Energy Conservation Program: Exempt External Power Supplies Under the EPS Service Parts Act of 2014, 71984-71990 [2015-29303]
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Federal Register / Vol. 80, No. 222 / Wednesday, November 18, 2015 / Proposed Rules
Intergovernmental relations, Manpower
training programs, Nuclear energy,
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and health, Penalties, Radiation
protection, Reporting and recordkeeping
requirements, Security measures, Spent
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For the reasons set out in the
preamble and under the authority of the
Atomic Energy Act of 1954, as amended;
the Energy Reorganization Act of 1974,
as amended; the Nuclear Waste Policy
Act of 1982, as amended; and 5 U.S.C.
552 and 553; the NRC is proposing to
adopt the following amendments to 10
CFR part 72:
Amendment Number 3, Revision 1, on
February 1, 2016.
Amendment Number 3, Revision 1,
Effective Date: February 1, 2016.
Amendment Number 4 Effective Date:
April 14, 2015.
Amendment Number 5 Effective Date:
June 29, 2015.
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International, Inc.
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Report for the MAGNASTOR® System.
Docket Number: 72–1031.
Certificate Expiration Date: February
4, 2029.
Model Number: MAGNASTOR®.
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PART 72—LICENSING
REQUIREMENTS FOR THE
INDEPENDENT STORAGE OF SPENT
NUCLEAR FUEL, HIGH-LEVEL
RADIOACTIVE WASTE, AND
REACTOR-RELATED GREATER THAN
CLASS C WASTE
Dated at Rockville, Maryland, this 5th day
of November, 2015.
For the Nuclear Regulatory Commission.
Glenn M. Tracy,
Acting Executive Director for Operations.
1. The authority citation for part 72
continues to read as follows:
[FR Doc. 2015–29423 Filed 11–17–15; 8:45 am]
BILLING CODE 7590–01–P
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DEPARTMENT OF ENERGY
Authority: Atomic Energy Act of 1954,
secs. 51, 53, 57, 62, 63, 65, 69, 81, 161, 182,
183, 184, 186, 187, 189, 223, 234, 274 (42
U.S.C. 2071, 2073, 2077, 2092, 2093, 2095,
2099, 2111, 2201, 2210e, 2232, 2233, 2234,
2236, 2237, 2238, 2273, 2282, 2021); Energy
Reorganization Act of 1974, secs. 201, 202,
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National Environmental Policy Act of 1969
(42 U.S.C. 4332); Nuclear Waste Policy Act
of 1982, secs. 117(a), 132, 133, 134, 135, 137,
141, 145(g), 148, 218(a) (42 U.S.C. 10137(a),
10152, 10153, 10154, 10155, 10157, 10161,
10165(g), 10168, 10198(a)); 44 U.S.C. 3504
note.
2. In § 72.214, Certificate of
Compliance No. 1032 is revised to read
as follows:
■
§ 72.214 List of approved spent fuel
storage casks.
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Certificate Number: 1031.
Initial Certificate Effective Date:
February 4, 2009, superseded by Initial
Certificate, Revision 1, on February 1,
2016.
Initial Certificate, Revision 1,
Effective Date: February 1, 2016.
Amendment Number 1 Effective Date:
August 30, 2010, superseded by
Amendment Number 1, Revision 1, on
February 1, 2016.
Amendment Number 1, Revision 1,
Effective Date: February 1, 2016.
Amendment Number 2 Effective Date:
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Amendment Number 2, Revision 1, on
February 1, 2016.
Amendment Number 2, Revision 1,
Effective Date: February 1, 2016.
Amendment Number 3 Effective Date:
July 25, 2013, superseded by
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10 CFR Parts 429 and 430
[Docket No. EERE–2015–BT–CRT–0013]
RIN 1904–AD53
Energy Conservation Program: Exempt
External Power Supplies Under the
EPS Service Parts Act of 2014
Office of Energy Efficiency and
Renewable Energy, Department of
Energy.
ACTION: Notice of proposed rulemaking.
AGENCY:
The U.S. Department of
Energy (DOE) is proposing to codify
provisions of the EPS Service Parts Act
of 2014 that exempt from energy
conservation standards certain external
power supplies (EPSs) made available
by a manufacturer as a service or spare
part. Consistent with that Act, DOE is
proposing to require annual reports of
the total number of exempt EPS units
sold as service and spare parts that do
not meet the relevant energy
conservation standards.
DATES: DOE will accept comments, data,
and information regarding this notice of
proposed rulemaking no later than
December 18, 2015. See section V,
‘‘Public Participation,’’ for details.
ADDRESSES: Any comments submitted
must identify the NOPR for Exempt
External Power Supplies Under the EPS
Service Parts Act of 2014, and provide
docket number EERE–2015–BT–CRT–
0013 and/or regulatory information
number (RIN) number 1904–AD53.
Comments may be submitted using any
of the following methods:
SUMMARY:
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1. Federal eRulemaking Portal:
www.regulations.gov. Follow the
instructions for submitting comments.
2. Email:
EPSServiceParts2015CRT0013@
ee.doe.gov. Include the docket number
and/or RIN in the subject line of the
message.
3. Mail: Ms. Brenda Edwards, U.S.
Department of Energy, Building
Technologies Program, Mailstop EE–5B,
1000 Independence Avenue SW.,
Washington, DC, 20585–0121. If
possible, please submit all items on a
CD. It is not necessary to include
printed copies.
4. Hand Delivery/Courier: Ms. Brenda
Edwards, U.S. Department of Energy,
Building Technologies Program, 950
L’Enfant Plaza SW., Suite 600,
Washington, DC, 20024. Telephone:
(202) 586–2945. If possible, please
submit all items on a CD. It is not
necessary to include printed copies.
For detailed instructions on
submitting comments and additional
information on the rulemaking process,
see section V of this document (Public
Participation).
Docket: The docket, which includes
Federal Register notices, public meeting
attendee lists and transcripts,
comments, and other supporting
documents/materials, is available for
review at regulations.gov. All
documents in the docket are listed in
the regulations.gov index. However,
some documents listed in the index,
such as those containing information
that is exempt from public disclosure,
may not be publicly available.
A link to the docket Web page can be
found at: https://www1.eere.energy.gov/
buildings/appliance_standards/
product.aspx?productid=23. This Web
page will contain a link to the docket for
this notice on the regulations.gov site.
The regulations.gov Web page will
contain simple instructions on how to
access all documents, including public
comments, in the docket. See section V
for information on how to submit
comments through regulations.gov.
For further information on how to
submit a comment, review other public
comments and the docket, or to request
a public meeting, contact Ms. Brenda
Edwards at (202) 586–2945 or by email:
Brenda.Edwards@ee.doe.gov.
FOR FURTHER INFORMATION CONTACT:
Direct requests for additional
information may be sent to Mr. Jeremy
Dommu, U.S. Department of Energy,
Office of Energy Efficiency and
Renewable Energy, Building
Technologies Program, EE–2J, 1000
Independence Avenue SW.,
Washington, DC 20585–0121.
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Federal Register / Vol. 80, No. 222 / Wednesday, November 18, 2015 / Proposed Rules
Telephone: (202) 586–9870. Email:
battery_chargers_and_external_power_
supplies@EE.Doe.Gov
For legal issues, please contact Mr.
Michael Kido, U.S. Department of
Energy, Office of the General Counsel,
GC–33, 1000 Independence Avenue
SW., Washington, DC 20585–0121.
Telephone: (202) 586–8145. Email:
Michael.Kido@hq.doe.gov.
Table of Contents
I. Authority and Background
II. Summary of the Notice of Proposed
Rulemaking
III. Discussion
A. Codifying the Exemption in the CFR
B. Service or Spare Part EPS
C. Sales Reporting Requirements
IV. Procedural Issues and Regulatory Review
A. Review Under Executive Order 12866
B. Review Under the Regulatory Flexibility
Act
C. Review Under the Paperwork Reduction
Act of 1995
D. Review Under the National
Environmental Policy Act of 1969
E. Review Under Executive Order 13132
F. Review Under Executive Order 12988
G. Review Under the Unfunded Mandates
Reform Act of 1995
H. Review Under the Treasury and General
Government Appropriations Act, 1999
I. Review Under Executive Order 12630
J. Review Under Treasury and General
Government Appropriations Act, 2001
K. Review Under Executive Order 13211
L. Review Under Section 32 of the Federal
Energy Administration Act of 1974
V. Public Participation
VI. Approval of the Office of the Secretary
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I. Authority and Background
Authority
Title III of the Energy Policy and
Conservation Act of 1975 (42 U.S.C.
6291, et seq.; ‘‘EPCA’’ or, in context,
‘‘the Act’’) sets forth a variety of
provisions designed to improve energy
efficiency. (All references to EPCA refer
to the statute as amended through the
Energy Efficiency Improvement Act of
2015, Pub. L. 114–11 (April 30, 2015).)
Part B of title III, which for editorial
reasons was re-designated as Part A
upon incorporation into the U.S. Code
(42 U.S.C. 6291–6309, as codified),
establishes the ‘‘Energy Conservation
Program for Consumer Products Other
Than Automobiles.’’ External power
supplies are among the products
affected by these provisions.
Background
Section 301 of EISA 2007 established
minimum energy conservation
standards for Class A external power
supplies (EPSs) manufactured on or
after July 1, 2008. (42 U.S.C.
6295(u)(3)(A)). See 42 U.S.C.
6291(36)(C)(i)–(ii). EISA 2007 exempts
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Class A EPSs from meeting these
statutorily-prescribed standards if the
devices are manufactured before July 1,
2015, and made available by the
manufacturer as service parts or spare
parts for end-use consumer products
that were manufactured prior to July 1,
2008. (42 U.S.C. 6295(u)(3)(B)) Congress
created this limited (and temporary)
exemption as part of a broad range of
amendments to EPCA under EISA 2007.
The provision did not grant DOE with
the authority to expand or extend the
length of this exemption and Congress
did not grant DOE with the general
authority to exempt any already covered
product from the requirements set by
Congress.
After releasing a preliminary analysis
and issuing a proposed set of energy
conservation standards, DOE published
a final rule prescribing new standards
for non-Class A EPSs and amended
standards for some Class A EPSs—
namely, those EPSs that met what DOE
has termed as ‘‘direct operation’’ EPSs.
See 79 FR 7846 (Feb. 10, 2014). (A
direct operation EPS is an external
power supply that can operate a
consumer product that is not a battery
charger without the assistance of a
battery. See 10 CFR 430.2.) These new
standards apply to products
manufactured on or after February 10,
2016. At that time, DOE did not have
the authority to provide manufacturers
with an exemption for EPSs that were
made available as service or spare parts
to end-use consumer products that were
manufactured prior to the compliance
date of these new standards.
Accordingly, despite requests from
some commenters who responded to
DOE’s proposed standards by asking for
such an exemption, no such relief was
provided as part of the final rule.
On December 18, 2014, the EPS
Service Parts Act of 2014, Public Law
113–263 (Dec. 18, 2014) (‘‘Service Parts
Act’’) was enacted. That law provided
manufacturers with an exemption for
EPSs that are made available as service
and spare parts for end-use products
manufactured before February 10, 2016.
To be exempt from the new standards
under the Service Parts Act, an EPS
must meet four separate criteria.
Specifically, the EPS must be: (i)
Manufactured during the period
beginning on February 10, 2016, and
ending on February 10, 2020; (ii)
marked in accordance with the External
Power Supply International Efficiency
Marking Protocol; (iii) compliant, where
applicable, with the standards for Class
A EPSs and certified to DOE as meeting
at least International Efficiency Level
IV; and (iv) made available by the
manufacturer as a service part or spare
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part for an end-use product
manufactured before February 10, 2016.
Additionally, the Service Parts Act
permits DOE to require manufacturers of
an EPS that is exempt from the 2016
standards to report to DOE the total
number of EPS units shipped annually
that are made available as service and
spare parts and do not meet those
standards. See 42 U.S.C.
6295(u)(5)(A)(ii). DOE may also limit
the applicability of the exemption if the
Secretary determines that the exemption
is resulting in a significant reduction of
the energy savings that would result
were there no exemption to the new
standards. See 42 U.S.C.
6295(u)(5)(A)(iii). Finally, the statute
authorizes DOE to provide a similar
exemption from future EPS conservation
standards.
II. Summary of the Notice of Proposed
Rulemaking
DOE is proposing to incorporate the
statutory provisions described above
into its regulations. DOE is also
providing some clarification on the
circumstances under which EPSs would
be considered spare or service parts.
DOE also proposes to require that
importers and domestic manufacturers
annually report to DOE the total units of
exempt EPSs sold as service and spare
parts that do not meet the 2016
standards.
III. Discussion
A. Codifying the Exemption in the CFR
DOE is proposing to incorporate the
provisions of the Service Parts Act into
10 CFR 430.32. This would help ensure
that the regulations reflect the statutory
exemption and that interested parties
are able to readily access the content of
this new statutory provision. It also
ensures consistency with the similar
exemption to the Class A EPS standards
provided by Congress within EISA 2007,
which was codified in the CFR.
B. Service or Spare Part EPSs
The Service Parts Act provides an
exemption for certain EPSs that are
made available by manufacturers as
service or spare parts. Most end-use
products that use EPSs are sold with the
EPS that is necessary to operate that
product. In such a case, the EPS that is
sold with the end-use product would
not be considered to be an EPS made
available as a spare or service part.
However, any EPS that is sold
separately from an end-use product,
including an EPS made available as a
replacement for, or in addition to, the
EPS originally sold with an end-use
product would be considered an EPS
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made available as a service or spare
part.
Further, to clarify the application of
this statutory exemption, only those
EPSs that are made available as service
or spare parts for end-use products that
were manufactured before February 10,
2016 (the date that manufacturers must
comply with the new and amended
standards for direct operation EPSs)
qualify for the Service Parts Act’s
exemption. If an EPS is made available
as a service part or spare part for any
end-use product that continues to be
manufactured after February 10, 2016,
or is sold with any end-use product
manufactured after that date, that EPS
would not be eligible for this
exemption. Congress specifically
limited the application of the exemption
to those EPSs that the manufacturer
makes available for an end-use product
that constitutes the primary load of that
end-use product so long as it was
manufactured prior to February 10,
2016. See 42 U.S.C. 6295(u)(5)(A).
Furthermore, DOE recognizes that
many EPSs, like those that use an
industry standard communication
protocol such as the universal serial bus
(USB), may be capable of operating
many different end-use products. If the
EPS is capable of operating multiple
end-use products, some of which were
manufactured before February 10, 2016,
and some of which were manufactured
after February 10, 2016, then that EPS
would also not be eligible for the service
and spare part exemption since the EPS
can operate an end-use product
manufactured after February 10, 2016.
In order to clarify which EPSs are
eligible for the exemption, DOE is
proposing to clarify that this exemption
would apply to an EPS basic model that
a manufacturer makes available only as
a service part or a spare part for an enduse product that was manufactured
before February 10, 2016, and would not
apply to an EPS basic model that a
manufacturer makes available as a
service part or spare part for end-use
products that continue to be
manufactured after February 10, 2016.
Specifically, an EPS would be exempt
from the 2016 Level VI standard if,
among other criteria, it is made
available by the manufacturer only as a
service part or a spare part for an enduse product, and only if the end-use
product was manufactured before
February 10, 2016.
DOE seeks comment regarding how
manufacturers produce spare or service
parts as compared to how manufacturers
produce EPS units provided with a new
product. For example, do manufacturers
typically produce a single EPS basic
model that is both sold independently
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as a service/spare part for a given enduse product and packaged with a new
end-use product? If a manufacturer
typically produces a single EPS basic
model, are those EPSs produced as a
spare or service part labelled differently
from those packaged with a new
product?
C. Sales Reporting Requirements
Additionally, the Service Parts Act
permits DOE to require manufacturers of
an EPS that is exempt from the 2016
standards to report to DOE the total
number of EPS units shipped annually
that are made available as service and
spare parts and do not meet those
standards. See 42 U.S.C.
6295(u)(5)(A)(ii). Consistent with that
authority, DOE is proposing that
importers and domestic manufacturers
of EPSs that are exempt under the
Service Parts Act report to DOE
annually the total number of exempt
EPS units sold that do not meet the
amended standard. DOE considers the
‘‘shipments’’ referred to in the statute to
be the units sold by either the importer
or the domestic manufacturer. Because
importers would have both incoming
and outgoing shipments, DOE considers
the ‘‘units sold’’ to be clearer than
‘‘units shipped.’’ DOE requests
comment on this phrasing.
Many of the EPSs involved are Class
A EPSs and continue to be subject to the
current Class A EPS standards (i.e. Level
IV) set forth in 10 CFR 430.32(w)(1)(i)
and associated certification
requirements. Manufacturers of any
basic model of such a Class A EPS must,
therefore, submit an annual certification
report to DOE as required under 10 CFR
part 429. For these EPSs, submission of
an annual certification report to DOE is
required to qualify for the exemption. In
addition to the annual certification
report requirement for these EPSs, DOE
is proposing to require each importer or
domestic manufacturer to include in its
annual certification report information
the number of units of each individual
model of exempt EPS it sold in the
preceding year that do not meet the
2016 standards. The Service Parts Act
authorizes DOE to limit the applicability
of the service and spare part exemption
if DOE determines that the exemption is
resulting in a significant reduction of
the energy savings that would otherwise
result from the final rule. In assessing
whether such a change would be
needed, DOE plans to use the reported
information to evaluate the exemption’s
impacts on energy savings.
Similarly, DOE is proposing to require
each importer or domestic manufacturer
of non-Class A EPSs that are exempted
by the Service Parts Act and do not meet
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the 2016 standards to submit an annual
report of the corresponding number of
units of each individual model of such
EPS that the importer or domestic
manufacturer sold in the prior year.
Examples of these kinds of non-Class A
EPSs include multiple-voltage EPSs,
high-power EPSs, and some EPSs used
to operate end-use products that are
motor-driven. Under DOE’s February
2014 final rule, these EPSs, unless
exempt, are required to meet the Level
VI standards starting in 2016. These
non-class A EPSs would not be certified
under the provisions of 10 CFR 429.12
(General requirements applicable to
certification reports), if they are exempt.
Therefore, consistent with the Service
Parts Act, DOE is proposing to require
that importers and domestic
manufacturers report the total number
of units sold in the year preceding the
report. Specifically, DOE is proposing to
add this reporting requirement to 10
CFR 429.37, with the product-specific
certification requirements.
DOE proposes that the reporting
period for the sales information be from
August 1 through July 31 of each year.
This would allow importers and
domestic manufacturers time to compile
sales information and report the number
of units sold and to align the submittal
date with the annual certification report
deadline of September 1 for Class-A
EPSs. DOE seeks comment on this
proposed reporting requirement.
IV. Procedural Issues and Regulatory
Review
A. Review Under Executive Order 12866
This rulemaking is not significant for
purposes of Executive Order 12866,
Regulatory Planning and Review, 58 FR
51735 (Oct. 4, 1993). Accordingly, this
action was not subject to review under
the Executive Order by the Office of
Information and Regulatory Affairs
(OIRA) in the Office of Management and
Budget.
B. Review Under the Regulatory
Flexibility Act
The Regulatory Flexibility Act (5
U.S.C. 601, et seq.) requires preparation
of an initial regulatory flexibility
analysis (IFRA) for any rule that by law
must be proposed for public comment,
unless the agency certifies that the rule,
if promulgated, will not have a
significant economic impact on a
substantial number of small entities. As
required by Executive Order 13272,
‘‘Proper Consideration of Small Entities
in Agency Rulemaking,’’ 67 FR 53461
(August 16, 2002), DOE published
procedures and policies on February 19,
2003, to ensure that the potential
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impacts of its rules on small entities are
properly considered during the DOE
rulemaking process. 68 FR 7990. DOE
has made its procedures and policies
available on the Office of the General
Counsel’s Web site: https://energy.gov/
gc/office-general-counsel.
For manufacturers of EPSs, the Small
Business Administration (SBA) has set a
size threshold, which defines those
entities classified as ‘‘small businesses’’
for the purposes of the statute. DOE
used the SBA’s small business size
standards to determine whether any
small entities would be subject to the
requirements of the rule. 65 FR 30836,
30848 (May 15, 2000), as amended at 65
FR 53533, 53544 (Sept. 5, 2000) and
codified at 13 CFR part 121. The size
standards are listed by North American
Industry Classification System (NAICS)
code and industry description and are
available at https://www.sba.gov/content/
summary-size-standards-industry. EPS
manufacturing is classified under
NAICS 335999, ‘‘All Other
Miscellaneous Electrical Equipment and
Component Manufacturing.’’ The SBA
sets a threshold of 500 employees or less
for an entity to be considered as a small
business for this category.
As a preliminary matter, DOE notes
that there are no domestic
manufacturers of EPSs. Consequently,
there are no small business impacts to
evaluate for purposes of the Regulatory
Flexibility Act.
Notwithstanding the absence of
domestic EPS manufacturers, DOE
reviewed this proposed rule under the
provisions of the Regulatory Flexibility
Act and the procedures and policies
published on February 19, 2003. This
proposed rule would incorporate into
DOE’s regulations a statutorilyprescribed exemption affecting EPSs
that manufacturers make available as
service or spare parts. The exemption
allows manufacturers to maintain and
distribute supplies of replacement parts
for older equipment without needing to
meet the EPS energy conservation
standards that will apply starting in
2016. This exemption provides
manufacturers flexibility in meeting
their warranty and contract obligations
in cases where service or spare parts
require an EPS. It also relieves
manufacturers of the burdens of
redesigning and certifying EPSs used for
end-use products that are no longer
manufactured starting in 2016, which
DOE anticipates will save these
manufacturers from any significant
expenses that would otherwise be used
to solely support products that are no
longer in production.
Consistent with its prior
incorporation of the previous statutory
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exemption added by Congress for Class
A EPSs made available as service and
spare parts, see 10 CFR 430.32(w)(2)
(2015), DOE expects any potential
impact from its proposal to be minimal.
For these reasons, DOE certifies that
the proposed rule would not have a
significant economic impact on a
substantial number of small entities.
Accordingly, DOE has not prepared a
regulatory flexibility analysis for this
rulemaking. DOE will transmit the
certification and supporting statement
of factual basis to the Chief Counsel for
Advocacy of the SBA for review under
5 U.S.C. 605(b).
C. Review Under the Paperwork
Reduction Act of 1995
This rule proposes to revise an
existing information collection. This
information collection request contains:
(1) OMB Control Number: 1910–1400.
(2) Information Collection Request
Title: Certification Reports, Compliance
Statements, Application for a Test
Procedure Waiver, and Recordkeeping
for Consumer Products and
Commercial/Industrial Equipment
Subject to Energy or Water Conservation
Standards.
(3) Type of Request: Revision of a
Currently Approved Collection.
(4) Purpose: Today’s notice would
require external power supply
manufacturers to report the number of
exempt EPS units sold as part of the
annual certification report, which is
already required. The annual
certification report must be submitted
via CCMS, an electronic system for
recording and processing certification
submissions.
Manufacturers of EPSs must certify to
DOE that their products comply with
any applicable energy conservation
standards. In certifying compliance,
manufacturers must test their products
according to the DOE test procedures for
EPSs including any amendments
adopted for those test procedures. DOE
has established regulations for the
certification and recordkeeping
requirements for all covered consumer
products and commercial equipment,
including external power supplies. See
10 CFR part 429, subpart B. The
collection-of-information requirement
for certification and recordkeeping is
subject to review and approval by OMB
under the Paperwork Reduction Act
(PRA). This requirement has been
approved by OMB under OMB Control
Number 1910–1400. Public reporting
burden for the proposed certification
requirement is estimated to average 30
hours per response, including the time
for reviewing instructions, searching
existing data sources, gathering and
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maintaining the data needed, and
completing and reviewing the collection
of information.
In today’s notice, DOE is proposing to
require external power supply
manufacturers to provide the total
number of exempt EPS units sold as
service and spare parts for each basic
model for which the manufacturer is
claiming exemption from the current
standards. The following are DOE
estimates of the increased time (over the
existing approved information
collection) for manufacturers to collect,
organize and store the data required by
today’s notice of proposed rulemaking.
Affected Public: Manufacturers of
external power supplies that are
claiming the spare parts exemption.
Estimated Number of Impacted
Manufacturers: 1028.
Estimated Time per Record: 4
minutes.
Estimated Total Annual Burden
Hours: 69 hours.
Estimated Total Annual Cost to the
Manufacturers: $500.
This revision would yield the
following totals for the information
collection:
(5) Annual Estimated Number of
Respondents: 3028
(6) Annual Estimated Number of Total
Responses: 20,000
(7) Annual Estimated Number of Burden
Hours: 68,069 hours
(8) Annual Estimated Reporting and
Recordkeeping Cost Burden:
$6,800,500
Notwithstanding any other provision
of the law, no person is required to
respond to, nor shall any person be
subject to a penalty for failure to comply
with, a collection of information subject
to the requirements of the PRA, unless
that collection of information displays a
currently valid OMB Control Number.
D. Review Under the National
Environmental Policy Act of 1969
DOE has determined that this
proposal, which would incorporate a
recently-enacted exemption into the
CFR for EPSs sold as spare or service
parts, falls into a class of actions that are
categorically excluded from review
under the National Environmental
Policy Act of 1969 (42 U.S.C. 4321, et
seq.) and DOE’s implementing
regulations at 10 CFR part 1021.
Specifically, this proposed rule would
adopt changes to the manner in which
certain covered equipment would be
certified and/or reported, which would
not affect the amount, quality or
distribution of energy usage, and,
therefore, would not result in any
environmental impacts. Thus, this
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rulemaking is covered by Categorical
Exclusion A6 (Procedural Rulemaking)
under 10 CFR part 1021, subpart D.
Accordingly, neither an environmental
assessment nor an environmental
impact statement is required.
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E. Review Under Executive Order 13132
Executive Order 13132, ‘‘Federalism,’’
64 FR 43255 (August 4, 1999) imposes
certain requirements on agencies
formulating and implementing policies
or regulations that preempt State law or
that have Federalism implications. The
Executive Order requires agencies to
examine the constitutional and statutory
authority supporting any action that
would limit the policymaking discretion
of the States and to carefully assess the
necessity for such actions. The
Executive Order also requires agencies
to have an accountable process to
ensure meaningful and timely input by
State and local officials in the
development of regulatory policies that
have Federalism implications. On
March 14, 2000, DOE published a
statement of policy describing the
intergovernmental consultation process
it will follow in the development of
such regulations. 65 FR 13735. DOE has
examined this proposed rule and has
determined that it would not have a
substantial direct effect 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. EPCA governs and
prescribes Federal preemption of State
regulations as to energy conservation for
the products that are the subject of
today’s proposed rule. States can
petition DOE for exemption from such
preemption to the extent, and based on
criteria, set forth in EPCA. (42 U.S.C.
6297(d)) No further action is required by
Executive Order 13132.
F. Review Under Executive Order 12988
Regarding the review of existing
regulations and the promulgation of
new regulations, section 3(a) of
Executive Order 12988, ‘‘Civil Justice
Reform,’’ 61 FR 4729 (Feb. 7, 1996),
imposes on Federal agencies the general
duty to adhere to the following
requirements: (1) Eliminate drafting
errors and ambiguity; (2) write
regulations to minimize litigation; (3)
provide a clear legal standard for
affected conduct rather than a general
standard; and (4) promote simplification
and burden reduction. Section 3(b) of
Executive Order 12988 specifically
requires that Executive agencies make
every reasonable effort to ensure that the
regulation: (1) Clearly specifies the
preemptive effect, if any; (2) clearly
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specifies any effect on existing Federal
law or regulation; (3) provides a clear
legal standard for affected conduct
while promoting simplification and
burden reduction; (4) specifies the
retroactive effect, if any; (5) adequately
defines key terms; and (6) addresses
other important issues affecting clarity
and general draftsmanship under any
guidelines issued by the Attorney
General. Section 3(c) of Executive Order
12988 requires Executive agencies to
review regulations in light of applicable
standards in sections 3(a) and 3(b) to
determine whether they are met or it is
unreasonable to meet one or more of
them. DOE has completed the required
review and determined that, to the
extent permitted by law, the proposed
rule meets the relevant standards of
Executive Order 12988.
G. Review Under the Unfunded
Mandates Reform Act of 1995
Title II of the Unfunded Mandates
Reform Act of 1995 (UMRA) requires
each Federal agency to assess the effects
of Federal regulatory actions on State,
local, and Tribal governments and the
private sector. Public Law 104–4, sec.
201 (codified at 2 U.S.C. 1531). For a
proposed regulatory action likely to
result in a rule that may cause the
expenditure by State, local, and Tribal
governments, in the aggregate, or by the
private sector of $100 million or more
in any one year (adjusted annually for
inflation), section 202 of UMRA requires
a Federal agency to publish a written
statement that estimates the resulting
costs, benefits, and other effects on the
national economy. (2 U.S.C. 1532(a)–(b))
The UMRA also requires a Federal
agency to develop an effective process
to permit timely input by elected
officers of State, local, and Tribal
governments on a proposed ‘‘significant
intergovernmental mandate,’’ and
requires an agency plan for giving notice
and opportunity for timely input to
potentially affected small governments
before establishing any requirements
that might significantly or uniquely
affect small governments. On March 18,
1997, DOE published a statement of
policy on its process for
intergovernmental consultation under
UMRA. 62 FR 12820; also available at
https://energy.gov/gc/office-generalcounsel. DOE examined this proposed
rule according to UMRA and its
statement of policy and determined that
the proposed rule contains neither an
intergovernmental mandate, nor a
mandate that may result in the
expenditure of $100 million or more in
any year, so these requirements do not
apply.
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H. Review Under the Treasury and
General Government Appropriations
Act, 1999
Section 654 of the Treasury and
General Government Appropriations
Act, 1999 (Pub. L. 105–277) requires
Federal agencies to issue a Family
Policymaking Assessment for any rule
that may affect family well-being. This
proposed rule would not have any
impact on the autonomy or integrity of
the family as an institution.
Accordingly, DOE has concluded that it
is not necessary to prepare a Family
Policymaking Assessment.
I. Review Under Executive Order 12630
DOE has determined, under Executive
Order 12630, ‘‘Governmental Actions
and Interference with Constitutionally
Protected Property Rights’’ 53 FR 8859
(March 18, 1988), that this proposed
regulation would not result in any
takings that might require compensation
under the Fifth Amendment to the U.S.
Constitution.
J. Review Under Treasury and General
Government Appropriations Act, 2001
Section 515 of the Treasury and
General Government Appropriations
Act, 2001 (44 U.S.C. 3516 note) provides
for agencies to review most
disseminations of information to the
public under guidelines established by
each agency pursuant to general
guidelines issued by OMB. OMB’s
guidelines were published at 67 FR
8452 (Feb. 22, 2002), and DOE’s
guidelines were published at 67 FR
62446 (Oct. 7, 2002). DOE has reviewed
this proposed rule under the OMB and
DOE guidelines and has concluded that
it is consistent with applicable policies
in those guidelines.
K. Review Under Executive Order 13211
Executive Order 13211, ‘‘Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use,’’ 66 FR 28355 (May
22, 2001), requires Federal agencies to
prepare and submit to OMB, a
Statement of Energy Effects for any
proposed significant energy action. A
‘‘significant energy action’’ is defined as
any action by an agency that
promulgated or is expected to lead to
promulgation of a final rule, and that:
(1) Is a significant regulatory action
under Executive Order 12866, or any
successor order; and (2) is likely to have
a significant adverse effect on the
supply, distribution, or use of energy; or
(3) is designated by the Administrator of
OIRA as a significant energy action. For
any proposed significant energy action,
the agency must give a detailed
statement of any adverse effects on
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energy supply, distribution, or use
should the proposal be implemented,
and of reasonable alternatives to the
action and their expected benefits on
energy supply, distribution, and use.
This proposed regulatory action to
amend the existing certification
requirements for EPSs sold as spare
parts is not a significant regulatory
action under Executive Order 12866.
Moreover, it would not have a
significant adverse effect on the supply,
distribution, or use of energy, nor has it
been designated as a significant energy
action by the Administrator of OIRA.
Therefore, it is not a significant energy
action, and, accordingly, DOE has not
prepared a Statement of Energy Effects.
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L. Review Under Section 32 of the
Federal Energy Administration Act of
1974
Under section 301 of the Department
of Energy Organization Act (Pub. L. 95–
91; 42 U.S.C. 7101), DOE must comply
with section 32 of the Federal Energy
Administration Act of 1974, as amended
by the Federal Energy Administration
Authorization Act of 1977. (15 U.S.C.
788; FEAA) Section 32 essentially
provides in relevant part that, where a
proposed rule authorizes or requires use
of commercial standards, the notice of
proposed rulemaking must inform the
public of the use and background of
such standards. In addition, section
32(c) requires DOE to consult with the
Attorney General and the Chairman of
the Federal Trade Commission (FTC)
concerning the impact of the
commercial or industry standards on
competition. This proposal to amend
the certification requirements for all
covered consumer products does not
propose the use of any commercial
standards.
V. Public Participation
DOE will accept comments, data, and
information regarding this proposed
rule no later than the date provided in
the DATES section at the beginning of
this proposed rule. Interested parties
may submit comments using any of the
methods described in the ADDRESSES
section at the beginning of this proposed
rule.
Submitting comments via
regulations.gov. The regulations.gov
Web page will require you to provide
your name and contact information.
Your contact information will be
viewable to DOE Building Technologies
staff only. Your contact information will
not be publicly viewable except for your
first and last names, organization name
(if any), and submitter representative
name (if any). If your comment is not
processed properly because of technical
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difficulties, DOE will use this
information to contact you. If DOE
cannot read your comment due to
technical difficulties and cannot contact
you for clarification, DOE may not be
able to consider your comment.
However, your contact information
will be publicly viewable if you include
it in the comment or in any documents
attached to your comment. Any
information that you do not want to be
publicly viewable should not be
included in your comment, nor in any
document attached to your comment.
Persons viewing comments will see only
first and last names, organization
names, correspondence containing
comments, and any documents
submitted with the comments.
Do not submit to regulations.gov
information for which disclosure is
restricted by statute, such as trade
secrets and commercial or financial
information (hereinafter referred to as
Confidential Business Information
(CBI)). Comments submitted through
regulations.gov cannot be claimed as
CBI. Comments received through the
Web site will waive any CBI claims for
the information submitted. For
information on submitting CBI, see the
Confidential Business Information
section.
DOE processes submissions made
through regulations.gov before posting.
Normally, comments will be posted
within a few days of being submitted.
However, if large volumes of comments
are being processed simultaneously,
your comment may not be viewable for
up to several weeks. Please keep the
comment tracking number that
regulations.gov provides after you have
successfully uploaded your comment.
Submitting comments via email, hand
delivery, or mail. Comments and
documents submitted via email, hand
delivery, or mail also will be posted to
regulations.gov. If you do not want your
personal contact information to be
publicly viewable, do not include it in
your comment or any accompanying
documents. Instead, provide your
contact information on a cover letter.
Include your first and last names, email
address, telephone number, and
optional mailing address. The cover
letter will not be publicly viewable as
long as it does not include any
comments.
Include contact information each time
you submit comments, data, documents,
and other information to DOE. If you
submit via mail or hand delivery, please
provide all items on a CD, if feasible. It
is not necessary to submit printed
copies. No facsimiles (faxes) will be
accepted.
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71989
Comments, data, and other
information submitted to DOE
electronically should be provided in
PDF (preferred), Microsoft Word or
Excel, WordPerfect, or text (ASCII) file
format. Provide documents that are not
secured, written in English and free of
any defects or viruses. Documents
should not contain special characters or
any form of encryption and, if possible,
they should carry the electronic
signature of the author.
Campaign form letters. Please submit
campaign form letters by the originating
organization in batches of between 50 to
500 form letters per PDF or as one form
letter with a list of supporters’ names
compiled into one or more PDFs. This
reduces comment processing and
posting time.
Confidential Business Information.
According to 10 CFR 1004.11, any
person submitting information that he
or she believes to be confidential and
exempt by law from public disclosure
should submit via email, postal mail, or
hand delivery two well-marked copies:
one copy of the document marked
confidential including all the
information believed to be confidential,
and one copy of the document marked
non-confidential with the information
believed to be confidential deleted.
Submit these documents via email or on
a CD, if feasible. DOE will make its own
determination about the confidential
status of the information and treat it
according to its determination.
Factors of interest to DOE when
evaluating requests to treat submitted
information as confidential include: (1)
A description of the items; (2) whether
and why such items are customarily
treated as confidential within the
industry; (3) whether the information is
generally known by or available from
other sources; (4) whether the
information has previously been made
available to others without obligation
concerning its confidentiality; (5) an
explanation of the competitive injury to
the submitting person which would
result from public disclosure; (6) when
such information might lose its
confidential character due to the
passage of time; and (7) why disclosure
of the information would be contrary to
the public interest.
It is DOE’s policy that all comments
may be included in the public docket,
without change and as received,
including any personal information
provided in the comments (except
information deemed to be exempt from
public disclosure).
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VI. Approval of the Office of the
Secretary
The Secretary of Energy has approved
publication of this proposed rule.
List of Subjects
10 CFR Part 429
Administrative practice and
procedure, Confidential business
information, Energy conservation,
Household appliances, Imports,
Reporting and recordkeeping
requirements.
10 CFR Part 430
Administrative practice and
procedure, Confidential business
information, Energy conservation,
Household appliances, Imports,
Intergovernmental relations, Small
businesses.
Issued in Washington, DC, on November
10, 2015.
Kathleen B. Hogan,
Deputy Assistant Secretary for Energy
Efficiency, Energy Efficiency and Renewable
Energy.
For the reasons stated in the
preamble, DOE is proposing to amend
parts 429 and 430 of Chapter II of Title
10, Code of Federal Regulations as set
forth below:
compliant with an applicable standard,
the importer or domestic manufacturer
must, no later than September 1, 2017,
and annually thereafter, submit a report
providing the following information:
(1) The importer or domestic
manufacturer’s name and address;
(2) The brand name;
(3) The model number;
(4) The average active mode efficiency
as a percentage (%);
(5) No-load mode power consumption
in watts (W);
(6) The nameplate output power in
watts (W);
(7) The nameplate output current in
aperes (A); and
(8) The number of units sold during
the most recent 12-calendar-month
period ending on July 31. The report
must be submitted to DOE in
accordance with the submission
procedures set forth in § 429.12(h).
PART 430—ENERGY CONSERVATION
PROGRAM FOR CONSUMER
PRODUCTS
3. The authority citation for part 430
continues to read as follows:
■
Authority: 42 U.S.C. 6291–6309; 28 U.S.C.
2461 note.
4. Section 430.32 is amended by
revising paragraph (w)(2) to read as
follows:
■
PART 429—CERTIFICATION,
COMPLIANCE, AND ENFORCEMENT
FOR CONSUMER PRODUCTS AND
COMMERCIAL AND INDUSTRIAL
EQUIPMENT
§ 430.32 Energy and water conservation
standards and their compliance dates.
*
1. The authority citation for part 429
continues to read as follows:
■
Authority: 42 U.S.C. 6291–6317.
2. Section 429.37 is amended by
adding paragraphs (b)(3) and (c) to read
as follows:
■
§ 429.37
External power supplies.
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*
*
*
*
*
(b) * * *
(3) Pursuant to § 429.12(b)(13), a
certification report for external power
supplies that are exempt from the
energy conservation standards at
§ 430.32(w)(1)(ii) pursuant to
§ 430.32(w)(2) must include the
following additional product-specific
information: The number of units of
each individual model of exempt
external power supplies sold during the
most recent 12-calendar-month period
ending on July 31.
(c) Exempt External Power Supplies.
For each individual model of external
power supply that is exempt from
energy conservation standards pursuant
to § 430.32(w)(2) and has not been
certified pursuant to § 429.12(a) as
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*
*
*
*
(w) * * *
(2) A basic model of external power
supply is not subject to the energy
conservation standards of paragraph
(w)(1)(ii) of this section if the external
power supply—
(i) Is manufactured during the period
beginning on February 10, 2016, and
ending on February 10, 2020;
(ii) Is marked in accordance with the
External Power Supply International
Efficiency Marking Protocol, as in effect
on February 10, 2016;
(iii) Meets, where applicable, the
standards under paragraph (w)(1)(i) of
this section, and has been certified to
the Secretary as meeting those
standards; and
(iv) Is made available by the
manufacturer only as a service part or a
spare part for an end-use product that—
(A) Constitutes the primary load; and
(B) Was manufactured before
February 10, 2016.
*
*
*
*
*
[FR Doc. 2015–29303 Filed 11–17–15; 8:45 am]
BILLING CODE 6450–01–P
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DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Food and Drug Administration
21 CFR Part 101
[Docket No. FDA–2014–N–1021]
RIN 0910–AH00
Food Labeling; Gluten-Free Labeling of
Fermented or Hydrolyzed Foods
AGENCY:
Food and Drug Administration,
HHS.
ACTION:
Proposed rule.
The Food and Drug
Administration (FDA or we) is
proposing to establish requirements
concerning ‘‘gluten-free’’ labeling for
foods that are fermented or hydrolyzed
or that contain fermented or hydrolyzed
ingredients. These additional
requirements for the ‘‘gluten-free’’
labeling rule are needed to help ensure
that individuals with celiac disease are
not misled and receive truthful and
accurate information with respect to
fermented or hydrolyzed foods labeled
as ‘‘gluten-free.’’ There is uncertainty in
interpreting the results of current gluten
test methods for fermented and
hydrolyzed foods on a quantitative basis
that equates the test results in terms of
intact gluten. Thus, we propose to
evaluate compliance of such fermented
and hydrolyzed foods that bear a
‘‘gluten-free’’ claim with the gluten-free
labeling rule based on records that are
made and kept by the manufacturer of
the food bearing the ‘‘gluten-free’’ claim
and made available to us for inspection
and copying. The records would need to
provide adequate assurance that the
food is ‘‘gluten-free’’ in compliance with
the gluten-free food labeling final rule
before fermentation or hydrolysis. In
addition, the proposed rule would
require the manufacturer of fermented
or hydrolyzed foods bearing the ‘‘glutenfree’’ claim to document that it has
adequately evaluated the potential for
gluten cross-contact and, if identified,
that the manufacturer has implemented
measures to prevent the introduction of
gluten into the food during the
manufacturing process. Likewise,
manufacturers of foods that contain
fermented or hydrolyzed ingredients
and bear the ‘‘gluten-free’’ claim would
be required to make and keep records
that demonstrate with adequate
assurance that the fermented or
hydrolyzed ingredients are ‘‘gluten-free’’
in compliance with the gluten-free food
labeling final rule. Finally, the proposed
rule would state that we would evaluate
compliance of distilled foods by
SUMMARY:
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Agencies
[Federal Register Volume 80, Number 222 (Wednesday, November 18, 2015)]
[Proposed Rules]
[Pages 71984-71990]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2015-29303]
=======================================================================
-----------------------------------------------------------------------
DEPARTMENT OF ENERGY
10 CFR Parts 429 and 430
[Docket No. EERE-2015-BT-CRT-0013]
RIN 1904-AD53
Energy Conservation Program: Exempt External Power Supplies Under
the EPS Service Parts Act of 2014
AGENCY: Office of Energy Efficiency and Renewable Energy, Department of
Energy.
ACTION: Notice of proposed rulemaking.
-----------------------------------------------------------------------
SUMMARY: The U.S. Department of Energy (DOE) is proposing to codify
provisions of the EPS Service Parts Act of 2014 that exempt from energy
conservation standards certain external power supplies (EPSs) made
available by a manufacturer as a service or spare part. Consistent with
that Act, DOE is proposing to require annual reports of the total
number of exempt EPS units sold as service and spare parts that do not
meet the relevant energy conservation standards.
DATES: DOE will accept comments, data, and information regarding this
notice of proposed rulemaking no later than December 18, 2015. See
section V, ``Public Participation,'' for details.
ADDRESSES: Any comments submitted must identify the NOPR for Exempt
External Power Supplies Under the EPS Service Parts Act of 2014, and
provide docket number EERE-2015-BT-CRT-0013 and/or regulatory
information number (RIN) number 1904-AD53. Comments may be submitted
using any of the following methods:
1. Federal eRulemaking Portal: www.regulations.gov. Follow the
instructions for submitting comments.
2. Email: EPSServiceParts2015CRT0013@ee.doe.gov. Include the docket
number and/or RIN in the subject line of the message.
3. Mail: Ms. Brenda Edwards, U.S. Department of Energy, Building
Technologies Program, Mailstop EE-5B, 1000 Independence Avenue SW.,
Washington, DC, 20585-0121. If possible, please submit all items on a
CD. It is not necessary to include printed copies.
4. Hand Delivery/Courier: Ms. Brenda Edwards, U.S. Department of
Energy, Building Technologies Program, 950 L'Enfant Plaza SW., Suite
600, Washington, DC, 20024. Telephone: (202) 586-2945. If possible,
please submit all items on a CD. It is not necessary to include printed
copies.
For detailed instructions on submitting comments and additional
information on the rulemaking process, see section V of this document
(Public Participation).
Docket: The docket, which includes Federal Register notices, public
meeting attendee lists and transcripts, comments, and other supporting
documents/materials, is available for review at regulations.gov. All
documents in the docket are listed in the regulations.gov index.
However, some documents listed in the index, such as those containing
information that is exempt from public disclosure, may not be publicly
available.
A link to the docket Web page can be found at: https://www1.eere.energy.gov/buildings/appliance_standards/product.aspx?productid=23. This Web page will contain a link to the
docket for this notice on the regulations.gov site. The regulations.gov
Web page will contain simple instructions on how to access all
documents, including public comments, in the docket. See section V for
information on how to submit comments through regulations.gov.
For further information on how to submit a comment, review other
public comments and the docket, or to request a public meeting, contact
Ms. Brenda Edwards at (202) 586-2945 or by email:
Brenda.Edwards@ee.doe.gov.
FOR FURTHER INFORMATION CONTACT: Direct requests for additional
information may be sent to Mr. Jeremy Dommu, U.S. Department of Energy,
Office of Energy Efficiency and Renewable Energy, Building Technologies
Program, EE-2J, 1000 Independence Avenue SW., Washington, DC 20585-
0121.
[[Page 71985]]
Telephone: (202) 586-9870. Email:
battery_chargers_and_external_power_supplies@EE.Doe.Gov
For legal issues, please contact Mr. Michael Kido, U.S. Department
of Energy, Office of the General Counsel, GC-33, 1000 Independence
Avenue SW., Washington, DC 20585-0121. Telephone: (202) 586-8145.
Email: Michael.Kido@hq.doe.gov.
Table of Contents
I. Authority and Background
II. Summary of the Notice of Proposed Rulemaking
III. Discussion
A. Codifying the Exemption in the CFR
B. Service or Spare Part EPS
C. Sales Reporting Requirements
IV. Procedural Issues and Regulatory Review
A. Review Under Executive Order 12866
B. Review Under the Regulatory Flexibility Act
C. Review Under the Paperwork Reduction Act of 1995
D. Review Under the National Environmental Policy Act of 1969
E. Review Under Executive Order 13132
F. Review Under Executive Order 12988
G. Review Under the Unfunded Mandates Reform Act of 1995
H. Review Under the Treasury and General Government
Appropriations Act, 1999
I. Review Under Executive Order 12630
J. Review Under Treasury and General Government Appropriations
Act, 2001
K. Review Under Executive Order 13211
L. Review Under Section 32 of the Federal Energy Administration
Act of 1974
V. Public Participation
VI. Approval of the Office of the Secretary
I. Authority and Background
Authority
Title III of the Energy Policy and Conservation Act of 1975 (42
U.S.C. 6291, et seq.; ``EPCA'' or, in context, ``the Act'') sets forth
a variety of provisions designed to improve energy efficiency. (All
references to EPCA refer to the statute as amended through the Energy
Efficiency Improvement Act of 2015, Pub. L. 114-11 (April 30, 2015).)
Part B of title III, which for editorial reasons was re-designated as
Part A upon incorporation into the U.S. Code (42 U.S.C. 6291-6309, as
codified), establishes the ``Energy Conservation Program for Consumer
Products Other Than Automobiles.'' External power supplies are among
the products affected by these provisions.
Background
Section 301 of EISA 2007 established minimum energy conservation
standards for Class A external power supplies (EPSs) manufactured on or
after July 1, 2008. (42 U.S.C. 6295(u)(3)(A)). See 42 U.S.C.
6291(36)(C)(i)-(ii). EISA 2007 exempts Class A EPSs from meeting these
statutorily-prescribed standards if the devices are manufactured before
July 1, 2015, and made available by the manufacturer as service parts
or spare parts for end-use consumer products that were manufactured
prior to July 1, 2008. (42 U.S.C. 6295(u)(3)(B)) Congress created this
limited (and temporary) exemption as part of a broad range of
amendments to EPCA under EISA 2007. The provision did not grant DOE
with the authority to expand or extend the length of this exemption and
Congress did not grant DOE with the general authority to exempt any
already covered product from the requirements set by Congress.
After releasing a preliminary analysis and issuing a proposed set
of energy conservation standards, DOE published a final rule
prescribing new standards for non-Class A EPSs and amended standards
for some Class A EPSs--namely, those EPSs that met what DOE has termed
as ``direct operation'' EPSs. See 79 FR 7846 (Feb. 10, 2014). (A direct
operation EPS is an external power supply that can operate a consumer
product that is not a battery charger without the assistance of a
battery. See 10 CFR 430.2.) These new standards apply to products
manufactured on or after February 10, 2016. At that time, DOE did not
have the authority to provide manufacturers with an exemption for EPSs
that were made available as service or spare parts to end-use consumer
products that were manufactured prior to the compliance date of these
new standards. Accordingly, despite requests from some commenters who
responded to DOE's proposed standards by asking for such an exemption,
no such relief was provided as part of the final rule.
On December 18, 2014, the EPS Service Parts Act of 2014, Public Law
113-263 (Dec. 18, 2014) (``Service Parts Act'') was enacted. That law
provided manufacturers with an exemption for EPSs that are made
available as service and spare parts for end-use products manufactured
before February 10, 2016. To be exempt from the new standards under the
Service Parts Act, an EPS must meet four separate criteria.
Specifically, the EPS must be: (i) Manufactured during the period
beginning on February 10, 2016, and ending on February 10, 2020; (ii)
marked in accordance with the External Power Supply International
Efficiency Marking Protocol; (iii) compliant, where applicable, with
the standards for Class A EPSs and certified to DOE as meeting at least
International Efficiency Level IV; and (iv) made available by the
manufacturer as a service part or spare part for an end-use product
manufactured before February 10, 2016.
Additionally, the Service Parts Act permits DOE to require
manufacturers of an EPS that is exempt from the 2016 standards to
report to DOE the total number of EPS units shipped annually that are
made available as service and spare parts and do not meet those
standards. See 42 U.S.C. 6295(u)(5)(A)(ii). DOE may also limit the
applicability of the exemption if the Secretary determines that the
exemption is resulting in a significant reduction of the energy savings
that would result were there no exemption to the new standards. See 42
U.S.C. 6295(u)(5)(A)(iii). Finally, the statute authorizes DOE to
provide a similar exemption from future EPS conservation standards.
II. Summary of the Notice of Proposed Rulemaking
DOE is proposing to incorporate the statutory provisions described
above into its regulations. DOE is also providing some clarification on
the circumstances under which EPSs would be considered spare or service
parts. DOE also proposes to require that importers and domestic
manufacturers annually report to DOE the total units of exempt EPSs
sold as service and spare parts that do not meet the 2016 standards.
III. Discussion
A. Codifying the Exemption in the CFR
DOE is proposing to incorporate the provisions of the Service Parts
Act into 10 CFR 430.32. This would help ensure that the regulations
reflect the statutory exemption and that interested parties are able to
readily access the content of this new statutory provision. It also
ensures consistency with the similar exemption to the Class A EPS
standards provided by Congress within EISA 2007, which was codified in
the CFR.
B. Service or Spare Part EPSs
The Service Parts Act provides an exemption for certain EPSs that
are made available by manufacturers as service or spare parts. Most
end-use products that use EPSs are sold with the EPS that is necessary
to operate that product. In such a case, the EPS that is sold with the
end-use product would not be considered to be an EPS made available as
a spare or service part. However, any EPS that is sold separately from
an end-use product, including an EPS made available as a replacement
for, or in addition to, the EPS originally sold with an end-use product
would be considered an EPS
[[Page 71986]]
made available as a service or spare part.
Further, to clarify the application of this statutory exemption,
only those EPSs that are made available as service or spare parts for
end-use products that were manufactured before February 10, 2016 (the
date that manufacturers must comply with the new and amended standards
for direct operation EPSs) qualify for the Service Parts Act's
exemption. If an EPS is made available as a service part or spare part
for any end-use product that continues to be manufactured after
February 10, 2016, or is sold with any end-use product manufactured
after that date, that EPS would not be eligible for this exemption.
Congress specifically limited the application of the exemption to those
EPSs that the manufacturer makes available for an end-use product that
constitutes the primary load of that end-use product so long as it was
manufactured prior to February 10, 2016. See 42 U.S.C. 6295(u)(5)(A).
Furthermore, DOE recognizes that many EPSs, like those that use an
industry standard communication protocol such as the universal serial
bus (USB), may be capable of operating many different end-use products.
If the EPS is capable of operating multiple end-use products, some of
which were manufactured before February 10, 2016, and some of which
were manufactured after February 10, 2016, then that EPS would also not
be eligible for the service and spare part exemption since the EPS can
operate an end-use product manufactured after February 10, 2016. In
order to clarify which EPSs are eligible for the exemption, DOE is
proposing to clarify that this exemption would apply to an EPS basic
model that a manufacturer makes available only as a service part or a
spare part for an end-use product that was manufactured before February
10, 2016, and would not apply to an EPS basic model that a manufacturer
makes available as a service part or spare part for end-use products
that continue to be manufactured after February 10, 2016. Specifically,
an EPS would be exempt from the 2016 Level VI standard if, among other
criteria, it is made available by the manufacturer only as a service
part or a spare part for an end-use product, and only if the end-use
product was manufactured before February 10, 2016.
DOE seeks comment regarding how manufacturers produce spare or
service parts as compared to how manufacturers produce EPS units
provided with a new product. For example, do manufacturers typically
produce a single EPS basic model that is both sold independently as a
service/spare part for a given end-use product and packaged with a new
end-use product? If a manufacturer typically produces a single EPS
basic model, are those EPSs produced as a spare or service part
labelled differently from those packaged with a new product?
C. Sales Reporting Requirements
Additionally, the Service Parts Act permits DOE to require
manufacturers of an EPS that is exempt from the 2016 standards to
report to DOE the total number of EPS units shipped annually that are
made available as service and spare parts and do not meet those
standards. See 42 U.S.C. 6295(u)(5)(A)(ii). Consistent with that
authority, DOE is proposing that importers and domestic manufacturers
of EPSs that are exempt under the Service Parts Act report to DOE
annually the total number of exempt EPS units sold that do not meet the
amended standard. DOE considers the ``shipments'' referred to in the
statute to be the units sold by either the importer or the domestic
manufacturer. Because importers would have both incoming and outgoing
shipments, DOE considers the ``units sold'' to be clearer than ``units
shipped.'' DOE requests comment on this phrasing.
Many of the EPSs involved are Class A EPSs and continue to be
subject to the current Class A EPS standards (i.e. Level IV) set forth
in 10 CFR 430.32(w)(1)(i) and associated certification requirements.
Manufacturers of any basic model of such a Class A EPS must, therefore,
submit an annual certification report to DOE as required under 10 CFR
part 429. For these EPSs, submission of an annual certification report
to DOE is required to qualify for the exemption. In addition to the
annual certification report requirement for these EPSs, DOE is
proposing to require each importer or domestic manufacturer to include
in its annual certification report information the number of units of
each individual model of exempt EPS it sold in the preceding year that
do not meet the 2016 standards. The Service Parts Act authorizes DOE to
limit the applicability of the service and spare part exemption if DOE
determines that the exemption is resulting in a significant reduction
of the energy savings that would otherwise result from the final rule.
In assessing whether such a change would be needed, DOE plans to use
the reported information to evaluate the exemption's impacts on energy
savings.
Similarly, DOE is proposing to require each importer or domestic
manufacturer of non-Class A EPSs that are exempted by the Service Parts
Act and do not meet the 2016 standards to submit an annual report of
the corresponding number of units of each individual model of such EPS
that the importer or domestic manufacturer sold in the prior year.
Examples of these kinds of non-Class A EPSs include multiple-voltage
EPSs, high-power EPSs, and some EPSs used to operate end-use products
that are motor-driven. Under DOE's February 2014 final rule, these
EPSs, unless exempt, are required to meet the Level VI standards
starting in 2016. These non-class A EPSs would not be certified under
the provisions of 10 CFR 429.12 (General requirements applicable to
certification reports), if they are exempt. Therefore, consistent with
the Service Parts Act, DOE is proposing to require that importers and
domestic manufacturers report the total number of units sold in the
year preceding the report. Specifically, DOE is proposing to add this
reporting requirement to 10 CFR 429.37, with the product-specific
certification requirements.
DOE proposes that the reporting period for the sales information be
from August 1 through July 31 of each year. This would allow importers
and domestic manufacturers time to compile sales information and report
the number of units sold and to align the submittal date with the
annual certification report deadline of September 1 for Class-A EPSs.
DOE seeks comment on this proposed reporting requirement.
IV. Procedural Issues and Regulatory Review
A. Review Under Executive Order 12866
This rulemaking is not significant for purposes of Executive Order
12866, Regulatory Planning and Review, 58 FR 51735 (Oct. 4, 1993).
Accordingly, this action was not subject to review under the Executive
Order by the Office of Information and Regulatory Affairs (OIRA) in the
Office of Management and Budget.
B. Review Under the Regulatory Flexibility Act
The Regulatory Flexibility Act (5 U.S.C. 601, et seq.) requires
preparation of an initial regulatory flexibility analysis (IFRA) for
any rule that by law must be proposed for public comment, unless the
agency certifies that the rule, if promulgated, will not have a
significant economic impact on a substantial number of small entities.
As required by Executive Order 13272, ``Proper Consideration of Small
Entities in Agency Rulemaking,'' 67 FR 53461 (August 16, 2002), DOE
published procedures and policies on February 19, 2003, to ensure that
the potential
[[Page 71987]]
impacts of its rules on small entities are properly considered during
the DOE rulemaking process. 68 FR 7990. DOE has made its procedures and
policies available on the Office of the General Counsel's Web site:
https://energy.gov/gc/office-general-counsel.
For manufacturers of EPSs, the Small Business Administration (SBA)
has set a size threshold, which defines those entities classified as
``small businesses'' for the purposes of the statute. DOE used the
SBA's small business size standards to determine whether any small
entities would be subject to the requirements of the rule. 65 FR 30836,
30848 (May 15, 2000), as amended at 65 FR 53533, 53544 (Sept. 5, 2000)
and codified at 13 CFR part 121. The size standards are listed by North
American Industry Classification System (NAICS) code and industry
description and are available at https://www.sba.gov/content/summary-size-standards-industry. EPS manufacturing is classified under NAICS
335999, ``All Other Miscellaneous Electrical Equipment and Component
Manufacturing.'' The SBA sets a threshold of 500 employees or less for
an entity to be considered as a small business for this category.
As a preliminary matter, DOE notes that there are no domestic
manufacturers of EPSs. Consequently, there are no small business
impacts to evaluate for purposes of the Regulatory Flexibility Act.
Notwithstanding the absence of domestic EPS manufacturers, DOE
reviewed this proposed rule under the provisions of the Regulatory
Flexibility Act and the procedures and policies published on February
19, 2003. This proposed rule would incorporate into DOE's regulations a
statutorily-prescribed exemption affecting EPSs that manufacturers make
available as service or spare parts. The exemption allows manufacturers
to maintain and distribute supplies of replacement parts for older
equipment without needing to meet the EPS energy conservation standards
that will apply starting in 2016. This exemption provides manufacturers
flexibility in meeting their warranty and contract obligations in cases
where service or spare parts require an EPS. It also relieves
manufacturers of the burdens of redesigning and certifying EPSs used
for end-use products that are no longer manufactured starting in 2016,
which DOE anticipates will save these manufacturers from any
significant expenses that would otherwise be used to solely support
products that are no longer in production.
Consistent with its prior incorporation of the previous statutory
exemption added by Congress for Class A EPSs made available as service
and spare parts, see 10 CFR 430.32(w)(2) (2015), DOE expects any
potential impact from its proposal to be minimal.
For these reasons, DOE certifies that the proposed rule would not
have a significant economic impact on a substantial number of small
entities. Accordingly, DOE has not prepared a regulatory flexibility
analysis for this rulemaking. DOE will transmit the certification and
supporting statement of factual basis to the Chief Counsel for Advocacy
of the SBA for review under 5 U.S.C. 605(b).
C. Review Under the Paperwork Reduction Act of 1995
This rule proposes to revise an existing information collection.
This information collection request contains:
(1) OMB Control Number: 1910-1400.
(2) Information Collection Request Title: Certification Reports,
Compliance Statements, Application for a Test Procedure Waiver, and
Recordkeeping for Consumer Products and Commercial/Industrial Equipment
Subject to Energy or Water Conservation Standards.
(3) Type of Request: Revision of a Currently Approved Collection.
(4) Purpose: Today's notice would require external power supply
manufacturers to report the number of exempt EPS units sold as part of
the annual certification report, which is already required. The annual
certification report must be submitted via CCMS, an electronic system
for recording and processing certification submissions.
Manufacturers of EPSs must certify to DOE that their products
comply with any applicable energy conservation standards. In certifying
compliance, manufacturers must test their products according to the DOE
test procedures for EPSs including any amendments adopted for those
test procedures. DOE has established regulations for the certification
and recordkeeping requirements for all covered consumer products and
commercial equipment, including external power supplies. See 10 CFR
part 429, subpart B. The collection-of-information requirement for
certification and recordkeeping is subject to review and approval by
OMB under the Paperwork Reduction Act (PRA). This requirement has been
approved by OMB under OMB Control Number 1910-1400. Public reporting
burden for the proposed certification requirement is estimated to
average 30 hours per response, including the time for reviewing
instructions, searching existing data sources, gathering and
maintaining the data needed, and completing and reviewing the
collection of information.
In today's notice, DOE is proposing to require external power
supply manufacturers to provide the total number of exempt EPS units
sold as service and spare parts for each basic model for which the
manufacturer is claiming exemption from the current standards. The
following are DOE estimates of the increased time (over the existing
approved information collection) for manufacturers to collect, organize
and store the data required by today's notice of proposed rulemaking.
Affected Public: Manufacturers of external power supplies that are
claiming the spare parts exemption.
Estimated Number of Impacted Manufacturers: 1028.
Estimated Time per Record: 4 minutes.
Estimated Total Annual Burden Hours: 69 hours.
Estimated Total Annual Cost to the Manufacturers: $500.
This revision would yield the following totals for the information
collection:
(5) Annual Estimated Number of Respondents: 3028
(6) Annual Estimated Number of Total Responses: 20,000
(7) Annual Estimated Number of Burden Hours: 68,069 hours
(8) Annual Estimated Reporting and Recordkeeping Cost Burden:
$6,800,500
Notwithstanding any other provision of the law, no person is
required to respond to, nor shall any person be subject to a penalty
for failure to comply with, a collection of information subject to the
requirements of the PRA, unless that collection of information displays
a currently valid OMB Control Number.
D. Review Under the National Environmental Policy Act of 1969
DOE has determined that this proposal, which would incorporate a
recently-enacted exemption into the CFR for EPSs sold as spare or
service parts, falls into a class of actions that are categorically
excluded from review under the National Environmental Policy Act of
1969 (42 U.S.C. 4321, et seq.) and DOE's implementing regulations at 10
CFR part 1021. Specifically, this proposed rule would adopt changes to
the manner in which certain covered equipment would be certified and/or
reported, which would not affect the amount, quality or distribution of
energy usage, and, therefore, would not result in any environmental
impacts. Thus, this
[[Page 71988]]
rulemaking is covered by Categorical Exclusion A6 (Procedural
Rulemaking) under 10 CFR part 1021, subpart D. Accordingly, neither an
environmental assessment nor an environmental impact statement is
required.
E. Review Under Executive Order 13132
Executive Order 13132, ``Federalism,'' 64 FR 43255 (August 4, 1999)
imposes certain requirements on agencies formulating and implementing
policies or regulations that preempt State law or that have Federalism
implications. The Executive Order requires agencies to examine the
constitutional and statutory authority supporting any action that would
limit the policymaking discretion of the States and to carefully assess
the necessity for such actions. The Executive Order also requires
agencies to have an accountable process to ensure meaningful and timely
input by State and local officials in the development of regulatory
policies that have Federalism implications. On March 14, 2000, DOE
published a statement of policy describing the intergovernmental
consultation process it will follow in the development of such
regulations. 65 FR 13735. DOE has examined this proposed rule and has
determined that it would not have a substantial direct effect 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. EPCA governs and prescribes Federal
preemption of State regulations as to energy conservation for the
products that are the subject of today's proposed rule. States can
petition DOE for exemption from such preemption to the extent, and
based on criteria, set forth in EPCA. (42 U.S.C. 6297(d)) No further
action is required by Executive Order 13132.
F. Review Under Executive Order 12988
Regarding the review of existing regulations and the promulgation
of new regulations, section 3(a) of Executive Order 12988, ``Civil
Justice Reform,'' 61 FR 4729 (Feb. 7, 1996), imposes on Federal
agencies the general duty to adhere to the following requirements: (1)
Eliminate drafting errors and ambiguity; (2) write regulations to
minimize litigation; (3) provide a clear legal standard for affected
conduct rather than a general standard; and (4) promote simplification
and burden reduction. Section 3(b) of Executive Order 12988
specifically requires that Executive agencies make every reasonable
effort to ensure that the regulation: (1) Clearly specifies the
preemptive effect, if any; (2) clearly specifies any effect on existing
Federal law or regulation; (3) provides a clear legal standard for
affected conduct while promoting simplification and burden reduction;
(4) specifies the retroactive effect, if any; (5) adequately defines
key terms; and (6) addresses other important issues affecting clarity
and general draftsmanship under any guidelines issued by the Attorney
General. Section 3(c) of Executive Order 12988 requires Executive
agencies to review regulations in light of applicable standards in
sections 3(a) and 3(b) to determine whether they are met or it is
unreasonable to meet one or more of them. DOE has completed the
required review and determined that, to the extent permitted by law,
the proposed rule meets the relevant standards of Executive Order
12988.
G. Review Under the Unfunded Mandates Reform Act of 1995
Title II of the Unfunded Mandates Reform Act of 1995 (UMRA)
requires each Federal agency to assess the effects of Federal
regulatory actions on State, local, and Tribal governments and the
private sector. Public Law 104-4, sec. 201 (codified at 2 U.S.C. 1531).
For a proposed regulatory action likely to result in a rule that may
cause the expenditure by State, local, and Tribal governments, in the
aggregate, or by the private sector of $100 million or more in any one
year (adjusted annually for inflation), section 202 of UMRA requires a
Federal agency to publish a written statement that estimates the
resulting costs, benefits, and other effects on the national economy.
(2 U.S.C. 1532(a)-(b)) The UMRA also requires a Federal agency to
develop an effective process to permit timely input by elected officers
of State, local, and Tribal governments on a proposed ``significant
intergovernmental mandate,'' and requires an agency plan for giving
notice and opportunity for timely input to potentially affected small
governments before establishing any requirements that might
significantly or uniquely affect small governments. On March 18, 1997,
DOE published a statement of policy on its process for
intergovernmental consultation under UMRA. 62 FR 12820; also available
at https://energy.gov/gc/office-general-counsel. DOE examined this
proposed rule according to UMRA and its statement of policy and
determined that the proposed rule contains neither an intergovernmental
mandate, nor a mandate that may result in the expenditure of $100
million or more in any year, so these requirements do not apply.
H. Review Under the Treasury and General Government Appropriations Act,
1999
Section 654 of the Treasury and General Government Appropriations
Act, 1999 (Pub. L. 105-277) requires Federal agencies to issue a Family
Policymaking Assessment for any rule that may affect family well-being.
This proposed rule would not have any impact on the autonomy or
integrity of the family as an institution. Accordingly, DOE has
concluded that it is not necessary to prepare a Family Policymaking
Assessment.
I. Review Under Executive Order 12630
DOE has determined, under Executive Order 12630, ``Governmental
Actions and Interference with Constitutionally Protected Property
Rights'' 53 FR 8859 (March 18, 1988), that this proposed regulation
would not result in any takings that might require compensation under
the Fifth Amendment to the U.S. Constitution.
J. Review Under Treasury and General Government Appropriations Act,
2001
Section 515 of the Treasury and General Government Appropriations
Act, 2001 (44 U.S.C. 3516 note) provides for agencies to review most
disseminations of information to the public under guidelines
established by each agency pursuant to general guidelines issued by
OMB. OMB's guidelines were published at 67 FR 8452 (Feb. 22, 2002), and
DOE's guidelines were published at 67 FR 62446 (Oct. 7, 2002). DOE has
reviewed this proposed rule under the OMB and DOE guidelines and has
concluded that it is consistent with applicable policies in those
guidelines.
K. Review Under Executive Order 13211
Executive Order 13211, ``Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use,'' 66 FR 28355
(May 22, 2001), requires Federal agencies to prepare and submit to OMB,
a Statement of Energy Effects for any proposed significant energy
action. A ``significant energy action'' is defined as any action by an
agency that promulgated or is expected to lead to promulgation of a
final rule, and that: (1) Is a significant regulatory action under
Executive Order 12866, or any successor order; and (2) is likely to
have a significant adverse effect on the supply, distribution, or use
of energy; or (3) is designated by the Administrator of OIRA as a
significant energy action. For any proposed significant energy action,
the agency must give a detailed statement of any adverse effects on
[[Page 71989]]
energy supply, distribution, or use should the proposal be implemented,
and of reasonable alternatives to the action and their expected
benefits on energy supply, distribution, and use.
This proposed regulatory action to amend the existing certification
requirements for EPSs sold as spare parts is not a significant
regulatory action under Executive Order 12866. Moreover, it would not
have a significant adverse effect on the supply, distribution, or use
of energy, nor has it been designated as a significant energy action by
the Administrator of OIRA. Therefore, it is not a significant energy
action, and, accordingly, DOE has not prepared a Statement of Energy
Effects.
L. Review Under Section 32 of the Federal Energy Administration Act of
1974
Under section 301 of the Department of Energy Organization Act
(Pub. L. 95-91; 42 U.S.C. 7101), DOE must comply with section 32 of the
Federal Energy Administration Act of 1974, as amended by the Federal
Energy Administration Authorization Act of 1977. (15 U.S.C. 788; FEAA)
Section 32 essentially provides in relevant part that, where a proposed
rule authorizes or requires use of commercial standards, the notice of
proposed rulemaking must inform the public of the use and background of
such standards. In addition, section 32(c) requires DOE to consult with
the Attorney General and the Chairman of the Federal Trade Commission
(FTC) concerning the impact of the commercial or industry standards on
competition. This proposal to amend the certification requirements for
all covered consumer products does not propose the use of any
commercial standards.
V. Public Participation
DOE will accept comments, data, and information regarding this
proposed rule no later than the date provided in the DATES section at
the beginning of this proposed rule. Interested parties may submit
comments using any of the methods described in the ADDRESSES section at
the beginning of this proposed rule.
Submitting comments via regulations.gov. The regulations.gov Web
page will require you to provide your name and contact information.
Your contact information will be viewable to DOE Building Technologies
staff only. Your contact information will not be publicly viewable
except for your first and last names, organization name (if any), and
submitter representative name (if any). If your comment is not
processed properly because of technical difficulties, DOE will use this
information to contact you. If DOE cannot read your comment due to
technical difficulties and cannot contact you for clarification, DOE
may not be able to consider your comment.
However, your contact information will be publicly viewable if you
include it in the comment or in any documents attached to your comment.
Any information that you do not want to be publicly viewable should not
be included in your comment, nor in any document attached to your
comment. Persons viewing comments will see only first and last names,
organization names, correspondence containing comments, and any
documents submitted with the comments.
Do not submit to regulations.gov information for which disclosure
is restricted by statute, such as trade secrets and commercial or
financial information (hereinafter referred to as Confidential Business
Information (CBI)). Comments submitted through regulations.gov cannot
be claimed as CBI. Comments received through the Web site will waive
any CBI claims for the information submitted. For information on
submitting CBI, see the Confidential Business Information section.
DOE processes submissions made through regulations.gov before
posting. Normally, comments will be posted within a few days of being
submitted. However, if large volumes of comments are being processed
simultaneously, your comment may not be viewable for up to several
weeks. Please keep the comment tracking number that regulations.gov
provides after you have successfully uploaded your comment.
Submitting comments via email, hand delivery, or mail. Comments and
documents submitted via email, hand delivery, or mail also will be
posted to regulations.gov. If you do not want your personal contact
information to be publicly viewable, do not include it in your comment
or any accompanying documents. Instead, provide your contact
information on a cover letter. Include your first and last names, email
address, telephone number, and optional mailing address. The cover
letter will not be publicly viewable as long as it does not include any
comments.
Include contact information each time you submit comments, data,
documents, and other information to DOE. If you submit via mail or hand
delivery, please provide all items on a CD, if feasible. It is not
necessary to submit printed copies. No facsimiles (faxes) will be
accepted.
Comments, data, and other information submitted to DOE
electronically should be provided in PDF (preferred), Microsoft Word or
Excel, WordPerfect, or text (ASCII) file format. Provide documents that
are not secured, written in English and free of any defects or viruses.
Documents should not contain special characters or any form of
encryption and, if possible, they should carry the electronic signature
of the author.
Campaign form letters. Please submit campaign form letters by the
originating organization in batches of between 50 to 500 form letters
per PDF or as one form letter with a list of supporters' names compiled
into one or more PDFs. This reduces comment processing and posting
time.
Confidential Business Information. According to 10 CFR 1004.11, any
person submitting information that he or she believes to be
confidential and exempt by law from public disclosure should submit via
email, postal mail, or hand delivery two well-marked copies: one copy
of the document marked confidential including all the information
believed to be confidential, and one copy of the document marked non-
confidential with the information believed to be confidential deleted.
Submit these documents via email or on a CD, if feasible. DOE will make
its own determination about the confidential status of the information
and treat it according to its determination.
Factors of interest to DOE when evaluating requests to treat
submitted information as confidential include: (1) A description of the
items; (2) whether and why such items are customarily treated as
confidential within the industry; (3) whether the information is
generally known by or available from other sources; (4) whether the
information has previously been made available to others without
obligation concerning its confidentiality; (5) an explanation of the
competitive injury to the submitting person which would result from
public disclosure; (6) when such information might lose its
confidential character due to the passage of time; and (7) why
disclosure of the information would be contrary to the public interest.
It is DOE's policy that all comments may be included in the public
docket, without change and as received, including any personal
information provided in the comments (except information deemed to be
exempt from public disclosure).
[[Page 71990]]
VI. Approval of the Office of the Secretary
The Secretary of Energy has approved publication of this proposed
rule.
List of Subjects
10 CFR Part 429
Administrative practice and procedure, Confidential business
information, Energy conservation, Household appliances, Imports,
Reporting and recordkeeping requirements.
10 CFR Part 430
Administrative practice and procedure, Confidential business
information, Energy conservation, Household appliances, Imports,
Intergovernmental relations, Small businesses.
Issued in Washington, DC, on November 10, 2015.
Kathleen B. Hogan,
Deputy Assistant Secretary for Energy Efficiency, Energy Efficiency and
Renewable Energy.
For the reasons stated in the preamble, DOE is proposing to amend
parts 429 and 430 of Chapter II of Title 10, Code of Federal
Regulations as set forth below:
PART 429--CERTIFICATION, COMPLIANCE, AND ENFORCEMENT FOR CONSUMER
PRODUCTS AND COMMERCIAL AND INDUSTRIAL EQUIPMENT
0
1. The authority citation for part 429 continues to read as follows:
Authority: 42 U.S.C. 6291-6317.
0
2. Section 429.37 is amended by adding paragraphs (b)(3) and (c) to
read as follows:
Sec. 429.37 External power supplies.
* * * * *
(b) * * *
(3) Pursuant to Sec. 429.12(b)(13), a certification report for
external power supplies that are exempt from the energy conservation
standards at Sec. 430.32(w)(1)(ii) pursuant to Sec. 430.32(w)(2) must
include the following additional product-specific information: The
number of units of each individual model of exempt external power
supplies sold during the most recent 12-calendar-month period ending on
July 31.
(c) Exempt External Power Supplies. For each individual model of
external power supply that is exempt from energy conservation standards
pursuant to Sec. 430.32(w)(2) and has not been certified pursuant to
Sec. 429.12(a) as compliant with an applicable standard, the importer
or domestic manufacturer must, no later than September 1, 2017, and
annually thereafter, submit a report providing the following
information:
(1) The importer or domestic manufacturer's name and address;
(2) The brand name;
(3) The model number;
(4) The average active mode efficiency as a percentage (%);
(5) No-load mode power consumption in watts (W);
(6) The nameplate output power in watts (W);
(7) The nameplate output current in aperes (A); and
(8) The number of units sold during the most recent 12-calendar-
month period ending on July 31. The report must be submitted to DOE in
accordance with the submission procedures set forth in Sec. 429.12(h).
PART 430--ENERGY CONSERVATION PROGRAM FOR CONSUMER PRODUCTS
0
3. The authority citation for part 430 continues to read as follows:
Authority: 42 U.S.C. 6291-6309; 28 U.S.C. 2461 note.
0
4. Section 430.32 is amended by revising paragraph (w)(2) to read as
follows:
Sec. 430.32 Energy and water conservation standards and their
compliance dates.
* * * * *
(w) * * *
(2) A basic model of external power supply is not subject to the
energy conservation standards of paragraph (w)(1)(ii) of this section
if the external power supply--
(i) Is manufactured during the period beginning on February 10,
2016, and ending on February 10, 2020;
(ii) Is marked in accordance with the External Power Supply
International Efficiency Marking Protocol, as in effect on February 10,
2016;
(iii) Meets, where applicable, the standards under paragraph
(w)(1)(i) of this section, and has been certified to the Secretary as
meeting those standards; and
(iv) Is made available by the manufacturer only as a service part
or a spare part for an end-use product that--
(A) Constitutes the primary load; and
(B) Was manufactured before February 10, 2016.
* * * * *
[FR Doc. 2015-29303 Filed 11-17-15; 8:45 am]
BILLING CODE 6450-01-P