Air Plan Approval; CT; NOX, 38999-39001 [2016-14100]
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Federal Register / Vol. 81, No. 115 / Wednesday, June 15, 2016 / Proposed Rules
health or environmental effects, using
practicable and legally permissible
methods, under Executive Order 12898
(59 FR 7629, February 16, 1994).
In addition, this proposed rule,
regarding the Philadelphia RACT
requirements under the 1997 8-hour
ozone NAAQS, does not have tribal
implications as specified by Executive
Order 13175 (65 FR 67249, November 9,
2000), because the SIP is not approved
to apply in Indian country located in the
state, and EPA notes that it will not
impose substantial direct costs on tribal
governments or preempt tribal law.
List of Subjects in 40 CFR Part 52
Environmental protection, Air
pollution control, Incorporation by
reference, Nitrogen dioxide, Ozone,
Reporting and recordkeeping
requirements, Volatile organic
compounds.
Authority: 42 U.S.C. 7401 et seq.
Dated: June 3, 2016.
Shawn M. Garvin,
Regional Administrator, Region III.
[FR Doc. 2016–14102 Filed 6–14–16; 8:45 am]
BILLING CODE 6560–50–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 52
[EPA–R01–OAR–2015–0238, FRL–9947–68Region 1]
Air Plan Approval; CT; NOX Emission
Trading Orders as Single Source SIP
Revisions
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
The Environmental Protection
Agency (EPA) is proposing to approve a
State Implementation Plan (SIP)
revision submitted by the State of
Connecticut. This revision continues to
allow facilities to create and/or use
emission credits using NOX Emission
Trading and Agreement Orders (TAOs)
to comply with the NOX emission limits
required by Regulations of Connecticut
State Agencies (RCSA) section 22a–174–
22 (Control of Nitrogen Oxides). The
intended effect of this action is to
propose approval of the individual
trading orders to allow facilities to
determine the most cost-effective way to
comply with the state regulation. This
action is being taken in accordance with
the Clean Air Act (CAA).
DATES: Written comments must be
received on or before July 15, 2016.
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SUMMARY:
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Submit your comments,
identified by Docket ID Number EPA–
R01–OAR–2015–0238 at https://
www.regulations.gov, or via email to
Dahl.Donald@epa.gov. For comments
submitted at Regulations.gov, follow the
online instructions for submitting
comments. Once submitted, comments
cannot be edited or removed from
Regulations.gov. For either manner of
submission, the EPA may publish any
comment received to its public docket.
Do not submit electronically any
information you consider to be
Confidential Business Information (CBI)
or other information whose disclosure is
restricted by statute. Multimedia
submissions (audio, video, etc.) must be
accompanied by a written comment.
The written comment is considered the
official comment and should include
discussion of all points you wish to
make. The EPA will generally not
consider comments or comment
contents located outside of the primary
submission (i.e. on the web, cloud, or
other file sharing system). For
additional submission methods, please
contact the person identified in the FOR
FURTHER INFORMATION CONTACT section.
For the full EPA public comment policy,
information about CBI or multimedia
submissions, and general guidance on
making effective comments, please visit
https://www2.epa.gov/dockets/
commenting-epa-dockets.
FOR FURTHER INFORMATION CONTACT:
Donald Dahl, Air Permits, Toxics, and
Indoor Programs Unit, Office of
Ecosystem Protection, U.S.
Environmental Protection Agency, EPA
New England Regional Office, 5 Post
Office Square, Suite 100, (OEP05–2),
Boston, MA 02109–3912, phone number
(617) 918–1657, fax number (617) 918–
0657, email Dahl.Donald@epa.gov.
SUPPLEMENTARY INFORMATION:
Throughout this document whenever
‘‘we,’’ ‘‘us,’’ or ‘‘our’’ is used, we mean
EPA.
ADDRESSES:
Table of Contents
I. Background and Purpose.
II. Analysis of State Submission
III. Proposed Action
IV. Statutory and Executive Order Reviews
I. Background and Purpose
On November 15, 2011, the
Connecticut Department of Energy and
Environmental Protection (CT DEEP)
submitted a formal revision to its State
Implementation Plan (SIP). This SIP
revision consists of eighty-nine sourcespecific Trading Agreement and Orders
(TAOs) that allow twenty-four
individual stationary sources of nitrogen
oxide (NOX) emissions to create and/or
trade NOX emission credits in order to
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38999
ensure more effective compliance with
EPA SIP-approved state regulations for
reducing NOX emissions. We previously
approved source-specific TAOs of the
same kind issued by CT DEEP under
this program for these same sources on
September 28, 1999 (64 FR 52233),
March 23, 2001 (66 FR 16135), and
September 9, 2013 (78 FR 54962). The
SIP submittal also includes Consent
Order 8029A issued to Hamilton
Sundstrand which addresses Volatile
Organic Compound (VOC) emissions.
In our September 9, 2013 approval,
EPA acted on most of the TAOs
contained in CT DEEP’s July 1, 2004 SIP
revision submission to EPA. At that
time, EPA did not act on (1) TAO 8021
issued to Pfizer; (2) TAO 8246 issued to
Sikorsky Aircraft; (3) TAO 8110A issued
to Yale University; and (4) Consent
Order 7019A issued to Hamilton
Sundstrand Corporation. On May 29,
2015, CT DEEP revised its July 1, 2004
SIP revision submittal to EPA by
modifying TAO 8110A. Today we are
acting on the modified version of TAO
8110A. EPA will take action on TAOs
8246 and 8021 at a future date. Lastly,
on April 22, 2014 the CT DEEP
withdrew Consent Order 7019A from
the 2004 SIP submittal.
The CAA requires states to develop
Reasonably Available Control
Technology (RACT) regulations for all
major stationary sources of NOX in areas
which have been classified as
‘‘moderate,’’ ‘‘serious,’’ ‘‘severe,’’ and
‘‘extreme’’ as well as in all areas of the
Ozone Transport Region (OTR). EPA has
defined RACT as the lowest emission
limitation that a particular source is
capable of meeting by the application of
control technology that is reasonably
available considering technological and
economic feasibility (44 FR 53762;
September 17, 1979). This requirement
is established by sections 182(b)(2),
182(f), and 184(b) of the CAA.
Connecticut, as part of the OTR as
well as being designated nonattainment
for ozone, established NOX emission
limits for existing major sources in order
to meet the RACT requirement. The
NOX emission limits are codified in
Regulations of Connecticut State
Agencies (RCSA) section 22a–174–22
(Control of Nitrogen Oxides). These
state regulations were last approved by
EPA into the Connecticut SIP on
October 6, 1997. (See 62 FR 52016).
As stated above, when determining
what constitutes RACT for a source, a
state and EPA need to consider both
technology and economic feasibility.
For example, it is technically possible
for a source to install pollution control
devices in series to further reduce
emissions. However, if a state and EPA
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Federal Register / Vol. 81, No. 115 / Wednesday, June 15, 2016 / Proposed Rules
determined that such an installation
would be economically infeasible in
relation to the additional emissions
reductions achieved, then the RACT
emission limit under Connecticut’s
regulations could legitimately be
established at a higher rate than would
be achieved by installing control
devices in series.
RCSA 22a–174–22 establishes NOX
emission limits for several types of
fossil-fuel firing emission units. RCSA
22a–174–38 establishes NOX emission
limits for municipal waste combustors.
Since RACT is determined on a sourceby-source basis, a fossil-fuel firing
source may under Connecticut’s
regulations request a higher emission
limit by making a demonstration to the
CT DEEP that it is either technologically
or economically infeasible, or both, to
meet the NOX RACT limit in RCSA 22a–
174–22. CT DEEP’s use of the NOX
TAOs has rendered the need for higher
source-specific emission rates, based on
demonstrations of technological and/or
economic feasibility, less frequent, thus
having the effect of reducing overall
NOX emissions to a greater degree than
would be the case without the TAO
trading mechanism. For example, in its
RACT Analysis for the 2008 ozone
national ambient air quality standard
(NAAQS) submitted to EPA on July 18,
2014 (2014 RACT Analysis), CT DEEP
stated that ‘‘[t]he traditional cost
effectiveness ($/ton of NOX emitted)
evaluation of controlling NOX emissions
from the load-following boilers and
uncontrolled turbines will not address
high electric demand day (HEDD)
emissions because the addition of
controls on existing units that operate
infrequently will nearly always result in
a cost of control that is not reasonable.’’
Accordingly, as an alternative to these
potential single source SIP
determinations, which can lead to
higher levels of NOX emissions,
Connecticut established an emission
trading program in RCSA 22a–174–22(j)
for fossil-fuel firing emission units and
RSCA 22a–174–38(d) for municipal
waste combustors. These two SIPapproved regulations allow a source to
participate in Connecticut’s NOX
emission trading program using two
different mechanisms. RSCA 22a–174–
22(j) requires a source that wants to
participate in the program to enter into
a TAO with the CT DEEP. RSCA 22a–
174–38(d) does not require a municipal
waste combustor (MWC) to enter into a
TAO and instead contains specific
requirements that an MWC must meet in
order to create a NOX emission
reduction credit that can be used in
Connecticut’s trading program. These
emission trading programs provide
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incentives for some facilities subject to
the NOX emission limits in either RSCA
22a–174–22 or RSCA 22a–174–38 to
reduce their NOX emissions beyond
what is required to meet RACT by
allowing them to create discrete
emission reduction credits (DERCs).1
The DERCs may then be purchased by
other sources which otherwise may
have needed a higher source-specific
NOX emission limit due to technological
and/or economic infeasibility. DERCs
are created when a facility installs and
operates a control device which reduces
emissions beyond what is required to
meet the NOX emission limitations in
RSCA 22a–174–22 or in RSCA 22a–174–
38(d). Once a DERC is created, it can
then be sold to another source that is
unable to meet the NOX limit in RSCA
22a–174–22 .2 The incentive to over
control leads to a greater NOX emission
reduction than the reduction that would
have occurred if Connecticut had to
establish a higher NOX emission limit
for those sources which demonstrated
that they would be unable to meet the
NOX limits in RSCA 22a–174–22 due to
cost or technological infeasibility, or
both.
At the time Connecticut instituted the
NOX emission trading program in 1995,
the sources generating NOX emission
credits in Connecticut were reducing
their emissions to levels below those
required by Connecticut’s RACT
regulations. Since that time, in more
recent years, other states have
established NOX RACT emission limits
for emission units similar to those in
Connecticut, at levels lower than the
emission limits in RSCA 22a–174–22
which are currently approved in the
Connecticut SIP as meeting RACT for
the 1997 ozone standard. CT DEEP is
now required by the CAA to recertify
that its regulations meet RACT for the
2008 ozone standard. During this
recertification process, CT DEEP
recognized the fact the NOX emission
limits contained in RSCA 22a–174–22
may not be stringent enough for the
2008 ozone standard by stating in its
2014 RACT Analysis that ‘‘[w]hile the
combination of emissions limits and
trading initially led (sic) to significant
system-wide emission reductions
throughout Connecticut in 1995, the
efforts to ‘‘over-control’’ to generate
credits are now merely RACT in many
1 The NO emission credits created pursuant to
X
RSCA 22a–174–38(d) are referred to as emission
reduction credits.
2 RSCA 22a–174–38(d)(1) also allows a municipal
waste combustor that commenced construction
prior to December 20, 1989 to use emission credits
created under RSCA 22a–174–38 to comply with
the NOX emission limits contained in RSCA 22a–
174–38(c)(8).
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other states. DEEP must therefore
consider elimination of the single
source emissions trading program, as
well as more stringent emission limits,
to meet current RACT levels and realize
additional reductions in Connecticut
emissions.’’ In other words, CT DEEP’s
NOX emission trading program, as
presently structured in RSCA 22a–174–
22, may no longer be viable in the future
to meet today’s standards for RACT, as
emission limits in RSCA 22a–174–22
may need to be revised in order for CT
DEEP to demonstrate attainment with
the 2008 ozone standard. In fact, CT
DEEP’s July 1, 2014 RACT submittal
states, ‘‘DEEP commits to perform
further evaluation of Connecticut’s
municipal waste combustor and fuelburning source NOX requirements and
to seek any regulatory revisions
necessary to revise the control
requirements to a RACT level for the
2008 ozone NAAQS,’’ and also states,
‘‘DEEP commits to begin a review of
NOX emissions and emissions controls
for the sources now subject to RCSA
section 22a–174–22 with the goal of
developing changes to RCSA section
22a–174–22 sufficient to satisfy RACT
under the 2008 ozone NAAQS.’’ 3
Therefore, EPA is not deciding if the
NOX trading program allowed by RSCA
22a–174–22 is sufficient to meet RACT
for the 2008 ozone standard and is not
taking any action on Connecticut’s July
1, 2014 RACT SIP revision in this
action. Rather, EPA will address those
issues in a future rulemaking.
Banked emission reduction credits
must be correctly accounted for in
attainment plans in order to prevent
unplanned future emissions. On
February 1, 2008, Connecticut
submitted its 2002 to 2008 reasonable
further progress (RFP) plan and 2002
base year inventory to EPA as part of its
attainment demonstration SIP submittal
for the 1997 8-hr ozone standard. On
October 14, 2009, Connecticut
submitted a revision to the RFP plan.
EPA approved Connecticut’s RFP plan,
as revised, on August 22, 2012 (77 FR
50595). In the October 14, 2009 revision,
Connecticut explained that any DERCs
that existed in the base year 2002 will
have expired by the end of the RFP
period in 2008. This is based on the fact
that under Connecticut’s NOX emission
trading program, DERCs expire within
five years of creation. Since any DERCs
existing in 2002 would not be available
for use in 2008, banked DERCs need not
be accounted for in a state’s RFP
3 Furthermore, CT DEEP is currently working
with a RACT stakeholder workgroup on draft
regulations. See www.ct.gov/deep/cwp/
view.asp?a=2684&q=546804&deepNav_GID=1619.
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analysis, and Connecticut has properly
done that. Therefore, EPA is concluding
the TAO’s that we are proposing to
approve into the SIP today have been
properly accounted for in Connecticut’s
attainment plan.
With respect to the 2008 ozone
standard, both Connecticut
nonattainment areas were initially
designated ‘‘marginal’’ nonattainment
for this standard on May 21, 2012. (See
77 FR 30088). However, on May 4, 2016,
EPA re-classified or ‘‘bumped-up’’ these
areas to moderate nonattainment. (See
81 FR 26697). Connecticut will need to
account for DERCs in its new RFP and
attainment plans for this standard
which must be submitted as
expeditiously as practicable, but no later
than January 1, 2017.
II. Analysis of State Submission
EPA issued a guidance document
‘‘Improving Air Quality with Economic
Incentive Programs’’ (EIP Guidance) .4
This guidance applies to discretionary
economic incentive programs (EIPs).
EPA’s final action on these discretionary
economic incentive programs occurs
when EPA acts on a state’s request to
revise the SIP. EPA reviewed the sourcespecific TAOs with respect to the
expectations of the EIP Guidance. EPA
has concluded, after review and analysis
of the source-specific TAOs, that they
are consistent with the EIP Guidance.
See the Technical Support Document in
the docket for this action for EPA’s
analysis of why the TAO’s are
consistent with the EIP.
When EPA designated areas for the
2008 ozone standard, Connecticut was
divided into two separate areas, the
Greater Connecticut Area and the New
York-N. New Jersey-Long Island NY-NJCT area. CT DEEP and EPA analyzed
emission trading data for the period of
time the TAOs were in effect to
determine if more emission reduction
credits were being used for compliance
than were generated or created in any of
Connecticut’s two nonattainment areas.
EPA has determined the TAOs have
resulted in RACT equivalent emission
reductions in each of the two
nonattainment areas. See the Technical
Support Document in the docket for this
action for an explicit accounting of the
emissions from each facility in each
nonattainment area.
The TAOs being approved into
Connecticut’s SIP today are limited to
facilities which have already been
authorized in the past by the State to
operate under a TAO and those TAOs
continue to authorize the sources until
4 See EPA–452/R–01–001, January 2001 at https://
www3.epa.gov/ttn/caaa/t1/memoranda/eipfin.pdf.
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May 31, 2014 to create and/or use NOX
emission credits and allow for unused
NOX allowances to be converted into
NOX emission credits. The TAOs
previously issued by Connecticut to
these facilities were approved by EPA
into the Connecticut SIP on September
28, 1999 (64 FR 52233), March 23, 2001
(66 FR 16135), and September 9, 2013
(78 FR 54962). The reason the TAOs
must be approved at this time for these
same facilities is that the TAOs
previously approved had all expired by
May 1, 2007.
III. Proposed Action
EPA is proposing to approve
Connecticut’s submitted SIP revision for
the NOX TAOs submitted on November
15, 2011. EPA is not taking action on
Consent Order 8029A issued to
Hamilton Sundstrand Corporation. EPA
will take action on this Consent Order
at a later date. EPA is also proposing to
approve TAO 8110A, submitted on July
1, 2004 and amended on May 29, 2015.
EPA is soliciting public comments on
the issues discussed in this document or
on other relevant matters. These
comments will be considered before
taking final action. Interested parties
may participate in the Federal
rulemaking procedure by submitting
written comments to the EPA New
England Regional Office listed in the
ADDRESSES section of this Federal
Register.
IV. Statutory and Executive Order
Reviews
Under the Clean Air Act, the
Administrator is required to approve a
SIP submission that complies with the
provisions of the Act and applicable
Federal regulations. 42 U.S.C. 7410(k);
40 CFR 52.02(a). Thus, in reviewing SIP
submissions, EPA’s role is to approve
state choices, provided that they meet
the criteria of the Clean Air Act.
Accordingly, this proposed action
merely approves state law as meeting
Federal requirements and does not
impose additional requirements beyond
those imposed by state law. For that
reason, this proposed action:
• Is not a significant regulatory action
subject to review by the Office of
Management and Budget under
Executive Orders 12866 (58 FR 51735,
October 4, 1993) and 13563 (76 FR 3821,
January 21, 2011);
• Does not impose an information
collection burden under the provisions
of the Paperwork Reduction Act (44
U.S.C. 3501 et seq.);
• Is certified as not having a
significant economic impact on a
substantial number of small entities
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39001
under the Regulatory Flexibility Act (5
U.S.C. 601 et seq.);
• Does not contain any unfunded
mandate or significantly or uniquely
affect small governments, as described
in the Unfunded Mandates Reform Act
of 1995 (Pub. L. 104–4);
• Does not have Federalism
implications as specified in Executive
Order 13132 (64 FR 43255, August 10,
1999);
• Is not an economically significant
regulatory action based on health or
safety risks subject to Executive Order
13045 (62 FR 19885, April 23, 1997);
• Is not a significant regulatory action
subject to Executive Order 13211 (66 FR
28355, May 22, 2001);
• Is not subject to requirements of
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (15 U.S.C. 272 note) because
application of those requirements would
be inconsistent with the Clean Air Act;
and
• Does not provide EPA with the
discretionary authority to address, as
appropriate, disproportionate human
health or environmental effects, using
practicable and legally permissible
methods, under Executive Order 12898
(59 FR 7629, February 16, 1994).
In addition, the SIP is not approved
to apply on any Indian reservation land
or in any other area where EPA or an
Indian tribe has demonstrated that a
tribe has jurisdiction. In those areas of
Indian country, the rule does not have
tribal implications and will not impose
substantial direct costs on tribal
governments or preempt tribal law as
specified by Executive Order 13175 (65
FR 67249, November 9, 2000).
List of Subjects in 40 CFR Part 52
Environmental protection, Air
pollution control, Incorporation by
reference, Intergovernmental relations,
Nitrogen dioxide, Reporting and
recordkeeping requirements.
Dated: May 31, 2016.
H. Curtis Spalding,
Regional Administrator, EPA New England.
[FR Doc. 2016–14100 Filed 6–14–16; 8:45 am]
BILLING CODE 6560–50–P
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Agencies
[Federal Register Volume 81, Number 115 (Wednesday, June 15, 2016)]
[Proposed Rules]
[Pages 38999-39001]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2016-14100]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 52
[EPA-R01-OAR-2015-0238, FRL-9947-68-Region 1]
Air Plan Approval; CT; NOX Emission Trading Orders as
Single Source SIP Revisions
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: The Environmental Protection Agency (EPA) is proposing to
approve a State Implementation Plan (SIP) revision submitted by the
State of Connecticut. This revision continues to allow facilities to
create and/or use emission credits using NOX Emission
Trading and Agreement Orders (TAOs) to comply with the NOX
emission limits required by Regulations of Connecticut State Agencies
(RCSA) section 22a-174-22 (Control of Nitrogen Oxides). The intended
effect of this action is to propose approval of the individual trading
orders to allow facilities to determine the most cost-effective way to
comply with the state regulation. This action is being taken in
accordance with the Clean Air Act (CAA).
DATES: Written comments must be received on or before July 15, 2016.
ADDRESSES: Submit your comments, identified by Docket ID Number EPA-
R01-OAR-2015-0238 at https://www.regulations.gov, or via email to
Dahl.Donald@epa.gov. For comments submitted at Regulations.gov, follow
the online instructions for submitting comments. Once submitted,
comments cannot be edited or removed from Regulations.gov. For either
manner of submission, the EPA may publish any comment received to its
public docket. Do not submit electronically any information you
consider to be Confidential Business Information (CBI) or other
information whose disclosure is restricted by statute. Multimedia
submissions (audio, video, etc.) must be accompanied by a written
comment. The written comment is considered the official comment and
should include discussion of all points you wish to make. The EPA will
generally not consider comments or comment contents located outside of
the primary submission (i.e. on the web, cloud, or other file sharing
system). For additional submission methods, please contact the person
identified in the For Further Information Contact section. For the full
EPA public comment policy, information about CBI or multimedia
submissions, and general guidance on making effective comments, please
visit https://www2.epa.gov/dockets/commenting-epa-dockets.
FOR FURTHER INFORMATION CONTACT: Donald Dahl, Air Permits, Toxics, and
Indoor Programs Unit, Office of Ecosystem Protection, U.S.
Environmental Protection Agency, EPA New England Regional Office, 5
Post Office Square, Suite 100, (OEP05-2), Boston, MA 02109-3912, phone
number (617) 918-1657, fax number (617) 918-0657, email
Dahl.Donald@epa.gov.
SUPPLEMENTARY INFORMATION: Throughout this document whenever ``we,''
``us,'' or ``our'' is used, we mean EPA.
Table of Contents
I. Background and Purpose.
II. Analysis of State Submission
III. Proposed Action
IV. Statutory and Executive Order Reviews
I. Background and Purpose
On November 15, 2011, the Connecticut Department of Energy and
Environmental Protection (CT DEEP) submitted a formal revision to its
State Implementation Plan (SIP). This SIP revision consists of eighty-
nine source-specific Trading Agreement and Orders (TAOs) that allow
twenty-four individual stationary sources of nitrogen oxide
(NOX) emissions to create and/or trade NOX
emission credits in order to ensure more effective compliance with EPA
SIP-approved state regulations for reducing NOX emissions.
We previously approved source-specific TAOs of the same kind issued by
CT DEEP under this program for these same sources on September 28, 1999
(64 FR 52233), March 23, 2001 (66 FR 16135), and September 9, 2013 (78
FR 54962). The SIP submittal also includes Consent Order 8029A issued
to Hamilton Sundstrand which addresses Volatile Organic Compound (VOC)
emissions.
In our September 9, 2013 approval, EPA acted on most of the TAOs
contained in CT DEEP's July 1, 2004 SIP revision submission to EPA. At
that time, EPA did not act on (1) TAO 8021 issued to Pfizer; (2) TAO
8246 issued to Sikorsky Aircraft; (3) TAO 8110A issued to Yale
University; and (4) Consent Order 7019A issued to Hamilton Sundstrand
Corporation. On May 29, 2015, CT DEEP revised its July 1, 2004 SIP
revision submittal to EPA by modifying TAO 8110A. Today we are acting
on the modified version of TAO 8110A. EPA will take action on TAOs 8246
and 8021 at a future date. Lastly, on April 22, 2014 the CT DEEP
withdrew Consent Order 7019A from the 2004 SIP submittal.
The CAA requires states to develop Reasonably Available Control
Technology (RACT) regulations for all major stationary sources of
NOX in areas which have been classified as ``moderate,''
``serious,'' ``severe,'' and ``extreme'' as well as in all areas of the
Ozone Transport Region (OTR). EPA has defined RACT as the lowest
emission limitation that a particular source is capable of meeting by
the application of control technology that is reasonably available
considering technological and economic feasibility (44 FR 53762;
September 17, 1979). This requirement is established by sections
182(b)(2), 182(f), and 184(b) of the CAA.
Connecticut, as part of the OTR as well as being designated
nonattainment for ozone, established NOX emission limits for
existing major sources in order to meet the RACT requirement. The
NOX emission limits are codified in Regulations of
Connecticut State Agencies (RCSA) section 22a-174-22 (Control of
Nitrogen Oxides). These state regulations were last approved by EPA
into the Connecticut SIP on October 6, 1997. (See 62 FR 52016).
As stated above, when determining what constitutes RACT for a
source, a state and EPA need to consider both technology and economic
feasibility. For example, it is technically possible for a source to
install pollution control devices in series to further reduce
emissions. However, if a state and EPA
[[Page 39000]]
determined that such an installation would be economically infeasible
in relation to the additional emissions reductions achieved, then the
RACT emission limit under Connecticut's regulations could legitimately
be established at a higher rate than would be achieved by installing
control devices in series.
RCSA 22a-174-22 establishes NOX emission limits for
several types of fossil-fuel firing emission units. RCSA 22a-174-38
establishes NOX emission limits for municipal waste
combustors. Since RACT is determined on a source-by-source basis, a
fossil-fuel firing source may under Connecticut's regulations request a
higher emission limit by making a demonstration to the CT DEEP that it
is either technologically or economically infeasible, or both, to meet
the NOX RACT limit in RCSA 22a-174-22. CT DEEP's use of the
NOX TAOs has rendered the need for higher source-specific
emission rates, based on demonstrations of technological and/or
economic feasibility, less frequent, thus having the effect of reducing
overall NOX emissions to a greater degree than would be the
case without the TAO trading mechanism. For example, in its RACT
Analysis for the 2008 ozone national ambient air quality standard
(NAAQS) submitted to EPA on July 18, 2014 (2014 RACT Analysis), CT DEEP
stated that ``[t]he traditional cost effectiveness ($/ton of
NOX emitted) evaluation of controlling NOX
emissions from the load-following boilers and uncontrolled turbines
will not address high electric demand day (HEDD) emissions because the
addition of controls on existing units that operate infrequently will
nearly always result in a cost of control that is not reasonable.''
Accordingly, as an alternative to these potential single source SIP
determinations, which can lead to higher levels of NOX
emissions, Connecticut established an emission trading program in RCSA
22a-174-22(j) for fossil-fuel firing emission units and RSCA 22a-174-
38(d) for municipal waste combustors. These two SIP-approved
regulations allow a source to participate in Connecticut's
NOX emission trading program using two different mechanisms.
RSCA 22a-174-22(j) requires a source that wants to participate in the
program to enter into a TAO with the CT DEEP. RSCA 22a-174-38(d) does
not require a municipal waste combustor (MWC) to enter into a TAO and
instead contains specific requirements that an MWC must meet in order
to create a NOX emission reduction credit that can be used
in Connecticut's trading program. These emission trading programs
provide incentives for some facilities subject to the NOX
emission limits in either RSCA 22a-174-22 or RSCA 22a-174-38 to reduce
their NOX emissions beyond what is required to meet RACT by
allowing them to create discrete emission reduction credits (DERCs).\1\
The DERCs may then be purchased by other sources which otherwise may
have needed a higher source-specific NOX emission limit due
to technological and/or economic infeasibility. DERCs are created when
a facility installs and operates a control device which reduces
emissions beyond what is required to meet the NOX emission
limitations in RSCA 22a-174-22 or in RSCA 22a-174-38(d). Once a DERC is
created, it can then be sold to another source that is unable to meet
the NOX limit in RSCA 22a-174-22 .\2\ The incentive to over
control leads to a greater NOX emission reduction than the
reduction that would have occurred if Connecticut had to establish a
higher NOX emission limit for those sources which
demonstrated that they would be unable to meet the NOX
limits in RSCA 22a-174-22 due to cost or technological infeasibility,
or both.
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\1\ The NOX emission credits created pursuant to RSCA
22a-174-38(d) are referred to as emission reduction credits.
\2\ RSCA 22a-174-38(d)(1) also allows a municipal waste
combustor that commenced construction prior to December 20, 1989 to
use emission credits created under RSCA 22a-174-38 to comply with
the NOX emission limits contained in RSCA 22a-174-
38(c)(8).
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At the time Connecticut instituted the NOX emission
trading program in 1995, the sources generating NOX emission
credits in Connecticut were reducing their emissions to levels below
those required by Connecticut's RACT regulations. Since that time, in
more recent years, other states have established NOX RACT
emission limits for emission units similar to those in Connecticut, at
levels lower than the emission limits in RSCA 22a-174-22 which are
currently approved in the Connecticut SIP as meeting RACT for the 1997
ozone standard. CT DEEP is now required by the CAA to recertify that
its regulations meet RACT for the 2008 ozone standard. During this
recertification process, CT DEEP recognized the fact the NOX
emission limits contained in RSCA 22a-174-22 may not be stringent
enough for the 2008 ozone standard by stating in its 2014 RACT Analysis
that ``[w]hile the combination of emissions limits and trading
initially led (sic) to significant system-wide emission reductions
throughout Connecticut in 1995, the efforts to ``over-control'' to
generate credits are now merely RACT in many other states. DEEP must
therefore consider elimination of the single source emissions trading
program, as well as more stringent emission limits, to meet current
RACT levels and realize additional reductions in Connecticut
emissions.'' In other words, CT DEEP's NOX emission trading
program, as presently structured in RSCA 22a-174-22, may no longer be
viable in the future to meet today's standards for RACT, as emission
limits in RSCA 22a-174-22 may need to be revised in order for CT DEEP
to demonstrate attainment with the 2008 ozone standard. In fact, CT
DEEP's July 1, 2014 RACT submittal states, ``DEEP commits to perform
further evaluation of Connecticut's municipal waste combustor and fuel-
burning source NOX requirements and to seek any regulatory
revisions necessary to revise the control requirements to a RACT level
for the 2008 ozone NAAQS,'' and also states, ``DEEP commits to begin a
review of NOX emissions and emissions controls for the
sources now subject to RCSA section 22a-174-22 with the goal of
developing changes to RCSA section 22a-174-22 sufficient to satisfy
RACT under the 2008 ozone NAAQS.'' \3\ Therefore, EPA is not deciding
if the NOX trading program allowed by RSCA 22a-174-22 is
sufficient to meet RACT for the 2008 ozone standard and is not taking
any action on Connecticut's July 1, 2014 RACT SIP revision in this
action. Rather, EPA will address those issues in a future rulemaking.
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\3\ Furthermore, CT DEEP is currently working with a RACT
stakeholder workgroup on draft regulations. See www.ct.gov/deep/cwp/view.asp?a=2684&q=546804&deepNav_GID=1619.
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Banked emission reduction credits must be correctly accounted for
in attainment plans in order to prevent unplanned future emissions. On
February 1, 2008, Connecticut submitted its 2002 to 2008 reasonable
further progress (RFP) plan and 2002 base year inventory to EPA as part
of its attainment demonstration SIP submittal for the 1997 8-hr ozone
standard. On October 14, 2009, Connecticut submitted a revision to the
RFP plan. EPA approved Connecticut's RFP plan, as revised, on August
22, 2012 (77 FR 50595). In the October 14, 2009 revision, Connecticut
explained that any DERCs that existed in the base year 2002 will have
expired by the end of the RFP period in 2008. This is based on the fact
that under Connecticut's NOX emission trading program, DERCs
expire within five years of creation. Since any DERCs existing in 2002
would not be available for use in 2008, banked DERCs need not be
accounted for in a state's RFP
[[Page 39001]]
analysis, and Connecticut has properly done that. Therefore, EPA is
concluding the TAO's that we are proposing to approve into the SIP
today have been properly accounted for in Connecticut's attainment
plan.
With respect to the 2008 ozone standard, both Connecticut
nonattainment areas were initially designated ``marginal''
nonattainment for this standard on May 21, 2012. (See 77 FR 30088).
However, on May 4, 2016, EPA re-classified or ``bumped-up'' these areas
to moderate nonattainment. (See 81 FR 26697). Connecticut will need to
account for DERCs in its new RFP and attainment plans for this standard
which must be submitted as expeditiously as practicable, but no later
than January 1, 2017.
II. Analysis of State Submission
EPA issued a guidance document ``Improving Air Quality with
Economic Incentive Programs'' (EIP Guidance) .\4\ This guidance applies
to discretionary economic incentive programs (EIPs). EPA's final action
on these discretionary economic incentive programs occurs when EPA acts
on a state's request to revise the SIP. EPA reviewed the source-
specific TAOs with respect to the expectations of the EIP Guidance. EPA
has concluded, after review and analysis of the source-specific TAOs,
that they are consistent with the EIP Guidance. See the Technical
Support Document in the docket for this action for EPA's analysis of
why the TAO's are consistent with the EIP.
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\4\ See EPA-452/R-01-001, January 2001 at https://www3.epa.gov/ttn/caaa/t1/memoranda/eipfin.pdf.
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When EPA designated areas for the 2008 ozone standard, Connecticut
was divided into two separate areas, the Greater Connecticut Area and
the New York-N. New Jersey-Long Island NY-NJ-CT area. CT DEEP and EPA
analyzed emission trading data for the period of time the TAOs were in
effect to determine if more emission reduction credits were being used
for compliance than were generated or created in any of Connecticut's
two nonattainment areas. EPA has determined the TAOs have resulted in
RACT equivalent emission reductions in each of the two nonattainment
areas. See the Technical Support Document in the docket for this action
for an explicit accounting of the emissions from each facility in each
nonattainment area.
The TAOs being approved into Connecticut's SIP today are limited to
facilities which have already been authorized in the past by the State
to operate under a TAO and those TAOs continue to authorize the sources
until May 31, 2014 to create and/or use NOX emission credits
and allow for unused NOX allowances to be converted into
NOX emission credits. The TAOs previously issued by
Connecticut to these facilities were approved by EPA into the
Connecticut SIP on September 28, 1999 (64 FR 52233), March 23, 2001 (66
FR 16135), and September 9, 2013 (78 FR 54962). The reason the TAOs
must be approved at this time for these same facilities is that the
TAOs previously approved had all expired by May 1, 2007.
III. Proposed Action
EPA is proposing to approve Connecticut's submitted SIP revision
for the NOX TAOs submitted on November 15, 2011. EPA is not
taking action on Consent Order 8029A issued to Hamilton Sundstrand
Corporation. EPA will take action on this Consent Order at a later
date. EPA is also proposing to approve TAO 8110A, submitted on July 1,
2004 and amended on May 29, 2015. EPA is soliciting public comments on
the issues discussed in this document or on other relevant matters.
These comments will be considered before taking final action.
Interested parties may participate in the Federal rulemaking procedure
by submitting written comments to the EPA New England Regional Office
listed in the ADDRESSES section of this Federal Register.
IV. Statutory and Executive Order Reviews
Under the Clean Air Act, the Administrator is required to approve a
SIP submission that complies with the provisions of the Act and
applicable Federal regulations. 42 U.S.C. 7410(k); 40 CFR 52.02(a).
Thus, in reviewing SIP submissions, EPA's role is to approve state
choices, provided that they meet the criteria of the Clean Air Act.
Accordingly, this proposed action merely approves state law as meeting
Federal requirements and does not impose additional requirements beyond
those imposed by state law. For that reason, this proposed action:
Is not a significant regulatory action subject to review
by the Office of Management and Budget under Executive Orders 12866 (58
FR 51735, October 4, 1993) and 13563 (76 FR 3821, January 21, 2011);
Does not impose an information collection burden under the
provisions of the Paperwork Reduction Act (44 U.S.C. 3501 et seq.);
Is certified as not having a significant economic impact
on a substantial number of small entities under the Regulatory
Flexibility Act (5 U.S.C. 601 et seq.);
Does not contain any unfunded mandate or significantly or
uniquely affect small governments, as described in the Unfunded
Mandates Reform Act of 1995 (Pub. L. 104-4);
Does not have Federalism implications as specified in
Executive Order 13132 (64 FR 43255, August 10, 1999);
Is not an economically significant regulatory action based
on health or safety risks subject to Executive Order 13045 (62 FR
19885, April 23, 1997);
Is not a significant regulatory action subject to
Executive Order 13211 (66 FR 28355, May 22, 2001);
Is not subject to requirements of Section 12(d) of the
National Technology Transfer and Advancement Act of 1995 (15 U.S.C. 272
note) because application of those requirements would be inconsistent
with the Clean Air Act; and
Does not provide EPA with the discretionary authority to
address, as appropriate, disproportionate human health or environmental
effects, using practicable and legally permissible methods, under
Executive Order 12898 (59 FR 7629, February 16, 1994).
In addition, the SIP is not approved to apply on any Indian
reservation land or in any other area where EPA or an Indian tribe has
demonstrated that a tribe has jurisdiction. In those areas of Indian
country, the rule does not have tribal implications and will not impose
substantial direct costs on tribal governments or preempt tribal law as
specified by Executive Order 13175 (65 FR 67249, November 9, 2000).
List of Subjects in 40 CFR Part 52
Environmental protection, Air pollution control, Incorporation by
reference, Intergovernmental relations, Nitrogen dioxide, Reporting and
recordkeeping requirements.
Dated: May 31, 2016.
H. Curtis Spalding,
Regional Administrator, EPA New England.
[FR Doc. 2016-14100 Filed 6-14-16; 8:45 am]
BILLING CODE 6560-50-P