the annual hood inspection
requirements can be satisfied by
conducting annual verification of a
permanent total enclosure using EPA
Method 204.
We are further allowing that, as an
alternative to the annual verification of
a permanent total enclosure using EPA
Method 204, verification can be
performed once every 5 years if negative
pressure in the enclosure is directly
monitored by a pressure indicator and
readings are recorded daily or the
system is interlocked to halt material
feed should the system not operate
under negative pressure. We are also
requiring that readings outside a
specified range be investigated and
steps taken to restore normal operation,
and that pressure indicators would need
to be inspected annually for damage and
operability. We are also allowing nonpitot based flow rate measuring
equipment (i.e., hotwire anemometer,
ultrasonic flow meter, cross-duct
pressure differential sensor, venturi
pressure differential monitoring or
orifice plate) equipped with an
associated thermocouple and automated
data logging software and associated
hardware as a sufficient monitoring
system for compliance with this rule.
The 2009 Consent Decree at paragraph
122 states clearly that each company is
responsible for achieving and
maintaining complete compliance with
all applicable federal laws and
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regulations, and compliance with the
Consent Decree does not necessarily
mean compliance with the Clean Air
Act or implementing regulations.
Further, the Consent Decree does not
limit the EPA’s authority to revise
subpart RRR.
The commenters assert that annual
measurements of flow rates will result
in additional costs to conduct EPA
Methods 1 and 2 testing. Because in
EPA’s view the existing requirements
prior to this rulemaking required annual
testing, we disagree that these costs
represent a new burden. See
Memorandum, Michael Alushin, EPA
Office of Compliance Enforcement
Assurance, to EPA Regional Air
Directors, ‘‘Compliance with ACGIH
Ventilation Manual,’’ August 16, 2006,
which is in this rulemaking docket.
Comment: In a comment on the
supplemental proposal, one commenter
stated that in the supplemental
proposal, the EPA would allow several
alternatives to an annual Methods 1 and
2 flow rate measurement including the
option to verify a permanent total
enclosure every five years and directly
monitor negative pressure, which they
support. The commenter stated that
there appears to be an inconsistency in
proposed sections 63.1506(c) and
63.1510(d). The commenter stated that
40 CFR 63.1506(c)(1) requires capture
and collection systems to meet
‘‘engineering standards for minimum
exhaust rates’’ from the ACGIH
Manuals, but the supplemental proposal
allows an operator to ensure compliance
with 40 CFR 63.1506(c) by verifying a
permanent total enclosure by Method
204, which verifies the facial velocity
and that an inward flow is maintained
at all openings, but does not include a
measurement of exhaust rates. The
commenter stated that the ACGIH
Manuals do not provide minimum
exhaust rates for all types of capture and
collection systems used by the
secondary aluminum industry; for
example, some capture and collection
systems are not typical ventilation
hoods and are more appropriately
described in the ACGIH Manuals as
‘‘Moderate Control Total Enclosures’’
and, for these systems, the manual does
not provide minimum exhaust rates, but
rather describes appropriate velocities
to maintain through openings in the
enclosure. The commenter stated that to
the extent the manuals are referenced in
the final rule, the EPA should revise 40
CFR 63.1506 to remove the reference to
‘‘minimum exhaust rates’’ and require
the system to be designed and
monitored to meet ‘‘applicable
engineering standards’’ as follows:
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‘‘Design and install a system for the
capture and collection of emissions to
meet the applicable engineering
standards for minimum exhaust rates as
published by the American Conference
of Governmental Industrial Hygienists
in Industrial Ventilation: A Manual of
Recommended Practice 23rd or 27th
edition (ACGIH Guidelines)
(incorporated by reference in § 63.1502
of this subpart).’’
Response: Because the ACGIH
guidelines also contain inlet velocities
as pointed out by the commenter, 40
CFR 63.1506(c)(1) of the final rule now
reads ‘‘Design and install a system for
the capture and collection of emissions
to meet the engineering standards for
minimum exhaust rates or inlet facial
velocities as contained in the ACGIH
Guidelines.’’
Comment: In a comment on the
supplemental proposal, one commenter
stated that they concur with the
flexibility that the EPA provides in 40
CFR 63.1510(d)(2)(ii) and (iii) to allow
5-year flow rate testing measurements to
supplant the annual testing
requirement, if a pitot tube and
differential pressure gauge are installed
and monitored in the hooding (ii), or if
fan RPM’s are tracked and recorded (iii).
The commenter stated that, however,
based on real world experience with the
flow verification of permanently
installed hooding devices, there are
other options that should also be
included that would provide the same
level of protectiveness; two options are:
Option 1. Install a pressure tap in the
duct just above the hood exit point, and
monitor pressure similar to the pitot
tube. The commenter stated that this is
simpler than a pitot tube installation,
less prone to clogging, and has been
effectively used at an existing location.
According to the commenter, the signal
will equal pressure loss in the hood
entrance plus velocity pressure in the
duct, and generally be proportional to
the velocity in the duct squared. The
commenter stated that at 3,000 ft/min
duct velocity it will be similar to the
pitot tube at approximately 0.70 inches
water gauge, that calibration of
differential pressure readings can be
done by EPA Methods 1 and 2 flow
testing, and that it is easier to install in
a duct since no straight run is required.
Option 2. If the hood has a straight
face (i.e., booth type), face velocity
measurements could be made over the
face of the hood and averaged to
determine velocity. Measured face
velocity could be compared to
calculated data vs. EPA Methods 1 and
2 on a 5-year frequency. The commenter
provided the following comments on
this option:
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• No negative flow points should be
observed, since this will allow smoke to
escape the hood.
• This will not work for canopy or
irregularly shaped hoods.
• Low velocities require an
appropriate measurement device.
• Cannot be done while material is
being loaded into hood.
The commenter requested that new
paragraphs (iv) and (v) be added to 40
CFR 63.1510(d)(2) for the inclusion of
options 1 and 2 above.
In a comment on the supplemental
proposal, one commenter objected to the
EPA’s supplemental proposal to the
extent that it only provides two methods
to measure flow to avoid annual
inspection for permanently installed
capture, collection, and transport
systems (i.e., hoods). The commenter
stated that Table 3 of the supplemental
proposal allows a source to delay
annual inspections for capture devices
to once every 5 years, if the source
monitors flow through daily pressure
differential measurements or fan RPM
measurements. The commenter stated
that they support the recommendations
and rationale of the Aluminum
Association (TAA) to include additional
flow monitoring alternatives to avoid
annual inspections, including
installation of a pressure tube above
hood exit points, face velocity
measurements (for straight face (booth
type) hoods) and by direct observation
of smoke in the hood by a method 22
or similar test. The commenter stated
that by including additional flowmonitoring alternatives, the EPA would
allow sources the option to pick the
most reliable and least burdensome flow
monitoring method that fits the type of
hood used to capture emissions at the
source.
In a comment on the supplemental
proposal, one commenter stated that the
alternative to the annual capture/
collection and closed vent system
inspection requirements at 40 CFR
63.1510(d)(2)(ii) is unreasonably
restrictive and should not be limited to
using conventional pitot tube and a
differential pressure gauge equipment to
qualify for the once in 5 year alternative.
The commenter recommended that the
EPA further amend 63.1510(d)(2) to
permit the use of non-pitot based flow
measuring equipment and to permit
volumetric flow measurements to be
automated using available software and
hardware.
Response: The proposed alternatives
of annual measurements of face velocity
for straight face (booth-type) hoods
using a hot-wire anemometer, or
installation of a pressure tap in the duct
just downstream of the hood exit point,
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and monitoring pressure, as suggested
by the commenters, are acceptable. We
also agree that non-pitot based flow rate
measuring equipment (i.e., hotwire
anemometer, ultrasonic flow meter,
cross-duct pressure differential sensor,
venturi pressure differential monitoring
or orifice plate) equipped with an
associated thermocouple and automated
data logging software and associated
hardware is a sufficient monitoring
system for compliance with this rule.
We are modifying the rule language to
accommodate these monitoring options.
4. What is the rationale for our final
approach for flow rate measurements
and annual inspections of capture/
collection systems?
Based on the rationale presented in
the preamble to the 2012 proposed rule,
the final rule codifies in subpart RRR
our interpretation that annual
inspections of capture and collection
systems include flow rate measurements
using EPA Reference Methods 1 and 2
in Appendix A to 40 CFR part 60.
However, based on the public comments
regarding additional flow measurement
technologies and our responses to those
comments presented in the previous
section of this preamble, the final rule
also includes additional options that
provide more flexibility in how affected
sources can verify the efficiency of their
capture/collection system.
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F. Compliance Dates
1. What compliance dates did we
propose?
In the 2012 proposal, the EPA
proposed that owners or operators of
existing affected sources comply with
the proposed amendments within 90
days of the publication of the final rule
in the Federal Register. Commenters
stated that the proposed 90-day
compliance deadline was insufficient
for sources to comply with certain
provisions. They maintained that the
rule changes would require operational
planning, maintenance planning,
reprogramming of data acquisition
systems, design and installation of
hooding equipment and/or negotiations
with permitting authorities to gain
performance test plan approvals (with
provisions to minimize fugitive
emissions during testing in place of
capture hoods). They pointed out that
facilities that choose to design and
install capture hoods for performance
testing will need time to design and
complete these installations, conduct
initial performance testing and modify
their operations, charge materials and/or
products to ensure compliance. Some
rule changes, furnace classification
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changes, HF testing and testing
uncontrolled furnaces for example,
would require revisions to OM&M plans
as well as to permits to include newly
established operating parameters in
cases where changes to furnace
classifications are made. Commenters
stated that compliance with HF
emission standards that may affect
choice of flux materials, daily
calculation of HF emissions and
compliance with SAPU limit that will
require reprogramming of data systems
to include HF and/or fluoride
containing flux composition data would
also require time to be researched,
selected, purchased, financed and
installed. Commenters suggested
compliance deadlines ranging from 2 to
3 years.
In the 2014 supplemental proposal,
the EPA agreed with commenters that
the proposed 90-day compliance
deadline was insufficient for sources to
comply with certain proposed
provisions and proposed extended
compliance periods. The EPA proposed
a 180-day compliance period for the
revisions listed in 40 CFR 63.1501(d).
For the amendments to include HF
emissions (in 40 CFR 63.1505(i)(4) and
(k)(2)), the testing of existing
uncontrolled furnaces (§§ 63.1512(e)(4),
(e)(5), (e)(6) and (e)(7)), and changing
furnace classification (40 CFR 63.1514),
the EPA proposed a compliance date of
2 years after promulgation.
2. What compliance dates changed since
proposal?
As noted above, we adjusted some
compliance dates in our supplemental
proposal. We received no comments or
information following the supplemental
proposal that warranted any changes to
the compliance dates proposed in the
supplemental proposal. As proposed,
compliance with the provisions listed in
40 CFR 63.1501(d) is required 180 days
following publication of the final rule
while compliance with the provisions
listed in 40 CFR 63.1501(e) is required
2 years following publication of the
final rule.
3. What key comments did we receive
related to compliance dates?
Comment: One commenter on the
2012 proposal agreed with the 180 day
time period for startup for new sources’
initial performance tests. However, the
commenter stated that due to the
integration of modern facilities, running
a regulated unit at full capacity may be
affected or constrained by downstream
equipment, market constraints or other
technical issues beyond the control of
the facility. The commenter stated that
the current provisions provide relief
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only through the administrative order
process, which is costly and arduous.
The commenter requested that the EPA
include a provision to petition for an
extension of the deadline if a test is not
feasible within the allowed time period
to allow time for the facility to reach full
capacity.
Response: As proposed in the
supplemental proposal, the final
amendments increase the time period
for initial compliance testing for a new
source from 90 days to 180 days. The
commenter did not provide data or
other specific documentation to support
a conclusion that an affected source
cannot reach full capacity within 180
days of startup.
Comment: Two commenters on the
2012 proposal asked the EPA to clarify
in the rule that the new HF
requirements are not effective until ‘‘the
next scheduled performance test after
the effective date of the final rule.’’ The
commenters observed that in the
proposal preamble the HF testing
requirement, and presumably the HF
limit, was said to become effective ‘‘at
the next scheduled performance test
after the effective date of the final rule.’’
The commenters noted that the
regulatory language does not make this
clear, as 40 CFR 63.1501 states that
owners or operators must comply with
the HF limit and the HF testing
requirement within 90 days after
promulgation.
In comments on the supplemental
proposal, two commenters requested
that the EPA clarify that the intent of the
proposed language is to not require
testing for HF on existing major source
uncontrolled group 1 furnaces within 2
years of the final rule publication date
but at the next scheduled 5 year
required stack test following publication
of the final rule.
One commenter on the 2014
supplemental proposal stated that they
interpret the proposed language of 40
CFR 63.1501(e) to indicate that the
effective date of the new HF standard
and the new requirements for testing
existing uncontrolled group 1 furnaces
is 2 years from final rule promulgation
and that they further understand that
testing to demonstrate compliance with
the newly effective provisions can be
done on a timeline consistent with the
existing 5-year performance testing
cycle established using the existing 40
CFR 63.1511(e) provision such that the
compliance demonstration is made at
the next scheduled performance test
after the effective date of the final rule.
The commenter stated that this is true
even if the next scheduled performance
test on the normal 5-year testing cycle
is outside the 2-year compliance
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window. The commenter provided an
example to illustrate their interpretation
of the compliance date requirements.
Two commenters suggested the
following revision to 40 CFR
63.1512(e)(4):
‘‘When testing an existing
uncontrolled furnace, the owner or
operator must comply with the
requirements of either paragraph
(e)(4)(i) or paragraph (ii) of this section
at the next performance test required by
40 CFR 63.1511(e).’’
The commenters also requested
clarification of when HF emissions must
be included in SAPU calculations.
According to the commenters, furnaces
at some facilities are on different testing
schedules, which mean that some
furnaces will become subject to the HF
limit and HF SAPU calculation before
others. The commenters assumed each
furnace would be added to the HF
SAPU calculation when tested, but the
commenters requested that the EPA
clarify this in the final rule.
Response: Although the final rule is
effective upon promulgation pursuant to
CAA section 112(d)(10), the commenters
are correct that the final rule requires
HF testing at the next scheduled
performance test if the test occurs 2
years or more after the final rule is
published in the Federal Register. We
clarified in the final rule that the HF
requirements apply to the next
scheduled performance test if the next
scheduled performance test occurs 2
years or more after the final rule is
published in the Federal Register. The
final rule also clearly provides that each
furnace will be added to the HF SAPU
calculation following the initial
performance test for HF for the furnace,
or for a representative furnace tested, to
determine HF emissions from the
furnace.
Comment: Several commenters on the
2012 proposal disagreed with the
proposed ninety-day compliance date.
Two commenters stated that requiring
compliance only 90 days after
promulgation is unnecessary and does
not provide sufficient time. One
commenter suggested that due to
engineering and management
constraints, the period be extended to
180 days, which would allow the
industry to make necessary changes.
The commenter noted potential
component lead-times and permitting
procedures outside of the control of
operators. Another commenter
recommended 2 to 3 years for
compliance, assuming the EPA
promulgates corrections and
clarifications that require a compliance
window.
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Two commenters on the 2012
proposal maintained the rule changes
will require operational planning,
maintenance planning, reprogramming
of data acquisition systems, design and
installation of hooding equipment and/
or negotiations with permitting
authorities to gain performance test plan
approvals (with provisions to minimize
fugitive emissions during testing in
place of capture hoods). One commenter
stated that facilities that choose to
design and install capture hoods for
performance testing will need time to
design and complete these installations,
conduct initial performance testing and
modify their operations, charge
materials and/or products to ensure
compliance.
One commenter on the 2012 proposal
stated that some facilities will also need
to prepare and submit revised OM&M
plans that incorporate changes related to
bag leak detector maintenance, lime
feeder calibrations, metal liquid depth
monitoring and/or procedures for
changing furnace classifications. The
commenter noted that under the
proposed rule, these revised OM&M
plans could not be implemented until
60 days after submittal to the permitting
authority, meaning that companies
would effectively have only 30 days to
define their compliance approach and
submit revised OM&M plans. The
commenter concluded that this 90-day
compliance timeline is neither
practicable nor reasonable.
One commenter on the 2012 proposal
recommended a minimum of one year to
implement the controls and reporting
requirements. The commenter stated
that any new technology requirements
or installation of new or modification of
existing emission controls would
impose added costs, and 90 days did not
provide an adequate opportunity for
additions to be researched, selected,
purchased, financed, and installed. The
commenter also stated that the Subpart
ZZZZZZ rule allowed two years and
that would be preferable, but a period of
no less than twelve months would be
fair and acceptable. The commenter also
suggested the same delay should apply
to the development and filing of a
written OM&M plan.
One commenter on the 2012 proposal
stated that the following provisions
cannot be met within 90 days due to the
possible need for ductwork revisions
and further stack testing: §§ 63.1505(a),
63.1505(i)(4), 63.1505(k), 63.1510(b),
63.1510(d)(2), 63.1510(o)(l)(ii),
63.1512(e)(l), 63.1512(e)(2), and
63.1512(e)(4). The commenter stated it
is not reasonable to begin work on these
provisions immediately since they will
be subject to further comment and
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hopefully significant revision in the
final rule.
Two commenters on the 2012
proposal requested a 3-year compliance
timeline for the provisions that result in
changes in operations and/or operation
practices, or impact control technology
and monitoring requirements at existing
sources. One commenter stated that a 3year compliance date would allow
smaller producers opportunity to budget
for large capital and resource costs. The
commenters suggested a 3-year
compliance date for the following
provisions:
• § 63.1505(a)(1), emission limits
applicable to SSM periods;
• § 63.1505(i)(4), compliance with HF
emission standards that may affect
choice of flux materials;
• § 63.1505(k)(2), daily calculation of
HF emissions and compliance with
SAPU limit that will require
reprogramming of data systems to
include HF and/or fluoride containing
flux composition data;
• § 63.1510(b)(5), procedures in
OM&M plan for process and control
device parameters that require addition
of lime injection rates that may require
new or modified equipment to
determine rates or calibrate lime mass
feed rate and will require lime injection
rate to be established during next
scheduled performance test;
63.1510(b)(5), requirements and scope
for capture/collection system
inspections on controlled emission
units;
• § 63.1510(i)(4), monthly lime
injection rate verification that may
require new or modified equipment to
allow verification of lime mass feed rate;
• § 63.1510(j)(4), recordkeeping (and
associated training of operating
personnel) for solid flux added
intermittently;
• § 63.1510(n)(1), monitoring molten
metal level of sidewell furnaces that
will require selection, purchase,
installation, testing and maintenance
procedures for new equipment;
• § 63.1512(e)(1) and (e)(4), deletes
‘‘furnace exhaust outlet’’ as compliance
basis and imposes new compliance
demonstration requirements for
uncontrolled furnaces based on
temporary capture hoods, reduced
emission limit equal to 67 percent of the
existing standard or procedures to
minimize fugitive emissions during
testing negotiated with permitting
authority;
• § 63.1512(p)(2), record lime
injection rates during the three test runs
that will require lime injection rate to be
established during next scheduled
performance test; some existing systems
do not have a viable means for weighing
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mass rate of lime being injected and
new or modified equipment will be
required;
• § 63.1513(e)(1), (e)(2), and (e)(3), cocontrolled units added to SAPU
calculation that may require revision of
OM&M plan and reprogramming of data
systems used to track and record SAPU
calculations; and
• § 63.1514, requirements for
changing furnace classifications which
differ from those in current Title V
permits, and will need revision after
owners and operators establish
compliance conditions and gather
performance data.
One commenter on the 2012 proposal
suggested that the effective date for the
revised 40 CFR 63.1511(b)(1) language
would need to be ‘‘at the next required
performance test.’’ The commenter
asserted that the proposed provision
changes the required test conditions for
some operations and could not be met
by the proposed effective date of 90
days.
One commenter on the 2012 proposal
asserted that the EPA is not required to
impose the 90-day compliance period
on area sources because promulgation of
section 112(f) standards is not required
based on the EPA’s findings that the
MIR for secondary aluminum area
sources, based on actual emissions, was
0.4-in-1 million. The commenter stated
that the EPA may grant up to a 3-year
compliance deadline for area sources.
The commenter contended that, as a
practical matter, the EPA should
provide a compliance period for area
sources commensurate with the several
new administrative requirements for
which more than 90 days are required
to achieve implementation. The
commenter stated that, due to the
revisions required for facility operations
and the time constraints for revision and
approval of an OM&M plan, the EPA
should grant at least a 1-year
compliance period. The commenter
described potential time constraints.
In a comment on the 2014
supplemental proposal, one commenter
stated that compliance deadlines for
new standards developed under the
section 112 program must be set for a
date that is as expeditious as
practicable, but no later than 3 years
after rule implementation. The
commenter stated that the EPA is not
required to impose the 180-day
compliance period on area sources
because promulgation of section 112(f)
standards is not required when the
residual cancer risk under the existing
MACT standards are not equal to or
greater than 1-in-1 million. The
commenter stated that because of the
low MIR from area sources (0.6-in-1
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million), the EPA was not required to
promulgate standards under 112(f);
accordingly, the EPA may grant up to a
three-year compliance deadline for area
sources. The commenter stated that the
EPA should provide a compliance
period for area sources that is
commensurate with the several new
administrative and monitoring
requirements for which more than 180
days are required to achieve full
implementation. The commenter
provided the following example to
illustrate the need for a longer
compliance period: Additional
monitoring requirements for capture
and collection systems proposed in 40
CFR 63.1510(d)(2) may require
installation of flow rate or pressure
monitoring equipment; these changes,
and others proposed in the 2012
proposal, may require submittal of a
revised OM&M plan to the permitting
authority; among the revisions to the
OM&M plan under the 2012 proposal
are new requirements for the inspection
of capture and collection systems and
additional performance testing
requirements; the owner or operator
may not begin operating under this
revised OM&M plan until approval is
received from the permitting authority,
or 60 days, whichever is sooner. The
commenter stated that, even to the
extent that the 2012 proposal provides
for default approval of OM&M plans
after 60 days, this only leaves the source
with 120 days to install monitoring
equipment and implement the plan; this
time frame is inappropriate. The
commenter stated that, due to the
revisions required for facility operations
and the time restraints for revision and
approval of an OM&M plan, the EPA
should grant at least a 1-year
compliance period.
Response: As discussed in the 2014
supplemental proposal, the EPA agrees
with the commenters on the 2012
proposal that the proposed 90-day
compliance deadline is insufficient for
sources to comply with certain
provisions of the final rule and is
finalizing extended compliance periods.
The final compliance dates are the same
as those proposed in the 2014
supplemental proposal, on which we
received only one comment. As these
amendments clarify existing
requirements, and based on the lack of
supporting information for the
commenter’s conclusory assertion that 2
years is insufficient, we do not agree
that any of the revisions warrant an
extension beyond 2 years to a 3-year
compliance period. Regarding the
commenter’s concern that small
producers would need 2 to 3 years to
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budget for large capital and resource
costs, we determined in our economic
and small business analysis (see section
VI.C of this action) that 28 entities will
incur costs associated with this rule
and, of the 28 entities, nine of them are
small based on the definition of the
Small Business Administration. Of these
nine small businesses, all are estimated
to experience a negative cost (i.e., a cost
savings) as a result of the final rule.
Therefore, we do not agree that more
than a 2-year compliance period is
necessary.
As a result of comments on the 2012
proposal, the final rule does not contain
the 60-day approval period for OM&M
plans. Therefore, the industry will have
the full 180 days for compliance rather
than a 120-day compliance period as
was a concern of one commenter. The
final rule retains the 2-year compliance
period for those requirements listed in
40 CFR 63.1501(e). The final rule does
not change the requirement that existing
major sources conduct performance
tests every 5 years.
The EPA disagrees that additional
time is needed to comply with the
changes related to SSM. The Court
issued a decision on December 19, 2008,
to vacate SSM provisions in the General
Provisions. Sierra Club v. EPA, 551 F.3d
1019 (D.C. Cir. 2008). The EPA issued
a letter on July 22, 2009, addressing the
impact of the decision. The court
mandate implementing the Sierra Club
decision was issued on October 16,
2009, at which time the SSM provisions
were clearly no longer in effect. As
explained in the July 2009 memo, SSM
provisions in specific subparts, such as
those in Subpart RRR, were directly
affected by the court decision. In
addition, amendments to Subpart RRR
were proposed on February 14, 2012, at
which time secondary aluminum
facilities were put on notice of the
specific amendments to Subpart RRR in
response to the Court’s vacatur of the
SSM provisions. Thus, facilities have
had ample notice that the EPA would
make the SSM rule changes. As a result,
the SSM-related rule changes are
effective upon promulgation of the final
rule. See also discussion in section III.C
of this preamble.
Comment: Two commenters on the
2012 proposal requested changes to the
new hooding requirement in 40 CFR
63.1512(e)(4), requiring compliance ‘‘at
the next required performance test’’
even if the test must be performed ‘‘90
days from promulgation of the final
rule’’ [§ 63.1501(d)]. The commenters
explained that this compliance deadline
may be acceptable for facilities that are
not required to conduct performance
testing in the first few years following
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promulgation of the final rule, but other
facilities are on a testing cycle that
would require testing soon after
promulgation and these facilities may
not have time to install hoods and/or
modify operating practices within the
allotted 90 days. The commenters stated
that according to the NESHAP General
Provisions, test protocols must be
submitted 60 days before a compliance
test, so facilities required to test early in
2013 would have as little as 30 days
after the final rule to address the new
hooding requirements and other
requirements of the final rule before
submitting a test plan. The commenters
did not believe that this timeline is
practicable or reasonable. The
commenters requested the EPA to revise
the compliance date for capture hoods
on uncontrolled furnaces (in § 63.1512
(e)(4)) to say: ‘‘three years after the final
promulgation date or at the next
required performance test, whichever
date is later.’’
Response: The EPA agrees with the
commenters that the time available for
owners or operators of facilities with
performance testing required under 40
CFR 63.1512(e)(4) and occurring near
the proposed 90-day compliance
deadline would be insufficient. As
described above, in the final rule the
requirement to account for unmeasured
emissions during uncontrolled group 1
furnace performance testing applies to
testing beginning 2 years after
publication of the final rule in the
Federal Register. Therefore, a source
with their next required performance
test of an uncontrolled group 1 furnace
occurring at least 2 years after
promulgation would have to comply
with the testing provisions in 40 CFR
63.1512(e)(4). A source with their next
required performance test of an
uncontrolled group 1 furnace occurring
1 year (or any period less than 2 years)
after promulgation would not be
required to do so until the subsequent
performance test. As these amendments
clarify existing requirements, and based
on the lack of supporting information
for the commenter’s conclusory
assertion that 2 years is insufficient, we
do not agree that any of the revisions
warrant an extension beyond 2 years to
a 3-year compliance period.
4. What is the rationale for our final
approach related to compliance dates?
The rationale for the compliance dates
is provided in the preamble to the
supplemental proposal and is re-iterated
in the responses to comments in the
previous section of this preamble. The
final rule specifies the compliance dates
for the new requirements. Compliance
with the provisions listed in 40 CFR
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63.1501(d) is required 180 days
following publication of the final rule.
Rule changes specified in § 63.1501(e)—
furnace classification changes, HF
testing and testing uncontrolled
furnaces—require more time, and the
final rule provides 2 years following
publication of the final rule for
compliance.
V. Summary of Cost, Environmental
and Economic Impacts and Additional
Analyses Conducted
A. What are the affected sources?
We estimate that there are 161
secondary aluminum production
facilities that will be affected by this
final rule. We performed risk modeling
for 155 of these sources (52 of the 53
major sources and 103 of the 108 area
sources). Six facilities that are subject to
the Secondary Aluminum NESHAP
were not included in the risk
assessment input modeling files. The
facilities that were not included in the
risk assessment input files included one
major HAP source and five area HAP
sources. The major HAP source was not
included because the secondary
aluminum equipment at the source
consists of group 2 furnaces, for which
the EPA did not have HAP emissions
estimates. The five area sources were
not included because they had no
equipment subject to D/F emission
standards, which are the only standards
in the NESHAP applicable to area
sources. We estimate that nine
secondary aluminum facilities have colocated primary aluminum operations.
The affected sources at secondary
aluminum production facilities include
new and existing scrap shredders,
thermal chip dryers, scrap dryer/
delacquering kiln/decoating kilns, group
2 furnaces, sweat furnaces, dross-only
furnaces, rotary dross cooler and
secondary aluminum processing units
containing group 1 furnaces and in-line
fluxers.
B. What are the air quality impacts?
The RTR analysis conducted for this
rule does not support increasing the
stringency of the numerical emissions
limits. This final rule clarifies how
uncontrolled furnaces are to conduct
emissions testing, revises the
monitoring requirements for annual
inspection of capture/collection systems
and makes other changes that correct
and clarify rule requirements and
provisions. These final amendments are
not expected to achieve appreciable
reductions in emissions, although the
final requirements for testing
uncontrolled furnaces could result in
some unquantifiable emission
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56735
reduction. Therefore, no quantifiable air
quality impacts are expected. However,
these final amendments will help to
improve compliance, monitoring and
implementation of the rule.
C. What are the cost impacts?
The total cost of the final amendments
are the same as we described in the
supplemental proposal. We
conservatively estimate the total cost of
the final amendments to be $1,711,000
per year (in 2011 dollars). However,
depending on assumptions used for the
costs for installing temporary hooding
for uncontrolled furnaces, the estimate
of total annualized costs could range
from $611,000 to $2,871,000 per year.
Our estimate for the source category
includes an annualized cost of
$1,200,000 to $3,460,000 for installing
hooding that meets ACGIH guidelines
for testing uncontrolled furnaces,
assuming that 107 furnaces choose that
option (rather than assuming an 80percent capture efficiency for their
existing furnace exhaust system). We
believe that a number of these 107
furnaces will choose to apply the 80percent assumption rather than install
temporary hooding. Our estimates do
not include deductions for the exclusion
of existing round top furnaces as
provided in the final rule. Therefore,
these total cost estimates are considered
conservative (more likely to be
overestimates rather than
underestimates) of the total costs to the
industry. Our estimates of total costs
also include an annualized cost of
$11,000 for testing for HF on
uncontrolled furnaces that are already
testing for HCl. Finally, we estimate cost
savings of $600,000 per year for
furnaces that change furnace operating
modes and turn off their control
devices. Our estimate of savings is based
on 50 furnaces turning off their controls
for approximately 6 months every year.
This savings reflects the cost of testing
(to demonstrate these furnaces remain
in compliance with emission limits)
minus the savings realized from
operating with the control devices
turned off.
We estimate that 57 facilities will be
affected and that the cost per facility
ranges from negative $36,000 (a cost
savings) per year for a facility changing
furnace operating modes to $216,500
per year for a facility installing hooding
for testing.
The estimated costs are explained
further in the document titled, Cost
Estimate for Rule Changes to Secondary
Aluminum NESHAP, which is available
in the docket for this action.
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D. What are the economic impacts?
We performed an economic impact
analysis for the amendments in this
final rule. This analysis estimates
impacts based on using annualized costto-sales ratios for affected firms. For the
28 parent firms affected by this final
rule, the cost-to-sales estimate for each
parent firm is less than 0.1 percent. For
more information, please refer to the
document titled, Economic Impact
Analysis for the Secondary Aluminum
Supplemental Proposal, which is
available in the docket.
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E. What are the benefits?
We do not anticipate any significant
reductions in HAP emissions as a result
of these final amendments. However, we
think that they will help to improve the
clarity of the rule, which can improve
compliance and minimize emissions.
Certain provisions also provide
operational flexibility with no increase
in HAP emissions.
F. What analysis of environmental
justice did we conduct?
We did not conduct an assessment of
risks to individual demographic groups
for this rulemaking. However, we did
conduct a proximity analysis for both
area and major sources, which identifies
any overrepresentation of minority, low
income or indigenous populations near
facilities in the source category. The
results of the proximity analyses
suggested there are a higher percentage
of minorities, people with low income,
and people without a high school
diploma living near these facilities (i.e.,
within 3 miles) compared to the
national averages for these
subpopulations. However, the risks due
to HAP emissions from this source
category are low for all populations
(e.g., inhalation cancer risks are less
than 1-in-1 million for all populations
and non-cancer HIs are less than 1). We
note that we do not expect this final rule
to achieve reductions in HAP emissions.
We conclude that this 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. However, the final
rule will provide additional benefits to
these and all demographic groups by
improving the compliance, monitoring
and implementation of the NESHAP.
G. What analysis of children’s
environmental health did we conduct?
This action is not subject to Executive
Order 13045 (62 FR 19885, April 23,
1997) because it is not economically
significant as defined in Executive
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Order 12866, and because the Agency
does not believe the environmental
health risks or safety risks addressed by
this action present a disproportionate
risk to children. The risk assessment
report, Residual Risk Assessment for the
Secondary Aluminum Production
Source Category in Support of the 2015
Risk and Technology Review Final Rule,
which is available in the docket,
estimated that no one is exposed to an
inhalation cancer risk at or above 1-in1 million or a chronic noncancer TOSHI
greater than one due to emissions from
the source category. The 2015
Environmental Justice Screening Report
for Secondary Aluminum Major Sources
and the 2015 Environmental Justice
Screening Report for Secondary
Aluminum Area Sources, also available
in the docket, indicate the percentages
for all demographic groups exposed to
various risk levels, including children,
are similar to their respective
nationwide percentages. All groups are
exposed to cancer risks below 1-in-1
million and HIs less than 1 due to
inhalation exposure to HAP emissions
from this source category.
VI. Statutory and Executive Order
Reviews
Additional information about these
statutes and Executive Orders can be
found at https://www2.epa.gov/lawsregulations/laws-and-executive-orders.
A. Executive Orders 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
This action is not a significant
regulatory action and was therefore not
submitted to the Office of Management
and Budget (OMB) for review.
B. Paperwork Reduction Act (PRA)
The information collection
requirements in this rule have been
submitted for approval to the OMB
under the Paperwork Reduction Act, 44
U.S.C. 3501 et seq. The information
collection requirements are not
enforceable until OMB approves them.
We are establishing new paperwork
requirements for the Secondary
Aluminum Production source category
to improve enforcement of and
compliance with 40 CFR part 63,
subpart RRR. The new requirements are
in the form of recordkeeping and
reporting for furnace classification
changes and recordkeeping with regard
to verification of lime injection rates.
New monitoring requirements include
testing for HF, and testing related to
furnace classification changes. The
information requirements are based on
notification, recordkeeping, and
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reporting requirements in the NESHAP
General Provisions (40 CFR part 63,
subpart A), which generally apply to all
operators subject to Part 63 national
emissions standards. These
recordkeeping and reporting
requirements are specifically authorized
by CAA section 114 (42 U.S.C. 7414).
All information submitted to the EPA
pursuant to the recordkeeping and
reporting requirements for which a
claim of confidentiality is made is
safeguarded according to agency
policies set forth in 40 CFR part 2,
subpart B.
We estimate 161 regulated entities are
currently subject to Subpart RRR. The
annual monitoring, reporting and
recordkeeping burden for this collection
(averaged over the first 3 years after the
effective date of the rule) for these
amendments to Subpart RRR is
estimated to be $2,990,000 per year.
This includes 1,694 labor hours per year
at a total labor cost of $162,000 per year,
and total non-labor capital and
operation and maintenance (O&M) costs
of $2,828,000 per year. The total burden
for the federal government (averaged
over the first 3 years after the effective
date of the rule) is estimated to be 271
labor hours per year at an annual cost
of $12,231. Burden is defined at 5 CFR
1320.3(b).
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
unless it displays a currently valid OMB
control number. The OMB control
numbers for the EPA’s regulations in 40
CFR are listed in 40 CFR part 9. When
this ICR is approved by OMB, the
Agency will publish a technical
amendment to 40 CFR part 9 in the
Federal Register to display the OMB
control number for the approved
information collection requirements
contained in this final rule.
C. Regulatory Flexibility Act (RFA)
I certify that this action will not have
a significant economic impact on a
substantial number of small entities
under the RFA. The small entities
subject to the requirements of this
action are small businesses. We
determined in the economic and small
business analysis that, using the results
from the cost memorandum, 28 entities
will incur costs associated with the final
rule. Of these 28 entities, nine of them
are small. Of these nine, all of them are
estimated to experience a negative cost
(i.e., a cost savings) as a result of the
final rule according to our analysis. For
more information, please refer to the
Economic Impact Analysis for the
Secondary Aluminum Supplemental
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Proposal, which is available in the
docket.
D. Unfunded Mandates Reform Act
(UMRA)
This action does not contain an
unfunded mandate of $100 million or
more as described in UMRA, 2 U.S.C.
1531–1538, and does not significantly or
uniquely affect small governments.
E. Executive Order 13132: Federalism
This action does not have federalism
implications. It will not have substantial
direct effects on the states, on the
relationship between the national
government and the states, or on the
distribution of power and
responsibilities among the various
levels of government.
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This action does not have tribal
implications, as specified in Executive
Order 13175. There are no secondary
aluminum production facilities owned
or operated by tribal governments. Thus,
Executive Order 13175 does not apply
to this action.
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
This action is not subject to Executive
Order 13045 because it is not
economically significant as defined in
Executive Order 12866, and because the
EPA does not believe the environmental
health or safety risks addressed by this
action present a disproportionate risk to
children. This action’s health and risk
assessments are contained in the
Residual Risk Assessment for the
Secondary Aluminum Production
Source Category in Support of the 2015
Risk and Technology Review Final Rule,
which is available in the docket for this
action, and are discussed in section V.G
of this preamble.
H. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution or Use
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This action is not subject to Executive
Order 13211 because it is not a
significant regulatory action under
Executive Order 12866.
I. National Technology Transfer and
Advancement Act (NTTAA) and 1 CFR
Part 51
This final action involves technical
standards. The EPA decided to allow
the use of ASTM D7520–13, Standard
Test Method for Determining the
Opacity of a Plume in an Outdoor
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Ambient Atmosphere, approved
December 1, 2013, as an acceptable
alternative to EPA Method 9 to meet
opacity measurement requirements and
is incorporated by reference. The
alternative ASTM method determines
the opacity of a plume using digital
imagery and associated hardware and
software. The standard is available from
the American Society for Testing and
Materials (ASTM), 100 Barr Harbor
Drive, Post Office Box C700, West
Conshohocken, PA 19428–2959 or at
their Web site, https://www.astm.org.
Under the original 2000 subpart RRR,
the EPA already allows the use of EPA
Methods 1, 2, 3, 4, 5, 9, 23, 25A and 26A
of 40 CFR part 60, Appendix A. As a
result of comments received on the 2012
proposal, EPA Method 26 was identified
as a reasonable alternative to EPA
Method 26A and EPA Method 204 was
identified as a reasonable alternative
method for EPA Methods 1 and 2.
Method 26A is applicable for
determining emissions of hydrogen
halides and halogens from stationary
sources. This method collects the
emission sample isokinetically and is
therefore particularly suited for
sampling at sources, such as those
controlled by wet scrubbers, emitting
acid particulate matter. Method 204 is
used to determine whether a permanent
or temporary enclosure meets the
criteria for a total enclosure. In this
method, an enclosure is evaluated
against a set of criteria, which, if met
and all the exhaust gases from the
enclosure are ducted to a control device,
the capture efficiency is assumed to be
100 percent. The EPA agrees that EPA
Methods 26 and 204 are acceptable
alternatives for use in this rule. These
methods are existing EPA test methods
and are not voluntary consensus
standards under NTTAA.
EPA–625/3–89–016, Interim
Procedures for Estimating Risks
Associated with Exposures to Mixtures
of Chlorinated Dibenzo-p-Dioxins and
-Dibenzofurans (CDDs and CDFs) and
1989 Update, March 1989, U.S.
Environmental Protection Agency, is a
procedure for assessing the risks
associated with exposures to complex
mixtures of chlorinated dibenzo-pdioxins and dibenzofurnas and relates
the toxicity of the 210 structurally
related chemical pollutants and is based
on a limited data base of in vivo and in
vitro toxicity testing. This method is
incorporated by reference. The method
is available from the National Technical
Information Service, 5301 Shawnee
Road, Alexandria, VA 22312, or at their
Web site, https://www.ntis.gov.
For the design and installation of
capture and collection systems, the EPA
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decided to allow the use of American
Conference of Governmental Industrial
Hygienists (ACGIH) Industrial
Ventilation: A Manual of Recommended
Practice for Design, 27th Edition, 2010
as an alternative to Industrial
Ventilation: A Manual of Recommended
Practice, 23rd Edition, 1998, Chapter 3,
‘‘Local Exhaust Hoods’’ and Chapter 5,
‘‘Exhaust System Design Procedure.’’
The manuals present information on
design, maintenance and evaluation of
industrial exhaust ventilation systems.
The manuals are available from ACGIH,
Customer Service Department, 1330
Kemper Meadow Drive, Cincinnati,
Ohio 45240, telephone number (513)
742–2020.
Under 40 CFR 63.7(f) and 40 CFR
63.8(f) of subpart A of the General
Provisions, a source may apply to the
EPA for permission to use alternative
test methods or alternative monitoring
requirements in place of any required
testing methods, performance
specifications, or procedures in this
final rule.
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
The EPA believes the human health or
environmental risk addressed by this
action will not have potential
disproportionately high and adverse
human health or environmental effects
on minority, low income, or indigenous
populations because it does not affect
the level of protection provided to
human health or the environment. This
final rule will not relax the emission
limits on regulated sources and will not
result in emissions increases. The
results of this evaluation are contained
in sections III.A, IV.A and V.F and V.G
of this preamble.
Because our residual risk assessment
determined that there was minimal
residual risk associated with the
emissions from facilities in this source
category, a demographic risk analysis
was not necessary for this category.
However, the EPA did conduct a
proximity analysis for both area and
major sources. The results of these
analyses are summarized in section IV.A
of this preamble and in more detail in
the EJ Screening Report for Area
Sources and the EJ Screening Report for
Major Sources, which are available in
the docket for this rulemaking.
K. Congressional Review Act (CRA)
This action is subject to the CRA, and
the EPA will submit a rule report to
each House of the Congress and to the
Comptroller General of the United
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Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
States. This action is not a ‘‘major rule’’
as defined by 5 U.S.C. 804(2).
List of Subjects in 40 CFR Part 63
Environmental protection,
Administrative practice and procedures,
Air pollution control, Hazardous
substances, Incorporation by reference,
Intergovernmental relations, Reporting
and recordkeeping requirements.
Dated: August 14, 2015.
Gina McCarthy,
Administrator.
For the reasons stated in the
preamble, the Environmental Protection
Agency is amending title 40, chapter I,
part 63 of the Code of Federal
Regulations (CFR) as follows:
PART 63—NATIONAL EMISSION
STANDARDS FOR HAZARDOUS AIR
POLLUTANTS FOR SOURCE
CATEGORIES
Authority: 42 U.S.C. 7401, et seq.
Subpart A—General Provisions
2. Section 63.14 is amended by:
a. Redesignating paragraphs (b)
through (r) as (c) through (s);
■ b. Adding new paragraph (b);
■ c. Revising newly redesignated
paragraph (h)(87);
■ d. Redesignating newly redesignated
paragraphs (m)(3) through (m)(20) as
(m)(4) through (m)(21); and
■ e. Adding new paragraph (m)(3).
The additions and revisions read as
follows:
■
■
Incorporations by reference.
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*
*
*
*
(b) American Conference of
Governmental Industrial Hygienists
(ACGIH), Customer Service Department,
1330 Kemper Meadow Drive,
Cincinnati, Ohio 45240, telephone
number (513) 742–2020.
(1) Industrial Ventilation: A Manual
of Recommended Practice, 23rd Edition,
1998, Chapter 3, ‘‘Local Exhaust Hoods’’
and Chapter 5, ‘‘Exhaust System Design
Procedure.’’ IBR approved for
§§ 63.1503, 63.1506(c), 63.1512(e), Table
2 to Subpart RRR, Table 3 to Subpart
RRR, and Appendix A to Subpart RRR.
(2) Industrial Ventilation: A Manual
of Recommended Practice for Design,
27th Edition, 2010. IBR approved for
§§ 63.1503, 63.1506(c), 63.1512(e), Table
2 to Subpart RRR, Table 3 to Subpart
RRR, and Appendix A to Subpart RRR.
*
*
*
*
*
(h) * * *
(87) ASTM D7520–13, Standard Test
Method for Determining the Opacity of
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3. Revise § 63.1501 to read as follows:
§ 63.1501
1. The authority citation for part 63
continues to read as follows:
*
Subpart RRR—National Emission
Standards for Hazardous Air Pollutants
for Secondary Aluminum Production
■
■
§ 63.14
a Plume in an Outdoor Ambient
Atmosphere, approved December 1,
2013. IBR approved for §§ 63.1510(f),
63.1511(d), 63.1512(a), 63.1517(b) and
63.1625(b).
*
*
*
*
*
(m) * * *
(3) EPA–625/3–89–016, Interim
Procedures for Estimating Risks
Associated with Exposures to Mixtures
of Chlorinated Dibenzo-p-Dioxins and
–Dibenzofurans (CDDs and CDFs) and
1989 Update, March 1989. IBR approved
for § 63.1513(d).
*
*
*
*
*
Dates.
(a) An affected source constructed
before February 11, 1999, must comply
with the requirements of this subpart by
March 24, 2003, except as provided in
paragraphs (b) and (c).
(b) The owner or operator of an
affected source constructed before
February 14, 2012, must comply with
the following requirements of this
subpart by March 16, 2016: § 63.1505(k)
introductory text, (k)(1) through (k)(5),
other than the emission standards for
HF in (k)(2); § 63.1506 (a)(1), (c)(1),
(g)(5), (k)(3), (m)(4), (m)(7), (n)(1);
§ 63.1510 (b)(5), (b)(9), (d)(2),
(d)(3),(f)(1)(ii), (i)(4), (j)(4), (n)(1), (o)(1),
(o)(1)(ii), (s)(2)(iv), (t) introductory text,
(t)(2)(i), (t)(2)(ii), (t)(4), (t)(5);
§ 63.1511(a) introductory text, (b)
introductory text, (b)(1), (b)(3), (b)(6),
(c)(9), (g)(5); § 63.1512(e)(1), (e)(2),
(e)(3), (h)(2), (j), (j)(1)(i), (j)(2)(i), (o)
introductory text, (o)(1), (o)(3), (p)(2);
§ 63.1513 (b)(1), (e)(1), (e)(2), (e)(3), (f);
§ 63.1516 (b) introductory text,
(b)(2)(vii), (b)(3)(i); § 63.1517(b)(1)(iii),
(b)(4)(ii), (b)(14), (b)(19).
(c) The owner or operator of an
affected source constructed before
February 14, 2012, must comply with
the following requirements of this
subpart by September 18, 2017:
§ 63.1505(i)(4) and (k)(2) emission
standards for HF; § 63.1512(e)(4)
through (7) requirements for testing
existing uncontrolled group 1 furnaces
(that is, group 1 furnaces without addon air pollution control devices); and
§ 63.1514 requirements for change of
furnace classification.
(d) An affected source that
commenced construction or
reconstruction after February 11, 1999
but before February 14, 2012 must
comply with the requirements of this
subpart by March 24, 2000 or upon
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startup, whichever is later, except as
provided in paragraphs (b), (c), (e), and
(f) of this section.
(e) The owner or operator of an
affected source that commences
construction or reconstruction after
February 14, 2012, must comply with all
the requirements of this subpart by
September 18, 2015 or upon startup,
whichever is later.
(f) The owner or operator of any
affected source which is constructed or
reconstructed after February 11, 1999,
but before February 14, 2012 at any
existing aluminum die casting facility,
aluminum foundry, or aluminum
extrusion facility which otherwise
meets the applicability criteria set forth
in § 63.1500 must comply with the
requirements of this subpart by March
24, 2003 or upon startup, whichever is
later, except as provided in paragraphs
(b) and (c) of this section. The owner or
operator of any affected source which is
constructed or reconstructed after
February 14, 2012, at any existing
aluminum die casting facility,
aluminum foundry, or aluminum
extrusion facility which otherwise
meets the applicability criteria set forth
in § 63.1500 must comply with the
requirements by September 18, 2015 or
upon startup, whichever is later.
§ 63.1502
[Removed and Reserved]
4. Remove and reserve § 63.1502.
■ 5. Section 63.1503 is amended by:
■ a. Adding in alphabetical order a
definition of ‘‘ACGIH Guidelines’’;
■ b. Revising the definition of
‘‘aluminum scrap shredder’’;
■ c. Adding in alphabetical order
definitions of ‘‘bale breaker’’ and
‘‘capture and collection system’’;
■ d. Revising the definitions of ‘‘clean
charge,’’ ‘‘cover flux,’’ ‘‘Group 2
furnace,’’ and ‘‘HCl’’;
■ e. Adding in alphabetical order a
definition of ‘‘HF’’;
■ f. Revising the definition of
‘‘residence time’’;
■ g. Adding in alphabetical order a
definition of ‘‘round top furnace’’;
■ h. Revising the definitions of ‘‘scrap
dryer/delacquering kiln/decoating kiln’’
and ‘‘secondary aluminum processing
unit (SAPU)’’; and
■ i. Adding in alphabetical order
definitions of ‘‘shutdown,’’ ‘‘startup,’’
‘‘tap,’’ and ‘‘total reactive fluorine flux
injection rate’’.
The additions and revisions read as
follows:
■
§ 63.1503
Definitions.
*
*
*
*
*
ACGIH Guidelines means chapters 3
and 5 of Industrial Ventilation: A
Manual of Recommended Practice 23rd
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edition or appropriate chapters of
Industrial Ventilation: A Manual of
Recommended Practice for Design 27th
edition (incorporated by reference, see
§ 63.14).
*
*
*
*
*
Aluminum scrap shredder means a
high speed or low speed unit that
crushes, grinds, granulates, shears or
breaks aluminum scrap into a more
uniform size prior to processing or
charging to a scrap dryer/delacquering
kiln/decoating kiln, or furnace. A bale
breaker is not an aluminum scrap
shredder. Shearing and cutting
operations performed at rolling mills
and aluminum finishing operations
(such as slitters) are not aluminum scrap
shredders.
*
*
*
*
*
Bale breaker means a device used to
break apart a bale of aluminum scrap for
further processing. Bale breakers are not
used to crush, grind, granulate, shear or
break aluminum scrap into more
uniform size pieces.
*
*
*
*
*
Capture and collection system means
the system, including duct systems and
fans, and, in some cases, hoods, used to
collect a contaminant at or near its
source, and for affected sources
equipped with an air pollution control
device, transport the contaminated air to
the air cleaning device.
*
*
*
*
*
Clean charge means furnace charge
materials, including molten aluminum;
T-bar; sow; ingot; billet; pig; alloying
elements; aluminum scrap known by
the owner or operator to be entirely free
of paints, coatings, and lubricants;
uncoated/unpainted aluminum chips
that have been thermally dried or
treated by a centrifugal cleaner;
aluminum scrap dried at 343 °C (650 °F)
or higher; aluminum scrap delacquered/
decoated at 482 °C (900 °F) or higher;
and runaround scrap. Anodized
aluminum that contains dyes or sealants
containing organic compounds is not
clean charge.
Cover flux means salt added to the
surface of molten aluminum in a group
1 or group 2 furnace, without surface
agitation of the molten aluminum, for
the purpose of preventing oxidation.
Any flux added to a rotary furnace is not
a cover flux.
*
*
*
*
*
Group 2 furnace means a furnace of
any design that melts, holds, or
processes only clean charge and that
performs no fluxing or performs fluxing
using only nonreactive, non-HAPcontaining/non-HAP-generating gases or
agents. Unheated pots, to which no flux
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is added and that are used to transport
metal, are not furnaces.
HCl means hydrogen chloride.
HF means hydrogen fluoride.
*
*
*
*
*
Residence time means, for an
afterburner, the duration of time
required for gases to pass through the
afterburner combustion zone. Residence
time is calculated by dividing the
afterburner combustion zone volume in
cubic feet by the volumetric flow rate of
the gas stream in actual cubic feet per
second. The combustion zone volume
includes the reaction chamber of the
afterburner in which the waste gas
stream is exposed to the direct
combustion flame and the complete
refractory lined portion of the furnace
stack up to the measurement
thermocouple.
*
*
*
*
*
Round top furnace means a
cylindrically-shaped reverberatory
furnace that has a top that is removed
for charging and other furnace
operations.
*
*
*
*
*
Scrap dryer/delacquering kiln/
decoating kiln means a unit used
primarily to remove various organic
contaminants such as oil, paint, lacquer,
ink, plastic, and/or rubber from
aluminum scrap (including used
beverage containers) prior to melting, or
that separates aluminum foil from paper
and plastic in scrap.
Secondary aluminum processing unit
(SAPU). An existing SAPU means all
existing group 1 furnaces and all
existing in-line fluxers within a
secondary aluminum production
facility. Each existing group 1 furnace or
existing in-line fluxer is considered an
emission unit within a secondary
aluminum processing unit. A new
SAPU means any combination of
individual group 1 furnaces and in-line
fluxers within a secondary aluminum
processing facility which either were
constructed or reconstructed after
February 11, 1999, or have been
permanently redesignated as new
emission units pursuant to
§ 63.1505(k)(6). Each of the group 1
furnaces or in-line fluxers within a new
SAPU is considered an emission unit
within that secondary aluminum
processing unit. A secondary aluminum
production facility may have more than
one new SAPU.
*
*
*
*
*
Shutdown means the period of
operation for thermal chip dryers, scrap
dryers/delacquering kilns, decoating
kilns, dross-only furnaces, group 1
furnaces, in-line fluxers, sweat furnaces
and group 2 furnaces that begins when
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56739
the introduction of feed/charge is
intentionally halted, the source of heat
to the emissions unit is turned off, and
product has been removed from the
emission unit to the greatest extent
practicable (e.g., by tapping a furnace).
Shutdown ends when the emission unit
is near ambient temperature.
*
*
*
*
*
Startup means the period of operation
for thermal chip dryers, scrap dryers/
delacquering kilns, decoating kilns,
dross-only furnaces, group 1 furnaces,
in-line fluxers, sweat furnaces and
group 2 furnaces that begins with
equipment warming from a shutdown,
that is, the equipment is at or near
ambient temperature. Startup ends at
the point that flux or feed/charge is
introduced.
*
*
*
*
*
Tap means the end of an operating
cycle of any individual furnace when
processed molten aluminum is poured
from that furnace.
*
*
*
*
*
Total reactive fluorine flux injection
rate means the sum of the total weight
of fluorine in the gaseous or liquid
reactive flux added to an uncontrolled
group 1 furnace, and the total weight of
fluorine in the solid reactive flux added
to an uncontrolled group 1 furnace,
divided by the total weight of feed/
charge, as determined by the procedure
in § 63.1512(o).
■ 6. Section 63.1505 is amended by
revising paragraphs (a), (i)(4), (k)
introductory text, (k)(1) through (3), and
(k)(6) to read as follows:
§ 63.1505 Emission standards for affected
sources and emission units.
(a) Summary. The owner or operator
of a new or existing affected source
must comply at all times with each
applicable limit in this section,
including periods of startup and
shutdown. Table 1 to this subpart
summarizes the emission standards for
each type of source.
*
*
*
*
*
(i) * * *
(4) 0.20 kg of HF per Mg (0.40 lb of
HF per ton) of feed/charge from an
uncontrolled group 1 furnace and 0.20
kg of HCl per Mg (0.40 lb of HCl per ton)
of feed/charge or, if the furnace is
equipped with an add-on air pollution
control device, 10 percent of the
uncontrolled HCl emissions, by weight,
for a group 1 furnace at a secondary
aluminum production facility that is a
major source.
*
*
*
*
*
(k) Secondary aluminum processing
unit. The owner or operator must
comply with the emission limits
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limit calculated using the equation for
D/F in paragraph (k)(3) of this section
for each secondary aluminum
processing unit at a secondary
aluminum production facility that is a
major or area source.
(1) The owner or operator must not
discharge or allow to be discharged to
the atmosphere any 3-day, 24-hour
rolling average emissions of PM in
excess of:
Where:
LtiPM = The PM emission limit for individual
emission unit i in paragraph (i)(1) and (2)
of this section for a group 1 furnace or
in paragraph (j)(2) of this section for an
in-line fluxer;
Tti = The mass of feed/charge for 24 hours for
individual emission unit i; and
LcPM = The daily PM emission limit for the
secondary aluminum processing unit
which is used to calculate the 3-day, 24hour PM emission limit applicable to the
SAPU.
calculation since they are not subject to the
PM limit.
Where:
LtiHCl/HF = The HCl emission limit for
individual emission unit i in paragraph
(i)(4) of this section for a group 1 furnace
or in paragraph (j)(1) of this section for
an in-line fluxer; or the HF emission
limit for individual emission unit i in
paragraph (i)(4) of this section for an
uncontrolled group 1 furnace; and
LcHCl/HF = The daily HCl or HF emission limit
for the secondary aluminum processing
unit which is used to calculate the 3-day,
24-hour HCl or HF emission limit
applicable to the SAPU.
Where:
LtiD/F = The D/F emission limit for individual
emission unit i in paragraph (i)(3) of this
section for a group 1 furnace; and
LcD/F = The daily D/F emission limit for the
secondary aluminum processing unit
which is used to calculate the 3-day, 24hour D/F emission limit applicable to the
SAPU.
existing group 1 furnace or in-line fluxer
at a secondary aluminum production
facility as a new emission unit. Any
emission unit so redesignated may
thereafter be included in a new SAPU
at that facility. Any such redesignation
will be solely for the purpose of this
NESHAP and will be irreversible.
■ 7. Section 63.1506 is amended by:
■ a. Revising paragraph (a)(1);
■ b. Adding paragraph (a)(5);
■ c. Revising paragraph (c)(1);
■ d. Adding paragraph (c)(4);
■ e. Revising paragraphs (g)(5), (k)(3),
and (m)(4);
■ f. Adding paragraph (m)(7); and
■ g. Revising paragraph (n)(1).
*
*
*
*
*
(6) With the prior approval of the
permitting authority for major sources,
or the Administrator for area sources, an
owner or operator may redesignate any
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(3) The owner or operator must not
discharge or allow to be discharged to
the atmosphere any 3-day, 24-hour
rolling average emissions of D/F in
excess of:
The additions and revisions read as
follows:
§ 63.1506
Operating requirements.
(a) Summary. (1) The owner or
operator must operate all new and
existing affected sources and control
equipment according to the
requirements in this section. The
affected sources, and their associated
control equipment, listed in
§ 63.1500(c)(1) through (4) of this
subpart that are located at a secondary
aluminum production facility that is an
area source are subject to the operating
requirements of paragraphs (b), (c), (d),
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ER18SE15.009
Note: Only uncontrolled group 1 furnaces
are included in this HF limit calculation. Inline fluxers using no reactive flux materials
cannot be included in this calculation since
they are not subject to the HCl or HF limit.
ER18SE15.008
Note: Clean charge furnaces cannot be
included in this calculation since they are
not subject to the D/F limit.
Note: In-line fluxers using no reactive flux
materials cannot be included in this
(2) The owner or operator must not
discharge or allow to be discharged to
the atmosphere any 3-day, 24-hour
rolling average emissions of HCl or HF
in excess of:
ER18SE15.007
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calculated using the equations for PM,
HCl and HF in paragraphs (k)(1) and (2)
of this section for each secondary
aluminum processing unit at a
secondary aluminum production facility
that is a major source. The owner or
operator must comply with the emission
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(f), (g), (h), (m), (n), and (p) of this
section.
*
*
*
*
*
(5) At all times, the owner or operator
must operate and maintain any affected
source, including associated air
pollution control equipment and
monitoring equipment, in a manner
consistent with safety and good air
pollution control practices for
minimizing emissions. Determination of
whether such operation and
maintenance procedures are being used
will be based on information available
to the Administrator which may
include, but is not limited to,
monitoring results, review of operation
and maintenance procedures, review of
operation and maintenance records, and
inspection of the source.
*
*
*
*
*
(c) * * *
(1) Design and install a system for the
capture and collection of emissions to
meet the engineering standards for
minimum exhaust rates or facial inlet
velocities as contained in the ACGIH
Guidelines (incorporated by reference,
see § 63.14);
*
*
*
*
*
(4) In lieu of paragraph (c)(1) of this
section, the owner or operator of a sweat
furnace may design, install and operate
each sweat furnace in accordance with
paragraphs (c)(4)(i) through (iii) of this
section.
(i) As demonstrated by an annual
negative air flow test conducted in
accordance with § 63.1510(d)(3), air
flow must be into the sweat furnace or
towards the plane of the sweat furnace
opening.
(ii) The owner or operator must
maintain and operate the sweat furnace
in a manner consistent with the good
practices requirements for minimizing
emissions, including unmeasured
emissions, in paragraph (a)(5) of this
section. Procedures that will minimize
unmeasured emissions may include, but
are not limited to the following:
(A) Increasing the exhaust rate from
the furnace with draft fans, so as to
capture emissions that might otherwise
escape from the sweat furnace opening;
(B) Minimizing the time the sweat
furnace doors are open;
(C) Keeping building doors and other
openings closed to the greatest extent
possible to minimize drafts that would
divert emissions from being drawn into
the sweat furnace;
(D) Maintaining burners on low-fire or
pilot operation while the doors are
open;
(E) Conducting periodic inspections
and maintenance of sweat furnace
components to ensure their proper
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operation and performance including
but not limited to, door assemblies,
seals, combustion chamber refractory
material, afterburner and stack
refractory, blowers, fans, dampers,
burner tubes, door raise cables, pilot
light assemblies, baffles, sweat furnace
and afterburner shells and other internal
structures.
(iii) The owner or operator must
document in their operation,
maintenance, and monitoring (OM&M)
plan the procedures to be used to
minimize emissions, including
unmeasured emissions, in addition to
the procedures to ensure the proper
operation and maintenance of the sweat
furnace.
*
*
*
*
*
(g) * * *
(5) For a continuous injection device,
maintain free-flowing lime in the
hopper to the feed device at all times
and maintain the lime feeder setting at
or above the level established during the
performance test.
*
*
*
*
*
(k) * * *
(3) For a continuous injection system,
maintain free-flowing lime in the
hopper to the feed device at all times
and maintain the lime feeder setting at
or above the level established during the
performance test.
*
*
*
*
*
(m) * * *
(4) For a continuous lime injection
system, maintain free-flowing lime in
the hopper to the feed device at all
times and maintain the lime feeder
setting at or above the level established
during the performance test.
*
*
*
*
*
(7) The operation of capture/
collection systems and control devices
associated with natural gas-fired,
propane-fired or electrically heated
group 1 furnaces that will be idled for
at least 24 hours after the furnace cycle
has been completed may be temporarily
stopped. Operation of these capture/
collection systems and control devices
must be restarted before feed/charge,
flux or alloying materials are added to
the furnace.
(n) * * *
(1) Maintain the total reactive
chlorine flux injection rate and fluorine
flux injection rate for each operating
cycle or time period used in the
performance test, at or below the
average rate established during the
performance test.
*
*
*
*
*
■ 8. Section 63.1510 is amended by:
■ a. Revising paragraphs (a), (b)
introductory text, and (b)(5);
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b. Adding paragraph (b)(9);
c. Revising paragraph (d)(2)
introductory text;
■ d. Adding paragraphs (d)(2)(i) through
(iv) and (d)(3);
■ e. Revising paragraphs (e) and
(f)(1)(ii);
■ f. Adding paragraph (f)(4);
■ g. Revising paragraph (i)(3);
■ h. Adding paragraph (i)(4);
■ i. Revising paragraphs (j)(1)(ii), (j)(4),
(n)(1) and (2), (o)(1), (s)(2)(iv), (s)(3), and
(t) introductory text;
■ j. Adding paragraphs (t)(2)(i) through
(iii); and
■ k. Revising paragraphs (t)(4) and (5).
The additions and revisions read as
follows:
■
■
§ 63.1510
Monitoring requirements.
(a) Summary. The owner or operator
of a new or existing affected source or
emission unit must monitor all control
equipment and processes according to
the requirements in this section.
Monitoring requirements for each type
of affected source and emission unit are
summarized in Table 3 to this subpart.
Area sources are subject to monitoring
requirements for those affected sources
listed in § 63.1500(c)(1) through (4) of
this subpart, and associated control
equipment as required by paragraphs (b)
through (k), (n) through (q), and (s)
through (w) of this section, including
but not limited to:
(1) The OM&M plan required in
paragraph (b) of this section pertaining
to each affected source listed in
§ 63.1500(c)(1) through (4) of this
subpart,
(2) The labeling requirements
described in paragraph (c) of this
section pertaining to group 1 furnaces
processing other than clean charge, and
scrap dryer/delacquering kiln/decoating
kilns,
(3) The requirements for capture and
collection described in paragraph (d) of
this section for each controlled affected
source (i.e., affected sources with an
add-on air pollution control device),
listed in § 63.1500(c)(1) through (4) of
this subpart,
(4) The feed/charge weight monitoring
requirements described in paragraph (e)
of this section applicable to group 1
furnaces processing other than clean
charge, scrap dryer/delacquering kiln/
decoating kilns and thermal chip dryers,
(5) The bag leak detection system
requirements described in paragraph (f)
of this section applicable to all bag leak
detection systems installed on fabric
filters and lime injected fabric filters
used to control each affected source
listed in § 63.1500(c)(1)–(4) of this
subpart,
(6) The requirements for afterburners
described in paragraph (g) of this
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section applicable to sweat furnaces,
thermal chip dryers, and scrap dryer/
delacquering kiln/decoating kilns,
(7) The requirements for monitoring
fabric filter inlet temperature described
in paragraph (h) of this section for all
lime injected fabric filters used to
control group 1 furnaces processing
other than clean charge, sweat furnaces
and scrap dryer/delacquering kiln/
decoating kilns,
(8) The requirements for monitoring
lime injection described in paragraph (i)
of this section applicable to all lime
injected fabric filters used to control
emissions from group 1 furnaces
processing other than clean charge,
thermal chip dryers, sweat furnaces and
scrap dryer/delacquering kiln/decoating
kilns,
(9) The requirements for monitoring
total reactive flux injection described in
paragraph (j) of this section for all group
1 furnaces processing other than clean
charge,
(10) The requirements described in
paragraph (k) of this section for thermal
chip dryers,
(11) The requirements described in
paragraph (n) of this section for
controlled group 1 sidewell furnaces
processing other than clean charge,
(12) The requirements described in
paragraph (o) of this section for
uncontrolled group 1 sidewell furnaces
processing other than clean charge,
(13) The requirements described in
paragraph (p) of this section for scrap
inspection programs for uncontrolled
group 1 furnaces,
(14) The requirements described in
paragraph (q) of this section for
monitoring scrap contamination level
for uncontrolled group 1 furnaces,
(15) The requirements described in
paragraph (s) of this section for
secondary aluminum processing units,
limited to compliance with limits for
emissions of D/F from group 1 furnaces
processing other than clean charge,
(16) The requirements described in
paragraph (t) of this section for
secondary aluminum processing units
limited to compliance with limits for
emissions of D/F from group 1 furnaces
processing other than clean charge,
(17) The requirements described in
paragraph (u) of this section for
secondary aluminum processing units
limited to compliance with limits for
emissions of D/F from group 1 furnaces
processing other than clean charge,
(18) The requirements described in
paragraph (v) of this section for
alternative lime addition monitoring
methods applicable to lime-injected
fabric filters used to control emissions
from group 1 furnaces processing other
than clean charge, thermal chip dryers,
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sweat furnaces and scrap dryer/
delacquering kiln/decoating kilns, and
(19) The requirements described in
paragraph (w) of this section for
approval of alternate methods for
monitoring group 1 furnaces processing
other than clean charge, thermal chip
dryers, scrap dryer/delacquering kiln/
decoating kilns and sweat furnaces and
associated control devices for the
control of D/F emissions.
(b) Operation, maintenance, and
monitoring (OM&M) plan. The owner or
operator must prepare and implement
for each new or existing affected source
and emission unit, a written OM&M
plan. The owner or operator of an
existing affected source must submit the
OM&M plan to the permitting authority
for major sources, or the Administrator
for area sources no later than the
compliance date established by
§ 63.1501(a). The owner or operator of
any new affected source must submit
the OM&M plan to the permitting
authority for major sources, or the
Administrator for area sources within 90
days after a successful initial
performance test under § 63.1511(b), or
within 90 days after the compliance
date established by § 63.1501(b) if no
initial performance test is required. The
plan must be accompanied by a written
certification by the owner or operator
that the OM&M plan satisfies all
requirements of this section and is
otherwise consistent with the
requirements of this subpart. The owner
or operator must comply with all of the
provisions of the OM&M plan as
submitted to the permitting authority for
major sources, or the Administrator for
area sources, unless and until the plan
is revised in accordance with the
following procedures. If the permitting
authority for major sources, or the
Administrator for area sources
determines at any time after receipt of
the OM&M plan that any revisions of
the plan are necessary to satisfy the
requirements of this section or this
subpart, the owner or operator must
promptly make all necessary revisions
and resubmit the revised plan. If the
owner or operator determines that any
other revisions of the OM&M plan are
necessary, such revisions will not
become effective until the owner or
operator submits a description of the
changes and a revised plan
incorporating them to the permitting
authority for major sources, or the
Administrator for area sources. Each
plan must contain the following
information:
*
*
*
*
*
(5) Procedures for monitoring process
and control device parameters,
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including lime injection rates,
procedures for annual inspections of
afterburners, and if applicable, the
procedure to be used for determining
charge/feed (or throughput) weight if a
measurement device is not used.
*
*
*
*
*
(9) Procedures to be followed when
changing furnace classifications under
the provisions of § 63.1514.
*
*
*
*
*
(d) * * *
(2) Inspect each capture/collection
and closed vent system at least once
each calendar year to ensure that each
system is operating in accordance with
the operating requirements in
§ 63.1506(c) and record the results of
each inspection. This inspection shall
include a volumetric flow rate
measurement taken at a location in the
ductwork downstream of the hoods that
is representative of the actual
volumetric flow rate without
interference due to leaks, ambient air
added for cooling or ducts from other
hoods. The flow rate measurement must
be performed in accordance with
paragraphs (d)(2)(i), (ii), or (iii) of this
section. As an alternative to the flow
rate measurement specified in this
paragraph, the inspection may satisfy
the requirements of this paragraph,
including the operating requirements in
§ 63.1506(c), by including permanent
total enclosure verification in
accordance with paragraph (d)(2)(i) or
(iv) of this section. Inspections that fail
to successfully demonstrate that the
requirements of § 63.1506(c) are met,
must be followed by repair or
adjustment to the system operating
conditions and a follow up inspection
within 45 days to demonstrate that
§ 63.1506(c) requirements are fully met.
(i) Conduct annual flow rate
measurements using EPA Methods 1
and 2 in Appendix A to 40 CFR part 60,
or conduct annual verification of a
permanent total enclosure using EPA
Method 204; or you may follow one of
the three alternate procedures described
in paragraphs (ii), (iii), or (iv) of this
section to maintain system operations in
accordance with an operating limit
established during the performance test.
The operating limit is determined as the
average reading of a parametric
monitoring instrument (Magnehelic®,
manometer, anemometer, or other
parametric monitoring instrument) and
technique as described in paragraphs
(d)(2)(ii), (iii), and (iv) of this section. A
deviation, as defined in paragraphs (ii),
(iii), and (iv) of this section, from the
parametric monitoring operating limit
requires the owner or operator to make
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repairs or adjustments to restore normal
operation within 45 days.
(ii) As an alternative to annual flow
rate measurements using EPA Methods
1 and 2, measurement with EPA
Methods 1 and 2 can be performed once
every 5 years, provided that:
(A) A flow rate indicator consisting of
a pitot tube and differential pressure
gauge (Magnehelic®, manometer or
other differential pressure gauge) is
installed with the pitot tube tip located
at a representative point of the duct
proximate to the location of the
Methods 1 and 2 measurement site; and
(B) The flow rate indicator is installed
and operated in accordance with the
manufacturer’s specifications; and
(C) The differential pressure is
recorded during the Method 2
performance test series; and
(D) Daily differential pressure
readings are made by taking three
measurements with at least 5 minutes
between each measurement and
averaging the three measurements; and
readings are recorded daily and
maintained at or above 90 percent of the
average pressure differential indicated
by the flow rate indicator during the
most recent Method 2 performance test
series; and
(E) An inspection of the pitot tube and
associated lines for damage, plugging,
leakage and operational integrity is
conducted at least once per year; or
(iii) As an alternative to annual flow
rate measurements using EPA Methods
1 and 2, measurement with EPA
Methods 1 and 2 can be performed once
every 5 years, provided that:
(A) Daily measurements of the capture
and collection system’s fan revolutions
per minute (RPM) or fan motor
amperage (amps) are made by taking
three measurements with at least 5
minutes between each measurement,
and averaging the three measurements;
and readings are recorded daily and
maintained at or above 90 percent of the
average RPM or amps measured during
the most recent Method 2 performance
test series; or
(B) A static pressure measurement
device is installed in the duct
immediately downstream of the hood
exit, and daily pressure readings are
made by taking three measurements
with at least 5 minutes between each
measurement, and averaging the three
measurements; and readings are
recorded daily and maintained at 90
percent or better of the average vacuum
recorded during the most recent Method
2 performance test series; or
(C) A hotwire anemometer, ultrasonic
flow meter, cross-duct pressure
differential sensor, venturi pressure
differential monitoring or orifice plate
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equipped with an associated
thermocouple and automated data
logging software and associated
hardware is installed; and daily
readings are made by taking three
measurements with at least 5 minutes
between each measurement, and
averaging the three measurements; and
readings are recorded daily and
maintained at 90 percent or greater of
the average readings during the most
recent Method 2 performance test series;
or
(D) For booth-type hoods, hotwire
anemometer measurements of hood face
velocity are performed simultaneously
with EPA Method 1 and 2
measurements, and the annual hood
face velocity measurements confirm that
the enclosure draft is maintained at 90
percent or greater of the average
readings during the most recent Method
2 performance test series. Daily readings
are made by taking three measurements
with at least 5 minutes between each
measurement, and averaging the three
measurements; and readings are
recorded daily and maintained at 90
percent or greater of the average
readings during the most recent Method
1 and 2 performance test series.
(iv) As an alternative to the annual
verification of a permanent total
enclosure using EPA Method 204,
verification can be performed once
every 5 years, provided that:
(A) Negative pressure in the enclosure
is directly monitored by a pressure
indicator installed at a representative
location;
(B) Pressure readings are recorded
daily or the system is interlocked to halt
material feed should the system not
operate under negative pressure;
(C) An inspection of the pressure
indicator for damage and operational
integrity is conducted at least once per
calendar year.
(3) For sweat furnaces, in lieu of
paragraph (d)(2) of this section, the
owner or operator of a sweat furnace
may inspect each sweat furnace at least
once each calendar year to ensure that
they are being operated in accordance
with the negative air flow requirements
in § 63.1506(c)(4). The owner or
operator of a sweat furnace must
demonstrate negative air flow into the
sweat furnace in accordance with
paragraphs (d)(3)(i) through (iii) of this
section.
(i) Perform an annual visual smoke
test to demonstrate airflow into the
sweat furnace or towards the plane of
the sweat furnace opening;
(ii) Perform the smoke test using a
smoke source, such as a smoke tube,
smoke stick, smoke cartridge, smoke
candle or other smoke source that
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produces a persistent and neutral
buoyancy aerosol; and
(iii) Perform the visual smoke test at
a safe distance from and near the center
of the sweat furnace opening.
(e) Feed/charge weight. The owner or
operator of an affected source or
emission unit subject to an emission
limit in kg/Mg (lb/ton) or mg/Mg (gr/ton)
of feed/charge must install, calibrate,
operate, and maintain a device to
measure and record the total weight of
feed/charge to, or the aluminum
production from, the affected source or
emission unit over the same operating
cycle or time period used in the
performance test. Feed/charge or
aluminum production within SAPUs
must be measured and recorded on an
emission unit-by-emission unit basis. As
an alternative to a measurement device,
the owner or operator may use a
procedure acceptable to the permitting
authority for major sources, or the
Administrator for area sources to
determine the total weight of feed/
charge or aluminum production to the
affected source or emission unit.
*
*
*
*
*
(f) * * *
(1) * * *
(ii) Each bag leak detection system
must be installed, calibrated, operated,
and maintained according to the
manufacturer’s operating instructions.
*
*
*
*
*
(4) As an alternative to the
requirements of paragraph (f)(3) of this
section, the owner or operator of a new
or existing aluminum scrap shredder
may measure the opacity of the
emissions discharged through a stack or
stacks using ASTM Method D7520–13
(incorporated by reference, see § 63.14)
subject to the requirements of
paragraphs § 63.1510(f)(4)(i) through (iv)
of this section. Each test must consist of
five 6-minute observations in a 30minute period.
(i) During the digital camera opacity
technique (DCOT) certification
procedure outlined in Section 9.2 of
ASTM D7520–13, the owner or operator
or the DCOT vendor must present the
plumes in front of various backgrounds
of color and contrast representing
conditions anticipated during field use
such as blue sky, trees, and mixed
backgrounds (clouds and/or a sparse
tree stand).
(ii) The owner or operator must also
have standard operating procedures in
place including daily or other frequency
quality checks to ensure that equipment
is within manufacturing specifications
as outlined in Section 8.1 of ASTM
D7520–13.
(iii) The owner or operator must
follow the recordkeeping procedures
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outlined in § 63.10(b)(1) for DCOT
certification, compliance report, data
sheets and all raw unaltered JPEGs used
for opacity and certification
determination.
(iv) The owner or operator or the
DCOT vendor must have a minimum of
four (4) independent technology users
apply the software to determine the
visible opacity of the 300 certification
plumes. For each set of 25 plumes, the
user may not exceed 15 percent opacity
on any one reading and the average
error must not exceed 7.5 percent
opacity.
*
*
*
*
*
(i) * * *
(3) An owner or operator who
intermittently adds lime to a limeinjected fabric filter must obtain
approval from the permitting authority
for major sources, or the Administrator
for area sources for a lime addition
monitoring procedure. The permitting
authority for major sources, or the
Administrator for area sources will not
approve a monitoring procedure unless
data and information are submitted
establishing that the procedure is
adequate to ensure that relevant
emission standards will be met on a
continuous basis.
(4) At least once per month, verify
that the lime injection rate in pounds
per hour (lb/hr) is no less than 90
percent of the lime injection rate used
to demonstrate compliance during your
most recent performance test. If the
monthly check of the lime injection rate
is below the 90 percent, the owner or
operator must repair or adjust the lime
injection system to restore normal
operation within 45 days. The owner or
operator may request from the
permitting authority for major sources,
or the Administrator for area sources, an
extension of up to an additional 45 days
to demonstrate that the lime injection
rate is no less than 90 percent of the
lime injection rate used to demonstrate
compliance during the most recent
performance test. In the event that a
lime feeder is repaired or replaced, the
feeder must be calibrated, and the feed
rate must be restored to the lb/hr feed
rate operating limit established during
the most recent performance test within
45 days. The owner or operator may
request from the permitting authority for
major sources, or the Administrator for
area sources, an extension of up to an
additional 45 days to complete the
repair or replacement and establishing a
new setting. The repair or replacement,
and the establishment of the new feeder
setting(s) must be documented in
accordance with the recordkeeping
requirements of § 63.1517.
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(j) * * *
(1) * * *
(ii) The accuracy of the weight
measurement device must be ±1 percent
of the weight of the reactive component
of the flux being measured. The owner
or operator may apply to the permitting
authority for major sources, or the
Administrator for area sources for
permission to use a weight
measurement device of alternative
accuracy in cases where the reactive
flux flow rates are so low as to make the
use of a weight measurement device of
±1 percent impracticable. A device of
alternative accuracy will not be
approved unless the owner or operator
provides assurance through data and
information that the affected source will
meet the relevant emission standards.
*
*
*
*
*
(4) Calculate and record the total
reactive flux injection rate for each
operating cycle or time period used in
the performance test using the
procedure in § 63.1512(o). For solid flux
that is added intermittently, record the
amount added for each operating cycle
or time period used in the performance
test using the procedures in
§ 63.1512(o).
*
*
*
*
*
(n) * * *
(1) Record in an operating log for each
tap of a sidewell furnace whether the
level of molten metal was above the top
of the passage between the sidewell and
hearth during reactive flux injection,
unless the furnace hearth was also
equipped with an add-on control
device. If visual inspection of the
molten metal level is not possible, the
molten metal level must be determined
using physical measurement methods.
(2) Submit a certification of
compliance with the operational
standards in § 63.1506(m)(6) for each
6-month reporting period. Each
certification must contain the
information in § 63.1516(b)(2)(iii).
(o) * * *
(1) The owner or operator must
develop, in consultation with the
permitting authority for major sources,
or the Administrator for area sources, a
written site-specific monitoring plan.
The site-specific monitoring plan must
be submitted to the permitting authority
for major sources, or the Administrator
for area sources as part of the OM&M
plan. The site-specific monitoring plan
must contain sufficient procedures to
ensure continuing compliance with all
applicable emission limits and must
demonstrate, based on documented test
results, the relationship between
emissions of PM, HCl, and D/F (and HF
for uncontrolled group 1 furnaces), and
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the proposed monitoring parameters for
each pollutant. Test data must establish
the highest level of PM, HCl, and D/F
(and HF for uncontrolled group 1
furnaces) that will be emitted from the
furnace in accordance with
§ 63.1511(b)(1). If the permitting
authority for major sources, or the
Administrator for area sources
determines that any revisions of the sitespecific monitoring plan are necessary
to meet the requirements of this section
or this subpart, the owner or operator
must promptly make all necessary
revisions and resubmit the revised plan.
(i) The owner or operator of an
existing affected source must submit the
site-specific monitoring plan to the
permitting authority for major sources,
or the Administrator for area sources for
review at least 6 months prior to the
compliance date.
(ii) The permitting authority for major
sources, or the Administrator for area
sources will review and approve or
disapprove a proposed plan, or request
changes to a plan, based on whether the
plan contains sufficient provisions to
ensure continuing compliance with
applicable emission limits and
demonstrates, based on documented test
results, the relationship between
emissions of PM, HCl, and D/F (and HF
for uncontrolled group 1 furnaces) and
the proposed monitoring parameters for
each pollutant. Test data must establish
the highest level of PM, HCl, and D/F
(and HF for uncontrolled group 1
furnaces) that will be emitted from the
furnace. Subject to approval of the
OM&M plan, the highest levels may be
determined by conducting performance
tests and monitoring operating
parameters in accordance with
§ 63.1511(b)(1).
*
*
*
*
*
(s) * * *
(2) * * *
(iv) The inclusion of any periods of
startup or shutdown in emission
calculations.
(3) To revise the SAPU compliance
provisions within the OM&M plan prior
to the end of the permit term, the owner
or operator must submit a request to the
permitting authority for major sources,
or the Administrator for area sources
containing the information required by
paragraph (s)(1) of this section and
obtain approval of the permitting
authority for major sources, or the
Administrator for area sources prior to
implementing any revisions.
(t) Secondary aluminum processing
unit. Except as provided in paragraph
(u) of this section, the owner or operator
must calculate and record the 3-day, 24hour rolling average emissions of PM,
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56745
added to the emission unit is emitted as
HF.
(iii) Prior to the date by which the
initial performance test for HF
emissions from uncontrolled group 1
furnaces is conducted, or is required to
be conducted, the calculation required
in § 63.1505(k) to determine the SAPUwide HF emission limit and the
calculation required in § 63.1510(t)(4) to
determine the SAPU-wide HF emission
rate must exclude HF emissions from
untested uncontrolled group 1 furnaces
and feed/charge processed in untested
uncontrolled group 1 furnaces.
*
*
*
*
*
(4) Compute the 24-hour daily
emission rate using Equation 4:
§ 63.1511 Performance test/compliance
demonstration general requirements.
performance test within 180 days after
the date for compliance established by
§ 63.1501(e) or (f). Except for the date by
which the performance test must be
conducted, the owner or operator must
conduct each performance test in
accordance with the requirements and
procedures set forth in § 63.7(c). Owners
or operators of affected sources located
at facilities which are area sources are
subject only to those performance
testing requirements pertaining to D/F.
Owners or operators of sweat furnaces
meeting the specifications of
§ 63.1505(f)(1) are not required to
conduct a performance test.
(1) The performance tests must be
conducted under representative
conditions expected to produce the
highest level of HAP emissions
expressed in the units of the emission
standards for the HAP (considering the
extent of feed/charge contamination,
reactive flux addition rate and feed/
charge rate). If a single test condition is
not expected to produce the highest
level of emissions for all HAP, testing
under two or more sets of conditions
(for example high contamination at low
feed/charge rate, and low contamination
at high feed/charge rate) may be
required. Any subsequent performance
tests for the purposes of establishing
new or revised parametric limits shall
be allowed upon pre-approval from the
permitting authority for major sources,
or the Administrator for area sources.
These new parametric settings shall be
(5) Calculate and record the 3-day, 24hour rolling average for each pollutant
each day by summing the daily
emission rates for each pollutant over
the 3 most recent consecutive days and
dividing by 3. The SAPU is in
compliance with an applicable emission
limit if the 3-day, 24-hour rolling
average for each pollutant is no greater
than the applicable SAPU emission
limit determined in accordance with
§ 63.1505(k)(1)–(3).
*
*
*
*
*
■ 9. Section 63.1511 is amended by:
■ a. Revising paragraphs (a), (b)
introductory text, and (b)(1) and (3);
■ b. Adding paragraphs (b)(6) and (7);
■ c. Revising paragraphs (c)(9), (d), and
(f) introductory text;
■ d. Adding paragraph (f)(6);
■ e. Revising paragraph (g) introductory
text;
■ f. Adding paragraph (g)(5); and
■ g. Revising paragraph (i) introductory
text.
The additions and revisions read as
follows:
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(a) Site-specific test plan. Prior to
conducting any performance test
required by this subpart, the owner or
operator must prepare a site-specific test
plan which satisfies all of the rule
requirements, and must obtain approval
of the plan pursuant to the procedures
set forth in § 63.7. Performance tests
shall be conducted under such
conditions as the Administrator
specifies to the owner or operator based
on representative performance of the
affected source for the period being
tested. Upon request, the owner or
operator shall make available to the
Administrator such records as may be
necessary to determine the conditions of
performance tests.
(b) Initial performance test. Following
approval of the site-specific test plan,
the owner or operator must demonstrate
initial compliance with each applicable
emission, equipment, work practice, or
operational standard for each affected
source and emission unit, and report the
results in the notification of compliance
status report as described in
§ 63.1515(b). The owner or operator of
any affected source constructed before
February 14, 2012, for which an initial
performance test is required to
demonstrate compliance must conduct
this initial performance test no later
than the date for compliance established
by § 63.1501(a), (b), or (c). The owner or
operator of any affected source
constructed after February 14, 2012, for
which an initial performance test is
required must conduct this initial
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18SER2
ER18SE15.010
use the emission rate determined from
the representative unit in the SAPU
emission rate calculation required in
§ 63.1510(t)(4).
(ii) Except as provided in paragraph
(t)(2)(iii) of this section, if the owner or
operator has not conducted performance
tests for HCl (and HF for an
uncontrolled group 1 furnace) or for HCl
for an in-line fluxer, in accordance with
the provisions of § 63.1512(d)(3), (e)(3),
or (h)(2), the calculation required in
§ 63.1510(t)(4) to determine SAPU-wide
HCl and HF emissions shall be made
under the assumption that all chlorine
contained in reactive flux added to the
emission unit is emitted as HCl and all
fluorine contained in reactive flux
Where:
Eday = The daily PM, HCl, and D/F (and HF
for uncontrolled group 1 furnaces)
emission rate for the secondary
aluminum processing unit for the 24hour period;
Ti = The total amount of feed, or aluminum
produced, for emission unit i for the 24hour period (tons or Mg);
ERi = The measured emission rate for
emission unit i as determined in the
performance test (lb/ton or mg/Mg of
feed/charge); and
n = The number of emission units in the
secondary aluminum processing unit.
mstockstill on DSK4VPTVN1PROD with RULES2
HCl, and D/F (and HF for uncontrolled
group 1 furnaces) for each secondary
aluminum processing unit on a daily
basis. To calculate the 3-day, 24-hour
rolling average, the owner or operator
must:
*
*
*
*
*
(2) * * *
(i) Where no performance test has
been conducted, for a particular
emission unit, because the owner of
operator has, with the approval of the
permitting authority for major sources,
or the Administrator for area sources,
chosen to determine the emission rate of
an emission unit by testing a
representative unit, in accordance with
§ 63.1511(f), the owner or operator shall
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used to demonstrate compliance for the
period being tested.
*
*
*
*
*
(3) Each performance test for a batch
process must consist of three separate
runs; pollutant sampling for each run
must be conducted over the entire
process operating cycle. Additionally,
for batch processes where the length of
the process operating cycle is not
known in advance, and where isokinetic
sampling must be conducted based on
the procedures in Method 5 in appendix
A to part 60, use the following
procedure to ensure that sampling is
conducted over the entire process
operating cycle:
(i) Choose a minimum operating cycle
length and begin sampling assuming
this minimum length will be the run
time (e.g., if the process operating cycle
is known to last from four to six hours,
then assume a sampling time of four
hours and divide the sampling time
evenly between the required number of
traverse points);
(ii) After each traverse point has been
sampled once, begin sampling each
point again for the same time per point,
in the reverse order, until the operating
cycle is complete. All traverse points as
required by Method 1 of appendix A to
part 60, must be sampled at least once
during each test run;
(iii) In order to distribute the
sampling time most evenly over all the
traverse points, do not perform all runs
using the same sampling point order
(e.g., if there are four ports and sampling
for run 1 began in port 1, then sampling
for run 2 could begin in port 4 and
continue in reverse order.)
*
*
*
*
*
(6) Apply paragraphs (b)(1) through
(5) of this section for each pollutant
separately if a different production rate,
charge material or, if applicable,
reactive fluxing rate would apply and
thereby result in a higher expected
emissions rate for that pollutant.
(7) The owner or operator may not
conduct performance tests during
periods of malfunction.
(c) * * *
(9) Method 26A for the concentration
of HCl and HF. Method 26 may also be
used, except at sources where entrained
water droplets are present in the
emission stream. Where a lime-injected
fabric filter is used as the control device
to comply with the 90 percent reduction
standard, the owner or operator must
measure the fabric filter inlet
concentration of HCl at a point before
lime is introduced to the system.
(d) Alternative methods. The owner or
operator may use alternative test
methods as provided in paragraphs
(d)(1) through (3) of this section.
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19:34 Sep 17, 2015
Jkt 235001
(1) The owner or operator may use
test method ASTM D7520–13 as an
alternative to EPA Method 9 subject to
conditions described in § 63.1510(f)(4).
(2) In lieu of conducting the annual
flow rate measurements using Methods
1 and 2, the owner or operator may use
Method 204 in Appendix M to 40 CFR
part 51 to conduct annual verification of
a permanent total enclosure for the
affected source/emission unit.
(3) The owner or operator may use an
alternative test method approved by the
Administrator.
*
*
*
*
*
(f) Testing of representative emission
units. With the prior approval of the
permitting authority for major sources,
or the Administrator for area sources, an
owner or operator may utilize emission
rates obtained by testing a particular
type of group 1 furnace that does not
have an add-on air pollution control
device, or by testing an in-line flux box
that does not have an add-on air
pollution control device, to determine
the emission rate for other units of the
same type at the same facility. Such
emission test results may only be
considered to be representative of other
units if all of the following criteria are
satisfied:
*
*
*
*
*
(6) All 3 separate runs of a
performance test must be conducted on
the same emission unit.
(g) Establishment of monitoring and
operating parameter values. The owner
or operator of new or existing affected
sources and emission units must
establish a minimum or maximum
operating parameter value, or an
operating parameter range for each
parameter to be monitored as required
by § 63.1510 that ensures compliance
with the applicable emission limit or
standard. To establish the minimum or
maximum value or range, the owner or
operator must use the appropriate
procedures in this section and submit
the information required by
§ 63.1515(b)(4) in the notification of
compliance status report. The owner or
operator may use existing data in
addition to the results of performance
tests to establish operating parameter
values for compliance monitoring
provided each of the following
conditions are met to the satisfaction of
the permitting authority for major
sources, or the Administrator for area
sources:
*
*
*
*
*
(5) If the owner or operator wants to
conduct a new performance test and
establish different operating parameter
values, they must submit a revised site
specific test plan and receive approval
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Fmt 4701
Sfmt 4700
in accordance with paragraph (a) of this
section. In addition, if an owner or
operator wants to use existing data in
addition to the results of the new
performance test to establish operating
parameter values, they must meet the
requirements in paragraphs (g)(1)
through (4) of this section.
*
*
*
*
*
(i) Testing of commonly-ducted units
not within a secondary aluminum
processing unit. With the prior approval
of the permitting authority for major
sources, or the Administrator for area
sources, an owner or operator may do
combined performance testing of two or
more individual affected sources or
emission units which are not included
in a single existing SAPU or new SAPU,
but whose emissions are manifolded to
a single control device. Any such
performance testing of commonlyducted units must satisfy the following
basic requirements:
*
*
*
*
*
■ 10. Section 63.1512 is amended by:
■ a. Revising paragraphs (a), (e)(1)
through (3);
■ b. Adding paragraphs (e)(4) through
(7); and
■ c. Revising paragrpahs (h)(2), (j)
introductory text, (j)(1)(i), (j)(2)(i), (o)
introductory text, (o)(1), (o)(3) through
(5), and (p)(2).
The additions and revisions read as
follows:
§ 63.1512 Performance test/compliance
demonstration requirements and
procedures.
(a) Aluminum scrap shredder. The
owner or operator must conduct
performance tests to measure PM
emissions at the outlet of the control
system. If visible emission observation
is the selected monitoring option, the
owner or operator must record visible
emission observations from each
exhaust stack for all consecutive 6minute periods during the PM emission
test according to the requirements of
Method 9 in appendix A to 40 CFR part
60. If emissions observations by ASTM
Method D7520–13 (incorporated by
reference, see § 63.14) is the selected
monitoring option, the owner or
operator must record opacity
observations from each exhaust stack for
all consecutive 6-minute periods during
the PM emission test.
*
*
*
*
*
(e) * * *
(1) If the group 1 furnace processes
other than clean charge material, the
owner or operator must conduct
emission tests to measure emissions of
PM, HCl, HF, and D/F at the furnace
exhaust outlet.
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(2) If the group 1 furnace processes
only clean charge, the owner or operator
must conduct emission tests to
simultaneously measure emissions of
PM, HCl and HF. A D/F test is not
required. Each test must be conducted
while the group 1 furnace (including a
melting/holding furnace) processes only
clean charge.
(3) The owner or operator may choose
to determine the rate of reactive flux
addition to the group 1 furnace and
assume, for the purposes of
demonstrating compliance with the
SAPU emission limit, that all chlorine
and fluorine contained in reactive flux
added to the group 1 furnace is emitted
as HCl and HF. Under these
circumstances, the owner or operator is
not required to conduct an emission test
for HCl or HF.
(4) When testing an existing
uncontrolled furnace, the owner or
operator must comply with the
requirements of either paragraphs
(e)(4)(i), (ii) or (iii) of this section at the
next required performance test required
by § 63.1511(e).
(i) Install hooding that meets ACGIH
Guidelines (incorporated by reference,
see § 63.14), or
(ii) At least 180 days prior to testing
petition the permitting authority for
major sources, or the Administrator for
area sources, that such hoods are
impractical under the provisions of
paragraph (e)(6) of this section and
propose testing procedures that will
minimize unmeasured emissions during
the performance test according to the
paragraph (e)(7) of this section, or
(iii) Assume an 80-percent capture
efficiency for the furnace exhaust (i.e.,
multiply emissions measured at the
furnace exhaust outlet by 1.25). If the
source fails to demonstrate compliance
using the 80-percent capture efficiency
assumption, the owner or operator must
re-test with a hood that meets the
ACGIH Guidelines within 180 days, or
petition the permitting authority for
major sources, or the Administrator for
area sources, within 180 days that such
hoods are impractical under the
provisions of paragraph (e)(6) of this
section and propose testing procedures
that will minimize unmeasured
emissions during the performance test
according to paragraph (e)(7) of this
section.
(iv) The 80-percent capture efficiency
assumption is not applicable in the
event of testing conducted under an
approved petition submitted pursuant to
paragraphs (e)(4)(ii) or (iii) of this
section.
(v) Round top furnaces constructed
before February 14, 2012, and
reconstructed round top furnaces are
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19:34 Sep 17, 2015
Jkt 235001
exempt from the requirements of
paragraphs (e)(4)(i) and (ii) of this
section. Round top furnaces must be
operated to minimize unmeasured
emissions according to paragraph (e)(7)
of this section.
(5) When testing a new uncontrolled
furnace constructed after February 14,
2012, the owner or operator must install
hooding that meets ACGIH Guidelines
(incorporated by reference, see § 63.14)
or petition the permitting authority for
major sources, or the Administrator for
area sources, that such hoods are
impracticable under the provisions of
paragraph (e)(6) of this section and
propose testing procedures that will
minimize unmeasured emissions during
the performance test according to the
provisions of paragraph (e)(7).
(6) The installation of hooding that
meets ACGIH Guidelines (incorporated
by reference, see § 63.14) is considered
impractical if any of the following
conditions exist:
(i) Building or equipment obstructions
(for example, wall, ceiling, roof,
structural beams, utilities, overhead
crane or other obstructions) are present
such that the temporary hood cannot be
located consistent with acceptable hood
design and installation practices;
(ii) Space limitations or work area
constraints exist such that the
temporary hood cannot be supported or
located to prevent interference with
normal furnace operations or avoid
unsafe working conditions for the
furnace operator; or
(iii) Other obstructions and
limitations subject to agreement of the
permitting authority for major sources,
or the Administrator for area sources.
(7) Testing procedures that will
minimize unmeasured emissions may
include, but are not limited to the
following:
(i) Installing a hood that does not
entirely meet ACGIH guidelines;
(ii) Using the building as an
enclosure, and measuring emissions
exhausted from the building if there are
no other furnaces or other significant
sources in the building of the pollutants
to be measured;
(iii) Installing temporary baffles on
those sides or top of furnace opening if
it is practical to do so where they will
not interfere with material handling or
with the furnace door opening and
closing;
(iv) Minimizing the time the furnace
doors are open or the top is off;
(v) Delaying gaseous reactive fluxing
until charging doors are closed and, for
round top furnaces, until the top is on;
(vi) Agitating or stirring molten metal
as soon as practicable after salt flux
addition and closing doors as soon as
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56747
possible after solid fluxing operations,
including mixing and dross removal;
(vii) Keeping building doors and other
openings closed to the greatest extent
possible to minimize drafts that would
divert emissions from being drawn into
the furnace;
(viii) Maintaining burners on low-fire
or pilot operation while the doors are
open or the top is off;
(ix) Use of fans or other device to
direct flow into a furnace when door is
open; or
(x) Removing the furnace cover one
time in order to add a smaller but
representative charge and then replacing
the cover.
*
*
*
*
*
(h) * * *
(2) The owner or operator may choose
to limit the rate at which reactive flux
is added to an in-line fluxer and
assume, for the purposes of
demonstrating compliance with the
SAPU emission limit, that all chlorine
in the reactive flux added to the in-line
fluxer is emitted as HCl. Under these
circumstances, the owner or operator is
not required to conduct an emission test
for HCl. If the owner or operator of any
in-line flux box that has no ventilation
ductwork manifolded to any outlet or
emission control device chooses to
demonstrate compliance with the
emission limits for HCl by limiting use
of reactive flux and assuming that all
chlorine in the flux is emitted as HCl,
compliance with the HCl limit shall also
constitute compliance with the emission
limit for PM and no separate emission
test for PM is required. In this case, the
owner or operator of the unvented inline flux box must use the maximum
permissible PM emission rate for the inline flux boxes when determining the
total emissions for any SAPU which
includes the flux box.
*
*
*
*
*
(j) Secondary aluminum processing
unit. The owner or operator must
conduct performance tests as described
in paragraphs (j)(1) through (3) of this
section. The results of the performance
tests are used to establish emission rates
in lb/ton of feed/charge for PM, HCl and
HF and mg TEQ/Mg of feed/charge for D/
F emissions from each emission unit.
These emission rates are used for
compliance monitoring in the
calculation of the 3-day, 24-hour rolling
average emission rates using the
equation in § 63.1510(t). A performance
test is required for:
(1) * * *
(i) Emissions of HF and HCl (for
determining the emission limit); or
*
*
*
*
*
(2) * * *
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(i) Emissions of HF and HCl (for
determining the emission limit); or
*
*
*
*
*
(o) Flux injection rate. The owner or
operator must use these procedures to
establish an operating parameter value
or range for the total reactive chlorine
flux injection rate and, for uncontrolled
furnaces, the total reactive fluorine flux
injection rate.
(1) Continuously measure and record
the weight of gaseous or liquid reactive
flux injected for each 15 minute period
during the HCl, HF and D/F tests,
determine and record the 15-minute
block average weights, and calculate
and record the total weight of the
gaseous or liquid reactive flux for the 3
test runs;
*
*
*
*
*
(3) Determine the total reactive
chlorine flux injection rate and, for
uncontrolled furnaces, the total reactive
fluorine flux injection rate by adding the
recorded measurement of the total
weight of chlorine and, for uncontrolled
furnaces, fluorine in the gaseous or
liquid reactive flux injected and the
total weight of chlorine and, for
uncontrolled furnaces, fluorine in the
solid reactive flux using Equation 5:
Where:
Wt = Total chlorine or fluorine usage, by
weight;
F1 = Fraction of gaseous or liquid flux that
is chlorine or fluorine;
W1 = Weight of reactive flux gas injected;
F2 = Fraction of solid reactive chloride flux
that is chlorine (e.g., F = 0.75 for
magnesium chloride) or fraction of solid
reactive fluoride flux that is fluorine
(e.g., F = 0.33 for potassium fluoride);
and
W2 = Weight of solid reactive flux;
total weight of feed for the 3 test runs;
and
(5) If a solid reactive flux other than
magnesium chloride or potassium
fluoride is used, the owner or operator
must derive the appropriate proportion
factor subject to approval by the
permitting authority for major sources,
or the Administrator for area sources.
*
*
*
*
*
(p) * * *
(2) Record the feeder setting and lime
injection rate for the 3 test runs. If the
feed rate setting and lime injection rates
vary between the runs, determine and
record the average feed rate and lime
injection rate from the 3 runs.
*
*
*
*
*
■ 11. Section 63.1513 is amended by
revising the paragraph (b) heading and
paragraphs (b)(1), (d), and (e)(1) through
(3), and adding paragraph (f) to read as
follows:
(d) Conversion of D/F measurements
to TEQ units. To convert D/F
measurements to TEQ units, the owner
or operator must use the procedures and
equations in Interim Procedures for
Estimating Risks Associated with
Exposures to Mixtures of Chlorinated
Dibenzo-p-Dioxins and -Dibenzofurans
(CDDs and CDFs) and 1989 Update,
incorporated by reference see § 63.14.
(e) * * *
(1) Use Equation 9 to compute the
mass-weighted PM emissions for a
secondary aluminum processing unit.
Compliance is achieved if the massweighted emissions for the secondary
aluminum processing unit (EcPM) is less
than or equal to the emission limit for
the secondary aluminum processing
unit (LcPM) calculated using Equation 1
in § 63.1505(k).
sum of the average feed rates for all
emission units in the group of cocontrolled emission units i; and
n = The number of emission units, and
groups of co-controlled emission units in
the secondary aluminum processing
unit.
emissions for the secondary aluminum
processing unit. Compliance is achieved
if the mass-weighted emissions for the
secondary aluminum processing unit
(EcHCl/HF) is less than or equal to the
emission limit for the secondary
aluminum processing unit (LcHCl/HF)
calculated using Equation 2 in
§ 63.1505(k).
*
*
*
*
Where:
EcPM = The mass-weighted PM emissions for
the secondary aluminum processing
unit;
EtiPM = Measured PM emissions for
individual emission unit, or group of cocontrolled emission units, i;
Tti = The average feed rate for individual
emission unit i during the operating
cycle or performance test period, or the
VerDate Sep<11>2014
19:34 Sep 17, 2015
Jkt 235001
(2) Use Equation 10 to compute the
aluminum mass-weighted HCl or HF
PO 00000
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E:\FR\FM\18SER2.SGM
18SER2
ER18SE15.013
mstockstill on DSK4VPTVN1PROD with RULES2
*
*
*
*
*
(b) PM, HCl, HF and D/F emission
limits. (1) Use Equation 7 of this section
to determine compliance with an
emission limit for PM, HCl or HF:
ER18SE15.012
Where:
E = Emission rate of PM, HCl or HF, in kg/
Mg (lb/ton) of feed;
C = Concentration of PM, HCl or HF, in g/
dscm (gr/dscf);
Q = Volumetric flow rate of exhaust gases, in
dscm/hr (dscf/hr);
K1 = Conversion factor, 1 kg/1,000 g (1 lb/
7,000 gr); and
P = Production rate, in Mg/hr (ton/hr).
*
ER18SE15.011
(4) Divide the weight of total chlorine
or fluorine usage (Wt) for the 3 test runs
by the recorded measurement of the
§ 63.1513 Equations for determining
compliance.
Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
56749
less than or equal to the emission limit
for the secondary aluminum processing
unit (LcD/F) calculated using Equation 3
in § 63.1505(k).
Where:
EcD/F = The mass-weighted D/F emissions for
the secondary aluminum processing
unit; and
EtiD/F = Measured D/F emissions for
individual emission unit, or group of cocontrolled emission units i.
from your most recent performance test
associated with a production rate greater
than zero, or the rated capacity of the
affected source if no prior performance
test data is available.
■ 12. Section 63.1514 is added to read
as follows:
(iii) The emission factors for this
mode of operation for use in the
demonstration of compliance with the
emission limits for SAPUs specified in
§ 63.1505(k) must be determined.
(2) Operators of major sources must
conduct performance tests for PM, HCl,
HF and D/F, according to the
procedures in § 63.1512(e) without
operating a control device if compliance
has not been previously demonstrated
for this operating mode. Performance
tests must be repeated at least once
every 5 years to demonstrate
compliance for each operating mode.
(i) Testing under this paragraph must
be conducted in accordance with
§ 63.1511(b)(1) in the uncontrolled
mode.
(ii) Testing under this paragraph must
be conducted with furnace emissions
captured in accordance with the
provisions of § 63.1506(c) and directed
to the stack or vent tested.
(iii) Operating parameters
representing uncontrolled operation
must be established during these tests,
as required by § 63.1511(g). For furnaces
in batch (cyclic) operation, the number
of tap-to-tap cycles (including zero, if
none) elapsed using the feed/charge
type, feed/charge rate and flux rate must
be established as a parameter to be met
before changing to uncontrolled mode.
For furnaces in continuous (non-cyclic)
operation, the time period elapsed
(including no time, if none) using the
feed/charge type, feed/charge rate and
flux rate must be established as a
parameter to be met before changing to
uncontrolled mode.
(iv) The emission factors for this
mode of operation for use in the
demonstration of compliance with the
mstockstill on DSK4VPTVN1PROD with RULES2
*
*
*
*
*
(f) Periods of startup and shutdown.
For a new or existing affected source, or
a new or existing emission unit subject
to an emissions limit in paragraphs
§ 63.1505(b) through (j) expressed in
units of pounds per ton of feed/charge,
or mg TEQ or ng TEQ per Mg of feed/
charge, demonstrate compliance during
periods of startup and shutdown in
accordance with paragraph (f)(1) of this
section or determine your emissions per
unit of feed/charge during periods of
startup and shutdown in accordance
with paragraph (f)(2) of this section.
Startup and shutdown emissions for
group 1 furnaces and in-line fluxers
must be calculated individually, and not
on the basis of a SAPU. Periods of
startup and shutdown are excluded
from the calculation of SAPU emission
limits in § 63.1505(k), the SAPU
monitoring requirements in § 63.1510(t)
and the SAPU emissions calculations in
§ 63.1513(e).
(1) For periods of startup and
shutdown, records establishing a feed/
charge rate of zero, a flux rate of zero,
and that the affected source or emission
unit was either heated with electricity,
propane or natural gas as the sole
sources of heat or was not heated, may
be used to demonstrate compliance with
the emission limit, or
(2) For periods of startup and
shutdown, divide your measured
emissions in lb/hr or mg/hr or ng/hr by
the feed/charge rate in tons/hr or Mg/hr
VerDate Sep<11>2014
19:34 Sep 17, 2015
Jkt 235001
§ 63.1514 Change of Furnace
Classification.
The requirements of this section are
in addition to the other requirements of
this subpart that apply to group 1 and
group 2 furnaces.
(a) Changing from a group 1
controlled furnace processing other than
clean charge to group 1 uncontrolled
furnace processing other than clean
charge. An owner or operator wishing to
change operating modes must conduct
performance tests in accordance with
§§ 63.1511 and 63.1512 to demonstrate
to the permitting authority for major
sources, or the Administrator for area
sources that compliance can be
achieved under both modes. Operating
parameters relevant to each mode of
operation must be established during
the performance test.
(1) Operators of major sources must
conduct performance tests for PM, HCl
and D/F, according to the procedures in
§ 63.1512(d) with the capture system
and control device operating normally if
compliance has not been previously
demonstrated in this operating mode.
Performance tests must be repeated at
least once every 5 years to demonstrate
compliance for each operating mode.
(i) Testing under this paragraph must
be conducted in accordance with
§ 63.1511(b)(1) in the controlled mode.
(ii) Operating parameters must be
established during these tests, as
required by § 63.1511(g).
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E:\FR\FM\18SER2.SGM
18SER2
ER18SE15.015
(3) Use Equation 11 to compute the
aluminum mass-weighted D/F
emissions for the secondary aluminum
processing unit. Compliance is achieved
if the mass-weighted emissions for the
secondary aluminum processing unit is
ER18SE15.014
Where:
EcHCl/HF = The mass-weighted HCl or HF
emissions for the secondary aluminum
processing unit; and
EtiHCl/HF = Measured HCl or HF emissions for
individual emission unit, or group of cocontrolled emission units i.
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56750
Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
emission limits for SAPUs specified in
§ 63.1505(k) must be determined.
(3) Operators of area sources must
conduct performance tests for D/F,
according to the procedures in
§ 63.1512(d) with the capture system
and control device operating normally,
if compliance has not been previously
demonstrated for this operating mode.
(i) Testing under this paragraph must
be conducted in accordance with
§ 63.1511(b)(1) in the controlled mode.
(ii) Operating parameters must be
established during these tests, as
required by § 63.1511(g).
(iii) The D/F emission factor for this
mode of operation for use in the
demonstration of compliance with the
emission limits for SAPUs specified in
§ 63.1505(k) must be determined.
(4) Operators of area sources must
conduct performance tests for D/F,
according to the procedures in
§ 63.1512(e) without operating a control
device, if compliance has not been
previously demonstrated for this
operating mode.
(i) Testing under this paragraph must
be conducted in accordance with
§ 63.1511(b)(1).
(ii) Testing under this paragraph must
be conducted with furnace emissions
captured in accordance with the
provisions of § 63.1506(c) and directed
to the stack or vent tested.
(iii) Operating parameters
representing uncontrolled operation
must be established during these tests,
as required by § 63.1511(g). For furnaces
in batch (cyclic) operation, the number
of tap-to-tap cycles (including zero, if
none) elapsed using the feed/charge
type, feed/charge rate and flux rate must
be established as a parameter to be met
before changing to uncontrolled mode.
For furnaces in continuous (non-cyclic)
operation, the time period elapsed
(including no time, if none) using the
feed/charge type, feed/charge rate and
flux rate must be established as a
parameter to be met before changing to
uncontrolled mode.
(iv) The D/F emission factor for this
mode of operation for use in the
demonstration of compliance with the
emission limits for SAPUs specified in
§ 63.1505(k) must be determined.
(5) To change modes of operation
from uncontrolled to controlled, the
owner or operator must perform the
following, before charging scrap to the
furnace that exceeds the contaminant
level established for uncontrolled mode:
(i) Change the label on the furnace to
reflect controlled operation;
(ii) Direct the furnace emissions to the
control device;
(iii) Turn on the control device and
begin lime addition to the control
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19:34 Sep 17, 2015
Jkt 235001
device at the rate established for
controlled mode; and
(iv) Ensure the control device is
operating properly.
(6) To change modes of operation
from controlled to uncontrolled, the
owner or operator must perform the
following, before turning off or
bypassing the control device:
(i) Change the label on the furnace to
reflect uncontrolled operation;
(ii) Charge scrap with a level of
contamination no greater than that used
in the performance test for uncontrolled
furnaces for the number of tap-to-tap
cycles that elapsed (or, for continuously
operated furnaces, the time elapsed)
before the uncontrolled mode
performance test was conducted; and
(iii) Decrease the flux addition rate to
no higher than the flux addition rate
used in the uncontrolled mode
performance test.
(7) In addition to the recordkeeping
requirements of § 63.1517, the owner or
operator must maintain records of the
nature of each mode change (controlled
to uncontrolled, or uncontrolled to
controlled), the time the change is
initiated, and the time the exhaust gas
is diverted from control device to
bypass or bypass to control device.
(b) Changing from a group 1
controlled furnace processing other than
clean charge to a group 1 uncontrolled
furnace processing clean charge. An
owner or operator wishing to change
operating modes must conduct
performance tests in accordance with
§§ 63.1511 and 63.1512 to demonstrate
to the permitting authority for major
sources, or the Administrator for area
sources that compliance can be
achieved in both modes. Operating
parameters relevant to each mode of
operation must be established during
the performance test.
(1) Operators of major sources must
conduct performance tests for PM, HCl
and D/F, according to the procedures in
§ 63.1512(d) with the capture system
and control device operating normally if
compliance has not been previously
demonstrated in this operating mode.
Performance tests must be repeated at
least once every 5 years to demonstrate
compliance for each operating mode.
(i) Testing under this paragraph must
be conducted in accordance with
§ 63.1511(b)(1) in the controlled mode.
(ii) Operating parameters must be
established during these tests, as
required by § 63.1511(g).
(iii) The emission factors for this
mode of operation for use in the
demonstration of compliance with the
emission limits for SAPUs specified in
§ 63.1505(k) must be determined.
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Fmt 4701
Sfmt 4700
(2) Operators of major sources must
conduct performance tests for PM, HCl,
HF and D/F, according to the
procedures in § 63.1512(e) without
operating a control device if compliance
has not been previously demonstrated
for this operating mode. Performance
tests must be repeated at least once
every 5 years to demonstrate
compliance for each operating mode.
(i) Testing under this paragraph may
be conducted at any time after operation
with clean charge has commenced.
(ii) Testing under this paragraph must
be conducted with furnace emissions
captured in accordance with the
provisions of § 63.1506(c) and directed
to the stack or vent tested.
(iii) Operating parameters
representing uncontrolled operation
must be established during these tests,
as required by § 63.1511(g). For furnaces
in batch (cyclic) operation, the number
of tap-to-tap cycles (including zero, if
none) elapsed using the feed/charge
type, feed/charge rate and flux rate must
be established as a parameter to be met
before changing to uncontrolled mode.
For furnaces in continuous (non-cyclic)
operation, the time period elapsed
(including no time if none) using the
feed/charge type, feed/charge rate and
flux rate must be established as a
parameter to be met before changing to
uncontrolled mode.
(iv) Emissions of D/F during this test
must not exceed 1.5 mg TEQ/Mg of feed/
charge.
(v) The emission factors for this mode
of operation for use in the
demonstration of compliance with the
emission limits for SAPUs specified in
§ 63.1505(k), must be determined.
(3) Operators of area sources must
conduct performance tests for D/F,
according to the procedures in
§ 63.1512(d) with the capture system
and control device operating normally,
if compliance has not been previously
demonstrated for this operating mode.
(i) Testing under this paragraph must
be conducted in accordance with
§ 63.1511(b)(1).
(ii) Operating parameters must be
established during these tests, as
required by § 63.1511(g).
(iii) The D/F emission factor for this
mode of operation for use in the
demonstration of compliance with the
emission limits for SAPUs specified in
§ 63.1505(k) must be determined.
(4) Operators of area sources must
conduct performance tests for D/F,
according to the procedures in
§ 63.1512(e) without operating a control
device if compliance has not been
previously demonstrated for this
operating mode.
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Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
(i) Testing under this paragraph must
be conducted at any time after operation
with clean charge has commenced and
must be conducted in accordance with
§ 63.1511(b)(1) and under representative
conditions expected to produce the
highest level of D/F in the uncontrolled
mode.
(ii) Testing under this paragraph must
be conducted with furnace emissions
captured in accordance with the
provisions of § 63.1506(c) and directed
to the stack or vent tested.
(iii) Operating parameters
representing uncontrolled operation
must be established during these tests,
as required by § 63.1511(g). For furnaces
in batch (cyclic) operation, the number
of tap-to-tap cycles elapsed (including
zero, if none) using the feed/charge
type, feed/charge rate and flux rate must
be established as a parameter to be met
before changing to uncontrolled mode.
For furnaces in continuous (non-cyclic)
operation, the time period elapsed
(including no time, if none) using the
feed/charge type, feed/charge rate and
flux rate must be established as a
parameter to be met before changing to
uncontrolled mode.
(iv) Emissions of D/F during this test
must not exceed 1.5 mg TEQ/Mg of feed/
charge.
(5) To change modes of operation
from uncontrolled to controlled, the
owner or operator must perform the
following, before charging scrap to the
furnace that exceeds the contaminant
level established for uncontrolled mode:
(i) Change the label on the furnace to
reflect controlled operation;
(ii) Direct the furnace emissions to the
control device;
(iii) Turn on the control device and
begin lime addition to the control
device at the rate established for
controlled mode; and
(iv) Ensure the control device is
operating properly.
(6) To change modes of operation
from controlled to uncontrolled, the
owner or operator must perform the
following, before turning off or
bypassing the control device:
(i) Change the label on the furnace to
reflect uncontrolled operation;
(ii) Charge clean charge for the
number of tap-to-tap cycles that elapsed
(or, for continuously operated furnaces,
the time elapsed) before the
uncontrolled mode performance test
was conducted; and
(iii) Decrease the flux addition rate to
no higher than the flux addition rate
used in the uncontrolled mode
performance test.
(7) In addition to the recordkeeping
requirements of § 63.1517, the owner or
operator must maintain records of the
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19:34 Sep 17, 2015
Jkt 235001
nature of each mode change (controlled
to uncontrolled, or uncontrolled to
controlled), the time the furnace
operating mode change is initiated, and
the time the exhaust gas is diverted from
control device to bypass or from bypass
to control device.
(c) Changing from a group 1
controlled or uncontrolled furnace to a
group 2 furnace. An owner or operator
wishing to change operating modes
must conduct performance tests in
accordance with §§ 63.1511 and 63.1512
to demonstrate to the permitting
authority for major sources, or the
Administrator for area sources that
compliance can be achieved under both
modes and establish the number of
cycles (or time) of operation with clean
charge and no reactive flux addition
necessary before changing to group 2
mode. Operating parameters relevant to
group 1 operation must be established
during the performance test.
(1) Operators of major sources must
conduct performance tests for PM, HCl
and D/F (and HF for uncontrolled group
1 furnaces) according to the procedures
in § 63.1512 if compliance has not been
previously demonstrated for the
operating mode. Controlled group 1
furnaces must conduct performance
tests according to the procedures in
§ 63.1512(d) with the capture system
and control device operating normally.
Uncontrolled group 1 furnaces must
conduct performance tests according to
the procedures in § 63.1512(e) without
operating a control device. Performance
tests must be repeated at least once
every 5 years to demonstrate
compliance for each operating mode.
(i) Testing under this paragraph must
be conducted in accordance with
§ 63.1511(b)(1) in both modes.
(ii) Operating parameters must be
established during these tests, as
required by § 63.1511(g).
(iii) The emission factors for this
mode of operation for use in the
demonstration of compliance with the
emission limits for SAPUs specified in
§ 63.1505(k) must be determined.
(2) While in compliance with the
operating requirements of § 63.1506(o)
for group 2 furnaces, operators of major
sources must conduct performance tests
for PM, HCl, HF and D/F, according to
the procedures in § 63.1512(e) without
operating a control device if compliance
has not been previously demonstrated
for this operating mode. Performance
tests must be repeated at least once
every 5 years to demonstrate
compliance for each operating mode.
(i) Testing under this paragraph may
be conducted at any time after the
furnace has commenced operation with
PO 00000
Frm 00053
Fmt 4701
Sfmt 4700
56751
clean charge and without reactive flux
addition.
(ii) Testing under this paragraph must
be conducted with furnace emissions
captured in accordance with the
provisions of § 63.1506(c) and directed
to the stack or vent tested.
(iii) Owners or operators must
demonstrate that emissions are no
greater than:
(A) 1.5 mg D/F (TEQ) per Mg of feed/
charge;
(B) 0.040 lb HCl or HF per ton of feed/
charge; and
(C) 0.040 lb PM per ton of feed/
charge.
(iv) The number of tap-to-tap cycles,
or time elapsed between starting
operation with clean charge and no
reactive flux addition and the group 2
furnace performance test must be
established as an operating parameter to
be met before changing to group 2 mode.
(3) Operators of area sources must
conduct a performance tests for D/F,
according to the procedures in § 63.1512
if compliance has not been previously
demonstrated for the operating mode.
Controlled group 1 furnaces must
conduct performance tests according to
the procedures in § 63.1512(d) with the
capture system and control device
operating normally. Uncontrolled group
1 furnaces must conduct performance
tests according to the procedures in
§ 63.1512(e) without operating a control
device.
(i) The performance tests must be
conducted in accordance with
§ 63.1511(b)(1) under representative
conditions expected to produce the
highest expected level of D/F in the
group 1 mode.
(ii) Operating parameters must be
established during these tests, as
required by § 63.1511(g).
(iii) The D/F emission factor for this
mode of operation, for use in the
demonstration of compliance with the
emission limits for SAPUs specified in
§ 63.1505(k) must be determined.
(4) While in compliance with the
operating requirements of § 63.1506(o)
for group 2 furnaces, operators of area
sources must conduct performance tests
for D/F, according to the procedures in
§ 63.1512(e) without operating a control
device if compliance has not been
previously demonstrated for this
operating mode.
(i) Testing under this paragraph may
be conducted at any time after the
furnace has commenced operation with
clean charge, and without reactive flux
addition.
(ii) Testing under this paragraph must
be conducted with furnace emissions
captured in accordance with the
E:\FR\FM\18SER2.SGM
18SER2
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56752
Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
provisions of § 63.1506(c) and directed
to the stack or vent tested.
(iii) Owners or operators must
demonstrate that emissions are no
greater than 1.5 mg D/F (TEQ) per Mg of
feed/charge.
(iv) The number of tap-to-tap cycles,
or time elapsed between starting
operation with clean charge and no
reactive flux and the group 2 furnace
performance tests must be established as
an operating parameter to be met before
changing to group 2 mode.
(5) To change modes of operation
from a group 2 furnace to a group 1
furnace, the owner or operator must
perform the following before adding
other than clean charge and before
adding reactive flux to the furnace:
(i) Change the label on the furnace to
reflect group 1 operation;
(ii) Direct the furnace emissions to the
control device, if it is equipped with a
control device;
(iii) If the furnace is equipped with a
control device, turn on the control
device and begin lime addition to the
control device at the rate established for
group 1 mode; and
(iv) Ensure the control device is
operating properly.
(6) To change mode of operation from
a group 1 furnace to group 2 furnace, the
owner or operator must perform the
following, before turning off or
bypassing the control device:
(i) Change the label on the furnace to
reflect group 2 operation;
(ii) Charge clean charge for the
number of tap-to-tap cycles that elapsed
(or, for continuously operated furnaces,
the time elapsed) before the group 2
performance test was conducted; and,
(iii) Use no reactive flux.
(7) In addition to the recordkeeping
requirements of § 63.1517, the owner or
operator must maintain records of the
nature of each mode change (controlled
or uncontrolled to group 2), the time the
change is initiated, and the time the
exhaust gas is diverted from control
device to bypass or from bypass to
control device.
(d) Changing from a group 1
controlled or uncontrolled furnace to
group 2 furnace, for tilting reverberatory
furnaces capable of completely
removing furnace contents between
batches. An owner or operator of a
tilting reverberatory furnace capable of
completely removing furnace contents
between batches who wishes to change
operating modes must conduct
performance tests in accordance with
§§ 63.1511 and 63.1512 to demonstrate
to the permitting authority for major
sources, or the Administrator for area
sources that compliance can be
achieved under group 1 modes.
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19:34 Sep 17, 2015
Jkt 235001
Operating parameters relevant to group
1 operation must be established during
the performance test.
(1) Operators of major sources must
conduct performance tests for PM, HCl,
and D/F (and HF for uncontrolled
furnaces) according to the procedures in
§ 63.1512 if compliance has not been
previously demonstrated for this
operating mode. Controlled group 1
furnaces must conduct performance
tests with the capture system and
control device operating normally if
compliance has not been previously
demonstrated for the operating mode.
Controlled group 1 furnaces must
conduct performance tests according to
the procedures in § 63.1512(d) with the
capture system and control device
operating normally. Uncontrolled group
1 furnaces must conduct performance
tests according to the procedures in
§ 63.1512(e) without operating a control
device. Performance tests must be
repeated at least once every 5 years to
demonstrate compliance for each
operating mode.
(i) Testing under this paragraph must
be conducted in accordance with
§ 63.1511(b)(1) in both modes.
(ii) Operating parameters must be
established during these tests, as
required by § 63.1511(g).
(iii) The emission factors for this
mode of operation for use in the
demonstration of compliance with the
emission limits for SAPUs specified in
§ 63.1505(k), must be determined.
(2) Operators of area sources must
conduct performance tests for D/F
according to the procedures in § 63.1512
if compliance has not been previously
demonstrated for this operating mode.
Controlled group 1 furnaces must
conduct performance tests according to
the procedures in § 63.1512(d) with the
capture system and control device
operating normally. Uncontrolled group
1 furnaces must conduct performance
tests according to the procedures in
§ 63.1512(e) without operating a control
device.
(i) The performance test must be
conducted in accordance with
§ 63.1511(b)(1) under representative
conditions expected to produce the
highest expected level of D/F in the
group 1 mode.
(ii) Operating parameters must be
established during these tests, as
required by § 63.1511(g).
(iii) The D/F emission factor for this
mode of operation for use in the
demonstration of compliance with the
emission limits for SAPUs specified in
§ 63.1505(k) must be determined.
(3) To change modes of operation
from a group 1 furnace to a group 2
furnace, the owner or operator must
PO 00000
Frm 00054
Fmt 4701
Sfmt 4700
perform the following before turning off
or bypassing the control device:
(i) Completely remove all aluminum
from the furnace;
(ii) Change the label on the furnace to
reflect group 2 operation;
(iii) Use only clean charge; and
(iv) Use no reactive flux.
(4) To change modes of operation
from a group 2 furnace to a group 1
furnace, the owner or operator must
perform the following before adding
other than clean charge and before
adding reactive flux to the furnace:
(i) Change the label on the furnace to
reflect group 1 operation;
(ii) Direct the furnace emissions to the
control device, if it is equipped with a
control device;,
(iii) If the furnace is equipped with a
control device, turn on the control
device and begin lime addition to the
control device at the rate established for
group 1 mode; and
(iv) Ensure the control device is
operating properly.
(5) In addition to the recordkeeping
requirements of § 63.1517, the owner or
operator must maintain records of the
nature of each mode change (group 1 to
group 2, or group 2 to group 1), the time
the furnace operating mode change is
initiated, and, if the furnace is equipped
with a control device, the time the
exhaust gas is diverted from control
device to bypass or from bypass to
control device.
(e) Limit on Frequency of changing
furnace operating mode. (1) Changing
furnace operating mode including
reversion to the previous mode, as
provided in paragraphs (a) through (d)
of this section, may not be done more
frequently than 4 times in any 6-month
period unless you receive approval from
the permitting authority or
Administrator for additional changes
pursuant to paragraph (e)(2).
(2) If additional changes are needed,
the owner or operator must apply in
advance to the permitting authority, for
major sources, or the Administrator, for
area sources, for approval of the
additional changes in operating mode.
■ 13. Section 63.1515 is amended by:
■ a. Revising paragraphs (a)
introductory text, and (b)(4); and
■ b. Removing paragraph (b)(10).
The revisions read as follows:
§ 63.1515
Notifications.
(a) Initial notifications. The owner or
operator must submit initial
notifications to the permitting authority
for major sources, or the Administrator
for area sources as described in
paragraphs (a)(1) through (7) of this
section.
*
*
*
*
*
E:\FR\FM\18SER2.SGM
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Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
(b) * * *
(4) The compliant operating
parameter value or range established for
each affected source or emission unit
with supporting documentation and a
description of the procedure used to
establish the value (e.g., lime injection
rate, total reactive chlorine flux
injection rate, total reactive fluorine flux
injection rate for uncontrolled group 1
furnaces, afterburner operating
temperature, fabric filter inlet
temperature), including the operating
cycle or time period used in the
performance test.
*
*
*
*
*
■ 14. Section 63.1516 is amended by:
■ a. Removing and reserving paragraph
(a);
■ b. Revising paragraph (b) introductory
text;
■ c. Removing and reserving paragraph
and (b)(1)(v);
■ d. Adding paragraphs (b)(2)(vii) and
(b)(3)(i);
■ e. Revising paragraph (c) introductory
text; and
■ f. Adding paragraphs (d) and (e).
The additions and revisions read as
follows:
§ 63.1516
Reports.
mstockstill on DSK4VPTVN1PROD with RULES2
*
*
*
*
*
(b) Excess emissions/summary report.
The owner or operator of a major or area
source must submit semiannual reports
according to the requirements in
§ 63.10(e)(3). Except, the owner or
operator must submit the semiannual
reports within 60 days after the end of
each 6-month period instead of within
30 days after the calendar half as
specified in § 63.10(e)(3)(v). When no
deviations of parameters have occurred,
the owner or operator must submit a
report stating that no excess emissions
occurred during the reporting period.
*
*
*
*
*
(2) * * *
(vii) For each affected source choosing
to demonstrate compliance during
periods of startup and shutdown in
accordance with § 63.1513(f)(1): ‘‘During
each startup and shutdown, no flux and
no feed/charge were added to the
emission unit, and electricity, propane
or natural gas were used as the sole
source of heat or the emission unit was
not heated.’’
*
*
*
*
*
(3) * * *
(i) Within 60 days after the date of
completing each performance test (as
defined in § 63.2) required by this
subpart, you must submit the results of
the performance tests, including any
associated fuel analyses, following the
procedure specified in either paragraph
(b)(3)(i)(A) or (B) of this section.
VerDate Sep<11>2014
19:34 Sep 17, 2015
Jkt 235001
(A) For data collected using test
methods supported by the EPA’s
Electronic Reporting Tool (ERT) as
listed on the EPA’s ERT Web site
(https://www.epa.gov/ttn/chief/ert/
index.html), you must submit the results
of the performance test to the EPA via
the Compliance and Emissions Data
Reporting Interface (CEDRI). CEDRI can
be accessed through the EPA’s Central
Data Exchange (CDX) (https://
cdx.epa.gov/epa_home.asp).
Performance test data must be submitted
in a file format generated through the
use of the EPA’s ERT. Alternatively, you
may submit performance test data in an
electronic file format consistent with the
extensible markup language (XML)
schema listed on the EPA’s ERT Web
site once the XML schema is available.
If you claim that some of the
performance test information being
submitted is confidential business
information (CBI), you must submit a
complete file generated through the use
of the EPA’s ERT or an alternate
electronic file consistent with the XML
schema listed on the EPA’s ERT Web
site, including information claimed to
be CBI, on a compact disc, flash drive,
or other commonly used electronic
storage media to the EPA. The electronic
media must be clearly marked as CBI
and mailed to U.S. EPA/OAPQS/CORE
CBI Office, Attention: Group Leader,
Measurement Policy Group, MD C404–
02, 4930 Old Page Rd., Durham, NC
27703. The same ERT or alternate file
with the CBI omitted must be submitted
to the EPA via the EPA’s CDX as
described earlier in this paragraph.
(B) For data collected using test
methods that are not supported by the
EPA’s ERT as listed on the EPA’s ERT
Web site, you must submit the results of
the performance test to the
Administrator at the appropriate
address listed in § 63.13.
*
*
*
*
*
(c) Annual compliance certifications.
For the purpose of annual certifications
of compliance required by 40 CFR part
70 or 71, the owner or operator of a
major source subject to this subpart
must certify continuing compliance
based upon, but not limited to, the
following conditions:
*
*
*
*
*
(d) If there was a malfunction during
the reporting period, the owner or
operator must submit a report that
includes the emission unit ID, monitor
ID, pollutant or parameter monitored,
beginning date and time of the event,
end date and time of the event, cause of
the deviation or exceedance and
corrective action taken for each
malfunction which occurred during the
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56753
reporting period and which caused or
may have caused any applicable
emission limitation to be exceeded. The
report must include a list of the affected
source or equipment, an estimate of the
quantity of each regulated pollutant
emitted over any emission limit, and a
description of the method used to
estimate the emissions, including, but
not limited to, product-loss calculations,
mass balance calculations,
measurements when available, or
engineering judgment based on known
process parameters. The report must
also include a description of actions
taken by an owner or operator during a
malfunction of an affected source to
minimize emissions in accordance with
§§ 63.1506(a)(5) and 63.1520(a)(8).
(e) All reports required by this subpart
not subject to the requirements in
paragraph (b) of this section must be
sent to the Administrator at the
appropriate address listed in § 63.13. If
acceptable to both the Administrator
and the owner or operator of a source,
these reports may be submitted on
electronic media. The Administrator
retains the right to require submittal of
reports subject to paragraph (b) of this
section in paper format.
■ 15. Section 63.1517 is amended by:
■ a. By revising paragraphs (b)(1)(iii),
(b)(4)(ii), (b)(14);
■ b. By removing and reserving
paragraph (b)(16)(i); and
■ c. By adding paragraphs (b)(18)
through (20).
The additions and revisions read as
follows:
§ 63.1517
Records.
*
*
*
*
*
(b) * * *
(1) * * *
(iii) If an aluminum scrap shredder is
subject to visible emission observation
requirements, records of all Method 9
observations, including records of any
visible emissions during a 30-minute
daily test or records of all ASTM
D7520–13 observations (incorporated by
reference, see § 63.14), including data
sheets and all raw unaltered JPEGs used
for opacity determination, with a brief
explanation of the cause of the
emissions, the time the emissions
occurred, the time corrective action was
initiated and completed, and the
corrective action taken.
*
*
*
*
*
(4) * * *
(ii) If lime feeder setting is monitored,
records of daily and monthly
inspections of feeder setting, including
records of any deviation of the feeder
setting from the setting used in the
performance test, with a brief
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Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
mstockstill on DSK4VPTVN1PROD with RULES2
explanation of the cause of the deviation
and the corrective action taken. If a lime
feeder has been repaired or replaced,
this action must be documented along
with records of the new feeder
calibration and the feed mechanism set
points necessary to maintain the lb/hr
feed rate operating limit. These records
must be maintained on site and
available upon request.
*
*
*
*
*
(14) Records of annual inspections of
emission capture/collection and closed
vent systems or, if the alternative to the
annual flow rate measurements is used,
records of differential pressure; fan RPM
or fan motor amperage; static pressure
measurements; or duct centerline
velocity using a hotwire anemometer,
ultrasonic flow meter, cross-duct
pressure differential sensor, venturi
pressure differential monitoring or
orifice plate equipped with an
associated thermocouple, as
appropriate.
*
*
*
*
*
(18) For any failure to meet an
applicable standard, the owner or
operator must maintain the following
records;
(i) Records of the emission unit ID,
monitor ID, pollutant or parameter
monitored, beginning date and time of
the event, end date and time of the
VerDate Sep<11>2014
19:34 Sep 17, 2015
Jkt 235001
event, cause of the deviation or
exceedance and corrective action taken.
(ii) Records of actions taken during
periods of malfunction to minimize
emissions in accordance with
§§ 63.1506(a)(5) and 63.1520(a)(8),
including corrective actions to restore
malfunctioning process and air
pollution control and monitoring
equipment to its normal or usual
manner of operation.
(19) For each period of startup or
shutdown for which the owner or
operator chooses to demonstrate
compliance for an affected source, the
owner or operator must comply with
(b)(19)(i) or (ii) of this section.
(i) To demonstrate compliance based
on a feed/charge rate of zero, a flux rate
of zero and the use of electricity,
propane or natural gas as the sole
sources of heating or the lack of heating,
the owner or operator must submit a
semiannual report in accordance with
§ 63.1516(b)(2)(vii) or maintain the
following records:
(A) The date and time of each startup
and shutdown;
(B) The quantities of feed/charge and
flux introduced during each startup and
shutdown; and
(C) The types of fuel used to heat the
unit, or that no fuel was used, during
startup and shutdown; or
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(ii) To demonstrate compliance based
on performance tests, the owner or
operator must maintain the following
records:
(A) The date and time of each startup
and shutdown;
(B) The measured emissions in lb/hr
or mg/hr or ng/hr;
(C) The measured feed/charge rate in
tons/hr or Mg/hr from your most recent
performance test associated with a
production rate greater than zero, or the
rated capacity of the affected source if
no prior performance test data is
available; and
(D) An explanation to support that
such conditions are considered
representative startup and shutdown
operations.
(20) For owners or operators that
choose to change furnace operating
modes, the following records must be
maintained:
(i) The date and time of each change
in furnace operating mode, and
(ii)The nature of the change in
operating mode (for example, group 1
controlled furnace processing other than
clean charge to group 2).
*
*
*
*
*
16. Table 1 to Subpart RRR of part 63
is revised to read as follows:
E:\FR\FM\18SER2.SGM
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Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
56755
Table 1 to Subpart RRR of Part 63-Emission Standards for New and
Existing Affected Sources
Affected source/ Emission unit
All new and existing affected
sources and emission units that are
controlled with a PM add-on control
device and that choose to monitor
with a continuous opacity monitor
(COM); and all new and existing
aluminum scrap shredders that choose
to monitor with a COM or to monitor
visible emissions
New and existing aluminum scrap
shredder
New and existing thermal chip dryer
Polltuant
Opacity
Limit
10
Units
percent
PM
0.01
gr/dscf
THC
0/Fa
PM
HCl
THC
0/Fa
0.80
2.50
0.08
0.80
0.06
0.25
lb/ton of
j.lg TEQ/Mg
lb/ton of
lb/ton of
lb/ton of
j.lg TEQ/Mg
0.30
lb/ton of feed
lb/ton of feed
lb/ton of feed
j.lg TEQ/Mg of feed
ng TEQ/dscm
11% 02b
lb/ton of feed
lb/ton of feed
lb/ton of feed
Work practice: no
reactive fluxing
gr/dscf
Work practices:
clean charge only
and no reactive
fluxing
lb/ton of feed
lb/ton of feed
lb/ton of feed
New and existing scrap
dryer/delacquering kiln/decoating
kiln
feed
of feed
feed
feed
feed
of feed
Or
PM
HCl
THC
0/Fa
0/Fa
New and existing dross-only furnace
New and existing in-line fluxerc
PM
HCl
PM
New and existing in-line fluxer with
no reactive fluxing
New and existing rotary dross cooler
New and existing clean furnace
(Group 2)
New and existing group 1
melting/holding furnace (processing
only clean charge)c
mstockstill on DSK4VPTVN1PROD with RULES2
New and existing group 1 furnacec
PM
PM
HFh
HCl
PM
HFh
HCl
0/Fa
VerDate Sep<11>2014
19:34 Sep 17, 2015
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1. 50
0.20
5.0
0.80
0.30
0.04
0.01
No
Limit
0.04
No
Limit
0.80
0.40
0.40
or
10
0.40
0.40
0.40
or
10
15.0
E:\FR\FM\18SER2.SGM
percent of the HCl
upstream of the
add-on control
device
lb/ton of feed
lb/ton of feed
lb/ton of feed
percent of the HCl
upstream of the
add-on control
device
j.lg TEQ/Mg of feed
18SER2
ER18SE15.016
Alternative limits i f afterburner
has a design residence time of at
least 1 second and operates at a
temperature of at least 1400°F
New and existing sweat furnace
56756
Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
Affected source/ Emission unit
New and existing group 1 furnace
with clean charge on lye
Polltuant
PM
HCl
HFh
0/Fa
New and existing secondary aluminum
processing unita,ct (consists of all
existing group 1 furnaces and
existing in-line flux boxes at the
facility, or any combination of new
group 1 furnaces and new in-line
fluxers)
Limit
0.40
0.40
0.40
or
10
Units
lb/ton of feed
lb/ton of feed
lb/ton of feed
percent of the HCl
upstream of an addon control device
Clean charge only
No
Limit
PMe
i:(L xT)
IPM
l
i~l
Lt PM -
(Eq. 1)
n
L(I:)
i~l
HCl and
HFf, h
f(LiHCl!HF
Lt HCl/HF
-
i=l
X
T;)
(Eq. 2)
n
L(T;)
i=l
0/Fg
I(L xT)
l D/F
Lt D/F
-
i=l
n
l
(Eq. 3)
I(I:)
i~l
a 0/F limit applies to a unit at a major or area source.
b
Sweat furnaces equipped with afterburners meeting the specifications of
63.1505(f) (1) are not required to conduct a performance test.
§
c
These limits are also used to calculate the limits applicable to secondary
aluminum processing units.
ct Equation definitions: LiPM = the PM emission limit for individual emission
unit i in the secondary aluminum processing unit [kg/Mg (lb/ton) of feed];
Ti = the feed rate for individual emission unit i in the secondary aluminum
processing unit; LtPM = the overall PM emission limit for the secondary
aluminum processing unit [kg/Mg (lb-ton) of feed]; LiHcl/HF = the HCl or HF
emission limit for individual emission unit i in the secondary aluminum
processing unit [kg/Mg (lb/ton) of feed]; LtHcl/HF = the overall HCl or HF
emission limit for the secondary aluminum processing unit [kg/Mg (lb/ton) of
feed]; LiD/F = the 0/F emission limit for individual emission unit i [pg
(TEQ) /Mg (gr TEQ/ton) of feed]; LtD/F = the overall 0/F emission limit for
the secondary aluminum processing unit [pg TEQ/Mg (gr TEQ/ton) of feed]; n
the number of units in the secondary aluminum processing unit.
e In-line fluxers using no reactive flux materials cannot be included in this
calculation since they are not subject to the PM limit.
g Clean charge furnaces cannot be included in this calculation since they are
not subject to the 0/F limit.
h HF limits apply only to uncontrolled group 1 furnaces.
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19:34 Sep 17, 2015
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18SER2
ER18SE15.017
mstockstill on DSK4VPTVN1PROD with RULES2
f In-line fluxers using no reactive flux materials cannot be included in this
calculation since they are not subject to the HCl and HF limit. Controlled
group 1 furnaces cannot be included in the HF emissions calculation because
they are not subject to HF limits.
Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
17. Table 2 to Subpart RRR of part 63
is amended by:
■ a. Revising the entry ‘‘All affected
sources and emission units with an addon air pollution control device;’’
■ b. Revising the entry ‘‘Scrap dryer/
delacquering kiln/decoating kiln with
afterburner and lime-injected fabric
filter;’’
■
c. Revising the entry ‘‘In-line fluxer
with lime-injected fabric filter
(including those that are part of a
secondary aluminum processing unit);’’
■ d. Revising entry ‘‘Group 1 furnace
with lime-injected fabric filter
(including those that are part of a
secondary of aluminum processing
unit);’’
■
56757
e. Revising the entry Group 1 furnace
without add-on air pollution controls
(including those that are part of a
secondary aluminum processing unit);
■ f. Revising footnote c to Table 2; and
■ g. Adding footnotes d and e to Table
2.
The revisions and additions read as
follows:
■
TABLE 2 TO SUBPART RRR OF PART 63—SUMMARY OF OPERATING REQUIREMENTS FOR NEW AND EXISTING AFFECTED
SOURCES AND EMISSION UNITS
Affected source/emission unit
Monitor type/operation/process
Operating requirements
All affected sources and emission
units with an add-on air pollution
control device.
Emission capture and collection
system.
Design and install in accordance with ACGIH Guidelines; e operate in
accordance with OM&M plan (sweat furnaces may be operated according to 63.1506(c)(4)).b
*
*
Scrap
dryer/delacquering
kiln/
decoating kiln with afterburner
and lime-injected fabric filter.
*
*
*
*
*
Afterburner operating temperature
Maintain average temperature for each 3-hr period at or above average operating temperature during the performance test.
Afterburner operation .....................
Bag leak detector or ......................
COM ...............................................
Fabric filter inlet temperature .........
Lime injection rate .........................
*
*
In-line fluxer with lime-injected fabric filter (including those that are
part of a secondary aluminum
processing unit).
*
*
*
*
*
Bag leak detector or ...................... Initiate corrective action within 1-hr of alarm and complete in accordance with the OM&M plan; b operate such that alarm does not
sound more than 5% of operating time in 6-month period.
COM ...............................................
Lime injection rate .........................
Reactive flux injection rate ............
*
*
Group 1 furnace with lime-injected
fabric filter (including those that
are part of a secondary of aluminum processing unit).
mstockstill on DSK4VPTVN1PROD with RULES2
Fabric filter inlet temperature .........
Natural gas-fired, propane-fired or
electrically heated group 1 furnaces that will be idled for at
least 24 hours.
Reactive flux injection rate ............
19:34 Sep 17, 2015
Initiate corrective action within 1-hr of a 6-minute average opacity
reading of 5% or more and complete in accordance with the OM&M
plan.b
Maintain free-flowing lime in the feed hopper or silo at all times for
continuous injection systems; maintain feeder setting at or above
the level established during performance test for continuous injection systems.
Maintain reactive flux injection rate at or below rate used during the
performance test for each operating cycle or time period used in
the performance test.
*
*
*
*
*
Bag leak detector or ...................... Initiate corrective action within 1-hr of alarm; operate such that alarm
does not sound more than 5% of operating time in 6-month period;
complete corrective action in accordance with the OM&M plan.b
COM ...............................................
VerDate Sep<11>2014
Operate in accordance with OM&M plan.b
Initiate corrective action within 1-hr of alarm and complete in accordance with the OM&M plan; b operate such that alarm does not
sound more than 5% of operating time in 6-month period.
Initiate corrective action within 1-hr of a 6-minute average opacity
reading of 5% or more and complete in accordance with the OM&M
plan.b
Maintain average fabric filter inlet temperature for each 3-hr period at
or below average temperature during the performance test +14 °C
(+25 °F).
Maintain free-flowing lime in the feed hopper or silo at all times for
continuous injection systems; maintain feeder setting at or above
the level established during the performance test for continuous injection systems.
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Initiate corrective action within 1-hr of a 6-minute average opacity
reading of 5% or more; complete corrective action in accordance
with the OM&M plan.b
Maintain average fabric filter inlet temperature for each 3-hour period
at or below average temperature during the performance test +14°
C (+25° F).
Operation of associated capture/collection systems and APCD b may
be temporarily stopped. Operation of these capture/collection systems and control devices must be restarted before feed/charge, flux
or alloying materials are added to the furnace.
Maintain reactive flux injection rate (kg/Mg) (lb/ton) at or below rate
used during the performance test for each furnace cycle.
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18SER2
56758
Federal Register / Vol. 80, No. 181 / Friday, September 18, 2015 / Rules and Regulations
TABLE 2 TO SUBPART RRR OF PART 63—SUMMARY OF OPERATING REQUIREMENTS FOR NEW AND EXISTING AFFECTED
SOURCES AND EMISSION UNITS—Continued
Affected source/emission unit
Monitor type/operation/process
Operating requirements
Lime injection rate .........................
Maintain free-flowing lime in the feed hopper or silo at all times for
continuous injection systems; maintain feeder setting at or above
the level established at performance test for continuous injection
systems.
Operate sidewell furnaces such that the level of molten metal is
above the top of the passage between sidewell and hearth during
reactive flux injection, unless the hearth is also controlled.
Add reactive flux only to the sidewell of the furnace unless the hearth
is also controlled.
Maintain the total reactive chlorine flux injection rate and total reactive
fluorine injection rate for each operating cycle or time period used
in the performance test at or below the average rate established
during the performance test.
Maintain molten aluminum level ....
Fluxing in sidewell furnace hearth
Group 1 furnace without add-on air
pollution
controls
(including
those that are part of a secondary aluminum processing
unit).
Reactive flux injection rate ............
Site-specific monitoring plan.c
Feed material(melting/holding furnace).
*
*
*
Operate each furnace in accordance with the work practice/pollution
prevention measures documented in the OM&M plan and within the
parameter values or ranges established in the OM&M plan.
Use only clean charge.
*
*
*
*
*
*
*
*
*
monitoring plan. Owner/operators of group 1 furnaces without add-on APCD must include a section in their OM&M plan that documents work practice and pollution prevention measures, including procedures for scrap inspection, by which compliance is achieved with emission limits and process or feed parameter-based operating requirements. This plan and the testing to demonstrate adequacy of the monitoring
plan must be developed in coordination with and approved by the permitting authority for major sources, or the Administrator for area sources.
d APCD—Air pollution control device.
e Incorporated by reference, see § 63.14.
c Site-specific
18. Table 3 to Subpart RRR of part 63
is amended by:
■ a. Revising the entry ‘‘All affected
sources and emission units with an addon air pollution control device;’’
■ b. Revising the entry ‘‘All affected
sources and emission units subject to
production-based (lb/ton of feed/charge)
emission limits;’’
■ c. Revising the entry ‘‘Aluminum
scrap shredder with fabric filter;’’
■
d. Revising the entry ‘‘Scrap dryer/
delacquering kiln/decoating kiln with
afterburner and lime-injected fabric
filter;’’
■ e. Revising entry ‘‘Dross-only furnace
with fabric filter;’’
■ f. Revising the entry ‘‘Rotary dross
cooler with fabric filter;’’
■ g. Revising the entry ‘‘In-line fluxer
with lime-injected fabric filter;’’
■
h. Revising the entry ‘‘Group 1
furnace with lime-injected fabric filter;’’
■ i. Revise entry ‘‘Group 1 furnace
without add-on controls;’’
■ j. Revise footnote c to Table 3;
■ k. Revising footnote d to Table 3; and
■ l. Adding footnote e to Table 3.
The revisions and additions read as
follows:
■
TABLE 3 TO SUBPART RRR OF PART 63—SUMMARY OF MONITORING REQUIREMENTS FOR NEW AND EXISTING AFFECTED
SOURCES AND EMISSION UNITS
Monitor type/
operation/process
Monitoring requirements
All affected sources and emission
units with an add-on air pollution
control device.
Emission capture and collection
system.
All affected sources and emission
units subject to production-based
(lb/ton or gr/ton of feed/charge)
emission limits.a.
mstockstill on DSK4VPTVN1PROD with RULES2
Affected source/
emission unit
Feed/charge weight .......................
Annual inspection of all emission capture, collection, and transport
systems to ensure that systems continue to operate in accordance
with ACGIH Guidelines.e Inspection includes volumetric flow rate
measurements or verification of a permanent total enclosure using
EPA Method 204.d
Record weight of each feed/charge, weight measurement device or
other procedure accuracy of ± 1%; b calibrate according to manufacturer’s specifications, or at least once every 6 months.
*
*
Aluminum scrap shredder with fabric filter.
*
*
*
*
*
Bag leak detector or ...................... Install and operate in accordance with manufacturer’s operating instructions.
COM or .......................................... Design and install in accordance with PS–1; collect data in accordance with subpart A of 40 CFR part 63; determine and record 6minute block averages.
VE .................................................. Conduct and record results of 30-minute daily test in accordance with
Method 9 or ASTM D7520–13.e
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56759
TABLE 3 TO SUBPART RRR OF PART 63—SUMMARY OF MONITORING REQUIREMENTS FOR NEW AND EXISTING AFFECTED
SOURCES AND EMISSION UNITS—Continued
Affected source/
emission unit
Monitor type/
operation/process
Monitoring requirements
*
*
Scrap
dryer/delacquering
kiln/
decoating kiln with afterburner
and lime-injected fabric filter.
*
*
*
*
*
Afterburner operating temperature
Continuous measurement device to meet specifications in
§ 63.1510(g)(1); record temperature for each 15-minute block; determine and record 3-hr block averages.
Afterburner operation ..................... Annual inspection of afterburner internal parts; complete repairs in accordance with the OM&M plan.
Bag leak detector or ...................... Install and operate in accordance with manufacturer’s operating instructions.
COM ............................................... Design and Install in accordance with PS–1; collect data in accordance with subpart A of 40 CFR part 63; determine and record 6minute block averages.
Lime injection rate ......................... For continuous injection systems, inspect each feed hopper or silo
every 8 hours to verify that lime is free flowing; record results of
each inspection. If blockage occurs, inspect every 4 hours for 3
days; return to 8-hour inspections if corrective action results in no
further blockage during 3-day period, record feeder setting daily.
Verify monthly that lime injection rate is no less than 90 percent of
the rate used during the compliance demonstration test.
Fabric filter inlet temperature ......... Continuous measurement device to meet specifications in
§ 63.1510(h)(2); record temperatures in 15-minute block averages;
determine and record 3-hr block averages.
*
*
Dross-only furnace with fabric filter
*
*
*
*
*
Bag leak detector or ...................... Install and operate in accordance with manufacturer’s operating instructions.
COM ............................................... Design and install in accordance with PS–1; collect data in accordance with subpart A of 40 CFR part 63; determine and record 6minute block averages.
Feed/charge material ..................... Record identity of each feed/charge; certify charge materials every 6
months.
Bag leak detector or ...................... Install and operate in accordance with manufacturer’s operating instructions.
COM ............................................... Design and install in accordance with PS–1; collect data in accordance with subpart A of 40 CFR part 63; determine and record 6minute block averages.
Bag leak detector or ...................... Install and operate in accordance with manufacturer’s operating instructions.
COM ............................................... Design and install in accordance with PS–1; collect data in accordance with subpart A of 40 CFR part 63; determine and record 6minute block averages.
Reactive flux injection rate ............ Weight measurement device accuracy of ±1%; b calibrate according to
manufacturer’s specifications or at least once every 6 months;
record time, weight and type of reactive flux added or injected for
each 15-minute block period while reactive fluxing occurs; calculate
and record total reactive chlorine flux injection rate and the total reactive fluorine flux injection rate flux injection rate for each operating cycle or time period used in performance test; or Alternative
flux injection rate determination procedure per § 63.1510(j)(5). For
solid flux added intermittently, record the amount added for each
operating cycle or time period used in the performance test.
Lime injection rate ......................... For continuous injection systems, record feeder setting daily and inspect each feed hopper or silo every 8 hrs to verify that lime is
free-flowing; record results of each inspection. If blockage occurs,
inspect every 4 hrs for 3 days; return to 8-hour inspections if corrective action results in no further blockage during 3-day period.c
Verify monthly that the lime injection rate is no less than 90 percent
of the rate used during the compliance demonstration test.
Rotary dross cooler with fabric filter.
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In-line fluxer with lime-injected fabric filter.
*
*
Group 1 furnace with lime-injected
fabric filter.
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*
*
*
*
*
Bag leak detector or ...................... Install and operate in accordance with manufacturer’s operating instructions.
COM ............................................... Design and install in accordance with PS–1; collect data in accordance with subpart A of 40 part CFR 63; determine and record 6minute block averages.
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TABLE 3 TO SUBPART RRR OF PART 63—SUMMARY OF MONITORING REQUIREMENTS FOR NEW AND EXISTING AFFECTED
SOURCES AND EMISSION UNITS—Continued
Affected source/
emission unit
Monitor type/
operation/process
Monitoring requirements
Lime injection rate .........................
For continuous injection systems, record feeder setting daily and inspect each feed hopper or silo every 8 hours to verify that lime is
free-flowing; record results of each inspection. If blockage occurs,
inspect every 4 hours for 3 days; return to 8-hour inspections if corrective action results in no further blockage during 3-day period.c
Verify monthly that the lime injection rate is no less than 90 percent
of the rate used during the compliance demonstration test.
Weight measurement device accuracy of ±1%; b calibrate every 3
months; record weight and type of reactive flux added or injected
for each 15-minute block period while reactive fluxing occurs; calculate and record total reactive chlorine flux injection rate and the
total reactive fluorine flux injection rate flux injection rate for each
operating cycle or time period used in performance test; or Alternative flux injection rate determination procedure per
§ 63.1510(j)(5). For solid flux added intermittently, record the
amount added for each operating cycle or time period used in the
performance test.
Continuous measurement device to meet specifications in
§ 63.1510(h)(2); record temperatures in 15-minute block averages;
determine and record 3-hour block averages.
Maintain aluminum level operating log; certify every 6 months. If visual inspection of molten metal level is not possible, use physical
measurement methods.
Maintain flux addition operating log; certify every 6 months.
Reactive flux injection rate ............
Fabric filter inlet temperature .........
Maintain molten aluminum level in
sidewell furnace.
Group 1 furnace without add-on
controls.
Fluxing in sidewell furnace hearth
Reactive flux injection rate ............
OM&M plan (approved by permitting agency).
Feed material (melting/holding furnace).
*
*
*
*
Weight measurement device accuracy of +1%; b calibrate according to
manufacturer’s specifications or at least once every six months;
record weight and type of reactive flux added or injected for each
15-minute block period while reactive fluxing occurs; calculate and
record total reactive flux injection rate for each operating cycle or
time period used in performance test. For solid flux added intermittently, record the amount added for each operating cycle or time
period used in the performance test.
Demonstration of site-specific monitoring procedures to provide data
and show correlation of emissions across the range of charge and
flux materials and furnace operating parameters.
Record type of permissible feed/charge material; certify charge materials every 6 months.
*
*
*
*
*
*
*
*
authority for major sources, or the Administrator for area sources may approve other alternatives including load cells for lime hopper weight, sensors for carrier gas pressure, or HCl monitoring devices at fabric filter outlet.
d The frequency of volumetric flow rate measurements may be decreased to once every 5 years if daily differential pressure measures, daily
fan RPM, or daily fan motor amp measurements are made in accordance with § 63.1510(d)(2)(ii–iii). The frequency of annual verification of a
permanent total enclosure may be decreased to once every 5 years if negative pressure measurements in the enclosure are made daily in accordance with § 63.1510(d)(2)(iv). In lieu of volumetric flow rate measurements or verification of permanent total enclosure, sweat furnaces may
demonstrate annually negative air flow into the sweat furnace opening in accordance with § 63.1510(d)(3).
e Incorporated by reference, see § 63.14.
c Permitting
19. Appendix A to Subpart RRR of
part 63 is amended by:
■ a. Revising entry §§ 63.1(a)6)–(8);
■ b. Revising entry § 63.1 (a)(9);
■ c. Revising entry § 63.1(a)(10)–(14);
■ d. Revising entry § 63.1(c)(3);
■ e. Revising entry § 63.1(c)(4)–(5);
■ f. Revising entry § 63.4(a)(1)–(3);
■ g. Revising entry § 63.4(a)(4);
■ h. Removing entry § 63.4(a)(5);
■ i. Revising entry § 63.5(b)(3)–(6);
■ j. Adding entry § 63.5(b)(5);
■ k. Adding entry § 63.5(b)(6);
■ l. Revising entry § 63.6(b)(1)–(5);
■ m. Removing entry § 63.6(e)(1)–(2);
■ n. Adding entry § 63.6(e)(1)(i);
■ o. Adding entry § 63.6(e)(1)ii)
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■
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p. Adding entry § 63.6(e)(2);
q. Revising entry § 63.6(e)(3);
r. Removing entry § 63.6(f);
s. Adding entry § 63.6(f)(1);
t. Adding entries § 63.6(f)(2);
u. Removing entries § 63.6(h);
v. Adding entries § 63.6(h)(1),
§ 63.6(h)(2) and § 63.6(h)(3);
■ w. Adding entry § 63.6(h)(4)–(9);
■ x. Revising entry § 63.7(a)–(h);
■ y. Adding entries § 63.7(b), § 63.7(c)
and § 63.7(d);
■ z. Removing entry § 63.7((e);
■ aa. Adding entries § 63.7(e)(1) and
§ 63.7(e)(2);
■ bb. Revising entry § 63.7(g);
■ cc. Revising entry § 63.7(h);
■
■
■
■
■
■
■
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dd. Removing entry § 63.8((c)(1)–(3);
ee. Adding entries § 63.8(c)(1)(i),
§ 63.8(c)(1)(ii) and § 63.8(c)(1)(iii);
■ ff. Revising entry § 63.8 (c)(4)–(8);
■ gg. Revising entry § 63.8(d);
■ hh. Adding entry § 63.8(d)(3);
■ ii. Revising entry § 63.9(b);
■ jj. Removing entry § 63.10(b);
■ kk. Adding entry § 63.10(b)(1);
■ ll. Adding entry § 63.10(b)(2)(i),(ii),
(iv), (v);
■ mm. Adding entry § 63.10(b)(2)(iii),
(vi) to (xiv);
■ nn. Adding entry § 63.10(b)(3);
■ oo. Adding entry § 63.10(c)(15);
■ pp. Revising entry § 63.10(d)(4)–(5);
■ qq. Revising entry § 63.11(a)–(b);
■
■
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■
■
rr. Revising entry § 63.14; and
ss. Adding entry § 63.16.
The revisions and additions read as
follows:
APPENDIX A TO SUBPART RRR OF PART 63—GENERAL PROVISIONS APPLICABILITY TO SUBPART RRR
Citation
Applies to RRR
*
*
§ 63.1(a)(6) ........................................................
§ 63.1(a)(7)–(9) .................................................
§ 63.1(a)(10)–(12) .............................................
*
*
*
Yes.
No .....................................................................
Yes.
*
*
*
*
Comment
*
*
*
*
*
*
*
*
*
*
[Reserved].
*
*
*
*
No .....................................................................
Yes.
*
*
§ 63.4(a)(1)–(2) .................................................
§ 63.4(a)(3)–(5) .................................................
*
*
*
Yes.
No .....................................................................
*
*
§ 63.5(b)(3)–(4) .................................................
§ 63.5(b)(5) ........................................................
§ 63.5(b)(6) ........................................................
*
*
*
Yes.
No .....................................................................
Yes.
[Reserved].
*
*
§ 63.6(b)(1)–(5) .................................................
*
*
*
Yes ....................................................................
*
§ 63.1501 specifies dates.
*
*
§ 63.6(e)(1)(i) .....................................................
*
*
*
No .....................................................................
*
*
See § 63.1506(a)(5) for general duty requirement. Any other cross reference to
§ 63.6(3)(1)(i) in any other general provision
referenced shall be treated as a cross reference to § 63.1506(a)(5).
§ 63.6(e)(1)–(ii) ..................................................
§ 63.6(e)(2) ........................................................
§ 63.6(e)(3) ........................................................
§ 63.6(f)(1) .........................................................
§ 63.6(f)(2) .........................................................
No.
No .....................................................................
No.
No.
Yes.
*
*
§ 63.6(h)(1) ........................................................
§ 63.6(h)(2) ........................................................
§ 63.6(h)(3) ........................................................
§ 63.6(h)(4)–(9) .................................................
*
*
*
No.
Yes.
No .....................................................................
Yes.
*
*
§ 63.7(a) ............................................................
*
*
*
Yes ....................................................................
*
*
§ 63.7(e)(1) ........................................................
§ 63.7(e)(2) ........................................................
*
No.
Yes.
*
*
§ 63.7(g)(1)–(3) .................................................
§ 63.7(h)(1)–(5) .................................................
mstockstill on DSK4VPTVN1PROD with RULES2
*
*
§ 63.1(c)(3)–(4) ..................................................
§ 63.1(c)(5) ........................................................
*
*
*
Yes ....................................................................
Yes.
*
*
Except for § 63.7(g)(2), which is reserved.
*
*
§ 63.8(c)(1)(i) .....................................................
§ 63.8(c)(1)(ii) ....................................................
§ 63.8(c)(1)(iii) ...................................................
§ 63.8(c)(2)–(8) ..................................................
§ 63.8(d)(1)–(2) .................................................
§ 63.8(d)(3) ........................................................
*
*
*
No .....................................................................
Yes.
No.
Yes.
Yes.
Yes, except for last sentence, which refers to
an SSM plan. SSM plans are not required.
*
*
See § 63.1506(a)(5) for general duty requirement.
*
*
§ 63.9(b)(1)–(5) .................................................
*
*
*
Yes ....................................................................
*
Except § 63.9(b)(3) is reserved.
*
*
*
§ 63.10(b)(1) ......................................................
§ 63.10(b)(2)(i), (ii), (iv), (v) ...............................
*
Yes.
No.
*
*
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*
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[Reserved].
*
*
[Reserved].
*
*
Except § 63.1511 establishes dates for initial
performance tests.
*
*
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*
[Reserved].
*
*
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[Reserved].
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APPENDIX A TO SUBPART RRR OF PART 63—GENERAL PROVISIONS APPLICABILITY TO SUBPART RRR—Continued
Citation
Applies to RRR
§ 63.10(b)(2)(iii), (vi)–(xiv) .................................
§ 63.10(b)(3) ......................................................
Yes ....................................................................
Yes.
*
*
§ 63.10(c)(15) ....................................................
*
No.
*
*
§ 63.10(d)(4)–(5) ...............................................
*
*
*
No .....................................................................
*
See § 63.1516(d).
*
*
*
§ 63.11(a)–(d) ....................................................
*
*
*
No .....................................................................
*
Flares not applicable.
*
*
*
§ 63.14 ...............................................................
*
Yes.
*
*
*
*
*
*
§ 63.16 ...............................................................
*
No.
*
*
*
*
*
Comment
§ 63.1517 includes additional requirements.
*
*
[FR Doc. 2015–21031 Filed 9–17–15; 8:45 am]
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*
Agencies
[Federal Register Volume 80, Number 181 (Friday, September 18, 2015)]
[Rules and Regulations]
[Pages 56699-56762]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2015-21031]
[[Page 56699]]
Vol. 80
Friday,
No. 181
September 18, 2015
Part III
Environmental Protection Agency
-----------------------------------------------------------------------
40 CFR Part 63
National Emission Standards for Hazardous Air Pollutants for Secondary
Aluminum Production; Final Rule
Federal Register / Vol. 80 , No. 181 / Friday, September 18, 2015 /
Rules and Regulations
[[Page 56700]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 63
[EPA-HQ-OAR-2010-0544; FRL-9932-44-OAR]
RIN 2060-AQ40
National Emission Standards for Hazardous Air Pollutants for
Secondary Aluminum Production
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: This action finalizes the residual risk and technology review
(RTR), and the rule review, we conducted for the Secondary Aluminum
Production source category regulated under national emission standards
for hazardous air pollutants (NESHAP). In this action, we are
finalizing several amendments to the NESHAP based on the rule review.
These final amendments include a requirement to report performance
testing through the Electronic Reporting Tool (ERT); provisions
allowing owners and operators to change furnace classifications;
requirements to account for unmeasured emissions during compliance
testing for group 1 furnaces that do not have add-on control devices;
alternative compliance options for the operating and monitoring
requirements for sweat furnaces; compliance provisions for hydrogen
fluoride; provisions addressing emissions during periods of startup,
shutdown, and malfunction (SSM); and other corrections and
clarifications to the applicability, definitions, operating, monitoring
and performance testing requirements. These amendments will improve the
monitoring, compliance and implementation of the rule.
DATES: Effective date: This final action is effective on September 18,
2015.
Compliance dates: The compliance date for the final amendments
listed in 40 CFR 63.1501(b) for existing secondary aluminum production
affected sources is March 16, 2016. The compliance date for the final
amendments listed in 40 CFR 63.1501(c) for existing affected sources is
September 18, 2017. The owner or operator of a new affected source that
commences construction or reconstruction after February 14, 2012, must
comply with all of the requirements listed in 40 CFR 63.1501(b) and (c)
by September 18, 2015 or upon startup, whichever is later.
The incorporation by reference of certain publications listed in
the rule is approved by the Director of the Federal Register as of
September 18, 2015.
ADDRESSES: The Environmental Protection Agency (EPA) has established a
docket for this action under Docket ID No. EPA-HQ-OAR-2010-0544. All
documents in the docket are listed on the www.regulations.gov Web site.
Although listed in the index, some information is not publicly
available, e.g., confidential business information (CBI) or other
information whose disclosure is restricted by statute. Certain other
material, such as copyrighted material, is not placed on the Internet
and will be publicly available only in hard copy form. Publicly
available docket materials are available either electronically through
https://www.regulations.gov, or in hard copy at the EPA Docket Center,
EPA WJC West Building, Room Number 3334, 1301 Constitution Ave. NW.,
Washington, DC. The Public Reading Room hours of operation are 8:30
a.m. to 4:30 p.m., Monday through Friday. The telephone number for the
Public Reading Room is (202) 566-1744, and the telephone number for the
Air Docket is (202) 566-1742.
FOR FURTHER INFORMATION CONTACT: For questions about this final action,
contact Ms. Rochelle Boyd, Sector Policies and Programs Division (D243-
02), Office of Air Quality Planning and Standards, U.S. Environmental
Protection Agency, Research Triangle Park, North Carolina, 27711;
telephone number: (919) 541-1390; fax number: (919) 541-3207; and email
address: boyd.rochelle@epa.gov. For specific information regarding the
risk modeling methodology, contact James Hirtz, Health and
Environmental Impacts Division (C539-02), Office of Air Quality
Planning and Standards, U.S. Environmental Protection Agency, Research
Triangle Park, North Carolina 27711; telephone number: (919) 541-0881;
fax number: (919) 541-0840; and email address: hirtz.james@epa.gov. For
information about the applicability of the NESHAP to a particular
entity, contact Scott Throwe, Office of Enforcement and Compliance
Assurance, U.S. Environmental Protection Agency, EPA WJC West Building,
1200 Pennsylvania Ave. NW., Washington, DC 20460; telephone number:
(202) 564-7013; and email address: throwe.scott@epa.gov.
SUPPLEMENTARY INFORMATION: Preamble Acronyms and Abbreviations. We use
multiple acronyms and terms in this preamble. While this list may not
be exhaustive, to ease the reading of this preamble and for reference
purposes, the EPA defines the following terms and acronyms here:
ACGIH American Conference of Government Industrial Hygienists
AEGL acute exposure guideline levels
AERMOD air dispersion model used by the HEM-3 model
APCD air pollution control device
AMOS ample margin of safety
ATSDR Agency for Toxic Substances and Disease Registry
BACT best available control technology
CAA Clean Air Act
CalEPA California Environmental Protection Agency
CBI confidential business information
CDX Central Data Exchange
CFR Code of Federal Regulations
D/F dioxins and furans
Dscf dry standard cubic feet
Dscm dry standard cubic meters
EJ environmental justice
EPA United States Environmental Protection Agency
ERPG Emergency Response Planning Guidelines
ERT Electronic Reporting Tool
g grams
gr grains
HAP hazardous air pollutants
HCl hydrogen chloride
HEM-3 Human Exposure Model, Version 3
HF hydrogen fluoride
HI hazard index
HQ hazard quotient
ICR information collection request
IRIS Integrated Risk Information System
km kilometer
lb pounds
lbs/yr pounds per year
LOAEL lowest-observed-adverse-effect level
MACT maximum achievable control technology
MIR maximum individual risk
NAAQS National Ambient Air Quality Standards
NAICS North American Industry Classification System
NAS National Academy of Sciences
NATA National Air Toxics Assessment
NEI National Emissions Inventory
NESHAP National Emission Standards for Hazardous Air Pollutants
NOAEL no observed adverse effects level
NRC National Research Council
NTTAA National Technology Transfer and Advancement Act
O&M operation and maintenance
OAQPS Office of Air Quality Planning and Standards
OECA Office of Enforcement and Compliance Assurance
OMB Office of Management and Budget
OM&M operation, maintenance and monitoring
PAH polycyclic aromatic hydrocarbons
PB-HAP hazardous air pollutants known to be persistent and bio-
accumulative in the environment
PEL probable effect levels
PM particulate matter
POM polycyclic organic matter
REL reference exposure level
RFA Regulatory Flexibility Act
RfC reference concentration
RfD reference dose
RTR Risk and Technology Review
SAB Science Advisory Board
[[Page 56701]]
SAPU secondary aluminum processing unit
SBA Small Business Administration
SOP standard operating procedures
SSM startup, shutdown, and malfunction
TEQ toxicity equivalents
THC total hydrocarbons
TOSHI target organ-specific hazard index
tpy tons per year
TRIM.FaTE Total Risk Integrated Methodology Fate, Transport and
Ecological Exposure model
TTN Technology Transfer Network
UBC used beverage containers
UF uncertainty factor
[mu]/m3 microgram per cubic meter
UMRA Unfunded Mandates Reform Act
UPL upper prediction limit
URE unit risk estimate
Background Information. On February 14, 2012, and December 8, 2014,
the EPA proposed decisions based on the RTR and proposed revisions to
the Secondary Aluminum Production NESHAP based on review of the rule.
In this action, we are finalizing decisions and revisions to the rule.
We summarize major comments we timely received regarding the proposed
rule and provide responses in this preamble. A summary of all other
public comments on the proposal and the EPA's responses to those
comments is available in the document, National Emission Standards for
Hazardous Air Pollutants: Secondary Aluminum Production. Summary of
Public Comments and Responses on Proposed Rule (77 FR 8576, February
14, 2012) and Supplemental Proposal (79 FR 72874, December 8, 2014),
Docket ID No. EPA-HQ-OAR-2010-0544. A ``track changes'' version of the
regulatory language that shows the regulatory changes in this action is
also available in the docket for the convenience of the reader.
Organization of this Document. The information in this preamble is
organized as follows:
I. General Information
A. Does this action apply to me?
B. Where can I get a copy of this document and other related
information?
C. Judicial Review and Administrative Reconsideration
II. Background
A. What is the statutory authority for this action?
B. What is the Secondary Aluminum Production source category and
how does the NESHAP regulate HAP emissions from the source category?
C. What changes did we propose for the Secondary Aluminum
Production source category in our February 14, 2012, and December 8,
2014, proposals?
III. What is included in this final rule?
A. What are the final rule amendments based on the risk review
for the Secondary Aluminum Production source category?
B. What are the final rule amendments based on the technology
review for the Secondary Aluminum Production source category?
C. What are the final rule amendments addressing emissions
during periods of startup, shutdown, and malfunction?
D. What other changes have been made to the NESHAP?
E. What are the effective and compliance dates of the standards?
F. What are the requirements for submission of performance test
data to the EPA?
G. What materials are being incorporated by reference?
IV. What is the rationale for our final decisions and amendments for
the Secondary Aluminum Production source category?
A. Residual Risk Review for the Secondary Aluminum Production
Source Category
B. Technology Review for the Secondary Aluminum Production
Source Category
C. Testing of Group 1 Furnaces That Do Not Have Add-on Pollution
Control Devices
D. Changing Furnace Classification
E. Flow Rate Measurements and Annual Inspections of Capture/
Collection Systems
F. Compliance Dates
V. Summary of Cost, Environmental and Economic Impacts and
Additional Analyses Conducted
A. What are the affected sources?
B. What are the air quality impacts?
C. What are the cost impacts?
D. What are the economic impacts?
E. What are the benefits?
F. What analysis of environmental justice did we conduct?
G. What analysis of children's environmental health did we
conduct?
VI. Statutory and Executive Order Reviews
A. Executive Orders 12866: Regulatory Planning and Review and
Executive Order 13563: Improving Regulation and Regulatory Review
B. Paperwork Reduction Act (PRA)
C. Regulatory Flexibility Act (RFA)
D. Unfunded Mandates Reform Act (UMRA)
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments
G. Executive Order 13045: Protection of Children From
Environmental Health Risks and Safety Risks
H. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution or Use
I. National Technology Transfer and Advancement Act (NTTAA) and
1 CFR Part 51
J. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
K. Congressional Review Act (CRA)
I. General Information
A. Does this action apply to me?
Regulated Entities. Categories and entities potentially regulated
by this action are shown in Table 1 of this preamble.
Table 1--Industrial Source Categories Affected by This Final Action
------------------------------------------------------------------------
NAICS
Source category code a
------------------------------------------------------------------------
Primary Aluminum Production Facilities........................ 331312
Secondary Aluminum Production Facilities...................... 331314
Aluminum Sheet, Plate, and Foil Manufacturing Facilities...... 331315
Aluminum Extruded Product Manufacturing Facilities............ 331316
Other Aluminum Rolling and Drawing Facilities................. 331319
Aluminum Die Casting Facilities............................... 331521
Aluminum Foundry Facilities................................... 331524
------------------------------------------------------------------------
a North American Industry Classification System.
Table 1 of this preamble is not intended to be exhaustive, but
rather to provide a guide for readers regarding entities likely to be
affected by the final action for the secondary aluminum production
source category. To determine whether your facility is affected, you
should examine the applicability criteria in the appropriate NESHAP. If
you have any questions regarding the applicability of any aspect of
this NESHAP, please contact the appropriate person listed in the
preceding FOR FURTHER INFORMATION CONTACT section of this preamble.
B. Where can I get a copy of this document and other related
information?
In addition to being available in the docket, an electronic copy of
this final action will be available on the Internet through the
Technology Transfer Network (TTN) Web site, a forum for information and
technology exchange in various areas of air pollution control.
Following signature by the EPA Administrator, the EPA will post a copy
of this final action at https://www.epa.gov/ttn/atw/alum2nd/alum2pg.html. Following publication in the Federal Register, the EPA
will post the Federal Register version at this same Web site.
Additional information is available on the (RTR) Web site at https://www.epa.gov/ttn/atw/rrisk/rtrpg.html. This information includes an
overview of the RTR program, and links to project Web sites for the RTR
source categories.
C. Judicial Review and Administrative Reconsideration
Under Clean Air Act (CAA) section 307(b)(1), judicial review of
this final action is available only by filing a
[[Page 56702]]
petition for review in the United States Court of Appeals for the
District of Columbia Circuit by November 17, 2015. Under CAA section
307(b)(2), the requirements established by this final rule may not be
challenged separately in any civil or criminal proceedings brought by
the EPA to enforce the requirements.
Section 307(d)(7)(B) of the CAA further provides that ``[o]nly an
objection to a rule or procedure which was raised with reasonable
specificity during the period for public comment (including any public
hearing) may be raised during judicial review.'' This section also
provides a mechanism for the EPA to reconsider the rule ``[i]f the
person raising an objection can demonstrate to the Administrator that
it was impracticable to raise such objection within [the period for
public comment] or if the grounds for such objection arose after the
period for public comment (but within the time specified for judicial
review) and if such objection is of central relevance to the outcome of
the rule.'' Any person seeking to make such a demonstration should
submit a Petition for Reconsideration to the Office of the
Administrator, U.S. EPA, Room 3000, EPA WJC West Building, 1200
Pennsylvania Ave. NW., Washington, DC 20460, with a copy to both the
person(s) listed in the preceding FOR FURTHER INFORMATION CONTACT
section, and the Associate General Counsel for the Air and Radiation
Law Office, Office of General Counsel (Mail Code 2344A), U.S. EPA, 1200
Pennsylvania Ave. NW., Washington, DC 20460.
II. Background
A. What is the statutory authority for this action?
Section 112 of the CAA establishes a two-stage regulatory process
to address emissions of hazardous air pollutants (HAP) from stationary
sources. In the first stage, we must identify categories of sources
emitting one or more of the HAP listed in CAA section 112(b) and then
promulgate technology-based NESHAP for those sources. ``Major sources''
are those that emit, or have the potential to emit, any single HAP at a
rate of 10 tons per year (tpy) or more, or 25 tpy or more of any
combination of HAP. For major sources, these standards are commonly
referred to as maximum achievable control technology (MACT) standards
and must reflect the maximum degree of emission reductions of HAP
achievable (after considering cost, energy requirements, and non-air
quality health and environmental impacts). In developing MACT
standards, CAA section 112(d)(2) directs the EPA to consider the
application of measures, processes, methods, systems, or techniques,
including but not limited to those that reduce the volume of or
eliminate HAP emissions through process changes, substitution of
materials, or other modifications; enclose systems or processes to
eliminate emissions; collect, capture, or treat HAP when released from
a process, stack, storage, or fugitive emissions point; are design,
equipment, work practice, or operational standards; or any combination
of the above.
For these MACT standards, the statute specifies certain minimum
stringency requirements, which are referred to as MACT floor
requirements, and which may not be based on cost considerations. See
CAA section 112(d)(3). For new sources, the MACT floor cannot be less
stringent than the emission control achieved in practice by the best-
controlled similar source. The MACT standards for existing sources can
be less stringent than floors for new sources, but they cannot be less
stringent than the average emission limitation achieved by the best-
performing 12 percent of existing sources in the category or
subcategory (or the best-performing five sources for categories or
subcategories with fewer than 30 sources). In developing MACT
standards, we must also consider control options that are more
stringent than the floor, under CAA section 112(d)(2). We may establish
standards more stringent than the floor, based on the consideration of
the cost of achieving the emissions reductions, any non-air quality
health and environmental impacts, and energy requirements.
In the second stage of the regulatory process, the CAA requires the
EPA to undertake two different analyses, which we refer to as the
technology review and the residual risk review. Under the technology
review, we must review the technology-based standards and revise them
``as necessary (taking into account developments in practices,
processes, and control technologies)'' no less frequently than every 8
years, pursuant to CAA section 112(d)(6). Under the residual risk
review, we must evaluate the risk to public health remaining after
application of the technology-based standards and revise the standards,
if necessary, to provide an ample margin of safety to protect public
health or to prevent, taking into consideration costs, energy, safety,
and other relevant factors, an adverse environmental effect. The
residual risk review is required within 8 years after promulgation of
the technology-based standards, pursuant to CAA section 112(f). In
conducting the residual risk review, if the EPA determines that the
current standards provide an ample margin of safety to protect public
health, it is not necessary to revise the MACT standards pursuant to
CAA section 112(f).\1\ For more information on the statutory authority
for this rule, see 77 FR 8576 and 79 FR 72874.
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\1\ The U.S. Court of Appeals for the District of Columbia
Circuit has affirmed this approach of implementing CAA section
112(f)(2)(A). NRC v. EPA, 529 F.3d 1077, 1083 (D.C. Cir. 2008) (``If
EPA determines that the existing technology-based standards provide
an `ample margin of safety,' then the Agency is free to readopt
those standards during the residual risk rulemaking.'').
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B. What is the Secondary Aluminum Production source category and how
does the NESHAP regulate HAP emissions from the source category?
The EPA initially promulgated the Secondary Aluminum Production
NESHAP on March 23, 2000 (65 FR 15690). The rule was amended on
December 30, 2002 (67 FR 79808), September 3, 2004 (69 FR 53980),
October 3, 2005 (70 FR 57513), and December 19, 2005 (70 FR 75320). The
standards are codified at 40 CFR part 63, subpart RRR. The existing
Subpart RRR NESHAP regulates HAP emissions from secondary aluminum
production facilities that are major sources of HAP and that operate
aluminum scrap shredders, thermal chip dryers, scrap dryers/
delacquering kilns/decoating kilns, group 1 furnaces, group 2 furnaces,
sweat furnaces, dross only furnaces, rotary dross coolers, and
secondary aluminum processing units (SAPUs). The SAPUs include group 1
furnaces and in-line fluxers. The Subpart RRR NESHAP regulates HAP
emissions from secondary aluminum production facilities that are area
sources of HAP only with respect to emissions of dioxins/furans (D/F)
from thermal chip dryers, scrap dryers/delacquering kilns/decoating
kilns, group 1 furnaces, sweat furnaces, and SAPUs. The secondary
aluminum industry consists of approximately 161 secondary aluminum
production facilities, of which the EPA estimates 53 to be major
sources of HAP. Several of the secondary aluminum facilities are co-
located with primary aluminum, coil coating, and possibly other source
category facilities. Natural gas boilers or process heaters may also be
co-located at a few secondary aluminum facilities.
The standards promulgated in 2000 established emission limits for
particulate matter (PM) as a surrogate for metal HAP, total
hydrocarbons (THC) as a surrogate for organic HAP
[[Page 56703]]
other than D/F, D/F expressed as toxicity equivalents (TEQ), and
hydrogen chloride (HCl) as a surrogate for acid gases including
hydrogen fluoride (HF), chlorine, and fluorine. HAP are emitted from
the following affected sources: Aluminum scrap shredders (subject to PM
standards), thermal chip dryers (subject to standards for THC and D/F),
scrap dryers/delacquering kilns/decoating kilns (subject to standards
for PM, D/F, HCl, and THC), sweat furnaces (subject to D/F standards),
dross-only furnaces (subject to PM standards), rotary dross coolers
(subject to PM standards), group 1 furnaces (subject to standards for
PM, HCl, and D/F), and in-line fluxers (subject to standards for PM and
HCl). Group 2 furnaces and certain in-line fluxers are subject to work
practice standards. For a more detailed description of the industry,
processes, and the key requirements of the MACT rule, see the 2014
supplemental proposal (79 FR 72879, December 8, 2014).
C. What changes did we propose for the Secondary Aluminum Production
source category in our February 14, 2012, and December 8, 2014,
proposals?
On February 14, 2012, the EPA published a proposed rule in the
Federal Register (77 FR 8576) for the Secondary Aluminum Production
NESHAP, 40 CFR part 63, subpart RRR, that took into consideration the
RTR analyses and other reviews of the MACT rule. We proposed that no
amendments to Subpart RRR were necessary as a result of the RTR
analyses. However, we proposed several amendments to correct and
clarify existing requirements based on other reviews of the rule,
including:
Proposed criteria and procedures for changing furnace
classification (i.e., operating mode) and a limit on frequency of
switching furnace classification of once per 6-month period, with an
exception for control device maintenance requiring shutdown;
Proposed amendments to clarify that performance tests
under multiple scenarios may be required in order to reflect the
emissions ranges for each regulated pollutant;
Proposed compliance alternatives for testing of furnaces
that do not have add-on air pollution control devices (also referred to
as ``uncontrolled furnaces''), i.e., either temporary installation of
American Conference of Governmental Industrial Hygienists (ACGIH)
hooding or, for existing uncontrolled furnaces, use of an assumption of
67-percent capture efficiency for furnace exhaust. If the source fails
to demonstrate compliance using the 67-percent capture efficiency
assumption, the source would have to retest within 90 days using
hooding that meets ACGIH guidelines or submit a petition that such
hoods are impractical and propose alternative testing procedures that
will minimize unmeasured fugitive emissions;
With regard to annual inspections of capture/collection
systems, proposed codification of our existing interpretation that
annual hood inspections include flow rate measurements using EPA
Reference Methods 1 and 2;
Proposed removal of exemptions from the requirement to
comply with 40 CFR part 63, subpart RRR emission standards during
periods of startup, shutdown, and malfunction (SSM), clarification of
related provisions, and an alternative method for demonstrating
compliance with certain emission limits during startup and shutdown;
Proposed requirement for electronic submission of test
results to increase the ease and efficiency of data submittal and
improve data accessibility; and
Proposed compliance date for existing affected sources to
comply with the proposed amendments within 90 days after publication of
the final rule.
In the 2012 proposal, we also proposed several other corrections
and clarifications of the rule on the following topics based on
recommendations and suggestions from individual representatives from
state regulatory agencies and industry, as well as based on EPA
experience, to correct errors in the rule and to help clarify the
intent and implementation of the rule:
ACGIH Guidelines;
Testing worst-case scenarios;
Lime injection rate;
Flux monitoring;
Cover flux;
Capture and collection system definition;
Bale breakers;
Bag Leak Detection Systems (BLDS);
Sidewell furnaces;
Testing representative units;
Initial performance tests;
Scrap dryer/delacquering/decoating kiln and scrap shredder
definitions;
Group 2 furnace definition;
HF emissions compliance;
SAPU definition;
Clean charge definition;
Residence time definition;
SAPU feed/charge rate;
Dross-only versus dross/scrap furnaces;
Applicability of rule to area sources;
Altering parameters during testing with new scrap streams;
Controlled furnaces that are temporarily idled for 24
hours or longer; and
Annual compliance certification for area sources.
In the December 8, 2014, supplemental proposal (79 FR 72874), we
presented a revised risk review and a revised technology review.
Similar to the 2012 proposal, we found risks due to emissions of air
toxics to be acceptable from this source category and we identified no
cost-effective controls under the updated AMOS analysis or the
technology review to achieve further emissions reductions. We proposed
no revisions to the emission standards based on the revised risk and
technology review. However, in the 2014 supplemental proposal, we
supplemented and modified several of the proposed technical corrections
and rule clarifications from the 2012 proposal, including the
following:
Revised proposed limit on the total number of furnace
operating mode changes (i.e., frequency) of four times in any 6-month
period, with the ability of sources to apply to the appropriate
authority for additional furnace operating mode changes;
Revised wording in proposed 40 CFR 63.1511(b)(1) related
to worst-case scenario testing clarifying under what conditions the
performance tests are to be conducted;
Revised proposed compliance requirements for performance
testing of uncontrolled furnaces, such that if a source: (1) Chooses to
use an assumption of 67-percent \2\ capture/collection efficiency,
instead of installing temporary hooding according to ACGIH guidelines,
and (2) fails to demonstrate compliance using the 67-percent efficiency
assumption, then the source must either retest using ACGIH hooding
within 180 days (rather than the 90 days specified in the 2012
proposal) or petition the appropriate authority within 180 days that
installing ACGIH hooding is impractical and propose alternative testing
procedures that will minimize unmeasured emissions;
---------------------------------------------------------------------------
\2\ The capture efficiency of 66.67 percent was rounded to 67
percent.
---------------------------------------------------------------------------
Revised proposed requirement that emission sources comply
with the emissions limits at all times, including periods of SSM.
Proposed definitions of startup and shutdown as well as an additional
alternative method for demonstrating compliance with certain emission
limits during startup and shutdown;
Revised proposed requirements for annual inspection of
capture/collection
[[Page 56704]]
systems to allow additional compliance options;
Revised proposed compliance dates of 180 days for certain
requirements and 2 years for other requirements; and
Revised operating and monitoring requirements for sweat
furnaces to allow an additional compliance option.
In addition, we withdrew our 2012 proposal to include provisions
establishing an affirmative defense in light of a recent court decision
vacating an affirmative defense in one of the EPA's CAA section 112(d)
regulations. NRDC v. EPA, 749 F.3d 1055 (D.C. Cir. 2014) (vacating
affirmative defense provisions in CAA section 112(d) rule establishing
emission standards for Portland cement kilns).
III. What is included in this final rule?
This action finalizes the EPA's determinations pursuant to the RTR
provisions of CAA section 112 for the Secondary Aluminum Production
source category. This action also finalizes changes to the NESHAP,
including technical corrections and rule clarifications as well as
alternative compliance options.
A. What are the final rule amendments based on the risk review for the
Secondary Aluminum Production source category?
There are no rule amendments based on the risk review for this
source category.
B. What are the final rule amendments based on the technology review
for the Secondary Aluminum Production source category?
There are no rule amendments based on the technology review for
this source category.
C. What are the final rule amendments addressing emissions during
periods of startup, shutdown, and malfunction?
In its 2008 decision in Sierra Club v. EPA, 551 F.3d 1019 (D.C.
Cir. 2008), the United States Court of Appeals for the District of
Columbia Circuit vacated portions of two provisions in the EPA's CAA
section 112 regulations governing the emissions of HAP during periods
SSM. Specifically, the Court vacated the SSM exemption contained in 40
CFR 63.6(f)(1) and 40 CFR 63.6(h)(1), holding that under section 302(k)
of the CAA, emissions standards or limitations must be continuous in
nature and that the SSM exemption violates the CAA's requirement that
some section 112 standards apply continuously.
We have eliminated the SSM exemption in this rule. Consistent with
Sierra Club v. EPA, the EPA has established standards in this rule that
apply at all times. We have also revised Appendix A to Subpart RRR of
part 63 (the General Provisions applicability table) in several
respects as is explained in more detail below. For example, we have
eliminated the incorporation of the General Provisions' requirement
that the source develop an SSM plan. We have also eliminated and
revised certain recordkeeping and reporting that is related to the SSM
exemption as described in detail in the proposed rule and summarized
again here.
In establishing the standards in this rule, the EPA has taken into
account startup and shutdown periods and, for the reasons explained
below, has not established alternate emission standards for those
periods.
We are finalizing amendments to eliminate provisions that exempt
sources from the requirement to comply with the otherwise applicable
CAA section 112(d) emission standards during periods of SSM. As
explained in the 2012 proposal and 2014 supplemental proposal, because
the scrap processed at secondary aluminum production facilities is the
source of emissions, we expect emissions during startup and shutdown
would be no higher, and most likely significantly lower, than emissions
during normal operations since no scrap is processed during those
periods. The final amendments include alternative methods for
demonstrating compliance with applicable emission limits that are
expressed in units of pounds per ton of feed/charge, or microgram
([mu]g) TEQ or nanogram (ng) TEQ per megagram (Mg) of feed/charge,
based on emissions during startup and shutdown and, alternatively,
demonstrating compliance by keeping records that show that during
startup and shutdown, the feed/charge rate was zero, the flux rate was
zero, and the affected source or emission unit was heated with
electricity, propane, or natural gas as the sole sources of heat or was
not heated. See 40 CFR 63.1513(f).
We are also finalizing definitions for the periods of startup and
shutdown to account for the fact that many furnaces are batch
operations and are often in a standby condition that, under the
proposed definitions, might have been considered to be shutdown. The
final definition of shutdown recognizes that shutdown begins when the
addition of feed/charge is halted, the heat sources are removed, and
product is removed from the equipment to the greatest extent
practicable, and ends when the equipment cools to near ambient
temperature. The final definition recognizes that, after tapping, most
furnaces (tilting furnaces are an exception) retain a molten metal heel
and are not emptied completely. In the final amendments, startup is
defined as beginning with equipment warming from a shutdown and ending
at the point that feed/charge or flux is introduced.
Other SSM-related changes include:
Revising 40 CFR 63.1510(s)(2)(iv), 63.1515(b)(10),
63.1516(a), 63.1516(b)(1)(v), and 63.1517(b)(16)(i) to reflect the
revised requirements related to periods of SSM;
Revising 40 CFR 63.1506(a)(5) to incorporate the general
duty from 40 CFR 63.6(e)(1)(i) to minimize emissions; and
Adding 40 CFR 63.1516(d), and 40 CFR 63.1517(b)(18) and
(19) to require reporting and recordkeeping associated with periods of
SSM.
Periods of startup, normal operations, and shutdown are all
predictable and routine aspects of a source's operations. Malfunctions,
in contrast, are neither predictable nor routine. Instead, they are, by
definition, sudden, infrequent, and not reasonably preventable failures
of emissions control, process, or monitoring equipment (40 CFR 63.2)
(Definition of malfunction). The EPA interprets CAA section 112 as not
requiring emissions that occur during periods of malfunction to be
factored into development of CAA section 112 standards. Under CAA
section 112, emissions standards for new sources must be no less
stringent than the level ``achieved'' by the best controlled similar
source and for existing sources generally must be no less stringent
than the average emission limitation ``achieved'' by the best
performing 12 percent of sources in the category. There is nothing in
section 112 that directs the Agency to consider malfunctions in
determining the level ``achieved'' by the best performing sources when
setting emission standards. As the D.C. Circuit has recognized, the
phrase ``average emissions limitation achieved by the best performing
12 percent of'' sources ``says nothing about how the performance of the
best units is to be calculated.'' Nat'l Ass'n of Clean Water Agencies
v. EPA, 734 F.3d 1115, 1141 (D.C. Cir. 2013). While the EPA accounts
for variability in setting emissions standards, nothing in CAA section
112 requires the Agency to consider malfunctions as part of that
analysis. A malfunction should not be treated in the same manner as the
type of variation in performance that occurs during routine operations
of a source. A malfunction is a failure of the source to perform in a
``normal or usual manner'' and no statutory language compels the
[[Page 56705]]
EPA to consider such events in setting CAA section 112 standards.
Further, accounting for malfunctions in setting emission standards
would be difficult, if not impossible, given the myriad different types
of malfunctions that can occur across all sources in the category and
given the difficulties associated with predicting or accounting for the
frequency, degree, and duration of various malfunctions that might
occur. As such, the performance of units that are malfunctioning is not
``reasonably'' foreseeable. See, e.g., Sierra Club v. EPA, 167 F.3d
658, 662 (D.C. Cir. 1999) (``The EPA typically has wide latitude in
determining the extent of data-gathering necessary to solve a problem.
We generally defer to an agency's decision to proceed on the basis of
imperfect scientific information, rather than to `invest the resources
to conduct the perfect study.' '') See also Weyerhaeuser v. Costle, 590
F.2d 1011, 1058 (D.C. Cir. 1978) (``In the nature of things, no general
limit, individual permit, or even any upset provision can anticipate
all upset situations. After a certain point, the transgression of
regulatory limits caused by `uncontrollable acts of third parties,'
such as strikes, sabotage, operator intoxication or insanity, and a
variety of other eventualities, must be a matter for the administrative
exercise of case-by-case enforcement discretion, not for specification
in advance by regulation.''). In addition, emissions during a
malfunction event can be significantly higher than emissions at any
other time of source operation. For example, if an air pollution
control device with 99-percent removal goes off-line as a result of a
malfunction (as might happen if, for example, the bags in a baghouse
catch fire) and the emission unit is a steady state type unit that
would take days to shutdown, the source would go from 99-percent
control to zero control until the control device was repaired. The
source's emissions during the malfunction would be 100 times higher
than during normal operations. As such, the emissions over a 4-day
malfunction period would exceed the annual emissions of the source
during normal operations. As this example illustrates, accounting for
malfunctions could lead to standards that are not reflective of (and
significantly less stringent than) levels that are achieved by a well-
performing non-malfunctioning source. It is reasonable to interpret CAA
section 112 to avoid such a result. The EPA's approach to malfunctions
is consistent with CAA section 112 and is a reasonable interpretation
of the statute.
In the event that a source fails to comply with the applicable CAA
section 112(d) standards as a result of a malfunction event, the EPA
would determine an appropriate response based on, among other things,
the good faith efforts of the source to minimize emissions during
malfunction periods, including preventative and corrective actions, as
well as root cause analyses to ascertain and rectify excess emissions.
The EPA would also consider whether the source's failure to comply with
the CAA section 112(d) standard was, in fact, sudden, infrequent, not
reasonably preventable, and not caused in part by poor maintenance or
careless operation. 40 CFR 63.2 (Definition of malfunction).
If the EPA determines in a particular case that an enforcement
action against a source for violation of an emission standard is
warranted, the source can raise any and all defenses in that
enforcement action and the federal district court will determine what,
if any, relief is appropriate. The same is true for citizen enforcement
actions. Similarly, the presiding officer in an administrative
proceeding can consider any defense raised and determine whether
administrative penalties are appropriate. In summary, the EPA
interpretation of the CAA and, in particular, CAA section 112 is
reasonable and encourages practices that will avoid malfunctions.
Administrative and judicial procedures for addressing exceedances of
the standards fully recognize that violations may occur despite good
faith efforts to comply and can accommodate those situations.
In the 2012 proposed rule, the EPA proposed to include an
affirmative defense to civil penalties for violations caused by
malfunctions. Although the EPA recognized that its case-by-case
enforcement discretion provides sufficient flexibility, it proposed to
include the affirmative defense to provide a more formalized approach
and more regulatory clarity. See Weyerhaeuser Co. v. Costle, 590 F.2d
1011, 1057-58 (D.C. Cir. 1978) (holding that an informal case-by-case
enforcement discretion approach is adequate); but see Marathon Oil Co.
v. EPA, 564 F.2d 1253, 1272-73 (9th Cir. 1977) (requiring a more
formalized approach to consideration of ``upsets beyond the control of
the permit holder.''). Under the proposed regulatory affirmative
defense provisions, if a source could demonstrate in a judicial or
administrative proceeding that it had met the requirements of the
affirmative defense in the regulation, civil penalties would not be
assessed. After the 2012 proposal, the United States Court of Appeals
for the District of Columbia Circuit vacated an affirmative defense in
one of the EPA's CAA section 112 regulations. NRDC v. EPA, 749 F.3d
1055 (D.C. Cir., 2014) (vacating affirmative defense provisions in CAA
section 112 rule establishing emission standards for Portland cement
kilns). The Court found that the EPA lacked authority to establish an
affirmative defense for private civil suits and held that under the
CAA, the authority to determine civil penalty amounts in such cases
lies exclusively with the courts, not the EPA. Specifically, the Court
found: ``As the language of the statute makes clear, the courts
determine, on a case-by-case basis, whether civil penalties are
`appropriate.' '' See NRDC at 1063 (``[U]nder this statute, deciding
whether penalties are `appropriate' in a given private civil suit is a
job for the courts, not EPA.'').\3\ In light of NRDC, the EPA in the
2014 supplemental proposal withdrew the proposed affirmative defense
and is not including a regulatory affirmative defense provision in the
final rule. As explained above, if a source is unable to comply with
emissions standards as a result of a malfunction, the EPA may use its
case-by-case enforcement discretion to provide flexibility, as
appropriate. Further, as the D.C. Circuit recognized, in an EPA or
citizen enforcement action, the court has the discretion to consider
any defense raised and determine whether penalties are appropriate. Cf.
NRDC at 1064 (arguments that violation were caused by unavoidable
technology failure can be made to the courts in future civil cases when
the issue arises). The same is true for the presiding officer in EPA
administrative enforcement actions.\4\
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\3\ The Court's reasoning in NRDC focuses on civil judicial
actions. The Court noted that ``EPA's ability to determine whether
penalties should be assessed for Clean Air Act violations extends
only to administrative penalties, not to civil penalties imposed by
a court.'' Id.
\4\ Although the NRDC case does not address the EPA's authority
to establish an affirmative defense to penalties that is available
in administrative enforcement actions, the EPA is not including such
an affirmative defense in the final rule. As explained above, such
an affirmative defense is not necessary, and in the 2014
supplemental proposal, we withdrew the proposed affirmative defense.
Moreover, assessment of penalties for violatiing caused by
malfunctions in administrative proceedings and judicial proceedings
should be consistent, Cf. CAA section 113(e) (requiring both the
Administrator and the Court to take specified criteria into account
when assessing penalties).
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We are revising the General Provisions table (Appendix A to Subpart
RRR of 40 CFR part 63) entry for 40 CFR 63.6(e)(1)(i) by changing the
``yes'' in
[[Page 56706]]
column ``Applies to RRR'' to ``no.'' Section 63.6(e)(1)(i) describes
the general duty to minimize emissions. Some of the language in that
section is no longer necessary or appropriate in light of the
elimination of the SSM exemption. We have instead added general duty
regulatory text at 40 CFR 63.1506(a)(5) that reflects the general duty
to minimize emissions while eliminating the reference to periods
covered by an SSM exemption. The current language in 40 CFR
63.6(e)(1)(i) characterizes what the general duty entails during
periods of SSM. With the elimination of the SSM exemption, there is no
need to differentiate between normal operations, startup and shutdown,
and malfunction events in describing the general duty. Therefore, the
language the EPA is promulgating for Subpart RRR does not include that
language from 40 CFR 63.6(e)(1).
We are also revising the General Provisions table entry for 40 CFR
63.6(e)(1)(ii) by changing the ``yes'' in column ``Applies to RRR'' to
``no.'' Section 63.6(e)(1)(ii) imposes requirements that are not
necessary with the elimination of the SSM exemption or are redundant
with the general duty requirement being added at 40 CFR 63.1506(a)(5).
We are revising the General Provisions table entry for 40 CFR
63.6(e)(3) by changing the ``yes'' in column ``Applies to RRR'' to
``no.'' Generally, these paragraphs require development of an SSM plan
and specify SSM recordkeeping and reporting requirements related to the
SSM plan. As noted, the EPA is removing the SSM exemptions. Therefore,
affected units will be subject to an emission standard during such
events. The applicability of a standard during such events will ensure
that sources have ample incentive to plan for and achieve compliance
and, thus, the SSM plan requirements are no longer necessary.
We are revising the General Provisions table entry for 40 CFR
63.6(f)(1) by changing the ``yes'' in column ``Applies to RRR'' to
``no.'' The current language of 40 CFR 63.6(f)(1) exempts sources from
non-opacity standards during periods of SSM. As discussed above, the
Court in Sierra Club vacated the exemptions contained in this provision
and held that the CAA requires that some section 112 standards apply
continuously. Consistent with Sierra Club, the EPA is revising
standards in this rule to apply at all times.
We are revising the General Provisions table entry for 40 CFR
63.6(h)(1) by changing the ``yes'' in column ``Applies to RRR'' to
``no.'' The current language of 40 CFR 63.6(h)(1) exempts sources from
opacity standards during periods of SSM. As discussed above, the Court
in Sierra Club vacated the exemptions contained in this provision and
held that the CAA requires that some section 112 standards apply
continuously. Consistent with Sierra Club, the EPA is revising
standards in this rule to apply at all times.
We are revising the General Provisions table entry for 40 CFR
63.7(e)(1) by changing the ``yes'' in column ``Applies to RRR'' to
``no.'' Section 63.7(e)(1) describes performance testing requirements.
The EPA is instead adding a performance testing requirement at 40 CFR
63.1513(f). The performance testing requirements we are adding differ
from the General Provisions performance testing provisions in several
respects. The regulatory text does not include the language in 40 CFR
63.7(e)(1) that restated the SSM exemption and language that precluded
startup and shutdown periods from being considered ``representative''
for purposes of performance testing. The revised performance testing
provisions include alternative methods for demonstrating compliance
with emission limits that are expressed in units of pounds per ton of
feed/charge, or [mu]g TEQ or ng TEQ per Mg of feed/charge. Compliance
with such limits during startup and shutdown can be demonstrated using
the emissions measured during startup and shutdown along with the
measured feed/charge rate from the most recent performance test
associated with a production rate greater than zero, or the rated
capacity of the affected source if no prior performance test data are
available. Alternatively, compliance can be demonstrated by keeping
records that show that during startup and shutdown, the feed/charge
rate was zero, the flux rate was zero, and the affected source or
emission unit either was heated with electricity, propane, or natural
gas as the sole sources of heat or was not heated. As in 40 CFR
63.7(e)(1), we are requiring in 40 CFR 63.1511(b) that performance
tests conducted under this subpart not be conducted during malfunctions
because conditions during malfunctions are often not representative of
normal operating conditions. The EPA is adding language in 40 CFR
63.1517(b)(19) that requires the owner or operator to record the
process information that is necessary to document operating conditions
during the test and include in such record an explanation to support
that such conditions are representative of startup and shutdown
operations. Section 63.7(e) requires that the owner or operator make
available to the Administrator such records ``as may be necessary to
determine the condition of the performance test'' available to the
Administrator upon request, but does not specifically require the
information to be recorded. The regulatory text the EPA is adding to
this provision builds on that requirement and makes explicit the
requirement to record the information.
We are revising the General Provisions table (Appendix A to Subpart
RRR of 40 CFR part 63) entry for 40 CFR 63.8(c)(1)(i) and (iii) by
changing the ``yes'' in column ``Applies to RRR'' to ``no.'' The cross-
references to the general duty and SSM plan requirements in those
subparagraphs are not necessary in light of other requirements of 40
CFR 63.8 that require good air pollution control practices (40 CFR
63.8(c)(1)) and that set out the requirements of a quality control
program for monitoring equipment (40 CFR 63.8(d)).
We are revising the General Provisions table entry for 40 CFR
63.8((d)(3) by changing the ``yes'' in column ``Applies to RRR'' to
``Yes, except for last sentence which refers to an SSM plan. SSM plans
are not required.'' The final sentence in 40 CFR 63.8((d)(3) refers to
the General Provisions' SSM plan requirement which is no longer
applicable.
We are revising the General Provisions table entry for 40 CFR
63.10(b)(2)(i) by changing the ``yes'' in column ``Applies to RRR'' to
``no.'' Section 63.10(b)(2)(i) describes the recordkeeping requirements
during startup and shutdown. These recording provisions are no longer
necessary because the EPA is promulgating that recordkeeping and
reporting applicable to normal operations will apply to startup and
shutdown. In the absence of special provisions applicable to startup
and shutdown, such as a startup and shutdown plan, there is no reason
to retain additional records for startup and shutdown periods. However,
we are adding an additional recordkeeping provision at 40 CFR
63.1517(b)(18) for owners and operators that wish to demonstrate
compliance with emission limits that are expressed in units of pounds
per ton of feed/charge, or [mu]g TEQ or ng TEQ per Mg of feed/charge,
during startup and shutdown by keeping records that show that during
startup and shutdown no feed/charge or flux was added, only clean fuel
was used, or no fuel was used.
[[Page 56707]]
We are revising the General Provisions table entry for 40 CFR
63.10(b)(2)(ii) by changing the ``yes'' in column ``Applies to RRR'' to
``no.'' Section 63.10(b)(2)(ii) describes the recordkeeping
requirements during a malfunction. The EPA is adding such requirements
to 40 CFR 63.1517. The regulatory text we are adding differs from the
General Provisions it is replacing in that the General Provisions
require the creation and retention of a record of the occurrence and
duration of each malfunction of process, air pollution control, and
monitoring equipment. The EPA is applying the recordkeeping requirement
to any failure to meet an applicable standard and is requiring that the
source record the date, time, and duration of the failure rather than
the ``occurrence.''
We are revising the General Provisions table entry for 40 CFR
63.10(b)(2)(iv) by changing the ``yes'' in column ``Applies to RRR'' to
``no.'' When applicable, the provision requires sources to record
actions taken during SSM events when actions were inconsistent with
their SSM plan. The requirement is no longer appropriate because SSM
plans will no longer be required. The requirement previously applicable
under 40 CFR 63.10(b)(2)(iv)(B) to record actions to minimize emissions
and record corrective actions is now applicable by reference to 40 CFR
63.1517.
We are revising the General Provisions table entry for 40 CFR
63.10(b)(2)(v) by changing the ``yes'' to ``no.'' When applicable, the
provision requires sources to record actions taken during SSM events to
show that actions taken were consistent with their SSM plan. The
requirement is no longer appropriate because SSM plans will no longer
be required.
We are revising the General Provisions table entry for 40 CFR
63.10(c)(15) by changing the ``yes'' to ``no.'' When applicable, the
provision allows an owner or operator to use the affected source's SSM
plan or records kept to satisfy the recordkeeping requirements of the
SSM plan, specified in 40 CFR 63.6(e), to also satisfy the requirements
of 40 CFR 63.10(c)(10) through (12). The EPA is eliminating this
requirement because SSM plans will no longer be required, and,
therefore, 40 CFR 63.10(c)(15) no longer serves any useful purpose.
We are revising the General Provisions table entry for 40 CFR
63.10(d)(5), including (5)(i) and (ii), by changing the ``yes'' in
column ``Applies to RRR'' to ``no.'' Section 63.10(d)(5) describes the
reporting requirements for SSM. We will no longer require owners or
operators to determine whether actions taken to correct a malfunction
are consistent with an SSM plan or report when actions taken during a
startup, shutdown, or malfunction were not consistent with an SSM plan,
because SSM plans will no longer be required. To replace the General
Provisions reporting requirement, the EPA is adding reporting
requirements to 40 CFR 63.1516(d). The replacement language differs
from the General Provisions requirement in that it eliminates periodic
SSM reports as a stand-alone report. We are requiring sources that fail
to meet an applicable standard at any time to report the information
concerning such events in the semi-annual excess emission report
already required under 40 CFR part 63, subpart RRR. The report must
contain the emission unit ID, monitor ID, pollutant or parameter
monitored, beginning date and time of event, end date and time of the
event, cause of the deviation or exceedance, corrective action taken, a
list of the affected source or equipment, an estimate of the quantity
of each regulated pollutant emitted over any emission limit, and a
description of the method used to estimate the emissions. Examples of
such methods would include product-loss calculations, mass balance
calculations, measurements when available, or engineering judgment
based on known process parameters. The EPA is promulgating this
requirement to ensure that there is adequate information to determine
compliance, to allow the EPA to determine the severity of the failure
to meet an applicable standard, and to provide data that may document
how the source met the general duty to minimize emissions during a
failure to meet an applicable standard.
D. What other changes have been made to the NESHAP?
This section provides a summary of other changes to the NESHAP.
More details and further explanation of these changes are provided in
section IV of this preamble and/or in the response to comments
document, which is available in the docket for this action. These other
changes include the following:
1. Clarification of applicability of rule provisions to area
sources. We are finalizing revisions to clarify which operating,
monitoring, performance testing, and annual compliance certification
requirements apply to area sources.
2. Addition or revision of definitions. We added definitions for
bale breaker, capture and collection system, HF, round top furnace,
startup, shutdown, tap, and total reactive fluoride flux injection
rate. We revised the definitions for aluminum scrap shredder, clean
charge, cover flux, group 2 furnace, HCl, residence time, scrap dryer/
delacquering/decoating kiln, and SAPU.
3. Revision of provisions to include HF. We have revised 40 CFR
63.1503, 63.1505, 63.1506, 63.1510, 63.1511, 63.1512, 63.1513, 63.1516,
and Table 1 of the rule to address HF in the emission standards and in
the performance testing, monitoring, and compliance demonstration
provisions for group 1 furnaces.
4. Addition of criteria for changing furnace classifications and an
allowed frequency of such changes of four times in any 6-month period.
We are finalizing requirements for changing furnace classifications in
40 CFR 63.1510, 63.1514, and 63.1517 of the final rule.
5. Revisions to operating requirements. We are finalizing revisions
to operating requirements with respect to the following:
Provisions for controlled group 1 furnaces that will be
idled for at least 24 hours in 40 CFR 63.1506(m)(7) and Table 2;
A requirement for lime injection rate verification in 40
CFR 63.1506(m), 63.1510(i)(4), 63.1512, and Table 3; and
Alternative compliance options for sweat furnaces in lieu
of following the ACGIH Guidelines.
6. Revisions to monitoring requirements. We are finalizing
revisions to monitoring requirements with regard to:
Annual inspections of capture/collection systems in 40 CFR
63.1510(d)(2);
Flux monitoring in 40 CFR 63.1510(j)(4) and in Table 3 of
the rule;
Bag leak detection system maintenance in 40 CFR
63.1510(f)(1)(ii) and in Table 3;
Monitoring of sidewell group 1 furnaces in 40 CFR
63.1510(n)(1);
SAPU compliance with emission factors in 40 CFR
63.1510(t); and
Compliance options for sweat furnaces in 40 CFR
63.1510(d)(3) as an alternative to the monitoring requirements to
conduct annual flow rate measurements using EPA Methods 1 and 2.
As a result of comments on the 2012 proposal, we are not finalizing
an amendment to require a 60-day approval period for operation,
maintenance and monitoring (OM&M) plans.
7. Revisions to requirements for performance testing/compliance
demonstration. We are finalizing
[[Page 56708]]
revisions with respect to the following performance testing
requirements:
References to ACGIH guidelines in 40 CFR 63.1502 and
63.1506 and Tables 2 Table 3 for capture and collection systems;
Section 63.1511(b)(1) and 63.1511(b)(6) to clarify the
conditions under which performance tests must be conducted in order to
be representative of testing for a ``worst case'' scenario and that
multiple tests may be required to characterize all regulated
pollutants;
Section 63.1511(b)(3) to clarify testing requirements for
batch processes;
Section 63.1511(f)(6) to clarify that testing for
representative units means that all performance tests must be conducted
on the same affected source or emission unit;
Section 63.1511(b) to allow 180 days to conduct initial
performance testing;
Section 63.1511(g)(5) with respect to altering parameters
during performance testing with new feed/charge types; and
Paragraphs in 40 CFR 63.1512(e) to clarify the requirement
to account for unmeasured emissions during performance testing of
uncontrolled group 1 furnaces, including:
[cir] Requirements for installation of temporary hooding for
performance testing on uncontrolled group 1 furnaces or, for existing
uncontrolled furnaces, use of 80-percent capture efficiency assumption;
[cir] testing requirements for new uncontrolled furnaces;
[cir] conditions where installation of temporary hooding that meets
ACGIH guidelines is impractical; and
[cir] procedures to minimize unmeasured emissions during
performance testing of uncontrolled furnaces.
8. Revisions to recordkeeping provisions. We are finalizing
revisions to 40 CFR 63.1517(b)(4)(ii) with respect to lime injection
rates, 40 CFR 63.1517(b)(14) with respect to records related to the
annual inspection of capture/collection systems, and 40 CFR
63.1517(b)(19) with respect to records related to startups and
shutdowns.
E. What are the effective and compliance dates of the standards?
The revisions to the MACT standards being promulgated in this
action are effective on September 18, 2015.
The compliance date for the final amendments listed in 40 CFR
63.1501(d) for existing secondary aluminum production affected sources
is March 16, 2016. The compliance date for the final amendments listed
in 40 CFR 63.1501(c) for existing affected sources is September 18,
2017. The owner or operator of a new affected source that commences
construction or reconstruction after February 14, 2012, must comply
with all of the requirements of this subparat by September 18, 2015 or
upon startup, whichever is later.
In the 2012 proposal, we proposed that existing affected sources
comply with the proposed amendments within 90 days of the publication
of the final rule in the Federal Register. As described in detail in
the 2014 supplemental proposal (79 FR 72906), commenters stated that
the proposed 90-day compliance deadline was insufficient for sources to
comply with certain provisions of the final rule. These commenters
recommended compliance dates of 2 to 3 years due to the need to conduct
operational planning, maintenance planning, reprogramming of data
acquisition systems, design and installation of hooding equipment, and/
or negotiations with permitting authorities to gain performance test
plan approvals. The EPA agreed that the proposed 90-day compliance
deadline was insufficient. However, we did not agree that sources
needed 2 to 3 years to comply with all the requirements. Based on
consideration of the comments and further evaluation of the amount of
time needed for each of the requirements, the 2014 supplemental
proposal included extended compliance periods of 180 days for the
revisions listed in 40 CFR 63.1501(d). In this action, we are
finalizing compliance deadlines of 180 days after publication of this
final rule in the Federal Register for the revisions in 40 CFR
63.1501(d). For the amendments related to HF emissions (40 CFR
63.1505(i)(4) and (k)(2)), testing of existing uncontrolled furnaces
(40 CFR 63.1512(e)(4), (e)(5), (e)(6) and (e)(7)), and changing furnace
classification (40 CFR 63.1514), the EPA agrees that a longer time to
comply is appropriate and proposed a compliance period of 2 years in
the 2014 supplemental proposal. In this action, we are finalizing a
compliance deadline of 2 years after publication of this final rule in
the Federal Register for the provisions listed in 40 CFR 63.1501(e).
F. What are the requirements for submission of performance test data to
the EPA?
As stated in the preamble of the 2012 proposal, the EPA is taking a
step to increase the ease and efficiency of data submittal and data
accessibility. Specifically, the EPA is requiring owners and operators
of secondary aluminum production facilities to submit electronic copies
of certain required performance test reports.
As mentioned in the preamble of the proposal, data will be
collected by direct computer-to-computer electronic transfer using EPA-
provided software. As discussed in the proposal, the EPA-provided
software is an electronic performance test report tool called the ERT.
The ERT will generate an electronic report package which will be
submitted to the Compliance and Emissions Data Reporting Interface
(CEDRI) and then archived to the EPA's Central Data Exchange (CDX). A
description and instructions for use of the ERT can be found at https://www.epa.gov/ttn/chief/ert/, and CEDRI can be accessed through
the CDX Web site at www.epa.gov/cdx.
The requirement to submit performance test data electronically to
the EPA does not create any additional performance testing and will
apply only to those performance tests conducted using test methods that
are supported by the ERT. A listing of the pollutants and test methods
supported by the ERT is available at the ERT Web site. The EPA
believes, through this approach, industry will save time in the
performance test submittal process. Additionally, this rulemaking
benefits industry by cutting back on recordkeeping costs as the
performance test reports that are submitted to the EPA using CEDRI are
no longer required to be kept in hard copy.
As mentioned in the proposed preamble, state, local, and tribal
agencies will benefit from more streamlined and accurate review of
performance test data that will be available on the EPA WebFIRE
database. The public will also benefit. Having these data publicly
available enhances transparency and accountability. For a more thorough
discussion of electronic reporting of performance tests using direct
computer-to-computer electronic transfer and using EPA-provided
software, see the discussion in the preamble of the proposal.
In summary, in addition to supporting regulation development,
control strategy development, and other air pollution control
activities, having an electronic database populated with performance
test data will save industry, state, local, tribal agencies, and the
EPA significant time, money, and effort while improving the quality of
emission inventories, air quality regulations, and enhancing the
public's access to this important information.
[[Page 56709]]
G. What materials are being incorporated by reference?
In this final rule, the EPA is including regulatory text that
includes incorporation by reference. In accordance with requirements of
1 CFR 51.5, the EPA is incorporating by reference the following
documents described in the amendments to 40 CFR 63.14:
ASTM D7520-13, Standard Test Method for Determining the
Opacity of a Plume in an Outdoor Ambient Atmosphere, approved December
1, 2013.
EPA-625/3-89-016, Interim Procedures for Estimating Risks
Associated with Exposures to Mixtures of Chlorinated Dibenzo-p-Dioxins
and -Dibenzofurans (CDDs and CDFs) and 1989 Update, March 1989, U.S.
Environmental Protection Agency.
Industrial Ventilation: A Manual of Recommended Practice,
23rd Edition, 1998, Chapter 3, ``Local Exhaust Hoods'' and Chapter 5,
``Exhaust System Design Procedure.'' American Conference of
Governmental Industrial Hygienists.
Industrial Ventilation: A Manual of Recommended Practice
for Design, 27th Edition, 2010, American Conference of Governmental
Industrial Hygienists.
In the 2014 supplemental proposal, we identified ASTM D7520-09 as
an alternative method for the currently required EPA Method 9. Since
then, the method has been updated to incorporate specific requirements
that we included as add-ons to our broad alternative test method
approval of the 2009 version of the ASTM method. We do not expect any
concerns changing to the new version because the additional
requirements are handled by the vendors of the digital camera/software
systems.
The EPA has made, and will continue to make, these documents
generally available electronically through www.regulations.gov and/or
in hard copy at the appropriate EPA office (see the ADDRESSES section
of this preamble for more information).
IV. What is the rationale for our final decisions and amendments for
the Secondary Aluminum Production source category?
For each issue, this section provides a description of what we
proposed and what we are finalizing for the issue, the EPA's rationale
for the final decisions and amendments, and a summary of key comments
and responses. For all comments not discussed in this preamble, comment
summaries and the EPA's responses can be found in the comment summary
and response document, which is available in the docket.
A. Residual Risk Review for the Secondary Aluminum Production Source
Category
1. What did we propose pursuant to CAA section 112(f) for the Secondary
Aluminum Production source category?
Pursuant to CAA section 112(f), we conducted a revised residual
risk review and presented the results of this review, along with our
proposed decisions regarding risk acceptability and AMOS, in the
December 8, 2014, supplemental proposal (79 FR 72874). The results of
the revised risk assessment are presented briefly below in Table 2 and
in more detail in the residual risk document, Residual Risk Assessment
for the Secondary Aluminum Source Category in Support of the 2015 Risk
and Technology Review Final Rule, which is available in the docket for
this rulemaking.
a. Inhalation Risk Assessment Results. The results of the chronic
baseline inhalation cancer risk assessment indicate that, based on
estimates of current actual emissions, the maximum individual risk
(MIR) posed by the Secondary Aluminum Production source category from
major sources and from area sources was less than 1-in-1 million. The
estimated cancer incidence was slightly higher for area sources
compared to the major sources due to the larger number of area sources
nationwide. The total estimated cancer incidence from secondary
aluminum production sources from both major and area sources based on
actual emission levels was 0.002 excess cancer cases per year, with
emissions of D/F, naphthalene, and Polycyclic Aromatic Hydrocarbons
(PAH) contributing 48 percent, 31 percent, and 11 percent,
respectively, to this cancer incidence. In addition, we note that there
are no excess cancer risks greater than or equal to 1-in-1 million as a
result of inhalation exposure to actual emissions from this source
category over a lifetime. The maximum modeled chronic non-cancer hazard
index (HI) target organ-specific HI (TOSHI) value for the source
category for both major and area sources based on actual emissions was
estimated to be 0.04, with HCl emissions from group 1 furnaces
accounting for 99 percent of the HI.
Table 2--Secondary Aluminum Production Source Category Inhalation Risk Assessment Results
--------------------------------------------------------------------------------------------------------------------------------------------------------
Maximum individual cancer Estimated Maximum chronic non-cancer
risk (in 1-million) \a\ Estimated population TOSHI \b\
---------------------------- annual at increased ----------------------------
Number of facilities modeled cancer risk of Based on Based on Worst-case maximum screening
Based on Based on incidence cancer >= 1- actual allowable acute non-cancer HQ \c\
actual allowable (cases/yr) in-1 emissions emissions
emissions emissions \d\ million \d\ level level
--------------------------------------------------------------------------------------------------------------------------------------------------------
Major Sources (52)................. 0.6 4 0.0007 0 0.04 0.1 HQ(REL) = 0.7 (HF).
HQ(AEGL1) = 0.4 (HCl).
Area Sources (103)................. 0.3 1 0.001 0 0.0003 0.001 NA.
Facility-wide (52 Major Sources)... 70 NA 0.05 760,000 1 NA NA.
--------------------------------------------------------------------------------------------------------------------------------------------------------
\a \ Estimated maximum individual excess lifetime cancer risk due to HAP emissions from the source category for major sources and D/F emissions from the
source category for area sources.
\b\ Maximum TOSHI. The target organ with the highest TOSHI for the Secondary Aluminum Production source category for both actual and allowable emissions
is the respiratory system.
\c\ There is no acute dose-response value for D/F. Thus an acute hazard quotient (HQ) value for area sources was not calculated. The maximum off-site HQ
acute value of 0.7 for actuals is driven by emissions of hydrofluoric acid. See section III.A.3 of the 2014 supplemental proposal (79 FR 72885) for
explanation of acute dose-response values. Acute assessments are performed based on actual emissions.
\d\ These estimates are based upon actual emissions.
When considering MACT-allowable emissions, the inhalation cancer
MIR was estimated to be up to 4-in-1 million, driven by emissions of D/
F compounds, naphthalene, and PAHs from the scrap dryer/delacquering/
decoating kiln. The estimated potential cancer incidence considering
allowable emissions for both major and area sources was estimated to be
0.014 excess cancer cases per year, or 1 case every 70 years.
Approximately 3,400 people were estimated to have cancer risks greater
than or equal to 1-in-1 million considering allowable emissions from
[[Page 56710]]
secondary aluminum production plants. When considering MACT-allowable
emissions, the maximum chronic non-cancer TOSHI value was estimated to
be 0.1, driven by allowable emissions of HCl from the group 1 furnaces.
b. Acute Risk Results. Our screening analysis for worst-case acute
impacts based on actual emissions indicates no pollutants exceeding an
HQ value of 1 based upon the REL.
c. Multipathway Risk Screening Results. Results of the worst-case
Tier 1 screening analysis indicated that 36 of the 52 major sources
exceeded the persistent and bio-accumulative HAP (PB-HAP) emission
cancer screening rates (based on estimates of actual emissions) for D/
F, and 3 of the 52 major sources exceeded the Tier 1 screen value for
PAHs. Regarding area sources, 60 of the 103 area sources exceeded the
PB-HAP emission cancer screening rates (based on estimates of actual
emissions) for D/F. For the compounds and facilities that did not
screen out at Tier 1, we conducted a Tier 2 screen. The Tier 2 screen
replaces some of the assumptions used in Tier 1 with site-specific
data, including the location of fishable lakes and local precipitation,
wind direction, and speed. The Tier 2 screen continues to rely on high-
end assumptions about consumption of local fish and locally grown or
raised foods (adult female angler at 99th percentile consumption for
fish for the subsistence fisherman scenario and 90th percentile
consumption for locally grown or raised foods for the farmer scenario).
It is important to note that, even with the inclusion of some site-
specific information in the Tier 2 analysis, the multipathway screening
analysis is still a very conservative, health-protective assessment
(e.g., upper-bound consumption of local fish and locally grown and/or
raised foods). In all likelihood, this analysis will yield results that
serve as an upper-bound multipathway risk associated with a facility.
While the screening analysis was not designed to produce a
quantitative risk result, the factor by which the emissions exceed the
threshold serves as a rough gauge of the ``upper-limit'' risks we would
expect from a facility. Thus, for example, if a facility emitted a PB-
HAP carcinogen at a level 2 times the screening threshold, we can say
with a high degree of confidence that the actual maximum cancer risks
will be less than 2-in-1 million. Likewise, if a facility emitted a
noncancer PB-HAP at a level 2 times the screening threshold, the
maximum noncancer hazard would represent an HQ less than 2. The high
degree of confidence comes from the fact that the screens are developed
using the very conservative (health-protective) assumptions that we
describe above.
Based on the Tier 2 cancer screening analysis, 25 of the 52 major
sources and 34 of the 103 area sources emitted D/F above the Tier 2
cancer screening thresholds for the subsistence fisher and farmer
scenarios. The individual D/F emissions were all scaled based on their
toxicity to 2,3,7,8-tetrachlorodibenzo-p-dioxin and reported as TEQ.
The subsistence fisher scenario for the highest risk facilities
exceeded the D/F cancer threshold by a factor of 80 for the major
sources and by a factor of 70 for the area sources. The Tier 2 analysis
also identified 23 of the 52 major sources and 26 of the 103 area
sources emitting D/F above the Tier 2 cancer screening thresholds for
the subsistence farmer scenario. The highest exceedance of the Tier 2
screen value was 40 for the major sources and 20 for the area sources
for the farmer scenario.
We had only one major source emitting PAHs above the Tier 2 cancer
screen value with an exceedance of 2 for the farmer scenario. All PAH
emissions were scaled based on their toxicity to benzo(a)pyrene and
reported as TEQ.
A more refined Tier 3 multipathway screening analysis was conducted
for six Tier 2 major source facilities. The six facilities were
selected because the Tier 2 cancer screening assessments for these
facilities had exceedances greater than or equal to 50 times the screen
value for the subsistence fisher scenario. The major sources
represented the highest screened cancer risk for multipathway impacts.
Therefore, further screening analyses were not performed on the area
sources. The Tier 3 screen examined the set of lakes from which the
fisher might ingest fish. Any lakes that appeared not to be fishable or
not publicly accessible were removed from the assessment, and the
screening assessment was repeated. After we made the determination the
critical lakes were fishable, we analyzed plume rise data for each of
the sites. The Tier 3 screen was conducted only on those HAP that
exceeded the Tier 2 screening threshold, which for this assessment were
D/F and PAHs. Both of these PB-HAP are carcinogenic. The Tier 3 screen
resulted in lowering the maximum exceedance of the screen value for the
highest site from 80 to 70. Results for the other sites were all less
than 70. The highest exceedance of the Tier 2 cancer screen value of 40
for the farmer scenario was also reduced in the Tier 3 screening
assessment to a value of 30 for the major sources within this source
category.
Overall, the refined multipathway screening analysis for D/F and
PAHs utilizing the Tier 3 screen predicted a potential lifetime cancer
risk of 70-in-1 million or lower to the most exposed individual, with
D/F emissions from group 1 furnaces handling other than clean charge
driving the risk. Cancer risks due to PAH emissions for the maximum
exposed individual were less than 1-in-1 million.
The chronic non-cancer HQ was predicted to be below 1 for cadmium
compounds and 1 for mercury compounds. For lead, we did not estimate
any exceedances of the Primary Lead National Ambient Air Quality
Standards (NAAQS).
Further details on the refined multipathway screening analysis can
be found in Appendix 8 of the Residual Risk Assessment for the
Secondary Aluminum Production Source Category in Support of the 2015
Risk and Technology Review Final Rule, which is available in the
docket.
d. Environmental Risk Screening Results. We conducted an
environmental risk screening assessment for the Secondary Aluminum
Production source category for the following seven pollutants: PAHs,
mercury (methyl mercury and mercuric chloride), cadmium, lead, D/F,
HCl, and HF.
Of the seven pollutants included in the environmental risk screen,
major sources in this source category emit PAHs, mercuric chloride,
cadmium, lead, D/F, HCl, and HF. In the Tier 1 screening analysis for
PB-HAP, none of the individual modeled concentrations for any facility
in the source category exceeded any of the ecological benchmarks
(either the lowest-observed-adverse-effect level (LOAEL) or no observed
adverse effects level (NOAEL)) for PAHs, mercuric chloride, cadmium,
and D/F. For lead, we did not estimate any exceedances of the Secondary
Lead NAAQS. For HCl and HF, the average modeled concentration around
each facility (i.e., the average concentration of all off-site data
points in the modeling domain) did not exceed any ecological benchmark.
In addition, each individual modeled concentration of HCl and HF (i.e.,
each off-site data point in the modeling domain) was below the
ecological benchmarks for all facilities.
Of the seven pollutants included in the environmental risk screen,
area sources in this source category are regulated only for D/F. In the
Tier 1 screening analysis for D/F, none of the individual modeled
concentrations for any facility in the source category exceeded any of
the ecological
[[Page 56711]]
benchmarks (either the LOAEL or NOAEL) for D/F.
e. Facility-wide Risk Assessment Results. Considering facility-wide
emissions at the 52 major sources, the MIR was estimated to be 70-in-1
million driven by arsenic and nickel emissions, and the chronic non-
cancer TOSHI value was calculated to be 1, driven by emissions of
cadmium compounds. The above risks were driven by emissions from the
potline roof vents at the co-located primary aluminum production
operations. The Secondary Aluminum Production source category
represents less than 1 percent of the inhalation risks from the
facility-wide assessment based upon actual emissions. The risks due to
primary aluminum production operations are being addressed in a
separate RTR rulemaking for the Primary Aluminum Production source
category that EPA plans to finalize later this year.
f. What demographic groups might benefit from this regulation? We
conducted a proximity analysis during the development of the proposed
rule, and that analysis is also being used in support of this final
rule. We conclude that this 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. However, the final rule
will provide additional benefits to these demographic groups by
improving the compliance, monitoring and implementation of the NESHAP.
The detailed results of the proximity analyses can be found in the
EJ Screening Report for Secondary Aluminum Area Sources and the EJ
Screening Report for Secondary Aluminum Major Sources, which are
available in the docket for this rulemaking.
2. How did the risk review change for the Secondary Aluminum Production
source category?
No new information was received that would alter the results of the
revised risk review presented in support of the 2014 supplemental
proposal, so no changes were made.
3. What key comments did we receive on the risk review, and what are
our responses?
Several comments were received regarding the revised risk
assessment for the Secondary Aluminum Production source category. The
following is a summary of some key comments and our responses to those
comments. Other comments received and our responses to those comments
can be found in the document titled, National Emission Standards for
Hazardous Air Pollutant Emissions: Secondary Aluminum Production
Summary of Public Comments and Responses on Proposed Rule (77 FR 8576,
February 14, 2012) and Supplemental Proposal (79 FR 72874, December 8,
2014), which is available in the docket for this action.
Comment: One commenter \5\ stated that the EPA should reconsider
its finding of acceptable risk and instead find risks unacceptable for
the following reasons.
---------------------------------------------------------------------------
\5\ In summarizing the key comments, we have indicated when a
comment was submitted on the 2014 supplemental proposal. Unless
otherwise noted, the remaining comments were submitted on the 2012
proposed rule.
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The multipathway risk from D/F emissions: i.e., a lifetime cancer
risk of up to 70-in-1 million for the most-exposed individual to
emissions via a fish (``fisher'') route of exposure, and an additional
cancer risk of up to 30-in-1 million for the most-exposed individual to
such emissions from a farm (``farmer'') route of exposure. These
exposures add up to 100-in-1 million. The EPA has a policy of adding
cancer risks to determine the most-exposed individual's maximum risk.
The EPA estimates cancer risks ``as the sum of the risks for each of
the carcinogenic HAP'' because ``[s]umming the risks of these
individual compounds to obtain the cumulative cancer risks is an
approach that was recommended by the EPA's SAB in their 2002 peer
review of the EPA's National Air Toxics Assessment.'' 79 FR 72886 and
n.7 (citing National Air Toxic Assessment (NATA)--Evaluating the
National-scale Air Toxics Assessment 1996 Data--a Science Advisory
Board (SAB) Advisory). The Agency has given no valid justification for
not recognizing that the maximum cancer risk from multipathway exposure
could be as high as 100-in-1 million, sufficient for the EPA to find
risk unacceptable. Furthermore, the EPA has recognized that the
inhalation-based cancer risk could be as high as 4 (based on allowable
emissions), or 0.6 (based on so-called ``actual'' emissions). Adding
this risk (whether 0.6 or 4) to 100-in-1 million would exceed the EPA's
benchmark of 100-in-1 million. The EPA has provided no valid basis for
not adding inhalation and multipathway cancer risks. The EPA should
look at the whole picture of cancer risk, in view of its additive
policy for cancer. Thus, together these data points show that the EPA
should find total cancer risk from this source category to be
unacceptable.
Moreover, the EPA's multipathway risk does not evaluate all
persistent and/or bioaccumulative pollutants, and, thus, its
multipathway risk assessment is likely underestimating these risks. The
EPA should evaluate all persistent, bioaccumulative, and toxics (PBTs)
emitted by the secondary aluminum source category, including all HAP
metals emitted (such as arsenic and nickel).
In addition, if inhalation-based cancer risk is more than 3 times
as high from allowable emissions (as from so-called ``actual''
emissions), then multipathway-based cancer risk, which the EPA has not
evaluated based on allowable emissions, is also likely to be more than
3 times as high, or at least higher than the numbers the EPA found.
Thus, the fish-based risk could be as high as 210-in-1 million, and the
farm-based risk could be as high as 90-in-1 million; together, the
maximum multipathway cancer risk the EPA should be considering for the
most-exposed individual is 300-in-1 million. The EPA has given no valid
justification for not considering allowable emissions-based risk from
multipathway exposure. Doing so would lead the Agency to find cancer
risk from multipathway exposure to be well above 100-in-1 million.
The commenter stated that the above analysis shows why, based on
cancer risk alone, the EPA should find secondary aluminum plants'
current risk is unacceptable and, thus, set standards to reduce these
plants' D/F and other cancer-causing emissions.
The commenter stated that the EPA also found other health risks,
including chronic non-cancer and acute risks, which only add more
evidence of the harm the most-exposed individual faces from this source
category. The commenter stated that, for example, the acute HQ from HF
is 0.7, and from HCl is 0.4, which, added together, to consider the
maximum acute risk, would be 1.1, above the level at which the EPA
recognizes harm can occur. The commenter stated that the EPA has not
added these risks, nor given any valid justification for not doing so,
even though if there is an acute spike in emissions, it is just as
likely that the most-exposed person would breathe various pollutants
that may spike together--i.e., HCl, HF, and other pollutants, not just
each pollutant individually. The commenter stated that the EPA's acute
HQ is likely too low.
The commenter stated that it is also unclear whether the EPA has
used the most current, most protective D/F reference doses and
concentrations, including the 2012 D/F value of 7 x 10 -10
milligram (mg)/kilogram (kg)-day, for chronic oral exposure; the EPA
should confirm that it has used the best
[[Page 56712]]
available scientific information on reference values. The commenter
stated that the EPA should follow the best available scientific
approach to risk assessment, as shown in California's risk assessment
guidance manual and supporting scientific documents.
Response: We disagree with the commenter's arguments for finding
risks to be unacceptable and have combined risk to the extent that it
is appropriate to do so. We explain below and in the Residual Risk
Assessment document, which is available in the docket for this
rulemaking, why we do not sum the risk results from the fisher and
farmer scenarios in our multipathway analysis and why we do not combine
the risk values from our inhalation assessment with those of the
multipathway analysis. We also explain the scope of our multipathway
analysis in terms of the pollutants, the source of their dose-response
values, and the emission levels. In addition, we explain below why we
do not use a TOSHI approach for acute analyses. (See also the Residual
Risk Assessment for the Secondary Aluminum Production Source Category
in Support of the 2015 Risk and Technology Review Final Rule.)
In the multipathway screening assessment, we did not sum the risk
results of the fisher and farmer scenarios. The modeling approach used
for this analysis constructs two different exposure scenarios, which
serves as a conservative estimate of potential risks to the most-
exposed receptor in each scenario. Based on the information and
assumptions in the assessment, it is highly unlikely that the most-
exposed farmer is the same person as the most-exposed fisher,
therefore, it is not reasonable to add risk results from these two
exposure scenarios. (See Appendix 5 and Section 2.5 of the Residual
Risk Assessment for the Secondary Aluminum Production Source Category
in Support of the 2015 Risk and Technology Review Final Rule.)
We disagree with the commenter's statement that we should combine
the results of our inhalation and multipathway assessments for this
source category. We determined that it would be inappropriate to do so
based on the differences in the design and results of the two types of
assessments, as well as the highly conservative nature of the
multipathway assessment. First, the screening scenario is a
hypothetical scenario, and, due to the theoretical construct of the
screening model, exceedances of the thresholds are not directly
translatable into, or additive with, estimates of risk or HQ for these
facilities. The result of the multipathway screen is number
representing an exceedance of a benchmark, which is a ratio, and the
results of a cancer risk assessment is a mathematical probability
(i.e., increased risk of cancer due to exposure to the HAP emissions
from the source category). It is not mathematically appropriate or
consistent to add them together. Second, the multipathway risk
assessment was a screening-level assessment and not a full risk
assessment. The screening assessment used highly conservative
assumptions designed to ensure that facilities with results below the
screening threshold values did not have the potential for multipathway
impacts of concern. The results of the multipathway screen represent a
high-end estimate of what the multipathway risk or hazard may be. For
example, an exceedance of 2 for a non-carcinogen can be interpreted to
mean that we have high confidence that the hazard would be less than 2.
Similarly, an exceedance of 30 for a carcinogen means that we have high
confidence that the risk is lower than 30-in-1 million. Our confidence
comes from the conservative, health-protective assumptions that are in
the multipathway screens: We choose inputs from the upper end of the
range of possible values for the influential parameters used in the
screens; and we assume that the exposed individual exhibits ingestion
behavior that would lead to a high total multipathway exposure. We
conclude that it is not appropriate to sum the risk results from the
chronic inhalation assessment and the screening multipathway
assessment. In addition, it is highly unlikely that the same receptor
has the maximum results in both assessments. In other words, it is
unlikely that the person with the highest chronic inhalation cancer
risk is also the same person with the highest individual multipathway
cancer risk because it is unlikely that the same receptor has the
maximum exposure and risk in both assessments.
We currently do not have screening values for some PB-HAP, but we
disagree that the multipathway assessment is inadequate because it did
not include ``all HAP metals emitted (such as arsenic and nickel).'' We
developed the current PB-HAP list considering all available information
on persistence and bioaccumulation (see https://www2.epa.gov/fera/air-toxics-risk-assessment-reference-library-volumes-1-3, specifically
Volume 1, Appendix D). (The Air Toxics Risk Assessment Reference
Library presents the decision process by which the PB-HAP were selected
and provides information on the fundamental principles of risk-based
assessment for air toxics and how to apply those principles.) In
developing the list, we considered HAP identified as PB-HAP by other
EPA Program Offices (e.g., the Great Waters Program), as well as
information from the PBT profiler (see https://www.pbtprofiler.net/).
Considering this list was peer-reviewed by the SAB and found to be
acceptable, we believe it to be reasonable for use in risk assessments
for the RTR program. Based on these sources and the limited available
information on the persistence and bioaccumulation of other HAP, we do
not believe that the potential for multipathway risk from other HAP not
on the list, such as other metal HAP including arsenic and nickel,
rises to the level of the PB-HAP on the list. However, in the future,
we may add more pollutants to the multipathway analysis if we determine
it is appropriate to do so.
Regarding the commenter's assertion that we did not base the
multipathway risk assessment on allowable emissions, we believe it is
reasonable for the multipathway risk assessment to be based on actual
emissions for this source category, and not the allowable level of
emissions that facilities are permitted to emit. The uncertainties
associated with the multipathway screen along with uncertainties in the
allowable emissions estimates, which are highly variable for this
source category, would make a multipathway risk assessment based on
allowable emissions highly uncertain. Such an assessment would be too
uncertain to support a regulatory decision. Many of the best-performing
(based on actual emissions) sources have allowable emissions that are
orders of magnitude greater than their actual emissions, and those
facilities could not reasonably be expected to operate in such a manner
that would result in emissions that even approach our estimates of
allowable emissions.
The commenter also argues for summing acute hazard quotients from
different HAP to assess acute non-cancer risk. We do not sum results of
the acute noncancer inhalation assessment to create a combined acute
risk number that would represent the total acute risk for all
pollutants that act in a similar way on the same organ system or
systems (analogous to the chronic TOSHI) because the worst-case acute
screen is already a conservative scenario. The acute screening scenario
assumes worst-case meteorology, peak emissions for all emission points
occurring concurrently and an individual being located at the site of
[[Page 56713]]
maximum concentration for an hour. Thus, as noted in the risk
assessment report available in the docket, ``because of the
conservative nature of the acute inhalation screening and the variable
nature of emissions and potential exposures, acute impacts were
screened on an individual pollutant basis, not using the TOSHI
approach.''
The dose-response values used in the risk assessment, including
those for D/F, are based on the current peer reviewed Integrated Risk
Information System (IRIS) values, as well as other similarly peer-
reviewed values. Our approach, which uses conservative tools and
assumptions, ensures that our decisions are appropriately health
protective and environmentally protective. The approach for selecting
appropriate health benchmark values, in general, places greater weight
on the EPA derived health benchmarks than those from other agencies
(see https://www.epa.gov/ttn/atw/nata1999/99pdfs/healtheffectsinfo.pdf).
This approach has been endorsed by the SAB. The SAB further recommended
that the EPA scrutinize values that emerge as drivers of risk
assessment results and the Agency has incorporated this recommendation
into the risk assessment process. This may result in the EPA
determining that it is more appropriate to use a peer-reviewed dose-
response value from another agency even if an IRIS value exists.
We generally draw no bright lines of acceptability regarding cancer
or noncancer risks from source category HAP emissions. It is always
important to consider the specific uncertainties of the emissions and
health effects information regarding the source category in question
when deciding exactly what level of cancer and noncancer risk should be
considered acceptable. In addition, the source category-specific
decision of what constitutes an acceptable level of risk should be a
holistic one; that is, it should simultaneously consider all potential
health impacts--chronic and acute, cancer and noncancer, and
multipathway--along with their uncertainties, when determining the
acceptable level of source category risk. The Benzene NESHAP decision
framework of 1989 acknowledged this; such flexibility is imperative,
because new information relevant to the question of risk acceptability
is being developed all the time, and the accuracy and uncertainty of
each piece of information must be considered in a weight-of-evidence
approach for each decision. This relevant body of information is
growing fast (and will continue to do so), necessitating a flexible
weight-of-evidence approach that acknowledges both complexity and
uncertainty in the simplest and most transparent way possible. While
this challenge is formidable, it is nonetheless the goal of the EPA's
RTR decision-making, and it is the goal of the risk assessment to
provide the information to support the decision-making process.
Comment: One commenter recommended that the EPA consider potential
or allowable emissions, rather than actual emissions, as much as
possible in evaluating residual risk. The commenter stated that because
facility emissions could increase over time for a variety of reasons,
and with them the associated impacts, the use of potential or allowable
emissions is more appropriate; an analysis based on actual emissions
from a single point in time could underestimate the risk. The commenter
stated that the major source HAP thresholds are based on maximum
potential-to-emit, as opposed to actual emissions, and air agencies
issue permits based on potential emissions. The commenter stated that
limiting the scope of a risk evaluation to actual emissions would be
inconsistent with the applicability section of 40 CFR part 63 rules.
The commenter stated that they were pleased that the EPA used allowable
emissions in parts of the rulemaking, but were concerned that the EPA
continues to use actual emissions in other parts of its assessment. The
commenter encouraged the agency to use allowable emissions in the
future, including in assessing acute health risks.
One commenter agreed that the EPA appropriately concluded that
secondary aluminum production does not pose risks warranting standard
revision under section 112(f) of the CAA. The commenter noted that
under the proposal, the EPA would find that the risks from the emission
of HAP from sources in the Secondary Aluminum Production source
category are acceptable and that the current MACT standards provide an
AMOS to protect public health and prevent an adverse environmental
effect. The commenter stated that to determine these findings, the EPA
utilized both MACT-allowable and actual emissions data for its risk
analysis. The commenter supported the findings of acceptable risk and
an AMOS, but noted that the use of MACT-allowable emissions in the risk
assessment process is not required for such a finding.
The commenter indicated that the use of actual emissions in risk
assessments is more accurate than MACT-allowable emissions and is
supported by the language of CAA section 112(f). The EPA is required to
promulgate emission standards under CAA section 112(f) if ``excess
cancer risks to the individual most exposed to emissions from a
source'' are 1 in 1 million or greater. The commenter states that the
statute does not use words such as ``maximum allowable,'' or
``potential.'' Rather, the statute limits the risk review to consider
the risks to the individual most exposed to the emissions from a
particular source. The commenter concluded that it is clear from the
wording of the statute that Congress intended the EPA to estimate risk
based on the actual exposure. The commenter also stated that MACT-
allowable emissions represent a hypothetical, worst-case, emissions
level to which an individual is unlikely to ever be exposed, especially
given the already conservative assumptions inherent in the risk models.
The commenter claimed that basing emission standards on worst-case
scenarios can lead to imposition of costly and unnecessary controls
which do little to reduce actual risk. The commenter claimed that,
given that the EPA has actual emissions data from secondary aluminum
production facilities, it should base its risk assessments on this best
available data.
In contrast, another commenter stated that they support the
findings of acceptable risk, AMOS; and they also support the EPA's
revisions to the allowable emissions calculation method that uses the
actual amount of charge; however, the use of MACT-allowable emissions
in the risk assessment process is not required for such a finding. The
commenter stated that due to process variability, sources cannot emit
HAP at MACT-allowable levels at all times and remain in compliance and
it is likely that sources may reduce their emissions due to state or
local rules, or for reasons other than compliance. The commenter stated
that basing emission standards on worst-case scenarios can lead to
imposition of costly and unnecessary controls, which do little to
reduce actual risk. The commenter stated that the EPA points to two
previous actions in which the EPA noted that the use of allowable
emissions was reasonable; however, in both of these actions, the EPA
used actual emissions because they were the most accurate data
available. Because the EPA has actual emissions data from secondary
aluminum production facilities, the commenter asserted that it should
base its risk assessments on these data. The commenter further stated
that, to the extent that the EPA continues to calculate allowable
emissions, they support the EPA's use of
[[Page 56714]]
actual charge rates, which reflect real production rates and should
result in more accurate allowable emissions totals than maximum
production capacity.
Response: Consistent with previous risk assessments, the EPA
considers both allowable and actual emissions in assessing chronic
exposure and risk under CAA section 112(f)(2). See, e.g., National
Emission Standards for Coke Oven Batteries (70 FR 19998-19999, April
15, 2005); proposed and final National Emission Standards for Organic
Hazardous Air Pollutants from the Synthetic Organic Chemical
Manufacturing Industry (71 FR 34428, June 14, 2006, and 71 FR 76603,
December 21, 2006). This approach is both reasonable and consistent
with the flexibility inherent in the Benzene NESHAP framework for
assessing acceptable risk and AMOS. As a general matter, modeling
allowable emission levels is inherently reasonable since this reflects
the maximum level sources could emit and still comply with national
emission standards. But it is also reasonable to consider actual
emissions, where such data are available, in the acceptable risk and
AMOS analyses. See National Emission Standards for Coke Oven Batteries,
70 FR 19992, 19998 (April 15, 2005). The risk assessment for the
Secondary Aluminum Production source category was conducted using
actual and allowable emissions, and all of the results were considered
in determining risk acceptability and AMOS. We agree with the commenter
that it is appropriate to estimate allowable emissions using production
rates that reflect current operations rather than using maximum
production capacity. See Residual Risk Assessment for the Secondary
Aluminum Production Source Category in Support of the 2015 Risk and
Technology Review Final Rule.
One commenter claims that limiting our review to actual emissions
would be inconsistent with the applicability section of 40 CFR part 63
rules. As explained above and in the 2014 supplemental proposal,
however, we did not limit our review to actual emissions, but rather
considered actual emissions and allowable emissions, as appropriate, in
particular portions of the risk assessment. The commenter also urges
the Agency to rely on allowable emissions for the purpose of our acute
screening assessment. We did not rely on allowable emissions for the
acute screening assessment due to the conservative assumptions used to
gauge worst-case potential acute health effects. The conservative
assumptions built into the acute health risk screening analysis
include: (1) Use of peak 1-hour emissions that are on average 10 times
the annual average 1-hour emission rates; (2) that all emission points
experience peak emissions concurrently; (3) worst-case meteorology
(from 1 year of local meteorology); and (4) that a person is located
downwind at the point of maximum impact during this same 1hour period.
Thus, performing an acute screen based on allowable emissions would be
overly conservative and, at best, of questionable utility to decision
makers.
We also note that our use of allowable emission levels in the risk
assessments in this rulemaking did not result in revising the
previously established standards due to risk concerns. Therefore, our
consideration of allowable emissions in the risk assessments did not
result in regulatory decisions that affect any facilities.
Comment: One commenter on the supplemental proposal stated that at
least nine secondary aluminum facilities have co-located primary
aluminum operations, and for both source categories the EPA found that
the facility-wide MIR is 70-in-1 million, driven by arsenic, nickel,
and hexavalent chromium, and that the TOSHI (chronic non-cancer risk)
is 1, driven by cadmium. The commenter stated that both numbers appear
to consider only inhalation risk and must be viewed in context, as
scientists have directed the EPA to do. The commenter stated that, if
considered in combination with the high secondary aluminum multipathway
risk, and with the high inhalation and multipathway risks for primary
aluminum, the facility-wide cancer risk provides additional evidence
that risks from both source categories are unacceptable, because the
most-exposed person's full amount of risk is the combined amount from
the co-located primary and secondary aluminum, not just each source
category separately. The commenter stated that it would be unlawful and
arbitrary to consider each type of risk separately, when people near
both sources are exposed to both kinds of risk at the same time, and,
thus, face a higher overall amount of risk.
The commenter stated that the EPA has offered and can offer no
valid justification for not finding risk from both source categories
(including primary aluminum prebake, and secondary aluminum) to be
unacceptable based on the co-located and combined risks. The commenter
stated that the EPA may not lawfully ignore the full picture of risk
that its combined rulemakings show is present for people exposed
simultaneously to both source categories at the same facility.
The commenter further stated that, because the EPA only assessed
facility-wide risks based on so-called ``actual'' emissions, the
facility-wide risk number could be at least 1.5 to 3 times higher. The
commenter bases this assertion on the EPA's recognition that allowable
emissions from primary aluminum are about 1.5 to 1.9 times higher than
actual emissions and the fact that allowable emissions from secondary
aluminum are at least 3 times higher than actual emissions.
The commenter stated that it is important that EPA is evaluating
facility-wide risk from sources in multiple categories that are co-
located and that EPA needs to consider the results of such facility-
wide analyses when determining if stronger standards should be
established for these sources. The commenter stated that this
rulemaking is an important opportunity for the EPA to recognize the
need to act based on data showing significant combined and cumulative
risks and impacts at the facility-wide level. The commenter stated that
the EPA is also required to do so to meet its CAA section 7412(f)(2)
duties.
The commenter stated that the EPA also should be evaluating the
cumulative risks from all nearby toxics sources in multiple source
categories, not looking only at multiple sources in the same category,
and different sources at the same facility. The commenter stated that
the EPA has said it recognizes the need to put risk in context, but
still has not even attempted to evaluate the bigger picture of health
risks by looking at all nearby sources (from various source categories,
including those collocated and those not collocated). According to the
commenter, in doing so would likely lead to recognizing that the
individual most-exposed to each of these source categories is also
experiencing significant risks from other sources, providing even more
evidence as to why the EPA should reduce risks from the primary and
secondary aluminum source categories.
Response: With regard to facility-wide assessments, we conducted
such assessments for all 52 major sources in the source category,
including the nine secondary aluminum production facilities co-located
with primary aluminum reduction plants. The methods and results of the
facility-wide risk assessment, in addition to the inhalation and
multipathway analyses for facilities in the source category, are
discussed above and in the risk
[[Page 56715]]
assessment document for the 2014 supplemental proposal, as well as in
the risk assessment document for the 2015 final rule. Specifically, we
modeled whole-facility inhalation risks for both chronic cancer and
non-cancer impacts to understand the risk contribution of the sources
within the secondary aluminum source category to facility-wide risks.
The individual cancer risks for the source category were aggregated for
all carcinogens. In assessing noncancer hazard from chronic exposures
for pollutants that have similar modes of action or (where this
information is absent) that affect the same target organ, we aggregated
the HQ. This process creates, for each target organ, a TOSHI, defined
as the sum of hazard quotients for individual HAP that affect the same
organ or organ system. All TOSHI calculations presented here were based
exclusively on effects occurring at the ``critical dose'' (i.e., the
lowest dose that produces adverse health effects). Whole facility risks
were estimated based on emissions data obtained from facilities.
The commenter stated that the EPA must find the risks unacceptable
based on the whole-facility risks from co-located primary and secondary
aluminum operations. The EPA does not typically include whole-facility
assessments in the CAA section 112(f) acceptability determination for a
source category. Reasons for this include the fact that emissions and
source characterization data are usually not of the same vintage and
quality for all source categories that are on the same site, and thus
the results of the whole-facility assessment are generally not
appropriate to include in the regulatory decisions regarding
acceptability. However, in this rare case, we are developing the risk
assessments for primary and secondary aluminum production at the same
time. The data are generally of the same vintage and we have actual
emissions data and source characterization data for both source
categories. In response to the comment, we refer to the facility-wide
risk assessment, which included the nine facilities with co-located
primary and secondary aluminum operations. As discussed above and shown
in Table 2, for the facility with the highest risk from inhalation, the
facility-wide MIR for cancer from actual emissions is 70-in-1 million.
The facility-wide non-cancer hazard is 1. The highest facility-wide
exceedance of the multipathway screen is 70. There was no facility-wide
exceedance of a noncancer threshold in the multipathway screen.
Considering these facility-wide results as part of the acceptability
determination does not change our determination that the risks are
acceptable for the secondary aluminum source category. We note that
while the incorporation of additional background concentrations from
the environment in our risk assessments (including those from mobile
sources and other industrial and area sources) could be technically
challenging, they are neither mandated nor barred from our analysis. In
developing the decision framework in the Benzene NESHAP used for making
residual risk decisions, the EPA rejected approaches that would have
mandated consideration of background levels of pollution in assessing
the acceptability of risk, concluding that comparison of acceptable
risk should not be associated with levels in polluted urban air (54 FR
38044, 38061, September 14, 1989). Background levels (including natural
background) are not barred from the EPA's AMOS analysis, and the EPA
may consider them, as appropriate and as available, along with other
factors, such as cost and technical feasibility, in the second step of
its CAA section 112(f) analysis. As discussed in the 2014 supplemental
proposal, the risk assessment for this source category did not include
background contributions (that may reflect emissions that are from
outside the source category and from other than co-located sources)
because the available data are of insufficient quality upon which to
base a meaningful analysis.
The commenter is correct that we based our facility-wide risk
assessment on actual emission rather than on estimated allowable
emissions. Because the facility-wide allowable emissions estimates have
not been subjected to the same level of scrutiny, quality assurance,
and technical evaluation as the actual emissions estimates from the
source category, a facility-wide risk assessment based on allowable
emissions estimates would be too uncertain to support a regulatory
decision.
4. What is the rationale for our final approach and final decisions for
the risk review?
As discussed above and in the 2014 supplemental proposal, after
considering health risk information and other factors, including
uncertainties, we determined that the risks from the Secondary Aluminum
Production source category are acceptable and the current standards
provide an AMOS to protect public health. In summary, our revised risk
assessment indicates cancer risks below the presumptive limit of
acceptability and non-cancer results indicating minimal likelihood of
adverse health effects, and we identified no control technologies or
other measures that would be cost effective in further reducing risks
(or potential risks). In particular, we did not identify any cost-
effective approaches to further reduce D/F emissions and multipathway
risk beyond what is already being achieved by the current NESHAP.
B. Technology Review for the Secondary Aluminum Production Source
Category
1. What did we propose pursuant to CAA section 112(d)(6) for the
Secondary Aluminum Production source category?
Pursuant to CAA section 112(d)(6), we conducted a technology review
to identify and evaluate developments in practices, processes and
control technologies for the Secondary Aluminum Production source
category, as described in the 2012 proposal. Details of the technology
review and its findings are available in the memoranda, Draft
Technology Review for the Secondary Aluminum Production Source Category
(Docket item EPA-HQ-OAR-2010-0544-0144) and Draft Technical Support
Document for the Secondary Aluminum Production Source Category (Docket
item EPA-HQ-OAR-2010-0544-0152). The typical controls used to minimize
emissions at secondary aluminum facilities include fabric filters for
control of PM from aluminum scrap shredders; afterburners for control
of THC and D/F from thermal chip dryers; afterburners plus lime-
injected fabric filters for control of PM, HCl, THC and D/F from scrap
dryers/delacquering kilns/decoating kilns; afterburners for control of
D/F from sweat furnaces; fabric filters for control of PM from dross-
only furnaces and rotary dross coolers; lime-injected fabric filters
for control of PM and HCl from in-line fluxers; and lime-injected
fabric filters for control of PM, HCl and D/F from group 1 furnaces. In
our review of technology, we determined that there have been some
developments in practices, processes or control technologies, but we
did not identify any of the developments as cost-effective. We stated
in the 2012 proposal that the technology review did not warrant any
amendments to Subpart RRR.
Following the 2012 proposal, no public comments were received to
alter the conclusions of our technology review for the Secondary
Aluminum Production source category. In the 2014 supplemental proposal,
we proposed that the technology review findings from the 2012 proposal
were still valid
[[Page 56716]]
and that the EPA was not aware of any changes in technology development
since the 2012 proposal. See Supplemental Proposal Technology Review
for the Secondary Aluminum Production Source Category and Supplemental
Proposal Technical Support Document for the Secondary Aluminum
Production Source Category, both available in the docket for this
rulemaking. Based on our findings, no rule amendments based on the
technology review were proposed.
2. How did the technology review change for the Secondary Aluminum
Production source category?
Following the 2014 supplemental proposal, we received no comments
and identified no information to alter our findings and conclusions in
the technology review for the Secondary Aluminum Production source
category. We did, however, update certain information on capture
efficiency and costs. Updated information can be found in Technical
Support Document for the Secondary Aluminum Production Source Category
Final Rule, which is available in the docket for this rulemaking.
3. What key comments did we receive on the technology review, and what
are our responses?
Comment: In a comment on the supplemental proposal, commenter 0301
stated that this source category is listed for regulation under 42
U.S.C. 7412(c)(6) as a result of its dioxin/furan emissions and that
EPA has proposed to rely on the Secondary Aluminum standards to meet
its section 7412(c)(6) responsibility, in part, for dioxin {Commenter's
footnote: EPA, Completion of Requirement to Promulgate Emissions
Standards, 79 FR 74,656, 74,664 tbl.1 (Dec. 16, 2014){time} . The
commenter stated that in this rulemaking, EPA has proposed not to
update these emission standards to strengthen protection from dioxins/
furans, even though it recognizes that developments in practices,
processes, and control technologies have occurred that could reduce HAP
emissions, such as activated carbon injection. The commenter stated
that as explained in their 2012 comments on primary aluminum, when
there are ``developments'' under section 7412(d)(6), EPA must
promulgate revised standards. The commenter stated that revised
emission standards--like any other section 7412(d) standards--must
satisfy the floor and beyond-the-floor requirements of section
7412(d)(2)-(3), which state that they apply explicitly to ``emissions
standards promulgated under this subsection,'' i.e., under section
7412(d). The commenter stated that EPA must set revised standards that
are at least as stringent as the emission limitation achieved by the
relevant best-performing sources under section 7412(d)(3), and must
assure the maximum achievable degree of emission reduction at the
beyond-the-floor stage, as required by section 7412(d)(2).
Response: The original MACT standards for dioxins/furans for the
secondary aluminum industry helped to satisfy the EPA's obligations
under 42 U.S.C. 7412(c)(6), and the subsequent technology reviews for
the source category has no bearing on our 112(c)(6) finding.
The commenter is incorrect in stating that there have been
developments in practices, processes, and control technologies that
would warrant revisions to the standards. As we stated in the preamble
to the supplemental proposal (79 FR at 72901), there have been no
developments in technology in this industry that warrant any changes to
subpart RRR. The commenter's identification of activated carbon as a
new control technology for this industry is also not correct as it has
been available to the industry since before the 2000 final rule.
Furthermore, as part of the technology review contained in the 2014
supplemental proposal (see 79 FR at 72901), we performed an analysis to
evaluate lowering the D/F emissions limit from 15 to 10 [micro]g TEQ/Mg
for group 1 furnaces processing other than clean charge at all
facilities. The analysis performed for the supplemental proposal
assumed that furnaces above 10 [micro]g TEQ/mg added activated carbon
injection to achieve exactly the 10 ug TEQ/Mg limit. That analysis has
been updated and assumes that all furnaces with emissions above 10
[micro]g TEQ/Mg that add activated carbon injection achieve an 85-
percent reduction in D/F emissions. The updated analysis is available
in Technical Support Document for the Secondary Aluminum Production
Source Category Final Rule, which is available in the docket for this
rulemaking.
We disagree with the comments suggesting that the EPA must
recalculate MACT floors and conduct beyond-the floor analyses under CAA
section 112(d)(2)-(3) as part of the section 112(d)(6) review. As
explained in a prior RTR rulemaking, the EPA does not read 112(d)(6) as
requiring a reanalysis or recalculation of MACT floors. See National
Emission Standards for Coke Oven Batteries (70 FR 19998-19999, April
15, 2005). We read section 112(d)(6) as providing the EPA with
substantial latitude in weighing a variety of factors and arriving at
an appropriate balance in considering revisions to standards
promulgated under section 112(d)(2) & (3). Nothing in section 112(d)(6)
expressly or implicitly requires that EPA recalculate the MACT floor as
part of the section 112(d)(6) review. This position has been upheld by
the court. NRDC v. EPA, 529 F.3d 1077, 1084 (D.C. Cir. 2008). We
disagree with the commenters that the court's decision hinged on the
fact that for the rulemaking at issue we had not identified any
developments in practices, processes and control technologies under CAA
section 112(d)(6). Rather, the court first states ``[w]e do not think
the words `review and revise as necessary' can be construed reasonably
as imposing'' an obligation to completely recalculate maximum
achievable control technology. Id.
In another comment on the supplemental proposal, one commenter
stated that they concur with the Agency's determination that there have
been no new developments in practices, processes or control
technologies that are applicable to the secondary aluminum production
source category that would warrant revisions to the NESHAP.
4. What is the rationale for our final approach for the technology
review?
As discussed above and in the 2012 and 2014 proposals, we
determined that there have been some developments in practices,
processes or control technologies, but we concluded that the technology
developments did not warrant any changes to Subpart RRR.
C. Testing of Group 1 Furnaces That Do Not Have Add-On Pollution
Control Devices
1. What did we propose related to testing of uncontrolled group 1
furnaces?
In the 2012 proposal, to clarify how furnaces not equipped with an
add-on air pollution control device and associated capture and
collection system are to be tested for compliance, we proposed
compliance alternatives addressing capture and collection of emissions
for uncontrolled furnaces during performance testing. Specifically, we
proposed that an owner or operator with an uncontrolled furnace could
either temporarily install hooding that meets ACGIH guidelines for the
duration of the testing or, for an existing uncontrolled furnace,
assume 67-percent capture efficiency for furnace exhaust (i.e.,
multiply measured
[[Page 56717]]
emissions by 1.5 to account for the uncollected emissions) without
installing temporary hooding. As proposed, if the source uses the 67-
percent capture efficiency assumption but fails to demonstrate
compliance with the emission standard, the source would have to retest
using ACGIH hooding or may petition the appropriate authority
(permitting authority for major sources or the Administrator for area
sources) that such hoods are impractical for the source and propose
alternative testing procedures that will minimize unmeasured emissions.
We proposed that the retesting must occur within 90 days.
Based on comments received on the 2012 proposal and our
consideration of specific testing scenarios and types of uncontrolled
furnaces, we proposed revised requirements for the testing of
uncontrolled furnaces in the 2014 supplemental proposal. We proposed
that if a source uses the 67-percent capture efficiency assumption but
fails to demonstrate compliance, then they must retest using ACGIH
hooding within 180 days, or the source may petition the appropriate
authority within 180 days that such hoods are impractical and propose
alternative testing procedures that will minimize unmeasured emissions.
In the supplemental proposal, we also proposed conditions that would be
considered impractical to install temporary ACGIH hooding and
alternative procedures to minimize unmeasured emissions during testing.
Based on comments received on the 2012 proposal, the 2014
supplemental proposal also contained a provision to exclude existing
round top furnaces from the proposed requirement to install temporary
ACGIH hooding or to use a 67-percent capture efficiency assumption, as
well as the proposed option to submit a petition of impracticality.
Instead, we proposed that round top furnaces must be operated to
minimize unmeasured emissions during testing.
In response to commenters' requests, we proposed example procedures
to minimize unmeasured emissions during testing and amendments to
clarify in what circumstances installation of temporary capture hoods
for testing would be considered impractical.
2. What changed since proposal related to testing of uncontrolled group
1 furnaces?
Based on our consideration of comments and additional information
received following the 2014 supplemental proposal, the following
changes have been made in the final rule:
If a facility owner or operator knows in advance that
installing ACGIH hoods for testing is not practical, the facility owner
or operator may petition the appropriate authority at least 180 days in
advance for approval of plans to use alternative testing procedures
that will minimize unmeasured emissions during testing.
Reconstructed round top furnaces are exempt from the
testing requirements in 40 CFR 63.1512(e)(4)(i) and (ii), and (iii).
Additional methods of minimizing unmeasured emissions
during testing of uncontrolled group 1 furnaces are added to 40 CFR
63.1512(e)(7) including the use of one or more fans positioned to
direct air flow into an open furnace door, and the use of a smaller but
representative charge added to the furnace at one time and conducting
the test without additional charge.
We have revised the capture efficiency assumption to 80
percent.
3. What key comments did we receive related to testing of uncontrolled
group 1 furnaces?
Comment: One commenter stated that the EPA should not impose a
requirement for group 1 furnaces without add-on air pollution control
devices (APCD) to construct hoods for performance tests or be subject
to a 33-percent reduction in allowed emissions. The commenter asserted
that the EPA improperly characterizes this burdensome proposed
requirement as a revision to the NESHAP to reportedly ``correct and
clarify provisions in the rule.''
One commenter stated that the EPA has provided no information to
demonstrate that the proposed requirement for uncontrolled group 1
furnaces is warranted or is consistent with requirements for developing
NESHAP. The commenter is concerned that the only support for the
proposed hooding requirement that the EPA has provided in the docket is
a summary of two stack tests conducted at a single facility. The
commenter states that these tests show a large degree of variability
between the two tests and for different chemical parameters within each
test. The commenter argued that the EPA has provided no information to
demonstrate that these tests are indicative of operations throughout
the Secondary Aluminum Production source category.
According to the commenter, the information that the EPA provided
in the Technical Support Document indicates that the EPA may not have
analyzed an appropriate operation to establish regulatory requirements.
The commenter observed that if, as indicated in the Technical Support
Document, the canopy hood was sampled for over 3 hours because there
were emissions to be captured by it, the charge door must have been
open for more than 3 hours during the melt cycle. The commenter stated
that this scenario does not represent a conventional melting operation.
The commenter presented further concerns that the Technical Support
Document states that the test cycle time in the September 5, 2007, test
report ``could be a mistake'' and that the testing reported on
September 5, 2007, may be ``flawed.'' The commenter noted a wide
variation of capture efficiencies for D/F and questioned the EPA's
proposal to apply 67-percent capture efficiency across all parameters
and all facilities. The commenter claimed that it is unreasonable to
apply capture efficiency based on PM or HCl to area sources when area
sources are regulated only for D/F.
The commenter stated that the EPA placed the test reports discussed
in the RTI Technical Support Document in the docket a month after the
proposed rule was published in the Federal Register, which reduced the
time reviewers had for comment. The commenter had the following
concerns about the test reports:
There is not sufficient information to understand how the
furnaces are configured or operated, including how the hood was
constructed or placed, and when or for how long the door(s) were left
open;
The hood draft volumes were large compared to furnace
stack gas flow volumes, and the capture measured during the tests may
not be a good measure of fugitive emissions that would occur in the
absence of an induced draft hood;
The stack temperatures also appear to be low, possibly due
to dilution air being drawn into the stack duct prior to the sampling
point, which could mean that actual combustion gas flowing from the
furnace are much lower than reported at the stack, and the ratio of
hood flow volume is much higher than that calculated in the Technical
Support Document;
No production numbers are provided so it is not possible
to determine if the furnaces were operating in compliance with the
NESHAP requirements; and
The EPA has provided no indication that they attempted to
determine the representativeness of the tests.
[[Page 56718]]
One commenter stated that fugitive emissions are minor from a well
operated group 1 furnace without add-on controls, as door openings and
top removals are kept at a minimum to conserve energy and burners are
generally kept at reduced firing rates when furnaces are opened. The
commenter stated that the 67-percent capture assumption that the EPA
drew does not seem reasonable based on the commenter's observations.
The commenter emphasized that emissions from round top furnaces are
negligible during periods when the top is off and burners are on low
fire. The commenter stated that these furnaces would be placed at a
competitive disadvantage by reducing the allowable emission by 33
percent. Further, the commenter noted that new round top furnaces are
not allowed the 33-percent emission limit reduction in the proposed
rule, so operators installing new round top furnaces would be forced to
petition on a case-by-case basis to demonstrate impracticability. The
commenter recommended that if the EPA finalizes this provision, round
top furnaces should be categorically exempt from any hooding
requirements because it is impractical to install hoods and because the
EPA should not burden state and local agencies with the need to make
case-by-case determinations when they can be categorically exempt.
In a comment on the supplemental proposal, one commenter stated
that the EPA offers no explanation for limiting the exemption to
install ACGIH-compliant hoods for testing to existing round top
furnaces only. The commenter stated that they own and operate several
existing and new source round top furnaces for which the physical
configuration and operation is very similar. The commenter stated that
they will construct new or reconstruct existing round top furnaces in
the future and that it would be impracticable to construct hoods of any
type on any of these furnaces regardless of whether they are existing,
new, or reconstructed sources. The commenter recommended that the EPA
include new and reconstructed furnaces in its hooding exemption.
In a comment on the supplemental proposal, one commenter stated
that, for a variety of design, technical, operational, and safety
reasons, it is impractical to install temporary hooding on round top
furnaces for performance testing and agreed with our proposed exemption
from the performance test hooding requirements for existing round top
furnaces. The commenter disagreed, however, with our not proposing an
exemption for ``new or reconstructed'' sources (including round top
furnaces), asserting that the same fundamental design factors that
prohibit installation of temporary hooding on existing round top
furnaces also prevent its installation on new round top furnaces. The
commenter requested that the word ``existing'' be removed from the
round top furnace exemption language proposed in 40 CFR
63.1512(e)(4)(iii) and that the words ``or reconstructed non-round
top'' be added to (5) such that it reads
``(5) When testing a new or reconstructed, non-round top
uncontrolled furnace the owner or operator must . . .''
One commenter maintained that allowing facilities to petition
permitting authorities that such hoods are impractical is not an
acceptable alternative to the proposed rule and suggested that the EPA
allow site-specific procedures in OM&M plans for group 1 uncontrolled
furnaces to minimize fugitive emissions.
One commenter asserted that the proposed ACGIH hooding requirement
ignores the consideration that the EPA made for fugitive emissions in
the original MACT floor determination and implements requirements for
ACGIH hooding that go beyond the floor. The commenter stated that, in
the 2000 Secondary [Aluminum] MACT rule, performance testing of
controlled sources was conducted to define the MACT floor. Although
some fugitive emissions were visible near capture hoods, the EPA did
not specify a numerical capture efficiency requirement, visible
emissions limit, or specific limits or criteria for capture systems.
Instead, the EPA included a provision to address hooding systems to
capture and collect emissions by including guidelines published in
Chapters 3 and 5 of ACGIH Industrial Ventilation: A Manual of
Recommended Practice, which is incorporated into the rule by reference.
The commenter stated that owners/operators of sources with existing
add-on control systems have been challenged with regard to the capture/
collection system design guidelines in the ACGIH manual, and, according
to the commenter, there have been instances when there has been a
misuse of the ACGIH Industrial Ventilation Manual. The commenter
asserted that the EPA and some permitting agencies are interpreting the
manual and incorporating portions of various charts, tables and text as
regulatory requirements. The commenter stated that the authors of the
ACGIH Industrial Ventilation Manual did not intend, and specifically
state in the Forward of the manual that ``The manual is not intended,
to be used as law, but rather as a guide.''
One commenter contended that in the original MACT proposal and
rulemaking, the EPA provided no supporting data to demonstrate that the
MACT floor technology control systems tested for each Secondary
Aluminum Production source category is actually capable of meeting the
capture/collection system design requirements in the ACGIH manual. The
commenter asserted that the EPA and some permit authorities during
implementation of the rule, without supporting documentation, imposed
specific capture/collection system design requirements on all existing
add-on control systems that effectively exceed the MACT floor
determinations. The commenter further asserted that the EPA did not
follow the regulatory procedures for going ``above the floor'' during
the rulemaking process in imposing more stringent hooding requirements.
In a comment on the supplemental proposal, one commenter stated
that, if the EPA retains the requirement that uncontrolled furnaces
conduct performance testing using ACGIH-compliant hooding, the current
emission limits for group 1 uncontrolled furnaces should be
reevaluated. The commenter stated that the supplemental proposal sets
new requirements for uncontrolled furnaces that go beyond the existing
MACT floor and was based upon a 33-percent reduction developed from
limited data. The commenter requested that the EPA collect more
emissions data from uncontrolled furnaces tested with ACGIH capture
hoods and make new MACT floor determinations and set new numerical
emission limits that properly account for the higher total emissions
caused by the collection of fugitive emissions collected by the ACGIH-
compliant hoods.
Several commenters maintained that the EPA is basing the proposed
ACGIH hooding requirement on a limited, unrepresentative, and flawed
dataset.
One commenter expressed concern that the dataset on which the EPA
based their proposed action was made available only after publication
of the proposal. The commenter stated that due to the limited
information available to the industry, no additional testing has been
performed to assess the impact of the proposed action, or its economic
or engineering feasibility.
Two commenters observed that the EPA has erroneously based the 67-
percent hooding assumption on very limited test data from two furnaces
operating with forced-draft fans, a scenario that is atypical of
uncontrolled
[[Page 56719]]
furnaces, which are normally operated under natural draft. The
commenter believes that the ``hooding efficiency'' measured during
these tests is not representative because of the extremely high design
flow rate of the capture hoods. The commenters maintained that exhaust
flow at the hood was three times the stack exhaust flow rate, causing
furnace emissions to be drawn out of the furnace door rather than
allowing these emissions to exhaust through the stack.
One commenter cited an RTI memorandum to Rochelle Boyd,
Environmental Engineer at the EPA, regarding the testing period
reported for September 5, 2007, as a basis for the claim that errors
were made during data collection, and that the EPA may be basing their
decision and approach to regulating fugitive emissions on one dataset.
The commenter emphasized that there are many furnace configurations
that are used in the industry, so the EPA's one limited dataset cannot
be representative of the entire industry. The commenter provided a copy
of a table provided to the EPA by the commenter on December 21, 2011,
outlining the inherent difference between several major furnace types.
One commenter stated that this proposal, in regard to installing
hooding that meets ACGIH guidelines, is inconsistent with the
requirement for existing sources that the MACT floor must equal the
average emissions limitations currently achieved by the best-performing
12 percent of sources in that source category if there are 30 or more
existing sources or, if there are fewer than 30 existing sources, then
the MACT floor must equal the average emissions limitation achieved by
the best-performing five sources in the category.
In a comment on the supplemental proposal, one commenter stated
that they are concerned that the hooding and capture efficiency
provisions in the 2014 supplemental proposal are unnecessary and
actually reflect ``beyond the floor'' provisions for the installation
of specific capture/collection systems that are not justified by the
MACT floor determination calculations and evaluations.
One commenter stated that given the lack of evidence supporting
these provisions, the commenter believes 40 CFR 63.1512 should be
eliminated from the final rule.
Several commenters stated that ACGIH-compliant hoods are impossible
to install on many group 1 uncontrolled furnaces due to the engineering
limitations and considerations of many furnace installations such as
size, type and location of the furnace. One commenter provided three
examples of existing furnace installations that are unable to meet the
requirements for fugitive emissions testing.
One commenter discussed round top furnace operations and how normal
operations would not allow hooding for fugitive emissions.
One commenter stated that installation of temporary hooding on
round top charge melters of the type the commenter has at its plant
located in Lewisport, Kentucky, is not possible, and due to installed
furnace design it is not possible to install temporary hoods on some
reverberatory furnaces. The commenter included as attachments
background information about the Lewisport testing.
One commenter stated that for group 1 uncontrolled furnaces, the
proposed 33-percent emission reduction is a mandatory reduction for
some operations, and also eliminates future operating flexibility for
operations that are currently operating near the proposed 67-percent
emission level. According to the commenter, the margin between
operating levels and actual limits represents a margin of safety for
furnaces that experience normal variations to be in continuous
compliance.
The commenter maintained that the EPA proposed the 33-percent
reduction in emissions without proof or justification that there are in
fact fugitive emissions being released at or near these levels or for
durations seen in the limited data the EPA provides. The commenter
recommended that the EPA promulgate a rule that maintains a level
playing field for the companies affected by the rule.
Two commenters recommended that the EPA allow the option to apply
the assumed 67-percent capture efficiency for new furnaces to avoid the
added cost of installing temporary hooding where a furnace can be
operated in a manner that meets the 67-percent emission limit by
changing the proposed requirement in 40 CFR 63.1512. The commenters
argued that the proposed approach essentially forces the installation
of a costly hood for new furnaces even when such hoods are not needed
due to good pollution prevention practice and the resulting low HAP
emission rates. The commenters opposed the HAP emission rate adjustment
for new uncontrolled furnaces in instances where ACGIH hooding
specifications are not possible, as the EPA proposed in 40 CFR
63.1512(e)(4)(ii), and asked that it be removed.
In a comment on the supplemental proposal, one commenter stated
that in the original 40 CFR 63.1500, Applicability, and 40 CFR 63.1501,
Dates, there are references to equipment that is ``new'' and equipment
that is ``existing'' depending on installation date. The commenter
suggested that EPA revise 40 CFR 63.1512(e)(4) to read as follows:
``When testing an existing or new uncontrolled furnace, . . .''
One commenter stated that issues addressed in 40 CFR
63.1512(e)(4)(ii), in terms of assuming a 67-percent capture efficiency
for the furnace exhaust, were previously covered in the stack testing
protocols that are part of the commenter's Consent Decree (included as
an attachment). The commenter requested that the EPA provide
clarification that those protocols are not impacted by this rule making
and remain fully acceptable.
Response: As discussed in the preambles and technical support
documents to the 2012 proposal and 2014 supplementary proposal, the
existing performance testing requirements in Subpart RRR that apply to
group 1 furnaces without add-on APCD do not include specific
requirements relating to capture and collection of emissions during
performance tests conducted to ensure compliance with applicable
emission standards. During performance testing of these sources,
emissions may escape without being accounted for (i.e., captured,
collected, and measured) in the emissions test. Thus, the performance
tests done to ensure compliance may not provide an accurate measure of
whether the furnace is, in fact, meeting the applicable emission
standards.
The ACGIH guidelines (as defined in 40 CFR 63.1503) provide
specifications for the proper design and installation of capture and
collection systems to minimize unmeasured emissions and ensure that
process emissions are being properly captured and conveyed to an air
pollution control device, where one is in place, and also ensures that
emissions testing results are representative of total emissions. The
Subpart RRR standard as promulgated in 2000 includes a requirement that
all controlled emission units include capture and collection systems
designed consistent with the ACGIH guidelines. As stated in our
response to comments in the 2000 Subpart RRR rule, a capture and
collection system meeting ACGIH criteria is necessary for occupational
safety, and for assuring compliance with the emission standards. See
Summary of Public Comments and Responses on
[[Page 56720]]
Secondary Aluminum NESHAP, December 14, 1999, in the docket for this
rulemaking.
The emission standards that apply to all group 1 furnaces were
based on data from systems that effectively capture and contain
emissions at the source (minimizing unmeasured emissions) and convey
the emissions to the control device for destruction or removal. In
addition, a capture and collection system meeting ACGIH guidelines with
good hooding design will result in a lower volume of exhaust air to be
treated, and, in many cases, a smaller, lower-cost control device. The
EPA considered an ACGIH-compliant capture and collection system to be
part of MACT floor technology for affected sources with add-on controls
(see 64 FR 6960, February 11, 1999).
The subpart RRR rule generally applied the same emission standards
to uncontrolled group 1 furnaces as it did to controlled group 1
furnaces and thereby allowed secondary aluminum facilities to continue
to have uncontrolled group 1 furnaces so long as they met similar
emission standards as controlled group 1 furnaces. The lack of clarity
on the level of unmeasured emissions that may be emitted from an
uncontrolled group 1 furnace during performance testing has led to
confusion in rule implementation, as well as significant concerns about
the accuracy and appropriateness of the compliance determination
protocol.
Because performance tests for uncontrolled group 1 furnaces may not
accurately measure whether the furnace is in compliance with the
applicable emission standards, the EPA concluded that a testing
protocol for uncontrolled group 1 furnaces that allows a potentially
significant portion of HAP emissions to be unmeasured and unaccounted
for in determining compliance with emission standards is inadequate.
A testing procedure for uncontrolled furnaces that permits an
unknown degree of variance in the amount of emissions that may escape
measurement during performance testing could call into question whether
the rule is adequately ensures that the furnaces are meeting applicable
emission standards. The commenters' suggest that a compliance
demonstration that does not account for unmeasured emissions is a
necessary result of the development of the Subpart RRR emission
standards. The commenters are, in effect, questioning whether the
existing standards for uncontrolled group 1 furnaces are consistent
with the MACT floor analysis, which was primarily based on the
performance of controlled furnaces. Moreover, if the level of
unmeasured emissions during performance testing cannot be quantified
for purposes of determining compliance with Subpart RRR emission
standards, there could be an issue regarding the extent to which such
emissions are subject to any MACT standard.
We note that one commenter stated that if EPA finalizes the testing
requirements for uncontrolled furnaces, the EPA should reevaluate group
1 uncontrolled furnace emission limits. The commenter suggested that
EPA collect emissions test data from uncontrolled furnaces using ACGIH
hooding, make new MACT floor determinations, and set new numerical MACT
emission limits. The EPA believes requiring additional furnace testing
and conducting further MACT rulemaking is not necessary to address
unmeasured emissions during performance testing of uncontrolled
furnaces. The EPA believes that the actions taken in this rulemaking
are sufficient to address the issue.
Further, the EPA is not mandating ACGIH hooding during performance
testing in all instances, but rather providing alternative compliance
options for facilities to account for unmeasured emissions from
uncontrolled group 1 furnaces during performance testing. Specifically,
for existing uncontrolled furnaces we are requiring either the
installation of temporary ACGIH hooding or an assumption of a specified
capture efficiency for furnace exhaust. Requirements for new
uncontrolled furnaces are discussed below. Although we proposed using a
67-percent capture efficiency in lieu of the installation of temporary
ACGIH hooding, in light of comments, we have re-examined the testing
data on which the proposed 67-percent capture efficiency assumption was
based, and revised the assumed capture efficiency to 80 percent. This
80-percent capture efficiency is based on the highest average capture
of the three HAP tested. See Draft Technical Support Document for the
Secondary Aluminum Production Source Category, Supplemental Proposal
Technical Support Document for the Secondary Aluminum Production Source
Category, and Technical Support Document for the Secondary Aluminum
Production Source Category Final Rule, all available in this rulemaking
docket. We believe this revised percent capture efficiency assumption
of 80 percent provides the best estimate of the capture efficiency of
uncontrolled furnaces for the several pollutants being measured, based
on the limited data available. Under these provisions, if the source
fails to demonstrate compliance using the 80-percent capture efficiency
assumption, the source must retest using hooding that meets ACGIH
guidelines or petition the appropriate authority that such hoods are
impractical and propose testing procedures that will minimize
unmeasured emissions. The retesting or petition must occur within 180
days. The commenters have not demonstrated that these alternatives are
inappropriate or inconsistent with the 2000 MACT floor.
Applying the same emission limits to uncontrolled group 1 furnaces
as controlled group 1 furnaces necessarily depends on emissions from
uncontrolled group 1 furnaces being adequately captured and collected
or being reasonably accounted for when a performance test is conducted.
The MACT floor analysis, and the emission standards established by that
analysis, for all group 1 furnaces (including controlled and
uncontrolled furnaces) incorporated well-designed and maintained
capture and collection systems, such as those prescribed by ACGIH
guidelines. The rule revisions being promulgated in this action address
this need by allowing facilities to choose from the compliance options
described above.
In addition, CAA section 63.7(d)(5) of the General Provisions,
which applies to this rule, requires that the owner or operator provide
the facilities necessary for safe and adequate testing of a source.
Adequate testing includes the responsibility to either provide a means
of directing emissions to the sampling train, or to measure the capture
efficiency of the equipment used to direct the emissions to the
sampling train so that the overall emissions from the source can be
determined. The rule changes described above assist in implementing
this requirement for uncontrolled group 1 furnaces.
In response to the commenter's concerns regarding the test results
cited by the EPA, the EPA obtained additional information from
personnel at the facility at which the tests were performed. This
information, which is available in the docket, indicates:
Although sampling was conducted for approximately 3 hours
using the canopy hoods at the two furnaces, the charging doors were
only open for approximately 15 minutes on one furnace, and
approximately 30 minutes on the other furnace;
The testing times at the furnace stacks for both furnaces
were equal to the entire cycle time for the furnace (so there was no
flaw in the testing periods, such that the furnace stack emissions
[[Page 56721]]
were not measured over the entire cycle);
There was no introduction of dilution air between the
furnace and the furnace stack sampling point; and
The furnaces were operating in compliance with the NESHAP
requirements.
Therefore, although the test data are limited, we have identified
no flaws in the testing procedures that render the results invalid, and
we believe it is reasonable to rely on the test data to support our
rule revision. In addition, it is undisputed that the test data are
from a Subpart RRR-affected facility, and the commenter did not provide
specific reasons to support its assertion that the tested furnaces are
not ``indicative'' of the source category nor did commenters submit
testing data to contradict, alter, or draw into question the EPA's
conclusions. The commenter also did not explain why, or at what level,
different capture efficiencies should be used based on differences in
pollutants. We are certain that at least some unmeasured emissions
escape from all uncontrolled group 1 furnaces during testing.
Therefore, the only question is what fraction of the total emissions is
directed to the furnace stack for measurement, and what fraction
escapes as emissions that are not measured. Our estimate, based on the
limited dataset, is that 80 percent of emissions at uncontrolled
furnaces are captured and directed to the stack for measurement, while
20 percent are emitted as unmeasured emissions. The revised testing
procedures for uncontrolled furnaces were proposed in February 2012,
with one comment period in 2012 and a second comment period after the
2014 supplemental proposal, giving commenters ample time to collect and
submit to EPA additional emissions test data, although none were
submitted. In the absence of additional data, we relied on the only
data available, although, upon further analysis of the data, we revised
the capture efficiency from 67 percent to 80 percent.
As noted by commenters, and supported by information they provided,
the tops of round top furnaces must be removed for charging by cranes
operating above the furnaces. Commenters stated that for a variety of
design, technical, operational, and safety reasons, it was not feasible
to install temporary hooding on existing round top furnaces. Based on
our review of the information submitted by the commenters, we agree
that ACGIH-compliant hoods are not possible to install on existing
round top furnaces because the top of the furnace must be removed by a
crane operating from above the furnace. We also agree that state and
local agencies should not be burdened with the need for case-by-case
impracticability determinations for existing round top furnaces.
Consequently, we are excluding existing round top furnaces from the
requirement either to install temporary ACGIH hooding or to use an 80-
percent capture efficiency assumption as well as the requirement for a
petition of impracticality, but instead round top furnaces must be
operated to minimize unmeasured emissions during testing.
The commenters have not provided documentation to support an
exclusion for other types of furnaces, such as box reverberatory
furnaces and box reverberatory furnaces with a side door. For these
furnaces, issues related to hooding during performance tests may or may
not arise depending on the specific site installation, including
factors such as the presence of surrounding equipment and other
physical obstructions, limited access and overhead cranes that may make
it impractical to install hooding. Therefore, the exclusion in the
final rule applies only to existing round top furnaces.
We note that, as discussed above, the final rule also provides
flexibility for furnaces other than round top furnaces. Where an ACGIH-
compliant hood cannot be installed on a furnace for testing and an 80-
percent capture efficiency is not used, the source can petition the
appropriate authority that temporary ACGIH hooding is impractical for
the source and propose alternative testing procedures that will
minimize unmeasured emissions. In some instances, furnace emissions can
be captured and measured without ACGIH hooding. For example, the
building may be operated as an enclosure, and emissions from the
building can be measured (e.g., by installing a temporary fan and
associated ductwork or a stack, and measuring emissions in that
ductwork or stack). In addition, there is an alternate performance
testing methods provision available in 63.1511(d).
We disagree that new furnaces should be allowed the option to
assume 80 percent of emissions are directed to the stack for
measurement. We are allowing existing uncontrolled group 1 furnaces to
use the 80-percent capture efficiency assumption, since the physical
limitations of an existing furnace are already established. However,
this is not the case for a new furnace; for a new furnace, adequate
testing of the source can be achieved through the design of the
furnace. This need not involve installation of a hood, since, for
example, the building, or portion of the building in which the new
furnace is located, could be used as an enclosure for the purpose of
testing. As we stated earlier, adequate testing includes the
responsibility to either provide a means of directing emissions to the
sampling train, or to measure the capture efficiency of the equipment
used to direct the emissions to the sampling train so that the overall
emissions from the source can be determined.
As discussed above, we have different requirements for new
uncontrolled furnaces, including new uncontrolled round top furnaces,
than for existing uncontrolled furnaces because we have concluded that
proper conditions for testing are readily achieved in the design of a
new furnace. However, in the specific case of reconstructed round top
furnaces, we agree that they are likely to have the same physical
constraints as existing round top furnaces that make it difficult or
impossible to construct the temporary hooding needed for emissions
testing. Therefore, the final rule provides reconstructed round top
furnaces the same exemption from the provisions requiring the
installation of temporary ACGIH hooding or the assumption of 80-percent
capture efficiency as allowed for existing round top furnaces.
Regarding the commenter's reference to the conditions of their
Consent Decree, the decree at paragraph 122 states clearly that each
company is responsible for achieving and maintaining complete
compliance with all applicable federal laws and regulations, and
compliance with the Consent Decree does not necessarily mean compliance
with the Clean Air Act or implementing regulations. Further, the
Consent Decree does not limit the EPA's authority to revise Subpart
RRR. Also note that the compliance date for the rule revisions
concerning testing of uncontrolled furnaces is 2 years after
promulgation. While it is not necessary to review the specific
protocols of the Consent Decree for purposes of this rulemaking, the
commenter can follow up with their EPA Regional Office regarding any
concerns.
Comment: In a comment on the supplemental proposal, one commenter
stated it should not be a prerequisite that facilities or emission
sources must first conduct a failed compliance test using the 67-
percent capture efficiency assumption prior to petitioning permitting
authorities that ACGIH equivalent hooding is impractical under the
provisions of paragraph (e)(6). According to the commenter, some
facilities know upfront that installing a
[[Page 56722]]
capture hood is impractical and that they cannot comply with a stack
test assuming a 67-percent capture efficiency. The commenter
recommended that the final rule provide owners and operators a third
option to petition permitting authorities (prior to performance
testing) that installation of hooding is impractical; this alternative
would avoid costs associated with multiple performance tests, labor and
administrative burdens and potential enforcement liability that would
be associated a failed performance test.
A commenter on the supplemental proposal stated that many of the
hooding provisions are unworkable in actual practice, and the commenter
therefore supports the petition process proposed for alternate capture/
collection systems, coupled with testing procedures designed to
minimize fugitive emissions. The commenter stated that it is
inefficient and a significant waste of resources to require initial
testing under the assumption of a 67-percent capture efficiency for a
facility where installing an ACGIH-compliant hood is impractical and
the facility knows or expects that it cannot comply using the 67-
percent capture efficiency assumption. The commenter suggests it would
be more efficient to allow facilities the option to submit a petition
regarding the impracticality of hooding coupled with proposed testing
procedures that will minimize fugitive emissions during the testing
before the next required performance test occurs rather than after;
this will minimize the likelihood of retesting and result in
significant monetary, labor and efficiency savings.
The commenter stated they assume that, in the event of testing/
retesting following the approval of a petition demonstrating the
impracticability of hooding requirements, the 67-percent capture
efficiency provisions would not be applicable to the results of the
testing/retesting. However, because it is not specifically stated, the
commenter seeks a clear statement to that effect in the final rule.
The commenter requested that the language in 40 CFR 63.1512(e)(4)
be revised as follows:
``When testing an existing uncontrolled furnace, the owner or
operator must comply with the requirements of either paragraphs
(e)(4)(i), (ii), (iii) or (iv) of this section at or prior to the next
required performance test required by 63.1511(e).
(i) Install hooding that meets ACGIH Guidelines, or
(ii) At least 180 days prior to testing, petition the permitting
authority for major sources, or the Administrator for area sources,
that such hoods are impractical under the provisions of paragraph
(e)(6) of this section and propose testing procedures that will
minimize fugitive emissions during the performance test according to
the paragraph (e)(7) of this section, or
(iii) Assume a 67-percent capture efficiency for the furnace
exhaust (i.e., multiply emissions measured at the furnace exhaust
outlet by 1.5). If the source fails to demonstrate compliance using the
67-percent capture efficiency assumption, the owner or operator must
re-test with a hood that meets the ACGIH Guidelines within 180 days, or
petition the permitting authority for major sources, or the
Administrator for area sources, within 180 days that such hoods are
impractical under the provisions of paragraph (e)(6) of this section
and propose testing procedures that will minimize fugitive emissions
during the performance test according to paragraph (e)(7) of this
section.
(iv) The 67-percent capture efficiency assumption is not applicable
in the event of testing conducted under an approved petition submitted
pursuant to (ii) or (iii) above.''
The commenter stated that making these changes will also require
that the existing proposed paragraph (iii) be re-designated as (v).
Response: Based on the comments received, the EPA reevaluated the
proposed requirements for testing uncontrolled furnaces. Based on our
analysis of available data (described in the Technical Support Document
for the Secondary Aluminum Production Source Category Final Rule, which
is available in the docket), we believe that the vast majority of
furnaces will be able to comply based on the 80 percent assumption.
However, we agree that there might be cases where a facility owner or
operator may know in advance that they cannot comply based on the 80-
percent capture efficiency assumption and that installing ACGIH hoods
for testing is not practical, so to require them to conduct tests that
they know in advance will fail is unreasonable and unnecessary.
Therefore, the final rule provides an alternative for such cases
whereby the facility owner or operator can petition their permitting
authority at least 180 days in advance that ACGIH hooding is
impractical and request approval of alternative testing procedures
including measures they will take that will minimize unmeasured
emissions during testing. The EPA has also clarified in the final rule
that in testing or retesting following approval of a petition
demonstrating impracticability of temporary ACGIH hooding, the 80-
percent capture efficiency assumption does not apply to the results of
the testing or retesting.
Comment: In a comment on the supplemental proposal, one commenter
requested that instead of the requirement for uncontrolled furnaces to
conduct performance testing using ACGIH hooding, the EPA should allow,
as they do for round top furnaces, the use of alternative procedures
for the minimization of fugitive emissions during performance testing
for consistency and cost considerations. The commenter stated that
allowing all uncontrolled furnaces to use the work practices for the
minimization of fugitive emissions, rather than install ACGIH hooding,
would achieve the same capture efficiency during the performance test
as it would for round top furnaces. The commenter further stated that
the installation and use of an ACGIH hood is not cost effective and
would create unnecessary costs simply to comply with testing
requirements. A commenter on the supplemental proposal stated that the
EPA should delete the ACGIH capture hood requirements for uncontrolled
furnace testing and instead specify work practice alternatives for
minimizing fugitive emissions during testing.
Response: The commenters have not provided documentation to support
an exclusion from ACGIH hooding and associated requirements for
furnaces other than round top furnaces. Based on the limited
information available to the EPA, we believe that, for these furnaces,
issues related to hooding during performance tests may or may not arise
depending on the specific site installation, including factors such as
the presence of surrounding equipment and other physical obstructions,
limited access, and overhead cranes that may make it impractical to
install temporary hooding. Therefore, the exclusion in the final rule
applies only to existing or reconstructed round top furnaces. As noted
above, even if ACGIH-compliant hoods cannot be installed on a furnace,
in some instances, furnace emissions can be captured and measured
without ACGIH hooding. For example, the building may be able to be
operated as an enclosure, and emissions from the building can be
measured (e.g., by installing a temporary fan and associated ductwork
or a stack, and measuring emissions in that ductwork or stack) if there
are no other furnaces or other significant sources in the building of
the pollutant to be measured. In addition, an owner or operator of an
existing uncontrolled group 1 furnace other than a round top furnace
has the choice of assuming an
[[Page 56723]]
80-percent capture efficiency for the furnace exhaust, or, if the
source does not wish or fails to demonstrate compliance using the 80-
percent capture efficiency assumption, the owner or operator may
petition the permitting authority that such temporary hoods are
impractical.
Comment: Three commenters cited safety concerns regarding the
feasibility of fugitive emissions testing for group 1 uncontrolled
furnaces.
One commenter asserted that because of the broad spectrum of
furnace designs and safe operating practices for the group 1
uncontrolled furnace category, it is impossible to fully characterize
the potential impacts on operator safety from EPA's proposed action.
The commenter observed that to conduct an EPA Method 5 test at a hood
requires an operator to be present for the duration of the emissions
test in a location that industry standard safe operating practices
prohibit. The commenter asserted that this proposed requirement would
violate the industry standard operation procedure of the vast majority
of group 1 uncontrolled furnaces, which require the removal of the
operator from unsafe locations during normal furnace operation. The
commenter stated that group 1 uncontrolled furnaces fall into two broad
categories, those designed for operator presence on the furnace
structure and those that do not have any infrastructure for operator
presence above the furnace.
One commenter stated that safe operation of furnaces that charge
aluminum scrap only allows for operators to access the area above the
furnace when the door is closed, and the cycle is in a steady state
(i.e., not immediately following scrap charging), entirely precluding
the operator from entering during operation. The commenter emphasizes
that the operation of the proposed testing apparatus, in accordance
with EPA Methods 1 and 2, would violate industry best practices for the
safe operation of remelt furnaces.
Response: We disagree that the Method 5 emissions tests must be
conducted ``at a hood,'' and therefore have potential impacts on the
safety of the testing equipment operators or furnace operators. The
ductwork from the hood can lead to the same stack as the furnace.
Therefore, fugitive emissions captured by the hood can be combined with
emissions from the furnace, and testing can be conducted at the same
stack location as the facility has historically tested. Furthermore,
existing uncontrolled furnaces have the additional option of assuming
an 80-percent capture efficiency and all uncontrolled furnaces may
petition the appropriate authority that such hoods are impractical and
propose testing procedures that will minimize unmeasured emissions
during testing.
Comment: Three commenters asserted that design and installation
costs for hooding are far higher when testing for group 1 uncontrolled
furnaces than those provided by the EPA. One commenter estimated a cost
of $120,000 to $500,000 per hood.
One commenter noted that because these hoods and ductwork would
have to be retrofitted to existing equipment, there is little or no
economy of scale.
Response: The commenters did not provide supporting calculations or
a breakdown for their cost estimates. The EPA contacted the commenter
that provided the higher estimated costs and requested additional
information on their cost estimate. The commenter provided cost
estimates for an installation of hooding that meets ACGIH guidelines on
a Reverb Melter ($208,146) and a Tilting Holder ($238,012). The EPA
used these cost estimates in a supplementary cost analysis to provide
further information concerning the rule amendments being adopted in
this final rule Cost Estimate for Rule Changes to Secondary Aluminum
NESHAP, which is available in the docket for this action. Based on the
commenter's estimates, the average capital cost for the two
installations is approximately $223,000. The 2012 cost can be scaled to
2011 cost by applying the ratio of the Chemical Engineering Plant Cost
Index for March 2011 (final--575.9) to March 2012 (preliminary--596.1),
or a ratio of 0.966. Using this factor, the capital cost is estimated
to be $215,400 per furnace. If this value is used in lieu of the
original estimate (contained in supporting documentation for the
proposed rule) of $76,000 for a single hood, all costs would increase
by a factor of 2.83 (i.e., $215,400 divided by $76,000). Assuming
temporary hooding will be installed on 107 furnaces, the total capital
cost using this value would therefore conservatively be estimated to be
$17,300,000 (i.e., $6,099,000 multiplied by 2.83). Note that the
$6,099,000 cost estimate is based on an average cost per furnace of
$57,000, based on the assumption that a hood for a second installation
at a facility would cost half as much (i.e., ($76,000 + $38,000)/2 =
$57,000). Similarly, using these higher cost estimates per furnace, the
total annualized cost for the source category would be conservatively
estimated at $3.46 million per year, and the total annualized cost per
furnace would be approximately $32,300 per year. Therefore,
conservatively assuming 107 furnaces install temporary hooding, total
estimated annualized costs would range from $1.2 million per year to
$3.46 million per year or an average of $2.3 million per year. Total
annualized cost per furnace would range from $11,000 per year to
$32,300 per year, or an average of $21,650 per year. We believe that
these total cost estimates are conservative (more likely to be
overestimates rather than underestimates) because these costs are based
on the assumption that all of the estimated uncontrolled furnaces will
choose to install temporary hooding rather than use the other options
provided in the rule for addressing unmeasured emissions during
performance testing.
Comment: Two commenters, in response to the 2012 proposed rule,
requested that the EPA revise proposed 40 CFR 63.1512(e)(4)(ii) to list
example work practices that the Agency considers acceptable for
minimizing furnace fugitive emissions during a performance test. The
commenters stated that the list of examples would provide permitting
authorities some basis for evaluating proposed work practices and
approving test procedures.
In a comment on the supplemental proposal, one commenter stated
that, with the approval of the applicable permitting authority, when
testing an uncontrolled reverberatory furnace, they have used a test
plan that includes positioning one or more fans to direct flow into a
furnace when the door is opened in order to minimize fugitive emissions
escaping the furnace door. The commenter recommended paragraph
63.1512(e)(7)(x) be added to read as follows:
``(x) Use of fans or other device to direct flow into a furnace
when door is open.''
In a comment on the supplemental proposal, one commenter stated
that most of the ``testing procedures'' presented in sections
63.1512(e)(7)(i) through (ix) of the proposed rule are reasonable
suggestions for minimizing fugitive emissions. However, the commenter
stated that, the installation of temporary baffles would have no
practical effect on reducing fugitive emissions for the types of
emission units regulated under this source category. The commenter
stated that, additionally, increasing the exhaust rate will require
additional fuels to be combusted and will cause an increase in dross
production; both will result in particulate and HCl emission increases
that would otherwise not be created. According to the commenter, the
creation of additional dross will
[[Page 56724]]
produce a cascade of collateral environmental impacts: More dross must
be processed, more dross processing HAP will be created, and there will
be more residuals to be handled, transported and disposed.
In a comment on the supplemental proposal, one commenter stated
that the language the EPA uses to introduce the procedures that can be
used to minimize fugitive emissions in the preamble is better than that
used in the original proposed rule at 63.1512(e)(7). The commenter
stated that the preamble introduces alternatives for minimizing
fugitive emissions with the words, ``[t]hese procedures may include, if
practical, one or more of the following, but are not limited to . . .
.'' The commenter stated that, in contrast, the proposed rule at 40 CFR
63.1512(e)(7) simply states, ``testing procedures that will minimize
fugitive emissions may include, but are not limited to . . . .'' The
commenter recommended that the EPA should include the phrase ``if
practical, one or more of the following'' in the language of the rule
at 40 CFR 63.1512(e)(7), because this construction makes clear that not
every alternative to minimize fugitive emissions may be practical and
therefore not all the listed alternatives are required.
In a comment on the supplemental proposal, one commenter stated
that they have conducted testing of round top melting furnaces after
development of a test plan, with the EPA's approval, as part of a
Consent Decree and as approved by the applicable permitting authority.
The commenter stated that this procedure involves removing the top once
and placing a representative but lighter charge into the furnace and
replacing the top. The commenter stated that the charge includes all
materials normally charged into the furnace but a charge size of
approximately 25 percent to 35 percent of normal; this procedure
minimizes fugitive emissions from the furnace. The commenter stated
that while they believe this procedure meets the intent of paragraph
63.1512(e)(7)(v), they request that the paragraph be revised as
follows:
(v) ``In order to minimize time the furnace door or top is open, it
is permissible to add a smaller but representative charge into the
furnace at one time and conduct the test without additional charge.''
Response: In response to the commenters' requests, we have included
in the final rule a list of example procedures for minimizing
unmeasured emissions during testing. These procedures may include, if
practical, but are not limited to, one or more of the following:
Installing a hood that does not meet ACGIH guidelines;
Using the building as an enclosure, and measuring
emissions exhausted from the building if there are no other furnaces or
other significant sources in the building of the pollutants to be
measured;
Installing temporary baffles on the sides or top of the
furnace opening, if it is practical to do so where they will not
interfere with material handling or with the furnace door opening and
closing;
Minimizing the time the furnace doors are open or the top
is off;
Delaying gaseous reactive fluxing until charging doors are
closed and the top is on;
Agitating or stirring molten metal as soon as practicable
after salt flux addition and closing doors as soon as possible after
solid fluxing operations, including mixing and dross removal;
Keeping building doors and other openings closed to the
greatest extent possible to minimize drafts that would divert emissions
from being drawn into the furnace;
Maintain burners on low-fire or pilot operation while the
doors are open or the top is off;
Use of fans or other device to direct flow into a furnace
when door is open; or
Removing the furnace cover once in order to add a smaller
but representative charge and then replacing the cover.
We disagree that baffles would be ineffective in reducing
unmeasured emissions in all cases and note that they are just one of
several options that can be used, as appropriate, to reduce unmeasured
emissions during testing of uncontrolled furnaces. One way that baffles
can reduce unmeasured emissions is to keep the smoke puff that escapes
the furnace when the scrap is first put in from leaving the area around
the furnace. Therefore, some of the smoke can be pulled back into the
furnace after the seconds-long initial puff of smoke. Baffles also tend
to produce a higher-velocity corridor leading to the furnace face, also
making it more likely that the puff of smoke that escapes the furnace
during charging will subsequently get pulled back into the furnace.
Furthermore, their use would be temporary only for the time that the
furnace doors are open to accept a charge. As proposed, the final rule
includes the use of baffles as one testing procedure that can be used
to minimize unmeasured emissions but does not require that they be
used.
We agree with the comment that increasing exhaust rate may tend to
increase dross production, with a resultant increase in PM and HCl
emissions. Therefore, even though increasing exhaust rate will improve
capture, we are removing the example of raising flow rate from the list
of methods to minimize fugitive emissions.
We disagree with the comment that 40 CFR 63.1512(e)(7) does not
adequately introduce the procedures that can be used to minimize
unmeasured emissions. We believe that the wording at 40 CFR
63.1512(e)(7) clearly conveys that any one of the listed procedures, or
others that are not listed, may be used to minimize unmeasured
emissions during testing. The regulatory wording does not require their
use. Therefore, the final rule has not been revised as requested by the
commenter.
We agree that, as the commenter recommended, using a smaller but
representative charge, could reduce the amount of time that furnace
doors are open, and could therefore reduce the amount of emissions that
are not captured and measured during testing of uncontrolled furnaces.
Because emission limits for group 1 furnaces are in units of mass of
pollutant per unit of mass of feed, the mass of the charge by itself
does not affect the validity of test results. The final rule includes
the use of smaller but representative charges as another alternative to
minimizing unmeasured emissions during testing of uncontrolled group 1
furnaces. If a single test condition is not expected to produce the
highest level of emissions for all HAP, testing under two or more sets
of conditions (for example high contamination at low feed/charge rate
and low contamination at high feed/charge rate) may be required.
Comment: Two commenters on the 2012 proposal requested that the EPA
extend the timeline proposed for retesting under 40 CFR
63.1512(e)(4)(ii) to 240 days. The commenter asserted that the
requirement proposed in 40 CFR 63.1512(e)(4)(ii) to ``retest with a
hood that meets ACGIH Guidelines within 90 days'' is not practicable.
For the proposed provision to be workable, the commenter argued, the
EPA needs to allow at least 240 days for retesting with an ACGIH hood
if a source fails to demonstrate compliance using the 67-percent
capture efficiency assumption.
Response: The EPA agrees with commenters that the 90-day period for
retesting in the 2012 proposal was insufficient. Based on further
review and comments received, in the supplemental proposal, the EPA
proposed a 180-day period for the retesting provisions in section
63.1512(e)(4). We received no comments on the 2014 supplemental
proposal objecting to the 180-day retesting
[[Page 56725]]
period. Therefore, instead of the initially proposed 90-day retesting
period, we are adopting in the final rule a 180-day period for a source
that fails to demonstrate compliance using the capture efficiency
assumption either to: (1) Retest with an ACGIH-compliant hood; or (2)
petition the permitting authority that such hoods are impractical for
the furnace and propose testing procedures that will minimize
unmeasured emissions during testing.
Comment: In a comment on the supplemental proposal regarding 40 CFR
63.1512(e)(4)(iii), one commenter stated that it is not clear if the
EPA intends to exempt all round top furnaces in operation on the
publication date of the proposal, or if round top furnaces that
commenced construction or reconstruction after February 11, 1999, (new)
are purposely being excluded. The commenter suggested the language be
revised to the following:
``Existing and new round top furnaces are exempt . . . .''
Response: As proposed in the 2014 supplemental proposal, the final
rule exempts existing round top furnaces from the testing requirements
for uncontrolled furnaces in 40 CFR 63.1512(e)(4)(i), (ii), and (iii).
In response to a comment on the supplemental proposal, we have expanded
the exemption to also apply to reconstructed round top furnaces. The
intent of the EPA is that existing and reconstructed round top furnaces
that commenced construction or reconstruction on or before February 12,
2012, are exempt, and new round top furnaces that commence construction
after February 12, 2012, are not exempt, from the testing requirements
for uncontrolled furnaces in 40 CFR 63.1512(e)(4)(i), (ii), and (iii).
Therefore, we are not adopting the revised language suggested by the
commenter.
Comment: One commenter asked that the EPA clarify in 40 CFR
63.1512(e)(4)(ii) what constitutes ``impractical'' with respect to
installing temporary capture hoods.
Response: In response to the commenter, 40 CFR 63.1512(e)(6) of the
final rule clarifies in what circumstances installation of temporary
capture hoods would be considered impractical.
Temporary capture hooding installation is considered impractical
if:
Building or equipment obstructions (for example, wall,
ceiling, roof, structural beams, utilities, overhead crane, or other)
are present such that the temporary hood cannot be located consistent
with acceptable hood design and installation practices;
Space limitations or work area constraints exist such that
the temporary hood cannot be supported or located to prevent
interference with normal furnace operations or avoid unsafe working
conditions for the furnace operator; and/or
Other obstructions and limitations subject to agreement of
the permitting authority.
4. What is the rationale for our final approach for testing of
uncontrolled group 1 furnaces?
As discussed above and in the 2012 and 2014 proposals, we are
finalizing compliance alternatives addressing capture and collection of
emissions for uncontrolled furnaces during performance testing. Owners
and operators of uncontrolled furnaces have the options of installing
temporary ACGIH-compliant hooding for testing or assuming that the
capture efficiency of the furnace exhaust is 80 percent without
installing hooding. Further options are provided if a source fails to
comply using the 80-percent capture efficiency assumption or decides
not to use the 80-percent assumption and instead petitions at least 180
days in advance that ACGIH hooding is impractical for the furnace and
for approval of alternative testing procedures, including measures that
will minimize unmeasured emissions during testing. The final rule
exempts existing and reconstructed round top furnaces from these
requirements due to the infeasibility of installing hooding. The final
rule clarifies the circumstances under which the installation of
temporary ACGIH hooding is considered impractical and specifies work
practices that can be used to minimize unmeasured emissions during
testing of uncontrolled furnaces.
D. Changing Furnace Classification
1. What did we propose regarding changing furnace classification?
In the 2012 proposal, we proposed to address an area of uncertainty
under Subpart RRR by specifying in 40 CFR 63.1514 rule provisions
expressly allowing changes in furnace classification, subject to
procedural and testing requirements, operating requirements and
recordkeeping requirements. We proposed a frequency limit of no more
than one change in classification (and associated reversion) every six
months, with an exception for planned control device maintenance
activities requiring shutdown. We received comments on the 2012
proposal requesting additional or unlimited changes in furnace
classification. Based on the information received, we reevaluated the
appropriate limit on frequency of furnace classification changes. The
EPA received from one commenter an inventory of the number of
classification changes that occurred each year at a specific Subpart
RRR furnace over a nearly 10-year period (available in the docket for
this rulemaking). The highest number of furnace classification changes
in one year, including both planned and unplanned changes, was nine.
Based on the comments and information received, we proposed in our
2014 supplemental proposal a revised limit on the frequency of changes
in furnace classification of four in any 6-month period, with a
provision allowing additional changes by petitioning the appropriate
authority.
2. What changed since proposal regarding changing furnace
classification?
Based on our consideration of the comments and additional
information received following the 2012 proposal and the supplemental
proposal, the following changes are incorporated into the final rule:
Added a provision that if compliance has already been
demonstrated for a given operating mode, performance testing is not
required, provided the testing was in compliance with the provisions in
40 CFR 63.1511;
Added clarification in Sec. Sec. 63.1514(a)(2)(iii) and
(4)(iii), (b)(2)(iii) (b)(4)(iii), and (c) on establishing the number
of tap-to-tap cycles elapsed (or time elapsed for continuously operated
units) during performance testing as a parameter to be met before
changing to uncontrolled mode, and provisions for continuous
operations;
Removed the proposed requirement to complete one or more
charge-to-tap cycles or 24 hours of operation prior to changing furnace
operating mode in Sec. Sec. 63.1514(2)(i) and (4)(i), (b)(2)(i),
(b)(4)(i), (c)(2)(i), (c)(4)(i);
Added 40 CFR 63.1514(b)(4)(iv) that requires that D/F
emissions determined at performance test must not exceed 1.5 ug D/F
TEQ/Mg of feed/charge to demonstrate that it qualifies as a group 2
furnace. This section was added for consistency with Sec.
63.1514(b)(2)(iv);
Clarified Sec. Sec. 63.1514(c)(5) and (6) with respect to
requirements for changing operating modes between a group 1 and a group
2 furnace; and
Removed the proposed requirement for area sources to
conduct performance
[[Page 56726]]
tests every 5 years in 40 CFR 63.1514(d)(2).
3. What key comments did we receive regarding changing furnace
classification?
Comment: Several comments were received objecting to the proposed
limits on the frequency of changing furnace classification. Four
commenters on the 2012 proposal asked that the EPA allow controlled
furnaces to change operating modes more frequently than once every 6
months. The commenters particularly noted the need for flexibility for
unplanned baghouse maintenance and repair. Although the 2012 proposed
rule allows a change of operating mode for planned maintenance of air
pollution control devices, the commenters stated that a restriction to
``once every 6 months'' for unplanned maintenance is ill-advised
because such a restriction may result in shutdown of the entire casting
operation or encourage an owner or operator to delay baghouse shutdown
and repairs that could be initiated immediately by changing to a
``cleaner'' operating mode that has already been demonstrated to comply
with the applicable emission limits. One commenter stated that the
proposed limit (of once every 6 months) on the frequency of changes
other than for ``planned'' maintenance would severely limit facility
flexibility. One of the commenters requested the EPA to revise 40 CFR
63.1514(e) to allow controlled furnaces to change operating modes (and
revert to prechange operating mode) without restriction on frequency,
when the air pollution control device must be shutdown for both planned
and unplanned maintenance.
One commenter on the 2012 proposal noted that in the proposed 40
CFR 63.1514(e), the proposed requirements for operating in different
modes include testing to demonstrate compliance under each mode,
revising the OM&M plan to reflect all planned operating modes and
revising labels to display compliant operating parameters for each
operating mode. The commenter observed that the EPA has listed
recordkeeping requirements when changing furnace classifications, but
the EPA has not listed any barriers to implementation or enforcement
once a stack test has been performed demonstrating compliance and an
OM&M plan submitted. The commenter concludes that if tests prove
compliance while operating in each mode, there is no justification for
restricting the frequency of changes.
One commenter noted interactions over several years between the
commenter and the EPA regarding the use of alternative operating
scenarios. The commenter stated that those communications (and
litigation) resulted in a February 16, 2012, Applicability
Determination (which was attached to their comment). The commenter
noted that the commenter had explained the need for flexibility to
change operating modes in this proposed rule to EPA in a letter dated
January 18, 2012, (also attached to their comment). The commenter
recommended that the EPA use the approach in the February 16, 2012,
Applicability Determination in Subpart RRR.
In a comment on the 2014 supplemental proposal, one commenter
stated that the EPA has not adequately explained why it is proposing to
allow 4 changes in furnace operating mode, or provided any reasoned
explanation for why these changes are lawful and reasonable, in view of
the requirement that standards apply at all times. The commenter stated
that before allowing such changes to be made by a facility, the EPA
must ensure that this is not equivalent to an exemption from the
standards, which a facility may take advantage of under the EPA's
proposal four times a year.
Response: As discussed in the preamble to the 2012 proposed rule,
the EPA proposed to address an area of uncertainty under Subpart RRR by
allowing changes in furnace classification, or furnace operating mode,
subject to procedural and testing requirements and a limit on frequency
of no more than one change (and associated reversion) every 6 months.
As summarized above, the EPA received comments on the 2012 proposal
requesting additional or unlimited furnace classification changes.
Based on the comments received, the EPA reevaluated the limit on
frequency of furnace classification changes. The EPA received from a
commenter an inventory of the number of classification changes that
occurred each year at a specific furnace over a nearly 10-year period
(available in the docket for this rulemaking). The highest number of
furnace classification changes for this furnace in one year, including
both planned and unplanned changes, was nine.
In response to the comments and information received and because of
the potential difficulty in distinguishing between a planned and
unplanned change, in the 2014 supplemental proposal we proposed a
revised frequency limit of four (including the four associated
reversions) in any 6-month period, including both planned and unplanned
events, with a provision allowing additional changes by petitioning the
appropriate authority. The EPA explained that the revised limit
balances the interest in allowing furnace classification changes while
preserving the EPA's and delegated authorities' practical and effective
enforcement of the emission limitations, work practice standards, and
other requirements of Subpart RRR.
Based on the EPA's experience in overseeing facilities' compliance
with the Subpart RRR NESHAP, the EPA believes it will be challenging in
many circumstances for a regulatory compliance inspector to
retroactively confirm which of two scrap inventories (i.e., one clean
charge and the other non-clean charge) was processed in a furnace at a
given time in the past, and whether the allowed type of feed/charge was
used for the furnace classification that was applicable for that time
period. Similarly, it may be difficult to determine if the flux type
and flux rate applied during that time period were compliant with the
then-applicable furnace classification. The difficulty of verifying the
inputs to the calculations used to determine SAPU emission limits, and
daily and rolling average SAPU emission rates when furnace control
device status and feed/charge type are frequently changed for one or
more emission units within a SAPU may lead to further uncertainty in
verifying compliance. On-site inspections may be difficult to conduct
properly if the selected provisions of the OM&M plan applicable to
furnace operation on the day and time of the inspection are subject to
frequent change. For all of these reasons, increased frequency of
allowed furnace classification changes places greater burdens on
regulatory oversight agencies and personnel and creates the potential
for impaired regulatory oversight.
In recognition of the issues raised by allowing repeated changes in
furnace classification and applicable emission standards, the EPA is
finalizing a limit of four on the number of times in a 6-month period a
Subpart RRR facility may change classification of a furnace (e.g.,
changing furnace classification from a controlled group 1 furnace to an
uncontrolled group 2 furnace, and back). The EPA appreciates the value
in providing operational flexibility for regulated sources, but
believes the limit is necessary to ensure effective implementation and
regulatory oversight of the rule. Facilities are allowed to change
furnace classification up to four times during a 6-month period. The
final rule clarifies that a
[[Page 56727]]
change from one operating mode to another and back is considered one
change in operating mode. The EPA believes allowing unlimited changes
of furnace classification would be impractical, as the monitoring,
recordkeeping, reporting, and labeling requirement changes associated
with changing furnace classifications would be difficult for the
regulated community to follow and for the regulatory agencies to
determine and verify continuous compliance. Furthermore, the EPA and
state agency experience has shown that some facilities have difficulty
preventing excess emissions from entering the flue gas from group 1
furnaces, and, therefore, changing from a group 1 furnace to a group 2
or uncontrolled group 1 status using cleaner charge may not necessarily
result in a reduction of emissions. More frequent changes in furnace
classifications could result in a greater potential for excess
emissions in some instances. The EPA selected the number of allowable
changes in furnace classifications based on information and data
received from industry on the number of changes in furnace
classification over an annual period. The EPA believes that four
changes per 6-month period will allow industry the flexibility it needs
while maintaining confidence in the level of implementation, compliance
and enforcement that can be achieved in changing from one
classification to another. If a source needs additional classification
changes in a 6-month period, the rule allows the source to petition the
appropriate authority for approval.
Following the 2014 supplemental proposal, we received two positive
comments from industry on the revised frequency limit and the option to
request additional changes if needed. Only one comment was received
opposing the revised frequency limit. It does not appear to the EPA
that the ability to change furnace modes has been an issue for most of
the secondary aluminum production industry. Furthermore, the commenter
opposing the revised limit did not provide additional data to support a
greater frequency or the need for an unlimited frequency. We note that
in the supplemental proposal, we specifically requested ``any commenter
who would like the EPA to consider a different limit on frequency to
include a specific rationale and factual basis for why a different
frequency would be appropriate as well as any data on historical
frequencies of furnace classification changes under subpart RRR.'' 79
FR at 72902. In addition, the EPA is finalizing a rule provision to
allow the industry to request approval for a greater frequency of
furnace classification changes if needed for their particular
operation. Based on data from industry and the comments received on the
supplemental proposal, we do not believe that it is necessary to
further revise the limit on the frequency of furnace changes. In this
final rule, we allow four changes in furnace classification per 6-month
period with the option of requesting in advance additional changes from
the appropriate authority.
In response to the same commenter's suggestion that EPA ``adopt the
approach'' in a 2012 EPA letter allowing changes in classification for
a furnace owned by the commenter, the EPA notes the letter addressed
only a single, relatively unusual ``tilt type'' reverberatory furnace
``in contrast to most reverberatory furnaces'' and was located at an
area source subject only to D/F limits and not the other limits
applicable to major sources under Subpart RRR. The letter also
expressly provided that it did not limit the EPA's authority to revise
Subpart RRR requirements through rulemaking.
We believe the February 16, 2012, applicability determination is
conceptually consistent with the rule changes, particularly for the
specific type of furnace at issue in that determination. The Subpart
RRR rule changes build upon several elements of the February 16, 2012,
determination to address concerns that switching operating modes for
any furnace subject to Subpart RRR be done in a manner that is fully
compliant with Subpart RRR for each operating mode, while at the same
time avoiding overly burdensome requirements for industry.
In response to the commenter on the 2014 supplemental proposal who
asserted that EPA has not adequately explained how it is lawful and
reasonable to allow four furnace classification changes per year in
view of the requirement that standards apply at all times and must
ensure this is not an exemption from standards, we provided such an
explanation in the 2012 proposed rule preamble, and the commenter did
not submit any comments in response to the 2012 proposed rule. In the
2014 supplemental proposal, we proposed a revised limit on frequency of
classification changes, but we proposed no other revision and stated we
``are not requesting comments on any other aspect of the proposed
provisions for furnace classification changes.'' 79 FR at 72902. The
comment refers to the revised proposed limit of four changes (per 6-
month period, not per year as described by the commenter), but the
substance of the comment concerns continuity of emission standards and
potential exemption from standards, which are not specific to the
frequency limit and were addressed previously in the 2012 proposal.
We note that the rule ensures this is not an exemption from
standards. As discussed above, there was uncertainty about whether
Subpart RRR allowed changes in furnace classification, but, at least in
some specific circumstances and conditions, furnace classification
changes were allowed under the existing rule. The EPA addressed the
issue in the 2012 and 2014 proposals and is finalizing rule provisions
clarifying the procedural, testing, operating, and recordkeeping
requirements when changing furnace operating modes, so as to ensure
continuous compliance with Subpart RRR standards. The final rule
specifies how a furnace can lawfully change from one operating mode
under the rule to another and does not at any time exempt a furnace
from meeting applicable standards.
Comment: Several commenters objected to the EPA's addition to
Subpart RRR of any provisions regulating the changing of furnace
classification. A commenter on the 2012 proposal stated that the
proposed rule will severely restrict flexibility, while the EPA is
taking credit for saving the industry $600,000 by ``allowing'' actions
that were previously unrestricted. The commenter proposes that all
language pertaining to furnace change classification be removed from
the proposed rule.
In a comment on the 2014 supplemental proposal, one commenter
stated that any restrictions on changing furnace classification are
unnecessarily burdensome and do not provide any additional
environmental benefit. The commenter stated that Subpart RRR as
promulgated in 2000 provides sufficient basis for facilities to change
furnace classification while maintaining compliance with the emission
limits and other requirements. The commenter attached a 2012 letter
from Edward J. Messina, in which the EPA acknowledges that a facility
``may change operating modes consistent with Subpart RRR'' and ``can
comply with Subpart RRR when it operates within one (and only one) of
three proposed operating modes for the entirety of any given melt
cycle.'' The commenter provided a copy of the 2012 letter as part of
their submittal. The commenter stated that they revised their
[[Page 56728]]
Kalamazoo, Michigan, facility's Permit to Install, to include the
ability to change furnace classification consistent with the EPA's 2012
letter and have successfully changed from group 1 to group 2 operation
in response to unexpected baghouse system malfunctions while
maintaining compliance with the applicable emission limits and other
requirements of Subpart RRR.
In a comment on the supplemental proposal, the same commenter
stated that the EPA attempts to justify the restrictions on changing
furnace classification as necessary for practical and effective
enforcement of Subpart RRR; however, the EPA does not mention any
occasion in the 14 year history of the MACT rule when a facility's use
of these provisions has resulted in any problem related to enforcement
or compliance. The commenter stated that facilities have been using the
ability to change furnace classification while maintaining compliance
with all of the requirements of Subpart RRR for some time without
creating any enforcement or compliance problems. The EPA has provided
no rational basis for imposing this additional regulatory burden. The
commenter recommended the EPA adopt the approach to changing furnace
classification provided in the 2012 EPA determination (the commenter
attached the 2012 letter to their comments), which does not restrict
frequency of changes and does not require testing with a number of
cycles of clean charge prior to unplanned changes, which is unnecessary
and impracticable.
Response: The EPA disagrees that changes in furnace classification
were unrestricted prior to this rulemaking. As explained in the
preamble to the proposed rule, the existing Subpart RRR regulatory text
did not explicitly address whether and under what conditions a furnace
may change its classification from one operating mode to another. This
led to uncertainty for facilities and permitting authorities when
considering and evaluating compliance options. The rule provisions
governing changes in furnace classification are intended to provide
clarity and add flexibility for the industry when, for example, normal
feed materials are temporarily unavailable and there is a desire by the
facility to operate the furnace in a different mode.
We disagree with the commenter's assertion that there have been no
problems related to enforcement or compliance for facilities changing
furnace classification in the 14-year history of the MACT rule.
Although we have very limited data on the practice of changing furnace
classification in the industry, in part because we received data from
only two companies following the 2012 proposal, we know that some
facilities have submitted requests to authorities that they be allowed
to change furnace classification and some of these requests were
denied. In such cases, the absence of national regulations clearly
stating whether and under what conditions the practice is allowed under
Subpart RRR served to limit compliance flexibility and was potentially
costly to facilities that sought to change their furnace operating
mode. Therefore, the addition of these provisions provide clear
instructions to regulatory agencies and the industry on the criteria
and procedures necessary to change from one furnace classification to a
different one.
Comment: Two commenters on the 2012 proposal disagreed with the
EPA's proposal to allow secondary aluminum producers to switch furnace
classification only after having one or more cycles of operation with
clean charge before a control device can be turned off. The commenters
stated that data from tests on two Alcoa furnaces show that there is no
carryover of emissions from one charge to the next, and, by requiring
operators to wait more than one cycle of operation before turning off
the control device, the rule restricts a facility's ability to take
timely action to repair an air pollution control device in the event of
an unexpected equipment breakdown.
One of the commenters on the 2012 proposal described multiple
instances of performance tests for two melting furnaces regarding
emissions of batches operated with clean charge immediately after using
dirty charge. The commenter provided summaries of the performance
tests, and the tests show that emissions measured during the very next
furnace cycle after using dirty charge were below the group 1 furnace
emission limits.
In a comment on the supplemental proposal, one commenter stated
that the requirement in the 2012 proposal to wait one or more
operational cycles before turning off the control device when switching
to clean charge in a furnace classification change is not supported by
available data indicating that there is not ``carry-over'' of emissions
from one batch to the next. The commenter cited furnace testing data
from testing at Alcoa's Lancaster, Pennsylvania, facility.
One commenter stated that the preamble to the supplemental proposal
does not state whether the EPA is proposing to remove the requirement
in 40 CFR 63.1514 of the 2012 proposal to wait one or more charge-to-
tap cycles using clean charge and without reactive flux addition before
the performance test can be performed for a change from group 1 to
group 2 operation. The commenter stated that, based on the proposed
requirements, because the change of classification to a furnace without
add-on control cannot be made until waiting the number of cycles
operated during the performance test with clean charge (and without
adding reactive flux), a classification change in this scenario could
not be made in response to an unplanned event such as an unexpected
baghouse malfunction. The commenter stated that facilities would be
prevented from responding to unexpected baghouse system malfunctions by
changing to group 2 operation. The commenter stated that similar
restrictions are contained in 2012 proposed 40 CFR 63.1514 for changing
from group 1 with add-on controls to group 1 without add-on controls.
The commenter stated that the EPA provides no justification for
requiring a facility to wait one or more charge-to-tap cycles before
testing without add-on controls; therefore, the provision contained in
the supplemental proposal cannot provide for reclassification during
unplanned changes such as baghouse malfunction.
One commenter on the 2012 proposal asserted that if the EPA retains
a flush cycle requirement in order to reclassify furnaces, each
scenario should provide a time-based option for determining when the
furnace can be reclassified. The commenter observed that the proposed
sections 63.1514(a)(2)(i), (a)(4)(i), (c)(2)(i) and (c)(4)(i) allow
either a number of charge-to-tap cycles or an operating time of 24
hours to elapse prior to furnace reclassification, and sections
63.1514(b)(2)(i) and (b)(4)(i) only provide a number of charge-to-tap
cycles, and do not provide a time-based alternative. The commenter also
suggested that instead of requiring ``1 or more charge to tap cycles,
or 24 operating hours,'' the rule should require ``1 or more operating
cycles or time period used in the performance test.'' The commenter
explained that this language is more consistent with the description of
``furnace cycle'' used throughout Subpart RRR, and is more appropriate
because a process cycle for some continuous operations is less than 24
hours.
One commenter on the 2012 proposal asked that the text for 40 CFR
63.1514(b)(2)(i) and 40 CFR 63.1514(b)(4)(i), ``Testing under this
paragraph may be conducted at any time
[[Page 56729]]
after the furnace has completed 1 or more charge to tap cycles with
clean charge,'' be changed to ``Testing under this paragraph may be
conducted at any time after the furnace has been tapped and has
completed at least one (1) more additional cycle with clean charge.''
A commenter on the 2012 proposal observed that the proposed rule
inconsistently uses the phrase ``additional tests,'' which appears to
apply to operating modes for which the facility has already
demonstrated compliance by conducting a valid performance test. The
commenter noted that the February 16, 2012, Applicability Determination
already specifies that testing is required to demonstrate compliance
with emission limits for each operating mode, and requiring additional
tests would add expense without any added environmental benefit.
Another commenter on the 2012 proposal observed that this proposed
provision would require ``additional tests'' to demonstrate compliance
with operating modes that already have valid performance tests. The
commenter objected to the EPA requiring area sources to retest every 5
years. The commenter also objected to the EPA requiring that tilting
melters at area sources in group 2 operating mode perform stack
testing.
Response: In response to the comments and information provided by
the commenters, the EPA agrees that it is not necessary to require one
or more cycles with clean charge before a control device can be shut
off under the change of classification procedures. As such, we have
modified the final rule, accordingly.
The EPA has also removed the requirement that furnaces at area
sources using group 2 as any alternative operating mode repeat the
performance test every 5 years. Our use of the phrase ``additional
performance tests'' in 40 CFR 63.1514 was not intended to apply to
operating modes for which the facility has already demonstrated
compliance by conducting a valid and relevant performance test.
Accordingly, we have modified the final rule language in 40 CFR 63.1514
to make it clear that performance tests must be performed only if
compliance for the operating mode has not already been demonstrated by
a valid performance test and have clarified 40 CFR 63.1514 to indicate
that ``additional tests'' are not required for operating modes for
which the facility has already demonstrated compliance by conducting a
valid performance test. In response to the commenter's objection to
requiring a tilting melter to test when in group 2 mode, neither the
proposed rule nor the final rule contains such a requirement for any
tilting reverberatory furnace capable of completely removing furnace
contents between batches.
4. What is the rationale for our final approach for changing furnace
classification?
The final rule addresses an area of uncertainty under Subpart RRR
by specifying rule provisions expressly allowing changes in furnace
classification from one authorized operating mode to another, including
from a controlled furnace operating mode to an uncontrolled furnace
operating mode, subject to procedural and testing requirements,
operating requirements and recordkeeping requirements. The final rule
allows changes in furnace operating modes up to four times (including
the four associated reversions) in a 6-month period. This frequency of
changes in furnace operating modes is based on limited information
submitted by industry on the number of furnaces changes that occur,
taking into account the increased burden on the EPA and delegated
states to oversee compliance for furnaces that repeatedly change their
classification and associated emission standards and compliance
requirements under Subpart RRR. The final rule allows sources to
request additional changes in furnace operating mode by petitioning the
permitting authority for major sources, or the Administrator for area
sources.
E. Flow Rate Measurements and Annual Inspections of Capture/Collection
Systems
1. What did we propose regarding flow rate measurements and annual
inspections of capture/collection systems?
In the 2012 proposal, we proposed codifying in Subpart RRR our
existing interpretation that annual hood inspections include flow rate
measurements using EPA Reference Methods 1 and 2 in Appendix A to 40
CFR part 60. These flow rate measurements supplement the effectiveness
of the required visual inspection for leaks, to reveal the presence of
obstructions in the ductwork, confirm that fan efficiency has not
declined and provide a measured value for air flow. Commenters on the
2012 proposal requested that the EPA allow flexibility in the methods
used to complete the annual inspections of capture/collection systems
stating that the use of volumetric flow measurement was often not
necessary and Method 1 and 2 tests could be a cost burden for some
facilities. Comments also indicated that routine, but less frequent,
flow rate measurements could ensure that capture/collection systems are
operated properly and suggested alternative methods of ensuring the
efficiency of capture/collection systems.
Based on the comments received and our consideration of inspection
needs, in the 2014 supplemental proposal we proposed additional options
that provide more flexibility in how affected sources can verify the
efficiency of their capture/collection system. Instead of annual
Methods 1 and 2 testing, we proposed that sources may choose to perform
flow rate measurements using EPA Methods 1 and 2 once every 5 years,
provided that a flow rate indicator consisting of a pitot tube and
differential pressure gauge is installed and used to record daily the
differential pressure and to ensure that the differential pressure is
maintained at or above 90 percent of the average pressure differential
measured during the most recent Method 2 performance test series, and
that the flow rate indicator is inspected annually. As another option
to annual flow rate measurements using Methods 1 and 2, the EPA
proposed to allow Methods 1 and 2 testing to be performed every 5 years
provided that daily measurements of the revolutions per minute (RPM) of
the capture and collection system's fan pr a fan motor amperage (amps)
are taken, the readings are recorded daily, and the fan RPM or amps are
maintained at or above 90 percent of the average RPM or amps measured
during the most recent Method 2 performance test. Furthermore, we
proposed that as an alternative to the flow rate measurements using
Methods 1 and 2, the annual hood inspection requirements can be
satisfied by conducting annual verification of a permanent total
enclosure using EPA Method 204. We further proposed that as an
alternative to the annual verification of a permanent total enclosure
using EPA Method 204, verification can be performed once every 5 years
if negative pressure in the enclosure is directly monitored by a
pressure indicator and readings are recorded daily or the system is
interlocked to halt material feed should the system not operate under
negative pressure. We also proposed that readings outside a specified
range would need to be investigated and steps taken to restore normal
operation, and that pressure indicators would need to
[[Page 56730]]
be inspected annually for damage and operability.
2. What changed since proposal regarding flow rate measurements and
annual inspections of capture/collection systems?
The final rule contains modified monitoring requirements in 40 CFR
63.1510(d) to allow the use of non-pitot based flow rate measuring
equipment (i.e., hotwire anemometer, ultrasonic flow meter, cross-duct
pressure differential sensor, venturi pressure differential monitoring
or orifice plate) equipped with an associated thermocouple and
automated data logging software and associated hardware. These
monitoring provisions provide the secondary aluminum production source
category with flexibility and less costly alternatives to annual
inspections using Methods 1 and 2 and Method 204 while also ensuring
the proper operation of capture and collection systems.
3. What key comments did we receive regarding flow rate measurements
and annual inspections of capture/collection systems?
Comment: One commenter on the 2012 proposal contended that the EPA
should continue to allow affected sources flexibility in methods used
to complete annual inspections of capture/collection and closed vent
systems. The commenter stated that the proposed rule would add a
volumetric flow measurement requirement, which is unnecessary in many
cases, to demonstrate proper operation of the capture/collection and
closed vent system. The commenter contended that current rule
flexibility allows sources to utilize monitoring methods that are
appropriate and cost effective for their operations and equipment; this
choice of monitoring method is included in an approved OM&M plan
certified by the owner or operator. The commenter also noted that the
additional cost burden on facilities to perform a Method 1 and Method 2
measurement was not considered by the EPA in the rulemaking process.
The commenter estimated that EPA Methods 1 and 2 will require the
facility to hire an outside contractor and incur costs of more than
$3,000 per unit. The commenter recommended that the Agency should
continue to allow affected sources the ability to determine the best
inspection methods to verify that capture/collection and closed vent
systems meet operating requirements.
One commenter on the 2012 proposal discussed 40 CFR 63.1510(d)(2),
stating that while in agreement with the need to routinely perform
volumetric flow rate measurements, after negotiation with the EPA, a
determination was made that a frequency of every 30 months was
sufficient, as documented in a 2009 consent decree resolving a federal
enforcement action against the company. The commenter asserted that
volumetric flow rate measurement is a costly procedure, performed by
outside contractors costing about $2,000 a day, and cost per inspection
will vary by the number of systems to be checked. The commenter noted
that for the commenter's facilities, approximately fifty rechecks have
been performed to comply with the requirements of the consent decree or
due to new stack testing. The commenter stated that all have
demonstrated that each system is operating in accordance with the
requirements in 40 CFR 63.1506(c). According to the commenter, this
shows that there is no need to conduct this flow measurement more than
once every 30 months. The commenter objected to the requirement to
perform volumetric flow measurements on each hood. The commenter stated
that when multiple hoods are manifolded together, it is not always
possible to meet Method 1 requirements on all hoods to be measured, and
at times it is necessary to measure the main trunk and arrive at the
volumetric flow rate for an individual hood by calculation. According
to the commenter, this method has been used repeatedly and submitted to
the EPA and state agencies with stack test reports, and has been
accepted. The commenter requested that the EPA clarify that the
proposed language does not preclude this approach, or modify the
proposed language to include such clarification.
Response: Verification of the flow rate of the exhaust stream that
is directed to the control device is necessary to assure the efficiency
of the control system and to ensure continuous compliance with the
emission standards between performance tests. In addition, owners or
operators of area source facilities are not required to conduct
periodic performance tests and this requirement may help detect leaks
and defects in the duct work sooner than they otherwise would be found.
The EPA is adopting the requirements as proposed in the 2012 and 2014
proposals, including options that provide flexibility in how affected
sources can verify their flow rates.
Instead of annual Methods 1 and 2 testing, flow rate measurements
using EPA Methods 1 and 2 can be performed once every 5 years, provided
that a flow rate indicator consisting of a pitot tube and differential
pressure gauge is installed and used to record daily the differential
pressure, that the differential pressure is maintained at or above 90
percent of the pressure differential measured during the most recent
Method 2 performance test series, and that the flow rate indicator is
inspected annually. As another option to annual flow rate measurements
using Methods 1 and 2, the EPA is allowing Methods 1 and 2 to be
performed every 5 years provided that daily measurements of the capture
and collection system's fan RPM are made, that the readings are
recorded daily, and that the RPM are maintained at or above 90 percent
of the RPM measured during the most recent Method 2 performance test
series. Other options for annual flow rate measurements using Methods 1
and 2 that we are allowing are annual measurements of the face velocity
of booth-type hoods, or installation of static pressure measurement in
the duct at the hood exit, provided that the values obtained for these
measurements are at or above 90 percent of the values measured during
the most recent Method 2 performance test series. Further, we are
allowing that as an alternative to the flow rate measurements using
Methods 1 and 2, the annual hood inspection requirements can be
satisfied by conducting annual verification of a permanent total
enclosure using EPA Method 204.
We are further allowing that, as an alternative to the annual
verification of a permanent total enclosure using EPA Method 204,
verification can be performed once every 5 years if negative pressure
in the enclosure is directly monitored by a pressure indicator and
readings are recorded daily or the system is interlocked to halt
material feed should the system not operate under negative pressure. We
are also requiring that readings outside a specified range be
investigated and steps taken to restore normal operation, and that
pressure indicators would need to be inspected annually for damage and
operability. We are also allowing non-pitot based flow rate measuring
equipment (i.e., hotwire anemometer, ultrasonic flow meter, cross-duct
pressure differential sensor, venturi pressure differential monitoring
or orifice plate) equipped with an associated thermocouple and
automated data logging software and associated hardware as a sufficient
monitoring system for compliance with this rule.
The 2009 Consent Decree at paragraph 122 states clearly that each
company is responsible for achieving and maintaining complete
compliance with all applicable federal laws and
[[Page 56731]]
regulations, and compliance with the Consent Decree does not
necessarily mean compliance with the Clean Air Act or implementing
regulations. Further, the Consent Decree does not limit the EPA's
authority to revise subpart RRR.
The commenters assert that annual measurements of flow rates will
result in additional costs to conduct EPA Methods 1 and 2 testing.
Because in EPA's view the existing requirements prior to this
rulemaking required annual testing, we disagree that these costs
represent a new burden. See Memorandum, Michael Alushin, EPA Office of
Compliance Enforcement Assurance, to EPA Regional Air Directors,
``Compliance with ACGIH Ventilation Manual,'' August 16, 2006, which is
in this rulemaking docket.
Comment: In a comment on the supplemental proposal, one commenter
stated that in the supplemental proposal, the EPA would allow several
alternatives to an annual Methods 1 and 2 flow rate measurement
including the option to verify a permanent total enclosure every five
years and directly monitor negative pressure, which they support. The
commenter stated that there appears to be an inconsistency in proposed
sections 63.1506(c) and 63.1510(d). The commenter stated that 40 CFR
63.1506(c)(1) requires capture and collection systems to meet
``engineering standards for minimum exhaust rates'' from the ACGIH
Manuals, but the supplemental proposal allows an operator to ensure
compliance with 40 CFR 63.1506(c) by verifying a permanent total
enclosure by Method 204, which verifies the facial velocity and that an
inward flow is maintained at all openings, but does not include a
measurement of exhaust rates. The commenter stated that the ACGIH
Manuals do not provide minimum exhaust rates for all types of capture
and collection systems used by the secondary aluminum industry; for
example, some capture and collection systems are not typical
ventilation hoods and are more appropriately described in the ACGIH
Manuals as ``Moderate Control Total Enclosures'' and, for these
systems, the manual does not provide minimum exhaust rates, but rather
describes appropriate velocities to maintain through openings in the
enclosure. The commenter stated that to the extent the manuals are
referenced in the final rule, the EPA should revise 40 CFR 63.1506 to
remove the reference to ``minimum exhaust rates'' and require the
system to be designed and monitored to meet ``applicable engineering
standards'' as follows:
``Design and install a system for the capture and collection of
emissions to meet the applicable engineering standards for minimum
exhaust rates as published by the American Conference of Governmental
Industrial Hygienists in Industrial Ventilation: A Manual of
Recommended Practice 23rd or 27th edition (ACGIH Guidelines)
(incorporated by reference in Sec. 63.1502 of this subpart).''
Response: Because the ACGIH guidelines also contain inlet
velocities as pointed out by the commenter, 40 CFR 63.1506(c)(1) of the
final rule now reads ``Design and install a system for the capture and
collection of emissions to meet the engineering standards for minimum
exhaust rates or inlet facial velocities as contained in the ACGIH
Guidelines.''
Comment: In a comment on the supplemental proposal, one commenter
stated that they concur with the flexibility that the EPA provides in
40 CFR 63.1510(d)(2)(ii) and (iii) to allow 5-year flow rate testing
measurements to supplant the annual testing requirement, if a pitot
tube and differential pressure gauge are installed and monitored in the
hooding (ii), or if fan RPM's are tracked and recorded (iii). The
commenter stated that, however, based on real world experience with the
flow verification of permanently installed hooding devices, there are
other options that should also be included that would provide the same
level of protectiveness; two options are:
Option 1. Install a pressure tap in the duct just above the hood
exit point, and monitor pressure similar to the pitot tube. The
commenter stated that this is simpler than a pitot tube installation,
less prone to clogging, and has been effectively used at an existing
location. According to the commenter, the signal will equal pressure
loss in the hood entrance plus velocity pressure in the duct, and
generally be proportional to the velocity in the duct squared. The
commenter stated that at 3,000 ft/min duct velocity it will be similar
to the pitot tube at approximately 0.70 inches water gauge, that
calibration of differential pressure readings can be done by EPA
Methods 1 and 2 flow testing, and that it is easier to install in a
duct since no straight run is required.
Option 2. If the hood has a straight face (i.e., booth type), face
velocity measurements could be made over the face of the hood and
averaged to determine velocity. Measured face velocity could be
compared to calculated data vs. EPA Methods 1 and 2 on a 5-year
frequency. The commenter provided the following comments on this
option:
No negative flow points should be observed, since this
will allow smoke to escape the hood.
This will not work for canopy or irregularly shaped hoods.
Low velocities require an appropriate measurement device.
Cannot be done while material is being loaded into hood.
The commenter requested that new paragraphs (iv) and (v) be added
to 40 CFR 63.1510(d)(2) for the inclusion of options 1 and 2 above.
In a comment on the supplemental proposal, one commenter objected
to the EPA's supplemental proposal to the extent that it only provides
two methods to measure flow to avoid annual inspection for permanently
installed capture, collection, and transport systems (i.e., hoods). The
commenter stated that Table 3 of the supplemental proposal allows a
source to delay annual inspections for capture devices to once every 5
years, if the source monitors flow through daily pressure differential
measurements or fan RPM measurements. The commenter stated that they
support the recommendations and rationale of the Aluminum Association
(TAA) to include additional flow monitoring alternatives to avoid
annual inspections, including installation of a pressure tube above
hood exit points, face velocity measurements (for straight face (booth
type) hoods) and by direct observation of smoke in the hood by a method
22 or similar test. The commenter stated that by including additional
flow-monitoring alternatives, the EPA would allow sources the option to
pick the most reliable and least burdensome flow monitoring method that
fits the type of hood used to capture emissions at the source.
In a comment on the supplemental proposal, one commenter stated
that the alternative to the annual capture/collection and closed vent
system inspection requirements at 40 CFR 63.1510(d)(2)(ii) is
unreasonably restrictive and should not be limited to using
conventional pitot tube and a differential pressure gauge equipment to
qualify for the once in 5 year alternative. The commenter recommended
that the EPA further amend 63.1510(d)(2) to permit the use of non-pitot
based flow measuring equipment and to permit volumetric flow
measurements to be automated using available software and hardware.
Response: The proposed alternatives of annual measurements of face
velocity for straight face (booth-type) hoods using a hot-wire
anemometer, or installation of a pressure tap in the duct just
downstream of the hood exit point,
[[Page 56732]]
and monitoring pressure, as suggested by the commenters, are
acceptable. We also agree that non-pitot based flow rate measuring
equipment (i.e., hotwire anemometer, ultrasonic flow meter, cross-duct
pressure differential sensor, venturi pressure differential monitoring
or orifice plate) equipped with an associated thermocouple and
automated data logging software and associated hardware is a sufficient
monitoring system for compliance with this rule. We are modifying the
rule language to accommodate these monitoring options.
4. What is the rationale for our final approach for flow rate
measurements and annual inspections of capture/collection systems?
Based on the rationale presented in the preamble to the 2012
proposed rule, the final rule codifies in subpart RRR our
interpretation that annual inspections of capture and collection
systems include flow rate measurements using EPA Reference Methods 1
and 2 in Appendix A to 40 CFR part 60. However, based on the public
comments regarding additional flow measurement technologies and our
responses to those comments presented in the previous section of this
preamble, the final rule also includes additional options that provide
more flexibility in how affected sources can verify the efficiency of
their capture/collection system.
F. Compliance Dates
1. What compliance dates did we propose?
In the 2012 proposal, the EPA proposed that owners or operators of
existing affected sources comply with the proposed amendments within 90
days of the publication of the final rule in the Federal Register.
Commenters stated that the proposed 90-day compliance deadline was
insufficient for sources to comply with certain provisions. They
maintained that the rule changes would require operational planning,
maintenance planning, reprogramming of data acquisition systems, design
and installation of hooding equipment and/or negotiations with
permitting authorities to gain performance test plan approvals (with
provisions to minimize fugitive emissions during testing in place of
capture hoods). They pointed out that facilities that choose to design
and install capture hoods for performance testing will need time to
design and complete these installations, conduct initial performance
testing and modify their operations, charge materials and/or products
to ensure compliance. Some rule changes, furnace classification
changes, HF testing and testing uncontrolled furnaces for example,
would require revisions to OM&M plans as well as to permits to include
newly established operating parameters in cases where changes to
furnace classifications are made. Commenters stated that compliance
with HF emission standards that may affect choice of flux materials,
daily calculation of HF emissions and compliance with SAPU limit that
will require reprogramming of data systems to include HF and/or
fluoride containing flux composition data would also require time to be
researched, selected, purchased, financed and installed. Commenters
suggested compliance deadlines ranging from 2 to 3 years.
In the 2014 supplemental proposal, the EPA agreed with commenters
that the proposed 90-day compliance deadline was insufficient for
sources to comply with certain proposed provisions and proposed
extended compliance periods. The EPA proposed a 180-day compliance
period for the revisions listed in 40 CFR 63.1501(d). For the
amendments to include HF emissions (in 40 CFR 63.1505(i)(4) and
(k)(2)), the testing of existing uncontrolled furnaces (Sec. Sec.
63.1512(e)(4), (e)(5), (e)(6) and (e)(7)), and changing furnace
classification (40 CFR 63.1514), the EPA proposed a compliance date of
2 years after promulgation.
2. What compliance dates changed since proposal?
As noted above, we adjusted some compliance dates in our
supplemental proposal. We received no comments or information following
the supplemental proposal that warranted any changes to the compliance
dates proposed in the supplemental proposal. As proposed, compliance
with the provisions listed in 40 CFR 63.1501(d) is required 180 days
following publication of the final rule while compliance with the
provisions listed in 40 CFR 63.1501(e) is required 2 years following
publication of the final rule.
3. What key comments did we receive related to compliance dates?
Comment: One commenter on the 2012 proposal agreed with the 180 day
time period for startup for new sources' initial performance tests.
However, the commenter stated that due to the integration of modern
facilities, running a regulated unit at full capacity may be affected
or constrained by downstream equipment, market constraints or other
technical issues beyond the control of the facility. The commenter
stated that the current provisions provide relief only through the
administrative order process, which is costly and arduous. The
commenter requested that the EPA include a provision to petition for an
extension of the deadline if a test is not feasible within the allowed
time period to allow time for the facility to reach full capacity.
Response: As proposed in the supplemental proposal, the final
amendments increase the time period for initial compliance testing for
a new source from 90 days to 180 days. The commenter did not provide
data or other specific documentation to support a conclusion that an
affected source cannot reach full capacity within 180 days of startup.
Comment: Two commenters on the 2012 proposal asked the EPA to
clarify in the rule that the new HF requirements are not effective
until ``the next scheduled performance test after the effective date of
the final rule.'' The commenters observed that in the proposal preamble
the HF testing requirement, and presumably the HF limit, was said to
become effective ``at the next scheduled performance test after the
effective date of the final rule.'' The commenters noted that the
regulatory language does not make this clear, as 40 CFR 63.1501 states
that owners or operators must comply with the HF limit and the HF
testing requirement within 90 days after promulgation.
In comments on the supplemental proposal, two commenters requested
that the EPA clarify that the intent of the proposed language is to not
require testing for HF on existing major source uncontrolled group 1
furnaces within 2 years of the final rule publication date but at the
next scheduled 5 year required stack test following publication of the
final rule.
One commenter on the 2014 supplemental proposal stated that they
interpret the proposed language of 40 CFR 63.1501(e) to indicate that
the effective date of the new HF standard and the new requirements for
testing existing uncontrolled group 1 furnaces is 2 years from final
rule promulgation and that they further understand that testing to
demonstrate compliance with the newly effective provisions can be done
on a timeline consistent with the existing 5-year performance testing
cycle established using the existing 40 CFR 63.1511(e) provision such
that the compliance demonstration is made at the next scheduled
performance test after the effective date of the final rule. The
commenter stated that this is true even if the next scheduled
performance test on the normal 5-year testing cycle is outside the 2-
year compliance
[[Page 56733]]
window. The commenter provided an example to illustrate their
interpretation of the compliance date requirements.
Two commenters suggested the following revision to 40 CFR
63.1512(e)(4):
``When testing an existing uncontrolled furnace, the owner or
operator must comply with the requirements of either paragraph
(e)(4)(i) or paragraph (ii) of this section at the next performance
test required by 40 CFR 63.1511(e).''
The commenters also requested clarification of when HF emissions
must be included in SAPU calculations. According to the commenters,
furnaces at some facilities are on different testing schedules, which
mean that some furnaces will become subject to the HF limit and HF SAPU
calculation before others. The commenters assumed each furnace would be
added to the HF SAPU calculation when tested, but the commenters
requested that the EPA clarify this in the final rule.
Response: Although the final rule is effective upon promulgation
pursuant to CAA section 112(d)(10), the commenters are correct that the
final rule requires HF testing at the next scheduled performance test
if the test occurs 2 years or more after the final rule is published in
the Federal Register. We clarified in the final rule that the HF
requirements apply to the next scheduled performance test if the next
scheduled performance test occurs 2 years or more after the final rule
is published in the Federal Register. The final rule also clearly
provides that each furnace will be added to the HF SAPU calculation
following the initial performance test for HF for the furnace, or for a
representative furnace tested, to determine HF emissions from the
furnace.
Comment: Several commenters on the 2012 proposal disagreed with the
proposed ninety-day compliance date. Two commenters stated that
requiring compliance only 90 days after promulgation is unnecessary and
does not provide sufficient time. One commenter suggested that due to
engineering and management constraints, the period be extended to 180
days, which would allow the industry to make necessary changes. The
commenter noted potential component lead-times and permitting
procedures outside of the control of operators. Another commenter
recommended 2 to 3 years for compliance, assuming the EPA promulgates
corrections and clarifications that require a compliance window.
Two commenters on the 2012 proposal maintained the rule changes
will require operational planning, maintenance planning, reprogramming
of data acquisition systems, design and installation of hooding
equipment and/or negotiations with permitting authorities to gain
performance test plan approvals (with provisions to minimize fugitive
emissions during testing in place of capture hoods). One commenter
stated that facilities that choose to design and install capture hoods
for performance testing will need time to design and complete these
installations, conduct initial performance testing and modify their
operations, charge materials and/or products to ensure compliance.
One commenter on the 2012 proposal stated that some facilities will
also need to prepare and submit revised OM&M plans that incorporate
changes related to bag leak detector maintenance, lime feeder
calibrations, metal liquid depth monitoring and/or procedures for
changing furnace classifications. The commenter noted that under the
proposed rule, these revised OM&M plans could not be implemented until
60 days after submittal to the permitting authority, meaning that
companies would effectively have only 30 days to define their
compliance approach and submit revised OM&M plans. The commenter
concluded that this 90-day compliance timeline is neither practicable
nor reasonable.
One commenter on the 2012 proposal recommended a minimum of one
year to implement the controls and reporting requirements. The
commenter stated that any new technology requirements or installation
of new or modification of existing emission controls would impose added
costs, and 90 days did not provide an adequate opportunity for
additions to be researched, selected, purchased, financed, and
installed. The commenter also stated that the Subpart ZZZZZZ rule
allowed two years and that would be preferable, but a period of no less
than twelve months would be fair and acceptable. The commenter also
suggested the same delay should apply to the development and filing of
a written OM&M plan.
One commenter on the 2012 proposal stated that the following
provisions cannot be met within 90 days due to the possible need for
ductwork revisions and further stack testing: Sec. Sec. 63.1505(a),
63.1505(i)(4), 63.1505(k), 63.1510(b), 63.1510(d)(2),
63.1510(o)(l)(ii), 63.1512(e)(l), 63.1512(e)(2), and 63.1512(e)(4). The
commenter stated it is not reasonable to begin work on these provisions
immediately since they will be subject to further comment and hopefully
significant revision in the final rule.
Two commenters on the 2012 proposal requested a 3-year compliance
timeline for the provisions that result in changes in operations and/or
operation practices, or impact control technology and monitoring
requirements at existing sources. One commenter stated that a 3-year
compliance date would allow smaller producers opportunity to budget for
large capital and resource costs. The commenters suggested a 3-year
compliance date for the following provisions:
Sec. 63.1505(a)(1), emission limits applicable to SSM
periods;
Sec. 63.1505(i)(4), compliance with HF emission standards
that may affect choice of flux materials;
Sec. 63.1505(k)(2), daily calculation of HF emissions and
compliance with SAPU limit that will require reprogramming of data
systems to include HF and/or fluoride containing flux composition data;
Sec. 63.1510(b)(5), procedures in OM&M plan for process
and control device parameters that require addition of lime injection
rates that may require new or modified equipment to determine rates or
calibrate lime mass feed rate and will require lime injection rate to
be established during next scheduled performance test; 63.1510(b)(5),
requirements and scope for capture/collection system inspections on
controlled emission units;
Sec. 63.1510(i)(4), monthly lime injection rate
verification that may require new or modified equipment to allow
verification of lime mass feed rate;
Sec. 63.1510(j)(4), recordkeeping (and associated
training of operating personnel) for solid flux added intermittently;
Sec. 63.1510(n)(1), monitoring molten metal level of
sidewell furnaces that will require selection, purchase, installation,
testing and maintenance procedures for new equipment;
Sec. 63.1512(e)(1) and (e)(4), deletes ``furnace exhaust
outlet'' as compliance basis and imposes new compliance demonstration
requirements for uncontrolled furnaces based on temporary capture
hoods, reduced emission limit equal to 67 percent of the existing
standard or procedures to minimize fugitive emissions during testing
negotiated with permitting authority;
Sec. 63.1512(p)(2), record lime injection rates during
the three test runs that will require lime injection rate to be
established during next scheduled performance test; some existing
systems do not have a viable means for weighing
[[Page 56734]]
mass rate of lime being injected and new or modified equipment will be
required;
Sec. 63.1513(e)(1), (e)(2), and (e)(3), co-controlled
units added to SAPU calculation that may require revision of OM&M plan
and reprogramming of data systems used to track and record SAPU
calculations; and
Sec. 63.1514, requirements for changing furnace
classifications which differ from those in current Title V permits, and
will need revision after owners and operators establish compliance
conditions and gather performance data.
One commenter on the 2012 proposal suggested that the effective
date for the revised 40 CFR 63.1511(b)(1) language would need to be
``at the next required performance test.'' The commenter asserted that
the proposed provision changes the required test conditions for some
operations and could not be met by the proposed effective date of 90
days.
One commenter on the 2012 proposal asserted that the EPA is not
required to impose the 90-day compliance period on area sources because
promulgation of section 112(f) standards is not required based on the
EPA's findings that the MIR for secondary aluminum area sources, based
on actual emissions, was 0.4-in-1 million. The commenter stated that
the EPA may grant up to a 3-year compliance deadline for area sources.
The commenter contended that, as a practical matter, the EPA should
provide a compliance period for area sources commensurate with the
several new administrative requirements for which more than 90 days are
required to achieve implementation. The commenter stated that, due to
the revisions required for facility operations and the time constraints
for revision and approval of an OM&M plan, the EPA should grant at
least a 1-year compliance period. The commenter described potential
time constraints.
In a comment on the 2014 supplemental proposal, one commenter
stated that compliance deadlines for new standards developed under the
section 112 program must be set for a date that is as expeditious as
practicable, but no later than 3 years after rule implementation. The
commenter stated that the EPA is not required to impose the 180-day
compliance period on area sources because promulgation of section
112(f) standards is not required when the residual cancer risk under
the existing MACT standards are not equal to or greater than 1-in-1
million. The commenter stated that because of the low MIR from area
sources (0.6-in-1 million), the EPA was not required to promulgate
standards under 112(f); accordingly, the EPA may grant up to a three-
year compliance deadline for area sources. The commenter stated that
the EPA should provide a compliance period for area sources that is
commensurate with the several new administrative and monitoring
requirements for which more than 180 days are required to achieve full
implementation. The commenter provided the following example to
illustrate the need for a longer compliance period: Additional
monitoring requirements for capture and collection systems proposed in
40 CFR 63.1510(d)(2) may require installation of flow rate or pressure
monitoring equipment; these changes, and others proposed in the 2012
proposal, may require submittal of a revised OM&M plan to the
permitting authority; among the revisions to the OM&M plan under the
2012 proposal are new requirements for the inspection of capture and
collection systems and additional performance testing requirements; the
owner or operator may not begin operating under this revised OM&M plan
until approval is received from the permitting authority, or 60 days,
whichever is sooner. The commenter stated that, even to the extent that
the 2012 proposal provides for default approval of OM&M plans after 60
days, this only leaves the source with 120 days to install monitoring
equipment and implement the plan; this time frame is inappropriate. The
commenter stated that, due to the revisions required for facility
operations and the time restraints for revision and approval of an OM&M
plan, the EPA should grant at least a 1-year compliance period.
Response: As discussed in the 2014 supplemental proposal, the EPA
agrees with the commenters on the 2012 proposal that the proposed 90-
day compliance deadline is insufficient for sources to comply with
certain provisions of the final rule and is finalizing extended
compliance periods. The final compliance dates are the same as those
proposed in the 2014 supplemental proposal, on which we received only
one comment. As these amendments clarify existing requirements, and
based on the lack of supporting information for the commenter's
conclusory assertion that 2 years is insufficient, we do not agree that
any of the revisions warrant an extension beyond 2 years to a 3-year
compliance period. Regarding the commenter's concern that small
producers would need 2 to 3 years to budget for large capital and
resource costs, we determined in our economic and small business
analysis (see section VI.C of this action) that 28 entities will incur
costs associated with this rule and, of the 28 entities, nine of them
are small based on the definition of the Small Business Administration.
Of these nine small businesses, all are estimated to experience a
negative cost (i.e., a cost savings) as a result of the final rule.
Therefore, we do not agree that more than a 2-year compliance period is
necessary.
As a result of comments on the 2012 proposal, the final rule does
not contain the 60-day approval period for OM&M plans. Therefore, the
industry will have the full 180 days for compliance rather than a 120-
day compliance period as was a concern of one commenter. The final rule
retains the 2-year compliance period for those requirements listed in
40 CFR 63.1501(e). The final rule does not change the requirement that
existing major sources conduct performance tests every 5 years.
The EPA disagrees that additional time is needed to comply with the
changes related to SSM. The Court issued a decision on December 19,
2008, to vacate SSM provisions in the General Provisions. Sierra Club
v. EPA, 551 F.3d 1019 (D.C. Cir. 2008). The EPA issued a letter on July
22, 2009, addressing the impact of the decision. The court mandate
implementing the Sierra Club decision was issued on October 16, 2009,
at which time the SSM provisions were clearly no longer in effect. As
explained in the July 2009 memo, SSM provisions in specific subparts,
such as those in Subpart RRR, were directly affected by the court
decision. In addition, amendments to Subpart RRR were proposed on
February 14, 2012, at which time secondary aluminum facilities were put
on notice of the specific amendments to Subpart RRR in response to the
Court's vacatur of the SSM provisions. Thus, facilities have had ample
notice that the EPA would make the SSM rule changes. As a result, the
SSM-related rule changes are effective upon promulgation of the final
rule. See also discussion in section III.C of this preamble.
Comment: Two commenters on the 2012 proposal requested changes to
the new hooding requirement in 40 CFR 63.1512(e)(4), requiring
compliance ``at the next required performance test'' even if the test
must be performed ``90 days from promulgation of the final rule''
[Sec. 63.1501(d)]. The commenters explained that this compliance
deadline may be acceptable for facilities that are not required to
conduct performance testing in the first few years following
[[Page 56735]]
promulgation of the final rule, but other facilities are on a testing
cycle that would require testing soon after promulgation and these
facilities may not have time to install hoods and/or modify operating
practices within the allotted 90 days. The commenters stated that
according to the NESHAP General Provisions, test protocols must be
submitted 60 days before a compliance test, so facilities required to
test early in 2013 would have as little as 30 days after the final rule
to address the new hooding requirements and other requirements of the
final rule before submitting a test plan. The commenters did not
believe that this timeline is practicable or reasonable. The commenters
requested the EPA to revise the compliance date for capture hoods on
uncontrolled furnaces (in Sec. 63.1512 (e)(4)) to say: ``three years
after the final promulgation date or at the next required performance
test, whichever date is later.''
Response: The EPA agrees with the commenters that the time
available for owners or operators of facilities with performance
testing required under 40 CFR 63.1512(e)(4) and occurring near the
proposed 90-day compliance deadline would be insufficient. As described
above, in the final rule the requirement to account for unmeasured
emissions during uncontrolled group 1 furnace performance testing
applies to testing beginning 2 years after publication of the final
rule in the Federal Register. Therefore, a source with their next
required performance test of an uncontrolled group 1 furnace occurring
at least 2 years after promulgation would have to comply with the
testing provisions in 40 CFR 63.1512(e)(4). A source with their next
required performance test of an uncontrolled group 1 furnace occurring
1 year (or any period less than 2 years) after promulgation would not
be required to do so until the subsequent performance test. As these
amendments clarify existing requirements, and based on the lack of
supporting information for the commenter's conclusory assertion that 2
years is insufficient, we do not agree that any of the revisions
warrant an extension beyond 2 years to a 3-year compliance period.
4. What is the rationale for our final approach related to compliance
dates?
The rationale for the compliance dates is provided in the preamble
to the supplemental proposal and is re-iterated in the responses to
comments in the previous section of this preamble. The final rule
specifies the compliance dates for the new requirements. Compliance
with the provisions listed in 40 CFR 63.1501(d) is required 180 days
following publication of the final rule. Rule changes specified in
Sec. 63.1501(e)--furnace classification changes, HF testing and
testing uncontrolled furnaces--require more time, and the final rule
provides 2 years following publication of the final rule for
compliance.
V. Summary of Cost, Environmental and Economic Impacts and Additional
Analyses Conducted
A. What are the affected sources?
We estimate that there are 161 secondary aluminum production
facilities that will be affected by this final rule. We performed risk
modeling for 155 of these sources (52 of the 53 major sources and 103
of the 108 area sources). Six facilities that are subject to the
Secondary Aluminum NESHAP were not included in the risk assessment
input modeling files. The facilities that were not included in the risk
assessment input files included one major HAP source and five area HAP
sources. The major HAP source was not included because the secondary
aluminum equipment at the source consists of group 2 furnaces, for
which the EPA did not have HAP emissions estimates. The five area
sources were not included because they had no equipment subject to D/F
emission standards, which are the only standards in the NESHAP
applicable to area sources. We estimate that nine secondary aluminum
facilities have co-located primary aluminum operations. The affected
sources at secondary aluminum production facilities include new and
existing scrap shredders, thermal chip dryers, scrap dryer/delacquering
kiln/decoating kilns, group 2 furnaces, sweat furnaces, dross-only
furnaces, rotary dross cooler and secondary aluminum processing units
containing group 1 furnaces and in-line fluxers.
B. What are the air quality impacts?
The RTR analysis conducted for this rule does not support
increasing the stringency of the numerical emissions limits. This final
rule clarifies how uncontrolled furnaces are to conduct emissions
testing, revises the monitoring requirements for annual inspection of
capture/collection systems and makes other changes that correct and
clarify rule requirements and provisions. These final amendments are
not expected to achieve appreciable reductions in emissions, although
the final requirements for testing uncontrolled furnaces could result
in some unquantifiable emission reduction. Therefore, no quantifiable
air quality impacts are expected. However, these final amendments will
help to improve compliance, monitoring and implementation of the rule.
C. What are the cost impacts?
The total cost of the final amendments are the same as we described
in the supplemental proposal. We conservatively estimate the total cost
of the final amendments to be $1,711,000 per year (in 2011 dollars).
However, depending on assumptions used for the costs for installing
temporary hooding for uncontrolled furnaces, the estimate of total
annualized costs could range from $611,000 to $2,871,000 per year. Our
estimate for the source category includes an annualized cost of
$1,200,000 to $3,460,000 for installing hooding that meets ACGIH
guidelines for testing uncontrolled furnaces, assuming that 107
furnaces choose that option (rather than assuming an 80-percent capture
efficiency for their existing furnace exhaust system). We believe that
a number of these 107 furnaces will choose to apply the 80-percent
assumption rather than install temporary hooding. Our estimates do not
include deductions for the exclusion of existing round top furnaces as
provided in the final rule. Therefore, these total cost estimates are
considered conservative (more likely to be overestimates rather than
underestimates) of the total costs to the industry. Our estimates of
total costs also include an annualized cost of $11,000 for testing for
HF on uncontrolled furnaces that are already testing for HCl. Finally,
we estimate cost savings of $600,000 per year for furnaces that change
furnace operating modes and turn off their control devices. Our
estimate of savings is based on 50 furnaces turning off their controls
for approximately 6 months every year. This savings reflects the cost
of testing (to demonstrate these furnaces remain in compliance with
emission limits) minus the savings realized from operating with the
control devices turned off.
We estimate that 57 facilities will be affected and that the cost
per facility ranges from negative $36,000 (a cost savings) per year for
a facility changing furnace operating modes to $216,500 per year for a
facility installing hooding for testing.
The estimated costs are explained further in the document titled,
Cost Estimate for Rule Changes to Secondary Aluminum NESHAP, which is
available in the docket for this action.
[[Page 56736]]
D. What are the economic impacts?
We performed an economic impact analysis for the amendments in this
final rule. This analysis estimates impacts based on using annualized
cost-to-sales ratios for affected firms. For the 28 parent firms
affected by this final rule, the cost-to-sales estimate for each parent
firm is less than 0.1 percent. For more information, please refer to
the document titled, Economic Impact Analysis for the Secondary
Aluminum Supplemental Proposal, which is available in the docket.
E. What are the benefits?
We do not anticipate any significant reductions in HAP emissions as
a result of these final amendments. However, we think that they will
help to improve the clarity of the rule, which can improve compliance
and minimize emissions. Certain provisions also provide operational
flexibility with no increase in HAP emissions.
F. What analysis of environmental justice did we conduct?
We did not conduct an assessment of risks to individual demographic
groups for this rulemaking. However, we did conduct a proximity
analysis for both area and major sources, which identifies any
overrepresentation of minority, low income or indigenous populations
near facilities in the source category. The results of the proximity
analyses suggested there are a higher percentage of minorities, people
with low income, and people without a high school diploma living near
these facilities (i.e., within 3 miles) compared to the national
averages for these subpopulations. However, the risks due to HAP
emissions from this source category are low for all populations (e.g.,
inhalation cancer risks are less than 1-in-1 million for all
populations and non-cancer HIs are less than 1). We note that we do not
expect this final rule to achieve reductions in HAP emissions. We
conclude that this 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. However, the final rule will
provide additional benefits to these and all demographic groups by
improving the compliance, monitoring and implementation of the NESHAP.
G. What analysis of children's environmental health did we conduct?
This action is not subject to Executive Order 13045 (62 FR 19885,
April 23, 1997) because it is not economically significant as defined
in Executive Order 12866, and because the Agency does not believe the
environmental health risks or safety risks addressed by this action
present a disproportionate risk to children. The risk assessment
report, Residual Risk Assessment for the Secondary Aluminum Production
Source Category in Support of the 2015 Risk and Technology Review Final
Rule, which is available in the docket, estimated that no one is
exposed to an inhalation cancer risk at or above 1-in-1 million or a
chronic noncancer TOSHI greater than one due to emissions from the
source category. The 2015 Environmental Justice Screening Report for
Secondary Aluminum Major Sources and the 2015 Environmental Justice
Screening Report for Secondary Aluminum Area Sources, also available in
the docket, indicate the percentages for all demographic groups exposed
to various risk levels, including children, are similar to their
respective nationwide percentages. All groups are exposed to cancer
risks below 1-in-1 million and HIs less than 1 due to inhalation
exposure to HAP emissions from this source category.
VI. Statutory and Executive Order Reviews
Additional information about these statutes and Executive Orders
can be found at https://www2.epa.gov/laws-regulations/laws-and-executive-orders.
A. Executive Orders 12866: Regulatory Planning and Review and Executive
Order 13563: Improving Regulation and Regulatory Review
This action is not a significant regulatory action and was
therefore not submitted to the Office of Management and Budget (OMB)
for review.
B. Paperwork Reduction Act (PRA)
The information collection requirements in this rule have been
submitted for approval to the OMB under the Paperwork Reduction Act, 44
U.S.C. 3501 et seq. The information collection requirements are not
enforceable until OMB approves them.
We are establishing new paperwork requirements for the Secondary
Aluminum Production source category to improve enforcement of and
compliance with 40 CFR part 63, subpart RRR. The new requirements are
in the form of recordkeeping and reporting for furnace classification
changes and recordkeeping with regard to verification of lime injection
rates. New monitoring requirements include testing for HF, and testing
related to furnace classification changes. The information requirements
are based on notification, recordkeeping, and reporting requirements in
the NESHAP General Provisions (40 CFR part 63, subpart A), which
generally apply to all operators subject to Part 63 national emissions
standards. These recordkeeping and reporting requirements are
specifically authorized by CAA section 114 (42 U.S.C. 7414). All
information submitted to the EPA pursuant to the recordkeeping and
reporting requirements for which a claim of confidentiality is made is
safeguarded according to agency policies set forth in 40 CFR part 2,
subpart B.
We estimate 161 regulated entities are currently subject to Subpart
RRR. The annual monitoring, reporting and recordkeeping burden for this
collection (averaged over the first 3 years after the effective date of
the rule) for these amendments to Subpart RRR is estimated to be
$2,990,000 per year. This includes 1,694 labor hours per year at a
total labor cost of $162,000 per year, and total non-labor capital and
operation and maintenance (O&M) costs of $2,828,000 per year. The total
burden for the federal government (averaged over the first 3 years
after the effective date of the rule) is estimated to be 271 labor
hours per year at an annual cost of $12,231. Burden is defined at 5 CFR
1320.3(b).
An agency may not conduct or sponsor, and a person is not required
to respond to, a collection of information unless it displays a
currently valid OMB control number. The OMB control numbers for the
EPA's regulations in 40 CFR are listed in 40 CFR part 9. When this ICR
is approved by OMB, the Agency will publish a technical amendment to 40
CFR part 9 in the Federal Register to display the OMB control number
for the approved information collection requirements contained in this
final rule.
C. Regulatory Flexibility Act (RFA)
I certify that this action will not have a significant economic
impact on a substantial number of small entities under the RFA. The
small entities subject to the requirements of this action are small
businesses. We determined in the economic and small business analysis
that, using the results from the cost memorandum, 28 entities will
incur costs associated with the final rule. Of these 28 entities, nine
of them are small. Of these nine, all of them are estimated to
experience a negative cost (i.e., a cost savings) as a result of the
final rule according to our analysis. For more information, please
refer to the Economic Impact Analysis for the Secondary Aluminum
Supplemental
[[Page 56737]]
Proposal, which is available in the docket.
D. Unfunded Mandates Reform Act (UMRA)
This action does not contain an unfunded mandate of $100 million or
more as described in UMRA, 2 U.S.C. 1531-1538, and does not
significantly or uniquely affect small governments.
E. Executive Order 13132: Federalism
This action does not have federalism implications. It will not have
substantial direct effects on the states, on the relationship between
the national government and the states, or on the distribution of power
and responsibilities among the various levels of government.
F. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
This action does not have tribal implications, as specified in
Executive Order 13175. There are no secondary aluminum production
facilities owned or operated by tribal governments. Thus, Executive
Order 13175 does not apply to this action.
G. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
This action is not subject to Executive Order 13045 because it is
not economically significant as defined in Executive Order 12866, and
because the EPA does not believe the environmental health or safety
risks addressed by this action present a disproportionate risk to
children. This action's health and risk assessments are contained in
the Residual Risk Assessment for the Secondary Aluminum Production
Source Category in Support of the 2015 Risk and Technology Review Final
Rule, which is available in the docket for this action, and are
discussed in section V.G of this preamble.
H. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution or Use
This action is not subject to Executive Order 13211 because it is
not a significant regulatory action under Executive Order 12866.
I. National Technology Transfer and Advancement Act (NTTAA) and 1 CFR
Part 51
This final action involves technical standards. The EPA decided to
allow the use of ASTM D7520-13, Standard Test Method for Determining
the Opacity of a Plume in an Outdoor Ambient Atmosphere, approved
December 1, 2013, as an acceptable alternative to EPA Method 9 to meet
opacity measurement requirements and is incorporated by reference. The
alternative ASTM method determines the opacity of a plume using digital
imagery and associated hardware and software. The standard is available
from the American Society for Testing and Materials (ASTM), 100 Barr
Harbor Drive, Post Office Box C700, West Conshohocken, PA 19428-2959 or
at their Web site, https://www.astm.org.
Under the original 2000 subpart RRR, the EPA already allows the use
of EPA Methods 1, 2, 3, 4, 5, 9, 23, 25A and 26A of 40 CFR part 60,
Appendix A. As a result of comments received on the 2012 proposal, EPA
Method 26 was identified as a reasonable alternative to EPA Method 26A
and EPA Method 204 was identified as a reasonable alternative method
for EPA Methods 1 and 2. Method 26A is applicable for determining
emissions of hydrogen halides and halogens from stationary sources.
This method collects the emission sample isokinetically and is
therefore particularly suited for sampling at sources, such as those
controlled by wet scrubbers, emitting acid particulate matter. Method
204 is used to determine whether a permanent or temporary enclosure
meets the criteria for a total enclosure. In this method, an enclosure
is evaluated against a set of criteria, which, if met and all the
exhaust gases from the enclosure are ducted to a control device, the
capture efficiency is assumed to be 100 percent. The EPA agrees that
EPA Methods 26 and 204 are acceptable alternatives for use in this
rule. These methods are existing EPA test methods and are not voluntary
consensus standards under NTTAA.
EPA-625/3-89-016, Interim Procedures for Estimating Risks
Associated with Exposures to Mixtures of Chlorinated Dibenzo-p-Dioxins
and -Dibenzofurans (CDDs and CDFs) and 1989 Update, March 1989, U.S.
Environmental Protection Agency, is a procedure for assessing the risks
associated with exposures to complex mixtures of chlorinated dibenzo-p-
dioxins and dibenzofurnas and relates the toxicity of the 210
structurally related chemical pollutants and is based on a limited data
base of in vivo and in vitro toxicity testing. This method is
incorporated by reference. The method is available from the National
Technical Information Service, 5301 Shawnee Road, Alexandria, VA 22312,
or at their Web site, https://www.ntis.gov.
For the design and installation of capture and collection systems,
the EPA decided to allow the use of American Conference of Governmental
Industrial Hygienists (ACGIH) Industrial Ventilation: A Manual of
Recommended Practice for Design, 27th Edition, 2010 as an alternative
to Industrial Ventilation: A Manual of Recommended Practice, 23rd
Edition, 1998, Chapter 3, ``Local Exhaust Hoods'' and Chapter 5,
``Exhaust System Design Procedure.'' The manuals present information on
design, maintenance and evaluation of industrial exhaust ventilation
systems. The manuals are available from ACGIH, Customer Service
Department, 1330 Kemper Meadow Drive, Cincinnati, Ohio 45240, telephone
number (513) 742-2020.
Under 40 CFR 63.7(f) and 40 CFR 63.8(f) of subpart A of the General
Provisions, a source may apply to the EPA for permission to use
alternative test methods or alternative monitoring requirements in
place of any required testing methods, performance specifications, or
procedures in this final rule.
J. Executive Order 12898: Federal Actions To Address Environmental
Justice in Minority Populations and Low-Income Populations
The EPA believes the human health or environmental risk addressed
by this action will not have potential disproportionately high and
adverse human health or environmental effects on minority, low income,
or indigenous populations because it does not affect the level of
protection provided to human health or the environment. This final rule
will not relax the emission limits on regulated sources and will not
result in emissions increases. The results of this evaluation are
contained in sections III.A, IV.A and V.F and V.G of this preamble.
Because our residual risk assessment determined that there was
minimal residual risk associated with the emissions from facilities in
this source category, a demographic risk analysis was not necessary for
this category. However, the EPA did conduct a proximity analysis for
both area and major sources. The results of these analyses are
summarized in section IV.A of this preamble and in more detail in the
EJ Screening Report for Area Sources and the EJ Screening Report for
Major Sources, which are available in the docket for this rulemaking.
K. Congressional Review Act (CRA)
This action is subject to the CRA, and the EPA will submit a rule
report to each House of the Congress and to the Comptroller General of
the United
[[Page 56738]]
States. This action is not a ``major rule'' as defined by 5 U.S.C.
804(2).
List of Subjects in 40 CFR Part 63
Environmental protection, Administrative practice and procedures,
Air pollution control, Hazardous substances, Incorporation by
reference, Intergovernmental relations, Reporting and recordkeeping
requirements.
Dated: August 14, 2015.
Gina McCarthy,
Administrator.
For the reasons stated in the preamble, the Environmental
Protection Agency is amending title 40, chapter I, part 63 of the Code
of Federal Regulations (CFR) as follows:
PART 63--NATIONAL EMISSION STANDARDS FOR HAZARDOUS AIR POLLUTANTS
FOR SOURCE CATEGORIES
0
1. The authority citation for part 63 continues to read as follows:
Authority: 42 U.S.C. 7401, et seq.
Subpart A--General Provisions
0
2. Section 63.14 is amended by:
0
a. Redesignating paragraphs (b) through (r) as (c) through (s);
0
b. Adding new paragraph (b);
0
c. Revising newly redesignated paragraph (h)(87);
0
d. Redesignating newly redesignated paragraphs (m)(3) through (m)(20)
as (m)(4) through (m)(21); and
0
e. Adding new paragraph (m)(3).
The additions and revisions read as follows:
Sec. 63.14 Incorporations by reference.
* * * * *
(b) American Conference of Governmental Industrial Hygienists
(ACGIH), Customer Service Department, 1330 Kemper Meadow Drive,
Cincinnati, Ohio 45240, telephone number (513) 742-2020.
(1) Industrial Ventilation: A Manual of Recommended Practice, 23rd
Edition, 1998, Chapter 3, ``Local Exhaust Hoods'' and Chapter 5,
``Exhaust System Design Procedure.'' IBR approved for Sec. Sec.
63.1503, 63.1506(c), 63.1512(e), Table 2 to Subpart RRR, Table 3 to
Subpart RRR, and Appendix A to Subpart RRR.
(2) Industrial Ventilation: A Manual of Recommended Practice for
Design, 27th Edition, 2010. IBR approved for Sec. Sec. 63.1503,
63.1506(c), 63.1512(e), Table 2 to Subpart RRR, Table 3 to Subpart RRR,
and Appendix A to Subpart RRR.
* * * * *
(h) * * *
(87) ASTM D7520-13, Standard Test Method for Determining the
Opacity of a Plume in an Outdoor Ambient Atmosphere, approved December
1, 2013. IBR approved for Sec. Sec. 63.1510(f), 63.1511(d),
63.1512(a), 63.1517(b) and 63.1625(b).
* * * * *
(m) * * *
(3) EPA-625/3-89-016, Interim Procedures for Estimating Risks
Associated with Exposures to Mixtures of Chlorinated Dibenzo-p-Dioxins
and -Dibenzofurans (CDDs and CDFs) and 1989 Update, March 1989. IBR
approved for Sec. 63.1513(d).
* * * * *
Subpart RRR--National Emission Standards for Hazardous Air
Pollutants for Secondary Aluminum Production
0
3. Revise Sec. 63.1501 to read as follows:
Sec. 63.1501 Dates.
(a) An affected source constructed before February 11, 1999, must
comply with the requirements of this subpart by March 24, 2003, except
as provided in paragraphs (b) and (c).
(b) The owner or operator of an affected source constructed before
February 14, 2012, must comply with the following requirements of this
subpart by March 16, 2016: Sec. 63.1505(k) introductory text, (k)(1)
through (k)(5), other than the emission standards for HF in (k)(2);
Sec. 63.1506 (a)(1), (c)(1), (g)(5), (k)(3), (m)(4), (m)(7), (n)(1);
Sec. 63.1510 (b)(5), (b)(9), (d)(2), (d)(3),(f)(1)(ii), (i)(4),
(j)(4), (n)(1), (o)(1), (o)(1)(ii), (s)(2)(iv), (t) introductory text,
(t)(2)(i), (t)(2)(ii), (t)(4), (t)(5); Sec. 63.1511(a) introductory
text, (b) introductory text, (b)(1), (b)(3), (b)(6), (c)(9), (g)(5);
Sec. 63.1512(e)(1), (e)(2), (e)(3), (h)(2), (j), (j)(1)(i), (j)(2)(i),
(o) introductory text, (o)(1), (o)(3), (p)(2); Sec. 63.1513 (b)(1),
(e)(1), (e)(2), (e)(3), (f); Sec. 63.1516 (b) introductory text,
(b)(2)(vii), (b)(3)(i); Sec. 63.1517(b)(1)(iii), (b)(4)(ii), (b)(14),
(b)(19).
(c) The owner or operator of an affected source constructed before
February 14, 2012, must comply with the following requirements of this
subpart by September 18, 2017: Sec. 63.1505(i)(4) and (k)(2) emission
standards for HF; Sec. 63.1512(e)(4) through (7) requirements for
testing existing uncontrolled group 1 furnaces (that is, group 1
furnaces without add-on air pollution control devices); and Sec.
63.1514 requirements for change of furnace classification.
(d) An affected source that commenced construction or
reconstruction after February 11, 1999 but before February 14, 2012
must comply with the requirements of this subpart by March 24, 2000 or
upon startup, whichever is later, except as provided in paragraphs (b),
(c), (e), and (f) of this section.
(e) The owner or operator of an affected source that commences
construction or reconstruction after February 14, 2012, must comply
with all the requirements of this subpart by September 18, 2015 or upon
startup, whichever is later.
(f) The owner or operator of any affected source which is
constructed or reconstructed after February 11, 1999, but before
February 14, 2012 at any existing aluminum die casting facility,
aluminum foundry, or aluminum extrusion facility which otherwise meets
the applicability criteria set forth in Sec. 63.1500 must comply with
the requirements of this subpart by March 24, 2003 or upon startup,
whichever is later, except as provided in paragraphs (b) and (c) of
this section. The owner or operator of any affected source which is
constructed or reconstructed after February 14, 2012, at any existing
aluminum die casting facility, aluminum foundry, or aluminum extrusion
facility which otherwise meets the applicability criteria set forth in
Sec. 63.1500 must comply with the requirements by September 18, 2015
or upon startup, whichever is later.
Sec. 63.1502 [Removed and Reserved]
0
4. Remove and reserve Sec. 63.1502.
0
5. Section 63.1503 is amended by:
0
a. Adding in alphabetical order a definition of ``ACGIH Guidelines'';
0
b. Revising the definition of ``aluminum scrap shredder'';
0
c. Adding in alphabetical order definitions of ``bale breaker'' and
``capture and collection system'';
0
d. Revising the definitions of ``clean charge,'' ``cover flux,''
``Group 2 furnace,'' and ``HCl'';
0
e. Adding in alphabetical order a definition of ``HF'';
0
f. Revising the definition of ``residence time'';
0
g. Adding in alphabetical order a definition of ``round top furnace'';
0
h. Revising the definitions of ``scrap dryer/delacquering kiln/
decoating kiln'' and ``secondary aluminum processing unit (SAPU)''; and
0
i. Adding in alphabetical order definitions of ``shutdown,''
``startup,'' ``tap,'' and ``total reactive fluorine flux injection
rate''.
The additions and revisions read as follows:
Sec. 63.1503 Definitions.
* * * * *
ACGIH Guidelines means chapters 3 and 5 of Industrial Ventilation:
A Manual of Recommended Practice 23rd
[[Page 56739]]
edition or appropriate chapters of Industrial Ventilation: A Manual of
Recommended Practice for Design 27th edition (incorporated by
reference, see Sec. 63.14).
* * * * *
Aluminum scrap shredder means a high speed or low speed unit that
crushes, grinds, granulates, shears or breaks aluminum scrap into a
more uniform size prior to processing or charging to a scrap dryer/
delacquering kiln/decoating kiln, or furnace. A bale breaker is not an
aluminum scrap shredder. Shearing and cutting operations performed at
rolling mills and aluminum finishing operations (such as slitters) are
not aluminum scrap shredders.
* * * * *
Bale breaker means a device used to break apart a bale of aluminum
scrap for further processing. Bale breakers are not used to crush,
grind, granulate, shear or break aluminum scrap into more uniform size
pieces.
* * * * *
Capture and collection system means the system, including duct
systems and fans, and, in some cases, hoods, used to collect a
contaminant at or near its source, and for affected sources equipped
with an air pollution control device, transport the contaminated air to
the air cleaning device.
* * * * *
Clean charge means furnace charge materials, including molten
aluminum; T-bar; sow; ingot; billet; pig; alloying elements; aluminum
scrap known by the owner or operator to be entirely free of paints,
coatings, and lubricants; uncoated/unpainted aluminum chips that have
been thermally dried or treated by a centrifugal cleaner; aluminum
scrap dried at 343 [deg]C (650[emsp14][deg]F) or higher; aluminum scrap
delacquered/decoated at 482 [deg]C (900[emsp14][deg]F) or higher; and
runaround scrap. Anodized aluminum that contains dyes or sealants
containing organic compounds is not clean charge.
Cover flux means salt added to the surface of molten aluminum in a
group 1 or group 2 furnace, without surface agitation of the molten
aluminum, for the purpose of preventing oxidation. Any flux added to a
rotary furnace is not a cover flux.
* * * * *
Group 2 furnace means a furnace of any design that melts, holds, or
processes only clean charge and that performs no fluxing or performs
fluxing using only nonreactive, non-HAP-containing/non-HAP-generating
gases or agents. Unheated pots, to which no flux is added and that are
used to transport metal, are not furnaces.
HCl means hydrogen chloride.
HF means hydrogen fluoride.
* * * * *
Residence time means, for an afterburner, the duration of time
required for gases to pass through the afterburner combustion zone.
Residence time is calculated by dividing the afterburner combustion
zone volume in cubic feet by the volumetric flow rate of the gas stream
in actual cubic feet per second. The combustion zone volume includes
the reaction chamber of the afterburner in which the waste gas stream
is exposed to the direct combustion flame and the complete refractory
lined portion of the furnace stack up to the measurement thermocouple.
* * * * *
Round top furnace means a cylindrically-shaped reverberatory
furnace that has a top that is removed for charging and other furnace
operations.
* * * * *
Scrap dryer/delacquering kiln/decoating kiln means a unit used
primarily to remove various organic contaminants such as oil, paint,
lacquer, ink, plastic, and/or rubber from aluminum scrap (including
used beverage containers) prior to melting, or that separates aluminum
foil from paper and plastic in scrap.
Secondary aluminum processing unit (SAPU). An existing SAPU means
all existing group 1 furnaces and all existing in-line fluxers within a
secondary aluminum production facility. Each existing group 1 furnace
or existing in-line fluxer is considered an emission unit within a
secondary aluminum processing unit. A new SAPU means any combination of
individual group 1 furnaces and in-line fluxers within a secondary
aluminum processing facility which either were constructed or
reconstructed after February 11, 1999, or have been permanently
redesignated as new emission units pursuant to Sec. 63.1505(k)(6).
Each of the group 1 furnaces or in-line fluxers within a new SAPU is
considered an emission unit within that secondary aluminum processing
unit. A secondary aluminum production facility may have more than one
new SAPU.
* * * * *
Shutdown means the period of operation for thermal chip dryers,
scrap dryers/delacquering kilns, decoating kilns, dross-only furnaces,
group 1 furnaces, in-line fluxers, sweat furnaces and group 2 furnaces
that begins when the introduction of feed/charge is intentionally
halted, the source of heat to the emissions unit is turned off, and
product has been removed from the emission unit to the greatest extent
practicable (e.g., by tapping a furnace). Shutdown ends when the
emission unit is near ambient temperature.
* * * * *
Startup means the period of operation for thermal chip dryers,
scrap dryers/delacquering kilns, decoating kilns, dross-only furnaces,
group 1 furnaces, in-line fluxers, sweat furnaces and group 2 furnaces
that begins with equipment warming from a shutdown, that is, the
equipment is at or near ambient temperature. Startup ends at the point
that flux or feed/charge is introduced.
* * * * *
Tap means the end of an operating cycle of any individual furnace
when processed molten aluminum is poured from that furnace.
* * * * *
Total reactive fluorine flux injection rate means the sum of the
total weight of fluorine in the gaseous or liquid reactive flux added
to an uncontrolled group 1 furnace, and the total weight of fluorine in
the solid reactive flux added to an uncontrolled group 1 furnace,
divided by the total weight of feed/charge, as determined by the
procedure in Sec. 63.1512(o).
0
6. Section 63.1505 is amended by revising paragraphs (a), (i)(4), (k)
introductory text, (k)(1) through (3), and (k)(6) to read as follows:
Sec. 63.1505 Emission standards for affected sources and emission
units.
(a) Summary. The owner or operator of a new or existing affected
source must comply at all times with each applicable limit in this
section, including periods of startup and shutdown. Table 1 to this
subpart summarizes the emission standards for each type of source.
* * * * *
(i) * * *
(4) 0.20 kg of HF per Mg (0.40 lb of HF per ton) of feed/charge
from an uncontrolled group 1 furnace and 0.20 kg of HCl per Mg (0.40 lb
of HCl per ton) of feed/charge or, if the furnace is equipped with an
add-on air pollution control device, 10 percent of the uncontrolled HCl
emissions, by weight, for a group 1 furnace at a secondary aluminum
production facility that is a major source.
* * * * *
(k) Secondary aluminum processing unit. The owner or operator must
comply with the emission limits
[[Page 56740]]
calculated using the equations for PM, HCl and HF in paragraphs (k)(1)
and (2) of this section for each secondary aluminum processing unit at
a secondary aluminum production facility that is a major source. The
owner or operator must comply with the emission limit calculated using
the equation for D/F in paragraph (k)(3) of this section for each
secondary aluminum processing unit at a secondary aluminum production
facility that is a major or area source.
(1) The owner or operator must not discharge or allow to be
discharged to the atmosphere any 3-day, 24-hour rolling average
emissions of PM in excess of:
[GRAPHIC] [TIFF OMITTED] TR18SE15.007
Where:
LtiPM = The PM emission limit for individual emission
unit i in paragraph (i)(1) and (2) of this section for a group 1
furnace or in paragraph (j)(2) of this section for an in-line
fluxer;
Tti = The mass of feed/charge for 24 hours for individual
emission unit i; and
LcPM = The daily PM emission limit for the secondary
aluminum processing unit which is used to calculate the 3-day, 24-
hour PM emission limit applicable to the SAPU.
Note: In-line fluxers using no reactive flux materials cannot be
included in this calculation since they are not subject to the PM
limit.
(2) The owner or operator must not discharge or allow to be
discharged to the atmosphere any 3-day, 24-hour rolling average
emissions of HCl or HF in excess of:
[GRAPHIC] [TIFF OMITTED] TR18SE15.008
Where:
LtiHCl/HF = The HCl emission limit for individual
emission unit i in paragraph (i)(4) of this section for a group 1
furnace or in paragraph (j)(1) of this section for an in-line
fluxer; or the HF emission limit for individual emission unit i in
paragraph (i)(4) of this section for an uncontrolled group 1
furnace; and
LcHCl/HF = The daily HCl or HF emission limit for the
secondary aluminum processing unit which is used to calculate the 3-
day, 24-hour HCl or HF emission limit applicable to the SAPU.
Note: Only uncontrolled group 1 furnaces are included in this HF
limit calculation. In-line fluxers using no reactive flux materials
cannot be included in this calculation since they are not subject to
the HCl or HF limit.
(3) The owner or operator must not discharge or allow to be
discharged to the atmosphere any 3-day, 24-hour rolling average
emissions of D/F in excess of:
[GRAPHIC] [TIFF OMITTED] TR18SE15.009
Where:
LtiD/F = The D/F emission limit for individual emission
unit i in paragraph (i)(3) of this section for a group 1 furnace;
and
LcD/F = The daily D/F emission limit for the secondary
aluminum processing unit which is used to calculate the 3-day, 24-
hour D/F emission limit applicable to the SAPU.
Note: Clean charge furnaces cannot be included in this
calculation since they are not subject to the D/F limit.
* * * * *
(6) With the prior approval of the permitting authority for major
sources, or the Administrator for area sources, an owner or operator
may redesignate any existing group 1 furnace or in-line fluxer at a
secondary aluminum production facility as a new emission unit. Any
emission unit so redesignated may thereafter be included in a new SAPU
at that facility. Any such redesignation will be solely for the purpose
of this NESHAP and will be irreversible.
0
7. Section 63.1506 is amended by:
0
a. Revising paragraph (a)(1);
0
b. Adding paragraph (a)(5);
0
c. Revising paragraph (c)(1);
0
d. Adding paragraph (c)(4);
0
e. Revising paragraphs (g)(5), (k)(3), and (m)(4);
0
f. Adding paragraph (m)(7); and
0
g. Revising paragraph (n)(1).
The additions and revisions read as follows:
Sec. 63.1506 Operating requirements.
(a) Summary. (1) The owner or operator must operate all new and
existing affected sources and control equipment according to the
requirements in this section. The affected sources, and their
associated control equipment, listed in Sec. 63.1500(c)(1) through (4)
of this subpart that are located at a secondary aluminum production
facility that is an area source are subject to the operating
requirements of paragraphs (b), (c), (d),
[[Page 56741]]
(f), (g), (h), (m), (n), and (p) of this section.
* * * * *
(5) At all times, the owner or operator must operate and maintain
any affected source, including associated air pollution control
equipment and monitoring equipment, in a manner consistent with safety
and good air pollution control practices for minimizing emissions.
Determination of whether such operation and maintenance procedures are
being used will be based on information available to the Administrator
which may include, but is not limited to, monitoring results, review of
operation and maintenance procedures, review of operation and
maintenance records, and inspection of the source.
* * * * *
(c) * * *
(1) Design and install a system for the capture and collection of
emissions to meet the engineering standards for minimum exhaust rates
or facial inlet velocities as contained in the ACGIH Guidelines
(incorporated by reference, see Sec. 63.14);
* * * * *
(4) In lieu of paragraph (c)(1) of this section, the owner or
operator of a sweat furnace may design, install and operate each sweat
furnace in accordance with paragraphs (c)(4)(i) through (iii) of this
section.
(i) As demonstrated by an annual negative air flow test conducted
in accordance with Sec. 63.1510(d)(3), air flow must be into the sweat
furnace or towards the plane of the sweat furnace opening.
(ii) The owner or operator must maintain and operate the sweat
furnace in a manner consistent with the good practices requirements for
minimizing emissions, including unmeasured emissions, in paragraph
(a)(5) of this section. Procedures that will minimize unmeasured
emissions may include, but are not limited to the following:
(A) Increasing the exhaust rate from the furnace with draft fans,
so as to capture emissions that might otherwise escape from the sweat
furnace opening;
(B) Minimizing the time the sweat furnace doors are open;
(C) Keeping building doors and other openings closed to the
greatest extent possible to minimize drafts that would divert emissions
from being drawn into the sweat furnace;
(D) Maintaining burners on low-fire or pilot operation while the
doors are open;
(E) Conducting periodic inspections and maintenance of sweat
furnace components to ensure their proper operation and performance
including but not limited to, door assemblies, seals, combustion
chamber refractory material, afterburner and stack refractory, blowers,
fans, dampers, burner tubes, door raise cables, pilot light assemblies,
baffles, sweat furnace and afterburner shells and other internal
structures.
(iii) The owner or operator must document in their operation,
maintenance, and monitoring (OM&M) plan the procedures to be used to
minimize emissions, including unmeasured emissions, in addition to the
procedures to ensure the proper operation and maintenance of the sweat
furnace.
* * * * *
(g) * * *
(5) For a continuous injection device, maintain free-flowing lime
in the hopper to the feed device at all times and maintain the lime
feeder setting at or above the level established during the performance
test.
* * * * *
(k) * * *
(3) For a continuous injection system, maintain free-flowing lime
in the hopper to the feed device at all times and maintain the lime
feeder setting at or above the level established during the performance
test.
* * * * *
(m) * * *
(4) For a continuous lime injection system, maintain free-flowing
lime in the hopper to the feed device at all times and maintain the
lime feeder setting at or above the level established during the
performance test.
* * * * *
(7) The operation of capture/collection systems and control devices
associated with natural gas-fired, propane-fired or electrically heated
group 1 furnaces that will be idled for at least 24 hours after the
furnace cycle has been completed may be temporarily stopped. Operation
of these capture/collection systems and control devices must be
restarted before feed/charge, flux or alloying materials are added to
the furnace.
(n) * * *
(1) Maintain the total reactive chlorine flux injection rate and
fluorine flux injection rate for each operating cycle or time period
used in the performance test, at or below the average rate established
during the performance test.
* * * * *
0
8. Section 63.1510 is amended by:
0
a. Revising paragraphs (a), (b) introductory text, and (b)(5);
0
b. Adding paragraph (b)(9);
0
c. Revising paragraph (d)(2) introductory text;
0
d. Adding paragraphs (d)(2)(i) through (iv) and (d)(3);
0
e. Revising paragraphs (e) and (f)(1)(ii);
0
f. Adding paragraph (f)(4);
0
g. Revising paragraph (i)(3);
0
h. Adding paragraph (i)(4);
0
i. Revising paragraphs (j)(1)(ii), (j)(4), (n)(1) and (2), (o)(1),
(s)(2)(iv), (s)(3), and (t) introductory text;
0
j. Adding paragraphs (t)(2)(i) through (iii); and
0
k. Revising paragraphs (t)(4) and (5).
The additions and revisions read as follows:
Sec. 63.1510 Monitoring requirements.
(a) Summary. The owner or operator of a new or existing affected
source or emission unit must monitor all control equipment and
processes according to the requirements in this section. Monitoring
requirements for each type of affected source and emission unit are
summarized in Table 3 to this subpart. Area sources are subject to
monitoring requirements for those affected sources listed in Sec.
63.1500(c)(1) through (4) of this subpart, and associated control
equipment as required by paragraphs (b) through (k), (n) through (q),
and (s) through (w) of this section, including but not limited to:
(1) The OM&M plan required in paragraph (b) of this section
pertaining to each affected source listed in Sec. 63.1500(c)(1)
through (4) of this subpart,
(2) The labeling requirements described in paragraph (c) of this
section pertaining to group 1 furnaces processing other than clean
charge, and scrap dryer/delacquering kiln/decoating kilns,
(3) The requirements for capture and collection described in
paragraph (d) of this section for each controlled affected source
(i.e., affected sources with an add-on air pollution control device),
listed in Sec. 63.1500(c)(1) through (4) of this subpart,
(4) The feed/charge weight monitoring requirements described in
paragraph (e) of this section applicable to group 1 furnaces processing
other than clean charge, scrap dryer/delacquering kiln/decoating kilns
and thermal chip dryers,
(5) The bag leak detection system requirements described in
paragraph (f) of this section applicable to all bag leak detection
systems installed on fabric filters and lime injected fabric filters
used to control each affected source listed in Sec. 63.1500(c)(1)-(4)
of this subpart,
(6) The requirements for afterburners described in paragraph (g) of
this
[[Page 56742]]
section applicable to sweat furnaces, thermal chip dryers, and scrap
dryer/delacquering kiln/decoating kilns,
(7) The requirements for monitoring fabric filter inlet temperature
described in paragraph (h) of this section for all lime injected fabric
filters used to control group 1 furnaces processing other than clean
charge, sweat furnaces and scrap dryer/delacquering kiln/decoating
kilns,
(8) The requirements for monitoring lime injection described in
paragraph (i) of this section applicable to all lime injected fabric
filters used to control emissions from group 1 furnaces processing
other than clean charge, thermal chip dryers, sweat furnaces and scrap
dryer/delacquering kiln/decoating kilns,
(9) The requirements for monitoring total reactive flux injection
described in paragraph (j) of this section for all group 1 furnaces
processing other than clean charge,
(10) The requirements described in paragraph (k) of this section
for thermal chip dryers,
(11) The requirements described in paragraph (n) of this section
for controlled group 1 sidewell furnaces processing other than clean
charge,
(12) The requirements described in paragraph (o) of this section
for uncontrolled group 1 sidewell furnaces processing other than clean
charge,
(13) The requirements described in paragraph (p) of this section
for scrap inspection programs for uncontrolled group 1 furnaces,
(14) The requirements described in paragraph (q) of this section
for monitoring scrap contamination level for uncontrolled group 1
furnaces,
(15) The requirements described in paragraph (s) of this section
for secondary aluminum processing units, limited to compliance with
limits for emissions of D/F from group 1 furnaces processing other than
clean charge,
(16) The requirements described in paragraph (t) of this section
for secondary aluminum processing units limited to compliance with
limits for emissions of D/F from group 1 furnaces processing other than
clean charge,
(17) The requirements described in paragraph (u) of this section
for secondary aluminum processing units limited to compliance with
limits for emissions of D/F from group 1 furnaces processing other than
clean charge,
(18) The requirements described in paragraph (v) of this section
for alternative lime addition monitoring methods applicable to lime-
injected fabric filters used to control emissions from group 1 furnaces
processing other than clean charge, thermal chip dryers, sweat furnaces
and scrap dryer/delacquering kiln/decoating kilns, and
(19) The requirements described in paragraph (w) of this section
for approval of alternate methods for monitoring group 1 furnaces
processing other than clean charge, thermal chip dryers, scrap dryer/
delacquering kiln/decoating kilns and sweat furnaces and associated
control devices for the control of D/F emissions.
(b) Operation, maintenance, and monitoring (OM&M) plan. The owner
or operator must prepare and implement for each new or existing
affected source and emission unit, a written OM&M plan. The owner or
operator of an existing affected source must submit the OM&M plan to
the permitting authority for major sources, or the Administrator for
area sources no later than the compliance date established by Sec.
63.1501(a). The owner or operator of any new affected source must
submit the OM&M plan to the permitting authority for major sources, or
the Administrator for area sources within 90 days after a successful
initial performance test under Sec. 63.1511(b), or within 90 days
after the compliance date established by Sec. 63.1501(b) if no initial
performance test is required. The plan must be accompanied by a written
certification by the owner or operator that the OM&M plan satisfies all
requirements of this section and is otherwise consistent with the
requirements of this subpart. The owner or operator must comply with
all of the provisions of the OM&M plan as submitted to the permitting
authority for major sources, or the Administrator for area sources,
unless and until the plan is revised in accordance with the following
procedures. If the permitting authority for major sources, or the
Administrator for area sources determines at any time after receipt of
the OM&M plan that any revisions of the plan are necessary to satisfy
the requirements of this section or this subpart, the owner or operator
must promptly make all necessary revisions and resubmit the revised
plan. If the owner or operator determines that any other revisions of
the OM&M plan are necessary, such revisions will not become effective
until the owner or operator submits a description of the changes and a
revised plan incorporating them to the permitting authority for major
sources, or the Administrator for area sources. Each plan must contain
the following information:
* * * * *
(5) Procedures for monitoring process and control device
parameters, including lime injection rates, procedures for annual
inspections of afterburners, and if applicable, the procedure to be
used for determining charge/feed (or throughput) weight if a
measurement device is not used.
* * * * *
(9) Procedures to be followed when changing furnace classifications
under the provisions of Sec. 63.1514.
* * * * *
(d) * * *
(2) Inspect each capture/collection and closed vent system at least
once each calendar year to ensure that each system is operating in
accordance with the operating requirements in Sec. 63.1506(c) and
record the results of each inspection. This inspection shall include a
volumetric flow rate measurement taken at a location in the ductwork
downstream of the hoods that is representative of the actual volumetric
flow rate without interference due to leaks, ambient air added for
cooling or ducts from other hoods. The flow rate measurement must be
performed in accordance with paragraphs (d)(2)(i), (ii), or (iii) of
this section. As an alternative to the flow rate measurement specified
in this paragraph, the inspection may satisfy the requirements of this
paragraph, including the operating requirements in Sec. 63.1506(c), by
including permanent total enclosure verification in accordance with
paragraph (d)(2)(i) or (iv) of this section. Inspections that fail to
successfully demonstrate that the requirements of Sec. 63.1506(c) are
met, must be followed by repair or adjustment to the system operating
conditions and a follow up inspection within 45 days to demonstrate
that Sec. 63.1506(c) requirements are fully met.
(i) Conduct annual flow rate measurements using EPA Methods 1 and 2
in Appendix A to 40 CFR part 60, or conduct annual verification of a
permanent total enclosure using EPA Method 204; or you may follow one
of the three alternate procedures described in paragraphs (ii), (iii),
or (iv) of this section to maintain system operations in accordance
with an operating limit established during the performance test. The
operating limit is determined as the average reading of a parametric
monitoring instrument (Magnehelic[supreg], manometer, anemometer, or
other parametric monitoring instrument) and technique as described in
paragraphs (d)(2)(ii), (iii), and (iv) of this section. A deviation, as
defined in paragraphs (ii), (iii), and (iv) of this section, from the
parametric monitoring operating limit requires the owner or operator to
make
[[Page 56743]]
repairs or adjustments to restore normal operation within 45 days.
(ii) As an alternative to annual flow rate measurements using EPA
Methods 1 and 2, measurement with EPA Methods 1 and 2 can be performed
once every 5 years, provided that:
(A) A flow rate indicator consisting of a pitot tube and
differential pressure gauge (Magnehelic[supreg], manometer or other
differential pressure gauge) is installed with the pitot tube tip
located at a representative point of the duct proximate to the location
of the Methods 1 and 2 measurement site; and
(B) The flow rate indicator is installed and operated in accordance
with the manufacturer's specifications; and
(C) The differential pressure is recorded during the Method 2
performance test series; and
(D) Daily differential pressure readings are made by taking three
measurements with at least 5 minutes between each measurement and
averaging the three measurements; and readings are recorded daily and
maintained at or above 90 percent of the average pressure differential
indicated by the flow rate indicator during the most recent Method 2
performance test series; and
(E) An inspection of the pitot tube and associated lines for
damage, plugging, leakage and operational integrity is conducted at
least once per year; or
(iii) As an alternative to annual flow rate measurements using EPA
Methods 1 and 2, measurement with EPA Methods 1 and 2 can be performed
once every 5 years, provided that:
(A) Daily measurements of the capture and collection system's fan
revolutions per minute (RPM) or fan motor amperage (amps) are made by
taking three measurements with at least 5 minutes between each
measurement, and averaging the three measurements; and readings are
recorded daily and maintained at or above 90 percent of the average RPM
or amps measured during the most recent Method 2 performance test
series; or
(B) A static pressure measurement device is installed in the duct
immediately downstream of the hood exit, and daily pressure readings
are made by taking three measurements with at least 5 minutes between
each measurement, and averaging the three measurements; and readings
are recorded daily and maintained at 90 percent or better of the
average vacuum recorded during the most recent Method 2 performance
test series; or
(C) A hotwire anemometer, ultrasonic flow meter, cross-duct
pressure differential sensor, venturi pressure differential monitoring
or orifice plate equipped with an associated thermocouple and automated
data logging software and associated hardware is installed; and daily
readings are made by taking three measurements with at least 5 minutes
between each measurement, and averaging the three measurements; and
readings are recorded daily and maintained at 90 percent or greater of
the average readings during the most recent Method 2 performance test
series; or
(D) For booth-type hoods, hotwire anemometer measurements of hood
face velocity are performed simultaneously with EPA Method 1 and 2
measurements, and the annual hood face velocity measurements confirm
that the enclosure draft is maintained at 90 percent or greater of the
average readings during the most recent Method 2 performance test
series. Daily readings are made by taking three measurements with at
least 5 minutes between each measurement, and averaging the three
measurements; and readings are recorded daily and maintained at 90
percent or greater of the average readings during the most recent
Method 1 and 2 performance test series.
(iv) As an alternative to the annual verification of a permanent
total enclosure using EPA Method 204, verification can be performed
once every 5 years, provided that:
(A) Negative pressure in the enclosure is directly monitored by a
pressure indicator installed at a representative location;
(B) Pressure readings are recorded daily or the system is
interlocked to halt material feed should the system not operate under
negative pressure;
(C) An inspection of the pressure indicator for damage and
operational integrity is conducted at least once per calendar year.
(3) For sweat furnaces, in lieu of paragraph (d)(2) of this
section, the owner or operator of a sweat furnace may inspect each
sweat furnace at least once each calendar year to ensure that they are
being operated in accordance with the negative air flow requirements in
Sec. 63.1506(c)(4). The owner or operator of a sweat furnace must
demonstrate negative air flow into the sweat furnace in accordance with
paragraphs (d)(3)(i) through (iii) of this section.
(i) Perform an annual visual smoke test to demonstrate airflow into
the sweat furnace or towards the plane of the sweat furnace opening;
(ii) Perform the smoke test using a smoke source, such as a smoke
tube, smoke stick, smoke cartridge, smoke candle or other smoke source
that produces a persistent and neutral buoyancy aerosol; and
(iii) Perform the visual smoke test at a safe distance from and
near the center of the sweat furnace opening.
(e) Feed/charge weight. The owner or operator of an affected source
or emission unit subject to an emission limit in kg/Mg (lb/ton) or
[micro]g/Mg (gr/ton) of feed/charge must install, calibrate, operate,
and maintain a device to measure and record the total weight of feed/
charge to, or the aluminum production from, the affected source or
emission unit over the same operating cycle or time period used in the
performance test. Feed/charge or aluminum production within SAPUs must
be measured and recorded on an emission unit-by-emission unit basis. As
an alternative to a measurement device, the owner or operator may use a
procedure acceptable to the permitting authority for major sources, or
the Administrator for area sources to determine the total weight of
feed/charge or aluminum production to the affected source or emission
unit.
* * * * *
(f) * * *
(1) * * *
(ii) Each bag leak detection system must be installed, calibrated,
operated, and maintained according to the manufacturer's operating
instructions.
* * * * *
(4) As an alternative to the requirements of paragraph (f)(3) of
this section, the owner or operator of a new or existing aluminum scrap
shredder may measure the opacity of the emissions discharged through a
stack or stacks using ASTM Method D7520-13 (incorporated by reference,
see Sec. 63.14) subject to the requirements of paragraphs Sec.
63.1510(f)(4)(i) through (iv) of this section. Each test must consist
of five 6-minute observations in a 30-minute period.
(i) During the digital camera opacity technique (DCOT)
certification procedure outlined in Section 9.2 of ASTM D7520-13, the
owner or operator or the DCOT vendor must present the plumes in front
of various backgrounds of color and contrast representing conditions
anticipated during field use such as blue sky, trees, and mixed
backgrounds (clouds and/or a sparse tree stand).
(ii) The owner or operator must also have standard operating
procedures in place including daily or other frequency quality checks
to ensure that equipment is within manufacturing specifications as
outlined in Section 8.1 of ASTM D7520-13.
(iii) The owner or operator must follow the recordkeeping
procedures
[[Page 56744]]
outlined in Sec. 63.10(b)(1) for DCOT certification, compliance
report, data sheets and all raw unaltered JPEGs used for opacity and
certification determination.
(iv) The owner or operator or the DCOT vendor must have a minimum
of four (4) independent technology users apply the software to
determine the visible opacity of the 300 certification plumes. For each
set of 25 plumes, the user may not exceed 15 percent opacity on any one
reading and the average error must not exceed 7.5 percent opacity.
* * * * *
(i) * * *
(3) An owner or operator who intermittently adds lime to a lime-
injected fabric filter must obtain approval from the permitting
authority for major sources, or the Administrator for area sources for
a lime addition monitoring procedure. The permitting authority for
major sources, or the Administrator for area sources will not approve a
monitoring procedure unless data and information are submitted
establishing that the procedure is adequate to ensure that relevant
emission standards will be met on a continuous basis.
(4) At least once per month, verify that the lime injection rate in
pounds per hour (lb/hr) is no less than 90 percent of the lime
injection rate used to demonstrate compliance during your most recent
performance test. If the monthly check of the lime injection rate is
below the 90 percent, the owner or operator must repair or adjust the
lime injection system to restore normal operation within 45 days. The
owner or operator may request from the permitting authority for major
sources, or the Administrator for area sources, an extension of up to
an additional 45 days to demonstrate that the lime injection rate is no
less than 90 percent of the lime injection rate used to demonstrate
compliance during the most recent performance test. In the event that a
lime feeder is repaired or replaced, the feeder must be calibrated, and
the feed rate must be restored to the lb/hr feed rate operating limit
established during the most recent performance test within 45 days. The
owner or operator may request from the permitting authority for major
sources, or the Administrator for area sources, an extension of up to
an additional 45 days to complete the repair or replacement and
establishing a new setting. The repair or replacement, and the
establishment of the new feeder setting(s) must be documented in
accordance with the recordkeeping requirements of Sec. 63.1517.
(j) * * *
(1) * * *
(ii) The accuracy of the weight measurement device must be 1 percent of the weight of the reactive component of the flux
being measured. The owner or operator may apply to the permitting
authority for major sources, or the Administrator for area sources for
permission to use a weight measurement device of alternative accuracy
in cases where the reactive flux flow rates are so low as to make the
use of a weight measurement device of 1 percent
impracticable. A device of alternative accuracy will not be approved
unless the owner or operator provides assurance through data and
information that the affected source will meet the relevant emission
standards.
* * * * *
(4) Calculate and record the total reactive flux injection rate for
each operating cycle or time period used in the performance test using
the procedure in Sec. 63.1512(o). For solid flux that is added
intermittently, record the amount added for each operating cycle or
time period used in the performance test using the procedures in Sec.
63.1512(o).
* * * * *
(n) * * *
(1) Record in an operating log for each tap of a sidewell furnace
whether the level of molten metal was above the top of the passage
between the sidewell and hearth during reactive flux injection, unless
the furnace hearth was also equipped with an add-on control device. If
visual inspection of the molten metal level is not possible, the molten
metal level must be determined using physical measurement methods.
(2) Submit a certification of compliance with the operational
standards in Sec. 63.1506(m)(6) for each 6-month reporting period.
Each certification must contain the information in Sec.
63.1516(b)(2)(iii).
(o) * * *
(1) The owner or operator must develop, in consultation with the
permitting authority for major sources, or the Administrator for area
sources, a written site-specific monitoring plan. The site-specific
monitoring plan must be submitted to the permitting authority for major
sources, or the Administrator for area sources as part of the OM&M
plan. The site-specific monitoring plan must contain sufficient
procedures to ensure continuing compliance with all applicable emission
limits and must demonstrate, based on documented test results, the
relationship between emissions of PM, HCl, and D/F (and HF for
uncontrolled group 1 furnaces), and the proposed monitoring parameters
for each pollutant. Test data must establish the highest level of PM,
HCl, and D/F (and HF for uncontrolled group 1 furnaces) that will be
emitted from the furnace in accordance with Sec. 63.1511(b)(1). If the
permitting authority for major sources, or the Administrator for area
sources determines that any revisions of the site-specific monitoring
plan are necessary to meet the requirements of this section or this
subpart, the owner or operator must promptly make all necessary
revisions and resubmit the revised plan.
(i) The owner or operator of an existing affected source must
submit the site-specific monitoring plan to the permitting authority
for major sources, or the Administrator for area sources for review at
least 6 months prior to the compliance date.
(ii) The permitting authority for major sources, or the
Administrator for area sources will review and approve or disapprove a
proposed plan, or request changes to a plan, based on whether the plan
contains sufficient provisions to ensure continuing compliance with
applicable emission limits and demonstrates, based on documented test
results, the relationship between emissions of PM, HCl, and D/F (and HF
for uncontrolled group 1 furnaces) and the proposed monitoring
parameters for each pollutant. Test data must establish the highest
level of PM, HCl, and D/F (and HF for uncontrolled group 1 furnaces)
that will be emitted from the furnace. Subject to approval of the OM&M
plan, the highest levels may be determined by conducting performance
tests and monitoring operating parameters in accordance with Sec.
63.1511(b)(1).
* * * * *
(s) * * *
(2) * * *
(iv) The inclusion of any periods of startup or shutdown in
emission calculations.
(3) To revise the SAPU compliance provisions within the OM&M plan
prior to the end of the permit term, the owner or operator must submit
a request to the permitting authority for major sources, or the
Administrator for area sources containing the information required by
paragraph (s)(1) of this section and obtain approval of the permitting
authority for major sources, or the Administrator for area sources
prior to implementing any revisions.
(t) Secondary aluminum processing unit. Except as provided in
paragraph (u) of this section, the owner or operator must calculate and
record the 3-day, 24-hour rolling average emissions of PM,
[[Page 56745]]
HCl, and D/F (and HF for uncontrolled group 1 furnaces) for each
secondary aluminum processing unit on a daily basis. To calculate the
3-day, 24-hour rolling average, the owner or operator must:
* * * * *
(2) * * *
(i) Where no performance test has been conducted, for a particular
emission unit, because the owner of operator has, with the approval of
the permitting authority for major sources, or the Administrator for
area sources, chosen to determine the emission rate of an emission unit
by testing a representative unit, in accordance with Sec. 63.1511(f),
the owner or operator shall use the emission rate determined from the
representative unit in the SAPU emission rate calculation required in
Sec. 63.1510(t)(4).
(ii) Except as provided in paragraph (t)(2)(iii) of this section,
if the owner or operator has not conducted performance tests for HCl
(and HF for an uncontrolled group 1 furnace) or for HCl for an in-line
fluxer, in accordance with the provisions of Sec. 63.1512(d)(3),
(e)(3), or (h)(2), the calculation required in Sec. 63.1510(t)(4) to
determine SAPU-wide HCl and HF emissions shall be made under the
assumption that all chlorine contained in reactive flux added to the
emission unit is emitted as HCl and all fluorine contained in reactive
flux added to the emission unit is emitted as HF.
(iii) Prior to the date by which the initial performance test for
HF emissions from uncontrolled group 1 furnaces is conducted, or is
required to be conducted, the calculation required in Sec. 63.1505(k)
to determine the SAPU-wide HF emission limit and the calculation
required in Sec. 63.1510(t)(4) to determine the SAPU-wide HF emission
rate must exclude HF emissions from untested uncontrolled group 1
furnaces and feed/charge processed in untested uncontrolled group 1
furnaces.
* * * * *
(4) Compute the 24-hour daily emission rate using Equation 4:
[GRAPHIC] [TIFF OMITTED] TR18SE15.010
Where:
Eday = The daily PM, HCl, and D/F (and HF for
uncontrolled group 1 furnaces) emission rate for the secondary
aluminum processing unit for the 24-hour period;
Ti = The total amount of feed, or aluminum produced, for
emission unit i for the 24-hour period (tons or Mg);
ERi = The measured emission rate for emission unit i as
determined in the performance test (lb/ton or [micro]g/Mg of feed/
charge); and
n = The number of emission units in the secondary aluminum
processing unit.
(5) Calculate and record the 3-day, 24-hour rolling average for
each pollutant each day by summing the daily emission rates for each
pollutant over the 3 most recent consecutive days and dividing by 3.
The SAPU is in compliance with an applicable emission limit if the 3-
day, 24-hour rolling average for each pollutant is no greater than the
applicable SAPU emission limit determined in accordance with Sec.
63.1505(k)(1)-(3).
* * * * *
0
9. Section 63.1511 is amended by:
0
a. Revising paragraphs (a), (b) introductory text, and (b)(1) and (3);
0
b. Adding paragraphs (b)(6) and (7);
0
c. Revising paragraphs (c)(9), (d), and (f) introductory text;
0
d. Adding paragraph (f)(6);
0
e. Revising paragraph (g) introductory text;
0
f. Adding paragraph (g)(5); and
0
g. Revising paragraph (i) introductory text.
The additions and revisions read as follows:
Sec. 63.1511 Performance test/compliance demonstration general
requirements.
(a) Site-specific test plan. Prior to conducting any performance
test required by this subpart, the owner or operator must prepare a
site-specific test plan which satisfies all of the rule requirements,
and must obtain approval of the plan pursuant to the procedures set
forth in Sec. 63.7. Performance tests shall be conducted under such
conditions as the Administrator specifies to the owner or operator
based on representative performance of the affected source for the
period being tested. Upon request, the owner or operator shall make
available to the Administrator such records as may be necessary to
determine the conditions of performance tests.
(b) Initial performance test. Following approval of the site-
specific test plan, the owner or operator must demonstrate initial
compliance with each applicable emission, equipment, work practice, or
operational standard for each affected source and emission unit, and
report the results in the notification of compliance status report as
described in Sec. 63.1515(b). The owner or operator of any affected
source constructed before February 14, 2012, for which an initial
performance test is required to demonstrate compliance must conduct
this initial performance test no later than the date for compliance
established by Sec. 63.1501(a), (b), or (c). The owner or operator of
any affected source constructed after February 14, 2012, for which an
initial performance test is required must conduct this initial
performance test within 180 days after the date for compliance
established by Sec. 63.1501(e) or (f). Except for the date by which
the performance test must be conducted, the owner or operator must
conduct each performance test in accordance with the requirements and
procedures set forth in Sec. 63.7(c). Owners or operators of affected
sources located at facilities which are area sources are subject only
to those performance testing requirements pertaining to D/F. Owners or
operators of sweat furnaces meeting the specifications of Sec.
63.1505(f)(1) are not required to conduct a performance test.
(1) The performance tests must be conducted under representative
conditions expected to produce the highest level of HAP emissions
expressed in the units of the emission standards for the HAP
(considering the extent of feed/charge contamination, reactive flux
addition rate and feed/charge rate). If a single test condition is not
expected to produce the highest level of emissions for all HAP, testing
under two or more sets of conditions (for example high contamination at
low feed/charge rate, and low contamination at high feed/charge rate)
may be required. Any subsequent performance tests for the purposes of
establishing new or revised parametric limits shall be allowed upon
pre-approval from the permitting authority for major sources, or the
Administrator for area sources. These new parametric settings shall be
[[Page 56746]]
used to demonstrate compliance for the period being tested.
* * * * *
(3) Each performance test for a batch process must consist of three
separate runs; pollutant sampling for each run must be conducted over
the entire process operating cycle. Additionally, for batch processes
where the length of the process operating cycle is not known in
advance, and where isokinetic sampling must be conducted based on the
procedures in Method 5 in appendix A to part 60, use the following
procedure to ensure that sampling is conducted over the entire process
operating cycle:
(i) Choose a minimum operating cycle length and begin sampling
assuming this minimum length will be the run time (e.g., if the process
operating cycle is known to last from four to six hours, then assume a
sampling time of four hours and divide the sampling time evenly between
the required number of traverse points);
(ii) After each traverse point has been sampled once, begin
sampling each point again for the same time per point, in the reverse
order, until the operating cycle is complete. All traverse points as
required by Method 1 of appendix A to part 60, must be sampled at least
once during each test run;
(iii) In order to distribute the sampling time most evenly over all
the traverse points, do not perform all runs using the same sampling
point order (e.g., if there are four ports and sampling for run 1 began
in port 1, then sampling for run 2 could begin in port 4 and continue
in reverse order.)
* * * * *
(6) Apply paragraphs (b)(1) through (5) of this section for each
pollutant separately if a different production rate, charge material
or, if applicable, reactive fluxing rate would apply and thereby result
in a higher expected emissions rate for that pollutant.
(7) The owner or operator may not conduct performance tests during
periods of malfunction.
(c) * * *
(9) Method 26A for the concentration of HCl and HF. Method 26 may
also be used, except at sources where entrained water droplets are
present in the emission stream. Where a lime-injected fabric filter is
used as the control device to comply with the 90 percent reduction
standard, the owner or operator must measure the fabric filter inlet
concentration of HCl at a point before lime is introduced to the
system.
(d) Alternative methods. The owner or operator may use alternative
test methods as provided in paragraphs (d)(1) through (3) of this
section.
(1) The owner or operator may use test method ASTM D7520-13 as an
alternative to EPA Method 9 subject to conditions described in Sec.
63.1510(f)(4).
(2) In lieu of conducting the annual flow rate measurements using
Methods 1 and 2, the owner or operator may use Method 204 in Appendix M
to 40 CFR part 51 to conduct annual verification of a permanent total
enclosure for the affected source/emission unit.
(3) The owner or operator may use an alternative test method
approved by the Administrator.
* * * * *
(f) Testing of representative emission units. With the prior
approval of the permitting authority for major sources, or the
Administrator for area sources, an owner or operator may utilize
emission rates obtained by testing a particular type of group 1 furnace
that does not have an add-on air pollution control device, or by
testing an in-line flux box that does not have an add-on air pollution
control device, to determine the emission rate for other units of the
same type at the same facility. Such emission test results may only be
considered to be representative of other units if all of the following
criteria are satisfied:
* * * * *
(6) All 3 separate runs of a performance test must be conducted on
the same emission unit.
(g) Establishment of monitoring and operating parameter values. The
owner or operator of new or existing affected sources and emission
units must establish a minimum or maximum operating parameter value, or
an operating parameter range for each parameter to be monitored as
required by Sec. 63.1510 that ensures compliance with the applicable
emission limit or standard. To establish the minimum or maximum value
or range, the owner or operator must use the appropriate procedures in
this section and submit the information required by Sec. 63.1515(b)(4)
in the notification of compliance status report. The owner or operator
may use existing data in addition to the results of performance tests
to establish operating parameter values for compliance monitoring
provided each of the following conditions are met to the satisfaction
of the permitting authority for major sources, or the Administrator for
area sources:
* * * * *
(5) If the owner or operator wants to conduct a new performance
test and establish different operating parameter values, they must
submit a revised site specific test plan and receive approval in
accordance with paragraph (a) of this section. In addition, if an owner
or operator wants to use existing data in addition to the results of
the new performance test to establish operating parameter values, they
must meet the requirements in paragraphs (g)(1) through (4) of this
section.
* * * * *
(i) Testing of commonly-ducted units not within a secondary
aluminum processing unit. With the prior approval of the permitting
authority for major sources, or the Administrator for area sources, an
owner or operator may do combined performance testing of two or more
individual affected sources or emission units which are not included in
a single existing SAPU or new SAPU, but whose emissions are manifolded
to a single control device. Any such performance testing of commonly-
ducted units must satisfy the following basic requirements:
* * * * *
0
10. Section 63.1512 is amended by:
0
a. Revising paragraphs (a), (e)(1) through (3);
0
b. Adding paragraphs (e)(4) through (7); and
0
c. Revising paragrpahs (h)(2), (j) introductory text, (j)(1)(i),
(j)(2)(i), (o) introductory text, (o)(1), (o)(3) through (5), and
(p)(2).
The additions and revisions read as follows:
Sec. 63.1512 Performance test/compliance demonstration requirements
and procedures.
(a) Aluminum scrap shredder. The owner or operator must conduct
performance tests to measure PM emissions at the outlet of the control
system. If visible emission observation is the selected monitoring
option, the owner or operator must record visible emission observations
from each exhaust stack for all consecutive 6-minute periods during the
PM emission test according to the requirements of Method 9 in appendix
A to 40 CFR part 60. If emissions observations by ASTM Method D7520-13
(incorporated by reference, see Sec. 63.14) is the selected monitoring
option, the owner or operator must record opacity observations from
each exhaust stack for all consecutive 6-minute periods during the PM
emission test.
* * * * *
(e) * * *
(1) If the group 1 furnace processes other than clean charge
material, the owner or operator must conduct emission tests to measure
emissions of PM, HCl, HF, and D/F at the furnace exhaust outlet.
[[Page 56747]]
(2) If the group 1 furnace processes only clean charge, the owner
or operator must conduct emission tests to simultaneously measure
emissions of PM, HCl and HF. A D/F test is not required. Each test must
be conducted while the group 1 furnace (including a melting/holding
furnace) processes only clean charge.
(3) The owner or operator may choose to determine the rate of
reactive flux addition to the group 1 furnace and assume, for the
purposes of demonstrating compliance with the SAPU emission limit, that
all chlorine and fluorine contained in reactive flux added to the group
1 furnace is emitted as HCl and HF. Under these circumstances, the
owner or operator is not required to conduct an emission test for HCl
or HF.
(4) When testing an existing uncontrolled furnace, the owner or
operator must comply with the requirements of either paragraphs
(e)(4)(i), (ii) or (iii) of this section at the next required
performance test required by Sec. 63.1511(e).
(i) Install hooding that meets ACGIH Guidelines (incorporated by
reference, see Sec. 63.14), or
(ii) At least 180 days prior to testing petition the permitting
authority for major sources, or the Administrator for area sources,
that such hoods are impractical under the provisions of paragraph
(e)(6) of this section and propose testing procedures that will
minimize unmeasured emissions during the performance test according to
the paragraph (e)(7) of this section, or
(iii) Assume an 80-percent capture efficiency for the furnace
exhaust (i.e., multiply emissions measured at the furnace exhaust
outlet by 1.25). If the source fails to demonstrate compliance using
the 80-percent capture efficiency assumption, the owner or operator
must re-test with a hood that meets the ACGIH Guidelines within 180
days, or petition the permitting authority for major sources, or the
Administrator for area sources, within 180 days that such hoods are
impractical under the provisions of paragraph (e)(6) of this section
and propose testing procedures that will minimize unmeasured emissions
during the performance test according to paragraph (e)(7) of this
section.
(iv) The 80-percent capture efficiency assumption is not applicable
in the event of testing conducted under an approved petition submitted
pursuant to paragraphs (e)(4)(ii) or (iii) of this section.
(v) Round top furnaces constructed before February 14, 2012, and
reconstructed round top furnaces are exempt from the requirements of
paragraphs (e)(4)(i) and (ii) of this section. Round top furnaces must
be operated to minimize unmeasured emissions according to paragraph
(e)(7) of this section.
(5) When testing a new uncontrolled furnace constructed after
February 14, 2012, the owner or operator must install hooding that
meets ACGIH Guidelines (incorporated by reference, see Sec. 63.14) or
petition the permitting authority for major sources, or the
Administrator for area sources, that such hoods are impracticable under
the provisions of paragraph (e)(6) of this section and propose testing
procedures that will minimize unmeasured emissions during the
performance test according to the provisions of paragraph (e)(7).
(6) The installation of hooding that meets ACGIH Guidelines
(incorporated by reference, see Sec. 63.14) is considered impractical
if any of the following conditions exist:
(i) Building or equipment obstructions (for example, wall, ceiling,
roof, structural beams, utilities, overhead crane or other
obstructions) are present such that the temporary hood cannot be
located consistent with acceptable hood design and installation
practices;
(ii) Space limitations or work area constraints exist such that the
temporary hood cannot be supported or located to prevent interference
with normal furnace operations or avoid unsafe working conditions for
the furnace operator; or
(iii) Other obstructions and limitations subject to agreement of
the permitting authority for major sources, or the Administrator for
area sources.
(7) Testing procedures that will minimize unmeasured emissions may
include, but are not limited to the following:
(i) Installing a hood that does not entirely meet ACGIH guidelines;
(ii) Using the building as an enclosure, and measuring emissions
exhausted from the building if there are no other furnaces or other
significant sources in the building of the pollutants to be measured;
(iii) Installing temporary baffles on those sides or top of furnace
opening if it is practical to do so where they will not interfere with
material handling or with the furnace door opening and closing;
(iv) Minimizing the time the furnace doors are open or the top is
off;
(v) Delaying gaseous reactive fluxing until charging doors are
closed and, for round top furnaces, until the top is on;
(vi) Agitating or stirring molten metal as soon as practicable
after salt flux addition and closing doors as soon as possible after
solid fluxing operations, including mixing and dross removal;
(vii) Keeping building doors and other openings closed to the
greatest extent possible to minimize drafts that would divert emissions
from being drawn into the furnace;
(viii) Maintaining burners on low-fire or pilot operation while the
doors are open or the top is off;
(ix) Use of fans or other device to direct flow into a furnace when
door is open; or
(x) Removing the furnace cover one time in order to add a smaller
but representative charge and then replacing the cover.
* * * * *
(h) * * *
(2) The owner or operator may choose to limit the rate at which
reactive flux is added to an in-line fluxer and assume, for the
purposes of demonstrating compliance with the SAPU emission limit, that
all chlorine in the reactive flux added to the in-line fluxer is
emitted as HCl. Under these circumstances, the owner or operator is not
required to conduct an emission test for HCl. If the owner or operator
of any in-line flux box that has no ventilation ductwork manifolded to
any outlet or emission control device chooses to demonstrate compliance
with the emission limits for HCl by limiting use of reactive flux and
assuming that all chlorine in the flux is emitted as HCl, compliance
with the HCl limit shall also constitute compliance with the emission
limit for PM and no separate emission test for PM is required. In this
case, the owner or operator of the unvented in-line flux box must use
the maximum permissible PM emission rate for the in-line flux boxes
when determining the total emissions for any SAPU which includes the
flux box.
* * * * *
(j) Secondary aluminum processing unit. The owner or operator must
conduct performance tests as described in paragraphs (j)(1) through (3)
of this section. The results of the performance tests are used to
establish emission rates in lb/ton of feed/charge for PM, HCl and HF
and [micro]g TEQ/Mg of feed/charge for D/F emissions from each emission
unit. These emission rates are used for compliance monitoring in the
calculation of the 3-day, 24-hour rolling average emission rates using
the equation in Sec. 63.1510(t). A performance test is required for:
(1) * * *
(i) Emissions of HF and HCl (for determining the emission limit);
or
* * * * *
(2) * * *
[[Page 56748]]
(i) Emissions of HF and HCl (for determining the emission limit);
or
* * * * *
(o) Flux injection rate. The owner or operator must use these
procedures to establish an operating parameter value or range for the
total reactive chlorine flux injection rate and, for uncontrolled
furnaces, the total reactive fluorine flux injection rate.
(1) Continuously measure and record the weight of gaseous or liquid
reactive flux injected for each 15 minute period during the HCl, HF and
D/F tests, determine and record the 15-minute block average weights,
and calculate and record the total weight of the gaseous or liquid
reactive flux for the 3 test runs;
* * * * *
(3) Determine the total reactive chlorine flux injection rate and,
for uncontrolled furnaces, the total reactive fluorine flux injection
rate by adding the recorded measurement of the total weight of chlorine
and, for uncontrolled furnaces, fluorine in the gaseous or liquid
reactive flux injected and the total weight of chlorine and, for
uncontrolled furnaces, fluorine in the solid reactive flux using
Equation 5:
[GRAPHIC] [TIFF OMITTED] TR18SE15.011
Where:
Wt = Total chlorine or fluorine usage, by weight;
F1 = Fraction of gaseous or liquid flux that is chlorine
or fluorine;
W1 = Weight of reactive flux gas injected;
F2 = Fraction of solid reactive chloride flux that is
chlorine (e.g., F = 0.75 for magnesium chloride) or fraction of
solid reactive fluoride flux that is fluorine (e.g., F = 0.33 for
potassium fluoride); and
W2 = Weight of solid reactive flux;
(4) Divide the weight of total chlorine or fluorine usage
(Wt) for the 3 test runs by the recorded measurement of the
total weight of feed for the 3 test runs; and
(5) If a solid reactive flux other than magnesium chloride or
potassium fluoride is used, the owner or operator must derive the
appropriate proportion factor subject to approval by the permitting
authority for major sources, or the Administrator for area sources.
* * * * *
(p) * * *
(2) Record the feeder setting and lime injection rate for the 3
test runs. If the feed rate setting and lime injection rates vary
between the runs, determine and record the average feed rate and lime
injection rate from the 3 runs.
* * * * *
0
11. Section 63.1513 is amended by revising the paragraph (b) heading
and paragraphs (b)(1), (d), and (e)(1) through (3), and adding
paragraph (f) to read as follows:
Sec. 63.1513 Equations for determining compliance.
* * * * *
(b) PM, HCl, HF and D/F emission limits. (1) Use Equation 7 of this
section to determine compliance with an emission limit for PM, HCl or
HF:
[GRAPHIC] [TIFF OMITTED] TR18SE15.012
Where:
E = Emission rate of PM, HCl or HF, in kg/Mg (lb/ton) of feed;
C = Concentration of PM, HCl or HF, in g/dscm (gr/dscf);
Q = Volumetric flow rate of exhaust gases, in dscm/hr (dscf/hr);
K1 = Conversion factor, 1 kg/1,000 g (1 lb/7,000 gr); and
P = Production rate, in Mg/hr (ton/hr).
* * * * *
(d) Conversion of D/F measurements to TEQ units. To convert D/F
measurements to TEQ units, the owner or operator must use the
procedures and equations in Interim Procedures for Estimating Risks
Associated with Exposures to Mixtures of Chlorinated Dibenzo-p-Dioxins
and -Dibenzofurans (CDDs and CDFs) and 1989 Update, incorporated by
reference see Sec. 63.14.
(e) * * *
(1) Use Equation 9 to compute the mass-weighted PM emissions for a
secondary aluminum processing unit. Compliance is achieved if the mass-
weighted emissions for the secondary aluminum processing unit
(EcPM) is less than or equal to the emission limit for the
secondary aluminum processing unit (LcPM) calculated using
Equation 1 in Sec. 63.1505(k).
[GRAPHIC] [TIFF OMITTED] TR18SE15.013
Where:
EcPM = The mass-weighted PM emissions for the secondary
aluminum processing unit;
EtiPM = Measured PM emissions for individual emission
unit, or group of co-controlled emission units, i;
Tti = The average feed rate for individual emission unit
i during the operating cycle or performance test period, or the sum
of the average feed rates for all emission units in the group of co-
controlled emission units i; and
n = The number of emission units, and groups of co-controlled
emission units in the secondary aluminum processing unit.
(2) Use Equation 10 to compute the aluminum mass-weighted HCl or HF
emissions for the secondary aluminum processing unit. Compliance is
achieved if the mass-weighted emissions for the secondary aluminum
processing unit (EcHCl/HF) is less than or equal to the
emission limit for the secondary aluminum processing unit
(LcHCl/HF) calculated using Equation 2 in Sec. 63.1505(k).
[[Page 56749]]
[GRAPHIC] [TIFF OMITTED] TR18SE15.014
Where:
EcHCl/HF = The mass-weighted HCl or HF emissions for the
secondary aluminum processing unit; and
EtiHCl/HF = Measured HCl or HF emissions for individual
emission unit, or group of co-controlled emission units i.
(3) Use Equation 11 to compute the aluminum mass-weighted D/F
emissions for the secondary aluminum processing unit. Compliance is
achieved if the mass-weighted emissions for the secondary aluminum
processing unit is less than or equal to the emission limit for the
secondary aluminum processing unit (LcD/F) calculated using
Equation 3 in Sec. 63.1505(k).
[GRAPHIC] [TIFF OMITTED] TR18SE15.015
Where:
EcD/F = The mass-weighted D/F emissions for the secondary
aluminum processing unit; and
EtiD/F = Measured D/F emissions for individual emission
unit, or group of co-controlled emission units i.
* * * * *
(f) Periods of startup and shutdown. For a new or existing affected
source, or a new or existing emission unit subject to an emissions
limit in paragraphs Sec. 63.1505(b) through (j) expressed in units of
pounds per ton of feed/charge, or [mu]g TEQ or ng TEQ per Mg of feed/
charge, demonstrate compliance during periods of startup and shutdown
in accordance with paragraph (f)(1) of this section or determine your
emissions per unit of feed/charge during periods of startup and
shutdown in accordance with paragraph (f)(2) of this section. Startup
and shutdown emissions for group 1 furnaces and in-line fluxers must be
calculated individually, and not on the basis of a SAPU. Periods of
startup and shutdown are excluded from the calculation of SAPU emission
limits in Sec. 63.1505(k), the SAPU monitoring requirements in Sec.
63.1510(t) and the SAPU emissions calculations in Sec. 63.1513(e).
(1) For periods of startup and shutdown, records establishing a
feed/charge rate of zero, a flux rate of zero, and that the affected
source or emission unit was either heated with electricity, propane or
natural gas as the sole sources of heat or was not heated, may be used
to demonstrate compliance with the emission limit, or
(2) For periods of startup and shutdown, divide your measured
emissions in lb/hr or [mu]g/hr or ng/hr by the feed/charge rate in
tons/hr or Mg/hr from your most recent performance test associated with
a production rate greater than zero, or the rated capacity of the
affected source if no prior performance test data is available.
0
12. Section 63.1514 is added to read as follows:
Sec. 63.1514 Change of Furnace Classification.
The requirements of this section are in addition to the other
requirements of this subpart that apply to group 1 and group 2
furnaces.
(a) Changing from a group 1 controlled furnace processing other
than clean charge to group 1 uncontrolled furnace processing other than
clean charge. An owner or operator wishing to change operating modes
must conduct performance tests in accordance with Sec. Sec. 63.1511
and 63.1512 to demonstrate to the permitting authority for major
sources, or the Administrator for area sources that compliance can be
achieved under both modes. Operating parameters relevant to each mode
of operation must be established during the performance test.
(1) Operators of major sources must conduct performance tests for
PM, HCl and D/F, according to the procedures in Sec. 63.1512(d) with
the capture system and control device operating normally if compliance
has not been previously demonstrated in this operating mode.
Performance tests must be repeated at least once every 5 years to
demonstrate compliance for each operating mode.
(i) Testing under this paragraph must be conducted in accordance
with Sec. 63.1511(b)(1) in the controlled mode.
(ii) Operating parameters must be established during these tests,
as required by Sec. 63.1511(g).
(iii) The emission factors for this mode of operation for use in
the demonstration of compliance with the emission limits for SAPUs
specified in Sec. 63.1505(k) must be determined.
(2) Operators of major sources must conduct performance tests for
PM, HCl, HF and D/F, according to the procedures in Sec. 63.1512(e)
without operating a control device if compliance has not been
previously demonstrated for this operating mode. Performance tests must
be repeated at least once every 5 years to demonstrate compliance for
each operating mode.
(i) Testing under this paragraph must be conducted in accordance
with Sec. 63.1511(b)(1) in the uncontrolled mode.
(ii) Testing under this paragraph must be conducted with furnace
emissions captured in accordance with the provisions of Sec.
63.1506(c) and directed to the stack or vent tested.
(iii) Operating parameters representing uncontrolled operation must
be established during these tests, as required by Sec. 63.1511(g). For
furnaces in batch (cyclic) operation, the number of tap-to-tap cycles
(including zero, if none) elapsed using the feed/charge type, feed/
charge rate and flux rate must be established as a parameter to be met
before changing to uncontrolled mode. For furnaces in continuous (non-
cyclic) operation, the time period elapsed (including no time, if none)
using the feed/charge type, feed/charge rate and flux rate must be
established as a parameter to be met before changing to uncontrolled
mode.
(iv) The emission factors for this mode of operation for use in the
demonstration of compliance with the
[[Page 56750]]
emission limits for SAPUs specified in Sec. 63.1505(k) must be
determined.
(3) Operators of area sources must conduct performance tests for D/
F, according to the procedures in Sec. 63.1512(d) with the capture
system and control device operating normally, if compliance has not
been previously demonstrated for this operating mode.
(i) Testing under this paragraph must be conducted in accordance
with Sec. 63.1511(b)(1) in the controlled mode.
(ii) Operating parameters must be established during these tests,
as required by Sec. 63.1511(g).
(iii) The D/F emission factor for this mode of operation for use in
the demonstration of compliance with the emission limits for SAPUs
specified in Sec. 63.1505(k) must be determined.
(4) Operators of area sources must conduct performance tests for D/
F, according to the procedures in Sec. 63.1512(e) without operating a
control device, if compliance has not been previously demonstrated for
this operating mode.
(i) Testing under this paragraph must be conducted in accordance
with Sec. 63.1511(b)(1).
(ii) Testing under this paragraph must be conducted with furnace
emissions captured in accordance with the provisions of Sec.
63.1506(c) and directed to the stack or vent tested.
(iii) Operating parameters representing uncontrolled operation must
be established during these tests, as required by Sec. 63.1511(g). For
furnaces in batch (cyclic) operation, the number of tap-to-tap cycles
(including zero, if none) elapsed using the feed/charge type, feed/
charge rate and flux rate must be established as a parameter to be met
before changing to uncontrolled mode. For furnaces in continuous (non-
cyclic) operation, the time period elapsed (including no time, if none)
using the feed/charge type, feed/charge rate and flux rate must be
established as a parameter to be met before changing to uncontrolled
mode.
(iv) The D/F emission factor for this mode of operation for use in
the demonstration of compliance with the emission limits for SAPUs
specified in Sec. 63.1505(k) must be determined.
(5) To change modes of operation from uncontrolled to controlled,
the owner or operator must perform the following, before charging scrap
to the furnace that exceeds the contaminant level established for
uncontrolled mode:
(i) Change the label on the furnace to reflect controlled
operation;
(ii) Direct the furnace emissions to the control device;
(iii) Turn on the control device and begin lime addition to the
control device at the rate established for controlled mode; and
(iv) Ensure the control device is operating properly.
(6) To change modes of operation from controlled to uncontrolled,
the owner or operator must perform the following, before turning off or
bypassing the control device:
(i) Change the label on the furnace to reflect uncontrolled
operation;
(ii) Charge scrap with a level of contamination no greater than
that used in the performance test for uncontrolled furnaces for the
number of tap-to-tap cycles that elapsed (or, for continuously operated
furnaces, the time elapsed) before the uncontrolled mode performance
test was conducted; and
(iii) Decrease the flux addition rate to no higher than the flux
addition rate used in the uncontrolled mode performance test.
(7) In addition to the recordkeeping requirements of Sec. 63.1517,
the owner or operator must maintain records of the nature of each mode
change (controlled to uncontrolled, or uncontrolled to controlled), the
time the change is initiated, and the time the exhaust gas is diverted
from control device to bypass or bypass to control device.
(b) Changing from a group 1 controlled furnace processing other
than clean charge to a group 1 uncontrolled furnace processing clean
charge. An owner or operator wishing to change operating modes must
conduct performance tests in accordance with Sec. Sec. 63.1511 and
63.1512 to demonstrate to the permitting authority for major sources,
or the Administrator for area sources that compliance can be achieved
in both modes. Operating parameters relevant to each mode of operation
must be established during the performance test.
(1) Operators of major sources must conduct performance tests for
PM, HCl and D/F, according to the procedures in Sec. 63.1512(d) with
the capture system and control device operating normally if compliance
has not been previously demonstrated in this operating mode.
Performance tests must be repeated at least once every 5 years to
demonstrate compliance for each operating mode.
(i) Testing under this paragraph must be conducted in accordance
with Sec. 63.1511(b)(1) in the controlled mode.
(ii) Operating parameters must be established during these tests,
as required by Sec. 63.1511(g).
(iii) The emission factors for this mode of operation for use in
the demonstration of compliance with the emission limits for SAPUs
specified in Sec. 63.1505(k) must be determined.
(2) Operators of major sources must conduct performance tests for
PM, HCl, HF and D/F, according to the procedures in Sec. 63.1512(e)
without operating a control device if compliance has not been
previously demonstrated for this operating mode. Performance tests must
be repeated at least once every 5 years to demonstrate compliance for
each operating mode.
(i) Testing under this paragraph may be conducted at any time after
operation with clean charge has commenced.
(ii) Testing under this paragraph must be conducted with furnace
emissions captured in accordance with the provisions of Sec.
63.1506(c) and directed to the stack or vent tested.
(iii) Operating parameters representing uncontrolled operation must
be established during these tests, as required by Sec. 63.1511(g). For
furnaces in batch (cyclic) operation, the number of tap-to-tap cycles
(including zero, if none) elapsed using the feed/charge type, feed/
charge rate and flux rate must be established as a parameter to be met
before changing to uncontrolled mode. For furnaces in continuous (non-
cyclic) operation, the time period elapsed (including no time if none)
using the feed/charge type, feed/charge rate and flux rate must be
established as a parameter to be met before changing to uncontrolled
mode.
(iv) Emissions of D/F during this test must not exceed 1.5 [micro]g
TEQ/Mg of feed/charge.
(v) The emission factors for this mode of operation for use in the
demonstration of compliance with the emission limits for SAPUs
specified in Sec. 63.1505(k), must be determined.
(3) Operators of area sources must conduct performance tests for D/
F, according to the procedures in Sec. 63.1512(d) with the capture
system and control device operating normally, if compliance has not
been previously demonstrated for this operating mode.
(i) Testing under this paragraph must be conducted in accordance
with Sec. 63.1511(b)(1).
(ii) Operating parameters must be established during these tests,
as required by Sec. 63.1511(g).
(iii) The D/F emission factor for this mode of operation for use in
the demonstration of compliance with the emission limits for SAPUs
specified in Sec. 63.1505(k) must be determined.
(4) Operators of area sources must conduct performance tests for D/
F, according to the procedures in Sec. 63.1512(e) without operating a
control device if compliance has not been previously demonstrated for
this operating mode.
[[Page 56751]]
(i) Testing under this paragraph must be conducted at any time
after operation with clean charge has commenced and must be conducted
in accordance with Sec. 63.1511(b)(1) and under representative
conditions expected to produce the highest level of D/F in the
uncontrolled mode.
(ii) Testing under this paragraph must be conducted with furnace
emissions captured in accordance with the provisions of Sec.
63.1506(c) and directed to the stack or vent tested.
(iii) Operating parameters representing uncontrolled operation must
be established during these tests, as required by Sec. 63.1511(g). For
furnaces in batch (cyclic) operation, the number of tap-to-tap cycles
elapsed (including zero, if none) using the feed/charge type, feed/
charge rate and flux rate must be established as a parameter to be met
before changing to uncontrolled mode. For furnaces in continuous (non-
cyclic) operation, the time period elapsed (including no time, if none)
using the feed/charge type, feed/charge rate and flux rate must be
established as a parameter to be met before changing to uncontrolled
mode.
(iv) Emissions of D/F during this test must not exceed 1.5 [micro]g
TEQ/Mg of feed/charge.
(5) To change modes of operation from uncontrolled to controlled,
the owner or operator must perform the following, before charging scrap
to the furnace that exceeds the contaminant level established for
uncontrolled mode:
(i) Change the label on the furnace to reflect controlled
operation;
(ii) Direct the furnace emissions to the control device;
(iii) Turn on the control device and begin lime addition to the
control device at the rate established for controlled mode; and
(iv) Ensure the control device is operating properly.
(6) To change modes of operation from controlled to uncontrolled,
the owner or operator must perform the following, before turning off or
bypassing the control device:
(i) Change the label on the furnace to reflect uncontrolled
operation;
(ii) Charge clean charge for the number of tap-to-tap cycles that
elapsed (or, for continuously operated furnaces, the time elapsed)
before the uncontrolled mode performance test was conducted; and
(iii) Decrease the flux addition rate to no higher than the flux
addition rate used in the uncontrolled mode performance test.
(7) In addition to the recordkeeping requirements of Sec. 63.1517,
the owner or operator must maintain records of the nature of each mode
change (controlled to uncontrolled, or uncontrolled to controlled), the
time the furnace operating mode change is initiated, and the time the
exhaust gas is diverted from control device to bypass or from bypass to
control device.
(c) Changing from a group 1 controlled or uncontrolled furnace to a
group 2 furnace. An owner or operator wishing to change operating modes
must conduct performance tests in accordance with Sec. Sec. 63.1511
and 63.1512 to demonstrate to the permitting authority for major
sources, or the Administrator for area sources that compliance can be
achieved under both modes and establish the number of cycles (or time)
of operation with clean charge and no reactive flux addition necessary
before changing to group 2 mode. Operating parameters relevant to group
1 operation must be established during the performance test.
(1) Operators of major sources must conduct performance tests for
PM, HCl and D/F (and HF for uncontrolled group 1 furnaces) according to
the procedures in Sec. 63.1512 if compliance has not been previously
demonstrated for the operating mode. Controlled group 1 furnaces must
conduct performance tests according to the procedures in Sec.
63.1512(d) with the capture system and control device operating
normally. Uncontrolled group 1 furnaces must conduct performance tests
according to the procedures in Sec. 63.1512(e) without operating a
control device. Performance tests must be repeated at least once every
5 years to demonstrate compliance for each operating mode.
(i) Testing under this paragraph must be conducted in accordance
with Sec. 63.1511(b)(1) in both modes.
(ii) Operating parameters must be established during these tests,
as required by Sec. 63.1511(g).
(iii) The emission factors for this mode of operation for use in
the demonstration of compliance with the emission limits for SAPUs
specified in Sec. 63.1505(k) must be determined.
(2) While in compliance with the operating requirements of Sec.
63.1506(o) for group 2 furnaces, operators of major sources must
conduct performance tests for PM, HCl, HF and D/F, according to the
procedures in Sec. 63.1512(e) without operating a control device if
compliance has not been previously demonstrated for this operating
mode. Performance tests must be repeated at least once every 5 years to
demonstrate compliance for each operating mode.
(i) Testing under this paragraph may be conducted at any time after
the furnace has commenced operation with clean charge and without
reactive flux addition.
(ii) Testing under this paragraph must be conducted with furnace
emissions captured in accordance with the provisions of Sec.
63.1506(c) and directed to the stack or vent tested.
(iii) Owners or operators must demonstrate that emissions are no
greater than:
(A) 1.5 [micro]g D/F (TEQ) per Mg of feed/charge;
(B) 0.040 lb HCl or HF per ton of feed/charge; and
(C) 0.040 lb PM per ton of feed/charge.
(iv) The number of tap-to-tap cycles, or time elapsed between
starting operation with clean charge and no reactive flux addition and
the group 2 furnace performance test must be established as an
operating parameter to be met before changing to group 2 mode.
(3) Operators of area sources must conduct a performance tests for
D/F, according to the procedures in Sec. 63.1512 if compliance has not
been previously demonstrated for the operating mode. Controlled group 1
furnaces must conduct performance tests according to the procedures in
Sec. 63.1512(d) with the capture system and control device operating
normally. Uncontrolled group 1 furnaces must conduct performance tests
according to the procedures in Sec. 63.1512(e) without operating a
control device.
(i) The performance tests must be conducted in accordance with
Sec. 63.1511(b)(1) under representative conditions expected to produce
the highest expected level of D/F in the group 1 mode.
(ii) Operating parameters must be established during these tests,
as required by Sec. 63.1511(g).
(iii) The D/F emission factor for this mode of operation, for use
in the demonstration of compliance with the emission limits for SAPUs
specified in Sec. 63.1505(k) must be determined.
(4) While in compliance with the operating requirements of Sec.
63.1506(o) for group 2 furnaces, operators of area sources must conduct
performance tests for D/F, according to the procedures in Sec.
63.1512(e) without operating a control device if compliance has not
been previously demonstrated for this operating mode.
(i) Testing under this paragraph may be conducted at any time after
the furnace has commenced operation with clean charge, and without
reactive flux addition.
(ii) Testing under this paragraph must be conducted with furnace
emissions captured in accordance with the
[[Page 56752]]
provisions of Sec. 63.1506(c) and directed to the stack or vent
tested.
(iii) Owners or operators must demonstrate that emissions are no
greater than 1.5 [micro]g D/F (TEQ) per Mg of feed/charge.
(iv) The number of tap-to-tap cycles, or time elapsed between
starting operation with clean charge and no reactive flux and the group
2 furnace performance tests must be established as an operating
parameter to be met before changing to group 2 mode.
(5) To change modes of operation from a group 2 furnace to a group
1 furnace, the owner or operator must perform the following before
adding other than clean charge and before adding reactive flux to the
furnace:
(i) Change the label on the furnace to reflect group 1 operation;
(ii) Direct the furnace emissions to the control device, if it is
equipped with a control device;
(iii) If the furnace is equipped with a control device, turn on the
control device and begin lime addition to the control device at the
rate established for group 1 mode; and
(iv) Ensure the control device is operating properly.
(6) To change mode of operation from a group 1 furnace to group 2
furnace, the owner or operator must perform the following, before
turning off or bypassing the control device:
(i) Change the label on the furnace to reflect group 2 operation;
(ii) Charge clean charge for the number of tap-to-tap cycles that
elapsed (or, for continuously operated furnaces, the time elapsed)
before the group 2 performance test was conducted; and,
(iii) Use no reactive flux.
(7) In addition to the recordkeeping requirements of Sec. 63.1517,
the owner or operator must maintain records of the nature of each mode
change (controlled or uncontrolled to group 2), the time the change is
initiated, and the time the exhaust gas is diverted from control device
to bypass or from bypass to control device.
(d) Changing from a group 1 controlled or uncontrolled furnace to
group 2 furnace, for tilting reverberatory furnaces capable of
completely removing furnace contents between batches. An owner or
operator of a tilting reverberatory furnace capable of completely
removing furnace contents between batches who wishes to change
operating modes must conduct performance tests in accordance with
Sec. Sec. 63.1511 and 63.1512 to demonstrate to the permitting
authority for major sources, or the Administrator for area sources that
compliance can be achieved under group 1 modes. Operating parameters
relevant to group 1 operation must be established during the
performance test.
(1) Operators of major sources must conduct performance tests for
PM, HCl, and D/F (and HF for uncontrolled furnaces) according to the
procedures in Sec. 63.1512 if compliance has not been previously
demonstrated for this operating mode. Controlled group 1 furnaces must
conduct performance tests with the capture system and control device
operating normally if compliance has not been previously demonstrated
for the operating mode. Controlled group 1 furnaces must conduct
performance tests according to the procedures in Sec. 63.1512(d) with
the capture system and control device operating normally. Uncontrolled
group 1 furnaces must conduct performance tests according to the
procedures in Sec. 63.1512(e) without operating a control device.
Performance tests must be repeated at least once every 5 years to
demonstrate compliance for each operating mode.
(i) Testing under this paragraph must be conducted in accordance
with Sec. 63.1511(b)(1) in both modes.
(ii) Operating parameters must be established during these tests,
as required by Sec. 63.1511(g).
(iii) The emission factors for this mode of operation for use in
the demonstration of compliance with the emission limits for SAPUs
specified in Sec. 63.1505(k), must be determined.
(2) Operators of area sources must conduct performance tests for D/
F according to the procedures in Sec. 63.1512 if compliance has not
been previously demonstrated for this operating mode. Controlled group
1 furnaces must conduct performance tests according to the procedures
in Sec. 63.1512(d) with the capture system and control device
operating normally. Uncontrolled group 1 furnaces must conduct
performance tests according to the procedures in Sec. 63.1512(e)
without operating a control device.
(i) The performance test must be conducted in accordance with Sec.
63.1511(b)(1) under representative conditions expected to produce the
highest expected level of D/F in the group 1 mode.
(ii) Operating parameters must be established during these tests,
as required by Sec. 63.1511(g).
(iii) The D/F emission factor for this mode of operation for use in
the demonstration of compliance with the emission limits for SAPUs
specified in Sec. 63.1505(k) must be determined.
(3) To change modes of operation from a group 1 furnace to a group
2 furnace, the owner or operator must perform the following before
turning off or bypassing the control device:
(i) Completely remove all aluminum from the furnace;
(ii) Change the label on the furnace to reflect group 2 operation;
(iii) Use only clean charge; and
(iv) Use no reactive flux.
(4) To change modes of operation from a group 2 furnace to a group
1 furnace, the owner or operator must perform the following before
adding other than clean charge and before adding reactive flux to the
furnace:
(i) Change the label on the furnace to reflect group 1 operation;
(ii) Direct the furnace emissions to the control device, if it is
equipped with a control device;,
(iii) If the furnace is equipped with a control device, turn on the
control device and begin lime addition to the control device at the
rate established for group 1 mode; and
(iv) Ensure the control device is operating properly.
(5) In addition to the recordkeeping requirements of Sec. 63.1517,
the owner or operator must maintain records of the nature of each mode
change (group 1 to group 2, or group 2 to group 1), the time the
furnace operating mode change is initiated, and, if the furnace is
equipped with a control device, the time the exhaust gas is diverted
from control device to bypass or from bypass to control device.
(e) Limit on Frequency of changing furnace operating mode. (1)
Changing furnace operating mode including reversion to the previous
mode, as provided in paragraphs (a) through (d) of this section, may
not be done more frequently than 4 times in any 6-month period unless
you receive approval from the permitting authority or Administrator for
additional changes pursuant to paragraph (e)(2).
(2) If additional changes are needed, the owner or operator must
apply in advance to the permitting authority, for major sources, or the
Administrator, for area sources, for approval of the additional changes
in operating mode.
0
13. Section 63.1515 is amended by:
0
a. Revising paragraphs (a) introductory text, and (b)(4); and
0
b. Removing paragraph (b)(10).
The revisions read as follows:
Sec. 63.1515 Notifications.
(a) Initial notifications. The owner or operator must submit
initial notifications to the permitting authority for major sources, or
the Administrator for area sources as described in paragraphs (a)(1)
through (7) of this section.
* * * * *
[[Page 56753]]
(b) * * *
(4) The compliant operating parameter value or range established
for each affected source or emission unit with supporting documentation
and a description of the procedure used to establish the value (e.g.,
lime injection rate, total reactive chlorine flux injection rate, total
reactive fluorine flux injection rate for uncontrolled group 1
furnaces, afterburner operating temperature, fabric filter inlet
temperature), including the operating cycle or time period used in the
performance test.
* * * * *
0
14. Section 63.1516 is amended by:
0
a. Removing and reserving paragraph (a);
0
b. Revising paragraph (b) introductory text;
0
c. Removing and reserving paragraph and (b)(1)(v);
0
d. Adding paragraphs (b)(2)(vii) and (b)(3)(i);
0
e. Revising paragraph (c) introductory text; and
0
f. Adding paragraphs (d) and (e).
The additions and revisions read as follows:
Sec. 63.1516 Reports.
* * * * *
(b) Excess emissions/summary report. The owner or operator of a
major or area source must submit semiannual reports according to the
requirements in Sec. 63.10(e)(3). Except, the owner or operator must
submit the semiannual reports within 60 days after the end of each 6-
month period instead of within 30 days after the calendar half as
specified in Sec. 63.10(e)(3)(v). When no deviations of parameters
have occurred, the owner or operator must submit a report stating that
no excess emissions occurred during the reporting period.
* * * * *
(2) * * *
(vii) For each affected source choosing to demonstrate compliance
during periods of startup and shutdown in accordance with Sec.
63.1513(f)(1): ``During each startup and shutdown, no flux and no feed/
charge were added to the emission unit, and electricity, propane or
natural gas were used as the sole source of heat or the emission unit
was not heated.''
* * * * *
(3) * * *
(i) Within 60 days after the date of completing each performance
test (as defined in Sec. 63.2) required by this subpart, you must
submit the results of the performance tests, including any associated
fuel analyses, following the procedure specified in either paragraph
(b)(3)(i)(A) or (B) of this section.
(A) For data collected using test methods supported by the EPA's
Electronic Reporting Tool (ERT) as listed on the EPA's ERT Web site
(https://www.epa.gov/ttn/chief/ert/), you must submit the
results of the performance test to the EPA via the Compliance and
Emissions Data Reporting Interface (CEDRI). CEDRI can be accessed
through the EPA's Central Data Exchange (CDX) (https://cdx.epa.gov/epa_home.asp). Performance test data must be submitted in a file format
generated through the use of the EPA's ERT. Alternatively, you may
submit performance test data in an electronic file format consistent
with the extensible markup language (XML) schema listed on the EPA's
ERT Web site once the XML schema is available. If you claim that some
of the performance test information being submitted is confidential
business information (CBI), you must submit a complete file generated
through the use of the EPA's ERT or an alternate electronic file
consistent with the XML schema listed on the EPA's ERT Web site,
including information claimed to be CBI, on a compact disc, flash
drive, or other commonly used electronic storage media to the EPA. The
electronic media must be clearly marked as CBI and mailed to U.S. EPA/
OAPQS/CORE CBI Office, Attention: Group Leader, Measurement Policy
Group, MD C404-02, 4930 Old Page Rd., Durham, NC 27703. The same ERT or
alternate file with the CBI omitted must be submitted to the EPA via
the EPA's CDX as described earlier in this paragraph.
(B) For data collected using test methods that are not supported by
the EPA's ERT as listed on the EPA's ERT Web site, you must submit the
results of the performance test to the Administrator at the appropriate
address listed in Sec. 63.13.
* * * * *
(c) Annual compliance certifications. For the purpose of annual
certifications of compliance required by 40 CFR part 70 or 71, the
owner or operator of a major source subject to this subpart must
certify continuing compliance based upon, but not limited to, the
following conditions:
* * * * *
(d) If there was a malfunction during the reporting period, the
owner or operator must submit a report that includes the emission unit
ID, monitor ID, pollutant or parameter monitored, beginning date and
time of the event, end date and time of the event, cause of the
deviation or exceedance and corrective action taken for each
malfunction which occurred during the reporting period and which caused
or may have caused any applicable emission limitation to be exceeded.
The report must include a list of the affected source or equipment, an
estimate of the quantity of each regulated pollutant emitted over any
emission limit, and a description of the method used to estimate the
emissions, including, but not limited to, product-loss calculations,
mass balance calculations, measurements when available, or engineering
judgment based on known process parameters. The report must also
include a description of actions taken by an owner or operator during a
malfunction of an affected source to minimize emissions in accordance
with Sec. Sec. 63.1506(a)(5) and 63.1520(a)(8).
(e) All reports required by this subpart not subject to the
requirements in paragraph (b) of this section must be sent to the
Administrator at the appropriate address listed in Sec. 63.13. If
acceptable to both the Administrator and the owner or operator of a
source, these reports may be submitted on electronic media. The
Administrator retains the right to require submittal of reports subject
to paragraph (b) of this section in paper format.
0
15. Section 63.1517 is amended by:
0
a. By revising paragraphs (b)(1)(iii), (b)(4)(ii), (b)(14);
0
b. By removing and reserving paragraph (b)(16)(i); and
0
c. By adding paragraphs (b)(18) through (20).
The additions and revisions read as follows:
Sec. 63.1517 Records.
* * * * *
(b) * * *
(1) * * *
(iii) If an aluminum scrap shredder is subject to visible emission
observation requirements, records of all Method 9 observations,
including records of any visible emissions during a 30-minute daily
test or records of all ASTM D7520-13 observations (incorporated by
reference, see Sec. 63.14), including data sheets and all raw
unaltered JPEGs used for opacity determination, with a brief
explanation of the cause of the emissions, the time the emissions
occurred, the time corrective action was initiated and completed, and
the corrective action taken.
* * * * *
(4) * * *
(ii) If lime feeder setting is monitored, records of daily and
monthly inspections of feeder setting, including records of any
deviation of the feeder setting from the setting used in the
performance test, with a brief
[[Page 56754]]
explanation of the cause of the deviation and the corrective action
taken. If a lime feeder has been repaired or replaced, this action must
be documented along with records of the new feeder calibration and the
feed mechanism set points necessary to maintain the lb/hr feed rate
operating limit. These records must be maintained on site and available
upon request.
* * * * *
(14) Records of annual inspections of emission capture/collection
and closed vent systems or, if the alternative to the annual flow rate
measurements is used, records of differential pressure; fan RPM or fan
motor amperage; static pressure measurements; or duct centerline
velocity using a hotwire anemometer, ultrasonic flow meter, cross-duct
pressure differential sensor, venturi pressure differential monitoring
or orifice plate equipped with an associated thermocouple, as
appropriate.
* * * * *
(18) For any failure to meet an applicable standard, the owner or
operator must maintain the following records;
(i) Records of the emission unit ID, monitor ID, pollutant or
parameter monitored, beginning date and time of the event, end date and
time of the event, cause of the deviation or exceedance and corrective
action taken.
(ii) Records of actions taken during periods of malfunction to
minimize emissions in accordance with Sec. Sec. 63.1506(a)(5) and
63.1520(a)(8), including corrective actions to restore malfunctioning
process and air pollution control and monitoring equipment to its
normal or usual manner of operation.
(19) For each period of startup or shutdown for which the owner or
operator chooses to demonstrate compliance for an affected source, the
owner or operator must comply with (b)(19)(i) or (ii) of this section.
(i) To demonstrate compliance based on a feed/charge rate of zero,
a flux rate of zero and the use of electricity, propane or natural gas
as the sole sources of heating or the lack of heating, the owner or
operator must submit a semiannual report in accordance with Sec.
63.1516(b)(2)(vii) or maintain the following records:
(A) The date and time of each startup and shutdown;
(B) The quantities of feed/charge and flux introduced during each
startup and shutdown; and
(C) The types of fuel used to heat the unit, or that no fuel was
used, during startup and shutdown; or
(ii) To demonstrate compliance based on performance tests, the
owner or operator must maintain the following records:
(A) The date and time of each startup and shutdown;
(B) The measured emissions in lb/hr or [mu]g/hr or ng/hr;
(C) The measured feed/charge rate in tons/hr or Mg/hr from your
most recent performance test associated with a production rate greater
than zero, or the rated capacity of the affected source if no prior
performance test data is available; and
(D) An explanation to support that such conditions are considered
representative startup and shutdown operations.
(20) For owners or operators that choose to change furnace
operating modes, the following records must be maintained:
(i) The date and time of each change in furnace operating mode, and
(ii)The nature of the change in operating mode (for example, group
1 controlled furnace processing other than clean charge to group 2).
* * * * *
16. Table 1 to Subpart RRR of part 63 is revised to read as
follows:
[[Page 56755]]
[GRAPHIC] [TIFF OMITTED] TR18SE15.016
[[Page 56756]]
[GRAPHIC] [TIFF OMITTED] TR18SE15.017
[[Page 56757]]
0
17. Table 2 to Subpart RRR of part 63 is amended by:
0
a. Revising the entry ``All affected sources and emission units with an
add-on air pollution control device;''
0
b. Revising the entry ``Scrap dryer/delacquering kiln/decoating kiln
with afterburner and lime-injected fabric filter;''
0
c. Revising the entry ``In-line fluxer with lime-injected fabric filter
(including those that are part of a secondary aluminum processing
unit);''
0
d. Revising entry ``Group 1 furnace with lime-injected fabric filter
(including those that are part of a secondary of aluminum processing
unit);''
0
e. Revising the entry Group 1 furnace without add-on air pollution
controls (including those that are part of a secondary aluminum
processing unit);
0
f. Revising footnote c to Table 2; and
0
g. Adding footnotes d and e to Table 2.
The revisions and additions read as follows:
Table 2 to Subpart RRR of Part 63--Summary of Operating Requirements for
New and Existing Affected Sources and Emission Units
------------------------------------------------------------------------
Monitor type/ Operating
Affected source/emission unit operation/process requirements
------------------------------------------------------------------------
All affected sources and Emission capture Design and install in
emission units with an add-on and collection accordance with
air pollution control device. system. ACGIH Guidelines;
\e\ operate in
accordance with OM&M
plan (sweat furnaces
may be operated
according to
63.1506(c)(4)).\b\
* * * * * * *
Scrap dryer/delacquering kiln/ Afterburner Maintain average
decoating kiln with operating temperature for each
afterburner and lime-injected temperature. 3-hr period at or
fabric filter. above average
operating
temperature during
the performance
test.
Afterburner Operate in accordance
operation. with OM&M plan.\b\
Bag leak detector Initiate corrective
or. action within 1-hr
of alarm and
complete in
accordance with the
OM&M plan; \b\
operate such that
alarm does not sound
more than 5% of
operating time in 6-
month period.
COM.............. Initiate corrective
action within 1-hr
of a 6-minute
average opacity
reading of 5% or
more and complete in
accordance with the
OM&M plan.\b\
Fabric filter Maintain average
inlet fabric filter inlet
temperature. temperature for each
3-hr period at or
below average
temperature during
the performance test
+14 [deg]C (+25
[deg]F).
Lime injection Maintain free-flowing
rate. lime in the feed
hopper or silo at
all times for
continuous injection
systems; maintain
feeder setting at or
above the level
established during
the performance test
for continuous
injection systems.
* * * * * * *
In-line fluxer with lime- Bag leak detector Initiate corrective
injected fabric filter or. action within 1-hr
(including those that are of alarm and
part of a secondary aluminum complete in
processing unit). accordance with the
OM&M plan; \b\
operate such that
alarm does not sound
more than 5% of
operating time in 6-
month period.
COM.............. Initiate corrective
action within 1-hr
of a 6-minute
average opacity
reading of 5% or
more and complete in
accordance with the
OM&M plan.\b\
Lime injection Maintain free-flowing
rate. lime in the feed
hopper or silo at
all times for
continuous injection
systems; maintain
feeder setting at or
above the level
established during
performance test for
continuous injection
systems.
Reactive flux Maintain reactive
injection rate. flux injection rate
at or below rate
used during the
performance test for
each operating cycle
or time period used
in the performance
test.
* * * * * * *
Group 1 furnace with lime- Bag leak detector Initiate corrective
injected fabric filter or. action within 1-hr
(including those that are of alarm; operate
part of a secondary of such that alarm does
aluminum processing unit). not sound more than
5% of operating time
in 6-month period;
complete corrective
action in accordance
with the OM&M
plan.\b\
COM.............. Initiate corrective
action within 1-hr
of a 6-minute
average opacity
reading of 5% or
more; complete
corrective action in
accordance with the
OM&M plan.\b\
Fabric filter Maintain average
inlet fabric filter inlet
temperature. temperature for each
3-hour period at or
below average
temperature during
the performance test
+14[deg] C (+25[deg]
F).
Natural gas- Operation of
fired, propane- associated capture/
fired or collection systems
electrically and APCD \b\ may be
heated group 1 temporarily stopped.
furnaces that Operation of these
will be idled capture/collection
for at least 24 systems and control
hours. devices must be
restarted before
feed/charge, flux or
alloying materials
are added to the
furnace.
Reactive flux Maintain reactive
injection rate. flux injection rate
(kg/Mg) (lb/ton) at
or below rate used
during the
performance test for
each furnace cycle.
[[Page 56758]]
Lime injection Maintain free-flowing
rate. lime in the feed
hopper or silo at
all times for
continuous injection
systems; maintain
feeder setting at or
above the level
established at
performance test for
continuous injection
systems.
Maintain molten Operate sidewell
aluminum level. furnaces such that
the level of molten
metal is above the
top of the passage
between sidewell and
hearth during
reactive flux
injection, unless
the hearth is also
controlled.
Fluxing in Add reactive flux
sidewell furnace only to the sidewell
hearth. of the furnace
unless the hearth is
also controlled.
Group 1 furnace without add-on Reactive flux Maintain the total
air pollution controls injection rate. reactive chlorine
(including those that are flux injection rate
part of a secondary aluminum and total reactive
processing unit). fluorine injection
rate for each
operating cycle or
time period used in
the performance test
at or below the
average rate
established during
the performance
test.
Site-specific Operate each furnace
monitoring in accordance with
plan.\c\ the work practice/
pollution prevention
measures documented
in the OM&M plan and
within the parameter
values or ranges
established in the
OM&M plan.
Feed Use only clean
material(melting/ charge.
holding furnace).
* * * * * *
------------------------------------------------------------------------
* * * * * *
\c\ Site-specific monitoring plan. Owner/operators of group 1 furnaces
without add-on APCD must include a section in their OM&M plan that
documents work practice and pollution prevention measures, including
procedures for scrap inspection, by which compliance is achieved with
emission limits and process or feed parameter-based operating
requirements. This plan and the testing to demonstrate adequacy of the
monitoring plan must be developed in coordination with and approved by
the permitting authority for major sources, or the Administrator for
area sources.
\d\ APCD--Air pollution control device.
\e\ Incorporated by reference, see Sec. 63.14.
0
18. Table 3 to Subpart RRR of part 63 is amended by:
0
a. Revising the entry ``All affected sources and emission units with an
add-on air pollution control device;''
0
b. Revising the entry ``All affected sources and emission units subject
to production-based (lb/ton of feed/charge) emission limits;''
0
c. Revising the entry ``Aluminum scrap shredder with fabric filter;''
0
d. Revising the entry ``Scrap dryer/delacquering kiln/decoating kiln
with afterburner and lime-injected fabric filter;''
0
e. Revising entry ``Dross-only furnace with fabric filter;''
0
f. Revising the entry ``Rotary dross cooler with fabric filter;''
0
g. Revising the entry ``In-line fluxer with lime-injected fabric
filter;''
0
h. Revising the entry ``Group 1 furnace with lime-injected fabric
filter;''
0
i. Revise entry ``Group 1 furnace without add-on controls;''
0
j. Revise footnote c to Table 3;
0
k. Revising footnote d to Table 3; and
0
l. Adding footnote e to Table 3.
The revisions and additions read as follows:
Table 3 to Subpart RRR of Part 63--Summary of Monitoring Requirements
for New and Existing Affected Sources and Emission Units
------------------------------------------------------------------------
Monitor type/ Monitoring
Affected source/ emission unit operation/process requirements
------------------------------------------------------------------------
All affected sources and Emission capture Annual inspection of
emission units with an add-on and collection all emission
air pollution control device. system. capture, collection,
and transport
systems to ensure
that systems
continue to operate
in accordance with
ACGIH Guidelines.\e\
Inspection includes
volumetric flow rate
measurements or
verification of a
permanent total
enclosure using EPA
Method 204.\d\
All affected sources and Feed/charge Record weight of each
emission units subject to weight. feed/charge, weight
production-based (lb/ton or measurement device
gr/ton of feed/charge) or other procedure
emission limits.\a\. accuracy of 1%; \b\
calibrate according
to manufacturer's
specifications, or
at least once every
6 months.
* * * * * * *
Aluminum scrap shredder with Bag leak detector Install and operate
fabric filter. or. in accordance with
manufacturer's
operating
instructions.
COM or........... Design and install in
accordance with PS-
1; collect data in
accordance with
subpart A of 40 CFR
part 63; determine
and record 6-minute
block averages.
VE............... Conduct and record
results of 30-minute
daily test in
accordance with
Method 9 or ASTM
D7520-13.\e\
[[Page 56759]]
* * * * * * *
Scrap dryer/delacquering kiln/ Afterburner Continuous
decoating kiln with operating measurement device
afterburner and lime-injected temperature. to meet
fabric filter. specifications in
Sec.
63.1510(g)(1);
record temperature
for each 15-minute
block; determine and
record 3-hr block
averages.
Afterburner Annual inspection of
operation. afterburner internal
parts; complete
repairs in
accordance with the
OM&M plan.
Bag leak detector Install and operate
or. in accordance with
manufacturer's
operating
instructions.
COM.............. Design and Install in
accordance with PS-
1; collect data in
accordance with
subpart A of 40 CFR
part 63; determine
and record 6-minute
block averages.
Lime injection For continuous
rate. injection systems,
inspect each feed
hopper or silo every
8 hours to verify
that lime is free
flowing; record
results of each
inspection. If
blockage occurs,
inspect every 4
hours for 3 days;
return to 8-hour
inspections if
corrective action
results in no
further blockage
during 3-day period,
record feeder
setting daily.
Verify monthly that
lime injection rate
is no less than 90
percent of the rate
used during the
compliance
demonstration test.
Fabric filter Continuous
inlet measurement device
temperature. to meet
specifications in
Sec.
63.1510(h)(2);
record temperatures
in 15-minute block
averages; determine
and record 3-hr
block averages.
* * * * * * *
Dross-only furnace with fabric Bag leak detector Install and operate
filter. or. in accordance with
manufacturer's
operating
instructions.
COM.............. Design and install in
accordance with PS-
1; collect data in
accordance with
subpart A of 40 CFR
part 63; determine
and record 6-minute
block averages.
Feed/charge Record identity of
material. each feed/charge;
certify charge
materials every 6
months.
Rotary dross cooler with Bag leak detector Install and operate
fabric filter. or. in accordance with
manufacturer's
operating
instructions.
COM.............. Design and install in
accordance with PS-
1; collect data in
accordance with
subpart A of 40 CFR
part 63; determine
and record 6-minute
block averages.
In-line fluxer with lime- Bag leak detector Install and operate
injected fabric filter. or. in accordance with
manufacturer's
operating
instructions.
COM.............. Design and install in
accordance with PS-
1; collect data in
accordance with
subpart A of 40 CFR
part 63; determine
and record 6-minute
block averages.
Reactive flux Weight measurement
injection rate. device accuracy of
1%; \b\
calibrate according
to manufacturer's
specifications or at
least once every 6
months; record time,
weight and type of
reactive flux added
or injected for each
15-minute block
period while
reactive fluxing
occurs; calculate
and record total
reactive chlorine
flux injection rate
and the total
reactive fluorine
flux injection rate
flux injection rate
for each operating
cycle or time period
used in performance
test; or Alternative
flux injection rate
determination
procedure per Sec.
63.1510(j)(5). For
solid flux added
intermittently,
record the amount
added for each
operating cycle or
time period used in
the performance
test.
Lime injection For continuous
rate. injection systems,
record feeder
setting daily and
inspect each feed
hopper or silo every
8 hrs to verify that
lime is free-
flowing; record
results of each
inspection. If
blockage occurs,
inspect every 4 hrs
for 3 days; return
to 8-hour
inspections if
corrective action
results in no
further blockage
during 3-day
period.\c\ Verify
monthly that the
lime injection rate
is no less than 90
percent of the rate
used during the
compliance
demonstration test.
* * * * * * *
Group 1 furnace with lime- Bag leak detector Install and operate
injected fabric filter. or. in accordance with
manufacturer's
operating
instructions.
COM.............. Design and install in
accordance with PS-
1; collect data in
accordance with
subpart A of 40 part
CFR 63; determine
and record 6-minute
block averages.
[[Page 56760]]
Lime injection For continuous
rate. injection systems,
record feeder
setting daily and
inspect each feed
hopper or silo every
8 hours to verify
that lime is free-
flowing; record
results of each
inspection. If
blockage occurs,
inspect every 4
hours for 3 days;
return to 8-hour
inspections if
corrective action
results in no
further blockage
during 3-day
period.\c\ Verify
monthly that the
lime injection rate
is no less than 90
percent of the rate
used during the
compliance
demonstration test.
Reactive flux Weight measurement
injection rate. device accuracy of
1%; \b\
calibrate every 3
months; record
weight and type of
reactive flux added
or injected for each
15-minute block
period while
reactive fluxing
occurs; calculate
and record total
reactive chlorine
flux injection rate
and the total
reactive fluorine
flux injection rate
flux injection rate
for each operating
cycle or time period
used in performance
test; or Alternative
flux injection rate
determination
procedure per Sec.
63.1510(j)(5). For
solid flux added
intermittently,
record the amount
added for each
operating cycle or
time period used in
the performance
test.
Fabric filter Continuous
inlet measurement device
temperature. to meet
specifications in
Sec.
63.1510(h)(2);
record temperatures
in 15-minute block
averages; determine
and record 3-hour
block averages.
Maintain molten Maintain aluminum
aluminum level level operating log;
in sidewell certify every 6
furnace. months. If visual
inspection of molten
metal level is not
possible, use
physical measurement
methods.
Group 1 furnace without add-on Fluxing in Maintain flux
controls. sidewell furnace addition operating
hearth. log; certify every 6
months.
Reactive flux Weight measurement
injection rate. device accuracy of
+1%; \b\ calibrate
according to
manufacturer's
specifications or at
least once every six
months; record
weight and type of
reactive flux added
or injected for each
15-minute block
period while
reactive fluxing
occurs; calculate
and record total
reactive flux
injection rate for
each operating cycle
or time period used
in performance test.
For solid flux added
intermittently,
record the amount
added for each
operating cycle or
time period used in
the performance
test.
OM&M plan Demonstration of site-
(approved by specific monitoring
permitting procedures to
agency). provide data and
show correlation of
emissions across the
range of charge and
flux materials and
furnace operating
parameters.
Feed material Record type of
(melting/holding permissible feed/
furnace). charge material;
certify charge
materials every 6
months.
------------------------------------------------------------------------
* * * * * * *
------------------------------------------------------------------------
* * * * *
\c\ Permitting authority for major sources, or the Administrator for
area sources may approve other alternatives including load cells for
lime hopper weight, sensors for carrier gas pressure, or HCl
monitoring devices at fabric filter outlet.
\d\ The frequency of volumetric flow rate measurements may be decreased
to once every 5 years if daily differential pressure measures, daily
fan RPM, or daily fan motor amp measurements are made in accordance
with Sec. 63.1510(d)(2)(ii-iii). The frequency of annual
verification of a permanent total enclosure may be decreased to once
every 5 years if negative pressure measurements in the enclosure are
made daily in accordance with Sec. 63.1510(d)(2)(iv). In lieu of
volumetric flow rate measurements or verification of permanent total
enclosure, sweat furnaces may demonstrate annually negative air flow
into the sweat furnace opening in accordance with Sec.
63.1510(d)(3).
\e\ Incorporated by reference, see Sec. 63.14.
0
19. Appendix A to Subpart RRR of part 63 is amended by:
0
a. Revising entry Sec. Sec. 63.1(a)6)-(8);
0
b. Revising entry Sec. 63.1 (a)(9);
0
c. Revising entry Sec. 63.1(a)(10)-(14);
0
d. Revising entry Sec. 63.1(c)(3);
0
e. Revising entry Sec. 63.1(c)(4)-(5);
0
f. Revising entry Sec. 63.4(a)(1)-(3);
0
g. Revising entry Sec. 63.4(a)(4);
0
h. Removing entry Sec. 63.4(a)(5);
0
i. Revising entry Sec. 63.5(b)(3)-(6);
0
j. Adding entry Sec. 63.5(b)(5);
0
k. Adding entry Sec. 63.5(b)(6);
0
l. Revising entry Sec. 63.6(b)(1)-(5);
0
m. Removing entry Sec. 63.6(e)(1)-(2);
0
n. Adding entry Sec. 63.6(e)(1)(i);
0
o. Adding entry Sec. 63.6(e)(1)ii)
0
p. Adding entry Sec. 63.6(e)(2);
0
q. Revising entry Sec. 63.6(e)(3);
0
r. Removing entry Sec. 63.6(f);
0
s. Adding entry Sec. 63.6(f)(1);
0
t. Adding entries Sec. 63.6(f)(2);
0
u. Removing entries Sec. 63.6(h);
0
v. Adding entries Sec. 63.6(h)(1), Sec. 63.6(h)(2) and Sec.
63.6(h)(3);
0
w. Adding entry Sec. 63.6(h)(4)-(9);
0
x. Revising entry Sec. 63.7(a)-(h);
0
y. Adding entries Sec. 63.7(b), Sec. 63.7(c) and Sec. 63.7(d);
0
z. Removing entry Sec. 63.7((e);
0
aa. Adding entries Sec. 63.7(e)(1) and Sec. 63.7(e)(2);
0
bb. Revising entry Sec. 63.7(g);
0
cc. Revising entry Sec. 63.7(h);
0
dd. Removing entry Sec. 63.8((c)(1)-(3);
0
ee. Adding entries Sec. 63.8(c)(1)(i), Sec. 63.8(c)(1)(ii) and Sec.
63.8(c)(1)(iii);
0
ff. Revising entry Sec. 63.8 (c)(4)-(8);
0
gg. Revising entry Sec. 63.8(d);
0
hh. Adding entry Sec. 63.8(d)(3);
0
ii. Revising entry Sec. 63.9(b);
0
jj. Removing entry Sec. 63.10(b);
0
kk. Adding entry Sec. 63.10(b)(1);
0
ll. Adding entry Sec. 63.10(b)(2)(i),(ii), (iv), (v);
0
mm. Adding entry Sec. 63.10(b)(2)(iii), (vi) to (xiv);
0
nn. Adding entry Sec. 63.10(b)(3);
0
oo. Adding entry Sec. 63.10(c)(15);
0
pp. Revising entry Sec. 63.10(d)(4)-(5);
0
qq. Revising entry Sec. 63.11(a)-(b);
[[Page 56761]]
0
rr. Revising entry Sec. 63.14; and
0
ss. Adding entry Sec. 63.16.
The revisions and additions read as follows:
Appendix A to Subpart RRR of Part 63--General Provisions Applicability
to Subpart RRR
------------------------------------------------------------------------
Citation Applies to RRR Comment
------------------------------------------------------------------------
* * * * * * *
Sec. 63.1(a)(6)........... Yes.................
Sec. 63.1(a)(7)-(9)....... No.................. [Reserved].
Sec. 63.1(a)(10)-(12)..... Yes.................
* * * * * * *
* * * * * * *
Sec. 63.1(c)(3)-(4)....... No.................. [Reserved].
Sec. 63.1(c)(5)........... Yes.................
* * * * * * *
Sec. 63.4(a)(1)-(2)....... Yes.................
Sec. 63.4(a)(3)-(5)....... No.................. [Reserved].
* * * * * * *
Sec. 63.5(b)(3)-(4)....... Yes.................
Sec. 63.5(b)(5)........... No.................. [Reserved].
Sec. 63.5(b)(6)........... Yes.................
* * * * * * *
Sec. 63.6(b)(1)-(5)....... Yes................. Sec. 63.1501
specifies dates.
* * * * * * *
Sec. 63.6(e)(1)(i)........ No.................. See Sec.
63.1506(a)(5) for
general duty
requirement. Any
other cross
reference to Sec.
63.6(3)(1)(i) in
any other general
provision
referenced shall be
treated as a cross
reference to Sec.
63.1506(a)(5).
Sec. 63.6(e)(1)-(ii)...... No..................
Sec. 63.6(e)(2)........... No.................. [Reserved].
Sec. 63.6(e)(3)........... No..................
Sec. 63.6(f)(1)........... No..................
Sec. 63.6(f)(2)........... Yes.................
* * * * * * *
Sec. 63.6(h)(1)........... No..................
Sec. 63.6(h)(2)........... Yes.................
Sec. 63.6(h)(3)........... No.................. [Reserved].
Sec. 63.6(h)(4)-(9)....... Yes.................
* * * * * * *
Sec. 63.7(a).............. Yes................. Except Sec.
63.1511 establishes
dates for initial
performance tests.
* * * * * * *
Sec. 63.7(e)(1)........... No..................
Sec. 63.7(e)(2)........... Yes.................
* * * * * * *
Sec. 63.7(g)(1)-(3)....... Yes................. Except for Sec.
63.7(g)(2), which
is reserved.
Sec. 63.7(h)(1)-(5)....... Yes.................
* * * * * * *
Sec. 63.8(c)(1)(i)........ No.................. See Sec.
Sec. 63.8(c)(1)(ii)....... Yes................. 63.1506(a)(5) for
general duty
requirement.
Sec. 63.8(c)(1)(iii)...... No..................
Sec. 63.8(c)(2)-(8)....... Yes.................
Sec. 63.8(d)(1)-(2)....... Yes.................
Sec. 63.8(d)(3)........... Yes, except for last
sentence, which
refers to an SSM
plan. SSM plans are
not required.
* * * * * * *
Sec. 63.9(b)(1)-(5)....... Yes................. Except Sec.
63.9(b)(3) is
reserved.
* * * * * * *
Sec. 63.10(b)(1).......... Yes.................
Sec. 63.10(b)(2)(i), (ii), No..................
(iv), (v).
[[Page 56762]]
Sec. 63.10(b)(2)(iii), Yes................. Sec. 63.1517
(vi)-(xiv). includes additional
requirements.
Sec. 63.10(b)(3).......... Yes.................
* * * * * * *
Sec. 63.10(c)(15)......... No..................
* * * * * * *
Sec. 63.10(d)(4)-(5)...... No.................. See Sec.
63.1516(d).
* * * * * * *
Sec. 63.11(a)-(d)......... No.................. Flares not
applicable.
* * * * * * *
Sec. 63.14................ Yes.................
* * * * * * *
Sec. 63.16................ No..................
------------------------------------------------------------------------
[FR Doc. 2015-21031 Filed 9-17-15; 8:45 am]
BILLING CODE 6560-50-P