Proposed Information Collection Request; Comment Request; Information Collection Effort for Oil and Gas Facilities, 35763-35766 [2016-11967]
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the Clean Water Act, certain research
and development projects, development
and issuance of regulations, EPA actions
involving renovations or new
construction of facilities, and certain
grants awarded for projects authorized
by Congress through the Agency’s
annual Appropriations Act. EPA is
collecting information from certain
applicants as part of the process of
complying with either NEPA or
Executive Order 12114 (‘‘Environmental
Effects Abroad of Major Federal
Actions’’). EPA’s NEPA regulations
apply to the actions of EPA that are
subject to NEPA in order to ensure that
environmental information is available
to the Agency’s decision-makers and the
public before decisions are made and
before actions are taken. When EPA
conducts an environmental assessment
pursuant to its Executive Order 12114
procedures, the Agency generally
follows its NEPA procedures.
Compliance with the procedures is the
responsibility of EPA’s Responsible
Officials, and for applicant proposed
actions applicants may be required to
provide environmental information to
EPA as part of the environmental review
process. For this Information Collection
Request (ICR), applicant-proposed
projects subject to either NEPA or
Executive Order 12114 (and that are not
addressed in other EPA programs’ ICRs)
are addressed through the NEPA
process.
Form Numbers: None.
Respondents/affected entities: Entities
potentially affected by this action are
certain grant or permit applicants who
must submit environmental information
documentation to EPA for their projects
to comply with NEPA or Executive
Order 12114, including Wastewater
Treatment Construction Grants Program
facilities, State and Tribal Assistance
Grant recipients and new source
National Pollutant Discharge
Elimination System permittees.
Respondent’s obligation to respond:
Voluntary.
Estimated number of respondents:
312 (total).
Frequency of response: On occasion.
Total estimated burden: 37,525 hours
(per year). Burden is defined at 5 CFR
1320.03(b).
Total estimated cost: $3,607,085 (per
year), includes $8,452 annualized
capital or operation & maintenance
costs.
Changes in Estimates: The above
estimates are based on information and
data available through the current ICR
supporting documentation. However, it
is anticipated that there will be slight
decrease in hours in the total estimated
respondent burden compared with the
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ICR currently approved by OMB. This
slight decrease is due to changes in the
number of respondents and their
associated EPA actions eligible for
categorical exclusions which results in
a reduction in total hours and burden.
Dated: Tuesday, May 31, 2016.
Karin Leff,
Acting Director, NEPA Compliance Division,
Office of Federal Activities.
[FR Doc. 2016–13153 Filed 6–2–16; 8:45 am]
BILLING CODE 6560–50–P
ENVIRONMENTAL PROTECTION
AGENCY
[EPA–HQ–OAR–2016–0204; FRL–9946–70–
OAR]
Proposed Information Collection
Request; Comment Request;
Information Collection Effort for Oil
and Gas Facilities
Environmental Protection
Agency (EPA).
ACTION: Notice.
AGENCY:
The Environmental Protection
Agency (EPA) is planning to submit an
information collection request (ICR),
‘‘Information Collection Effort for Oil
and Gas Facilities’’ (EPA ICR No.
2548.01, OMB Control No. 2060–NEW)
to the Office of Management and Budget
(OMB) for review and approval in
accordance with the Paperwork
Reduction Act (PRA) (44 U.S.C. 3501 et
seq.). Before doing so, the EPA is
soliciting public comments on specific
aspects of the proposed information
collection as described below. This is a
request for approval of a new collection
of information. 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.
DATES: Comments must be submitted on
or before August 2, 2016.
ADDRESSES: Submit your comments,
referencing Docket ID No. EPA–HQ–
OAR–2016–0204, online using https://
www.regulations.gov (our preferred
method), or by mail to: EPA Docket
Center (EPA/DC), Environmental
Protection Agency, Mail Code 28221T,
1200 Pennsylvania Ave. NW.,
Washington, DC 20460.
EPA’s policy is that all comments
received will be included in the public
docket without change including any
personal information provided, unless
the comment includes profanity, threats,
information claimed to be Confidential
Business Information (CBI) or other
information whose disclosure is
restricted by statute.
SUMMARY:
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Ms.
Brenda Shine, Sector Policies and
Programs Division, Refining and
Chemicals Group (E143–01), Office of
Air Quality Planning and Standards,
Environmental Protection Agency,
Research Triangle Park, NC 27711;
telephone number: (919) 541–3608; fax
number: (919) 541–0246; email address:
shine.brenda@epa.gov.
SUPPLEMENTARY INFORMATION:
Supporting documents which explain in
detail the information that the EPA will
be collecting are available in the public
docket for this notice. The docket can be
viewed online at https://
www.regulations.gov or in person at the
EPA Docket Center (EPA/DC, EPA WJC
West Building, Room 3334, 1301
Constitution Ave. NW., Washington,
DC. The telephone number for the
Docket Center is 202–566–1742. The
telephone number for the public reading
room is 202–566–1744. For additional
information about EPA’s public docket,
visit https://www.epa.gov/dockets.
Pursuant to section 3506(c)(2)(A) of
the PRA, the EPA is soliciting comments
and information to enable it to: (i)
Evaluate whether the proposed
collection of information is necessary
for the proper performance of the
functions of the Agency, including
whether the information will have
practical utility; (ii) evaluate the
accuracy of the Agency’s estimate of the
burden of the proposed collection of
information, including the validity of
the methodology and assumptions used;
(iii) enhance the quality, utility, and
clarity of the information to be
collected; and (iv) minimize the burden
of the collection of information on those
who are to respond, including through
the use of appropriate automated
electronic, mechanical, or other
technological collection techniques or
other forms of information technology,
e.g., permitting electronic submission of
responses. The EPA will consider the
comments received and may amend the
ICR as appropriate. The final ICR
package will then be submitted to OMB
for review and approval. At that time,
the EPA will issue another Federal
Register notice to announce the
submission of the ICR to OMB and the
opportunity to submit additional
comments to OMB.
Abstract: Collectively, oil and gas
facilities are the largest industrial
emitters of methane in the U.S. In
January 2015, as part of the Obama
Administration’s commitment to
addressing climate change, the EPA
outlined a number of steps it plans to
take to address methane and smogforming volatile organic compound
FOR FURTHER INFORMATION CONTACT:
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(VOC) emissions from the oil and gas
industry. Concurrently with this action,
the EPA has promulgated new source
performance standards (NSPS) for the
oil and gas industry to achieve both
methane reductions and additional
reductions in VOCs (40 CFR part 60,
subpart OOOOa). The EPA has also
committed to require standards of
performance for existing oil and gas
sources. Section 111(d) of the Clean Air
Act (CAA), as amended, provides a
cooperative federalism approach to
establishing standards of performance
for existing sources. Under this
approach, the EPA establishes
guidelines that identify the emission
performance states must require their
sources to achieve, and states then
submit plans for EPA review and
approval, which establish standards of
performance that achieve that emissions
performance.
While a great deal of information is
available on the oil and gas industry and
has to date provided a strong technical
foundation to support the Agency’s
recent actions, the EPA is now seeking
more specific information that would be
of critical use in addressing CAA
section 111(d). Taking into account the
large number of sources that a national
regulation development effort would
need to consider, and the potential for
taking a different approach to
addressing co-located existing sources
than was taken with new and modified
sources, the EPA requires information
that will enable the development of
effective standards for this entire
industry under CAA section 111(d). For
new sources, the CAA requires that
standards apply to each new affected
facility upon startup. Conversely,
without information allowing for
development of a pathway for phasing
in standards, existing source standards
will likely apply to all regulated units
at approximately the same time.
Currently there are hundreds of
thousands of pieces of equipment across
the country in all kinds of different
situations and configurations. To
determine how to efficiently and
effectively address emissions from this
volume of sources in a timely, but
administrable manner, we need more
comprehensive information that will
improve our understanding of what
emission controls are being used (and
perhaps shared) in the field, how those
are configured, the difficulty of
replacing or upgrading controls, how
much time will be needed to retrofit,
what the likely costs of retrofitting are,
whether electricity or generating
capacity is available, and how often
sites are staffed or visited. Such
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information will, for example, allow us
to ascertain if there are effective ways
for affected facilities at well sites, or
other co-located facilities, to share
emission controls, how to balance the
level of emission reductions with
administering a program of this size,
and potential phase in opportunities.
Additional information will also
support the Agency’s effort to explore
proposing standards for new and
modified units not currently covered by
NSPS OOOOa. Specifically, before
proposing standards the EPA must
assure that it has adequate information
to determine ‘‘the best system of
emission reduction which (taking into
account the cost of achieving such
reduction and any nonair quality health
and environmental impact and energy
requirement) the Administrator
determines has been adequately
demonstrated,’’ (BSER) as well as the
‘‘degree of emission limitation
achievable through the application of’’
such system. Currently, the EPA collects
information on the greenhouse gas
(GHG) emissions from oil and gas
facilities under 40 CFR part 98, subpart
W, of the Greenhouse Gas Reporting
Program (GHGRP). However, the
GHGRP does not collect information on
design, performance, and costs of
emission controls. Such information is
necessary to evaluate the scope, design,
and potential impact of future standards
of performance for existing oil and gas
facility sources. There are also
differences in the definition of ‘‘facility’’
in the GHGRP for oil and gas production
facilities as compared to the way we
have defined facility under our
regulations. As previously stated, ‘‘the
EPA’s definition of ‘facility’ for
purposes of 40 CFR part 98 in no way
impacts the ‘facility’ definition for
similar sources under existing CAA
programs.’’ 80 FR 64262, 64271.
Additionally, certain states have moved
forward with their own rules and have
developed information needed for their
own purposes, but this information is
not sufficient for a national rulemaking.
Thus, it is necessary to collect specific
information from oil and gas production
facilities both for existing sources and
sources not covered by the standards of
performance for new and modified
sources to understand the number of
affected facilities and to estimate the
facility-level impacts of potentially
implementing existing source standards
of various designs.
There will be two parts to the
information collection. Part 1, referred
to as the operator survey, is specifically
designed to obtain information from
onshore oil and gas production facilities
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to better understand the number and
types of equipment at production
facilities. Part 1 seeks to collect facilitylevel information (e.g., facility name,
location, contact information, and
number of wells, tanks, and
compressors) using the definition of
facility commonly employed when
permitting new and existing sources
(i.e., all buildings, equipment,
structures, and other stationary
equipment that are located on one or
more contiguous or adjacent properties
and that are under common ownership
or control). Part 1 will be sent to all
known operators of oil and gas
production wells and will allow the
Agency to obtain the information
necessary to identify and categorize all
potentially affected oil and gas
production facilities. The operators will
complete the Part 1 survey, including
providing equipment counts for all
production facilities that they operate
with the exception of facilities selected
to complete Part 2. Part 1 is not
expected to contain any CBI. This
operator survey may be submitted either
electronically or through hard copy
responses. The submission requires the
owner or operator to certify that the
information being provided is accurate
and complete.
Part 2, referred to as the detailed
facility survey, will be sent to selected
oil and gas facilities across the different
industry segments. Specifically, these
industry segments include onshore
production, gathering and boosting,
processing, compression/transmission,
pipeline, natural gas storage, and
liquefied natural gas (LNG) storage and
import/export facilities. This ICR will
not collect information from offshore
production facilities or from local
natural gas distribution facilities. Due to
the large number of potentially affected
facilities, Part 2 uses a statistical
sampling method considering each
industry segment (and groupings of
facilities in the production segment) to
be separate sampling populations. Thus,
a statistically significant number of
facilities within each industry segment
(or ‘‘population’’) will be required to
complete the Part 2 detailed facility
survey.
Developing an appropriate sampling
size for the onshore production industry
is complicated by the number of factors
that could impact the types of processes
or equipment present at the site and the
magnitude of emissions from these
sources. Therefore, the Agency
considered further stratification of the
production industry segment into
separate populations based on
differences in the type of well (oil or
natural gas, vertical or horizontal
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drilling, or further distinctions based on
gas-to-oil ratio), the type of formation,
and the production basin. At this time,
the Agency has limited information on
means to characterize individual
facilities or wells by formation type or
well drilling type (vertical versus
horizontal wells). However, the Agency
does have estimates of the number of
wells in a given basin and has estimates
of the gas-to-oil ratio (GOR), from which
we designate well type for nearly all
wells. Therefore, the Agency considered
two options for establishing different
populations within the production
segment: Option 1, which is based on
the well type using GOR ranges, and
Option 2, which is based on regional
groupings of basins.
Option 1, which considers
populations based on well types,
defines the following five populations
based on GOR:
1. Heavy Oil (GOR ≤ 300 standard cubic
feet per barrel, scf/bbl)
2. Light Oil (300 < GOR ≤ 100,000 scf/
bbl)
3. Wet Gas (100,000 < GOR ≤ 1,000,000
scf/bbl)
4. Dry Gas (GOR > 1,000,000 scf/bbl)
5. Coal Bed Methane
Most of these well type categories
have historical significance, such as the
GOR of 300 scf/bbl included in the
applicability of the Oil and Gas NSPS
requirements for well completions (40
CFR part 60, subpart OOOOa) and the
GOR of 100,000 scf/bbl delineation
between oil and gas wells used in the
U.S. Emissions Inventory for GHG
Sources and Sinks. The delineation
between ‘‘wet’’ and ‘‘dry’’ gas wells was
developed for this ICR to gain
information on ‘‘wet’’ gas wells because
these gas wells have been found to have
higher VOC content and, as such, are of
particular interest in this information
collection effort.
Option 2, which considers regional
groupings of basins, defines the
following five populations based on
basins (geological provinces) defined by
the American Association of Petroleum
Geologists:
1. East: Basins 100 to 190
2. South: Basins 200 to 290 and Basin
400
3. Midwest: Basins 300 to 395
4. West Texas: Basins 405 to 440
5. West: Basins 445 to 895
Option 1 (populations based on well
type) will ensure that a statistically
significant number of each well type is
sampled. This is important because
there are fewer wet gas wells and coal
bed methane gas wells than heavy oil,
light oil, or dry gas wells. However,
because of the differences in the number
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of wells within each population,
analyses using the data must use these
classifications (or weighting factors) to
develop nationwide assessments. The
regional populations are more similar to
each other in terms of the number of
wells in each region, but weighting
factors would still be required to
perform nationwide assessments
separate from these defined regions.
Based on a desire to have no more
than a 10-percent error (i.e., +/¥10
percent) in the estimate of an average
value at a 95-percent confidence
interval and 90-percent power to
differentiate an effect size of 0.2, the
target number of samples required for
large populations was determined to be
385 (additional detail regarding the
determination of the target sample size
using the statistical sampling approach
is provided in Part B of the Supporting
Statement for this ICR, which is
included in Docket ID No. EPA–HQ–
OAR–2016–0204 at https://
www.regulations.gov). Consequently,
because the number of production
facilities in each population is relatively
large compared to the target sample size,
the overall costs of the two survey
options for production facilities are
nearly identical. We are specifically
requesting comment on these two
options for developing population
categories within the production
industry. We recognize that other
alternatives may be viable, such as
defining the entire production industry
as one population and developing
sampling requirements based on the
accuracy and precision needed to
characterize any subcategory of the
production population that represents,
for example, 20 percent of the total
production wells. In this example, 1,925
(5 × 385) samples from the production
population would be required. All
respondents would have equal weight,
so analyses could be conducted without
having to consider weighting factors,
but analyses for categories of wells with
less than 20 percent of the population
would have less accuracy and precision.
As there are many potential factors to
consider for the production population,
we also request comment on other
potential methods to define populations
of production wells in order to
adequately characterize the various
potentially important differences in
production facilities.
Part 2 will collect detailed unitspecific information on emission
sources at the facility and any emission
control devices or management
practices used to reduce emissions.
Most of the information requested under
Part 2 is expected to be available from
company records and would not require
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35765
additional measurements to be
performed. However, selected data
elements must be completed based on
actual component equipment counts
(specifically, pneumatic device counts
and equipment leak component counts)
or measurement data (specifically,
separator/storage vessel flash analyses).
If this information is not directly
available for a facility, the respondent
will be required to collect and report
this information (count equipment
components and/or sample and analyze
tank feed streams) as part of this
information collection. Part 2 is
expected to include information that oil
and gas facilities consider to be
confidential and the survey must be
completed and submitted electronically
via the EPA’s Electronic Greenhouse
Gas Reporting Tool (e-GGRT).
The data collected throughout this
process will be used to determine the
number of potentially affected emission
sources and the types and prevalence of
emission controls or emission reduction
measures used for these sources at
existing oil and gas facilities, among
other purposes. This information may
also be used to fill data gaps, to evaluate
the emission and cost impacts of various
regulatory options, and to establish
appropriate standards of performance
for oil and gas facilities.
If OMB approves this ICR,
respondents will be required to respond
under the authority of section 114 of the
CAA. The EPA anticipates issuing the
CAA section 114 letters by October 30,
2016. These letters would require the
owner/operator of an oil and gas facility
to complete the Part 1 survey within 30
days of receipt of the survey, and would
require facilities to complete the Part 2
survey with 120 days of receipt.
The Agency has reviewed the draft
surveys applying the confidentiality
determination methods established for
data reporting under the GHGRP as a
model, as well as the policy notice
entitled ‘‘Disclosure of Emission Data
Claimed as Confidential Under Sections
110 and 114(c) of the Clean Air Act (56
FR 7042, February 21, 1991.) The EPA
has developed proposed determinations
of the data elements in the surveys that
may be considered CBI. These proposed
determinations are included in the
information being supplied for public
review and comment in Docket ID No.
EPA–HQ–OAR–2016–0204 at https://
www.regulations.gov. Confidentiality
designations will be made according to
the provisions set forth in title 40, Code
of Regulations part 2, subpart B—
Confidentiality of Business Information.
Any information subsequently
determined to constitute a trade secret
will be protected under 18 U.S.C. 1905.
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Form Numbers: Production Operator
Survey (Part 1); Detailed Facility Survey
(Part 2).
Respondents/affected entities:
Respondents affected by this action are
owners/operators of oil and natural gas
facilities. Part 1 of this ICR is
specifically requesting information for
facilities in the onshore petroleum and
natural gas production industry
segment. Part 2 of this ICR is
specifically requesting information for
facilities in the following industry
segments: Onshore petroleum and
natural gas production, onshore
petroleum and natural gas gathering and
boosting, onshore natural gas
processing, onshore natural gas
transmission compression, onshore
natural gas transmission pipelines,
underground natural gas storage, LNG
storage and LNG import and export
equipment. The ICR is not requesting
information for the offshore petroleum
and natural gas production industry
segment or from the natural gas (local)
distribution industry segment.
Respondent’s obligation to respond:
The information collection in Parts 1
and 2 is being conducted by the EPA’s
Office of Air and Radiation pursuant to
section 114 of the CAA, to assist the
Administrator of the EPA in developing
emissions standards for oil and natural
gas facilities pursuant to the CAA.
Estimated number of respondents:
The estimated number of respondents
for Part 1 is 22,500 operators
representing approximately 698,800
facilities (total). The estimated number
of respondents for Part 2 is 3,385.
Frequency of response: This is a onetime survey.
Total estimated burden: The
estimated industry burden is 116,438
hours for Part 1 and 111,485 hours for
Part 2. Therefore, the cumulative
industry burden for all parts of this ICR
is estimated to be 227,923 hours. The
estimated cumulative Agency burden to
administer this ICR (all parts) is 17,947
hours. Burden is defined at 5 CFR
1320.03(b).
Total estimated cost: The estimated
costs for the oil and natural gas industry
is $16,476,182 for Part 1 and
$23,673,312 for Part 2. The resulting
total industry costs for all parts of this
ICR is estimated to be $40,149,494,
which includes $11,302,500 in
operating and maintenance (O&M) costs
to cover mailing hard copies of Part 1
responses and contracting services for
storage vessel feed material flashing
analyses as part of Part 2 responses. The
estimated cumulative Agency costs to
administer this ICR (all parts) is
$960,793, which includes $144,618 in
O&M costs to send certified CAA
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section 114 letters to all respondents
selected for Part 1 and Part 2 surveys
with electronic return receipt.
Changes in Estimates: This is a new
ICR, so this section does not apply.
Dated: May 12, 2016.
Peter Tsirigotis,
Director, Sector Policies and Programs
Division, Office of Air Quality Planning and
Standards.
www.epa.gov/dockets/contacts.html.
Additional instructions on commenting
or visiting the docket, along with more
information about dockets generally, is
available at https://www.epa.gov/
dockets.
FOR FURTHER INFORMATION CONTACT:
ENVIRONMENTAL PROTECTION
AGENCY
Nikhil Mallampalli, Biological and
Economic Analysis Division (7503P),
Office of Pesticide Programs,
Environmental Protection Agency, 1200
Pennsylvania Ave. NW., Washington,
DC 20460–0001; telephone number:
(703) 308–1924; email address:
mallampalli.nikhil@epa.gov.
SUPPLEMENTARY INFORMATION:
[EPA–HQ–OPP–2016–0242; FRL–9946–52]
I. General Information
Pesticides; Draft Guidance for
Pesticide Registrants on Pesticide
Resistance Management Labeling
A. Does this action apply to me?
[FR Doc. 2016–11967 Filed 6–2–16; 8:45 am]
BILLING CODE 6560–50–P
Environmental Protection
Agency (EPA).
ACTION: Notice of availability.
AGENCY:
The Agency is announcing
the availability of and seeking public
comment on a draft Pesticide
Registration Notice (PR Notice) entitled
‘‘Guidance for Pesticide Registrants on
Pesticide Resistance Management
Labeling.’’ PR Notices are issued by the
Office of Pesticide Programs (OPP) to
inform pesticide registrants and other
interested persons about important
policies, procedures, and registration
related decisions, and serve to provide
guidance to pesticide registrants and
OPP personnel. This draft PR Notice
provides guidance for registrants to
follow when developing resistance
management information to include on
their pesticide labels. This draft PR
Notice would update the guidance in PR
Notice 2001–5.
DATES: Comments must be received on
or before August 2, 2016.
ADDRESSES: Submit your comments,
identified by docket identification (ID)
number EPA–HQ–OPP–2016–0242, by
one of the following methods:
• Federal eRulemaking Portal: https://
www.regulations.gov. Follow the online
instructions for submitting comments.
Do not submit electronically any
information you consider to be
Confidential Business Information (CBI)
or other information whose disclosure is
restricted by statute.
• Mail: OPP Docket, Environmental
Protection Agency Docket Center (EPA/
DC), (28221T), 1200 Pennsylvania Ave.
NW., Washington, DC 20460–0001.
• Hand Delivery: To make special
arrangements for hand delivery or
delivery of boxed information, please
follow the instructions at https://
SUMMARY:
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This action is directed to the public
in general. Although this action may be
of particular interest to those persons
who are required to submit data under
the Federal Insecticide, Fungicide, and
Rodenticide Act (FIFRA) or are required
to register pesticides. Since other
entities may also be interested, the
Agency has not attempted to describe all
the specific entities that may be affected
by this action.
B. What should I consider as I prepare
my comments for EPA?
1. Submitting CBI. Do not submit this
information to EPA through
regulations.gov or email. Clearly mark
the part or all of the information that
you claim to be CBI. For CBI
information in a disk or CD–ROM that
you mail to EPA, mark the outside of the
disk or CD–ROM as CBI and then
identify electronically within the disk or
CD–ROM the specific information that
is claimed as CBI. In addition to one
complete version of the comment that
includes information claimed as CBI, a
copy of the comment that does not
contain the information claimed as CBI
must be submitted for inclusion in the
public docket. Information so marked
will not be disclosed except in
accordance with procedures set forth in
40 CFR part 2.
2. Tips for preparing your comments.
When preparing and submitting your
comments, see the commenting tips at
https://www.epa.gov/dockets/
comments.html.
C. How can I get copies of this
document and other related
information?
A copy of the draft PR Notice
‘‘Guidance for Pesticide Registrants on
Pesticide Resistance Management
Labeling’’ and any related or supporting
information are available in the docket
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Agencies
[Federal Register Volume 81, Number 107 (Friday, June 3, 2016)]
[Notices]
[Pages 35763-35766]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2016-11967]
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ENVIRONMENTAL PROTECTION AGENCY
[EPA-HQ-OAR-2016-0204; FRL-9946-70-OAR]
Proposed Information Collection Request; Comment Request;
Information Collection Effort for Oil and Gas Facilities
AGENCY: Environmental Protection Agency (EPA).
ACTION: Notice.
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SUMMARY: The Environmental Protection Agency (EPA) is planning to
submit an information collection request (ICR), ``Information
Collection Effort for Oil and Gas Facilities'' (EPA ICR No. 2548.01,
OMB Control No. 2060-NEW) to the Office of Management and Budget (OMB)
for review and approval in accordance with the Paperwork Reduction Act
(PRA) (44 U.S.C. 3501 et seq.). Before doing so, the EPA is soliciting
public comments on specific aspects of the proposed information
collection as described below. This is a request for approval of a new
collection of information. 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.
DATES: Comments must be submitted on or before August 2, 2016.
ADDRESSES: Submit your comments, referencing Docket ID No. EPA-HQ-OAR-
2016-0204, online using https://www.regulations.gov (our preferred
method), or by mail to: EPA Docket Center (EPA/DC), Environmental
Protection Agency, Mail Code 28221T, 1200 Pennsylvania Ave. NW.,
Washington, DC 20460.
EPA's policy is that all comments received will be included in the
public docket without change including any personal information
provided, unless the comment includes profanity, threats, information
claimed to be Confidential Business Information (CBI) or other
information whose disclosure is restricted by statute.
FOR FURTHER INFORMATION CONTACT: Ms. Brenda Shine, Sector Policies and
Programs Division, Refining and Chemicals Group (E143-01), Office of
Air Quality Planning and Standards, Environmental Protection Agency,
Research Triangle Park, NC 27711; telephone number: (919) 541-3608; fax
number: (919) 541-0246; email address: shine.brenda@epa.gov.
SUPPLEMENTARY INFORMATION: Supporting documents which explain in detail
the information that the EPA will be collecting are available in the
public docket for this notice. The docket can be viewed online at
https://www.regulations.gov or in person at the EPA Docket Center (EPA/
DC, EPA WJC West Building, Room 3334, 1301 Constitution Ave. NW.,
Washington, DC. The telephone number for the Docket Center is 202-566-
1742. The telephone number for the public reading room is 202-566-1744.
For additional information about EPA's public docket, visit https://www.epa.gov/dockets.
Pursuant to section 3506(c)(2)(A) of the PRA, the EPA is soliciting
comments and information to enable it to: (i) Evaluate whether the
proposed collection of information is necessary for the proper
performance of the functions of the Agency, including whether the
information will have practical utility; (ii) evaluate the accuracy of
the Agency's estimate of the burden of the proposed collection of
information, including the validity of the methodology and assumptions
used; (iii) enhance the quality, utility, and clarity of the
information to be collected; and (iv) minimize the burden of the
collection of information on those who are to respond, including
through the use of appropriate automated electronic, mechanical, or
other technological collection techniques or other forms of information
technology, e.g., permitting electronic submission of responses. The
EPA will consider the comments received and may amend the ICR as
appropriate. The final ICR package will then be submitted to OMB for
review and approval. At that time, the EPA will issue another Federal
Register notice to announce the submission of the ICR to OMB and the
opportunity to submit additional comments to OMB.
Abstract: Collectively, oil and gas facilities are the largest
industrial emitters of methane in the U.S. In January 2015, as part of
the Obama Administration's commitment to addressing climate change, the
EPA outlined a number of steps it plans to take to address methane and
smog-forming volatile organic compound
[[Page 35764]]
(VOC) emissions from the oil and gas industry. Concurrently with this
action, the EPA has promulgated new source performance standards (NSPS)
for the oil and gas industry to achieve both methane reductions and
additional reductions in VOCs (40 CFR part 60, subpart OOOOa). The EPA
has also committed to require standards of performance for existing oil
and gas sources. Section 111(d) of the Clean Air Act (CAA), as amended,
provides a cooperative federalism approach to establishing standards of
performance for existing sources. Under this approach, the EPA
establishes guidelines that identify the emission performance states
must require their sources to achieve, and states then submit plans for
EPA review and approval, which establish standards of performance that
achieve that emissions performance.
While a great deal of information is available on the oil and gas
industry and has to date provided a strong technical foundation to
support the Agency's recent actions, the EPA is now seeking more
specific information that would be of critical use in addressing CAA
section 111(d). Taking into account the large number of sources that a
national regulation development effort would need to consider, and the
potential for taking a different approach to addressing co-located
existing sources than was taken with new and modified sources, the EPA
requires information that will enable the development of effective
standards for this entire industry under CAA section 111(d). For new
sources, the CAA requires that standards apply to each new affected
facility upon startup. Conversely, without information allowing for
development of a pathway for phasing in standards, existing source
standards will likely apply to all regulated units at approximately the
same time. Currently there are hundreds of thousands of pieces of
equipment across the country in all kinds of different situations and
configurations. To determine how to efficiently and effectively address
emissions from this volume of sources in a timely, but administrable
manner, we need more comprehensive information that will improve our
understanding of what emission controls are being used (and perhaps
shared) in the field, how those are configured, the difficulty of
replacing or upgrading controls, how much time will be needed to
retrofit, what the likely costs of retrofitting are, whether
electricity or generating capacity is available, and how often sites
are staffed or visited. Such information will, for example, allow us to
ascertain if there are effective ways for affected facilities at well
sites, or other co-located facilities, to share emission controls, how
to balance the level of emission reductions with administering a
program of this size, and potential phase in opportunities. Additional
information will also support the Agency's effort to explore proposing
standards for new and modified units not currently covered by NSPS
OOOOa. Specifically, before proposing standards the EPA must assure
that it has adequate information to determine ``the best system of
emission reduction which (taking into account the cost of achieving
such reduction and any nonair quality health and environmental impact
and energy requirement) the Administrator determines has been
adequately demonstrated,'' (BSER) as well as the ``degree of emission
limitation achievable through the application of'' such system.
Currently, the EPA collects information on the greenhouse gas (GHG)
emissions from oil and gas facilities under 40 CFR part 98, subpart W,
of the Greenhouse Gas Reporting Program (GHGRP). However, the GHGRP
does not collect information on design, performance, and costs of
emission controls. Such information is necessary to evaluate the scope,
design, and potential impact of future standards of performance for
existing oil and gas facility sources. There are also differences in
the definition of ``facility'' in the GHGRP for oil and gas production
facilities as compared to the way we have defined facility under our
regulations. As previously stated, ``the EPA's definition of `facility'
for purposes of 40 CFR part 98 in no way impacts the `facility'
definition for similar sources under existing CAA programs.'' 80 FR
64262, 64271. Additionally, certain states have moved forward with
their own rules and have developed information needed for their own
purposes, but this information is not sufficient for a national
rulemaking. Thus, it is necessary to collect specific information from
oil and gas production facilities both for existing sources and sources
not covered by the standards of performance for new and modified
sources to understand the number of affected facilities and to estimate
the facility-level impacts of potentially implementing existing source
standards of various designs.
There will be two parts to the information collection. Part 1,
referred to as the operator survey, is specifically designed to obtain
information from onshore oil and gas production facilities to better
understand the number and types of equipment at production facilities.
Part 1 seeks to collect facility-level information (e.g., facility
name, location, contact information, and number of wells, tanks, and
compressors) using the definition of facility commonly employed when
permitting new and existing sources (i.e., all buildings, equipment,
structures, and other stationary equipment that are located on one or
more contiguous or adjacent properties and that are under common
ownership or control). Part 1 will be sent to all known operators of
oil and gas production wells and will allow the Agency to obtain the
information necessary to identify and categorize all potentially
affected oil and gas production facilities. The operators will complete
the Part 1 survey, including providing equipment counts for all
production facilities that they operate with the exception of
facilities selected to complete Part 2. Part 1 is not expected to
contain any CBI. This operator survey may be submitted either
electronically or through hard copy responses. The submission requires
the owner or operator to certify that the information being provided is
accurate and complete.
Part 2, referred to as the detailed facility survey, will be sent
to selected oil and gas facilities across the different industry
segments. Specifically, these industry segments include onshore
production, gathering and boosting, processing, compression/
transmission, pipeline, natural gas storage, and liquefied natural gas
(LNG) storage and import/export facilities. This ICR will not collect
information from offshore production facilities or from local natural
gas distribution facilities. Due to the large number of potentially
affected facilities, Part 2 uses a statistical sampling method
considering each industry segment (and groupings of facilities in the
production segment) to be separate sampling populations. Thus, a
statistically significant number of facilities within each industry
segment (or ``population'') will be required to complete the Part 2
detailed facility survey.
Developing an appropriate sampling size for the onshore production
industry is complicated by the number of factors that could impact the
types of processes or equipment present at the site and the magnitude
of emissions from these sources. Therefore, the Agency considered
further stratification of the production industry segment into separate
populations based on differences in the type of well (oil or natural
gas, vertical or horizontal
[[Page 35765]]
drilling, or further distinctions based on gas-to-oil ratio), the type
of formation, and the production basin. At this time, the Agency has
limited information on means to characterize individual facilities or
wells by formation type or well drilling type (vertical versus
horizontal wells). However, the Agency does have estimates of the
number of wells in a given basin and has estimates of the gas-to-oil
ratio (GOR), from which we designate well type for nearly all wells.
Therefore, the Agency considered two options for establishing different
populations within the production segment: Option 1, which is based on
the well type using GOR ranges, and Option 2, which is based on
regional groupings of basins.
Option 1, which considers populations based on well types, defines
the following five populations based on GOR:
1. Heavy Oil (GOR <= 300 standard cubic feet per barrel, scf/bbl)
2. Light Oil (300 < GOR <= 100,000 scf/bbl)
3. Wet Gas (100,000 < GOR <= 1,000,000 scf/bbl)
4. Dry Gas (GOR > 1,000,000 scf/bbl)
5. Coal Bed Methane
Most of these well type categories have historical significance,
such as the GOR of 300 scf/bbl included in the applicability of the Oil
and Gas NSPS requirements for well completions (40 CFR part 60, subpart
OOOOa) and the GOR of 100,000 scf/bbl delineation between oil and gas
wells used in the U.S. Emissions Inventory for GHG Sources and Sinks.
The delineation between ``wet'' and ``dry'' gas wells was developed for
this ICR to gain information on ``wet'' gas wells because these gas
wells have been found to have higher VOC content and, as such, are of
particular interest in this information collection effort.
Option 2, which considers regional groupings of basins, defines the
following five populations based on basins (geological provinces)
defined by the American Association of Petroleum Geologists:
1. East: Basins 100 to 190
2. South: Basins 200 to 290 and Basin 400
3. Midwest: Basins 300 to 395
4. West Texas: Basins 405 to 440
5. West: Basins 445 to 895
Option 1 (populations based on well type) will ensure that a
statistically significant number of each well type is sampled. This is
important because there are fewer wet gas wells and coal bed methane
gas wells than heavy oil, light oil, or dry gas wells. However, because
of the differences in the number of wells within each population,
analyses using the data must use these classifications (or weighting
factors) to develop nationwide assessments. The regional populations
are more similar to each other in terms of the number of wells in each
region, but weighting factors would still be required to perform
nationwide assessments separate from these defined regions.
Based on a desire to have no more than a 10-percent error (i.e., +/
-10 percent) in the estimate of an average value at a 95-percent
confidence interval and 90-percent power to differentiate an effect
size of 0.2, the target number of samples required for large
populations was determined to be 385 (additional detail regarding the
determination of the target sample size using the statistical sampling
approach is provided in Part B of the Supporting Statement for this
ICR, which is included in Docket ID No. EPA-HQ-OAR-2016-0204 at https://www.regulations.gov). Consequently, because the number of production
facilities in each population is relatively large compared to the
target sample size, the overall costs of the two survey options for
production facilities are nearly identical. We are specifically
requesting comment on these two options for developing population
categories within the production industry. We recognize that other
alternatives may be viable, such as defining the entire production
industry as one population and developing sampling requirements based
on the accuracy and precision needed to characterize any subcategory of
the production population that represents, for example, 20 percent of
the total production wells. In this example, 1,925 (5 x 385) samples
from the production population would be required. All respondents would
have equal weight, so analyses could be conducted without having to
consider weighting factors, but analyses for categories of wells with
less than 20 percent of the population would have less accuracy and
precision. As there are many potential factors to consider for the
production population, we also request comment on other potential
methods to define populations of production wells in order to
adequately characterize the various potentially important differences
in production facilities.
Part 2 will collect detailed unit-specific information on emission
sources at the facility and any emission control devices or management
practices used to reduce emissions. Most of the information requested
under Part 2 is expected to be available from company records and would
not require additional measurements to be performed. However, selected
data elements must be completed based on actual component equipment
counts (specifically, pneumatic device counts and equipment leak
component counts) or measurement data (specifically, separator/storage
vessel flash analyses). If this information is not directly available
for a facility, the respondent will be required to collect and report
this information (count equipment components and/or sample and analyze
tank feed streams) as part of this information collection. Part 2 is
expected to include information that oil and gas facilities consider to
be confidential and the survey must be completed and submitted
electronically via the EPA's Electronic Greenhouse Gas Reporting Tool
(e-GGRT).
The data collected throughout this process will be used to
determine the number of potentially affected emission sources and the
types and prevalence of emission controls or emission reduction
measures used for these sources at existing oil and gas facilities,
among other purposes. This information may also be used to fill data
gaps, to evaluate the emission and cost impacts of various regulatory
options, and to establish appropriate standards of performance for oil
and gas facilities.
If OMB approves this ICR, respondents will be required to respond
under the authority of section 114 of the CAA. The EPA anticipates
issuing the CAA section 114 letters by October 30, 2016. These letters
would require the owner/operator of an oil and gas facility to complete
the Part 1 survey within 30 days of receipt of the survey, and would
require facilities to complete the Part 2 survey with 120 days of
receipt.
The Agency has reviewed the draft surveys applying the
confidentiality determination methods established for data reporting
under the GHGRP as a model, as well as the policy notice entitled
``Disclosure of Emission Data Claimed as Confidential Under Sections
110 and 114(c) of the Clean Air Act (56 FR 7042, February 21, 1991.)
The EPA has developed proposed determinations of the data elements in
the surveys that may be considered CBI. These proposed determinations
are included in the information being supplied for public review and
comment in Docket ID No. EPA-HQ-OAR-2016-0204 at https://www.regulations.gov. Confidentiality designations will be made
according to the provisions set forth in title 40, Code of Regulations
part 2, subpart B--Confidentiality of Business Information. Any
information subsequently determined to constitute a trade secret will
be protected under 18 U.S.C. 1905.
[[Page 35766]]
Form Numbers: Production Operator Survey (Part 1); Detailed
Facility Survey (Part 2).
Respondents/affected entities: Respondents affected by this action
are owners/operators of oil and natural gas facilities. Part 1 of this
ICR is specifically requesting information for facilities in the
onshore petroleum and natural gas production industry segment. Part 2
of this ICR is specifically requesting information for facilities in
the following industry segments: Onshore petroleum and natural gas
production, onshore petroleum and natural gas gathering and boosting,
onshore natural gas processing, onshore natural gas transmission
compression, onshore natural gas transmission pipelines, underground
natural gas storage, LNG storage and LNG import and export equipment.
The ICR is not requesting information for the offshore petroleum and
natural gas production industry segment or from the natural gas (local)
distribution industry segment.
Respondent's obligation to respond: The information collection in
Parts 1 and 2 is being conducted by the EPA's Office of Air and
Radiation pursuant to section 114 of the CAA, to assist the
Administrator of the EPA in developing emissions standards for oil and
natural gas facilities pursuant to the CAA.
Estimated number of respondents: The estimated number of
respondents for Part 1 is 22,500 operators representing approximately
698,800 facilities (total). The estimated number of respondents for
Part 2 is 3,385.
Frequency of response: This is a one-time survey.
Total estimated burden: The estimated industry burden is 116,438
hours for Part 1 and 111,485 hours for Part 2. Therefore, the
cumulative industry burden for all parts of this ICR is estimated to be
227,923 hours. The estimated cumulative Agency burden to administer
this ICR (all parts) is 17,947 hours. Burden is defined at 5 CFR
1320.03(b).
Total estimated cost: The estimated costs for the oil and natural
gas industry is $16,476,182 for Part 1 and $23,673,312 for Part 2. The
resulting total industry costs for all parts of this ICR is estimated
to be $40,149,494, which includes $11,302,500 in operating and
maintenance (O&M) costs to cover mailing hard copies of Part 1
responses and contracting services for storage vessel feed material
flashing analyses as part of Part 2 responses. The estimated cumulative
Agency costs to administer this ICR (all parts) is $960,793, which
includes $144,618 in O&M costs to send certified CAA section 114
letters to all respondents selected for Part 1 and Part 2 surveys with
electronic return receipt.
Changes in Estimates: This is a new ICR, so this section does not
apply.
Dated: May 12, 2016.
Peter Tsirigotis,
Director, Sector Policies and Programs Division, Office of Air Quality
Planning and Standards.
[FR Doc. 2016-11967 Filed 6-2-16; 8:45 am]
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