Partial Approval and Partial Disapproval of Air Quality State Implementation Plans; California; South Coast; Moderate Area Plan for the 2006 PM2.5, 22025-22032 [2016-08039]
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Federal Register / Vol. 81, No. 72 / Thursday, April 14, 2016 / Rules and Regulations
Executive Order 13175
This action does not have tribal
implications warranting the application
of Executive Order 13175. The action
does not have substantial direct effects
on one or more Indian tribes, on the
relationship between the Federal
government and Indian tribes, or on the
distribution of power and
responsibilities between the Federal
government and Indian tribes.
Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA)
(5 U.S.C. 601–612) applies to rules that
are subject to notice and comment
under section 553(b) of the APA or any
other law. As explained above, the CSA
exempts this final order from notice and
comment. Consequently, the RFA does
not apply to this action.
Paperwork Reduction Act of 1995
This action does not impose a new
collection of information requirement
under the Paperwork Reduction Act of
1995. 44 U.S.C. 3501–3521. An agency
may not conduct or sponsor, and a
person is not required to respond to, a
collection of information unless it
displays a currently valid OMB control
number.
Congressional Review Act
This action is not a major rule as
defined by section 804 of the Small
Business Regulatory Enforcement
Fairness Act of 1996 (Congressional
Review Act). However, the DEA has
submitted a copy of this final order to
both Houses of Congress and to the
Comptroller General.
List of Subjects in 21 CFR Part 1308
Administrative practice and
procedure, Drug traffic control,
Narcotics, Prescription drugs.
For the reasons set out above, the DEA
amends 21 CFR part 1308 as follows:
PART 1308—SCHEDULES OF
CONTROLLED SUBSTANCES
1. The authority citation for part 1308
continues to read as follows:
■
Authority: 21 U.S.C. 811, 812, 871(b),
unless otherwise noted.
2. Amend § 1308.11 by redesignating
paragraphs (b)(3) through (55) as (b)(4)
through (56) and adding a new (b)(3)to
read as follows:
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Schedule I.
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(b) * * *
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(3) AH-7921 (3,4-dichloro-N-[(1dimethylamino)
cyclohexylmethyl]benzamide .........
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Need for Correction
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Dated: April 8, 2016
Chuck Rosenberg,
Acting Administrator.
[FR Doc. 2016–08566 Filed 4–13–16; 8:45 am]
BILLING CODE 4410–09–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 52
[EPA–HQ–OAR–2016–0098; FRL–9944–88–
OAR]
Findings of Failure To Submit State
Implementation Plans Required for
Attainment of the 2010 1-Hour Primary
Sulfur Dioxide National Ambient Air
Quality Standard (NAAQS); Correction
Environmental Protection
Agency (EPA).
ACTION: Final rule; correction.
AGENCY:
The Environmental Protection
Agency (EPA) is correcting a final rule
that appeared in the Federal Register on
March 18, 2016 (81 FR 14736). The
document included a listing of areas for
which states had not submitted State
Implementation Plans (SIPs) addressing
nonattainment area SIP requirements for
the 2010 1-hour primary sulfur dioxide
(SO2) NAAQS. This action corrects that
listing to clarify that the Indiana,
Pennsylvania nonattainment area for the
2010 SO2 NAAQS consists of the
entirety of Indiana County and part of
Armstrong County.
DATES: The effective date of this
document is April 18, 2016.
FOR FURTHER INFORMATION CONTACT: For
questions regarding this correction,
contact Dr. Larry Wallace, U.S.
Environmental Protection Agency,
Office of Air Quality Planning and
Standards, Mail Code C539–01,
Research Triangle Park, NC 27711,
phone number (919) 541-0906 or by
email at wallace.larry@epa.gov.
SUPPLEMENTARY INFORMATION:
SUMMARY:
Background
■
§ 1308.11
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9551
The EPA issued the final rule, in FR
Doc 2016–06063 on March 18, 2016 (81
FR 14736). That final rule establishes
certain Clean Air Act deadlines for the
EPA to impose sanctions if a state does
not submit a SIP addressing
nonattainment area SIP requirements to
bring the affected areas into attainment
of the 2010 1-hour primary SO2 NAAQS
and for the EPA to promulgate a Federal
Implementation Plan to address any
outstanding SIP requirements.
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22025
As published, the final preamble
contains an error in a table identifying
areas subject to the findings of failure to
submit related to the Indiana,
Pennsylvania nonattainment area. The
Indiana, Pennsylvania nonattainment
area consists of the entirety of Indiana
County and part of Armstrong County.
See 78 FR 47191, August 5, 2013
codified at 40 CFR part 81, subpart C.
The preamble table mistakenly lists
Indiana County as a ‘‘partial’’ county
that is part of the Indiana, Pennsylvania
nonattainment area subject to a finding
of failure to submit, when the full
county should have been listed as
subject to the finding. Additional notice
and comment for this minor technical
correction is unnecessary under 5 U.S.C.
553(b)(3)(B), and the EPA finds that
good cause exists for this minor
technical correction to become effective
at the same time as the final rule.
Accordingly, this correction is
incorporated into the final rule and also
becomes effective on April 18, 2016.
Correction of Publication
In FR Doc 2016–06063 appearing on
page 14736 in the Federal Register of
Friday, March 18, 2016, the following
correction is made:
On page 14737, table entitled
‘‘STATES AND SO2
NONATTAINMENT AREAS AFFECTED
BY THESE FINDINGS OF FAILURE TO
SUBMIT,’’ remove from the end of the
fourth entry, under the column titled
‘‘Nonattainment area’’ the text ‘‘(p)’’.
Dated: April 4, 2016.
Janet G. McCabe,
Acting Assistant Administrator.
[FR Doc. 2016–08509 Filed 4–13–16; 8:45 am]
BILLING CODE 6560–50–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 52
[EPA–R09–OAR–2015–0204; FRL–9944–16–
Region 9]
Partial Approval and Partial
Disapproval of Air Quality State
Implementation Plans; California;
South Coast; Moderate Area Plan for
the 2006 PM2.5 NAAQS
U.S. Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
The Environmental Protection
Agency (EPA) is approving in part and
disapproving in part State
implementation plan (SIP) revisions
SUMMARY:
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Federal Register / Vol. 81, No. 72 / Thursday, April 14, 2016 / Rules and Regulations
submitted by California to address
moderate area Clean Air Act (CAA)
requirements for the 2006 fine
particulate (PM2.5) National Ambient
Air Quality Standards (NAAQS) in the
Los Angeles—South Coast air basin
(South Coast) PM2.5 nonattainment area.
These SIP revisions are the 2012 PM2.5
Plan, submitted February 13, 2013, and
the 2015 Supplement, submitted March
4, 2015. We are disapproving the
Reasonably Available Control Measure,
Reasonably Available Control
Technology (RACM/RACT), and
Reasonable Further Progress elements of
the SIP revisions because of new
information indicating that the 2010
RECLAIM program does not meet the
RACM/RACT requirement for certain
sources of emissions. The EPA is
prepared to work with the State to
correct this deficiency. We are not
finalizing our proposed action on the
District’s ports-related commitment at
this time.
DATES: This rule is effective on May 16,
2016.
ADDRESSES: The EPA has established
docket number EPA–R09–OAR–2015–
0204 for this action. Generally,
documents in the docket for this action
are available electronically at https://
www.regulations.gov or in hard copy at
EPA Region IX, 75 Hawthorne Street,
San Francisco, California 94105–3901.
While all documents in the docket are
listed at https://www.regulations.gov,
some information may be publicly
available only at the hard copy location
(e.g., copyrighted material, large maps,
multi-volume reports), and some may
not be available in either location (e.g.,
confidential business information
(CBI)). To inspect the hard copy
materials, please schedule an
appointment during normal business
hours with the contact listed in the FOR
FURTHER INFORMATION CONTACT section.
FOR FURTHER INFORMATION CONTACT:
Wienke Tax, EPA Region 9, (415) 947–
4192, tax.wienke@epa.gov.
SUPPLEMENTARY INFORMATION:
Throughout this document, ‘‘we,’’ ‘‘us’’
and ‘‘our’’ refer to the EPA.
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Table of Contents
I. Background Information
II. Public Comments and EPA Responses
III. Final Action
IV. Statutory and Executive Order Reviews
I. Background Information
On October 20, 2015, we proposed to
approve state implementation plan (SIP)
revisions submitted by California to
address Clean Air Act (CAA or Act)
requirements for the 2006 24-hour fine
particulate matter (PM2.5) national
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ambient air quality standards (NAAQS)
in the Los Angeles-South Coast air basin
(South Coast) Moderate PM2.5
nonattainment area. See 80 FR 63640
(October 20, 2015). The SIP revisions
that we proposed to approve are those
portions of the ‘‘Final 2012 Air Quality
Management Plan (AQMP)’’ that address
attainment of the 2006 PM2.5 NAAQS
(2012 PM2.5 Plan), submitted February
13, 2013, and the ‘‘Supplement to the
24-Hour PM2.5 State Implementation
Plan for the South Coast Air Basin’’
(2015 Supplement), submitted March 4,
2015. We refer to these submissions
collectively herein as ‘‘the Plan.’’ The
EPA proposed to approve the following
elements of the Plan as satisfying
applicable CAA requirements: (1) The
2008 base year emissions inventories;
(2) the reasonably available control
measures/reasonably available control
technology demonstration; (3) the
reasonable further progress
demonstration; (4) the demonstration
that attainment by the Moderate area
attainment date of December 31, 2015 is
impracticable; (5) the District’s
commitments to adopt and implement
specific rules and measures on a
specific schedule; and (6) the general
conformity budgets for NOX and VOC
for years 2013–2030 in the Plan.1
The EPA also proposed to reclassify
the South Coast area, including Indian
country within it, as a Serious
nonattainment area for the 2006 PM2.5
NAAQS, based on the EPA’s
determination that the area could not
practicably attain this standard by the
applicable Moderate area attainment
date of December 31, 2015.
On December 22, 2015, we finalized
our proposal to reclassify the South
Coast area from Moderate to Serious for
the 2006 PM2.5 NAAQS.2 As a result of
that action, California is required to
submit, by August 14, 2017, additional
SIP revisions to satisfy the statutory
requirements that apply to Serious PM2.5
nonattainment areas, including the
requirements of subpart 4 of part D, title
I of the Act. The Serious area plan must
provide for attainment of the 2006 PM2.5
NAAQS in the South Coast area as
expeditiously as practicable, but no later
than December 31, 2019, in accordance
with the requirements of part D of title
I of the Act.
In our December 22, 2015 final action
to reclassify the South Coast area as a
Serious PM2.5 nonattainment area, we
summarized and responded to public
comments pertaining to the
reclassification and its consequences
and stated that we would, in a separate
1 80
2 81
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FR 1514 (January 13, 2016).
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rulemaking, respond to comments
pertaining to our proposed action on the
submitted plan.3
II. Public Comments and EPA
Responses
The EPA provided a 30-day period for
public comment on our proposed rule.
During this comment period, which
ended on November 19, 2015, we
received ten sets of public comments on
our proposal. Comment letters were
submitted by Earthjustice on behalf of
the Center for Biological Diversity,
Coalition for Clean Air, Communities
for a Better Environment, East Yard
Communities for Environmental Justice,
and the Sierra Club (‘‘Earthjustice’’); the
San Pedro Bay Ports (Ports of Los
Angeles and Long Beach, or ‘‘the
Ports’’); Maersk Agency USA; NAIOP,
the Commercial Real Estate
Development Association; the Los
Angeles Area Chamber of Commerce;
Burlington Northern Santa Fe and
Union Pacific Railroads; the Pacific
Merchant Shipping Association; the
California Trucking Association;
BizFed, the Los Angeles County
Business Federation; and the Public
Solar Power Coalition.4 Copies of these
comment letters can be found in the
docket.
Many of these comment letters
address only our proposal to approve
the South Coast Air Quality
Management District’s (SCAQMD or
District) commitment to adopt a
backstop measure related to ports and
port-related facilities in 2015, as part of
our action on the 2012 PM2.5 Plan and
2015 Supplement.5 Specifically, the
comments from the following entities
focus entirely on this ports-related
commitment: The San Pedro Bay Ports
(Ports of Los Angeles and Long Beach,
or ‘‘the Ports’’); Maersk Agency USA;
NAIOP, the Commercial Real Estate
Development Association; the Los
Angeles Area Chamber of Commerce;
Burlington Northern Santa Fe and
Union Pacific Railroads; the Pacific
Merchant Shipping Association; the
California Trucking Association; and
BizFed, the Los Angeles County
Business Federation. Given the volume
of these comments on the District’s
ports-related commitment, and the need
for the EPA to further evaluate the
3 Id.
4 All comment letters are in the docket for today’s
action at www.regulations.gov, docket ID EPA–R09–
OAR–2015–0204.
5 See 80 FR at 63651 (October 20, 2015)
(discussing District commitment to ‘‘adopt backstop
measures related to ports and port-related facilities
in 2015,’’ also referred to as control measure IND–
01, ‘‘Backstop Measures for Indirect Sources of
Emissions from Ports and Port-related Facilities’’).
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issues these comments raise, we are not
finalizing our proposed action on the
commitment at this time and will
respond to all comments pertaining to
this commitment in a separate
rulemaking.6 We summarize and
respond below to all other comments
pertaining to our proposed action on the
2012 PM2.5 Plan and the 2015
Supplement.
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Comments Regarding RACM/RACT
Comment 1. Earthjustice asserts that
the 2012 PM2.5 Plan fails to meet
minimum requirements for Reasonably
Available Control Measures (RACM)
because some sources covered under
South Coast’s NOX Regional Clean Air
Incentives Market (RECLAIM) program
have not installed control technologies
that are economically feasible and
readily available. Citing recent
rulemaking documents from the
District’s December 4, 2015
amendments to the RECLAIM program,7
Earthjustice argues that the District itself
has found that the current cap on NOX
RECLAIM emissions is far above the
level of emissions that would be
generated if cost-effective and readily
available technologies were
implemented in the South Coast air
basin. Earthjustice also argues that the 2
ton per day (tpd) reduction in the NOX
RECLAIM cap (referred to as the NOX
‘‘shave’’) included in the 2012 PM2.5
Plan falls short of what is actually
feasible for certain sectors, where
‘‘readily available technologies simply
have not been installed because of too
many credits in the NOX RECLAIM
program.’’ For example, Earthjustice
quotes the District’s statements in the
‘‘Draft Final Socioeconomic Report For
Proposed Amendments to Regulation
XX—Regional Clean Air Incentive
Market (RECLAIM) NOX RECLAIM’’
(hereafter ‘‘RECLAIM Socioeconomic
Report’’) indicating that the NOX
RECLAIM program, as amended in
2005, has allowed numerous refineries
to delay installation of selective
catalytic reduction (SCR) controls that
the District had identified as best
6 The District’s ports-related commitment is not a
component of the February 13, 2013 plan
submission that is the subject of a consent decree
in Sierra Club, et al. v. EPA, No. 2:15–cv–3798–
ODW (ASx) (C.D. CA.). See letter dated February 13,
2013, from James N. Goldstene, Executive Officer,
CARB, to Jared Blumenfeld, Regional
Administrator, EPA Region 9, with attachments,
and CARB Resolution 15–2, February 19, 2015; see
also 80 FR 79338 (December 21, 2015).
7 On December 4, 2015, the SCAQMD adopted
amendments to the RECLAIM program to
implement BARCT for NOX emissions from various
equipment by establishing RTC reduction targets
and RTC adjustment factors for year 2016 and
beyond (See SCAQMD Governing Board Resolution
15–25, December 4, 2015).
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available retrofit control technology
(BARCT).8
Earthjustice acknowledges the EPA’s
policies allowing for cap and trade
programs to satisfy RACT by ensuring
emission reductions equal, in the
aggregate, to the reductions expected
from direct application of RACT on
individual affected sources but asserts
that, in this case, ‘‘EPA cannot simply
conclude that a 2 tpd shave to the NOX
RECLAIM program satisfies RACT
because ‘RECLAIM [must] achieve[ ]
reductions of NOX emissions from
covered sources that are equivalent in
the aggregate, to the reductions achieved
by RACT-level controls.’ ’’ At a
minimum, according to Earthjustice,
‘‘RACM requires an assessment of the
NOX RECLAIM program in light of new
information that the NOX RECLAIM
program is woefully far from achieving
reductions commensurate with ‘RACTlevel controls.’ ’’ Earthjustice concludes
that the District can either amend its
NOX RECLAIM program to make it
equivalent to RACT-level controls or
adopt direct controls to ensure that
readily available and cost-effective
pollution control equipment is installed
on many sources that have not installed
these controls.
Response 1: The EPA has reevaluated
the RACM/RACT demonstration in the
2012 PM2.5 Plan in light of the
commenter’s arguments and agrees that
the Plan does not adequately address
RACM/RACT for certain NOX emission
sources covered by the RECLAIM
program.
The SCAQMD adopted the RECLAIM
program in 1993 to reduce emissions
from the largest stationary sources of
NOX and SOX emissions through a
market-based trading program that
establishes annually declining NOX and
SOX allocations (also called ‘‘facility
caps’’) and allows covered facilities to
comply with their facility caps by
installing pollution control equipment,
changing operations, or purchasing
‘‘RECLAIM trading credits’’ (RTCs) from
the RECLAIM market.9 Section 40440 of
the California Health and Safety Code
requires the District to monitor
advances in BARCT and periodically to
reassess the overall facility caps to
ensure that the facility caps are
equivalent, in the aggregate, to BARCT
8 BARCT is defined as ‘‘an emission limitation
that is based on the maximum degree of reduction
achievable taking into account environmental,
energy, and economic impacts by each class or
category of source.’’ California Health & Safety Code
Section 40406.
9 2012 PM
2.5 Plan, Appendix IV–A (‘‘Stationary
Source Control Measures’’) at p. IV–A–13
(discussing CMB–01: Further NOX Reductions from
RECLAIM—Phase I [NOX]).
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22027
emission levels imposed on affected
sources. Facilities electing to enter
RECLAIM are exempted from a number
of SCAQMD prohibitory rules that
otherwise apply to sources of NOX and
SOX emissions in the South Coast.10
Under longstanding EPA
interpretation of the CAA, a marketbased cap and trade program may satisfy
RACT requirements by ensuring that the
level of emission reductions resulting
from implementation of the program
will be equal, in the aggregate, to those
reductions expected from the direct
application of RACT on all affected
sources within the nonattainment
area.11 The EPA approved the RECLAIM
program into the California SIP in June
1998 based in part on a conclusion that
the NOX emission caps in the program
satisfied the RACT requirements of CAA
section 182(b)(2) and (f) for covered
NOX emission sources in the
aggregate.12 In 2005 and 2010, the
District adopted revisions to the NOX
RECLAIM program, which the EPA
approved on August 29, 2006 and
August 12, 2011, respectively, based in
part on conclusions that the revisions
continued to satisfy NOX RACT
requirements.13 We refer to the NOX
RECLAIM program as approved into the
SIP as the ‘‘2010 RECLAIM program.’’
The recent SCAQMD rulemaking
documents that Earthjustice cites call
into question the efficacy of the 2010
RECLAIM program in ensuring NOX
emission reductions equivalent to
RACT-level controls on all affected
sources. Specifically, according to a
November 4, 2015 draft staff report by
the SCAQMD entitled ‘‘Proposed
Amendments to Regulation XX,
Regional Clean Air Incentives Market
(RECLAIM), NOX RECLAIM’’ (hereafter
‘‘Draft RECLAIM Staff Report’’),
between 2009 and 2013, the RECLAIM
market contained 5–8 tons per day (tpd)
of ‘‘surplus’’ RTCs that created a
dampening effect on RTC prices,
bringing average RTC prices down to a
range of $1,162–$5,491 per ton
compared to the average costeffectiveness of control range, which is
$8,300–$13,000 per ton.14 As a result,
10 SCAQMD Rule 2001, as amended May 6, 2005,
at section (j) (‘‘Rule Applicability’’).
11 59 FR 16690 (April 7, 1994) and U.S. EPA,
‘‘Improving Air Quality with Economic Incentive
Programs,’’ EPA–452/R–01–001 (January 2001), at
Section 16.7.
12 61 FR 57834 (November 8, 1996) and 63 FR
32621 (June 15, 1998).
13 71 FR 51120 (August 29, 2006) and 76 FR
50128 (August 12, 2011).
14 South Coast Air Quality Management District,
‘‘Proposed Amendments to Regulation XX, Regional
Clean Air Incentives Market (RECLAIM), NOX
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according to the District, RECLAIM
facilities opted to purchase these low
cost ‘‘surplus’’ RTCs to reconcile their
emissions at the end of the compliance
year instead of installing controls to
reduce pollution.15 For example,
refineries did not install any SCR
control technologies in response to the
2005 NOX RECLAIM amendment even
though SCAQMD staff had estimated
about 51 SCRs would be installed by
2011.16 The Draft RECLAIM Staff Report
indicates that SCR has been used
successfully to control NOX emissions
from various refinery operations and is
considered a mature, commercially
available, and cost-effective control
technique for this source category.17
The District concluded in the Draft
RECLAIM Staff Report that ‘‘[r]emoving
surplus RTCs is therefore critically
important to ensure the effectiveness of
the RECLAIM program and meet state
law requirements to require the use of
BARCT for existing sources.’’ Likewise,
in the RECLAIM Socioeconomic Report,
the District stated that many of these
unused ‘‘excess’’ RTCs were sold to
operating RECLAIM facilities as a result
of facility shutdowns and that ‘‘[t]hese
excess RTCs have been artificially
depressing RTC prices and have
induced RECLAIM facilities to delay the
installation of cost-effective controls.’’ 18
The 2012 PM2.5 Plan cites the 2010
RECLAIM program as the basis for the
District’s RACM/RACT determination
for several NOX emission source
categories, including cement kilns,
boilers and process heaters at petroleum
refineries, and other stationary
combustion installations (e.g., steam
generators and natural gas and/or oilfired industrial/commercial/
institutional boilers).19 The Plan also
RECLAIM’’ (‘‘Draft RECLAIM Staff Report’’),
November 4, 2015, at pp. 262–264.
15 Id. at 264.
16 Id. The RECLAIM Socioeconomic Report
further states that despite a 7.7 tpd NOX RTC shave
implemented during 2007–2011 through the
District’s 2005 amendments to RECLAIM, only 4
tpd of actual NOX emission reductions resulted
from this shave, most of which were due to facility
shut-downs and not measures taken to reduce
actual emissions by facilities in the program. South
Coast Air Quality Management District, ‘‘Draft Final
Socioeconomic Report For Proposed Amendments
to Regulation XX—Regional Clean Air Incentive
Market (RECLAIM) NOX RECLAIM’’ (‘‘RECLAIM
Socioeconomic Report’’), December 4, 2015, at pp.
1–2.
17 See, e.g., Draft RECLAIM Staff Report at
Appendix A, Appendix B, and Appendix C
(discussing technical feasibility and costeffectiveness estimates for SCR and other NOX
control techniques at refinery fluid catalytic
cracking units, refinery boilers and process heaters,
and refinery gas turbines).
18 RECLAIM Socioeconomic Report at pp. 1–2.
19 2012 PM
2.5 Plan, Appendix VI (‘‘Reasonably
Available Control Measures (RACM)
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indicates that, for several source
categories for which the District
identified more stringent NOX controls
implemented in other nonattainment
areas,20 the District intended to reduce
NOX emissions or conduct further study
through ‘‘Control Measure CMB–01—
Further NOX Reductions from
RECLAIM,’’ 21 a measure that commits
the District to achieve an additional 2
tpd of NOX emission reductions through
a 2 tpd ‘‘shave’’ to the RECLAIM NOX
emission caps in 2015 if the South Coast
area fails to attain the 2006 PM2.5
NAAQS by then.22 The 2012 PM2.5 Plan
does not explain how either the 2010
RECLAIM program or the additional 2
tpd reduction (‘‘shave’’) to the NOX
emission cap described in Control
Measure CMB–01 ensures that the level
of NOX emission reductions resulting
from implementation of the RECLAIM
program is equal, in the aggregate, to
those NOX emission reductions
expected from the direct application of
RACT on covered sources within the
South Coast nonattainment area. The
Plan does, however, state that there are
approximately 8 tpd of ‘‘excess’’ NOX
RTCs in the RECLAIM market,
consistent with the District’s findings in
the Draft RECLAIM Staff Report and
RECLAIM Socioeconomic Report.23
Given the information in the Plan
about ‘‘excess’’ NOX RTCs in the 2010
RECLAIM program and the new
information submitted by the
commenters indicating that these excess
RTCs have artificially depressed NOX
RTC prices during the 2009–2013 period
covered by the Plan, thus allowing
RECLAIM facilities to avoid installing
technically feasible and cost-effective
NOX pollution control equipment
during this period, and given the
absence of a demonstration in the Plan
to support a conclusion that the 2010
RECLAIM program ensures, in the
aggregate, NOX emission reductions
equivalent to RACT-level controls for
these sources, we are disapproving the
RACM/RACT demonstration in the
Plan.
Demonstration’’) at pp. VI–13 to VI–17 and Table
VI–5.
20 For example, with respect to boilers and
process heaters at refineries, the 2012 PM2.5 Plan
indicates that NOX control measures implemented
in the San Francisco Bay Area are more stringent
than regulations implemented in the South Coast
area. 2012 PM2.5 Plan, Appendix VI (‘‘Reasonably
Available Control Measures (RACM)
Demonstration’’) at pp. VI–13.
21 Id.
22 2012 PM
2.5 Plan, Appendix IV–A (‘‘Stationary
Source Control Measures’’) at pp. IV–A–13 to IV–
A–16 (discussing CMB–01: Further NOX Reductions
from RECLAIM—Phase I [NOX]), as amended by
2015 Supplement at Table F–1.
23 2012 PM
2.5 Plan, Appendix IV–A (‘‘Stationary
Source Control Measures’’) at p. IV–A–14.
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Our proposal to find that the 2012
PM2.5 Plan and 2015 Supplement satisfy
the requirement for RFP in CAA section
172(c)(2) was based primarily on a
conclusion that the Plan ‘‘demonstrates
that all RACM/RACT are being
implemented as expeditiously as
practicable and identifies projected
emission levels for 2014 that reflect full
implementation of the State’s and
District’s RACM/RACT control strategy
for the area.’’ 24 Our evaluation of
whether the RACM/RACT measures
would result in emissions reductions
consistent with meeting the RFP
requirement of the statute was thus
dependent upon the approval of the
Plan with respect to the RACM/RACT
requirement. Because we are now
disapproving the RACM/RACT
demonstration in the Plan, we must also
find that the Plan does not satisfy the
statutory requirement for RFP for the
2006 PM2.5 NAAQS.
As a result of our December 22, 2015
final action reclassifying the South
Coast area as Serious nonattainment for
the 2006 PM2.5 NAAQS, California is
required to submit by August 14, 2017
a Serious Area plan for the South Coast
area, including provisions to assure that
the best available control measures
(BACM) and best available control
technology (BACT) for the control of
direct PM2.5 and PM2.5 precursors shall
be implemented no later than 4 years
after the area is reclassified.25 We note
that, to the extent the State and District
intend to rely on the NOX RECLAIM
program as part of the BACM
demonstration in this new plan, the
plan must include documentation
sufficient to demonstrate that the NOX
RECLAIM program ensures, in the
aggregate, NOX emission reductions
equivalent to BACT-level controls for
covered facilities. If the State and
District intend to the correct the
deficiency in advance of the BACM
submission due August 14, 2017, they
may do so by submitting revisions to the
NOX RECLAIM program together with
documentation sufficient to demonstrate
that the revised program ensures, in the
aggregate, NOX emission reductions
equivalent to RACT-level controls for
covered facilities. Either type of SIP
submission would, upon EPA approval,
cure the deficiency in the Plan’s RACM/
RACT demonstration for the 2006 PM2.5
NAAQS.
The Serious area plan for the 2006
PM2.5 NAAQS in the South Coast area
that California is required to submit by
August 14, 2017 must also include plan
provisions that provide for RFP
24 80
25 81
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FR at 63654 (October 20, 2015).
FR 1514 (January 13, 2016).
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consistent with the requirements of
CAA section 172(c)(2). A Serious area
plan that satisfies the statutory RFP
requirement for the 2006 PM2.5 NAAQS
in the South Coast would, upon EPA
approval, cure the deficiency in the
2012 PM2.5 Plan’s RFP provisions.
Comment 2. Earthjustice argues that
the RACM demonstration in the Plan
impermissibly relies on mobile source
measures that are not approved into the
SIP and that the EPA continues to
attempt to ‘‘illegally credit’’ waiver
measures even though these measures
had not been proposed for SIP approval
by the time of the EPA’s proposed rule
on the 2012 PM2.5 Plan. Earthjustice
further asserts that these waiver
measures have never been reviewed for
compliance with SIP-related
requirements, and that the public has no
ability to review and offer comment on
the EPA’s assessment of how these
mobile source measures satisfy the
CAA’s RACM requirements. Citing
Committee for a Better Arvin v. EPA,
786 F.3d 1169 (9th Cir. 2015) (hereafter
‘‘CBA’’), Earthjustice argues that the
EPA’s prior approvals of PM2.5 plans for
the South Coast and San Joaquin Valley
nonattainment areas were remanded for
failure to include the mobile source
control measures upon which the plans
relied and that it is, therefore, premature
to conclude that the RACM requirement
has been satisfied.
Response 2. As we explained in our
proposed rule, in response to the Ninth
Circuit’s decision in CBA, CARB
adopted the necessary waiver measures
as revisions to the California SIP and
submitted them to the EPA on August
14, 2015.26 Our proposed rule for this
action stated that the EPA intended to
propose action on these waiver
measures in a separate rulemaking and
that, ‘‘[o]nce approved as part of the SIP,
the measures will be enforceable by the
EPA or private citizens under the
CAA.’’ 27 Our proposed rule also stated
that the EPA was ‘‘proposing to approve
certain elements of the 2012 PM2.5 Plan
and 2015 Supplement in part based on
our expectation that these waiver
measures will soon become federally
enforceable as a result of our approval
of the measures as part of the SIP.’’ 28
On November 12, 2015, the EPA
proposed to approve the submitted
waiver measures into the California SIP
and provided a 30-day period for public
26 80 FR 63640 at 63652, n. 48 (citing letter dated
August 14, 2015, from Richard W. Corey, Executive
Officer, California Air Resources Board, to Jared
Blumenfeld, Regional Administrator, EPA Region
9).
27 80 FR at 63652.
28 Id.
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comment on its proposal.29 As part of
this proposed rule, the EPA evaluated
the necessary waiver measures for
compliance with SIP-related
requirements and proposed to find that
they fulfill all applicable CAA
requirements. The EPA expects to
finalize this action in the near term, at
which point the waiver measures will
become federally enforceable under the
CAA.
In the meantime, we agree with
Earthjustice that the RACM/RACT
demonstration in the 2012 PM2.5 Plan
remains deficient pending the EPA’s
final action to approve the waiver
measures on which it relies. Because we
are disapproving the RACM/RACT
demonstration in the 2012 PM2.5 Plan on
other grounds, however (see Response
1), this conclusion does not alter our
action.
Comments Regarding Motor Vehicle
Emissions Budgets
Comment 3. Earthjustice asserts that
the EPA’s decision to not act on the
motor vehicle emissions budgets
(MVEBs) in the 2012 PM2.5 plan is
arbitrary and capricious. According to
Earthjustice, the revised budgets in the
2012 PM2.5 Plan (2015 MVEBs) are
significantly strengthened compared to
the MVEBs for the 1997 PM2.5 NAAQS
that the EPA approved in 2011 (2011
MVEBs), which are ‘‘outdated and less
protective.’’ For example, Earthjustice
asserts that the 2015 MVEBs reflect
more accurate emissions data as they are
based on EMFAC2011 and
transportation activity data from the
Southern California Association of
Governments’ (SCAG’s) adopted 2012
Regional Transportation Plan, whereas
the 2011 MVEBs relied on EMFAC2007,
the prior transportation plan, and other
outdated information. Additionally,
Earthjustice claims that the 2011 MVEBs
were ‘‘not sufficiently stringent because
evidence shows the South Coast air
basin has not attained the 1997 PM2.5
standard’’ and ‘‘certainly are not
sufficiently strong to meet the 2006
PM2.5 standard and interim milestones
to ensure attainment of this standard.’’
Earthjustice contends that it is
arbitrary to allow the 2011 MVEBs to
remain in place for the next
transportation plan when revised
budgets are available, especially in the
South Coast where transportation
emissions account for such a large
amount of the PM2.5 and ozone
pollution problems. Earthjustice further
argues that it is critically important to
have these revised budgets in place
29 80
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22029
given the imminent 2016 transportation
plan being prepared by SCAG.
Response 3. We disagree with these
comments.
As we explained in our proposed rule,
the 2015 Supplement, which CARB
submitted in March 2015, revised the
attainment demonstration in the 2012
PM2.5 Plan to identify December 31,
2015 as the applicable attainment date
and included revised motor vehicle
emission budgets (MVEBs) for 2015 for
direct PM2.5, NOX, and VOC.30 In July
2015, however, the District submitted
preliminary air quality monitoring data
that indicated that attainment of the
2006 PM2.5 NAAQS by the Moderate
area attainment date (December 31,
2015) was impracticable.31 Based on
these air quality data, the District
requested that the EPA treat the 2012
PM2.5 Plan and 2015 Supplement as a
demonstration that attainment by the
Moderate area attainment date is
impracticable and that the EPA
reclassify the South Coast air basin as a
Serious nonattainment area for the 2006
PM2.5 NAAQS.32 We therefore evaluated
the 2012 PM2.5 Plan and 2015
Supplement as a demonstration of
impracticability under CAA section
189(a)(1)(B)(ii) and proposed to approve
it based on a conclusion that it satisfies
the statutory requirements for such
demonstrations.
Section 93.118(e)(4) of the conformity
rule states that the EPA will not find a
motor vehicle emissions budget in a
submitted control strategy SIP to be
adequate for transportation conformity
purposes unless specific criteria are
satisfied, including the requirement in
paragraph (e)(4)(iv) that the motor
vehicle emissions budget(s), when
considered together with all other
emissions sources, is consistent with
applicable requirements for reasonable
further progress, attainment, or
maintenance, whichever is relevant to
the SIP submission. The 2012 PM2.5
Plan and 2015 Supplement contain
MVEBs only for the 2015 attainment
year.33 The Plan does not demonstrate
timely attainment and does not contain
an approvable RFP demonstration or
any RFP budgets. Because the Plan does
not contain a control strategy that
satisfies the requirements for RFP,
attainment, or maintenance, the EPA
cannot find that the MVEBs included
with this plan meet the specific
requirement in 40 CFR 93.118(e)(4)(iv)
30 80 FR 63640 at 63655 (October 20, 2015) (citing
2015 Supplement, Attachment C at Table C–1).
31 Id. at 63645 and 63652–53.
32 Id.
33 2015 Supplement, Attachment C, at Table C–
1.
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that the budgets, when considered
together with all other emissions
sources, be consistent with applicable
requirements for reasonable further
progress, attainment, or maintenance.
Therefore, we cannot find these MVEBs
adequate for conformity purposes or
approve them.
Under 40 CFR 93.109(c)(2), in a
nonattainment area that has no SIPapproved or adequate MVEBs but does
have approved or adequate MVEBs in an
approved SIP or SIP submission for
another NAAQS of the same pollutant,
conformity determinations must satisfy
the budget test as required by § 93.118
using the approved or adequate MVEBs
for that other NAAQS. The South Coast
air basin has no SIP-approved or
adequate MVEBs for the 2006 PM2.5
NAAQS but does have approved MVEBs
in an approved SIP for the 1997 PM2.5
NAAQS, which is another NAAQS of
the same pollutant (PM2.5). Therefore,
until the EPA finds that a MVEB in a
submitted control strategy SIP for the
2006 PM2.5 NAAQS is adequate for
transportation conformity purposes,
conformity determinations for the 2006
PM2.5 NAAQS in the South Coast area
must satisfy the budget test as required
by § 93.118 using the approved MVEBs
for the 1997 PM2.5 NAAQS. Upon the
effective date of the EPA’s finding that
a MVEB in a submitted control strategy
SIP for the 2006 PM2.5 NAAQS is
adequate for transportation conformity
purposes, or upon the publication date
of the EPA’s approval of such a budget
in the Federal Register, conformity
determinations for the 2006 PM2.5
NAAQS in the South Coast area will
have to satisfy the budget test in
§ 93.118 using such approved MVEBs
for the 2006 PM2.5 NAAQS.34
In sum, because the 2012 PM2.5 Plan
and 2015 Supplement do not contain a
control strategy that satisfies the
requirements for RFP, attainment, or
maintenance, the EPA cannot find that
the MVEBs included in the Plan are
adequate for conformity purposes and
cannot approve these budgets.
Accordingly, we are taking no action on
the 2015 MVEBs included in the Plan.
Because the South Coast air basin has
no SIP-approved or adequate MVEBs for
the 2006 PM2.5 NAAQS but does have
approved MVEBs in an approved SIP for
the 1997 PM2.5 NAAQS, conformity
determinations for the 2006 PM2.5
NAAQS in the South Coast area must
satisfy the budget test as required by
§ 93.118 using the approved MVEBs for
the 1997 PM2.5 NAAQS, until the EPA
finds that a MVEB in a submitted
control strategy SIP for the 2006 PM2.5
NAAQS is adequate for transportation
conformity purposes in the South Coast
air basin.
The EPA recently approved an
updated version of the California
EMFAC model (EMFAC2014) for use in
SIP development and transportation
conformity in California.35 Upon
conclusion of the two-year grace period
on December 14, 2017, EMFAC2014 will
become the only approved motor
vehicle emissions model for all new
PM2.5 regional and hot-spot
transportation conformity analyses
across California.36 Although CARB has
until August 14, 2017 to submit a
Serious area plan for the 2006 PM2.5
NAAQS in the South Coast area,37 we
encourage the State to submit this plan
and revised MVEBs using EMFAC2014
before that date to ensure that
conformity analyses for the 2006 PM2.5
NAAQS in the South Coast air basin use
the latest emission estimation model
available consistent with the
requirements of 40 CFR 93.111.
Other Comments
Comment 4. We received three
comments from Harvey Eder on behalf
of the Public Solar Power Coalition
(PSPC). The commenter states his intent
to incorporate by reference material
submitted to the EPA on behalf of PSPC
in several prior EPA rulemaking actions,
EPA and presidential statements
concerning solar power, and several
unspecified magazine and newspaper
articles, but does not identify the
purpose for which he intends to
incorporate these materials by reference.
The commenter suggests that EPA
Control Techniques Guidelines (CTGs)
and Alternative Control Techniques
documents (ACTs) ‘‘do not exist’’ and
that these would need to be developed
‘‘before[] solar can be used as RACT/
RACM.’’ The commenter asserts that
NOX is a precursor to both PM10 and
PM2.5 as well as fine and ultra-fine
particulates.
Additionally, the commenter asserts
that it is reasonable to include solar
power as a NOX control measure, and
that the South Coast area needs a ‘‘100%
ITSC Immediate Total Solar Conversion
Plan by 2020–2023.’’
Response 4: These comments fail to
identify any specific issue that is
germane to the EPA’s proposed action
on the 2012 PM2.5 Plan and 2015
Supplement. To the extent the
commenter intended to encourage
additional evaluation of potential solar
power installations that may reduce
35 80
FR 77337 (December 14, 2015).
at 77339.
37 81 FR 1514 at 1520 (January 13, 2016).
36 Id.
34 40
CFR 93.109(c)(1).
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pollution in the South Coast area, the
EPA encourages the commenter to
participate in the regulatory processes
carried out by the SCAQMD, CARB, and
other State/local agencies involved in
the development of air quality
management plans in the South Coast.
The EPA finds no basis in these
comments to change its proposed action
on the Plan.
With respect to the commenter’s
request to incorporate material by
reference, the EPA generally will not
consider comments or comment
contents located outside of the primary
submission (i.e., on the web, cloud, or
other file-sharing system). For the full
EPA public comment policy, and
general guidance on making effective
comments, please visit https://
www2.epa.gov/dockets/commentingepa-dockets.
III. Final Action
The EPA is taking final action to
approve and disapprove SIP revisions
submitted by the State of California to
address attainment of the 2006 PM2.5
NAAQS in the South Coast PM2.5
nonattainment area. These SIP revisions
are the 2012 p.m.2.5 Plan, submitted
February 13, 2013, and the 2015
Supplement, submitted March 4, 2015.
Under CAA section 110(k)(3), the EPA
is approving the following elements of
the 2012 PM2.5 Plan and 2015
Supplement:
1. The 2008 base year emissions
inventories as meeting the requirements
of CAA section 172(c)(3);
2. the demonstration that attainment
by the Moderate area attainment date of
December 31, 2015 is impracticable as
meeting the requirements of CAA
section 189(a)(1)(B)(ii);
3. SCAQMD’s commitments to adopt
and implement specific rules and
measures in accordance with the
schedule provided in Chapter 4 of the
2012 PM2.5 Plan as modified by Table F–
1 in Attachment F to the 2015
Supplement, to achieve the emissions
reductions shown therein, and to submit
these rules and measures to CARB
within 30 days of adoption for
transmittal to the EPA as a revision to
the SIP, as stated on pp. 7–8 of
SCAQMD Governing Board Resolution
12–19 and modified by SCAQMD
Governing Board Resolution 15–3,
excluding all commitments pertaining
to control measure IND–01 (Backstop
Measures for Indirect Sources of
Emissions from Ports and Port-Related
Facilities); and
4. the general conformity budgets for
years 2013–2030 listed in Appendix III,
p. III–2–53 of the 2012 PM2.5 Plan as
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meeting the requirements of the CAA
and the general conformity rule.
Simultaneously, under CAA section
110(k)(3), the EPA is disapproving the
following elements of the 2012 PM2.5
Plan and 2015 Supplement:
1. The reasonably available control
measures/reasonably available control
technology (RACM/RACT)
demonstration for failure to meet the
requirements of CAA sections 172(c)(1)
and 189(a)(1)(C); and
2. the reasonable further progress
demonstration for failure to meet the
requirements of CAA section 172(c)(2).
As a result of this disapproval, the
offset sanction in CAA section 179(b)(2)
will apply in the South Coast PM2.5
nonattainment area 18 months after the
effective date of this action and the
highway funding sanctions in CAA
section 179(b)(1) will apply in the area
6 months after the offset sanction is
imposed. Neither sanction will apply if
California submits and the EPA
approves, prior to the implementation of
the sanctions, SIP revisions that correct
the deficiencies identified in this final
action. Additionally, this disapproval
action triggers an obligation on the EPA
to promulgate a federal implementation
plan unless California corrects the
deficiencies, and the EPA approves the
related plan revisions, within two years
of this final action.
IV. Statutory and Executive Order
Reviews
Additional information about these
statutes and Executive Orders can be
found at https://www2.epa.gov/lawsregulations/laws-and-executive-orders.
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
This action is not a significant
regulatory action and was therefore not
submitted to the Office of Management
and Budget (OMB) for review.
B. Paperwork Reduction Act (PRA)
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This action does not impose an
information collection burden under the
PRA because this action does not
impose additional requirements beyond
those imposed by state law.
C. Regulatory Flexibility Act (RFA)
I certify that this action will not have
a significant economic impact on a
substantial number of small entities
under the RFA. This action will not
impose any requirements on small
entities beyond those imposed by state
law.
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D. Unfunded Mandates Reform Act
(UMRA)
This action does not contain any
unfunded mandate as described in
UMRA, 2 U.S.C. 1531–1538, and does
not significantly or uniquely affect small
governments. This action does not
impose additional requirements beyond
those imposed by state law.
Accordingly, no additional costs to
State, local, or tribal governments, or to
the private sector, will result from this
action.
E. Executive Order 13132: Federalism
This action does not have federalism
implications. It will not have substantial
direct effects on the states, on the
relationship between the national
government and the states, or on the
distribution of power and
responsibilities among the various
levels of government.
F. Executive Order 13175: Coordination
With Indian Tribal Governments
This action does not have tribal
implications, as specified in Executive
Order 13175, because the SIP is not
approved to apply on any Indian
reservation land or in any other area
where the EPA or an Indian tribe has
demonstrated that a tribe has
jurisdiction, and will not impose
substantial direct costs on tribal
governments or preempt tribal law.
Thus, Executive Order 13175 does not
apply to this action.
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
The EPA interprets Executive Order
13045 as applying only to those
regulatory actions that concern
environmental health or safety risks that
the EPA has reason to believe may
disproportionately affect children, per
the definition of ‘‘covered regulatory
action’’ in section 2–202 of the
Executive Order. This action is not
subject to Executive Order 13045
because it does not impose additional
requirements beyond those imposed by
state law.
H. Executive Order 13211: Actions That
Significantly Affect Energy Supply,
Distribution, or Use
This action is not subject to Executive
Order 13211, because it is not a
significant regulatory action under
Executive Order 12866.
I. National Technology Transfer and
Advancement Act (NTTAA)
Section 12(d) of the NTTAA directs
the EPA to use voluntary consensus
standards in its regulatory activities
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22031
unless to do so would be inconsistent
with applicable law or otherwise
impractical. The EPA believes that this
action is not subject to the requirements
of section 12(d) of the NTTAA because
application of those requirements would
be inconsistent with the CAA.
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Population
The EPA lacks the discretionary
authority to address environmental
justice in this rulemaking.
K. Congressional Review Act (CRA)
This action is subject to the CRA, and
the EPA will submit a rule report to
each House of the Congress and to the
Comptroller General of the United
States. This action is not a ‘‘major rule’’
as defined by 5 U.S.C. 804(2).
L. Petitions for Judicial Review
Under section 307(b)(1) of the Clean
Air Act, petitions for judicial review of
this action must be filed in the United
States Court of Appeals for the
appropriate circuit by June 13, 2016.
Filing a petition for reconsideration by
the Administrator of this final rule does
not affect the finality of this rule for the
purposes of judicial review nor does it
extend the time within which a petition
for judicial review may be filed, and
shall not postpone the effectiveness of
such rule or action. This action may not
be challenged later in proceedings to
enforce its requirements (see section
307(b)(2)).
List of Subjects in 40 CFR Part 52
Environmental protection, Air
pollution control, Ammonia,
Incorporation by reference,
Intergovernmental relations, Nitrogen
dioxide, Particulate matter, Reporting
and recordkeeping requirements, Sulfur
dioxide, Volatile organic compounds.
Authority: 42 U.S.C. 7401 et seq.
Dated: March 15, 2016.
Jared Blumenfeld,
Regional Administrator, EPA Region 9.
Part 52, chapter I, title 40 of the Code
of Federal Regulations is amended as
follows:
PART 52—APPROVAL AND
PROMULGATION OF
IMPLEMENTATION PLANS
1. The authority citation for part 52
continues to read as follows:
■
Authority: 42 U.S.C. 7401 et seq.
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Subpart F—California
2. Section 52.220 is amended by
adding paragraphs (c)(439)(ii)(B)(5) and
(c)(471) to read as follows:
■
§ 52.220
Identification of plan.
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*
*
*
*
*
(c) * * *
(439) * * *
(ii) * * *
(B) * * *
(5) The following portions of the Final
2012 Air Quality Management Plan
(December 2012): PM2.5-related portions
of chapter 4 (‘‘Control Strategy and
Implementation’’); Appendix III (‘‘Base
and Future Year Emissions Inventory’’);
Appendix IV–A (‘‘District’s Stationary
Source Control Measures’’); and
Appendix V (‘‘Modeling and Attainment
Demonstrations’’). SCAQMD’s
commitments to adopt and implement
specific rules and measures in
accordance with the schedule provided
in Chapter 4 of the 2012 PM2.5 Plan as
modified by Table F–1 in Attachment F
to the 2015 Supplement, to achieve the
emissions reductions shown therein,
and to submit these rules and measures
to CARB within 30 days of adoption for
transmittal to EPA as a revision to the
SIP, as stated on pp. 7–8 of SCAQMD
Governing Board Resolution 12–19 and
modified by SCAQMD Governing Board
Resolution 15–3, excluding all
commitments pertaining to control
measure IND–01 (Backstop Measures for
Indirect Sources of Emissions from Ports
and Port-Related Facilities).
*
*
*
*
*
(471) The following plan was
submitted on March 4, 2015, by the
Governor’s Designee.
(i) [Reserved]
(ii) Additional material.
(A) South Coast Air Quality
Management District.
(1) ‘‘2015 Supplement to the 24-Hour
PM2.5 State Implementation Plan for the
South Coast Air Basin’’ (February 2015),
excluding Attachment C (‘‘New
Transportation Conformity Budgets for
2015’’). SCAQMD’s commitments to
adopt and implement specific rules and
measures in accordance with the
schedule provided in Chapter 4 of the
2012 PM2.5 Plan as modified by Table F–
1 in Attachment F to the 2015
Supplement, to achieve the emissions
reductions shown therein, and to submit
these rules and measures to CARB
within 30 days of adoption for
transmittal to EPA as a revision to the
SIP, as stated on pp. 7–8 of SCAQMD
Governing Board Resolution 12–19 and
modified by SCAQMD Governing Board
Resolution 15–3, excluding all
commitments pertaining to control
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measure IND–01 (Backstop Measures for
Indirect Sources of Emissions from Ports
and Port-Related Facilities).
(2) SCAQMD Governing Board
Resolution No. 15–3, dated February 6,
2015.
(B) State of California Air Resources
Board.
(1) CARB Resolution 15–2, dated
February 19, 2015, ‘‘Minor Revision to
the South Coast Air Basin 2012 PM2.5
State Implementation Plan.’’
■ 3. Section 52.237 is amended by
adding paragraph (a)(7) to read as
follows:
§ 52.237
Part D disapproval.
(a) * * *
(7) The PM2.5-related portions of
Appendix VI (‘‘Reasonably Available
Control Measures (RACM)
Demonstration’’) of the Final 2012 Air
Quality Management Plan (December
2012), and Attachment D (‘‘Updated
RACM/RACT Analysis’’) to the 2015
Supplement to the 24-Hour PM2.5 State
Implementation Plan for the South
Coast Air Basin (January 2015).
[FR Doc. 2016–08039 Filed 4–13–16; 8:45 am]
BILLING CODE 6560–50–P
DEPARTMENT OF COMMERCE
National Oceanic and Atmospheric
Administration
50 CFR Part 648
[Docket No. 150903814–5999–02]
RIN 0648–XE499
Fisheries of the Northeastern United
States; Summer Flounder Fishery;
Quota Transfer
National Marine Fisheries
Service (NMFS), National Oceanic and
Atmospheric Administration (NOAA),
Commerce.
ACTION: Temporary rule; quota transfer.
AGENCY:
NMFS announces that the
State of North Carolina is transferring a
portion of its 2016 commercial summer
flounder quota to the State of New
Jersey and the Commonwealth of
Massachusetts. These quota adjustments
are necessary to comply with the
Summer Flounder, Scup and Black Sea
Bass Fishery Management Plan quota
transfer provision. This announcement
informs the public of the revised
commercial quota for each state
involved.
SUMMARY:
Effective April 13, 2016, through
December 31, 2016.
DATES:
PO 00000
Frm 00010
Fmt 4700
Sfmt 9990
FOR FURTHER INFORMATION CONTACT:
Elizabeth Scheimer, Fishery
Management Specialist, (978)-281–9236.
SUPPLEMENTARY INFORMATION:
Regulations governing the summer
flounder fishery are found in 50 CFR
648.100 through 648.110. The
regulations require annual specification
of a commercial quota that is
apportioned among the coastal states
from Maine through North Carolina. The
process to set the annual commercial
quota and the percent allocated to each
state are described in § 648.102.
The final rule implementing
Amendment 5 to the Summer Flounder
Fishery Management Plan, as published
in the Federal Register on December 17,
1993 (58 FR 65936), provided a
mechanism for transferring summer
flounder commercial quota from one
state to another. Two or more states,
under mutual agreement and with the
concurrence of the NMFS Greater
Atlantic Regional Administrator, can
transfer or combine summer flounder
commercial quota under § 648.102(c)(2).
The Regional Administrator is required
to consider the criteria in
§ 648.102(c)(2)(i)(A) through (C) in the
evaluation of requests for quota transfers
or combinations.
North Carolina is transferring 9,935 lb
(4,506 kg) of summer flounder
commercial quota to New Jersey and
7,350 lb (3,333 kg) of summer flounder
commercial quota to Massachusetts.
These transfers were requested by the
State of North Carolina to repay
landings by North Carolina permitted
vessels that landed in other states under
safe harbor agreements.
The revised summer flounder quotas
for calendar year 2016 are now: North
Carolina, 2,147,446 lb (974,065 kg); New
Jersey, 1,381,879 lb (626,809 kg); and
Massachusetts, 571,252 lb (259,115 kg)
based on the initial quotas published in
the 2016–2018 Summer Flounder, Scup
and Black Sea Bass Specifications,
(December 28, 2015, 80 FR 80689) and
previous 2016 quota transfers (March 8,
2016, 81 FR 12030).
Classification
This action is taken under 50 CFR
part 648 and is exempt from review
under Executive Order 12866.
Authority: 16 U.S.C. 1801 et seq.
Dated: April 11, 2016.
Alan D. Risenhoover,
Director, Office of Sustainable Fisheries,
National Marine Fisheries Service.
[FR Doc. 2016–08616 Filed 4–13–16; 8:45 am]
BILLING CODE 3510–22–P
E:\FR\FM\14APR1.SGM
14APR1
Agencies
[Federal Register Volume 81, Number 72 (Thursday, April 14, 2016)]
[Rules and Regulations]
[Pages 22025-22032]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2016-08039]
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 52
[EPA-R09-OAR-2015-0204; FRL-9944-16-Region 9]
Partial Approval and Partial Disapproval of Air Quality State
Implementation Plans; California; South Coast; Moderate Area Plan for
the 2006 PM2.5 NAAQS
AGENCY: U.S. Environmental Protection Agency (EPA).
ACTION: Final rule.
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SUMMARY: The Environmental Protection Agency (EPA) is approving in part
and disapproving in part State implementation plan (SIP) revisions
[[Page 22026]]
submitted by California to address moderate area Clean Air Act (CAA)
requirements for the 2006 fine particulate (PM2.5) National
Ambient Air Quality Standards (NAAQS) in the Los Angeles--South Coast
air basin (South Coast) PM2.5 nonattainment area. These SIP
revisions are the 2012 PM2.5 Plan, submitted February 13,
2013, and the 2015 Supplement, submitted March 4, 2015. We are
disapproving the Reasonably Available Control Measure, Reasonably
Available Control Technology (RACM/RACT), and Reasonable Further
Progress elements of the SIP revisions because of new information
indicating that the 2010 RECLAIM program does not meet the RACM/RACT
requirement for certain sources of emissions. The EPA is prepared to
work with the State to correct this deficiency. We are not finalizing
our proposed action on the District's ports-related commitment at this
time.
DATES: This rule is effective on May 16, 2016.
ADDRESSES: The EPA has established docket number EPA-R09-OAR-2015-0204
for this action. Generally, documents in the docket for this action are
available electronically at https://www.regulations.gov or in hard copy
at EPA Region IX, 75 Hawthorne Street, San Francisco, California 94105-
3901. While all documents in the docket are listed at https://www.regulations.gov, some information may be publicly available only at
the hard copy location (e.g., copyrighted material, large maps, multi-
volume reports), and some may not be available in either location
(e.g., confidential business information (CBI)). To inspect the hard
copy materials, please schedule an appointment during normal business
hours with the contact listed in the FOR FURTHER INFORMATION CONTACT
section.
FOR FURTHER INFORMATION CONTACT: Wienke Tax, EPA Region 9, (415) 947-
4192, tax.wienke@epa.gov.
SUPPLEMENTARY INFORMATION: Throughout this document, ``we,'' ``us''
and ``our'' refer to the EPA.
Table of Contents
I. Background Information
II. Public Comments and EPA Responses
III. Final Action
IV. Statutory and Executive Order Reviews
I. Background Information
On October 20, 2015, we proposed to approve state implementation
plan (SIP) revisions submitted by California to address Clean Air Act
(CAA or Act) requirements for the 2006 24-hour fine particulate matter
(PM2.5) national ambient air quality standards (NAAQS) in
the Los Angeles-South Coast air basin (South Coast) Moderate
PM2.5 nonattainment area. See 80 FR 63640 (October 20,
2015). The SIP revisions that we proposed to approve are those portions
of the ``Final 2012 Air Quality Management Plan (AQMP)'' that address
attainment of the 2006 PM2.5 NAAQS (2012 PM2.5
Plan), submitted February 13, 2013, and the ``Supplement to the 24-Hour
PM2.5 State Implementation Plan for the South Coast Air
Basin'' (2015 Supplement), submitted March 4, 2015. We refer to these
submissions collectively herein as ``the Plan.'' The EPA proposed to
approve the following elements of the Plan as satisfying applicable CAA
requirements: (1) The 2008 base year emissions inventories; (2) the
reasonably available control measures/reasonably available control
technology demonstration; (3) the reasonable further progress
demonstration; (4) the demonstration that attainment by the Moderate
area attainment date of December 31, 2015 is impracticable; (5) the
District's commitments to adopt and implement specific rules and
measures on a specific schedule; and (6) the general conformity budgets
for NOX and VOC for years 2013-2030 in the Plan.\1\
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\1\ 80 FR 63640 (October 20, 2015) at 63660.
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The EPA also proposed to reclassify the South Coast area, including
Indian country within it, as a Serious nonattainment area for the 2006
PM2.5 NAAQS, based on the EPA's determination that the area
could not practicably attain this standard by the applicable Moderate
area attainment date of December 31, 2015.
On December 22, 2015, we finalized our proposal to reclassify the
South Coast area from Moderate to Serious for the 2006 PM2.5
NAAQS.\2\ As a result of that action, California is required to submit,
by August 14, 2017, additional SIP revisions to satisfy the statutory
requirements that apply to Serious PM2.5 nonattainment
areas, including the requirements of subpart 4 of part D, title I of
the Act. The Serious area plan must provide for attainment of the 2006
PM2.5 NAAQS in the South Coast area as expeditiously as
practicable, but no later than December 31, 2019, in accordance with
the requirements of part D of title I of the Act.
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\2\ 81 FR 1514 (January 13, 2016).
---------------------------------------------------------------------------
In our December 22, 2015 final action to reclassify the South Coast
area as a Serious PM2.5 nonattainment area, we summarized
and responded to public comments pertaining to the reclassification and
its consequences and stated that we would, in a separate rulemaking,
respond to comments pertaining to our proposed action on the submitted
plan.\3\
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\3\ Id.
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II. Public Comments and EPA Responses
The EPA provided a 30-day period for public comment on our proposed
rule. During this comment period, which ended on November 19, 2015, we
received ten sets of public comments on our proposal. Comment letters
were submitted by Earthjustice on behalf of the Center for Biological
Diversity, Coalition for Clean Air, Communities for a Better
Environment, East Yard Communities for Environmental Justice, and the
Sierra Club (``Earthjustice''); the San Pedro Bay Ports (Ports of Los
Angeles and Long Beach, or ``the Ports''); Maersk Agency USA; NAIOP,
the Commercial Real Estate Development Association; the Los Angeles
Area Chamber of Commerce; Burlington Northern Santa Fe and Union
Pacific Railroads; the Pacific Merchant Shipping Association; the
California Trucking Association; BizFed, the Los Angeles County
Business Federation; and the Public Solar Power Coalition.\4\ Copies of
these comment letters can be found in the docket.
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\4\ All comment letters are in the docket for today's action at
www.regulations.gov, docket ID EPA-R09-OAR-2015-0204.
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Many of these comment letters address only our proposal to approve
the South Coast Air Quality Management District's (SCAQMD or District)
commitment to adopt a backstop measure related to ports and port-
related facilities in 2015, as part of our action on the 2012
PM2.5 Plan and 2015 Supplement.\5\ Specifically, the
comments from the following entities focus entirely on this ports-
related commitment: The San Pedro Bay Ports (Ports of Los Angeles and
Long Beach, or ``the Ports''); Maersk Agency USA; NAIOP, the Commercial
Real Estate Development Association; the Los Angeles Area Chamber of
Commerce; Burlington Northern Santa Fe and Union Pacific Railroads; the
Pacific Merchant Shipping Association; the California Trucking
Association; and BizFed, the Los Angeles County Business Federation.
Given the volume of these comments on the District's ports-related
commitment, and the need for the EPA to further evaluate the
[[Page 22027]]
issues these comments raise, we are not finalizing our proposed action
on the commitment at this time and will respond to all comments
pertaining to this commitment in a separate rulemaking.\6\ We summarize
and respond below to all other comments pertaining to our proposed
action on the 2012 PM2.5 Plan and the 2015 Supplement.
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\5\ See 80 FR at 63651 (October 20, 2015) (discussing District
commitment to ``adopt backstop measures related to ports and port-
related facilities in 2015,'' also referred to as control measure
IND-01, ``Backstop Measures for Indirect Sources of Emissions from
Ports and Port-related Facilities'').
\6\ The District's ports-related commitment is not a component
of the February 13, 2013 plan submission that is the subject of a
consent decree in Sierra Club, et al. v. EPA, No. 2:15-cv-3798-ODW
(ASx) (C.D. CA.). See letter dated February 13, 2013, from James N.
Goldstene, Executive Officer, CARB, to Jared Blumenfeld, Regional
Administrator, EPA Region 9, with attachments, and CARB Resolution
15-2, February 19, 2015; see also 80 FR 79338 (December 21, 2015).
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Comments Regarding RACM/RACT
Comment 1. Earthjustice asserts that the 2012 PM2.5 Plan
fails to meet minimum requirements for Reasonably Available Control
Measures (RACM) because some sources covered under South Coast's
NOX Regional Clean Air Incentives Market (RECLAIM) program
have not installed control technologies that are economically feasible
and readily available. Citing recent rulemaking documents from the
District's December 4, 2015 amendments to the RECLAIM program,\7\
Earthjustice argues that the District itself has found that the current
cap on NOX RECLAIM emissions is far above the level of
emissions that would be generated if cost-effective and readily
available technologies were implemented in the South Coast air basin.
Earthjustice also argues that the 2 ton per day (tpd) reduction in the
NOX RECLAIM cap (referred to as the NOX
``shave'') included in the 2012 PM2.5 Plan falls short of
what is actually feasible for certain sectors, where ``readily
available technologies simply have not been installed because of too
many credits in the NOX RECLAIM program.'' For example,
Earthjustice quotes the District's statements in the ``Draft Final
Socioeconomic Report For Proposed Amendments to Regulation XX--Regional
Clean Air Incentive Market (RECLAIM) NOX RECLAIM''
(hereafter ``RECLAIM Socioeconomic Report'') indicating that the
NOX RECLAIM program, as amended in 2005, has allowed
numerous refineries to delay installation of selective catalytic
reduction (SCR) controls that the District had identified as best
available retrofit control technology (BARCT).\8\
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\7\ On December 4, 2015, the SCAQMD adopted amendments to the
RECLAIM program to implement BARCT for NOX emissions from
various equipment by establishing RTC reduction targets and RTC
adjustment factors for year 2016 and beyond (See SCAQMD Governing
Board Resolution 15-25, December 4, 2015).
\8\ BARCT is defined as ``an emission limitation that is based
on the maximum degree of reduction achievable taking into account
environmental, energy, and economic impacts by each class or
category of source.'' California Health & Safety Code Section 40406.
---------------------------------------------------------------------------
Earthjustice acknowledges the EPA's policies allowing for cap and
trade programs to satisfy RACT by ensuring emission reductions equal,
in the aggregate, to the reductions expected from direct application of
RACT on individual affected sources but asserts that, in this case,
``EPA cannot simply conclude that a 2 tpd shave to the NOX
RECLAIM program satisfies RACT because `RECLAIM [must] achieve[ ]
reductions of NOX emissions from covered sources that are
equivalent in the aggregate, to the reductions achieved by RACT-level
controls.' '' At a minimum, according to Earthjustice, ``RACM requires
an assessment of the NOX RECLAIM program in light of new
information that the NOX RECLAIM program is woefully far
from achieving reductions commensurate with `RACT-level controls.' ''
Earthjustice concludes that the District can either amend its
NOX RECLAIM program to make it equivalent to RACT-level
controls or adopt direct controls to ensure that readily available and
cost-effective pollution control equipment is installed on many sources
that have not installed these controls.
Response 1: The EPA has reevaluated the RACM/RACT demonstration in
the 2012 PM2.5 Plan in light of the commenter's arguments
and agrees that the Plan does not adequately address RACM/RACT for
certain NOX emission sources covered by the RECLAIM program.
The SCAQMD adopted the RECLAIM program in 1993 to reduce emissions
from the largest stationary sources of NOX and
SOX emissions through a market-based trading program that
establishes annually declining NOX and SOX
allocations (also called ``facility caps'') and allows covered
facilities to comply with their facility caps by installing pollution
control equipment, changing operations, or purchasing ``RECLAIM trading
credits'' (RTCs) from the RECLAIM market.\9\ Section 40440 of the
California Health and Safety Code requires the District to monitor
advances in BARCT and periodically to reassess the overall facility
caps to ensure that the facility caps are equivalent, in the aggregate,
to BARCT emission levels imposed on affected sources. Facilities
electing to enter RECLAIM are exempted from a number of SCAQMD
prohibitory rules that otherwise apply to sources of NOX and
SOX emissions in the South Coast.\10\
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\9\ 2012 PM2.5 Plan, Appendix IV-A (``Stationary
Source Control Measures'') at p. IV-A-13 (discussing CMB-01: Further
NOX Reductions from RECLAIM--Phase I [NOX]).
\10\ SCAQMD Rule 2001, as amended May 6, 2005, at section (j)
(``Rule Applicability'').
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Under longstanding EPA interpretation of the CAA, a market-based
cap and trade program may satisfy RACT requirements by ensuring that
the level of emission reductions resulting from implementation of the
program will be equal, in the aggregate, to those reductions expected
from the direct application of RACT on all affected sources within the
nonattainment area.\11\ The EPA approved the RECLAIM program into the
California SIP in June 1998 based in part on a conclusion that the
NOX emission caps in the program satisfied the RACT
requirements of CAA section 182(b)(2) and (f) for covered
NOX emission sources in the aggregate.\12\ In 2005 and 2010,
the District adopted revisions to the NOX RECLAIM program,
which the EPA approved on August 29, 2006 and August 12, 2011,
respectively, based in part on conclusions that the revisions continued
to satisfy NOX RACT requirements.\13\ We refer to the
NOX RECLAIM program as approved into the SIP as the ``2010
RECLAIM program.''
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\11\ 59 FR 16690 (April 7, 1994) and U.S. EPA, ``Improving Air
Quality with Economic Incentive Programs,'' EPA-452/R-01-001
(January 2001), at Section 16.7.
\12\ 61 FR 57834 (November 8, 1996) and 63 FR 32621 (June 15,
1998).
\13\ 71 FR 51120 (August 29, 2006) and 76 FR 50128 (August 12,
2011).
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The recent SCAQMD rulemaking documents that Earthjustice cites call
into question the efficacy of the 2010 RECLAIM program in ensuring
NOX emission reductions equivalent to RACT-level controls on
all affected sources. Specifically, according to a November 4, 2015
draft staff report by the SCAQMD entitled ``Proposed Amendments to
Regulation XX, Regional Clean Air Incentives Market (RECLAIM),
NOX RECLAIM'' (hereafter ``Draft RECLAIM Staff Report''),
between 2009 and 2013, the RECLAIM market contained 5-8 tons per day
(tpd) of ``surplus'' RTCs that created a dampening effect on RTC
prices, bringing average RTC prices down to a range of $1,162-$5,491
per ton compared to the average cost-effectiveness of control range,
which is $8,300-$13,000 per ton.\14\ As a result,
[[Page 22028]]
according to the District, RECLAIM facilities opted to purchase these
low cost ``surplus'' RTCs to reconcile their emissions at the end of
the compliance year instead of installing controls to reduce
pollution.\15\ For example, refineries did not install any SCR control
technologies in response to the 2005 NOX RECLAIM amendment
even though SCAQMD staff had estimated about 51 SCRs would be installed
by 2011.\16\ The Draft RECLAIM Staff Report indicates that SCR has been
used successfully to control NOX emissions from various
refinery operations and is considered a mature, commercially available,
and cost-effective control technique for this source category.\17\ The
District concluded in the Draft RECLAIM Staff Report that ``[r]emoving
surplus RTCs is therefore critically important to ensure the
effectiveness of the RECLAIM program and meet state law requirements to
require the use of BARCT for existing sources.'' Likewise, in the
RECLAIM Socioeconomic Report, the District stated that many of these
unused ``excess'' RTCs were sold to operating RECLAIM facilities as a
result of facility shutdowns and that ``[t]hese excess RTCs have been
artificially depressing RTC prices and have induced RECLAIM facilities
to delay the installation of cost-effective controls.'' \18\
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\14\ South Coast Air Quality Management District, ``Proposed
Amendments to Regulation XX, Regional Clean Air Incentives Market
(RECLAIM), NOX RECLAIM'' (``Draft RECLAIM Staff
Report''), November 4, 2015, at pp. 262-264.
\15\ Id. at 264.
\16\ Id. The RECLAIM Socioeconomic Report further states that
despite a 7.7 tpd NOX RTC shave implemented during 2007-
2011 through the District's 2005 amendments to RECLAIM, only 4 tpd
of actual NOX emission reductions resulted from this
shave, most of which were due to facility shut-downs and not
measures taken to reduce actual emissions by facilities in the
program. South Coast Air Quality Management District, ``Draft Final
Socioeconomic Report For Proposed Amendments to Regulation XX--
Regional Clean Air Incentive Market (RECLAIM) NOX
RECLAIM'' (``RECLAIM Socioeconomic Report''), December 4, 2015, at
pp. 1-2.
\17\ See, e.g., Draft RECLAIM Staff Report at Appendix A,
Appendix B, and Appendix C (discussing technical feasibility and
cost-effectiveness estimates for SCR and other NOX
control techniques at refinery fluid catalytic cracking units,
refinery boilers and process heaters, and refinery gas turbines).
\18\ RECLAIM Socioeconomic Report at pp. 1-2.
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The 2012 PM2.5 Plan cites the 2010 RECLAIM program as
the basis for the District's RACM/RACT determination for several
NOX emission source categories, including cement kilns,
boilers and process heaters at petroleum refineries, and other
stationary combustion installations (e.g., steam generators and natural
gas and/or oil-fired industrial/commercial/institutional boilers).\19\
The Plan also indicates that, for several source categories for which
the District identified more stringent NOX controls
implemented in other nonattainment areas,\20\ the District intended to
reduce NOX emissions or conduct further study through
``Control Measure CMB-01--Further NOX Reductions from
RECLAIM,'' \21\ a measure that commits the District to achieve an
additional 2 tpd of NOX emission reductions through a 2 tpd
``shave'' to the RECLAIM NOX emission caps in 2015 if the
South Coast area fails to attain the 2006 PM2.5 NAAQS by
then.\22\ The 2012 PM2.5 Plan does not explain how either
the 2010 RECLAIM program or the additional 2 tpd reduction (``shave'')
to the NOX emission cap described in Control Measure CMB-01
ensures that the level of NOX emission reductions resulting
from implementation of the RECLAIM program is equal, in the aggregate,
to those NOX emission reductions expected from the direct
application of RACT on covered sources within the South Coast
nonattainment area. The Plan does, however, state that there are
approximately 8 tpd of ``excess'' NOX RTCs in the RECLAIM
market, consistent with the District's findings in the Draft RECLAIM
Staff Report and RECLAIM Socioeconomic Report.\23\
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\19\ 2012 PM2.5 Plan, Appendix VI (``Reasonably
Available Control Measures (RACM) Demonstration'') at pp. VI-13 to
VI-17 and Table VI-5.
\20\ For example, with respect to boilers and process heaters at
refineries, the 2012 PM2.5 Plan indicates that
NOX control measures implemented in the San Francisco Bay
Area are more stringent than regulations implemented in the South
Coast area. 2012 PM2.5 Plan, Appendix VI (``Reasonably
Available Control Measures (RACM) Demonstration'') at pp. VI-13.
\21\ Id.
\22\ 2012 PM2.5 Plan, Appendix IV-A (``Stationary
Source Control Measures'') at pp. IV-A-13 to IV-A-16 (discussing
CMB-01: Further NOX Reductions from RECLAIM--Phase I
[NOX]), as amended by 2015 Supplement at Table F-1.
\23\ 2012 PM2.5 Plan, Appendix IV-A (``Stationary
Source Control Measures'') at p. IV-A-14.
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Given the information in the Plan about ``excess'' NOX
RTCs in the 2010 RECLAIM program and the new information submitted by
the commenters indicating that these excess RTCs have artificially
depressed NOX RTC prices during the 2009-2013 period covered
by the Plan, thus allowing RECLAIM facilities to avoid installing
technically feasible and cost-effective NOX pollution
control equipment during this period, and given the absence of a
demonstration in the Plan to support a conclusion that the 2010 RECLAIM
program ensures, in the aggregate, NOX emission reductions
equivalent to RACT-level controls for these sources, we are
disapproving the RACM/RACT demonstration in the Plan.
Our proposal to find that the 2012 PM2.5 Plan and 2015
Supplement satisfy the requirement for RFP in CAA section 172(c)(2) was
based primarily on a conclusion that the Plan ``demonstrates that all
RACM/RACT are being implemented as expeditiously as practicable and
identifies projected emission levels for 2014 that reflect full
implementation of the State's and District's RACM/RACT control strategy
for the area.'' \24\ Our evaluation of whether the RACM/RACT measures
would result in emissions reductions consistent with meeting the RFP
requirement of the statute was thus dependent upon the approval of the
Plan with respect to the RACM/RACT requirement. Because we are now
disapproving the RACM/RACT demonstration in the Plan, we must also find
that the Plan does not satisfy the statutory requirement for RFP for
the 2006 PM2.5 NAAQS.
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\24\ 80 FR at 63654 (October 20, 2015).
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As a result of our December 22, 2015 final action reclassifying the
South Coast area as Serious nonattainment for the 2006 PM2.5
NAAQS, California is required to submit by August 14, 2017 a Serious
Area plan for the South Coast area, including provisions to assure that
the best available control measures (BACM) and best available control
technology (BACT) for the control of direct PM2.5 and
PM2.5 precursors shall be implemented no later than 4 years
after the area is reclassified.\25\ We note that, to the extent the
State and District intend to rely on the NOX RECLAIM program
as part of the BACM demonstration in this new plan, the plan must
include documentation sufficient to demonstrate that the NOX
RECLAIM program ensures, in the aggregate, NOX emission
reductions equivalent to BACT-level controls for covered facilities. If
the State and District intend to the correct the deficiency in advance
of the BACM submission due August 14, 2017, they may do so by
submitting revisions to the NOX RECLAIM program together
with documentation sufficient to demonstrate that the revised program
ensures, in the aggregate, NOX emission reductions
equivalent to RACT-level controls for covered facilities. Either type
of SIP submission would, upon EPA approval, cure the deficiency in the
Plan's RACM/RACT demonstration for the 2006 PM2.5 NAAQS.
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\25\ 81 FR 1514 (January 13, 2016).
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The Serious area plan for the 2006 PM2.5 NAAQS in the
South Coast area that California is required to submit by August 14,
2017 must also include plan provisions that provide for RFP
[[Page 22029]]
consistent with the requirements of CAA section 172(c)(2). A Serious
area plan that satisfies the statutory RFP requirement for the 2006
PM2.5 NAAQS in the South Coast would, upon EPA approval,
cure the deficiency in the 2012 PM2.5 Plan's RFP provisions.
Comment 2. Earthjustice argues that the RACM demonstration in the
Plan impermissibly relies on mobile source measures that are not
approved into the SIP and that the EPA continues to attempt to
``illegally credit'' waiver measures even though these measures had not
been proposed for SIP approval by the time of the EPA's proposed rule
on the 2012 PM2.5 Plan. Earthjustice further asserts that
these waiver measures have never been reviewed for compliance with SIP-
related requirements, and that the public has no ability to review and
offer comment on the EPA's assessment of how these mobile source
measures satisfy the CAA's RACM requirements. Citing Committee for a
Better Arvin v. EPA, 786 F.3d 1169 (9th Cir. 2015) (hereafter ``CBA''),
Earthjustice argues that the EPA's prior approvals of PM2.5
plans for the South Coast and San Joaquin Valley nonattainment areas
were remanded for failure to include the mobile source control measures
upon which the plans relied and that it is, therefore, premature to
conclude that the RACM requirement has been satisfied.
Response 2. As we explained in our proposed rule, in response to
the Ninth Circuit's decision in CBA, CARB adopted the necessary waiver
measures as revisions to the California SIP and submitted them to the
EPA on August 14, 2015.\26\ Our proposed rule for this action stated
that the EPA intended to propose action on these waiver measures in a
separate rulemaking and that, ``[o]nce approved as part of the SIP, the
measures will be enforceable by the EPA or private citizens under the
CAA.'' \27\ Our proposed rule also stated that the EPA was ``proposing
to approve certain elements of the 2012 PM2.5 Plan and 2015
Supplement in part based on our expectation that these waiver measures
will soon become federally enforceable as a result of our approval of
the measures as part of the SIP.'' \28\
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\26\ 80 FR 63640 at 63652, n. 48 (citing letter dated August 14,
2015, from Richard W. Corey, Executive Officer, California Air
Resources Board, to Jared Blumenfeld, Regional Administrator, EPA
Region 9).
\27\ 80 FR at 63652.
\28\ Id.
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On November 12, 2015, the EPA proposed to approve the submitted
waiver measures into the California SIP and provided a 30-day period
for public comment on its proposal.\29\ As part of this proposed rule,
the EPA evaluated the necessary waiver measures for compliance with
SIP-related requirements and proposed to find that they fulfill all
applicable CAA requirements. The EPA expects to finalize this action in
the near term, at which point the waiver measures will become federally
enforceable under the CAA.
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\29\ 80 FR 69915 (November 12, 2015).
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In the meantime, we agree with Earthjustice that the RACM/RACT
demonstration in the 2012 PM2.5 Plan remains deficient
pending the EPA's final action to approve the waiver measures on which
it relies. Because we are disapproving the RACM/RACT demonstration in
the 2012 PM2.5 Plan on other grounds, however (see Response
1), this conclusion does not alter our action.
Comments Regarding Motor Vehicle Emissions Budgets
Comment 3. Earthjustice asserts that the EPA's decision to not act
on the motor vehicle emissions budgets (MVEBs) in the 2012
PM2.5 plan is arbitrary and capricious. According to
Earthjustice, the revised budgets in the 2012 PM2.5 Plan
(2015 MVEBs) are significantly strengthened compared to the MVEBs for
the 1997 PM2.5 NAAQS that the EPA approved in 2011 (2011
MVEBs), which are ``outdated and less protective.'' For example,
Earthjustice asserts that the 2015 MVEBs reflect more accurate
emissions data as they are based on EMFAC2011 and transportation
activity data from the Southern California Association of Governments'
(SCAG's) adopted 2012 Regional Transportation Plan, whereas the 2011
MVEBs relied on EMFAC2007, the prior transportation plan, and other
outdated information. Additionally, Earthjustice claims that the 2011
MVEBs were ``not sufficiently stringent because evidence shows the
South Coast air basin has not attained the 1997 PM2.5
standard'' and ``certainly are not sufficiently strong to meet the 2006
PM2.5 standard and interim milestones to ensure attainment
of this standard.''
Earthjustice contends that it is arbitrary to allow the 2011 MVEBs
to remain in place for the next transportation plan when revised
budgets are available, especially in the South Coast where
transportation emissions account for such a large amount of the
PM2.5 and ozone pollution problems. Earthjustice further
argues that it is critically important to have these revised budgets in
place given the imminent 2016 transportation plan being prepared by
SCAG.
Response 3. We disagree with these comments.
As we explained in our proposed rule, the 2015 Supplement, which
CARB submitted in March 2015, revised the attainment demonstration in
the 2012 PM2.5 Plan to identify December 31, 2015 as the
applicable attainment date and included revised motor vehicle emission
budgets (MVEBs) for 2015 for direct PM2.5, NOX,
and VOC.\30\ In July 2015, however, the District submitted preliminary
air quality monitoring data that indicated that attainment of the 2006
PM2.5 NAAQS by the Moderate area attainment date (December
31, 2015) was impracticable.\31\ Based on these air quality data, the
District requested that the EPA treat the 2012 PM2.5 Plan
and 2015 Supplement as a demonstration that attainment by the Moderate
area attainment date is impracticable and that the EPA reclassify the
South Coast air basin as a Serious nonattainment area for the 2006
PM2.5 NAAQS.\32\ We therefore evaluated the 2012
PM2.5 Plan and 2015 Supplement as a demonstration of
impracticability under CAA section 189(a)(1)(B)(ii) and proposed to
approve it based on a conclusion that it satisfies the statutory
requirements for such demonstrations.
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\30\ 80 FR 63640 at 63655 (October 20, 2015) (citing 2015
Supplement, Attachment C at Table C-1).
\31\ Id. at 63645 and 63652-53.
\32\ Id.
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Section 93.118(e)(4) of the conformity rule states that the EPA
will not find a motor vehicle emissions budget in a submitted control
strategy SIP to be adequate for transportation conformity purposes
unless specific criteria are satisfied, including the requirement in
paragraph (e)(4)(iv) that the motor vehicle emissions budget(s), when
considered together with all other emissions sources, is consistent
with applicable requirements for reasonable further progress,
attainment, or maintenance, whichever is relevant to the SIP
submission. The 2012 PM2.5 Plan and 2015 Supplement contain
MVEBs only for the 2015 attainment year.\33\ The Plan does not
demonstrate timely attainment and does not contain an approvable RFP
demonstration or any RFP budgets. Because the Plan does not contain a
control strategy that satisfies the requirements for RFP, attainment,
or maintenance, the EPA cannot find that the MVEBs included with this
plan meet the specific requirement in 40 CFR 93.118(e)(4)(iv)
[[Page 22030]]
that the budgets, when considered together with all other emissions
sources, be consistent with applicable requirements for reasonable
further progress, attainment, or maintenance. Therefore, we cannot find
these MVEBs adequate for conformity purposes or approve them.
---------------------------------------------------------------------------
\33\ 2015 Supplement, Attachment C, at Table C-1.
---------------------------------------------------------------------------
Under 40 CFR 93.109(c)(2), in a nonattainment area that has no SIP-
approved or adequate MVEBs but does have approved or adequate MVEBs in
an approved SIP or SIP submission for another NAAQS of the same
pollutant, conformity determinations must satisfy the budget test as
required by Sec. 93.118 using the approved or adequate MVEBs for that
other NAAQS. The South Coast air basin has no SIP-approved or adequate
MVEBs for the 2006 PM2.5 NAAQS but does have approved MVEBs
in an approved SIP for the 1997 PM2.5 NAAQS, which is
another NAAQS of the same pollutant (PM2.5). Therefore,
until the EPA finds that a MVEB in a submitted control strategy SIP for
the 2006 PM2.5 NAAQS is adequate for transportation
conformity purposes, conformity determinations for the 2006
PM2.5 NAAQS in the South Coast area must satisfy the budget
test as required by Sec. 93.118 using the approved MVEBs for the 1997
PM2.5 NAAQS. Upon the effective date of the EPA's finding
that a MVEB in a submitted control strategy SIP for the 2006
PM2.5 NAAQS is adequate for transportation conformity
purposes, or upon the publication date of the EPA's approval of such a
budget in the Federal Register, conformity determinations for the 2006
PM2.5 NAAQS in the South Coast area will have to satisfy the
budget test in Sec. 93.118 using such approved MVEBs for the 2006
PM2.5 NAAQS.\34\
---------------------------------------------------------------------------
\34\ 40 CFR 93.109(c)(1).
---------------------------------------------------------------------------
In sum, because the 2012 PM2.5 Plan and 2015 Supplement
do not contain a control strategy that satisfies the requirements for
RFP, attainment, or maintenance, the EPA cannot find that the MVEBs
included in the Plan are adequate for conformity purposes and cannot
approve these budgets. Accordingly, we are taking no action on the 2015
MVEBs included in the Plan. Because the South Coast air basin has no
SIP-approved or adequate MVEBs for the 2006 PM2.5 NAAQS but
does have approved MVEBs in an approved SIP for the 1997
PM2.5 NAAQS, conformity determinations for the 2006
PM2.5 NAAQS in the South Coast area must satisfy the budget
test as required by Sec. 93.118 using the approved MVEBs for the 1997
PM2.5 NAAQS, until the EPA finds that a MVEB in a submitted
control strategy SIP for the 2006 PM2.5 NAAQS is adequate
for transportation conformity purposes in the South Coast air basin.
The EPA recently approved an updated version of the California
EMFAC model (EMFAC2014) for use in SIP development and transportation
conformity in California.\35\ Upon conclusion of the two-year grace
period on December 14, 2017, EMFAC2014 will become the only approved
motor vehicle emissions model for all new PM2.5 regional and
hot-spot transportation conformity analyses across California.\36\
Although CARB has until August 14, 2017 to submit a Serious area plan
for the 2006 PM2.5 NAAQS in the South Coast area,\37\ we
encourage the State to submit this plan and revised MVEBs using
EMFAC2014 before that date to ensure that conformity analyses for the
2006 PM2.5 NAAQS in the South Coast air basin use the latest
emission estimation model available consistent with the requirements of
40 CFR 93.111.
---------------------------------------------------------------------------
\35\ 80 FR 77337 (December 14, 2015).
\36\ Id. at 77339.
\37\ 81 FR 1514 at 1520 (January 13, 2016).
---------------------------------------------------------------------------
Other Comments
Comment 4. We received three comments from Harvey Eder on behalf of
the Public Solar Power Coalition (PSPC). The commenter states his
intent to incorporate by reference material submitted to the EPA on
behalf of PSPC in several prior EPA rulemaking actions, EPA and
presidential statements concerning solar power, and several unspecified
magazine and newspaper articles, but does not identify the purpose for
which he intends to incorporate these materials by reference. The
commenter suggests that EPA Control Techniques Guidelines (CTGs) and
Alternative Control Techniques documents (ACTs) ``do not exist'' and
that these would need to be developed ``before[] solar can be used as
RACT/RACM.'' The commenter asserts that NOX is a precursor
to both PM10 and PM2.5 as well as fine and ultra-
fine particulates.
Additionally, the commenter asserts that it is reasonable to
include solar power as a NOX control measure, and that the
South Coast area needs a ``100% ITSC Immediate Total Solar Conversion
Plan by 2020-2023.''
Response 4: These comments fail to identify any specific issue that
is germane to the EPA's proposed action on the 2012 PM2.5
Plan and 2015 Supplement. To the extent the commenter intended to
encourage additional evaluation of potential solar power installations
that may reduce pollution in the South Coast area, the EPA encourages
the commenter to participate in the regulatory processes carried out by
the SCAQMD, CARB, and other State/local agencies involved in the
development of air quality management plans in the South Coast. The EPA
finds no basis in these comments to change its proposed action on the
Plan.
With respect to the commenter's request to incorporate material by
reference, the EPA generally will not consider comments or comment
contents located outside of the primary submission (i.e., on the web,
cloud, or other file-sharing system). For the full EPA public comment
policy, and general guidance on making effective comments, please visit
https://www2.epa.gov/dockets/commenting-epa-dockets.
III. Final Action
The EPA is taking final action to approve and disapprove SIP
revisions submitted by the State of California to address attainment of
the 2006 PM2.5 NAAQS in the South Coast PM2.5
nonattainment area. These SIP revisions are the 2012 p.m.2.5
Plan, submitted February 13, 2013, and the 2015 Supplement, submitted
March 4, 2015.
Under CAA section 110(k)(3), the EPA is approving the following
elements of the 2012 PM2.5 Plan and 2015 Supplement:
1. The 2008 base year emissions inventories as meeting the
requirements of CAA section 172(c)(3);
2. the demonstration that attainment by the Moderate area
attainment date of December 31, 2015 is impracticable as meeting the
requirements of CAA section 189(a)(1)(B)(ii);
3. SCAQMD's commitments to adopt and implement specific rules and
measures in accordance with the schedule provided in Chapter 4 of the
2012 PM2.5 Plan as modified by Table F-1 in Attachment F to
the 2015 Supplement, to achieve the emissions reductions shown therein,
and to submit these rules and measures to CARB within 30 days of
adoption for transmittal to the EPA as a revision to the SIP, as stated
on pp. 7-8 of SCAQMD Governing Board Resolution 12-19 and modified by
SCAQMD Governing Board Resolution 15-3, excluding all commitments
pertaining to control measure IND-01 (Backstop Measures for Indirect
Sources of Emissions from Ports and Port-Related Facilities); and
4. the general conformity budgets for years 2013-2030 listed in
Appendix III, p. III-2-53 of the 2012 PM2.5 Plan as
[[Page 22031]]
meeting the requirements of the CAA and the general conformity rule.
Simultaneously, under CAA section 110(k)(3), the EPA is
disapproving the following elements of the 2012 PM2.5 Plan
and 2015 Supplement:
1. The reasonably available control measures/reasonably available
control technology (RACM/RACT) demonstration for failure to meet the
requirements of CAA sections 172(c)(1) and 189(a)(1)(C); and
2. the reasonable further progress demonstration for failure to
meet the requirements of CAA section 172(c)(2).
As a result of this disapproval, the offset sanction in CAA section
179(b)(2) will apply in the South Coast PM2.5 nonattainment
area 18 months after the effective date of this action and the highway
funding sanctions in CAA section 179(b)(1) will apply in the area 6
months after the offset sanction is imposed. Neither sanction will
apply if California submits and the EPA approves, prior to the
implementation of the sanctions, SIP revisions that correct the
deficiencies identified in this final action. Additionally, this
disapproval action triggers an obligation on the EPA to promulgate a
federal implementation plan unless California corrects the
deficiencies, and the EPA approves the related plan revisions, within
two years of this final action.
IV. Statutory and Executive Order Reviews
Additional information about these statutes and Executive Orders
can be found at https://www2.epa.gov/laws-regulations/laws-and-executive-orders.
A. Executive Order 12866: Regulatory Planning and Review and Executive
Order 13563: Improving Regulation and Regulatory Review
This action is not a significant regulatory action and was
therefore not submitted to the Office of Management and Budget (OMB)
for review.
B. Paperwork Reduction Act (PRA)
This action does not impose an information collection burden under
the PRA because this action does not impose additional requirements
beyond those imposed by state law.
C. Regulatory Flexibility Act (RFA)
I certify that this action will not have a significant economic
impact on a substantial number of small entities under the RFA. This
action will not impose any requirements on small entities beyond those
imposed by state law.
D. Unfunded Mandates Reform Act (UMRA)
This action does not contain any unfunded mandate as described in
UMRA, 2 U.S.C. 1531-1538, and does not significantly or uniquely affect
small governments. This action does not impose additional requirements
beyond those imposed by state law. Accordingly, no additional costs to
State, local, or tribal governments, or to the private sector, will
result from this action.
E. Executive Order 13132: Federalism
This action does not have federalism implications. It will not have
substantial direct effects on the states, on the relationship between
the national government and the states, or on the distribution of power
and responsibilities among the various levels of government.
F. Executive Order 13175: Coordination With Indian Tribal Governments
This action does not have tribal implications, as specified in
Executive Order 13175, because the SIP is not approved to apply on any
Indian reservation land or in any other area where the EPA or an Indian
tribe has demonstrated that a tribe has jurisdiction, and will not
impose substantial direct costs on tribal governments or preempt tribal
law. Thus, Executive Order 13175 does not apply to this action.
G. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
The EPA interprets Executive Order 13045 as applying only to those
regulatory actions that concern environmental health or safety risks
that the EPA has reason to believe may disproportionately affect
children, per the definition of ``covered regulatory action'' in
section 2-202 of the Executive Order. This action is not subject to
Executive Order 13045 because it does not impose additional
requirements beyond those imposed by state law.
H. Executive Order 13211: Actions That Significantly Affect Energy
Supply, Distribution, or Use
This action is not subject to Executive Order 13211, because it is
not a significant regulatory action under Executive Order 12866.
I. National Technology Transfer and Advancement Act (NTTAA)
Section 12(d) of the NTTAA directs the EPA to use voluntary
consensus standards in its regulatory activities unless to do so would
be inconsistent with applicable law or otherwise impractical. The EPA
believes that this action is not subject to the requirements of section
12(d) of the NTTAA because application of those requirements would be
inconsistent with the CAA.
J. Executive Order 12898: Federal Actions To Address Environmental
Justice in Minority Populations and Low-Income Population
The EPA lacks the discretionary authority to address environmental
justice in this rulemaking.
K. Congressional Review Act (CRA)
This action is subject to the CRA, and the EPA will submit a rule
report to each House of the Congress and to the Comptroller General of
the United States. This action is not a ``major rule'' as defined by 5
U.S.C. 804(2).
L. Petitions for Judicial Review
Under section 307(b)(1) of the Clean Air Act, petitions for
judicial review of this action must be filed in the United States Court
of Appeals for the appropriate circuit by June 13, 2016. Filing a
petition for reconsideration by the Administrator of this final rule
does not affect the finality of this rule for the purposes of judicial
review nor does it extend the time within which a petition for judicial
review may be filed, and shall not postpone the effectiveness of such
rule or action. This action may not be challenged later in proceedings
to enforce its requirements (see section 307(b)(2)).
List of Subjects in 40 CFR Part 52
Environmental protection, Air pollution control, Ammonia,
Incorporation by reference, Intergovernmental relations, Nitrogen
dioxide, Particulate matter, Reporting and recordkeeping requirements,
Sulfur dioxide, Volatile organic compounds.
Authority: 42 U.S.C. 7401 et seq.
Dated: March 15, 2016.
Jared Blumenfeld,
Regional Administrator, EPA Region 9.
Part 52, chapter I, title 40 of the Code of Federal Regulations is
amended as follows:
PART 52--APPROVAL AND PROMULGATION OF IMPLEMENTATION PLANS
0
1. The authority citation for part 52 continues to read as follows:
Authority: 42 U.S.C. 7401 et seq.
[[Page 22032]]
Subpart F--California
0
2. Section 52.220 is amended by adding paragraphs (c)(439)(ii)(B)(5)
and (c)(471) to read as follows:
Sec. 52.220 Identification of plan.
* * * * *
(c) * * *
(439) * * *
(ii) * * *
(B) * * *
(5) The following portions of the Final 2012 Air Quality Management
Plan (December 2012): PM2.5-related portions of chapter 4
(``Control Strategy and Implementation''); Appendix III (``Base and
Future Year Emissions Inventory''); Appendix IV-A (``District's
Stationary Source Control Measures''); and Appendix V (``Modeling and
Attainment Demonstrations''). SCAQMD's commitments to adopt and
implement specific rules and measures in accordance with the schedule
provided in Chapter 4 of the 2012 PM2.5 Plan as modified by
Table F-1 in Attachment F to the 2015 Supplement, to achieve the
emissions reductions shown therein, and to submit these rules and
measures to CARB within 30 days of adoption for transmittal to EPA as a
revision to the SIP, as stated on pp. 7-8 of SCAQMD Governing Board
Resolution 12-19 and modified by SCAQMD Governing Board Resolution 15-
3, excluding all commitments pertaining to control measure IND-01
(Backstop Measures for Indirect Sources of Emissions from Ports and
Port-Related Facilities).
* * * * *
(471) The following plan was submitted on March 4, 2015, by the
Governor's Designee.
(i) [Reserved]
(ii) Additional material.
(A) South Coast Air Quality Management District.
(1) ``2015 Supplement to the 24-Hour PM2.5 State
Implementation Plan for the South Coast Air Basin'' (February 2015),
excluding Attachment C (``New Transportation Conformity Budgets for
2015''). SCAQMD's commitments to adopt and implement specific rules and
measures in accordance with the schedule provided in Chapter 4 of the
2012 PM2.5 Plan as modified by Table F-1 in Attachment F to
the 2015 Supplement, to achieve the emissions reductions shown therein,
and to submit these rules and measures to CARB within 30 days of
adoption for transmittal to EPA as a revision to the SIP, as stated on
pp. 7-8 of SCAQMD Governing Board Resolution 12-19 and modified by
SCAQMD Governing Board Resolution 15-3, excluding all commitments
pertaining to control measure IND-01 (Backstop Measures for Indirect
Sources of Emissions from Ports and Port-Related Facilities).
(2) SCAQMD Governing Board Resolution No. 15-3, dated February 6,
2015.
(B) State of California Air Resources Board.
(1) CARB Resolution 15-2, dated February 19, 2015, ``Minor Revision
to the South Coast Air Basin 2012 PM2.5 State Implementation
Plan.''
0
3. Section 52.237 is amended by adding paragraph (a)(7) to read as
follows:
Sec. 52.237 Part D disapproval.
(a) * * *
(7) The PM2.5-related portions of Appendix VI
(``Reasonably Available Control Measures (RACM) Demonstration'') of the
Final 2012 Air Quality Management Plan (December 2012), and Attachment
D (``Updated RACM/RACT Analysis'') to the 2015 Supplement to the 24-
Hour PM2.5 State Implementation Plan for the South Coast Air
Basin (January 2015).
[FR Doc. 2016-08039 Filed 4-13-16; 8:45 am]
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