Ohio Regulatory Program, 63120-63125 [2015-26479]
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63120
Federal Register / Vol. 80, No. 201 / Monday, October 19, 2015 / Rules and Regulations
Executive Order 12988—Civil Justice
Reform
The Department of Interior has
conducted the reviews required by
section 3 of Executive Order 12988, and
has determined that, to the extent
allowable by law, this rule meets the
applicable standards of Subsections (a)
and (b). However, these standards are
not applicable to the actual language of
State regulatory programs and program
amendments because each program is
drafted and promulgated by a specific
State, not by OSMRE. Under sections
503 and 505 of SMCRA (30 U.S.C. 1253
and 1255) and the Federal regulations at
30 CFR 730.11, 732.15, and
732.17(h)(10), decisions on proposed
State regulatory programs and program
amendments submitted by the States
must be based solely on a determination
of whether the submittal is consistent
with SMCRA and its implementing
Federal regulations and whether the
other requirements of 30 CFR parts 730,
731 and 732 have been met.
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Executive Order 13132—Federalism
This rule does not have Federalism
implications. SMCRA delineates the
roles of the Federal and State
governments regarding the regulation of
surface coal mining and reclamation
operations. One of the purposes of
SMCRA is to ‘‘establish a nationwide
program to protect society and the
environment from the adverse effects of
surface coal mining operations.’’ Section
503(a)(1) of SMCRA requires that State
laws regulating surface coal mining and
reclamation operations be ‘‘in
accordance with’’ the requirements of
SMCRA, and Section 503(a)(7) requires
that State programs contain rules and
regulations ‘‘consistent with’’
regulations issued by the Secretary
pursuant to SMCRA.
Executive Order 13175—Consultation
and Coordination With Indian Tribal
Government
In accordance with Executive Order
13175, we have evaluated the potential
effects of this rule on Federallyrecognized Indian tribes and have
determined that the rule does not have
substantial direct effects on one or more
Indian tribes, on the relationship
between the Federal government and
Indian tribes, or on the distribution of
power and responsibilities between the
Federal government and Indian tribes.
Executive Order 13211—Regulations
That Significantly Affect the Supply,
Distribution, or Use of Energy
On May 18, 2001, the President issued
Executive Order 13211 requiring
agencies to prepare a Statement of
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Energy Effects for a rule that is (1)
considered significant under Executive
Order 12866, and (2) likely to have
significant adverse effect on the supply,
distribution, or use of energy. Because
this rule is exempt from review under
Executive Order 12866, and is not
expected to have a significant adverse
effect on the supply, distribution, or use
of energy, a Statement of Energy Effects
is not required.
National Environmental Policy Act
This rule does not require an
environmental impact statement
because section 702(d) of SMCRA (30
U.S.C. 1992(d)) provides that agency
decisions on proposed State regulatory
program provisions do not constitute
major Federal actions within the
meaning of section 102(2)(C) of the
National Environmental Policy Act (42
U.S.C. 4332(2)(C)).
Paperwork Reduction Act
This rule does not contain
information collection requirements that
require approval by OMB under the
Paperwork Reduction Act (44 U.S.C.
3507 et seq.).
Regulatory Flexibility Act
The Department of the Interior
certifies that this rule will not have a
significant economic impact on a
substantial number of small entities
under the Regulatory Flexibility Act (5
U.S.C. 601 et seq.). The State submittal,
which is the subject of this rule, is based
upon counterpart Federal regulations for
which an economic analysis was
prepared and certification made that
such regulations would not have a
significant economic effect upon a
substantial number of small entities. In
making the determination as to whether
this rule would have significant
economic impact, the Department relied
upon data and assumptions for the
counterpart Federal regulations.
Small Business Regulatory Enforcement
Fairness Act
This rule is not a major rule under 5
U.S.C. 804(2), the Small Business
Regulatory Enforcement Fairness Act.
This rule: (a) Does not have an annual
effect on the economy of $100 million;
(b) Will not cause a major increase in
costs or prices for consumers,
individual industries, Federal, State, or
local government agencies, or
geographic regions; and (c) Does not
have significant adverse effects on
competition, employment, investment,
productivity, innovation, or the ability
of U.S.-based enterprises to compete
with foreign-based enterprises. This
determination is based upon the fact
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that the State submittal, which is the
subject of this rule, is based upon
counterpart Federal regulations for
which an analysis was prepared and a
determination made that the Federal
regulation was not considered a major
rule.
Unfunded Mandates
This rule will not impose an
unfunded mandate on State, local, or
tribal governments or the private sector
of $100 million or more in any given
year. This determination is based upon
the fact that the State submittal, which
is the subject of this rule, is based upon
counterpart Federal regulations for
which an analysis was prepared and a
determination made that the Federal
regulation did not impose an unfunded
mandate.
List of Subjects in 30 CFR Part 917
Intergovernmental relations, Surface
mining, Underground mining.
Dated: September 29, 2015.
Thomas D. Shope,
Regional Director, Appalachian Region.
For the reasons set forth in the
preamble, 30 CFR part 917 is amended
as follows:
PART 917—KENTUCKY
1. The authority citation for Part 917
continues to read as follows:
■
Authority: 30 U.S.C. 1201 et seq.
§ 917.16
[Amended]
2. Section 917.16 is amended in the
table by removing and reserving
paragraphs (e) and (h).
■
[FR Doc. 2015–26478 Filed 10–16–15; 8:45 am]
BILLING CODE 4310–05–P
DEPARTMENT OF THE INTERIOR
Office of Surface Mining Reclamation
and Enforcement
30 CFR Part 935
[OH–254–FOR; Docket ID: OSM–2012–0012;
S1D1S SS08011000 SX066A000
156S180110; S2D2S SS08011000
SX066A000 15XS501520]
Ohio Regulatory Program
Office of Surface Mining
Reclamation and Enforcement, Interior.
ACTION: Final rule; approval of
amendment and addition of a required
regulatory program amendment.
AGENCY:
We are approving, with one
additional requirement, an amendment
to the Ohio regulatory program (the
Ohio program) under the Surface
SUMMARY:
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Mining Control and Reclamation Act of
1977 (SMCRA or the Act). The
amendment we are approving updates
the Ohio Administrative Code (OAC) to
address issues raised by OSMRE
regarding the consistency of Ohio’s
program with the final Federal rule
relative to Ownership and Control,
Permit and Application Information and
Transfer, and Assignment or Sale of
Permit Rights, which became effective
on December 3, 2007. The amendment
specifically revises the following
regulations within the OAC: Definitions;
Incorporation by reference; permit
applications, requirements for legal,
financial, compliance and related
information; permit applications,
revisions, and renewals, and transfers,
assignments, and sales of permit rights;
improvidently issued permits; and
enforcement and individual civil
penalties. Ohio submitted this
amendment to ensure the Ohio program
is consistent with, and in accordance
with, SMCRA, and no less effective than
the corresponding regulations. During
the course of our review of this
amendment, we determined that Ohio
must amend its program to ensure the
term ‘‘violation notice’’ is consistent
with the approved Ohio program.
DATES: Effective date: October 19, 2015.
FOR FURTHER INFORMATION CONTACT: Mr.
Ben Owens, Chief, Pittsburgh Field
Division, Office of Surface Mining
Reclamation and Enforcement, 4605
Morse Road, Rm. 102, Columbus, Ohio
43230; Telephone: (614) 416–2238;
email: bowens@osmre.gov; Fax: (614)
416–2248.
SUPPLEMENTARY INFORMATION:
I. Background of the Ohio Program
II. Description and Submission of the
Amendment
III. OSMRE’s Findings
IV. Summary and Disposition of Comments
V. OSMRE’s Decision
VI. Procedural Determinations
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I. Background on the Ohio Program
Section 503(a) of the SMCRA permits
a state to assume primacy for the
regulation of surface coal mining and
reclamation operations on non-Federal
and non-Indian lands within its borders
by demonstrating that its program
includes, among other things, ‘‘a State
law which provides for the regulation of
surface coal mining and reclamation
operations in accordance with the
requirements of this Act . . . ; and rules
and regulations consistent with
regulations issued by the Secretary
pursuant to this Act.’’ See 30 U.S.C.
1253(a)(1) and (7). On the basis of these
criteria, the Secretary of the Interior
conditionally approved the Ohio
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program effective August 16, 1982. You
can find background information on the
Ohio program, including the Secretary’s
findings, the disposition of comments,
and the conditions of approval of the
Ohio program in the August 16, 1982,
Federal Register (47 FR 34688). You can
also find later actions concerning Ohio’s
regulatory program and regulatory
program amendments at 30 CFR 935.11,
935.15, and 935.30.
II. Description and Submission of the
Proposed Amendment
Following the approval of the
December 3, 2007, Federal rule,
‘‘Ownership and Control; Permit and
Application Information; Transfer,
Assignment, or Sale of Permit Rights;
Final Rule,’’ Federal Register (72 FR
68000), OSMRE performed a side-byside comparison of Ohio’s regulations to
ensure the OAC provisions were no less
effective than the Federal regulations.
Following the review of Ohio’s
regulations, OSMRE and Ohio discussed
the implementation of Ohio regulations
and potential revisions. Ohio, via a
letter of September 25, 2009,
(Administrative Record Number OH–
2190–01) responded to the findings of
the OSMRE side-by-side analysis. This
response described Ohio’s plan to
address provisions that were
determined by OSMRE to be less
effective than the Federal regulations,
and stated an Ohio proposed
amendment would be submitted to
OSMRE. By letter dated March 30, 2012,
(Administrative Record Number OH
2190–01), Ohio sent OSMRE a request to
approve six revised regulations. This
amendment contains the changes made
to the OAC as a result of the side-byside review conducted by OSMRE. Key
provisions of the approved amendment
add the definitions of ‘‘knowingly,’’
‘‘transfer, assignment, or sale of permit
rights,’’ and ‘‘violation’’ to the OAC;
require enhanced identification of
interests; add a provision for a central
repository documenting identification of
interests; and alter procedures for the
determination of an improvidently
issued permit.
We announced receipt of the
proposed amendment in the August 3,
2012, Federal Register (77 FR 46346). In
the same document, we opened the
public comment period and provided an
opportunity for a public hearing or
meeting.
We did not hold a public hearing or
meeting because no one requested one.
The public comment period ended on
September 4, 2012. One comment was
posted in the Federal Docket
Management System in response to the
proposal. However, it was later
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determined that this comment was
erroneously posted and was not related
to the proposed amendment. Therefore,
no comments were received.
III. OSMRE’s Findings
We are approving the amendment
request under SMCRA and the Federal
regulations at 30 CFR 732.15 and
732.17. There are a few changes that are
not addressed in the Findings because
they involve minor clarifications and
non-substantive corrections. The
following outlines the approved
amendment to the OAC:
1501:13–1–02. Definitions
The definition of ‘‘knowing’’ or
‘‘knowingly’’ has been added. This
definition is now substantively identical
to and therefore no less effective than,
its Federal counterpart definition at 30
CFR 701.5, because it substitutes the
word ‘‘person’’, which is used in the
Federal definition, for the word
‘‘individual.’’ Additionally, the
approved amendment revises the
definition in other sections of the OAC.
Ohio added the definition of ‘‘[t]ransfer,
assignment, or sale of permit rights’’ to
the definition section. Ohio’s definition
of this term describes any change of a
permittee, including any fundamental
legal changes in the structure or nature
of the permittee or a name change. The
Ohio definition is substantively
identical to, and therefore no less
effective than, its Federal counterpart
definition at 30 CFR 701.5.
The definition of ‘‘violation’’ has been
added for the purposes of the following
OAC sections:
• Permit applications; requirements
for legal, financial, compliance and
related information;
• Review, public participation, and
approval or disapproval of permit
applications and permit terms and
conditions; and
• Improvidently issued permits.
Violation is defined as any of the
following:
• Written notification from a
governmental agency identifying a
failure to comply with applicable
Federal or state law or regulations
relative to environmental air or water
protection;
• Noncompliance identified by the
Chief of the Division of Mineral
Resources Management, OSMRE, or a
comparable authority, pursuant to the
Federal or state regulatory program.
Notice of this noncompliance may be
given via a notice of violation, cessation
order, final order, bill or demand letter
relative to a delinquent civil penalty; a
bill or demand letter relative to
delinquent reclamation fees or a
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performance security or bond forfeiture
order.
The Ohio definition is substantively
identical to, and therefore no less
effective than, the Federal counterpart
definition at 30 CFR 701.5.
The definition of ‘‘violation notice’’
has been revised to apply to the
following OAC sections:
• Permit applications; requirements
for legal, financial, compliance and
related information;
• Review, public participation, and
approval or disapproval of permit
applications and permit terms and
conditions;
• Improvidently issued permits; and
• A violation notice is now defined as
a written notification from a regulatory
authority or other governmental entity
of a violation, as defined in this section.
This change reflects the language used
to define this term in 30 CFR 701.5.
The Ohio definition is substantively
identical to, and therefore, no less
effective than, the Federal counterpart
definition at 30 CFR 701.5.
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1501:13–14–02. Enforcement
Section (A)(8) has been revised to
require any permittee, within thirty
days of the issuance of a cessation order,
to provide accurate and current
identification of interest information as
defined in the Permit applications;
requirements for legal, financial
compliance and related information
sections of the OAC. This additional
language is identical to the requirement
in OAC 1501:13–5–01(G)(5), which is
already part of Ohio’s approved
program. Therefore, we are approving it.
Formatting changes were made
throughout section 13–14–02 to reflect
changes in numbering.
1501: 13–14–06. Individual Civil
Penalties
Revisions were made to remove the
definition of ‘‘knowingly’’ from this
section. Consequently, formatting
changes were required to account for the
elimination of this definition. In this
same amendment, Ohio added a nearly
identical definition of ‘‘Knowing or
knowingly’’ to OAC 1501:13–1–02.
Therefore, the definition proposed for
deletion is no longer needed; the
deletion is hereby approved.
1501: 13–4–03. Permit Applications;
Requirements for Legal, Financial,
Compliance and Related Information
Grammar and formatting changes are
present that do not alter the meaning or
intent of the OAC as previously
structured. Multiple changes have been
made to incorporate all inclusive gender
references. In addition, sections (B)(2)
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and (3) have been revised to require
submission of addresses for all owners
of record, holders of record of any
leasehold interests, and any purchasers
of record of the property to be mined.
Previously this requirement did not
require the submission of addresses.
The revision expands the requirements
for providing addresses in order to
encompass all aspects of interest. These
changes render the Ohio provisions no
less effective than the Federal
counterpart regulation at 30 CFR
778.13(a) and they are, therefore,
approved.
As discussed further below, at section
(J), this section is further clarified to
require submission of data when a
departure or change of an individual
named in a permit application occurs.
Section (B)(5)(d) is revised by deleting
the requirement that, for each permit
owned or controlled by an owner or
controller of the applicant within a five
year period preceding the submission of
the application, the application must
contain the dates of issuance of any
Federal or state permits and Mine Safety
and Health Administration (MSHA)
identification numbers. Dates of
issuance are not required to be
submitted pursuant to the Federal
regulations at 30 CFR 778.12(c).
Therefore, we are approving this
deletion.
Section (C)(1) requires violation
history relative to an operator to be
provided in the permit application.
Previously, the applicant was the only
individual required to submit this
information. This addition renders the
Ohio provision no less effective than the
counterpart at 30 CFR 778.14(a), and it
is, therefore, approved.
Section (C)(2) requires the applicant
to provide the date of suspension or
revocation of a permit, or forfeiture of a
bond. The requirement to provide the
date of issuance of any permit that was
subsequently suspended or revoked, or
for which a bond was forfeited, is
proposed to be deleted. Section (C)(3)
also adds a provision requiring all
applications to include a listing of any
of the applicant’s, operator’s, or owner’s
and controller’s unabated cessation
orders or notices of violation, or
uncorrected air or water quality
violations.
Furthermore, Section (C)(4) requires a
certification by the Federal or state
regulatory authority that issued the
notice of violation or cessation order to
confirm that the violation is being
abated or corrected. It also adds a
requirement to provide the
identification numbers of any violation
notice or cessation order. This provision
does not interfere with the requirement
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in (C)(4)(f), which is being revised to
clarify that the application shall contain
information for all violations and
cessation orders having an expired
abatement period, and describe the
action taken to abate or correct the
violation or cessation order. These
changes to Sections (C)(2) through (C)(4)
are no less effective than their
respective counterparts contained in the
Federal regulations at 30 CFR 778.14(b)
and (c), and they are, therefore,
approved.
However, Section (C)(3) remains
narrower in scope than its Federal
counterpart at 30 CFR 778.14(c) because
it only requires the listing of unabated
cessation orders and uncorrected air and
water quality violation notices received;
whereas, the Federal regulation requires
listing of all unabated violation notices.
The term ‘‘violation notice,’’ as defined
in both the Federal regulations at 30
CFR 701.5, and in the Ohio program at
OAC 1501: 13–1–02, the latter of which
is part of this submission, includes more
than just cessation orders and air and
water quality violations. For example, it
includes unpaid reclamation fees or
civil penalties. As such, we are
requiring Ohio to amend its program to
require permit applications to list all
unabated ‘‘violation notices,’’ as that
term is defined in the Ohio approved
program.
Under Section (J), the addition of a
‘‘Central file for identity information’’
allows applicants or permittees to
provide requisite information in a
streamlined method whereby all
‘‘identification of interests’’ information
required in permit applications,
revisions and renewals and transfers,
assignments and sales of permit rights
provisions, is submitted to the Chief of
the Division of Mineral Resources
Management, and is applicable to all
permits held by that applicant or
permittee. These items will be
maintained in a central file for reference
in the event of any subsequent
submission. To participate, applicants
or permitees must submit a sworn or
affirmed oath, in writing, verifying all
the information is accurate and
complete, including all ownership and
permittee interests. The central file will
be updated and maintained for
reference, eliminating the need to
provide identity information in each
application. The file will be available
for public review upon request.
In the event a permittee or applicant
has an established central file,
certification shall be made that the file
is accurate and complete when
submitting permit applications,
revisions, renewals, transfers,
assignments, and sales of permits rights
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in accordance with 1501:13–4–06. Upon
submission, the permittee shall submit
a certification, provided by the Chief of
the Division of Mineral Resources
Management swearing or affirming that
the information is accurate, complete,
and updated. This must be in the form
of a written oath. Any information that
is missing, as required by the provisions
set forth herein, must be submitted and
accompanied by a written oath
providing affirmation of a complete
information repository.
The corresponding regulations refer to
the central repository for identification
information and incorporate by
reference provisions of the statute.
While proposed Section (J) of the OAC
has no precise Federal counterpart, we
find that it provides an alternative
means for submitting, updating and
maintaining ‘‘identification of interests’’
information that is consistent with the
Federal regulations at 30 CFR 778.8(c),
which allows OSMRE to create a central
file for this type of information; we are,
therefore, approving it.
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1501:13–4–06. Permit Applications
Revisions, and Renewals, and Transfers,
Assignments and Sales of Rights
The amendment revises Section (I) by
adding a provision requiring
notification within 30 days of any
addition, departure or change required
to be shown in the permit application.
This must be done in writing and must
include any person’s name, address,
telephone number, title, and
relationship to the applicant, including
percentage of ownership, interest and
position within the organizational
structure. Information detailing
commencement and departure are also
required. These changes render Section
(I) no less effective than the Federal
regulations at 30 CFR 774.12(c).
1501:13–5–02. Improvidently Issued
Permits
Pursuant to the approved amendment,
should the Chief of the Division of
Mineral Resources Management have
reason to believe a coal mining and
reclamation permit was improvidently
issued, he or she shall make a
preliminary finding indicating
improvident issuance if:
• A determination based on the
permit eligibility, in effect at the time of
issuance, indicates either:
(a) The permit should not have been
issued due to an unabated or
uncorrected violation or,
(b) The permit was issued based on
the presumption that a violation was in
the process of being corrected;
• The violation remains unabated or
uncorrected and the time frame for
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appeal is expired or a payment
schedule, as approved, is not being
complied with as ordered; and
• Ownership or control existing at the
time of issuance demonstrates a link to
the violation and remains in effect, or if
the link was severed, the permittee
continues to be responsible for the
violation.
Upon a preliminary finding of an
improvidently issued permit, the Chief
may serve the permittee with written
notice establishing a prima facie case
indicating the permit was improvidently
issued. Within thirty days, the permittee
may request an informal review and
may provide evidence to the contrary.
Section (C) augments references to
abatement of a violation by adding the
term ‘‘correction.’’ It also deletes
references to penalties and fees, because
these terms are now included within the
definition of the term ‘‘violation.’’
Section (D) allows the Chief of the
Division of Mineral Resources
Management to suspend a permit as
opposed to the previous regulation
granting only the right to rescind the
permit. Moreover, the approved
amendment provides that, upon a
determination indicating the permit was
improvidently issued, the Chief shall
serve the permittee notice of the
proposed suspension and rescission,
which includes the reasons for the
finding and stipulates within sixty days
the permit will be suspended, or in one
hundred and twenty days, the permit
will be rescinded, unless the permittee
submits rebuttal proof and the Chief
finds:
• The previous determination was
incorrect;
• The violation has been abated or
corrected;
• The violation is under appeal and
an initial judicial decision affirming the
violation is absent;
• The violation is subject to an
approved abatement, correction plan or
payment schedule;
• Ownership or control is severed
and no continuing responsibility is
apportioned to the permittee; or
• An appeal as to ownership or
control exists and an initial judicial
decision affirming such ownership or
control is absent.
The approved amendment eliminates
previous provisions allowing automatic
suspension within ninety days upon
proper showing. In the event the permit
is deemed suspended or rescinded, the
Chief shall immediately order the
cessation of coal mining and
reclamation operations and post written
notice of the cessation order at the
Division of Mineral Resources
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63123
Management District Office closest to
the permit area.
We find that these changes render the
Ohio provisions governing
improvidently issued permits no less
effective than their Federal counterpart
provisions found in 30 CFR 773.21,
773.22, and 773.23. Therefore, the
changes are approved.
1501: 13–1–14. Incorporation by
Reference
The Web site provided in the
approved amendment is updated to
ensure public access to Federal
regulation references. The revised Web
site is www.gpo.gov/fdsys/. Also, the
dates for the Code of Federal
Regulations and for the United States
Code have been updated to incorporate
subsequent publications of both codes.
These incorporations by reference have
no Federal counterparts; nevertheless,
the changes are not inconsistent with
SMCRA or the Federal regulations, and
are therefore approved.
IV. Summary and Disposition of
Comments
Public Comments
We asked for public comments on the
amendment (Administrative Record
Numbers OH–2190–05 and 06), but did
not receive any.
Federal Agency Comments
Pursuant to 30 CFR 732.17(h)(11)(i)
and § 503(b) of SMCRA, OSMRE is to
request comments on an amendment
when any Federal agency has an actual
or potential interest or special expertise
related to the program amendment. On
April 12, 2012, OSMRE sent requests for
comment to the following agencies (in
addition to the agencies specifically
outlined below): The U.S. Department of
Agriculture, Natural Resource
Conservation Service; the U.S.
Department of Interior, Fish and
Wildlife Service; and the U.S.
Department of Labor, MSHA. On May 4,
2012, the MSHA responded to the
request for comments (Administrative
Record Number OH–2190–04), stating
that they concur with the amendment
and have no further comments to offer.
None of the other agencies responded to
the requests for comment.
Environmental Protection Agency (EPA)
Concurrence
On April 12, 2012, OSMRE notified
and requested comment from EPA
regarding the amendment
(Administrative Record Number OH–
2190–02). Although OSMRE requested
comments on the amendment, EPA did
not respond to our request. Pursuant to
30 CFR 732.17(h)(11)(ii) we are required
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to obtain written concurrence from EPA
for those provisions of the program
amendment that relate to air or water
quality standards issued under the
authority of the Clean Water Act (33
U.S.C. 1251 et seq.) or the Clean Air Act
(42 U.S.C. 7401 et seq.). As detailed
within this final rule, this amendment
deals with ownership and control
regulations; therefore, no water or air
quality standards are under review that
may trigger the requirement for EPA
concurrence.
State Historic Preservation Officer
(SHPO) and the Advisory Council on
Historic Preservation (ACHP)
Pursuant to 30 CFR 732.17(h)(4),
OSMRE is required to request comments
from the SHPO and ACHP on
amendments that may have an effect on
historic properties. Consistent with this
regulation, on April 12, 2012, OSMRE
requested comments (Administrative
Record Number OH–2190–02), on
Ohio’s amendment from the Ohio
Historic Preservation Office and the
Advisory Council on Historic
Preservation, but neither responded to
the request.
V. OSMRE’s Decision
Based on the above findings, OSMRE
approves the amendment Ohio sent us
on March 30, 2012. In addition, we are
requiring Ohio to amend its program to
require permit applications to list all
unabated ‘‘violation notices,’’ as that
term is defined in the Ohio approved
program.
To implement this decision, we are
amending the Federal regulations at 30
CFR part 935, which codify decisions
concerning the Ohio program. OSMRE
finds that good cause exists under 5
U.S.C. 553(d)(3) to make this final rule
effective immediately. Section 503(a) of
SMCRA requires that Ohio’s program
demonstrates it has the capability of
carrying out the provisions of the Act
and meeting its purposes. Making this
regulation effective immediately will
expedite that process.
VI. Procedural Determinations
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Executive Order 12630—Takings
This rule does not have takings
implications. This determination is
based on the analysis performed for the
counterpart Federal regulation.
Executive Order 12866—Regulatory
Planning and Review
This rule is exempted from review by
the Office of Management and Budget
(OMB) under Executive Order 12866.
VerDate Sep<11>2014
16:42 Oct 16, 2015
Jkt 238001
Executive Order 12988—Civil Justice
Reform
The Department of the Interior has
conducted the reviews required by
Section 3 of Executive Order 12988, and
has determined that, to the extent
allowable by law, this rule meets the
applicable standards of Subsections (a)
and (b). However, these standards are
not applicable to the actual language of
state regulatory programs and program
amendments because each program is
drafted and promulgated by a specific
state, not by OSMRE. Under Sections
503 and 505 of SMCRA (30 U.S.C. 1253
and 1255) and the Federal regulations at
30 CFR 730.11, 732.15, and
732.17(h)(10), decisions on proposed
state regulatory programs and program
amendments submitted by the states
must be based solely on a determination
of whether the submittal is consistent
with SMCRA and its implementing
Federal regulations and whether the
other requirements of 30 CFR parts 730,
731 and 732 have been met.
Executive Order 13132—Federalism
This rule does not have Federalism
implications. SMCRA delineates the
roles of the Federal and state
governments regarding the regulation of
surface coal mining and reclamation
operations. One of the purposes of
SMCRA is to ‘‘establish a nationwide
program to protect society and the
environment from the adverse effects of
surface coal mining operations.’’ Section
503(a)(1) of SMCRA requires that state
laws regulating surface coal mining and
reclamation operations be ‘‘in
accordance with’’ the requirements of
SMCRA, and Section 503(a)(7) requires
that state programs contain rules and
regulations ‘‘consistent with’’
regulations issued by the Secretary.
Executive Order 13175—Consultation
and Coordination With Indian Tribal
Government
In accordance with Executive Order
13175, we have evaluated the potential
effects of this rule on Federallyrecognized Indian tribes and have
determined that the rule does not have
substantial direct effects on one or more
Indian tribes, on the relationship
between the Federal Government and
Indian tribes, or on the distribution of
power and responsibilities between the
Federal Government and Indian Tribes.
Executive Order 13211—Regulations
That Significantly Affect the Supply
Distribution or Use of Energy
On May 18, 2001, the President issued
Executive Order 13211 requiring
agencies to prepare a Statement of
Energy Effects for a rule that is (1)
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Frm 00046
Fmt 4700
Sfmt 4700
considered significant under Executive
Order 12866 (Regulatory Planning and
Review), and (2) likely to have
significant adverse effect on the supply,
distribution, or use of energy. Because
this rule is exempt from review under
Executive Order 12866, and is not
expected to have a significant adverse
effect on the supply, distribution, or use
of energy, a Statement of Energy Effects
is not required.
National Environmental Policy Act
This rule does not require an
environmental impact statement
because Section 702(d) of SMCRA (30
U.S.C. 1992(d)) provides that agency
decisions on proposed state regulatory
program provisions do not constitute
major Federal actions within the
meaning of section 102(2)(C) of the
National Environmental Policy Act (42
U.S.C. 4332(2)(C)).
Paperwork Reduction Act
This rule does not contain
information collection requirements that
require approval by OMB under the
Paperwork Reduction Act (44 U.S.C.
3507 et seq.).
Regulatory Flexibility Act
The Department of the Interior
certifies that this rule will not have a
significant economic effect on a
substantial number of small entities
under the Regulatory Flexibility Act (5
U.S.C. 601 et seq.). The State submittal,
which is the subject of this rule, is based
upon Federal regulations for which an
economic analysis was prepared and
certification made that such regulations
would not have a significant economic
effect upon a substantial number of
small entities. In making the
determination as to whether this rule
would have significant economic
impact, the Department relied upon data
and assumptions for the Federal
regulations.
Small Business Regulatory Enforcement
Fairness Act
This rule is not a major rule under 5
U.S.C. 804(2), the Small Business
Regulatory Enforcement Fairness Act.
This rule: (a) Does not have an annual
effect on the economy of $100 million;
(b) Will not cause a major increase in
costs or prices for consumers,
individual industries, geographic
regions, or Federal, state, or local
government agencies; and (c) Does not
have significant adverse effects on
competition, employment, investment,
productivity, innovation, or the ability
of U.S.-based enterprises to compete
with foreign-based enterprises. This
determination is based upon the fact
E:\FR\FM\19OCR1.SGM
19OCR1
Federal Register / Vol. 80, No. 201 / Monday, October 19, 2015 / Rules and Regulations
that the State submittal, which is the
subject of this rule, is based upon
Federal regulations for which an
analysis was prepared and a
determination made that the Federal
regulation was not considered a major
rule.
Unfunded Mandates
This rule will not impose an
unfunded mandate on state, local, or
tribal governments or the private sector
of $100 million or more in any given
year. This determination is based upon
the facts that the State submittal, which
is the subject of this rule is based upon
Original amendment
submission date
*
*
March 30, 2012 ........................
For the reasons set out in the
preamble, 30 CFR part 935, is amended
as set forth below:
Editorial Note: This document was
received for publication by the Office of
Federal Register on October 14, 2015.
[FR Doc. 2015–26479 Filed 10–16–15; 8:45 am]
BILLING CODE 4310–05–P
DEPARTMENT OF THE INTERIOR
Office of Surface Mining Reclamation
and Enforcement
30 CFR Part 938
[SATS No. PA–154–FOR; Docket ID: OSM–
2010–0002; S1D1S SS08011000 SX064A000
167S180110 S2D2S SS08011000 SX064A000
16XS501520]
Pennsylvania Regulatory Program
Office of Surface Mining
Reclamation and Enforcement (OSMRE),
Interior.
ACTION: Final rule; approval of
amendment.
AGENCY:
Jkt 238001
1. The authority citation for part 935
continues to read as follows:
■
Authority: 30 U.S.C. 1201 et seq.
2. Section 935.15 is amended in the
table by adding a new entry in
chronological order by ‘‘Date of final
publication’’ to read as follows:
■
§ 935.15 Approval of Ohio regulatory
program amendments.
*
*
*
*
*
*
*
*
*
OAC §§ 1501:13–1–02; –14–02; –14–06; –4–03; –4–06; –5–02; –1–14. Changes to Definitions, Ownership and Control, Permit and Application Information and Transfer, assignment or Sale of Permit Rights, and Improvidently Issued Permit procedures.
We are approving an
amendment to the Pennsylvania
regulatory program (the ‘‘Pennsylvania
program’’) under the Surface Mining
Control and Reclamation Act of 1977
(SMCRA or the Act). The amendment
that we are approving involves a
statutory amendment to Pennsylvania’s
Coal Refuse Disposal Control Act
(CRDCA). The amendment adds another
category of sites considered as preferred
when selecting a location for the
placement of coal refuse.
DATES: Effective Date: This rule is
effective October 19, 2015.
FOR FURTHER INFORMATION CONTACT: Ben
Owens, Chief, Pittsburgh Field Division,
Office of Surface Mining Reclamation
and Enforcement, Telephone: (412) 937–
2827, email: bowens@osmre.gov.
SUPPLEMENTARY INFORMATION:
SUMMARY:
(a) By December 18, 2015, Ohio shall
amend its program, or provide a written
description of an amendment together
with a timetable for enactment which is
consistent with established
administrative or legislative procedures
in the State, to require permit
applications to list all unabated
‘‘violation notices’’, as that term is
defined in the Ohio approved program.
(b) [Reserved]
PART 935—OHIO
Citation/description
*
§ 935.16 Required regulatory program
amendments.
asabaliauskas on DSK5VPTVN1PROD with FRONTMATTER
Dated: June 26, 2015.
Thomas D. Shope,
Regional Director, Appalachian Region.
October 19,
2015
3. Section 935.16 is added to read as
follows:
16:42 Oct 16, 2015
List of Subjects in 30 CFR Part 935
Intergovernmental relations, Surface
mining. Underground mining. Required
regulatory program amendments.
Date of final
publication
■
VerDate Sep<11>2014
Federal regulations for which an
analysis was prepared and a
determination made that the Federal
regulation did not impose an unfunded
mandate.
63125
I. Background on the Pennsylvania Program
II. Description and Submission of the
Amendment
III. OSMRE’s Findings
IV. Summary and Disposition of Comments
V. OSMRE’s Decision
VI. Procedural Determinations
I. Background on the Pennsylvania
Program
Section 503(a) of the Act permits a
State to assume primacy for the
regulation of surface coal mining and
reclamation operations on non-Federal
and non-Indian lands within its borders
by demonstrating that its state program
includes, among other things, ‘‘a State
law which provides for the regulation of
surface coal mining and reclamation
operations in accordance with the
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Frm 00047
Fmt 4700
Sfmt 4700
requirements of the Act . . .; and rules
and regulations consistent with
regulations issued by the Secretary
pursuant to the Act.’’ 30 U.S.C.
1253(a)(1) and (7).
You can find background information
on the Pennsylvania program, including
the Secretary’s findings, the disposition
of comments, and conditions of
approval in the July 30, 1982, Federal
Register, (47 FR 33050). You can also
find later actions concerning
Pennsylvania’s program and program
amendments at 30 CFR 938.11, 938.12,
938.13, 938.15, and 938.16. We are
providing the following background
information as it is referenced in our
findings and/or response to comments.
Background: Pennsylvania’s Coal
Refuse Disposal Control Act (CRDCA)
CRDCA and Preferred Sites: Section
4.1(a) of the CRDCA, 52 P.S. 30.54a(a)
provides site selection criteria for
determining where to place coal refuse
following mining activities. The Act
provides for coal refuse to be disposed
on a ‘‘preferred site’’ unless it can be
demonstrated to the Pennsylvania
Department of Environmental Protection
(PADEP) that another site is more
suitable based upon engineering,
geology, economics, transportation
systems, and social factors, and is not
adverse to the public interest.
Pennsylvania provided various
justifications for the inclusion of such
provisions: It limits sites eligible to
receive coal refuse placement by
prohibiting placement in certain
environmentally sensitive areas; it
encourages disposal of coal refuse on
E:\FR\FM\19OCR1.SGM
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Agencies
[Federal Register Volume 80, Number 201 (Monday, October 19, 2015)]
[Rules and Regulations]
[Pages 63120-63125]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2015-26479]
-----------------------------------------------------------------------
DEPARTMENT OF THE INTERIOR
Office of Surface Mining Reclamation and Enforcement
30 CFR Part 935
[OH-254-FOR; Docket ID: OSM-2012-0012; S1D1S SS08011000 SX066A000
156S180110; S2D2S SS08011000 SX066A000 15XS501520]
Ohio Regulatory Program
AGENCY: Office of Surface Mining Reclamation and Enforcement, Interior.
ACTION: Final rule; approval of amendment and addition of a required
regulatory program amendment.
-----------------------------------------------------------------------
SUMMARY: We are approving, with one additional requirement, an
amendment to the Ohio regulatory program (the Ohio program) under the
Surface
[[Page 63121]]
Mining Control and Reclamation Act of 1977 (SMCRA or the Act). The
amendment we are approving updates the Ohio Administrative Code (OAC)
to address issues raised by OSMRE regarding the consistency of Ohio's
program with the final Federal rule relative to Ownership and Control,
Permit and Application Information and Transfer, and Assignment or Sale
of Permit Rights, which became effective on December 3, 2007. The
amendment specifically revises the following regulations within the
OAC: Definitions; Incorporation by reference; permit applications,
requirements for legal, financial, compliance and related information;
permit applications, revisions, and renewals, and transfers,
assignments, and sales of permit rights; improvidently issued permits;
and enforcement and individual civil penalties. Ohio submitted this
amendment to ensure the Ohio program is consistent with, and in
accordance with, SMCRA, and no less effective than the corresponding
regulations. During the course of our review of this amendment, we
determined that Ohio must amend its program to ensure the term
``violation notice'' is consistent with the approved Ohio program.
DATES: Effective date: October 19, 2015.
FOR FURTHER INFORMATION CONTACT: Mr. Ben Owens, Chief, Pittsburgh Field
Division, Office of Surface Mining Reclamation and Enforcement, 4605
Morse Road, Rm. 102, Columbus, Ohio 43230; Telephone: (614) 416-2238;
email: bowens@osmre.gov; Fax: (614) 416-2248.
SUPPLEMENTARY INFORMATION:
I. Background of the Ohio Program
II. Description and Submission of the Amendment
III. OSMRE's Findings
IV. Summary and Disposition of Comments
V. OSMRE's Decision
VI. Procedural Determinations
I. Background on the Ohio Program
Section 503(a) of the SMCRA permits a state to assume primacy for
the regulation of surface coal mining and reclamation operations on
non-Federal and non-Indian lands within its borders by demonstrating
that its program includes, among other things, ``a State law which
provides for the regulation of surface coal mining and reclamation
operations in accordance with the requirements of this Act . . . ; and
rules and regulations consistent with regulations issued by the
Secretary pursuant to this Act.'' See 30 U.S.C. 1253(a)(1) and (7). On
the basis of these criteria, the Secretary of the Interior
conditionally approved the Ohio program effective August 16, 1982. You
can find background information on the Ohio program, including the
Secretary's findings, the disposition of comments, and the conditions
of approval of the Ohio program in the August 16, 1982, Federal
Register (47 FR 34688). You can also find later actions concerning
Ohio's regulatory program and regulatory program amendments at 30 CFR
935.11, 935.15, and 935.30.
II. Description and Submission of the Proposed Amendment
Following the approval of the December 3, 2007, Federal rule,
``Ownership and Control; Permit and Application Information; Transfer,
Assignment, or Sale of Permit Rights; Final Rule,'' Federal Register
(72 FR 68000), OSMRE performed a side-by-side comparison of Ohio's
regulations to ensure the OAC provisions were no less effective than
the Federal regulations. Following the review of Ohio's regulations,
OSMRE and Ohio discussed the implementation of Ohio regulations and
potential revisions. Ohio, via a letter of September 25, 2009,
(Administrative Record Number OH-2190-01) responded to the findings of
the OSMRE side-by-side analysis. This response described Ohio's plan to
address provisions that were determined by OSMRE to be less effective
than the Federal regulations, and stated an Ohio proposed amendment
would be submitted to OSMRE. By letter dated March 30, 2012,
(Administrative Record Number OH 2190-01), Ohio sent OSMRE a request to
approve six revised regulations. This amendment contains the changes
made to the OAC as a result of the side-by-side review conducted by
OSMRE. Key provisions of the approved amendment add the definitions of
``knowingly,'' ``transfer, assignment, or sale of permit rights,'' and
``violation'' to the OAC; require enhanced identification of interests;
add a provision for a central repository documenting identification of
interests; and alter procedures for the determination of an
improvidently issued permit.
We announced receipt of the proposed amendment in the August 3,
2012, Federal Register (77 FR 46346). In the same document, we opened
the public comment period and provided an opportunity for a public
hearing or meeting.
We did not hold a public hearing or meeting because no one
requested one. The public comment period ended on September 4, 2012.
One comment was posted in the Federal Docket Management System in
response to the proposal. However, it was later determined that this
comment was erroneously posted and was not related to the proposed
amendment. Therefore, no comments were received.
III. OSMRE's Findings
We are approving the amendment request under SMCRA and the Federal
regulations at 30 CFR 732.15 and 732.17. There are a few changes that
are not addressed in the Findings because they involve minor
clarifications and non-substantive corrections. The following outlines
the approved amendment to the OAC:
1501:13-1-02. Definitions
The definition of ``knowing'' or ``knowingly'' has been added. This
definition is now substantively identical to and therefore no less
effective than, its Federal counterpart definition at 30 CFR 701.5,
because it substitutes the word ``person'', which is used in the
Federal definition, for the word ``individual.'' Additionally, the
approved amendment revises the definition in other sections of the OAC.
Ohio added the definition of ``[t]ransfer, assignment, or sale of
permit rights'' to the definition section. Ohio's definition of this
term describes any change of a permittee, including any fundamental
legal changes in the structure or nature of the permittee or a name
change. The Ohio definition is substantively identical to, and
therefore no less effective than, its Federal counterpart definition at
30 CFR 701.5.
The definition of ``violation'' has been added for the purposes of
the following OAC sections:
Permit applications; requirements for legal, financial,
compliance and related information;
Review, public participation, and approval or disapproval
of permit applications and permit terms and conditions; and
Improvidently issued permits.
Violation is defined as any of the following:
Written notification from a governmental agency
identifying a failure to comply with applicable Federal or state law or
regulations relative to environmental air or water protection;
Noncompliance identified by the Chief of the Division of
Mineral Resources Management, OSMRE, or a comparable authority,
pursuant to the Federal or state regulatory program. Notice of this
noncompliance may be given via a notice of violation, cessation order,
final order, bill or demand letter relative to a delinquent civil
penalty; a bill or demand letter relative to delinquent reclamation
fees or a
[[Page 63122]]
performance security or bond forfeiture order.
The Ohio definition is substantively identical to, and therefore no
less effective than, the Federal counterpart definition at 30 CFR
701.5.
The definition of ``violation notice'' has been revised to apply to
the following OAC sections:
Permit applications; requirements for legal, financial,
compliance and related information;
Review, public participation, and approval or disapproval
of permit applications and permit terms and conditions;
Improvidently issued permits; and
A violation notice is now defined as a written
notification from a regulatory authority or other governmental entity
of a violation, as defined in this section. This change reflects the
language used to define this term in 30 CFR 701.5.
The Ohio definition is substantively identical to, and therefore,
no less effective than, the Federal counterpart definition at 30 CFR
701.5.
1501:13-14-02. Enforcement
Section (A)(8) has been revised to require any permittee, within
thirty days of the issuance of a cessation order, to provide accurate
and current identification of interest information as defined in the
Permit applications; requirements for legal, financial compliance and
related information sections of the OAC. This additional language is
identical to the requirement in OAC 1501:13-5-01(G)(5), which is
already part of Ohio's approved program. Therefore, we are approving
it. Formatting changes were made throughout section 13-14-02 to reflect
changes in numbering.
1501: 13-14-06. Individual Civil Penalties
Revisions were made to remove the definition of ``knowingly'' from
this section. Consequently, formatting changes were required to account
for the elimination of this definition. In this same amendment, Ohio
added a nearly identical definition of ``Knowing or knowingly'' to OAC
1501:13-1-02. Therefore, the definition proposed for deletion is no
longer needed; the deletion is hereby approved.
1501: 13-4-03. Permit Applications; Requirements for Legal, Financial,
Compliance and Related Information
Grammar and formatting changes are present that do not alter the
meaning or intent of the OAC as previously structured. Multiple changes
have been made to incorporate all inclusive gender references. In
addition, sections (B)(2) and (3) have been revised to require
submission of addresses for all owners of record, holders of record of
any leasehold interests, and any purchasers of record of the property
to be mined. Previously this requirement did not require the submission
of addresses. The revision expands the requirements for providing
addresses in order to encompass all aspects of interest. These changes
render the Ohio provisions no less effective than the Federal
counterpart regulation at 30 CFR 778.13(a) and they are, therefore,
approved.
As discussed further below, at section (J), this section is further
clarified to require submission of data when a departure or change of
an individual named in a permit application occurs.
Section (B)(5)(d) is revised by deleting the requirement that, for
each permit owned or controlled by an owner or controller of the
applicant within a five year period preceding the submission of the
application, the application must contain the dates of issuance of any
Federal or state permits and Mine Safety and Health Administration
(MSHA) identification numbers. Dates of issuance are not required to be
submitted pursuant to the Federal regulations at 30 CFR 778.12(c).
Therefore, we are approving this deletion.
Section (C)(1) requires violation history relative to an operator
to be provided in the permit application. Previously, the applicant was
the only individual required to submit this information. This addition
renders the Ohio provision no less effective than the counterpart at 30
CFR 778.14(a), and it is, therefore, approved.
Section (C)(2) requires the applicant to provide the date of
suspension or revocation of a permit, or forfeiture of a bond. The
requirement to provide the date of issuance of any permit that was
subsequently suspended or revoked, or for which a bond was forfeited,
is proposed to be deleted. Section (C)(3) also adds a provision
requiring all applications to include a listing of any of the
applicant's, operator's, or owner's and controller's unabated cessation
orders or notices of violation, or uncorrected air or water quality
violations.
Furthermore, Section (C)(4) requires a certification by the Federal
or state regulatory authority that issued the notice of violation or
cessation order to confirm that the violation is being abated or
corrected. It also adds a requirement to provide the identification
numbers of any violation notice or cessation order. This provision does
not interfere with the requirement in (C)(4)(f), which is being revised
to clarify that the application shall contain information for all
violations and cessation orders having an expired abatement period, and
describe the action taken to abate or correct the violation or
cessation order. These changes to Sections (C)(2) through (C)(4) are no
less effective than their respective counterparts contained in the
Federal regulations at 30 CFR 778.14(b) and (c), and they are,
therefore, approved.
However, Section (C)(3) remains narrower in scope than its Federal
counterpart at 30 CFR 778.14(c) because it only requires the listing of
unabated cessation orders and uncorrected air and water quality
violation notices received; whereas, the Federal regulation requires
listing of all unabated violation notices. The term ``violation
notice,'' as defined in both the Federal regulations at 30 CFR 701.5,
and in the Ohio program at OAC 1501: 13-1-02, the latter of which is
part of this submission, includes more than just cessation orders and
air and water quality violations. For example, it includes unpaid
reclamation fees or civil penalties. As such, we are requiring Ohio to
amend its program to require permit applications to list all unabated
``violation notices,'' as that term is defined in the Ohio approved
program.
Under Section (J), the addition of a ``Central file for identity
information'' allows applicants or permittees to provide requisite
information in a streamlined method whereby all ``identification of
interests'' information required in permit applications, revisions and
renewals and transfers, assignments and sales of permit rights
provisions, is submitted to the Chief of the Division of Mineral
Resources Management, and is applicable to all permits held by that
applicant or permittee. These items will be maintained in a central
file for reference in the event of any subsequent submission. To
participate, applicants or permitees must submit a sworn or affirmed
oath, in writing, verifying all the information is accurate and
complete, including all ownership and permittee interests. The central
file will be updated and maintained for reference, eliminating the need
to provide identity information in each application. The file will be
available for public review upon request.
In the event a permittee or applicant has an established central
file, certification shall be made that the file is accurate and
complete when submitting permit applications, revisions, renewals,
transfers, assignments, and sales of permits rights
[[Page 63123]]
in accordance with 1501:13-4-06. Upon submission, the permittee shall
submit a certification, provided by the Chief of the Division of
Mineral Resources Management swearing or affirming that the information
is accurate, complete, and updated. This must be in the form of a
written oath. Any information that is missing, as required by the
provisions set forth herein, must be submitted and accompanied by a
written oath providing affirmation of a complete information
repository.
The corresponding regulations refer to the central repository for
identification information and incorporate by reference provisions of
the statute. While proposed Section (J) of the OAC has no precise
Federal counterpart, we find that it provides an alternative means for
submitting, updating and maintaining ``identification of interests''
information that is consistent with the Federal regulations at 30 CFR
778.8(c), which allows OSMRE to create a central file for this type of
information; we are, therefore, approving it.
1501:13-4-06. Permit Applications Revisions, and Renewals, and
Transfers, Assignments and Sales of Rights
The amendment revises Section (I) by adding a provision requiring
notification within 30 days of any addition, departure or change
required to be shown in the permit application. This must be done in
writing and must include any person's name, address, telephone number,
title, and relationship to the applicant, including percentage of
ownership, interest and position within the organizational structure.
Information detailing commencement and departure are also required.
These changes render Section (I) no less effective than the Federal
regulations at 30 CFR 774.12(c).
1501:13-5-02. Improvidently Issued Permits
Pursuant to the approved amendment, should the Chief of the
Division of Mineral Resources Management have reason to believe a coal
mining and reclamation permit was improvidently issued, he or she shall
make a preliminary finding indicating improvident issuance if:
A determination based on the permit eligibility, in effect
at the time of issuance, indicates either:
(a) The permit should not have been issued due to an unabated or
uncorrected violation or,
(b) The permit was issued based on the presumption that a violation
was in the process of being corrected;
The violation remains unabated or uncorrected and the time
frame for appeal is expired or a payment schedule, as approved, is not
being complied with as ordered; and
Ownership or control existing at the time of issuance
demonstrates a link to the violation and remains in effect, or if the
link was severed, the permittee continues to be responsible for the
violation.
Upon a preliminary finding of an improvidently issued permit, the
Chief may serve the permittee with written notice establishing a prima
facie case indicating the permit was improvidently issued. Within
thirty days, the permittee may request an informal review and may
provide evidence to the contrary.
Section (C) augments references to abatement of a violation by
adding the term ``correction.'' It also deletes references to penalties
and fees, because these terms are now included within the definition of
the term ``violation.''
Section (D) allows the Chief of the Division of Mineral Resources
Management to suspend a permit as opposed to the previous regulation
granting only the right to rescind the permit. Moreover, the approved
amendment provides that, upon a determination indicating the permit was
improvidently issued, the Chief shall serve the permittee notice of the
proposed suspension and rescission, which includes the reasons for the
finding and stipulates within sixty days the permit will be suspended,
or in one hundred and twenty days, the permit will be rescinded, unless
the permittee submits rebuttal proof and the Chief finds:
The previous determination was incorrect;
The violation has been abated or corrected;
The violation is under appeal and an initial judicial
decision affirming the violation is absent;
The violation is subject to an approved abatement,
correction plan or payment schedule;
Ownership or control is severed and no continuing
responsibility is apportioned to the permittee; or
An appeal as to ownership or control exists and an initial
judicial decision affirming such ownership or control is absent.
The approved amendment eliminates previous provisions allowing
automatic suspension within ninety days upon proper showing. In the
event the permit is deemed suspended or rescinded, the Chief shall
immediately order the cessation of coal mining and reclamation
operations and post written notice of the cessation order at the
Division of Mineral Resources Management District Office closest to the
permit area.
We find that these changes render the Ohio provisions governing
improvidently issued permits no less effective than their Federal
counterpart provisions found in 30 CFR 773.21, 773.22, and 773.23.
Therefore, the changes are approved.
1501: 13-1-14. Incorporation by Reference
The Web site provided in the approved amendment is updated to
ensure public access to Federal regulation references. The revised Web
site is www.gpo.gov/fdsys/. Also, the dates for the Code of Federal
Regulations and for the United States Code have been updated to
incorporate subsequent publications of both codes. These incorporations
by reference have no Federal counterparts; nevertheless, the changes
are not inconsistent with SMCRA or the Federal regulations, and are
therefore approved.
IV. Summary and Disposition of Comments
Public Comments
We asked for public comments on the amendment (Administrative
Record Numbers OH-2190-05 and 06), but did not receive any.
Federal Agency Comments
Pursuant to 30 CFR 732.17(h)(11)(i) and Sec. 503(b) of SMCRA,
OSMRE is to request comments on an amendment when any Federal agency
has an actual or potential interest or special expertise related to the
program amendment. On April 12, 2012, OSMRE sent requests for comment
to the following agencies (in addition to the agencies specifically
outlined below): The U.S. Department of Agriculture, Natural Resource
Conservation Service; the U.S. Department of Interior, Fish and
Wildlife Service; and the U.S. Department of Labor, MSHA. On May 4,
2012, the MSHA responded to the request for comments (Administrative
Record Number OH-2190-04), stating that they concur with the amendment
and have no further comments to offer. None of the other agencies
responded to the requests for comment.
Environmental Protection Agency (EPA) Concurrence
On April 12, 2012, OSMRE notified and requested comment from EPA
regarding the amendment (Administrative Record Number OH-2190-02).
Although OSMRE requested comments on the amendment, EPA did not respond
to our request. Pursuant to 30 CFR 732.17(h)(11)(ii) we are required
[[Page 63124]]
to obtain written concurrence from EPA for those provisions of the
program amendment that relate to air or water quality standards issued
under the authority of the Clean Water Act (33 U.S.C. 1251 et seq.) or
the Clean Air Act (42 U.S.C. 7401 et seq.). As detailed within this
final rule, this amendment deals with ownership and control
regulations; therefore, no water or air quality standards are under
review that may trigger the requirement for EPA concurrence.
State Historic Preservation Officer (SHPO) and the Advisory Council on
Historic Preservation (ACHP)
Pursuant to 30 CFR 732.17(h)(4), OSMRE is required to request
comments from the SHPO and ACHP on amendments that may have an effect
on historic properties. Consistent with this regulation, on April 12,
2012, OSMRE requested comments (Administrative Record Number OH-2190-
02), on Ohio's amendment from the Ohio Historic Preservation Office and
the Advisory Council on Historic Preservation, but neither responded to
the request.
V. OSMRE's Decision
Based on the above findings, OSMRE approves the amendment Ohio sent
us on March 30, 2012. In addition, we are requiring Ohio to amend its
program to require permit applications to list all unabated ``violation
notices,'' as that term is defined in the Ohio approved program.
To implement this decision, we are amending the Federal regulations
at 30 CFR part 935, which codify decisions concerning the Ohio program.
OSMRE finds that good cause exists under 5 U.S.C. 553(d)(3) to make
this final rule effective immediately. Section 503(a) of SMCRA requires
that Ohio's program demonstrates it has the capability of carrying out
the provisions of the Act and meeting its purposes. Making this
regulation effective immediately will expedite that process.
VI. Procedural Determinations
Executive Order 12630--Takings
This rule does not have takings implications. This determination is
based on the analysis performed for the counterpart Federal regulation.
Executive Order 12866--Regulatory Planning and Review
This rule is exempted from review by the Office of Management and
Budget (OMB) under Executive Order 12866.
Executive Order 12988--Civil Justice Reform
The Department of the Interior has conducted the reviews required
by Section 3 of Executive Order 12988, and has determined that, to the
extent allowable by law, this rule meets the applicable standards of
Subsections (a) and (b). However, these standards are not applicable to
the actual language of state regulatory programs and program amendments
because each program is drafted and promulgated by a specific state,
not by OSMRE. Under Sections 503 and 505 of SMCRA (30 U.S.C. 1253 and
1255) and the Federal regulations at 30 CFR 730.11, 732.15, and
732.17(h)(10), decisions on proposed state regulatory programs and
program amendments submitted by the states must be based solely on a
determination of whether the submittal is consistent with SMCRA and its
implementing Federal regulations and whether the other requirements of
30 CFR parts 730, 731 and 732 have been met.
Executive Order 13132--Federalism
This rule does not have Federalism implications. SMCRA delineates
the roles of the Federal and state governments regarding the regulation
of surface coal mining and reclamation operations. One of the purposes
of SMCRA is to ``establish a nationwide program to protect society and
the environment from the adverse effects of surface coal mining
operations.'' Section 503(a)(1) of SMCRA requires that state laws
regulating surface coal mining and reclamation operations be ``in
accordance with'' the requirements of SMCRA, and Section 503(a)(7)
requires that state programs contain rules and regulations ``consistent
with'' regulations issued by the Secretary.
Executive Order 13175--Consultation and Coordination With Indian Tribal
Government
In accordance with Executive Order 13175, we have evaluated the
potential effects of this rule on Federally-recognized Indian tribes
and have determined that the rule does not have substantial direct
effects on one or more Indian tribes, on the relationship between the
Federal Government and Indian tribes, or on the distribution of power
and responsibilities between the Federal Government and Indian Tribes.
Executive Order 13211--Regulations That Significantly Affect the Supply
Distribution or Use of Energy
On May 18, 2001, the President issued Executive Order 13211
requiring agencies to prepare a Statement of Energy Effects for a rule
that is (1) considered significant under Executive Order 12866
(Regulatory Planning and Review), and (2) likely to have significant
adverse effect on the supply, distribution, or use of energy. Because
this rule is exempt from review under Executive Order 12866, and is not
expected to have a significant adverse effect on the supply,
distribution, or use of energy, a Statement of Energy Effects is not
required.
National Environmental Policy Act
This rule does not require an environmental impact statement
because Section 702(d) of SMCRA (30 U.S.C. 1992(d)) provides that
agency decisions on proposed state regulatory program provisions do not
constitute major Federal actions within the meaning of section
102(2)(C) of the National Environmental Policy Act (42 U.S.C.
4332(2)(C)).
Paperwork Reduction Act
This rule does not contain information collection requirements that
require approval by OMB under the Paperwork Reduction Act (44 U.S.C.
3507 et seq.).
Regulatory Flexibility Act
The Department of the Interior certifies that this rule will not
have a significant economic effect on a substantial number of small
entities under the Regulatory Flexibility Act (5 U.S.C. 601 et seq.).
The State submittal, which is the subject of this rule, is based upon
Federal regulations for which an economic analysis was prepared and
certification made that such regulations would not have a significant
economic effect upon a substantial number of small entities. In making
the determination as to whether this rule would have significant
economic impact, the Department relied upon data and assumptions for
the Federal regulations.
Small Business Regulatory Enforcement Fairness Act
This rule is not a major rule under 5 U.S.C. 804(2), the Small
Business Regulatory Enforcement Fairness Act. This rule: (a) Does not
have an annual effect on the economy of $100 million; (b) Will not
cause a major increase in costs or prices for consumers, individual
industries, geographic regions, or Federal, state, or local government
agencies; and (c) Does not have significant adverse effects on
competition, employment, investment, productivity, innovation, or the
ability of U.S.-based enterprises to compete with foreign-based
enterprises. This determination is based upon the fact
[[Page 63125]]
that the State submittal, which is the subject of this rule, is based
upon Federal regulations for which an analysis was prepared and a
determination made that the Federal regulation was not considered a
major rule.
Unfunded Mandates
This rule will not impose an unfunded mandate on state, local, or
tribal governments or the private sector of $100 million or more in any
given year. This determination is based upon the facts that the State
submittal, which is the subject of this rule is based upon Federal
regulations for which an analysis was prepared and a determination made
that the Federal regulation did not impose an unfunded mandate.
List of Subjects in 30 CFR Part 935
Intergovernmental relations, Surface mining. Underground mining.
Required regulatory program amendments.
Dated: June 26, 2015.
Thomas D. Shope,
Regional Director, Appalachian Region.
For the reasons set out in the preamble, 30 CFR part 935, is
amended as set forth below:
PART 935--OHIO
0
1. The authority citation for part 935 continues to read as follows:
Authority: 30 U.S.C. 1201 et seq.
0
2. Section 935.15 is amended in the table by adding a new entry in
chronological order by ``Date of final publication'' to read as
follows:
Sec. 935.15 Approval of Ohio regulatory program amendments.
* * * * *
----------------------------------------------------------------------------------------------------------------
Date of final
Original amendment submission date publication Citation/description
----------------------------------------------------------------------------------------------------------------
* * * * * * *
March 30, 2012............................... October 19, 2015 OAC Sec. Sec. 1501:13-1-02; -14-02; -14-06;
4-03; -4-06; -5-02; -1-14. Changes to
Definitions, Ownership and Control, Permit and
Application Information and Transfer,
assignment or Sale of Permit Rights, and
Improvidently Issued Permit procedures.
----------------------------------------------------------------------------------------------------------------
0
3. Section 935.16 is added to read as follows:
Sec. 935.16 Required regulatory program amendments.
(a) By December 18, 2015, Ohio shall amend its program, or provide
a written description of an amendment together with a timetable for
enactment which is consistent with established administrative or
legislative procedures in the State, to require permit applications to
list all unabated ``violation notices'', as that term is defined in the
Ohio approved program.
(b) [Reserved]
Editorial Note: This document was received for publication by
the Office of Federal Register on October 14, 2015.
[FR Doc. 2015-26479 Filed 10-16-15; 8:45 am]
BILLING CODE 4310-05-P