Revisions to the Source-Specific Federal Implementation Plan for Four Corners Power Plant, Navajo Nation, 86988-87003 [2016-28870]
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Federal Register / Vol. 81, No. 232 / Friday, December 2, 2016 / Proposed Rules
requirements in its safety and health
standards by proposing 18 revisions to
existing standards in its recordkeeping,
general industry, maritime, and
construction standards, with most of the
revisions to its construction standards.
The NPRM provides an explanation of
the rule and its economic analysis, and
solicits comments from the public
regarding the contents of the proposal.
The period for submitting comments
was to expire on December 5, 2016.
However, two stakeholders have
requested an extension of 45 days for
submitting written comments and
information. Both stakeholders noted
that the NPRM addresses 18 separate
standards that each require separate
analysis of the proposed changes.
OSHA believes that a 30 day
extension is sufficient to facilitate the
submission of thorough reviews and
provide OSHA with a complete record
for this proposed rule so that OSHA has
all the information needed to develop a
final rule. Accordingly, OSHA extends
the comment period by 30 days, and
written comments must be submitted by
January 4, 2017.
jstallworth on DSK7TPTVN1PROD with PROPOSALS
docket without change; this information
will be available online at https://
www.regulations.gov. Therefore, the
Agency cautions commenters about
submitting information they do not
want made available to the public, or
submitting comments that contain
personal information (either about
themselves or others) such as Social
Security numbers, birth dates, and
medical data.
OSHA requests comments on all
issues related to this proposed rule,
including whether these revisions will
have any economic, paperwork, or other
regulatory impacts on the regulated
community.
Docket. To read or download
submissions or other material in the
docket (including material referenced in
the preamble), go to https://
www.regulations.gov, or contact the
OSHA Docket Office at the address
listed above. While the Agency lists all
documents in the docket in the https://
www.regulations.gov index, some
information (e.g., copyrighted material)
is not publicly available to read or
download through this Web site. All
submissions, including copyrighted
material, are accessible at the OSHA
Docket Office. Contact the OSHA Docket
Office for assistance in locating docket
submissions.
FOR FURTHER INFORMATION CONTACT:
Press inquiries. Frank Meilinger,
Director, OSHA Office of
Communications, Room N–3647, U.S.
Department of Labor, 200 Constitution
Avenue NW., Washington, DC 20210;
telephone: (202) 693–1999; email:
meilinger.francis2@dol.gov.
General and technical information.
Blake Skogland, Office of Construction
Standards and Guidance, OSHA
Directorate of Construction, U.S.
Department of Labor, 200 Constitution
Avenue NW., Room N–3468,
Washington, DC 20210; telephone: (202)
693–2020; fax: (202) 693–1689; email:
skogland.blake@dol.gov.
Copies of this Federal Register notice.
Electronic copies are available at https://
www.regulations.gov. This Federal
Register notice, as well as news releases
and other relevant information, also are
available at OSHA’s Web page at https://
www.osha.gov.
SUPPLEMENTARY INFORMATION:
OSHA invites comments on the
proposed revisions described, and the
specific issues raised, in the NPRM.
These comments should include
supporting information and data. OSHA
will carefully review and evaluate these
comments, information, and data, as
well as any other information in the
rulemaking record, to determine how to
proceed. When submitting comments,
parties must follow the procedures
specified in the previous sections titled
DATES and ADDRESSES. The comments
must provide the name of the
commenter and docket number (OSHA–
2012–0007). The comments also should
identify clearly the provision of the
proposal each comment is addressing,
the position taken with respect to the
proposed provision or issue, and the
basis for that position. Comments, along
with supporting data and references,
submitted on or before the end of the
specified comment period will become
part of the proceedings record, and will
be available for public inspection and
copying at https://www.regulations.gov.
I. Extension of the Comment Period
Authority and Signature
On October 4, 2016, at 81 FR 68504,
OSHA published a Notice of Proposed
Rulemaking (NPRM) titled ‘‘Standards
Improvement Project-Phase IV.’’ In this
NPRM, OSHA continues its efforts to
remove or revise outdated, duplicative,
unnecessary, and inconsistent
David Michaels, Ph.D., MPH,
Assistant Secretary of Labor for
Occupational Safety and Health, U.S.
Department of Labor, authorized the
preparation of this notice pursuant to
Sections 4, 6, and 8 of the Occupational
Safety and Health Act of 1970 (29 U.S.C.
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II. Submission of Comments and Access
to the Docket
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653, 655, 657), 29 CFR part 1911, and
Secretary’s Order 1–2012 (77 FR 3912).
Signed at Washington, DC, on November
28, 2016.
David Michaels,
Assistant Secretary of Labor for Occupational
Safety and Health.
[FR Doc. 2016–28924 Filed 12–1–16; 8:45 am]
BILLING CODE 4510–26–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 49
[EPA–R09–OAR–2016–0339; FRL–9955–92–
Region 9]
Revisions to the Source-Specific
Federal Implementation Plan for Four
Corners Power Plant, Navajo Nation
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
The Environmental Protection
Agency (EPA) is proposing limited
revisions to the source-specific Federal
Implementation Plan (FIP) that was
promulgated to regulate air pollutant
emissions from the Four Corners Power
Plant (FCPP), a coal-fired power plant
located on the reservation lands of the
Navajo Nation, near Farmington, New
Mexico. These limited revisions propose
to make certain provisions of the FIP
consistent with national actions and
rulemakings promulgated since 2012;
update the FIP to reflect recent
operating changes; and add new
provisions to the FIP to include the air
pollution control requirements for FCPP
of a Consent Decree entered in the
United States District Court for the
District of New Mexico on August 17,
2015.
DATES: Any comments on this proposal
must arrive by January 3, 2017.
ADDRESSES: Submit your comments,
identified by Docket ID number EPA–
R09–OAR–2016–0339, at https://
www.regulations.gov, or via email to
lee.anita@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.
SUMMARY:
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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 EPA’s full public comment
policy, information about CBI or
multimedia submissions, and general
guidance on making effective
comments, please visit https://
www2.epa.gov/dockets/commentingepa-dockets.
FOR FURTHER INFORMATION CONTACT:
Anita Lee, EPA Region IX, (415) 972–
3958, lee.anita@epa.gov.
SUPPLEMENTARY INFORMATION:
Throughout this document, ‘‘we,’’ ‘‘us’’
and ‘‘our’’ refer to the EPA.
jstallworth on DSK7TPTVN1PROD with PROPOSALS
Table of Contents
I. Background
A. Action
B. Facility
C. Attainment Status
D. The EPA’s Authority To Promulgate a
FIP in Indian Country
E. Historical Overview of FCPP FIP Actions
II. Basis for Proposed Action
III. Summary of FIP Revisions
A. Proposed FIP Revisions
B. Justification for Proposed FIP Revisions
C. Compliance Schedule
IV. Proposed Action and Solicitation of
Comments
V. Environmental Justice Considerations
VI. Administrative Requirements
A. Executive Order 12866
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments Executive Order 12875:
Enhancing the Intergovernmental
Partnership
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
H. Executive Order 13211: Actions That
Significantly Affect Energy Supply,
Distribution, or Use
I. National Technology Transfer and
Advancement Act
J. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
I. Background
A. Action
In today’s action, the EPA is
proposing limited revisions to the FIP
for FCPP that we promulgated on May
7, 2007 (‘‘2007 FIP’’) and August 24,
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monitoring systems (PM CEMS), and
streamline the existing PM testing
requirements.
In order to update the FIP to reflect
the current operation of FCPP, we are
proposing to add a statement to the
applicability section of the FIP to clarify
that Units 1, 2 and 3 have been
permanently retired, and to remove
certain provisions related to Units 1, 2,
and 3 from the FIP that are no longer
applicable following the permanent
retirement of those units. The operator
of FCPP removed those units from
service by January 1, 2014 to comply
with the requirements in the 2012 FIP
that the EPA promulgated to address the
Best Available Retrofit Technology
(BART) provisions of the Regional Haze
Rule for NOX.6 These revisions, if
finalized, would enhance regulatory
clarity by removing requirements that
apply to emission units that have
permanently ceased operation.
The final changes in this proposed
rulemaking are to add new provisions to
the FCPP FIP to reflect requirements in
the Consent Decree. Generally, the
Consent Decree requires greater
emission reductions of SO2, NOX, and
PM by establishing lower emission
limitations than the existing limitations
in the FIP for these pollutants. The
Consent Decree requires the operator of
the facility to request that the EPA
amend the FCPP FIP to incorporate the
requirements and limitations from the
Consent Decree. These proposed
revisions, if finalized, would make the
emission limitations and other
requirements from the Consent Decree
federally enforceable.
2012 (‘‘2012 FIP’’).1 The 2007 and 2012
regulations are codified in the Code of
Federal Regulations (CFR) at 40 CFR
49.5512, and we refer collectively to the
provisions from the 2007 and 2012
actions as the ‘‘FIP’’ or the ‘‘FCPP FIP.’’
The EPA established federally
enforceable emission limitations for
particulate matter (PM), sulfur dioxide
(SO2), oxides of nitrogen (NOX), and
opacity in the FCPP FIP.
The EPA is proposing revisions to the
FIP for several reasons: (1) To make
certain provisions in the FIP consistent
with national actions and rulemakings
promulgated since 2012; (2) to update
the FIP to reflect recent operating
changes; and (3) to add new provisions
to the FIP to include the air pollution
control requirements for FCPP of a
Consent Decree (‘‘Consent Decree’’)
entered in the United States District
Court for the District of New Mexico on
August 17, 2015.2
To update the FCPP FIP for
consistency with national actions and
rulemakings, we are proposing to
remove: (1) Emission limit exemptions
that apply during periods of startup and
shutdown; (2) a provision allowing for
an affirmative defense during periods of
malfunctions; and (3) exemptions for
water vapor from the opacity standard
and monitoring and reporting
requirements.3 These revisions, if
finalized, would make the FCPP FIP
consistent with the EPA’s
interpretations of Clean Air Act (CAA,
or ‘‘the Act’’) requirements, as reflected
in the Agency’s recent action
concerning how provisions in state
implementation plans (SIPs) treat excess
emissions during startup, shutdown,
and malfunctions (‘‘2015 SSM
Action’’).4
The EPA is also proposing to update
the testing requirements for PM in the
FCPP FIP to be consistent with PM
testing requirements promulgated
nationally in the Mercury and Air
Toxics Standards (MATS) Rule.5 The
revisions to the PM testing
requirements, if finalized, would
increase the frequency of PM testing in
the FIP to match the MATS Rule, allow
the operator the option to demonstrate
compliance using alternative methods,
e.g., PM continuous emission
B. Facility
FCPP is a coal-fired power plant
located on the Navajo Nation Indian
Reservation, just west of Farmington,
New Mexico, and it is co-owned by
several entities and operated by Arizona
Public Service (APS).7 The facility
includes two units, Units 4 and 5, each
with a capacity of 770 megawatts (MW)
net generation, providing a total
capacity of 1540 MW.8 Operations at the
facility produce emissions of air
pollutants, including SO2, NOX, and
PM. Existing pollution control
equipment on Units 4 and 5 include
1 See 72 FR 25698 (May 7, 2007) and 77 FR 51620
(August 24, 2012).
2 See Consent Decree for Dine CARE v. Arizona
Public Service Company and EPA v. Arizona Public
Service Company, US District Court for the District
of New Mexico, Case No. 1:11–cv–00889–JB–SCY
(August 17, 2015).
3 See 72 FR 25705 (May 7, 2007) and 40 CFR
49.5512(h)(2) and (h)(3), and 40 CFR 49.5512(c)(7).
4 See 80 FR 33840 (June 12, 2015).
5 See 77 FR 9303 (February 16, 2012) and 81 FR
20172 (April 6, 2016) (Final Technical Corrections).
6 See 77 FR 51620 (August 24, 2012) and 40 CFR
49.5512(i)(3).
7 FCPP is currently co-owned by Arizona Public
Service, Public Service Company of New Mexico,
Salt River Project, Tucson Electric Power, and El
Paso Electric Company.
8 APS retired Units 1–3 (total capacity of 560
MW) at FCPP in January 2014 as part of a ‘‘better
than BART’’ alternative it suggested to the EPA. For
more information on the EPA’s ‘‘better than BART’’
determination, please see 77 FR 51620 (August 24,
2012).
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baghouses for PM control, lime spray
towers (‘‘scrubbers’’) for SO2 control,
and low-NOX burners for limiting NOX
formation during the combustion
process. FCPP is in the process of
installing selective catalytic reduction
(SCR) on Units 4 and 5 for additional
NOX emission reductions to comply
with the ‘‘better than BART’’ provisions
of the 2012 FIP (under 40 CFR
49.5512(i)(3)) and with the Consent
Decree.
C. Attainment Status
FCPP is located in the Four Corners
Interstate air quality control region,
which is designated attainment for all
criteria pollutants under the CAA.9
D. The EPA’s Authority To Promulgate
a FIP in Indian Country
When the CAA was amended in 1990,
Congress included a new provision,
section 301(d), granting the EPA
authority to treat tribes in the same
manner as states where appropriate.10 In
1998, the EPA promulgated regulations
known as the Tribal Authority Rule
(TAR).11 The EPA’s promulgation of the
TAR clarified, among other things, that
state air quality regulations generally do
not, under the CAA, apply to facilities
located anywhere within the exterior
boundaries of Indian reservations.12
Prior to the addition of section 301(d)
and promulgation of the TAR, some
states had mistakenly included emission
limitations in their SIPs that they may
have believed could apply under the
CAA to private facilities operating on
adjacent Indian reservations.
In the preambles to the proposed and
final 1998 TAR, the EPA generally
discusses the legal basis in the CAA that
authorizes the EPA to regulate sources
of air pollution in Indian country.13 The
EPA concluded that the CAA authorizes
the EPA to protect air quality
throughout Indian country.14 In fact, in
9 See
40 CFR 81.332.
40 U.S.C. 7601(d).
11 See 40 CFR parts 9, 35, 49, 50 and 81. See also
63 FR 7254 (February 12, 1998).
12 See 63 FR 7254 at 7258 (noting that unless a
state has explicitly demonstrated its authority and
has been expressly approved by the EPA to
implement CAA programs in Indian country, the
EPA is the appropriate entity to implement CAA
programs prior to tribal primacy), Arizona Public
Service Company v. EPA., 211 F.3d 1280 (D.C. Cir.
2000), cert. denied sub nom, Michigan v. EPA., 532
U.S. 970 (2001) (upholding the TAR); see also
Alaska v. Native Village of Venetie Tribal
Government, 533 U.S. 520, 526 n.1 (1998) (primary
jurisdiction over Indian country generally lies with
federal government and tribes, not with states).
13 See 59 FR 43956 (August 25, 1994); 63 FR 7253
(February 12, 1998).
14 See 63 FR 7253 at 7262 (February 12, 1998); 59
FR 43956 at 43960–43961 (August 25, 1994) (citing,
among other things, to CAA sections 101(b)(1),
301(a), and 301(d)).
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10 See
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promulgating the TAR, the EPA
specifically provided that, pursuant to
the discretionary authority explicitly
granted to the EPA under sections
301(a) and 301(d)(4) of the Act, the EPA
‘‘[s]hall promulgate without
unreasonable delay such federal
implementation plan provisions as are
necessary or appropriate to protect air
quality, consistent with the provisions
of sections 304(a) [sic] and 301(d)(4), if
a tribe does not submit a tribal
implementation plan meeting the
completeness criteria of 40 CFR part 51,
Appendix V, or does not receive EPA
approval of a submitted tribal
implementation plan.’’ 15
E. Historical Overview of FCPP FIP
Actions
On September 8, 1999, the EPA
proposed a source-specific FIP for
FCPP.16 The 1999 proposed FIP stated:
‘‘Although the facility has been
historically regulated by New Mexico
since its construction, the state lacks
jurisdiction over the facility or its
owners or operations for CAA
compliance or enforcement purposes.’’
The EPA intended for the 1999 FIP to
‘‘federalize’’ the emission limitations
that New Mexico had erroneously
included in its SIP.17 The EPA received
comments on the proposed 1999 FIP.
However, at that time, concurrent
negotiations between an environmental
non-governmental organization, APS,
and the Navajo Nation resulted in an
agreement by APS to voluntarily
increase the SO2 removal efficiency
from the scrubbers at FCPP. The EPA
did not take final action on the 1999
proposal.
In 2006, the EPA proposed a new
source-specific FIP for FCPP and took
action to finalize it in 2007.18 This new
FIP imposed federally enforceable
emission limitations for SO2, based on
the increased scrubber SO2 removal
efficiency (72 to 88 percent), and for
PM, based on the PM emission
limitation from the New Mexico SIP.
15 See 63 FR at 7273 (codified at 40 CFR 49.11(a)).
In the preamble to the final TAR, the EPA explained
that it was inappropriate to treat Tribes in the same
manner as states with respect to section 110(c) of
the Act, which directs the EPA to promulgate a FIP
within 2 years after the EPA finds a state has failed
to submit a complete state plan or within 2 years
after the EPA disapproval of a state plan. Although
the EPA is not required to promulgate a FIP within
the 2-year period for tribes, the EPA promulgated
40 CFR 49.11(a) to clarify that the EPA will
continue to be subject to the basic requirement to
issue any necessary or appropriate FIP provisions
for affected tribal areas within some reasonable
time. See 63 FR at 7264–65.
16 See 64 FR 48731 (September 8, 1999).
17 Id. at 48733.
18 See 72 FR 25698 (May 7, 2007), codified at 40
CFR 49.5512(a)–(h).
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The 2006 proposed FIP also established
an emission limitation for opacity and a
requirement for control measures to
limit dust emissions from coal handling
and storage facilities, flyash handling
and storage facilities, and from roadsweeping activities. In addition, the
2006 proposed FIP contained NOX
emission limitations that already
applied to FCPP as part of the Acid Rain
Program created in the 1990 CAA
Amendments.
On August 24, 2012, the EPA
promulgated a final rule that established
limits for NOX emissions from FCPP
under the BART provision of the
Regional Haze Rule, as well as control
measures to limit emissions of dust.19
The final rule required the owners of
FCPP to choose between two strategies
for BART compliance: (1) Compliance
with a plant-wide BART emission
limitation of 0.11 pounds of NOX per
million British thermal units of heat
input (lb/MMBtu) by October 23, 2017,
or (2) retirement of Units 1, 2, and 3 by
January 1, 2014 and compliance with a
BART emission limitation for NOX of
0.098 lb/MMBtu on Units 4 and 5 by
July 31, 2018. The second BART
compliance strategy, involving
retirement of Units 1, 2, and 3, was
based on a plan originally put forth by
APS. This compliance strategy was
proposed and finalized as an alternative
emission control strategy that achieved
greater reasonable progress than BART
(‘‘better than BART’’).20 APS
permanently ceased operation of Units
1, 2, and 3 at FCPP by January 1, 2014,
and is currently engaged in the process
of installing SCR on Units 4 and 5 to
meet the applicable NOX emission
limitations.
The provisions of the 2007 FIP are
codified at 40 CFR 49.5512(a)–(h).21 The
BART provisions of the 2012 FIP are
codified at 40 CFR 49.5512(i), and the
dust control measures from the 2012 FIP
are codified at 40 CFR 49.5512(j).
II. Basis for Proposed Action
In this proposed FIP revision, the EPA
is exercising its discretionary authority
under sections 301(a) and 301(d)(4) of
the CAA and 40 CFR 49.11(a). The EPA
is proposing to find that it is ‘‘necessary
or appropriate’’ to revise the FCPP FIP,
because it contains certain provisions
19 See
77 FR 51620 (August 24, 2012).
additional information regarding the EPA’s
analyses regarding BART and the alternative
emission control strategy, see the EPA’s BART
proposal (75 FR 64221, October 29, 2010),
supplemental proposal (76 FR 10530, February 25,
2011) and final rule (77 FR 51620, August 24, 2012).
21 The 2007 FIP was originally codified at 40 CFR
49.23. On April 29, 2011, the FCPP FIP was
redesignated to 40 CFR 49.5512 at 76 FR 23879
(April 29, 2011).
20 For
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that are inconsistent with more recent
actions and rulemakings promulgated
by the EPA in the MATS Rule and the
statutory requirements of the CAA, as
reflected in the 2015 SSM Action. Thus,
these provisions of the current FCPP FIP
are inconsistent with current
requirements and need to be revised to
make them consistent with regulatory
and statutory requirements. The EPA is
also concerned that that these
inconsistencies create confusion and
could lead to regulatory uncertainty by
the source, regulators, courts, or affected
members of the public. Additionally,
the Consent Decree requires APS to
submit a request to the EPA to amend
its FIP to include requirements of the
Consent Decree. APS submitted its
request on June 9, 2016.22 The EPA is
also proposing to find that it is
‘‘necessary or appropriate’’ to revise the
FIP at this time to include the Consent
Decree provisions. For the reasons set
forth above, we are proposing to find
that limited revisions to the FIP for
FCPP are ‘‘necessary or appropriate’’ to
further protect air quality on the Navajo
Nation.
III. Summary of Proposed FIP
Revisions
A. Proposed FIP Revisions
The EPA is proposing limited
revisions to the FCPP FIP at 40 CFR
49.5512 described as follows. We have
included a document in the docket for
this rulemaking that shows the original
text of 40 CFR 49.5512 and the EPA’s
proposed revisions to that text.23
jstallworth on DSK7TPTVN1PROD with PROPOSALS
1. Revisions to 40 CFR 49.5512(a)
In the applicability section of the FIP,
the EPA is proposing to add a statement
that Units 1, 2, and 3 at FCPP
permanently ceased operation by
January 1, 2014 pursuant to the
requirements of 40 CFR 49.5512(i)(3).
2. Revisions to 40 CFR 49.5512(c)
The EPA is proposing to: (1) Specify
that the definitions in paragraph (c) of
40 CFR 49.5512(c) apply to paragraphs
(a) through (j) of 40 CFR 49.5512; (2)
delete the definition of affirmative
defense at 40 CFR 49.5512(c)(1); and (3)
delete the portion of the definition of
malfunction that provides for an
affirmative defense for malfunctions at
40 CFR 49.5512(c)(7). We are also
22 See ‘‘Request to Include Consent Decree in
Four Corners Federal Implementation Plan’’ from
Thomas H. Livingston, Fossil Plant Manager and
Responsible Official, to Elizabeth Adams, Acting
Director, Air Division, EPA Region IX, dated June
9, 2016.
23 See document titled ‘‘2016_1118 FCPP FIP
existing reg text RLSO’’ in the docket for this
proposed rulemaking.
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proposing to delete portions of the
definitions for shutdown (at 40 CFR
49.5512(c)(12)) and startup (at 40 CFR
49.5512(c)(13)) that relate to Units 1, 2,
and 3.
3. Revisions to 40 CFR 49.5512(d)
The EPA is proposing to add a
statement that the emission limitations
under 40 CFR 49.5512(d) apply to FCPP
at all times. Under 40 CFR
49.5512(d)(2), we are proposing to
delete the portion of the PM emission
limitation that provides detailed
specifications, i.e., test duration and
minimum collection volume, related to
PM testing. The EPA is also proposing
to delete the dust provisions in 40 CFR
49.5512(d)(3). Under 40 CFR
49.5512(d)(4), we are proposing to
delete the exclusion of uncombined
water droplets from the opacity
standard and to add a provision stating
that any unit for which the owner or
operator installs, calibrates, maintains,
and operates a PM CEMS to demonstrate
compliance with emission limitations
for PM will be exempt from the opacity
standard. Finally, the EPA is proposing
to delete the portion of the emission
limitation for NOX under 40 CFR
49.5512(d)(5)(i) that applied to Units 1,
2, and 3.
4. Revisions to 40 CFR 49.5512(e)
Paragraph (e) of 40 CFR 49.5512
addresses testing and monitoring and
generally uses sub-paragraphs (e)(1)–
(e)(8) to outline pollutant-specific
requirements to ensure compliance with
the emission limitations in paragraph
(d). Under 40 CFR 49.5512(e), the EPA
is proposing to delete specific
provisions for PM testing and move
revised provisions for PM testing to 40
CFR 49.5512(e)(3). Also under 40 CFR
49.5512(e), we are proposing to remove
provisions that exempt units from
opacity monitoring requirements during
periods when the stack is saturated and
also to remove a presumption that high
opacity readings that occur when the
baghouse is operating within normal
parameters are caused by water vapor
and shall not be considered a violation.
In addition, we are proposing to move
the opacity monitoring requirements
from 40 CFR 49.5512(e) to 40 CFR
49.5512(e)(6). In paragraph
49.5512(e)(1), we are proposing to delete
provisions that specify the compliance
deadline for installing CEMS for SO2
and NOX because CEMS for those
pollutants have already been installed at
FCPP. In paragraph (e)(3), we are
proposing to revise the testing
requirements for PM to be consistent
with the three options for PM testing
under the MATS Rule in 40 CFR part 63
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subpart UUUUU. In paragraph (e)(6), we
are proposing to clarify that (e)(6)
applies if the opacity standard in
paragraph (d)(4) is applicable, i.e., if the
owner or operator has not elected to
install and certify PM CEMS for
demonstrating compliance with PM
emission limitations. In addition, we are
revising the opacity monitoring
requirements in (e)(6) to provide three
options for determining compliance
with the opacity standard, if the opacity
standard applies. Because Units 1, 2,
and 3 at FCPP have permanently ceased
operation, the EPA is also proposing to
delete the testing requirements for those
units in paragraph (e)(8).
5. Revisions to 40 CFR 49.5512(f)
The EPA is proposing revisions to the
reporting and recordkeeping
requirements to provide additional
clarity that all reports and notifications
required in paragraph (f), (f)(4), and
(f)(4)(ii) should be reported to the
Navajo Nation Environmental Protection
Agency (NNEPA) and the EPA. We are
also revising paragraph (f) to require
that the Air Division and the
Enforcement Division within the Region
IX office of the EPA be provided reports
and notifications. Paragraph (f)(1)
includes CEMS notification and
recordkeeping requirements, and we are
proposing to add notification and
recordkeeping requirements for the
Continuous Opacity Monitoring
Systems (COMS) and visible emission
testing. In addition, we are also
proposing to delete the water vapor
exemptions in paragraphs (f)(4)(i) and
(f)(4)(i)(H). Finally, paragraph (f)(4)(i)(G)
requires written reports to include
opacity exceedances from the COMS,
and we are proposing to also require
reporting of opacity exceedances from
the visible emission performance tests.
6. Revisions to 40 CFR 49.5512(h)
The EPA is proposing to delete the
startup and shutdown exemptions for
opacity and PM at paragraph (h)(2), and
to delete the provisions related to an
affirmative defense for malfunctions in
paragraph (h)(3).
7. Revisions to 40 CFR 49.5512(i)
The EPA is proposing to delete the
technical specifications in paragraph
(i)(1) for annual PM testing and require
that PM testing be performed in
accordance with paragraph (e)(3) of
49.5512, which requires either testing
using procedures in accordance with the
MATS Rule at 40 CFR part 63 subpart
UUUUU, or the installation, calibration,
maintenance, and operation of a
continuous parametric monitoring
system (CPMS) or a CEMS for PM. In
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addition, under paragraph (i)(2)(iii), we
are proposing to correct a typographical
error.
8. Addition of 40 CFR 49.5512(k)
The EPA is proposing to promulgate
paragraph (k) to add emission
limitations and other provisions from
the Consent Decree to the FCPP FIP.
B. Justification for Proposed FIP
Revisions
1. Revisions to 40 CFR 49.5512(a)
The EPA is proposing to add a
statement to the applicability paragraph
of the FIP that Units 1, 2, and 3 at the
Four Corners Power Plant permanently
ceased operation by January 1, 2014
pursuant to the requirements of 40 CFR
49.5512(i)(3). This proposed revision is
intended to update the FIP to reflect
current operation at FCPP.
The EPA’s 2012 FIP for Regional Haze
required FCPP to comply with either
emission limitations for BART,
achievable with the installation of SCR
on all five units at FCPP, or a ‘‘better
than BART’’ alternative.24 The operator
of FCPP elected to comply with the
alternative. Under the alternative, the
operator retired Units 1, 2, and 3 by
January 1, 2014, and has begun the
process to install SCR on the Units 4
and 5.
Units 1, 2, and 3 have not been
operated since January 1, 2014, and the
operator has been begun the process to
dismantle those units. Accordingly, it is
reasonable to add a statement regarding
the status of those units. This revision,
if finalized as proposed, would not relax
any requirement or affect the stringency
of the FIP. This proposed change to
update the FIP would not have any
effect on air quality in the area
surrounding FCPP.
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2. Revisions to 40 CFR 49.5512(c)
Paragraph (c) defines certain terms
used in the FIP. As discussed elsewhere,
the EPA is proposing to add a new
paragraph (k) that includes provisions,
including a separate set of definitions,
from the Consent Decree. Therefore, to
avoid confusion associated with slight
differences that may exist between
terms common to both sets of
definitions, we are proposing to specify
that the definitions in paragraph (c)
apply to paragraph (a) through (j). This
revision, if finalized as proposed, would
not relax any requirement or affect the
stringency of the FIP, and would not
have any effect on air quality in the area
surrounding FCPP.
24 See 40 CFR 49.5512(i)(2) and (3). See also 77
FR 51620 (August 24, 2012).
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Consistent with the proposed
revisions to paragraph (a), the EPA is
proposing to remove portions of
definitions for shutdown and startup (at
paragraph (c)(12) and (13)), related to
Units 1, 2, and 3, in order to update the
FIP to reflect current operating
conditions. Because these units were
retired by January 1, 2014, these
revisions, if finalized as proposed,
would not relax any requirements or
affect the stringency of the FIP as
contemplated by CAA section 110(l).
These proposed changes to update the
FIP would not have any effect on air
quality in the area surrounding FCPP.
The EPA is also proposing to remove
definitions and provisions in paragraph
49.5512(c) that provide an affirmative
defense for malfunction episodes. After
the EPA’s promulgation of the 2007 FIP,
the United States Court of Appeals for
the District of Columbia (‘‘D.C. Circuit’’)
ruled that CAA sections 113 (federal
enforcement) and 304 (citizen suits)
preclude EPA from creating affirmative
defense provisions in the Agency’s own
regulations imposing emission
limitations on sources.25 The D.C.
Circuit found that such affirmative
defense provisions purport to alter the
jurisdiction of federal courts to assess
liability and impose penalties for
violations of those limits in private civil
enforcement cases. The D.C. Circuit’s
holding makes clear that the CAA does
not authorize promulgation of such a
provision by the EPA. In particular, the
D.C. Circuit’s decision turned on an
analysis of CAA sections 113 and 304.
These provisions apply with equal force
to a civil action brought to enforce the
provisions of a FIP. The logic of the D.C.
Circuit’s decision thus applies to the
promulgation of a FIP, and precludes
the EPA from including an affirmative
defense provision in a FIP.26 For these
reasons, the EPA is proposing to delete
the provision in the FIP that provides an
affirmative defense for exceedances of
emission limitations that occur during
malfunctions at FCPP. This proposed
revision, if finalized, will not relax any
requirements in the FIP and would not
have any adverse effects on air quality
in the area. Additionally, by removing
an inconsistency between the FIP and
the EPA’s more recently promulgated
regulations and the 2015 SSM Action,
25 See NRDC v. EPA, 749 F.3d 1055 (D.C. Cir.
2014).
26 See February 4, 2013 Memorandum to Docket
EPA–HQ–OAR–2012–0322: ‘‘State Implementation
Plans: Response to Petition for Rulemaking;
Findings of Substantial Inadequacy; and SIP Calls
to Amend Provisions Applying to Excess Emissions
During Periods of Startup, Shutdown, and
Malfunction; Statutory, Regulatory, and Policy
Context for this Rulemaking.’’
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the proposed revision provides more
clarity and certainty.
3. Revisions to 40 CFR 49.5512(d)
The EPA is proposing to add a
statement to make clear that the
emission limitations under 40 CFR
49.5512(d) apply continuously and at all
times. Exemptions from emission
limitations during any mode of source
operation are contrary to CAA
requirements. CAA section 110(a)(2)(A)
requires SIPs to include, among other
requirements, ‘‘enforceable emission
limitations.’’ Section 302(k) of the CAA
defines an emission limitation as: ‘‘a
requirement established by the State or
the Administrator which limits the
quantity, rate, or concentration of
emissions of air pollutants on a
continuous basis, including any
requirement relating to the operation or
maintenance of a source to assure
continuous emission reduction, and any
design, equipment, work practice or
operational standard promulgated under
this Act.’’ The courts have held that the
plain meaning of the term ‘‘continuous’’
does not allow exemptions from
emission limitations.27 For these
reasons, the EPA is proposing to add a
statement to clarify in 40 CFR
49.5512(d) that the emission limitations
in that paragraph apply at all times.
This proposed revision, if finalized,
would strengthen the existing emission
limitations by clarifying that the limits
are applicable at all times, including
during periods of startup and shutdown.
Under paragraph (d)(2), the EPA is
proposing to delete the portion of the
PM emission limitation that specifies
requirements related to the test duration
and minimum collection volume for PM
testing. Generally, the testing
requirements for PM and other
pollutants are found in paragraph (e). To
improve clarity of the regulation, the
EPA is proposing to delete the
provisions in paragraph (d)(2) that relate
to testing and rely solely on paragraph
(e) to specify the requirements for test
methods. This proposed revision, if
finalized, would not relax any
requirements and would not affect air
quality in the area surrounding FCPP.
Under paragraph (d)(3), we are
proposing to delete the requirements for
dust control. The EPA promulgated
paragraph (d)(3) as part of the 2007 FIP.
Following final action on the 2007 FIP,
the operator of FCPP filed a petition for
review, claiming, among other things,
27 See, e.g., Sierra Club v. Johnson, 551 F.3d 1019
(D.C. Cir. 2008); US Magnesium, LLC v. EPA, 690
F.3d 1157 (10th Cir. 2012). This issue is discussed
at length in ‘‘Memorandum to Docket EPA–HQ–
OAR–2012–0322, Statutory, Regulatory, and Policy
Context for this Rulemaking,’’ February 4, 2013.
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that the EPA had not provided an
adequate explanation for promulgating
the dust control requirements.28 In the
litigation, the EPA agreed that the dust
control requirements should be
remanded and vacated because the 2007
FIP did not contain an adequate
explanation of its rationale. On
November 13, 2008, the EPA issued a
final rule to stay the effectiveness of the
dust control requirements at paragraph
(d)(3).29 In the EPA’s 2012 action to
implement the BART requirements for
FCPP, the EPA proposed and finalized
dust control measures in the FCPP FIP
at paragraph (j) that were consistent
with the requirements in paragraph
(d)(3) requiring submission of a dust
control plan and compliance with a 20percent opacity limit.30 The proposal
provided the EPA’s rationale for
establishing dust control requirements,
and these requirements were not
challenged in the final 2012 FIP.
Because the requirements in paragraph
(d)(3) were stayed in 2008 and replaced
by paragraph (j) in 2012, which remains
in effect, the EPA’s proposal to remove
the dust control requirements at
paragraph (d)(3) would not relax any
requirements and would not have any
effects on air quality in the area
surrounding FCPP.
Paragraph (d)(4) establishes a
requirement that the discharge of
emissions from the stacks of Units 4 and
5 shall not exhibit greater than 20
percent opacity, excluding uncombined
water droplets. We are proposing to
delete the exclusion of uncombined
water droplets from the opacity
standard. This specific exclusion of
water vapor is inconsistent with the
2015 SSM Action. The exclusion is also
inconsistent with the EPA’s treatment of
opacity in other rulemakings. For
example, although FCPP is not subject
to the New Source Performance
Standard (NSPS) for electric generating
units at 40 CFR part 60 subpart Da, the
subpart Da standard does not include a
specific exclusion for water vapor in the
opacity standard.31 However, it does
include provisions for addressing
interference of water vapor with the
28 Arizona Public Service Company v. EPA et al.,
562 F.3d 1116, Case No. 07–9546, (10th Circuit,
Apr. 14, 2009).
29 See 73 FR 67107 (November 13, 2008).
30 See 75 FR 64211 (October 19, 2010) and 77 FR
51620 (August 12, 2012).
31 See 40 CFR part 60 subpart Da at 60.42Da(b).
Subpart Da to part 60 is the ‘‘Standard of
Performance for Electric Utility Steam Generating
Units’’ and applies to units that are capable of
combusting more than 73 MW heat input of fossil
fuel and for which construction, modification, or
reconstruction commenced after September 18,
1978. The units at FCPP were constructed prior to
1978 and are not subject to part 60 subpart Da.
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COMS by providing alternative
monitoring requirements to assure
continuous monitoring of baghouse
performance.32 In addition, subpart B to
40 CFR part 75 includes an exemption
from the opacity monitoring
requirements of part 75 (i.e., COMS) for
units with wet flue gas pollution control
systems where it is demonstrated that
condensed water is present and impedes
the accuracy of opacity measurements.33
Generally, these alternatives for
addressing water vapor interference
would be invoked for systems that
consistently experience saturated stack
conditions.
The EPA promulgated the exclusion
of uncombined water droplets in the
2007 FIP to address the technical
challenge at FCPP associated with the
use of COMS to monitor opacity when
the stacks are saturated.34 Currently, the
scrubbers for SO2 control at FCPP
operate with a bypass specifically to
avoid saturated stack conditions given
the physical limitations of the existing
unlined stacks.35 Furthermore, we
understand from the operator of FCPP
that Units 4 and 5 infrequently
experience high opacity readings as a
result of water vapor interference, and
the limited instances generally resulted
from equipment or process issues.36
The EPA is proposing to remove the
provisions exempting water vapor from
the opacity standard and the associated
monitoring and reporting requirements
because these exemptions are
inconsistent with the 2015 SSM Action,
stating that emission standards must
apply at all times, including periods of
malfunction. Our proposal, to remove
the water vapor exemption from the
opacity standard and monitoring
requirements, represents a strengthening
of the FIP. Therefore, we anticipate that
this proposed revision would not have
any adverse effects on air quality in the
surrounding area.
Under paragraph (d)(4), we are also
proposing to add a provision that any
unit for which the owner or operator
installs, calibrates, maintains, and
operates a PM CEMS to demonstrate
compliance with a PM emission
limitation shall be exempt from the
32 See
40 CFR part 60 subpart Da 60.49Da(a).
40 CFR part 75 subpart B at 75.14.
34 See 72 FR 25698 at 25701 (May 7, 2007).
35 We note that the Consent Decree requires the
operator to modify the existing ductwork at FCPP
to withstand saturated conditions in order to
eliminate the bypass. See proposed regulatory text
at 40 CFR 49.5512(k)(3)(ii).
36 See document titled ‘‘Opacity Exceedances due
to Saturated Stack.docx,’’ in the docket for this
rulemaking, showing three opacity exceedances
from Units 4 and 5 combined due to wet stack
conditions over 2011–2015, generally resulting from
equipment malfunction.
33 See
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opacity standard in paragraph (d)(4),
and the associated monitoring and
recordkeeping requirements in
paragraphs (e) and (f). This provision is
consistent with the provisions of the
NSPS at 60.42Da(b)(1) and the Acid
Rain Program requirements at 40 CFR
75.14(e), which generally provides that
any owner or operator that elects to
install, calibrate, maintain, and operate
a CEMS for measuring PM emissions is
exempt from the opacity standard and
monitoring requirements.37 The PM
CEMS is a monitoring system that
provides a continuous assessment of
compliance with a PM limit. Generally,
opacity standards and COMS have been
used as a surrogate to ensure continuous
compliance with a PM emission
standard that would otherwise be
subject to periodic source testing.38 As
noted above, FCPP is not subject to the
NSPS at 60.42Da. However, we are
proposing to follow the same rationale
from Subpart Da to exempt any unit
from the opacity standard and COMS
requirement if a PM CEMS is installed
on that unit and used for determining
continuous compliance with its PM
emission limitation.
As discussed elsewhere in this
proposed rule, the Consent Decree
requires the operator of FCPP, by early
2017, to install PM CEMS and, by mid2018, to make modifications to the
stacks to withstand saturated conditions
to allow greater SO2 removal efficiency
(by reducing or eliminating the existing
scrubber bypass). After these stack
modifications are made in 2018, we
anticipate that the units at FCPP will
more consistently experience saturated
stack conditions that may impede the
accuracy of opacity measurements. We
consider the use of PM CEMS to be an
improvement upon the use of an opacity
standard and COMS as a surrogate for
measuring continuous compliance with
PM limits, particularly for wet stacks.
Therefore, the EPA does not consider
these revisions to relax any
requirements or to result in any adverse
effects on air quality in the surrounding
area.
The last proposed revision under
paragraph (d) is to remove the emission
limitation for NOX that applied to Units
1, 2, and 3 at FCPP under 40 CFR
49.5512(d)(5)(i). The owner or operator
permanently ceased operation of Units
1, 2, and 3 by January 1, 2014; therefore,
removal of the emission limitations for
these retired units specified in
37 See
also 77 FR 9304 (February 16, 2012).
e.g., discussion of opacity in the 2007 FIP
for FCPP, 72 FR 25698 at 25701 (May 7, 2007),
stating that opacity limits are generally applied to
ensure a unit is meeting its PM limit.
38 See,
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paragraph (d)(5)(i) would not relax any
requirements or have any effect on air
quality in the area surrounding FCPP.
4. Revisions to 40 CFR 49.5512(e)
Paragraph (e) of 40 CFR 49.5512
generally relates to testing and
monitoring requirements that follow in
subparagraphs (e)(1)–(e)(8). Under
paragraph (e), prior to subparagraph
(e)(1), we are proposing to remove
specific provisions for particulate matter
testing and to move revised provisions
for PM to subparagraph (e)(3). The EPA
is proposing this revision to improve the
clarity of the regulatory requirements.
Therefore, this proposed revision, to
address testing and monitoring
requirements elsewhere, within specific
sub-paragraphs in paragraph (e), would
not relax any requirements or affect air
quality in the surrounding area. We
address the specific provisions related
to revisions to the PM testing and
monitoring provisions in a separate
discussion on paragraph (e)(3).
In paragraph (e), we are also
proposing to remove provisions related
to opacity and move revised opacity
monitoring requirements to paragraph
(e)(6). We are proposing to remove the
existing opacity monitoring exemption
for periods when the stack is saturated
and to remove the presumption that
high opacity readings that occur when
the baghouse is operating within normal
parameters is caused by water vapor and
shall not be considered a violation. As
outlined in our justification for
proposed revisions to paragraph (d)(4),
the existing exemptions for opacity
monitoring for periods of saturated
stacks are inconsistent with the EPA’s
interpretation of CAA requirements to
prohibit emission limitation exemptions
and affirmative defenses applicable to
excess emissions during malfunctions.
The proposed revisions to the opacity
standard and monitoring requirements
strengthen the FIP and therefore, these
changes would not affect air quality in
the surrounding area.
In paragraph (e)(1), we are proposing
to remove the provision specifying a
compliance deadline for installing
CEMS for SO2, NOX, and a diluent
because the CEMS for those pollutants
have already been installed. The EPA is
not revising the provisions related to the
required operation, maintenance, or
certification of the CEMS. Because we
are proposing to delete a requirement
that merely establishes a compliance
date that has already been met, this
proposed revision would not relax any
requirements or affect air quality in the
surrounding area.
In paragraph (e)(3), the EPA is
proposing to revise the annual PM
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testing requirements to require the
owner or operator to either: Conduct PM
testing in accordance with the quarterly
testing specifications in the MATS Rule
(see Table 5, 40 CFR part 63, subpart
UUUUU); to install, calibrate, maintain,
and operate a CPMS on each unit in
accordance with the MATS Rule (see 40
CFR part 63, subpart UUUUU); or to
install, calibrate, maintain, and operate
a PM CEMS on each unit, in accordance
with the MATS Rule (see 40 CFR part
63, subpart UUUUU). Currently,
paragraph (e)(3) requires annual PM
testing. We are proposing to align the
PM testing requirement in the 2007 FIP
with the testing requirements in the
MATS Rule, which includes either
quarterly testing or continuous
monitoring. Therefore, this proposed
revision would increase the frequency
of PM testing required in the FIP from
an annual basis to either a quarterly or
a continuous basis. In addition, the
testing provisions in the MATS Rule
generally refer to the same test methods
as those already referenced elsewhere in
the FCPP FIP in paragraphs (e) and
(i)(1), e.g., 40 CFR part 60 Appendices
A–1 through A–3, Methods 1 through 4,
and Method 5. Therefore, this proposed
revision streamlines testing for PM, does
not relax any other requirements, and
makes the testing requirements for PM
under the FIP consistent with the PM
testing requirements in a recent national
rulemaking. This proposed revision
would not have adverse impacts on air
quality in the surrounding area.
In paragraph (e)(6), we are proposing
to clarify that this opacity monitoring
provision applies only to units at FCPP
that are subject to the opacity standard
at paragraph (d)(4). As discussed
elsewhere in this proposed rule, we are
proposing that the opacity standard
would apply only if the owner or
operator does not elect to monitor
compliance with the PM limit using PM
CEMS. If the opacity standard applies,
under paragraph (e)(6) we are proposing
three options for determining
compliance with the opacity standard.
The first option specifies separate
compliance demonstrations for the
opacity standard under dry and wet
conditions. When the stack is dry
(unsaturated), we are proposing to
continue to require use of the existing
COMS. However, during periods of wet
(saturated) stack conditions, which are
currently infrequent, the condensed
water vapor may impede the accuracy of
opacity measurements. Therefore,
anticipating that saturated stack
conditions at FCPP may occur more
frequently in the future, we are
proposing to require the owner or
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operator to demonstrate compliance
with the opacity standard during
saturated stack conditions using visible
emission performance testing. We
consider the visible emission
compliance demonstrations to provide
reasonable demonstrations of
compliance with the opacity standard
during these infrequent occurrences.
However, when the stacks at FCPP are
lined to eliminate the scrubber bypass
and result in consistently saturated
stacks, continuous visible emission
performance tests may be impractical.
Therefore, we are proposing two
additional options for determining
compliance with the opacity standard.
Both options are provided in 40 CFR
part 60 subpart Da as alternatives to
COMS for units experiencing
interference from water vapor.39 In
paragraph (e)(6)(ii), we are proposing a
second option that requires the
installation and maintenance of a
CPMS, in accordance with the MATS
Rule at 40 CFR part 63 subpart UUUUU,
combined with periodic visible
emission testing in accordance with 40
CFR 60.49Da(a)(3). In paragraph
(e)(6)(iii), we are proposing a third
option that requires monitoring
performance of the existing baghouses
using a bag leak detection system in
accordance with 40 CFR 60.48Da(o)(4),
or an alternative bag leak detection
system approved by the EPA, combined
with periodic visible emission testing in
accordance with 40 CFR
60.49Da(a)(3).40 As discussed elsewhere
in this notice, the proposed revisions to
the opacity standard and monitoring
requirements would strengthen the FIP
and benefit air quality in the
surrounding area because they remove
existing exemptions in the FIP and
provide reasonable alternatives to
address saturated stack conditions in a
manner that is consistent with other
national rulemakings.
Because Units 1, 2, and 3 have
permanently ceased operation, we are
proposing to delete the testing
requirements for those units in
paragraph (e)(8). Removal of the testing
requirements for these retired units
would not relax any requirements or
have any effect on air quality in the area
surrounding FCPP.
5. Revisions to 40 CFR 49.5512(f)
The EPA is proposing revisions to the
reporting and recordkeeping
requirements to provide additional
clarity that all reports and notifications
39 See
40 CFR 60.49Da(2)(i) and 60.49Da(a)(4)(ii).
40 CFR 60.13(h)(3)(i), the Administrator
may approve alternatives to any monitoring
procedures or requirements of part 60.
40 Under
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required in paragraph (f), (f)(4), and
(f)(4)(ii) must be submitted to the
NNEPA and the EPA. Within the
recordkeeping and reporting
requirements in paragraph (f), we are
proposing changes to clarify that any
reports that are required to be submitted
to the Regional Administrator or the
Administrator must be submitted to the
Director of NNEPA and to the Air
Division Director at Region IX office of
the EPA. We are also revising paragraph
(f) to require that the Director of the
Enforcement Division, in addition to the
Director of the Air Division, at the
Region IX office of the EPA, be provided
reports and notifications. These
proposed revisions do not relax any
requirements or have any effect on air
quality in the area surrounding FCPP.
Paragraph (f)(1) requires notification
and recordkeeping requirements for the
CEMS. The EPA is proposing to add the
COMS and visible emission testing to
the notification and recordkeeping
requirements in this paragraph. These
proposed revisions do not relax any
requirements and would not adversely
affect air quality in the area surrounding
FCPP.
In paragraph (f)(3), we are proposing
to delete the specification related to the
frequency of particulate matter testing
but are not proposing to modify any
provisions related to PM testing reports
to the EPA. As discussed elsewhere, we
are proposing modifications to the PM
testing requirements to align with the
MATS Rule, which provides three
options for demonstrating compliance
with the PM emission limitations:
Quarterly stack tests, CPMS, or PM
CEMS. Deleting the specification in
paragraph (f)(3) that PM testing occurs
annually is consistent with the
proposed revision to align the PM
testing and monitoring requirements for
FCPP with those of the MATS Rule.
In addition, in paragraphs (f)(4)(i) and
(f)(4)(ii), we are proposing to delete the
mailing addresses and other details
related to reporting requirements, as
they are redundant to the provisions in
paragraph (f). All reports and
notifications under paragraph (f) must
be submitted to the NNEPA and the
EPA, and we are proposing to clarify
under paragraph (f) that all references to
the Regional Administrator in that
paragraph mean the Directors of the
NNEPA and two divisions within the
EPA Region IX office. Paragraph (f)(4)
repeats addresses and other details
already stated in paragraph (f). The EPA
is proposing to delete these redundant
provisions in paragraph (f)(4). We
anticipate this revision would improve
regulatory clarity and would have no
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impact on air quality in the surrounding
area.
Consistent with the proposed
revisions to the opacity standard and
COMS requirement in paragraphs (d)
and (e), we are proposing to delete
references to saturated stack conditions
in paragraphs (f)(4)(i) and (f)(4)(i)(H). In
paragraph (f)(4)(i)(G), we are also
proposing to require the owner or
operator to report opacity exceedances
determined from the visible emission
performance tests. As discussed
elsewhere in this notice, because
provisions in the existing FCPP FIP
exempt the units from the opacity limit
during periods where the stacks were
saturated, the removal of the exemption
represents a strengthening of the FIP
and would not relax other requirements
in the FCPP FIP.
6. Revisions to 40 CFR 49.5512(h)
The EPA is proposing to delete the
startup and shutdown exemptions for
the opacity and PM emission limitations
at paragraph (h)(2) and to delete the
provisions related to an affirmative
defense for malfunctions in paragraph
(h)(3). As discussed previously,
exemptions from emission limitations
and provisions that allow an affirmative
defense are inconsistent with CAA
requirements. Using the same rationale
we provided elsewhere in this notice,
for the proposed revisions to 40 CFR
52.5512(c) and (d), the EPA is proposing
to delete the provisions at paragraph
(h)(2) that provide an exemption from
emission limitations during periods of
startup and shutdown and also to delete
the provisions in the paragraph (h)(3)
that provide an affirmative defense for
malfunctions at FCPP. The proposed
removal of these provisions strengthens
the FIP and does not relax any other
requirements in the FIP. Therefore, the
removal of these revisions would not
adversely affect air quality in the
surrounding area.
7. Revisions to 40 CFR 49.5512(i)
Under paragraph (i)(1), promulgated
in the 2012 FIP, the EPA is proposing
to delete the existing provisions related
to annual PM testing and add a
provision that PM testing shall be
performed in accordance with
paragraph (e)(3), which requires
quarterly PM testing, or installation,
calibration, and operation of CPMS, or
PM CEMS, in accordance with the
MATS Rule. This proposed revision
would increase the frequency of PM
testing from an annual basis to either a
quarterly or continuous basis. The
testing provisions in the MATS Rule
generally refer to the same test methods
already referenced in the FIP in
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paragraphs (e) and (i)(1), e.g., 40 CFR
part 60 Appendices A–1 through A–3,
Methods 1 through 4, and Method 5.
This proposed revision would not relax
any requirements and would make the
testing requirements for PM under the
FIP consistent with the PM testing
requirements in recent national
rulemakings. Therefore, this revision
would not have adverse impacts on air
quality in the surrounding area.
In addition, under paragraph (i)(2)(iii)
of the 2012 FIP, we are proposing to
correct a typographical error in a
citation. Paragraph (i)(2)(iii) provides
the schedule for the installation of addon post-combustion NOX controls and
refers to interim emission limitations for
NOX at paragraph (i)(2)(ii)(A). However,
the interim emission limitations are
found in paragraph (i)(2)(ii), and
subparagraph (A) to paragraph (i)(2)(ii)
does not exist. Although the interim
limits under paragraph (i)(2)(ii) do not
apply because the owner or operator
elected to implement paragraph (i)(3) in
lieu of paragraph (i)(2) for NOX, the EPA
is proposing to correct this error in
order to improve regulatory clarity. This
proposed revision would have no effect
on air quality in the surrounding area.
8. Addition of 40 CFR 49.5513(k)
The EPA is proposing to add
paragraph (k) to include provisions
required for compliance with the
Consent Decree. The EPA is not
revisiting or opening for comment any
of the specific requirements of the
Consent Decree and is requesting
comment only on whether the EPA has
incorporated all appropriate
requirements from the Consent Decree
into the FIP. Generally, the Consent
Decree established emission limitations
and other requirements to reduce
emissions of SO2, NOX and PM. The
Consent Decree requires the owner or
operator to modify the existing
ductwork and stacks for Units 4 and 5
to accommodate a wet stack in order to
eliminate the need to bypass flue gas
around the scrubbers and to achieve and
maintain an SO2 removal efficiency of at
least 95 percent, which is more stringent
than the requirement to achieve an 88
percent removal efficiency in paragraph
(d)(1)(i). The Consent Decree also
established an emission limitation for
NOX of 0.080 lb/MMBtu, which is more
stringent than the NOX limit of 0.098 lb/
MMBtu in 40 CFR 49.5512(i)(3) from the
2012 FIP. Finally, the Consent Decree
established a PM emission limitation of
0.0150 lb/MMBtu for Units 4 and 5,
which is more stringent than the PM
limit of 0.015 lb/MMBtu that was
applied to those units in the 2012 FIP.
Because the Consent Decree set more
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stringent emission limitations, the
proposed revision to incorporate the
provisions of the Consent Decree into
the FIP for FCPP strengthens the FIP
and would not relax any existing
requirements. In this action, the EPA is
merely proposing to incorporate the
existing Consent Decree requirements
into the FIP for FCPP and is requesting
comment only on whether the EPA has
incorporated all appropriate
requirements from the Consent Decree
into the FIP. The Consent Decree is
anticipated to benefit air quality, and
the proposed inclusion of the Consent
Decree requirements in the FIP would
make those requirements continue to be
federally enforceable after the Consent
Decree is terminated.
C. Compliance Schedule
The EPA proposes that the
requirements contained in this proposal
will become enforceable on the effective
date following final promulgation of this
FIP revision unless otherwise provided
in a specific provision of the FIP.
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IV. Proposed Action and Solicitation of
Comments
As described above, the EPA proposes
revisions to the FCPP FIP for several
reasons: (1) To make certain provisions
in the FIP consistent with national
rulemakings and other actions since
2012; (2) to update the FIP to reflect
recent operating changes; and (3) to add
new provisions to the FIP to include the
requirements of the Consent Decree.
The EPA solicits comments on the
limited revisions of the FCPP FIP that
we are proposing in this rulemaking. We
are also soliciting comment on whether
the EPA has accurately incorporated the
requirements from the Consent Decree
into paragraph (k) of the FIP. We are not
accepting comment on any provisions of
the FCPP FIP that we are not proposing
to revise, and we are not accepting
comment on the specific requirements
of the Consent Decree. Accordingly,
please limit your comments to those
specific provisions recited above that
we are proposing to revise in today’s
action.
V. Environmental Justice
Considerations
The Four Corners Power Plant is
located on the reservations lands of the
Navajo Nation, and the EPA recognizes
there is significant community interest
in the emissions and environmental
effects of this facility. As discussed
elsewhere in this document, the
proposed revisions to the FCPP FIP
would: Strengthen the FIP by removing
emission limitation exemptions for
periods of startup, shutdown, and
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saturated stacks; remove an affirmative
defense applicable to excess emissions
during malfunctions; and codify more
stringent emission limitations for SO2,
NOX, and PM from a Consent Decree
dated August 17, 2015. Additional
revisions to the FCPP FIP proposed in
this notice, including to streamline
certain testing requirements to be
consistent with national rulemakings
promulgated since 2008 and to remove
requirements for units that have
permanently ceased operation, would
not relax any condition in the FCPP FIP.
Therefore, the EPA considers this
proposed action to be beneficial for
human and environmental health, and
to have no potential disproportionately
high and adverse effects on minority,
low-income, or indigenous populations.
VI. Statutory and Executive Order
Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
This action is not a significant
regulatory action and was therefore not
submitted to the Office of Management
and Budget (OMB) for review.
B. Paperwork Reduction Act (PRA)
This action does not impose an
information collection burden under the
provisions of the Paperwork Reduction
Act, 44 U.S.C. 3501 et seq. This rule
applies to only one facility. Therefore,
its recordkeeping and reporting
provisions do not constitute a
‘‘collection of information’’ as defined
under 44 U.S.C. 3502(3) and 5 CFR
1320.3(c).
C. Regulatory Flexibility Act (RFA)
I certify that this proposed action will
not have a significant economic impact
on a substantial number of small
entities. This action will not impose any
requirements on small entities. Firms
primarily engaged in the generation,
transmission, and/or distribution of
electric energy for sale are small if,
including affiliates, the total electric
output for the preceding fiscal year did
not exceed four million megawatt-hours.
Each of the owners of the facility (i.e.,
Arizona Public Service, Salt River
Project, Tucson Electric Power, and El
Paso Electric) affected by this rule
exceed this threshold.
D. Unfunded Mandates Reform Act
(UMRA)
This action does not contain an
unfunded mandate of $100 million or
more as described in UMRA, 2 U.S.C.
1531–1538, and does not significantly or
uniquely affect small governments.
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E. Executive Order 13132: Federalism
This action does not have federalism
implications. It will not have substantial
direct effects on the states, on the
relationship between the national
government and the states, or on the
distribution of power and
responsibilities among the various
levels of government.
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This action does not have tribal
implications, as specified in Executive
Order 13175. Although this proposed
action affects a facility located in Indian
country, the proposed limited revisions
to existing provisions in the FIP for
FCPP, and the incorporation of
provisions into the FIP from a Consent
Decree, which has already undergone
public review and was the subject of
tribal consultation, will not have
substantial direct effects on any Indian
tribes, on the relationship between the
federal government and Indian tribes, or
on the distribution of power and
responsibilities between the federal
government and Indian tribes. Thus,
Executive Order 13175 does not apply
to this action. However, we note that we
have engaged in numerous discussions
with the NNEPA during the
development of this proposed rule and
continue to invite consultation on this
proposed action.
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
EPA interprets EO 13045 as applying
only to those regulatory actions that
concern health or safety risks that EPA
has reason to believe may
disproportionately affect children, per
the definition of ‘‘covered regulatory
action’’ in section 2–202 of the
Executive Order. This action is not
subject to Executive Order 13045
because it does not concern an
environmental health risk or safety risk.
H. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
This action is not subject to Executive
Order 13211 because it is not a
significant regulatory action under
Executive Order 12866.
I. National Technology Transfer and
Advancement Act
This action involves technical
standards. The technical standards in
this action are based on the technical
standards used in other rulemakings
promulgated by the EPA. We refer to the
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discussion of the technical standards
and voluntary consensus standards in
the final rule for 40 CFR part 60 subpart
Da and 40 CFR part 63 subpart UUUUU
at 77 FR 9304 at 9441 (February 16,
2012).
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
The EPA believes the human health or
environmental risk addressed by this
action will not have potential
disproportionately high and adverse
human health or environmental effects
on minority, low-income or indigenous
populations. If this rule is finalized as
proposed, we expect that the limited
revisions to the FIP will strengthen
requirements for periods of startup,
shutdown, and malfunction and will not
relax any other existing requirements.
Additional revisions related to
streamlining of PM testing and
providing options for PM and opacity
testing that are in accordance with other
rulemakings from the EPA will not
affect air quality in the area surrounding
FCPP.
List of Subjects in 40 CFR Part 49
Environmental protection,
Administrative practice and procedure,
Air pollution control, Incorporation by
reference, Indians, Intergovernmental
relations, Reporting and recordkeeping
requirements, Startup shutdown and
malfunction.
Dated: November 22, 2016.
Alexis Strauss,
Acting Regional Administrator, Region IX.
Chapter I, title 40, of the Code of
Federal Regulations is proposed to be
amended as follows:
PART 49—INDIAN COUNTRY: AIR
QUALITY PLANNING AND
MANAGEMENT
1. The authority citation for part 49
continues to read as follows:
■
Authority: 42 U.S.C. 7401, et seq.
Subpart L—Implementation Plans for
Tribes—Region IX
2. Section 49.5512 is amended by:
a. Revising paragraph (a);
b. Revising paragraph (c) introductory
text;
■ c. Removing and reserving paragraph
(c)(1);
■ d. Revising paragraph (c)(7);
■ e. Revising paragraph (c)(12);
■ f. Revising paragraph (c)(13);
■ g. Revising paragraph (d) introductory
text;
■ h. Revising paragraph (d)(2);
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■
■
■
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i. Removing and reserving paragraph
(d)(3);
■ j. Revising paragraph (d)(4);
■ k. Revising paragraph (d)(5);
■ l. Revising paragraph (e) introductory
text;
■ m. Revising paragraph (e)(1);
■ n. Revising paragraph (e)(3);
■ o. Revising paragraph (e)(6);
■ p. Removing and reserving paragraph
(e)(8);
■ q. Revising paragraph (f) introductory
text;
■ r. Revising paragraph (f)(1);
■ s. Revising paragraph (f)(3)
introductory text;
■ t. Revising paragraphs (f)(4)(i)
introductory text, (f)(4)(i)(G) and (H) and
(f)(4)(ii);
■ u. Removing and reserving paragraphs
(h)(2) and (3);
■ v. Revising paragraph (i)(1);
■ w. Revising paragraph (i)(2)(iii)(A);
and
■ x. Adding paragraph (k).
The text to read as follows:
■
§ 49.5512 Federal Implementation Plan
Provisions for Four Corners Power Plant,
Navajo Nation.
(a) Applicability. The provisions of
this section shall apply to each owner
or operator of the coal burning
equipment designated as Units 1, 2, 3,
4, and 5 at the Four Corners Power Plant
(the Plant) on the Navajo Nation Indian
Reservation located in the Four Corners
Interstate Air Quality Control Region
(see 40 CFR 81.121). Units 1, 2, and 3
at the Four Corners Power Plant
permanently ceased operation by
January 1, 2014, pursuant to the
requirements of paragraph (i)(3).
*
*
*
*
*
(c) Definitions. For the purposes of
paragraphs (a)–(j):
(1) [Reserved]
*
*
*
*
*
(7) Malfunction means any sudden
and unavoidable failure of air pollution
control equipment or process equipment
or of a process to operate in a normal
or usual manner.
*
*
*
*
*
(12) Shutdown means the cessation of
operation of any air pollution control
equipment, process equipment, or
process for any purpose. For Units 4 or
5, shutdown begins when the unit drops
below 300 MW net load with the intent
to remove the unit from service.
(13) Startup means the setting into
operation of any air pollution control
equipment, process equipment, or
process for any purpose. For Units 4 or
5, startup ends when the unit reaches
400 MW net load.
*
*
*
*
*
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(d) Emissions Standards and Control
Measures. The following emission limits
shall apply at all times.
*
*
*
*
*
(2) Particulate Matter. No owner or
operator shall discharge or cause the
discharge of particulate matter from any
coal burning equipment into the
atmosphere in excess of 0.050 pounds
per million British thermal unit (lb/
MMBtu) of heat input (higher heating
value).
(3) [Reserved].
(4) Opacity. No owner or operator
shall discharge or cause the discharge of
emissions from the stacks of Units 4 and
5 into the atmosphere exhibiting greater
than 20 percent opacity, averaged over
any six (6) minute period, except for one
six (6) minute period per hour of not
more than 27 percent opacity. Any unit
for which the owner or operator installs,
calibrates, maintains, and operates
particulate matter CEMS under
paragraph (e)(3) of this section shall be
exempt from this opacity standard in
this paragraph (d)(4) and associated
requirements in paragraphs (e) and (f) to
demonstrate compliance with the
opacity standard.
(5) Oxides of nitrogen. No owner or
operator shall discharge or cause the
discharge of NOX into the atmosphere in
excess of the amounts specified below.
(i) 0.65 lb/MMBtu of heat input per
unit averaged over any successive thirty
(30) boiler operating-day period from
Units 4 and 5;
(ii) 335,000 lb per 24-hour period
when coal-burning equipment is
operating, on a plant-wide basis; for
each hour when coal-burning
equipment is not operating, this
limitation shall be reduced. If the unit
which is not operating is Unit 1, 2, or
3, the limitation shall be reduced by
1,542 lb per hour for each unit which
is not operating. If the unit which is not
operating is Unit 4 or 5, the limitation
shall be reduced by 4,667 lb per hour for
each unit which is not operating.
(e) Testing and Monitoring.
Compliance with the emissions limits
set for SO2 and NOX shall be determined
by using data from a CEMS unless
otherwise specified in paragraphs (e)(2)
and (e)(4) of this section.
(1) The owner or operator shall
maintain and operate CEMS for SO2, NO
or NOX, and a diluent, and for Units 4
and 5 only, COMS, in accordance with
40 CFR 60.8 and 60.13, and appendix B
of 40 CFR part 60. Completion of 40
CFR part 75 monitor certification
requirements shall be deemed to satisfy
the requirements under 40 CFR 60.8 and
60.13 and appendix B of part 60. The
owner or operator shall comply with the
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quality assurance procedures for CEMS
found in 40 CFR part 75, and all reports
required thereunder shall be submitted
to the Regional Administrator. The
owner or operator shall provide the
Regional Administrator notice in
accordance with 40 CFR 75.61.
*
*
*
*
*
(3) To assure continuous compliance
with the particulate matter limits in
paragraph (d)(2), the owner or operator
shall either conduct particulate matter
testing in accordance with the testing
specifications outlined in Table 5 of 40
CFR part 63 subpart UUUUU, or install,
calibrate, operate, and maintain a
continuous parametric monitoring
system (CPMS) for that unit in
accordance with 40 CFR part 63 subpart
UUUUU, or install, calibrate, maintain,
and operate particulate matter CEMS in
accordance with 40 CFR part 63 subpart
UUUUU. The owner or operator shall
submit a written notification, in
accordance with paragraph (f), of intent
to demonstrate compliance with this
paragraph by using a CPMS or PM
CEMS. This notification shall be sent at
least 30 calendar days before the initial
startup of the monitor for compliance
determination purposes. The owner or
operator may discontinue operation of
the monitor and instead return to
demonstration of compliance with this
paragraph using quarterly PM testing by
submitting written notification, in
accordance with paragraph (f), of such
intent at least 30 calendar days before
shutdown of the monitor for compliance
determination purposes. Nothing in this
paragraph replaces or supersedes the
requirements for PM CEMS in the
August 17, 2015 Consent Decree under
paragraph (k).
*
*
*
*
*
(6) If the opacity standard in
paragraph (d)(4) applies, the owner or
operator shall demonstrate compliance
with the opacity standard using one of
the following options:
(i) Operate Continuous Opacity
Monitoring Systems (COMS) and
maintain a set of opacity filters to be
used as audit standards. Compliance
with the opacity standard during
periods of dry (unsaturated) stack
conditions shall be determined using
COMS. Compliance with the opacity
standard during periods of wet
(saturated) stack conditions shall be
determined using visible emission
performance testing specified in 40 CFR
part 60 appendix A–4 Method 9 during
the duration of the saturated stack
condition, or
(ii) Install, calibrate, operate, and
maintain a continuous parametric
monitoring system (CPMS) for that unit
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in accordance with 40 CFR part 63
subpart UUUUU, including the
requirements for the development of
site-specific monitoring plans and
recordkeeping and reporting; and
conduct periodic performance testing of
visible emissions using the procedures
specified in paragraphs 40 CFR
60.49Da(a)(3), or
(iii) monitor performance of the
baghouses using a bag leak detection
system in accordance with 40 CFR
60.48Da(o)(4), or an alternative bag leak
detection system approved by the EPA,
including requirements for the
development of site-specific monitoring
plans and recordkeeping and reporting;
and conduct periodic performance
testing of visible emissions using the
procedures specified in paragraphs 40
CFR 60.49Da(a)(3).
*
*
*
*
*
(8) [Reserved]
(f) Reporting and Recordkeeping
Requirements. All requests, reports,
submittals, notifications, and other
communications to the Regional
Administrator or Administrator required
by this paragraph (f) and references
therein shall be submitted to the
Director, Navajo Nation Environmental
Protection Agency, P.O. Box 339,
Window Rock, Arizona 86515, (928)
871–7692, (928) 871–7996 (facsimile); to
the Director, Air Division, U.S.
Environmental Protection Agency,
Region IX, to the attention of Mail Code:
AIR–3, at 75 Hawthorne Street, San
Francisco, California 94105, (415) 972–
397490, (415) 947–3579 (facsimile); and
to the Director, Enforcement Division,
U.S. Environmental Protection Agency,
to the attention of Mail Code ENF–2–1,
at 75 Hawthorne Street, San Francisco,
California, 94105, (415) 972–3982, or by
email to r9.aeo@epa.gov. For each unit
subject to the emissions limitation in
this section and upon completion of the
installation of CEMS and COMS as
required in this section, the owner or
operator shall comply with the
following requirements:
(1) For each emissions limit in this
section, comply with the notification
and recordkeeping requirements for
CEMS and COMS compliance
monitoring in 40 CFR 60.7(c) and (d),
and for visible emissions testing, if
applicable under paragraph (e)(6),
record and report results of the test in
accordance with 40 CFR 60.7(d).
*
*
*
*
*
(3) Furnish the Regional
Administrator with reports describing
the results of the particulate matter
emissions tests postmarked within sixty
(60) days of completing the tests. Each
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report shall include the following
information:
*
*
*
*
*
(4) * * *
(i) For excess emissions, the owner or
operator shall notify the Regional
Administrator by telephone or in
writing within one business day (initial
notification). A complete written report
of the incident shall be submitted
within ten (10) working days of the
initial notification. The complete
written report shall include:
*
*
*
*
*
(G) For an opacity exceedance, the 6minute average opacity monitoring data
or visible emission performance test
results greater than 20 percent opacity
for the 24 hours prior to and during the
exceedance for Units 4 and 5; and
(H) The efforts taken or being taken to
minimize the excess emissions and to
repair or otherwise bring the Plant into
compliance with the applicable
emissions limit(s) or other requirements.
(ii) If the period of excess emissions
extends beyond the submittal of the
written report, the owner or operator
shall also notify the Regional
Administrator in writing of the exact
time and date when the excess
emissions stopped. Compliance with the
excess emissions notification provisions
of this section shall not excuse or
otherwise constitute a defense to any
violations of this section or of any law
or regulation which such excess
emissions or malfunction may cause.
*
*
*
*
*
(i) * * *
(1) Particulate Matter from Units 4
and 5 shall be limited to 0.015 lb/
MMBtu for each unit. Particulate matter
testing shall be performed in accordance
with paragraph (e)(3) of this section.
(2) * * *
(iii) * * *
(A) Within 4 years of the effective
date of this rule, FCPP shall have
installed add-on post-combustion NOX
controls on at least 750 MW (net) of
generation to meet the interim emission
limit in paragraph (i)(2)(ii) of this
section.
*
*
*
*
*
(k) Emission limitations from August
17, 2015 Consent Decree. The emission
limitations and other requirements from
this paragraph (k), originally contained
in a Consent Decree filed on August 17,
2015 in the United States District Court
for the District of New Mexico, are in
addition to the requirements in
paragraphs (a) through (j) of this section.
(1) Definitions. Every term expressly
defined in this paragraph (k) shall have
the meaning given that term herein.
Every other term used in this paragraph
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(k) that is also a term used under the Act
or in a federal regulation implementing
the Act shall mean what such term
means under the Act or those
regulations.
(i) A ‘‘30-Day Rolling Average NOX
Emission Rate’’ for a Unit shall be
expressed in lb/MMBtu and calculated
in accordance with the following
procedure: First, sum the total pounds
of NOX emitted from the Unit during the
current Unit Operating Day and the
previous twenty nine (29) Unit
Operating Days; second, sum the total
heat input to the Unit in MMBtu during
the current Unit Operating Day and the
previous twenty-nine (29) Unit
Operating Days; and third, divide the
total number of pounds of NOX emitted
during the thirty (30) Unit Operating
Days by the total heat input during the
thirty (30) Unit Operating Days. A new
30-Day Rolling Average NOX Emission
Rate shall be calculated for each new
Unit Operating Day. Each 30-Day
Rolling Average NOX Emission Rate
shall include all emissions that occur
during all periods within any Unit
Operating Day, including emissions
from startup, shutdown, and
Malfunction.
(ii) A ‘‘30-Day Rolling Average SO2
Removal Efficiency’’ means the percent
reduction in the mass of SO2 achieved
by a Unit’s FGD system over a thirty (30)
Unit Operating Day period and shall be
calculated as follows: Step one, sum the
total pounds of SO2 emitted as
measured at the outlet of the FGD
system for the Unit during the current
Unit Operating Day and the previous
twenty-nine (29) Unit Operating Days as
measured at the outlet of the FGD
system for that Unit; step two, sum the
total pounds of SO2 delivered to the
inlet of the FGD system for the Unit
during the current Unit Operating Day
and the previous twenty-nine (29) Unit
Operating Days as measured at the inlet
to the FGD system for that Unit (this
shall be calculated by measuring the
ratio of the lb/MMBtu SO2 inlet to the
lb/MMBtu SO2 outlet and multiplying
the outlet pounds of SO2 by that ratio);
step three, subtract the outlet SO2
emissions calculated in step one from
the inlet SO2 emissions calculated in
step two; step four, divide the
remainder calculated in step three by
the inlet SO2 emissions calculated in
step two; and step five, multiply the
quotient calculated in step four by 100
to express as a percentage of removal
efficiency. A new 30-Day Rolling
Average SO2 Removal Efficiency shall
be calculated for each new Unit
Operating Day, and shall include all
emissions that occur during all periods
within each Unit Operating Day,
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including emissions from startup,
shutdown, and Malfunction.
(iii) ‘‘Annual Tonnage Limitation’’
means the limitation on the number of
tons of the pollutant in question that
may be emitted from FCPP during the
relevant calendar year (i.e., January 1
through December 31), and shall
include all emissions of the pollutant
emitted during periods of startup,
shutdown and Malfunction.
(iv) ‘‘Baghouse’’ means a full stream
(fabric filter) particulate emissions
control device.
(v) ‘‘Clean Air Act’’ and ‘‘the Act’’
mean the federal Clean Air Act, 42
U.S.C. 7401–7671q, and its
implementing regulations.
(vi) ‘‘CEMS’’ and ‘‘Continuous
Emission Monitoring System,’’ mean,
for obligations involving the monitoring
of NOX and SO2 emissions under this
paragraph (k), the devices defined in 40
CFR 72.2, and the SO2 monitors
required by this paragraph (k) for
determining compliance with the 30Day Rolling Average SO2 Removal
Efficiency requirement set forth in this
paragraph (k).
(vii) ‘‘Continuous Operation,’’
‘‘Continuously Operate,’’ and
‘‘Continuously Operating’’ mean that
when a pollution control technology or
combustion control is required to be
used at a Unit pursuant to this
paragraph (k) (including, but not limited
to, SCR, FGD, or Baghouse), it shall be
operated at all times such Unit is in
operation, consistent with the
technological limitations,
manufacturers’ specifications, good
engineering and maintenance practices,
and good air pollution control practices
for minimizing emissions (as defined in
40 CFR 60.11(d)) for such equipment
and the Unit.
(viii) ‘‘Day’’ means calendar day
unless otherwise specified in this
paragraph (k).
(ix) ‘‘Emission Rate’’ means, for a
given pollutant, the number of pounds
of that pollutant emitted per million
British thermal units of heat input (‘‘lb/
MMBtu’’), measured in accordance with
this paragraph (k).
(x) ‘‘Flue Gas Desulfurization System’’
and ‘‘FGD’’ mean a pollution control
device that employs flue gas
desulfurization technology, including
an absorber utilizing lime slurry, for the
reduction of SO2 emissions.
(xi) ‘‘Fossil Fuel’’ means any
hydrocarbon fuel, including coal,
petroleum coke, petroleum oil, or
natural gas.
(xii) ‘‘lb/MMBtu’’ means one pound of
a pollutant per million British thermal
units of heat input.
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(xiii) ‘‘Make-Right Vendor Guarantee’’
means, for an SCR, a guarantee offered
by an SCR vendor that covers the SCR,
including the catalyst, ammonia
injection system, and support structure,
under operating conditions (excluding
any Malfunctions) above minimum
operating temperature for the SCR, the
achievement of which is demonstrated
solely during two performance tests:
One performance test no later than 90
Days after initial operation of the SCR,
and one performance test after no fewer
than 16,000 hours of SCR operation, but
no later than December 31, 2020
regardless of the number of operating
hours achieved. If the SCR does not
meet the guarantee in one of these two
performance tests, a Make-Right Vendor
Guarantee requires the SCR vendor to
repair, replace, or correct the SCR to
meet the specified guaranteed Emission
Rate, which is demonstrated by
successful achievement of a
performance test.
(xiv) ‘‘Malfunction’’ means any
sudden, infrequent, and not reasonably
preventable failure of air pollution
control equipment, process equipment,
or a process to operate in a normal or
usual manner. Failures that are caused
in part by poor maintenance or careless
operation are not Malfunctions.
(xv) ‘‘NOX Allowance’’ means an
authorization or credit to emit a
specified amount of NOX that is
allocated or issued under an emissions
trading or marketable permit program of
any kind established under the Clean
Air Act or an applicable implementation
plan. Although no NOX Allowance
program is applicable to FCPP as of the
promulgation of this paragraph (k), this
definition of ‘‘NOX Allowance’’ includes
authorizations or credits that may be
allocated or issued under emissions
trading or marketable permit programs
that may become applicable to FCPP in
the future.
(xvi) ‘‘Operating Day’’ means any Day
on which a Unit fires Fossil Fuel.
(xvii) ‘‘PM’’ means total filterable
particulate matter, measured in
accordance with the provisions of this
paragraph (k).
(xviii) ‘‘PM CEMS’’ and ‘‘PM
Continuous Emission Monitoring
System’’ mean, for obligations involving
the monitoring of PM emissions under
this paragraph (k), the equipment that
samples, analyzes, measures, and
provides, by readings taken at frequent
intervals, an electronic and/or paper
record of PM emissions.
(xix) ‘‘Removal Efficiency’’ means, for
a given pollutant, the percentage of that
pollutant removed by the applicable
emission control device, measured in
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accordance with the provisions of this
paragraph (k).
(xx) ‘‘Selective Catalytic Reduction’’
and ‘‘SCR’’ mean a pollution control
device that destroys NOX by injecting a
reducing agent (e.g., ammonia) into the
flue gas that, in the presence of a
catalyst (e.g., vanadium, titanium, or
zeolite), converts NOX into molecular
nitrogen and water.
(xxi) ‘‘Semi-annual reports’’ are
periodic reports that are submitted to
EPA within 60 days after the end of
each half of the calendar year.
(xxii) ‘‘SO2 Allowance’’ means an
authorization to emit a specified amount
of SO2 that is allocated or issued under
an emissions trading or marketable
permit program of any kind established
under the Clean Air Act or an applicable
implementation plan, including as
defined at 42 U.S.C. 7651a(3).
(xxiii) ‘‘Surrender’’ means to
permanently surrender SO2 Allowances
so that such SO2 Allowances can never
be used to meet any compliance
requirement under the Clean Air Act or
this paragraph (k).
(xxiv) ‘‘Unit’’ means, solely for
purposes of this paragraph (k),
collectively, the coal pulverizer,
stationary equipment that feeds coal to
the boiler, the boiler that produces
steam for the steam turbine, the steam
turbine, the generator, equipment
necessary to operate the generator,
steam turbine and boiler, and all
ancillary equipment, including
pollution control equipment, at or
serving a coal-fired steam electric
generating unit at FCPP.
(xxv) ‘‘Wet Stack’’ means a stack
designed to be capable of use with a
saturated gas stream constructed with
liner material(s) consisting of one or
more of the following: Carbon steel with
a protective lining (organic resin,
fluoroelastomers, borosilicate glass
blocks or a thin cladding of a corrosionresistant alloy), fiberglass-reinforced
plastic, solid corrosion-resistant alloy,
or acid-resistant brick and mortar.
(2) NOX Emission Limitations and
Control Requirements. (i) The owner or
operator shall install and commence
Continuous Operation of an SCR on or
FCPP Unit 5 by no later than March 31,
2018. Commencing no later than 30
Operating Days thereafter, the owner or
operator shall Continuously Operate the
SCR so as to achieve and maintain a 30Day Rolling Average NOX Emission Rate
of no greater than 0.080 lb/MMBtu,
subject to the petition process paragraph
(k)(2)(iii).
(ii) The owner or operator shall install
and commence Continuous Operation of
an SCR on the FCPP Unit 4 by no later
than July 31, 2018. Commencing no
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Jkt 241001
later than 30 Operating Days thereafter,
the owner or operator shall
Continuously Operate the SCR so as to
achieve and maintain a 30-Day Rolling
Average NOX Emission Rate of no
greater than 0.080 lb/MMBtu, subject to
the petition process in paragraph
(k)(2)(iii).
(iii) At any time after March 31, 2019
but before December 31, 2020, the
owner or operator may submit to EPA a
petition for a proposed revision to the
30-Day Rolling Average NOX Emission
Rate of 0.080 lb/MMBtu for either or
both of the FCPP Units. The petition
must demonstrate all of the following:
(A) That the design of the SCR system
met the following parameters:
(1) The SCR system was designed to
meet a NOX emission rate of 0.049 lb/
MMBtu, on an hourly average basis,
under normal operating conditions once
the minimum operating temperature of
the SCR catalyst is achieved; and
(2) The owner or operator obtained a
Make-Right Vendor Guarantee for a NOX
emission rate of 0.049 lb/MMBtu;
(B) That best efforts have been taken
to achieve the 30-Day Rolling Average
NOX Emission Rate of 0.080 lb/MMBtu.
Best efforts include but are not limited
to exhausting the Make-Right Vendor
Guarantee and obtaining independent
outside support from a registered
professional engineer expert in SCR
design. To demonstrate best efforts have
been taken, the petition shall also
include:
(1) The request for bid for the subject
SCR;
(2) Winning bid documents, including
all warranties and design information;
(3) NOX, NH3, and heat rate CEMS
data and all related stack tests;
(4) Daily coal quality data, including
sulfur, ash, and heat content;
(5) Operating and maintenance logs
documenting all exceedances of the
0.080 lb/MMBtu 30-Day Rolling Average
NOX Emission Rate and measures taken
to correct them;
(6) Vendor certification pursuant to a
Make-Right Vendor Guarantee that the
0.080 lb/MMBtu 30-Day Rolling Average
NOX Emission Rate cannot be met by
the SCR as designed;
(7) A signed and sealed report by a
registered professional engineer expert
in SCR design confirming the 0.080 lb/
MMBtu 30-Day Rolling Average NOX
Emission Rate cannot be met by the SCR
as designed; and
(8) Affidavits documenting causes of
failure to meet the 0.080 lb/MMBtu 30Day Rolling Average NOX Emission
Rate, signed and sealed by a licensed
professional engineer;
(C) That the SCR system was properly
operated and maintained pursuant to
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the manufacturer’s specifications for
achieving and Continuously Operating
to meet the design NOX emission rate of
0.049 lb/MMBtu; and
(D) That the owner or operator
Continuously Operated the SCR and
maximized the percent of flue gas or
water bypassed around the economizer
during any startup and shutdown events
in a manner to attain minimum
operating temperature as quickly as
reasonably possible during startup and
to maintain minimum operating
temperature during shutdowns as long
as reasonably possible;
(E) That the owner or operator
Continuously Operated the SCR and
controlled the percent of flue gas or
water bypassed around the economizer
to maintain minimum operating
temperature during load changes.
(iv) In any petition submitted
pursuant to paragraph (k)(2)(iii), the
owner or operator shall include an
alternate 30-Day Rolling Average NOX
Emission Rate, but in no event may the
owner or operator propose a 30-Day
Rolling Average NOX Emission Rate
more than 0.085 lb/MMBtu. The owner
or operator shall also submit all studies,
reports, and/or recommendations from
the vendor and contractor(s) required by
this paragraph and paragraph (k)(2)(iii),
evaluating each measure undertaken in
an effort to meet a 30-Day Rolling
Average NOX Emission Rate of no
greater than 0.080 lb/MMBtu. The
owner or operator shall also deliver
with each submission all pertinent
documents and data that support or
were considered in preparing such
submission, as well as all data
pertaining to the performance of the
SCR in question since August 17, 2015
and the operational history of the Unit
since August 17, 2015.
(v) In addition to meeting the
emissions rates set forth in paragraphs
(k)(2)(i) and (k)(2)(ii), all Units at FCPP,
collectively, shall not emit NOX in
excess of the following Annual Tonnage
Limitation: 31,060 tons of NOX per year
in 2016 and 2017; 12,165 tons of NOX
per year in 2018; and 4,968 tons of NOX
per year in 2019 and thereafter.
However, if the 30-Day Rolling Average
NOX Emission Rate of 0.080 lb/MMBtu
required under Paragraphs (k)(2)(i) and
(k)(2)(ii) is revised pursuant to the
petition process set forth in paragraphs
(k)(2)(iii) and (k)(2)(iv), the annual NOX
tonnage limitations set forth as follows
shall increase by the ratio of the new
NOX rate in lb/MMBtu determined
pursuant to paragraphs (k)(2)(iii) and
(k)(2)(iv) divided by 0.080 lb/MMBtu.
(vi) In determining the 30-Day Rolling
Average NOX Emission Rate, the owner
or operator shall use CEMS in
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accordance with the procedures of 40
CFR part 75, except that NOX emissions
data for the 30-Day Rolling Average
NOX Emission Rate need not be bias
adjusted and the missing data
substitution procedures of 40 CFR part
75 shall not apply. Diluent capping (i.e.,
5 percent CO2) will be applied to the
NOX emission calculation for any hours
where the measured CO2 concentration
is less than 5 percent following the
procedures in 40 CFR part 75, Appendix
F, Section 3.3.4.1. The owner or
operator shall report semiannually all
hours where diluent capping procedures
were applied during the reporting
period.
(vii) For purposes of determining
compliance with the Annual Tonnage
Limitations in paragraph (k)(2)(v), the
owner or operator shall use CEMS in
accordance with the procedures
specified in 40 CFR part 75.
(viii) The owner or operator shall not
sell, trade, or transfer any surplus NOX
Allowances allocated to FCPP that
would otherwise be available for sale or
trade as a result of the actions taken by
the owner or operator to comply with
the requirements of this rule.
(3) SO2 Emission Limitations and
Control Requirements. (i) Beginning on
August 17, 2015, the owner or operator
shall continuously operate the existing
FGDs at FCPP Unit 4 and Unit 5 so as
to emit SO2 from FCPP at an amount no
greater than 10.0 percent of the potential
combustion concentration assuming all
of the sulfur in the coal is converted to
SO2. Compliance with this emissions
standard shall be determined on a
rolling 365-Operating Day basis using
the applicable methodologies set forth
in paragraph (e)(2) of this section. The
first day for determining compliance
with this emissions standard shall be
365 Days after August 17, 2015. The
requirements of this paragraph shall
remain in effect until the owner or
operator achieve compliance with the
requirements set forth in paragraphs
(k)(3)(ii) and (k)(3)(iii).
(ii) By no later than March 31, 2018,
the owner or operator shall convert the
existing ductwork and stack at FCPP
Unit 5 to a Wet Stack, so as to eliminate
the need to bypass flue gas around the
FGD absorbers for reheat purposes.
Commencing no later than 30 Operating
Days thereafter, the owner or operator
shall continuously operate the existing
FGD at FCPP Unit 5 so as to achieve and
maintain a 30-Day Rolling Average SO2
Removal Efficiency of at least 95.0
percent.
(iii) By no later than July 31, 2018, the
owner or operator shall convert the
existing ductwork and stack at FCPP
Unit 4 to a Wet Stack, so as to eliminate
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15:02 Dec 01, 2016
Jkt 241001
the need to bypass flue gas around the
FGD absorbers for reheat purposes.
Commencing no later than 30 Operating
Days thereafter, the owner or operator
shall Continuously Operate the existing
FGD at FCPP Unit 4 so as to achieve and
maintain a 30-Day Rolling Average SO2
Removal Efficiency of at least 95.0
percent.
(iv) In addition to meeting the
emission rates set forth in paragraphs
(k)(3)(i), (k)(3)(ii) and (k)(3)(iii), all Units
at FCPP, collectively, shall not emit SO2
in excess of the following Annual
Tonnage Limitations: 13,300 tons of SO2
per year in 2016 and 2017; 8,300 tons
of SO2 per year in 2018; 6,800 tons of
SO2 per year in 2019 and thereafter.
(v) By each of the dates by which the
owner or operator must comply with the
30-Day Rolling Average SO2 Removal
Efficiency required under paragraphs
(k)(3)(ii) and (k)(3)(iii), the owner or
operator shall install, certify, maintain,
and operate FGD inlet SO2 and any
associated diluent CEMS with respect to
that Unit in accordance with the
requirements of paragraph (e)(1) of this
section.
(vi) In determining the 30-Day Rolling
Average SO2 Removal Efficiency, the
owner or operator shall use CEMS in
accordance with the procedures of 40
CFR part 75, except that SO2 emissions
data for the 30-Day Rolling Average SO2
Removal Efficiency need not be bias
adjusted, and the missing data
substitution procedures of 40 CFR part
75 shall not apply. Diluent capping (i.e.,
5 percent CO2) will be applied to the
SO2 emission calculation for any hours
where the measured CO2 concentration
is less than 5 percent following the
procedures in 40 CFR part 75, Appendix
F, Section 3.3.4.1. The owner or
operator shall submit a semi-annual
report that includes all hours where
diluent capping procedures were
applied during the reporting period.
(vii) For purposes of determining
compliance with the Annual Tonnage
Limitations in paragraph (k)(3)(iv), the
owner or operator shall use CEMS in
accordance with the procedures
specified in 40 CFR part 75.
(4) Use and Surrender of SO2
Allowances. (i) The owner or operator
shall not use SO2 Allowances to comply
with any requirement of paragraph (k),
including by claiming compliance with
any emission limitation required
paragraph (k) by using, tendering, or
otherwise applying SO2 Allowances to
offset any excess emissions.
(ii) Except as provided in paragraph
(k), the owner or operator shall not sell,
bank, trade, or transfer any SO2
Allowances allocated to FCPP.
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87001
(iii) Beginning with calendar year
2015, and continuing each calendar year
thereafter, the owner or operator shall
surrender to EPA, or transfer to a nonprofit third party selected by the owner
or operator for Surrender, all SO2
Allowances allocated to FCPP for that
calendar year that the owner or operator
does not need in order to meet their
own federal and/or state Clean Air Act
statutory or regulatory requirements for
the FCPP Units.
(iv) Nothing in paragraph (k)(4) shall
prevent the owners or operator from
purchasing or otherwise obtaining SO2
Allowances from another source for
purposes of complying with Clean Air
Act requirements to the extent
otherwise allowed by law.
(v) For any given calendar year,
provided that FCPP is in compliance for
that calendar year with all emissions
limitations for SO2 set forth in this
section, nothing in paragraph (k),
including the provisions of paragraphs
(k)(4)(ii) and (k)(4)(iii) pertaining to the
Use and Surrender of SO2 Allowances,
shall preclude the owner or operator
from selling, trading, or transferring SO2
Allowances allocated to FCPP that
become available for sale or trade that
calendar year solely as a result of:
(A) The installation and operation of
any pollution control technology or
technique at Unit 4 or Unit 5 that is not
otherwise required by paragraph (k); or
(B) Achievement and maintenance of
a 30-Day Rolling Average SO2 Removal
Efficiency at Unit 4 or Unit 5 at a higher
removal efficiency than the 30-Day
Rolling Average SO2 Removal Efficiency
required by paragraph (k)(3); so long as
the owner or operator submits a semiannual report of the generation of such
surplus SO2 Allowances that occur after
August 17, 2015.
(vi) The owner or operator shall
Surrender, or transfer to a non-profit
third party selected by the owner or
operator for Surrender, all SO2
Allowances required to be Surrendered
pursuant to paragraph (k)(4)(iii) by April
30 of the immediately following
calendar year. Surrender need not
include the specific SO2 Allowances
that were allocated to FCPP, so long as
the owner or operator Surrender SO2
Allowances that are from the same year
and that are equal to the number
required to be Surrendered under
paragraph (k)(4)(vii).
(vii) If any SO2 Allowances are
transferred directly to a non-profit third
party, the owner or operator shall
include a description of such transfer in
the next semi-annual report submitted
to EPA. Such report shall:
(A) Provide the identity of the nonprofit third-party recipient(s) of the SO2
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Allowances and a listing of the serial
numbers of the transferred SO2
Allowances; and
(B) Include a certification by the
third-party recipient(s) certifying under
the penalty of law that the recipient(s)
will not sell, trade, or otherwise
exchange any of the allowances and will
not use any of the SO2 Allowances to
meet any obligation imposed by any
environmental law. The certification
must also include a statement that the
recipient understands that there are
significant penalties for submitting
false, inaccurate or incomplete
information to the United States.
(C) No later than the third semiannual report due after the transfer of
any SO2 Allowances, the owner or
operator shall include a statement that
the third-party recipient(s) Surrendered
the SO2 Allowances for permanent
Surrender to EPA in accordance with
the provisions of paragraph (k)(4)(ix)
within one (1) year after the owner or
operator transferred the SO2 Allowances
to them. The owner or operator shall not
have complied with the SO2 Allowance
Surrender requirements of subparagraph
(k)(4)(viii) until all third-party
recipient(s) shall have actually
Surrendered the transferred SO2
Allowances to EPA.
(viii) For all SO2 Allowances
Surrendered to EPA, the owner or
operator or the third-party recipient(s)
(as the case may be) shall first submit an
SO2 Allowance transfer request form to
the EPA Office of Air and Radiation’s
Clean Air Markets Division directing the
transfer of such SO2 Allowances to the
EPA Enforcement Surrender Account or
to any other EPA account that EPA may
direct in writing. Such SO2 Allowance
transfer requests may be made in an
electronic manner using the EPA’s
Clean Air Markets Division Business
System or similar system provided by
EPA. As part of submitting these
transfer requests, the owner or operator
or the third-party recipient(s) shall
irrevocably authorize the transfer of
these SO2 Allowances and identify—by
name of account and any applicable
serial or other identification numbers or
station names—the source and location
of the SO2 Allowances being
Surrendered.
(5) PM Emission Reduction
Requirements.
(i) The owner or operator shall
operate each FCPP Unit in a manner
consistent with good air pollution
control practice for minimizing PM
emissions, as set forth in paragraph (g).
In addition, with respect to FCPP Units
4 and 5, the owner or operator shall, at
a minimum, to the extent practicable:
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Jkt 241001
(A) Operate each compartment of the
Baghouse for each Unit (except the
compartment provided as a spare
compartment under the design of the
baghouse), regardless of whether those
actions are needed to comply with
opacity limits;
(B) Repair any failed Baghouse
compartment at the next planned Unit
outage (or unplanned outage of
sufficient length);
(C) Maintain and replace bags on each
Baghouse as needed to achieve the
required collection efficiency;
(D) Inspect for and repair during the
next planned Unit outage (or unplanned
outage of sufficient length) any openings
in Baghouse casings, ductwork, and
expansion joints to minimize air
leakage; and
(E) Ensure that a bag leak detection
program is developed and implemented
to detect leaks and promptly repair any
identified leaks.
(ii) The owner or operator shall
Continuously Operate a Baghouse at
FCPP Unit 4 and Unit 5 so as to achieve
and maintain a filterable PM Emission
Rate no greater than 0.0150 lb/MMBtu.
(iii) Once in each calendar year, the
owner or operator shall conduct stack
tests for PM at FCPP Units 4 and 5.
Alternatively, following the installation
and operation of PM CEMS as required
by paragraph (k)(6), the owner or
operator may seek written approval to
forego stack testing and instead
demonstrate continuous compliance
with an applicable filterable PM
Emission Rate using CEMS on a 24-hour
rolling average basis.
(iv) Unless EPA approves a request to
demonstrate continuous compliance
using CEMS under paragraph (k)(5)(iii)
to determine compliance with the PM
Emission Rate established in
subparagraph (k)(5)(ii), the owner or
operator shall use the reference methods
and procedures (filterable portion only)
specified in 40 CFR part 60, App. A–3,
Method 5, Method 5 as described in
subpart UUUUU, Table 5, or App. A–6,
Method 17 (provided that Method 17
shall only be used for stack tests
conducted prior to conversion of an
FCPP Unit to a Wet Stack), or alternative
stack tests or methods that are requested
by the owner or operator and approved
by EPA. Each test shall consist of three
separate runs performed under
representative operating conditions not
including periods of startup, shutdown,
or Malfunction. The sampling time for
each run shall be at least 120 minutes
and the volume of each run shall be at
least 1.70 dry standard cubic meters (60
dry standard cubic feet). The owner or
operator shall calculate the PM
Emission Rate from the stack test results
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in accordance with 40 CFR 60.8(f). The
results of each PM stack test shall be
submitted to EPA and NNEPA within 60
Days of completion of each test.
(v) Once each calendar year, the
owner or operator shall conduct a PM
stack test for condensable PM at FCPP
Units 4 and 5, using the reference
methods and procedures set forth at 40
CFR part 51, Appendix M, Method 202
and as set forth in paragraph (vi). This
test shall be conducted under as similar
operating conditions and as close in
time as reasonably possible as the test
for filterable PM in paragraph (k)(5)(iv).
Each test shall consist of three separate
runs performed under representative
operating conditions not including
periods of startup, shutdown, or
Malfunction. The sampling time for
each run shall be at least 120 minutes
and the volume of each run shall be at
least 1.70 dry standard cubic meters (60
dry standard cubic feet). The owner or
operator shall calculate the number of
pounds of condensable PM emitted in
lb/MMBtu of heat input from the stack
test results in accordance with 40 CFR
60.8(f). The results of the PM stack test
conducted pursuant to this paragraph
shall not be used for the purpose of
determining compliance with the PM
Emission Rates required by paragraph
(k). The results of each PM stack test
shall be submitted to EPA within sixty
(60) Days of completion of each test. If
EPA approves a request to demonstrate
continuous compliance with an
applicable PM Emission Rate at a Unit
using PM CEMS under paragraph
(k)(5)(iii), annual stack testing for
condensable PM using the reference
methods and procedures set forth at 40
CFR part 51, Appendix M, Method 202
is not required for that Unit.
(6) PM CEMS. (i) The owner or
operator shall install, correlate,
maintain, and operate a PM CEMS for
FCPP Unit 4 and FCPP Unit 5 as
specified below. The PM CEMS shall
comprise a continuous-particle mass
monitor measuring particulate matter
concentration, directly or indirectly, on
an hourly average basis and a diluent
monitor used to convert the
concentration to units expressed in lb/
MMBtu. The PM CEMS installed at each
Unit must be appropriate for the
anticipated stack conditions and
capable of measuring PM concentrations
on an hourly average basis. Each PM
CEMS shall complete a minimum of one
cycle of operations (sampling, analyzing
and data recording) for each successive
15-minute period. The owner or
operator shall maintain, in an electronic
database, the hourly-average emission
values of all PM CEMS in lb/MMBtu.
Except for periods of monitor
E:\FR\FM\02DEP1.SGM
02DEP1
jstallworth on DSK7TPTVN1PROD with PROPOSALS
Federal Register / Vol. 81, No. 232 / Friday, December 2, 2016 / Proposed Rules
malfunction, maintenance, or repair, the
owner or operator shall continuously
operate the PM CEMS at all times when
the Unit it serves is operating.
(ii) By no later than February 16,
2017, the owner or operator shall ensure
that the PM CEMS are installed,
correlated, maintained and operated at
FCPP Units 4 and 5.
(iii) The owner or operator shall
ensure that performance specification
tests on the PM CEMS are conducted
and shall ensure compliance with the
PM CEMS installation plan and QA/QC
protocol submitted to and approved by
EPA. The PM CEMS shall be operated
in accordance with the approved plan
and QA/QC protocol.
(iv) The data recorded by the PM
CEMS during Unit operation, expressed
in lb/MMBtu on a 3-hour, 24-hour, and
30-Day rolling average basis, shall be
included in the semiannual report
submitted to EPA in electronic format
(Microsoft Excel-compatible).
(v) Notwithstanding any other
provision of paragraph (k), exceedances
of the PM Emission Rate that occur as
a result of detuning emission controls as
required to achieve the high-level PM
test runs during the correlation testing
shall not be considered a violation of
the requirements of this section
provided that the owner or operator
made best efforts to keep the high-level
PM test runs during such correlation
testing below the applicable PM
Emission Rate.
(vi) Stack testing conducted pursuant
to paragraph (k)(5)(iv) shall be the
compliance method for the PM
Emission Rates established by paragraph
(k)(5), unless EPA approves a request
under paragraph (k)(5)(iii), in which
case PM CEMS shall be used to
demonstrate continuous compliance
with an applicable PM Emission Rate on
a 24-hour rolling average basis. Data
from PM CEMS shall be used, at a
minimum, to monitor progress in
reducing PM emissions on a continuous
basis.
(7) Reporting. The owner or operator
shall submit all notifications, petitions,
and reports under paragraph (k), unless
otherwise specified, to EPA and NNEPA
in accordance with paragraph (f).
[FR Doc. 2016–28870 Filed 12–1–16; 8:45 am]
BILLING CODE 6560–50–P
VerDate Sep<11>2014
15:02 Dec 01, 2016
Jkt 241001
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 63
[EPA–HQ–OAR–2016–0069; FRL–9955–22–
OAR]
RIN 2060–AT17
Revisions to Method 301: Field
Validation of Pollutant Measurement
Methods From Various Waste Media
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
In this action, the
Environmental Protection Agency (EPA)
proposes editorial and technical
revisions to the EPA’s Method 301
‘‘Field Validation of Pollutant
Measurement Methods from Various
Waste Media’’ in order to correct and
update the method. In addition, the EPA
is clarifying the applicability of Method
301 as well as its utility to other
regulatory provisions. The proposed
revisions include ruggedness testing for
validation of test methods for
application at multiple sources,
determination of limit of detection for
all method validations, incorporating
procedures for determining the limit of
detection, revising the sampling
requirements for the comparison
procedure, adding storage and sampling
procedures for sorbent sampling
systems, and clarifying acceptable
statistical results for candidate test
methods. We also propose to clarify the
applicability of Method 301 to our
regulations and to add equations to
clarify calculation of the correction
factor, standard deviation, estimated
variance of a validated test method,
standard deviation of differences, and tstatistic for all validation approaches.
Changes made to the Method 301 field
validation protocol under this proposed
action would apply only to methods
submitted to the EPA for approval after
the effective date of this action.
DATES: Comments. Comments must be
received on or before January 31, 2017.
Public Hearing. If anyone contacts the
EPA requesting a public hearing by
December 12, 2016, the EPA will hold
a public hearing on January 3, 2017
from 1:00 p.m. (Eastern Standard Time)
to 5:00 p.m. (Eastern Standard Time) at
the U.S. Environmental Protection
Agency building located at 109 T.W.
Alexander Drive, Research Triangle
Park, NC 27711. Information regarding a
hearing will be posted at https://
www3.epa.gov/ttn/emc/methods/.
ADDRESSES: Submit your comments,
identified by Docket ID No. EPA–HQ–
SUMMARY:
PO 00000
Frm 00029
Fmt 4702
Sfmt 4702
87003
OAR–2016–0069, to the Federal
eRulemaking Portal: https://
www.regulations.gov. Follow the online
instructions for submitting comments.
Once submitted, comments cannot be
edited or withdrawn. 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, 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: For
information concerning this proposal,
contact Ms. Kristen J. Benedict, Office of
Air Quality Planning and Standards, Air
Quality Assessment Division (E143–02),
Environmental Protection Agency,
Research Triangle Park, NC 27711;
telephone number: (919) 541–1394; fax
number: (919) 541–0516; email address:
benedict.kristen@epa.gov.
SUPPLEMENTARY INFORMATION:
Table of Contents
I. General Information
A. Does this action apply to me?
B. What should I consider as I prepare my
comments?
C. Where can I get a copy of this document
and other related information?
II. Background
III. Summary of Proposed Revisions
A. Technical Revisions
B. Clarifying and Editorial Changes
IV. Request for Comments
V. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
B. Paperwork Reduction Act (PRA)
C. Regulatory Flexibility Act (RFA)
D. Unfunded Mandates Reform Act
(UMRA)
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
H. Executive Order 13211: Actions That
Significantly Affect Energy Supply,
Distribution, or Use
E:\FR\FM\02DEP1.SGM
02DEP1
Agencies
[Federal Register Volume 81, Number 232 (Friday, December 2, 2016)]
[Proposed Rules]
[Pages 86988-87003]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2016-28870]
=======================================================================
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 49
[EPA-R09-OAR-2016-0339; FRL-9955-92-Region 9]
Revisions to the Source-Specific Federal Implementation Plan for
Four Corners Power Plant, Navajo Nation
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: The Environmental Protection Agency (EPA) is proposing limited
revisions to the source-specific Federal Implementation Plan (FIP) that
was promulgated to regulate air pollutant emissions from the Four
Corners Power Plant (FCPP), a coal-fired power plant located on the
reservation lands of the Navajo Nation, near Farmington, New Mexico.
These limited revisions propose to make certain provisions of the FIP
consistent with national actions and rulemakings promulgated since
2012; update the FIP to reflect recent operating changes; and add new
provisions to the FIP to include the air pollution control requirements
for FCPP of a Consent Decree entered in the United States District
Court for the District of New Mexico on August 17, 2015.
DATES: Any comments on this proposal must arrive by January 3, 2017.
ADDRESSES: Submit your comments, identified by Docket ID number EPA-
R09-OAR-2016-0339, at https://www.regulations.gov, or via email to
lee.anita@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.
[[Page 86989]]
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
EPA's full 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: Anita Lee, EPA Region IX, (415) 972-
3958, lee.anita@epa.gov.
SUPPLEMENTARY INFORMATION: Throughout this document, ``we,'' ``us'' and
``our'' refer to the EPA.
Table of Contents
I. Background
A. Action
B. Facility
C. Attainment Status
D. The EPA's Authority To Promulgate a FIP in Indian Country
E. Historical Overview of FCPP FIP Actions
II. Basis for Proposed Action
III. Summary of FIP Revisions
A. Proposed FIP Revisions
B. Justification for Proposed FIP Revisions
C. Compliance Schedule
IV. Proposed Action and Solicitation of Comments
V. Environmental Justice Considerations
VI. Administrative Requirements
A. Executive Order 12866
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments Executive Order 12875: Enhancing the
Intergovernmental Partnership
G. Executive Order 13045: Protection of Children From
Environmental Health Risks and Safety Risks
H. Executive Order 13211: Actions That Significantly Affect
Energy Supply, Distribution, or Use
I. National Technology Transfer and Advancement Act
J. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
I. Background
A. Action
In today's action, the EPA is proposing limited revisions to the
FIP for FCPP that we promulgated on May 7, 2007 (``2007 FIP'') and
August 24, 2012 (``2012 FIP'').\1\ The 2007 and 2012 regulations are
codified in the Code of Federal Regulations (CFR) at 40 CFR 49.5512,
and we refer collectively to the provisions from the 2007 and 2012
actions as the ``FIP'' or the ``FCPP FIP.'' The EPA established
federally enforceable emission limitations for particulate matter (PM),
sulfur dioxide (SO2), oxides of nitrogen (NOX),
and opacity in the FCPP FIP.
---------------------------------------------------------------------------
\1\ See 72 FR 25698 (May 7, 2007) and 77 FR 51620 (August 24,
2012).
---------------------------------------------------------------------------
The EPA is proposing revisions to the FIP for several reasons: (1)
To make certain provisions in the FIP consistent with national actions
and rulemakings promulgated since 2012; (2) to update the FIP to
reflect recent operating changes; and (3) to add new provisions to the
FIP to include the air pollution control requirements for FCPP of a
Consent Decree (``Consent Decree'') entered in the United States
District Court for the District of New Mexico on August 17, 2015.\2\
---------------------------------------------------------------------------
\2\ See Consent Decree for Dine CARE v. Arizona Public Service
Company and EPA v. Arizona Public Service Company, US District Court
for the District of New Mexico, Case No. 1:11-cv-00889-JB-SCY
(August 17, 2015).
---------------------------------------------------------------------------
To update the FCPP FIP for consistency with national actions and
rulemakings, we are proposing to remove: (1) Emission limit exemptions
that apply during periods of startup and shutdown; (2) a provision
allowing for an affirmative defense during periods of malfunctions; and
(3) exemptions for water vapor from the opacity standard and monitoring
and reporting requirements.\3\ These revisions, if finalized, would
make the FCPP FIP consistent with the EPA's interpretations of Clean
Air Act (CAA, or ``the Act'') requirements, as reflected in the
Agency's recent action concerning how provisions in state
implementation plans (SIPs) treat excess emissions during startup,
shutdown, and malfunctions (``2015 SSM Action'').\4\
---------------------------------------------------------------------------
\3\ See 72 FR 25705 (May 7, 2007) and 40 CFR 49.5512(h)(2) and
(h)(3), and 40 CFR 49.5512(c)(7).
\4\ See 80 FR 33840 (June 12, 2015).
---------------------------------------------------------------------------
The EPA is also proposing to update the testing requirements for PM
in the FCPP FIP to be consistent with PM testing requirements
promulgated nationally in the Mercury and Air Toxics Standards (MATS)
Rule.\5\ The revisions to the PM testing requirements, if finalized,
would increase the frequency of PM testing in the FIP to match the MATS
Rule, allow the operator the option to demonstrate compliance using
alternative methods, e.g., PM continuous emission monitoring systems
(PM CEMS), and streamline the existing PM testing requirements.
---------------------------------------------------------------------------
\5\ See 77 FR 9303 (February 16, 2012) and 81 FR 20172 (April 6,
2016) (Final Technical Corrections).
---------------------------------------------------------------------------
In order to update the FIP to reflect the current operation of
FCPP, we are proposing to add a statement to the applicability section
of the FIP to clarify that Units 1, 2 and 3 have been permanently
retired, and to remove certain provisions related to Units 1, 2, and 3
from the FIP that are no longer applicable following the permanent
retirement of those units. The operator of FCPP removed those units
from service by January 1, 2014 to comply with the requirements in the
2012 FIP that the EPA promulgated to address the Best Available
Retrofit Technology (BART) provisions of the Regional Haze Rule for
NOX.\6\ These revisions, if finalized, would enhance
regulatory clarity by removing requirements that apply to emission
units that have permanently ceased operation.
---------------------------------------------------------------------------
\6\ See 77 FR 51620 (August 24, 2012) and 40 CFR 49.5512(i)(3).
---------------------------------------------------------------------------
The final changes in this proposed rulemaking are to add new
provisions to the FCPP FIP to reflect requirements in the Consent
Decree. Generally, the Consent Decree requires greater emission
reductions of SO2, NOX, and PM by establishing
lower emission limitations than the existing limitations in the FIP for
these pollutants. The Consent Decree requires the operator of the
facility to request that the EPA amend the FCPP FIP to incorporate the
requirements and limitations from the Consent Decree. These proposed
revisions, if finalized, would make the emission limitations and other
requirements from the Consent Decree federally enforceable.
B. Facility
FCPP is a coal-fired power plant located on the Navajo Nation
Indian Reservation, just west of Farmington, New Mexico, and it is co-
owned by several entities and operated by Arizona Public Service
(APS).\7\ The facility includes two units, Units 4 and 5, each with a
capacity of 770 megawatts (MW) net generation, providing a total
capacity of 1540 MW.\8\ Operations at the facility produce emissions of
air pollutants, including SO2, NOX, and PM.
Existing pollution control equipment on Units 4 and 5 include
[[Page 86990]]
baghouses for PM control, lime spray towers (``scrubbers'') for
SO2 control, and low-NOX burners for limiting
NOX formation during the combustion process. FCPP is in the
process of installing selective catalytic reduction (SCR) on Units 4
and 5 for additional NOX emission reductions to comply with
the ``better than BART'' provisions of the 2012 FIP (under 40 CFR
49.5512(i)(3)) and with the Consent Decree.
---------------------------------------------------------------------------
\7\ FCPP is currently co-owned by Arizona Public Service, Public
Service Company of New Mexico, Salt River Project, Tucson Electric
Power, and El Paso Electric Company.
\8\ APS retired Units 1-3 (total capacity of 560 MW) at FCPP in
January 2014 as part of a ``better than BART'' alternative it
suggested to the EPA. For more information on the EPA's ``better
than BART'' determination, please see 77 FR 51620 (August 24, 2012).
---------------------------------------------------------------------------
C. Attainment Status
FCPP is located in the Four Corners Interstate air quality control
region, which is designated attainment for all criteria pollutants
under the CAA.\9\
---------------------------------------------------------------------------
\9\ See 40 CFR 81.332.
---------------------------------------------------------------------------
D. The EPA's Authority To Promulgate a FIP in Indian Country
When the CAA was amended in 1990, Congress included a new
provision, section 301(d), granting the EPA authority to treat tribes
in the same manner as states where appropriate.\10\ In 1998, the EPA
promulgated regulations known as the Tribal Authority Rule (TAR).\11\
The EPA's promulgation of the TAR clarified, among other things, that
state air quality regulations generally do not, under the CAA, apply to
facilities located anywhere within the exterior boundaries of Indian
reservations.\12\ Prior to the addition of section 301(d) and
promulgation of the TAR, some states had mistakenly included emission
limitations in their SIPs that they may have believed could apply under
the CAA to private facilities operating on adjacent Indian
reservations.
---------------------------------------------------------------------------
\10\ See 40 U.S.C. 7601(d).
\11\ See 40 CFR parts 9, 35, 49, 50 and 81. See also 63 FR 7254
(February 12, 1998).
\12\ See 63 FR 7254 at 7258 (noting that unless a state has
explicitly demonstrated its authority and has been expressly
approved by the EPA to implement CAA programs in Indian country, the
EPA is the appropriate entity to implement CAA programs prior to
tribal primacy), Arizona Public Service Company v. EPA., 211 F.3d
1280 (D.C. Cir. 2000), cert. denied sub nom, Michigan v. EPA., 532
U.S. 970 (2001) (upholding the TAR); see also Alaska v. Native
Village of Venetie Tribal Government, 533 U.S. 520, 526 n.1 (1998)
(primary jurisdiction over Indian country generally lies with
federal government and tribes, not with states).
---------------------------------------------------------------------------
In the preambles to the proposed and final 1998 TAR, the EPA
generally discusses the legal basis in the CAA that authorizes the EPA
to regulate sources of air pollution in Indian country.\13\ The EPA
concluded that the CAA authorizes the EPA to protect air quality
throughout Indian country.\14\ In fact, in promulgating the TAR, the
EPA specifically provided that, pursuant to the discretionary authority
explicitly granted to the EPA under sections 301(a) and 301(d)(4) of
the Act, the EPA ``[s]hall promulgate without unreasonable delay such
federal implementation plan provisions as are necessary or appropriate
to protect air quality, consistent with the provisions of sections
304(a) [sic] and 301(d)(4), if a tribe does not submit a tribal
implementation plan meeting the completeness criteria of 40 CFR part
51, Appendix V, or does not receive EPA approval of a submitted tribal
implementation plan.'' \15\
---------------------------------------------------------------------------
\13\ See 59 FR 43956 (August 25, 1994); 63 FR 7253 (February 12,
1998).
\14\ See 63 FR 7253 at 7262 (February 12, 1998); 59 FR 43956 at
43960-43961 (August 25, 1994) (citing, among other things, to CAA
sections 101(b)(1), 301(a), and 301(d)).
\15\ See 63 FR at 7273 (codified at 40 CFR 49.11(a)). In the
preamble to the final TAR, the EPA explained that it was
inappropriate to treat Tribes in the same manner as states with
respect to section 110(c) of the Act, which directs the EPA to
promulgate a FIP within 2 years after the EPA finds a state has
failed to submit a complete state plan or within 2 years after the
EPA disapproval of a state plan. Although the EPA is not required to
promulgate a FIP within the 2-year period for tribes, the EPA
promulgated 40 CFR 49.11(a) to clarify that the EPA will continue to
be subject to the basic requirement to issue any necessary or
appropriate FIP provisions for affected tribal areas within some
reasonable time. See 63 FR at 7264-65.
---------------------------------------------------------------------------
E. Historical Overview of FCPP FIP Actions
On September 8, 1999, the EPA proposed a source-specific FIP for
FCPP.\16\ The 1999 proposed FIP stated: ``Although the facility has
been historically regulated by New Mexico since its construction, the
state lacks jurisdiction over the facility or its owners or operations
for CAA compliance or enforcement purposes.'' The EPA intended for the
1999 FIP to ``federalize'' the emission limitations that New Mexico had
erroneously included in its SIP.\17\ The EPA received comments on the
proposed 1999 FIP. However, at that time, concurrent negotiations
between an environmental non-governmental organization, APS, and the
Navajo Nation resulted in an agreement by APS to voluntarily increase
the SO2 removal efficiency from the scrubbers at FCPP. The
EPA did not take final action on the 1999 proposal.
---------------------------------------------------------------------------
\16\ See 64 FR 48731 (September 8, 1999).
\17\ Id. at 48733.
---------------------------------------------------------------------------
In 2006, the EPA proposed a new source-specific FIP for FCPP and
took action to finalize it in 2007.\18\ This new FIP imposed federally
enforceable emission limitations for SO2, based on the
increased scrubber SO2 removal efficiency (72 to 88
percent), and for PM, based on the PM emission limitation from the New
Mexico SIP. The 2006 proposed FIP also established an emission
limitation for opacity and a requirement for control measures to limit
dust emissions from coal handling and storage facilities, flyash
handling and storage facilities, and from road-sweeping activities. In
addition, the 2006 proposed FIP contained NOX emission
limitations that already applied to FCPP as part of the Acid Rain
Program created in the 1990 CAA Amendments.
---------------------------------------------------------------------------
\18\ See 72 FR 25698 (May 7, 2007), codified at 40 CFR
49.5512(a)-(h).
---------------------------------------------------------------------------
On August 24, 2012, the EPA promulgated a final rule that
established limits for NOX emissions from FCPP under the
BART provision of the Regional Haze Rule, as well as control measures
to limit emissions of dust.\19\ The final rule required the owners of
FCPP to choose between two strategies for BART compliance: (1)
Compliance with a plant-wide BART emission limitation of 0.11 pounds of
NOX per million British thermal units of heat input (lb/
MMBtu) by October 23, 2017, or (2) retirement of Units 1, 2, and 3 by
January 1, 2014 and compliance with a BART emission limitation for
NOX of 0.098 lb/MMBtu on Units 4 and 5 by July 31, 2018. The
second BART compliance strategy, involving retirement of Units 1, 2,
and 3, was based on a plan originally put forth by APS. This compliance
strategy was proposed and finalized as an alternative emission control
strategy that achieved greater reasonable progress than BART (``better
than BART'').\20\ APS permanently ceased operation of Units 1, 2, and 3
at FCPP by January 1, 2014, and is currently engaged in the process of
installing SCR on Units 4 and 5 to meet the applicable NOX
emission limitations.
---------------------------------------------------------------------------
\19\ See 77 FR 51620 (August 24, 2012).
\20\ For additional information regarding the EPA's analyses
regarding BART and the alternative emission control strategy, see
the EPA's BART proposal (75 FR 64221, October 29, 2010),
supplemental proposal (76 FR 10530, February 25, 2011) and final
rule (77 FR 51620, August 24, 2012).
---------------------------------------------------------------------------
The provisions of the 2007 FIP are codified at 40 CFR 49.5512(a)-
(h).\21\ The BART provisions of the 2012 FIP are codified at 40 CFR
49.5512(i), and the dust control measures from the 2012 FIP are
codified at 40 CFR 49.5512(j).
---------------------------------------------------------------------------
\21\ The 2007 FIP was originally codified at 40 CFR 49.23. On
April 29, 2011, the FCPP FIP was redesignated to 40 CFR 49.5512 at
76 FR 23879 (April 29, 2011).
---------------------------------------------------------------------------
II. Basis for Proposed Action
In this proposed FIP revision, the EPA is exercising its
discretionary authority under sections 301(a) and 301(d)(4) of the CAA
and 40 CFR 49.11(a). The EPA is proposing to find that it is
``necessary or appropriate'' to revise the FCPP FIP, because it
contains certain provisions
[[Page 86991]]
that are inconsistent with more recent actions and rulemakings
promulgated by the EPA in the MATS Rule and the statutory requirements
of the CAA, as reflected in the 2015 SSM Action. Thus, these provisions
of the current FCPP FIP are inconsistent with current requirements and
need to be revised to make them consistent with regulatory and
statutory requirements. The EPA is also concerned that that these
inconsistencies create confusion and could lead to regulatory
uncertainty by the source, regulators, courts, or affected members of
the public. Additionally, the Consent Decree requires APS to submit a
request to the EPA to amend its FIP to include requirements of the
Consent Decree. APS submitted its request on June 9, 2016.\22\ The EPA
is also proposing to find that it is ``necessary or appropriate'' to
revise the FIP at this time to include the Consent Decree provisions.
For the reasons set forth above, we are proposing to find that limited
revisions to the FIP for FCPP are ``necessary or appropriate'' to
further protect air quality on the Navajo Nation.
---------------------------------------------------------------------------
\22\ See ``Request to Include Consent Decree in Four Corners
Federal Implementation Plan'' from Thomas H. Livingston, Fossil
Plant Manager and Responsible Official, to Elizabeth Adams, Acting
Director, Air Division, EPA Region IX, dated June 9, 2016.
---------------------------------------------------------------------------
III. Summary of Proposed FIP Revisions
A. Proposed FIP Revisions
The EPA is proposing limited revisions to the FCPP FIP at 40 CFR
49.5512 described as follows. We have included a document in the docket
for this rulemaking that shows the original text of 40 CFR 49.5512 and
the EPA's proposed revisions to that text.\23\
---------------------------------------------------------------------------
\23\ See document titled ``2016_1118 FCPP FIP existing reg text
RLSO'' in the docket for this proposed rulemaking.
---------------------------------------------------------------------------
1. Revisions to 40 CFR 49.5512(a)
In the applicability section of the FIP, the EPA is proposing to
add a statement that Units 1, 2, and 3 at FCPP permanently ceased
operation by January 1, 2014 pursuant to the requirements of 40 CFR
49.5512(i)(3).
2. Revisions to 40 CFR 49.5512(c)
The EPA is proposing to: (1) Specify that the definitions in
paragraph (c) of 40 CFR 49.5512(c) apply to paragraphs (a) through (j)
of 40 CFR 49.5512; (2) delete the definition of affirmative defense at
40 CFR 49.5512(c)(1); and (3) delete the portion of the definition of
malfunction that provides for an affirmative defense for malfunctions
at 40 CFR 49.5512(c)(7). We are also proposing to delete portions of
the definitions for shutdown (at 40 CFR 49.5512(c)(12)) and startup (at
40 CFR 49.5512(c)(13)) that relate to Units 1, 2, and 3.
3. Revisions to 40 CFR 49.5512(d)
The EPA is proposing to add a statement that the emission
limitations under 40 CFR 49.5512(d) apply to FCPP at all times. Under
40 CFR 49.5512(d)(2), we are proposing to delete the portion of the PM
emission limitation that provides detailed specifications, i.e., test
duration and minimum collection volume, related to PM testing. The EPA
is also proposing to delete the dust provisions in 40 CFR
49.5512(d)(3). Under 40 CFR 49.5512(d)(4), we are proposing to delete
the exclusion of uncombined water droplets from the opacity standard
and to add a provision stating that any unit for which the owner or
operator installs, calibrates, maintains, and operates a PM CEMS to
demonstrate compliance with emission limitations for PM will be exempt
from the opacity standard. Finally, the EPA is proposing to delete the
portion of the emission limitation for NOX under 40 CFR
49.5512(d)(5)(i) that applied to Units 1, 2, and 3.
4. Revisions to 40 CFR 49.5512(e)
Paragraph (e) of 40 CFR 49.5512 addresses testing and monitoring
and generally uses sub-paragraphs (e)(1)-(e)(8) to outline pollutant-
specific requirements to ensure compliance with the emission
limitations in paragraph (d). Under 40 CFR 49.5512(e), the EPA is
proposing to delete specific provisions for PM testing and move revised
provisions for PM testing to 40 CFR 49.5512(e)(3). Also under 40 CFR
49.5512(e), we are proposing to remove provisions that exempt units
from opacity monitoring requirements during periods when the stack is
saturated and also to remove a presumption that high opacity readings
that occur when the baghouse is operating within normal parameters are
caused by water vapor and shall not be considered a violation. In
addition, we are proposing to move the opacity monitoring requirements
from 40 CFR 49.5512(e) to 40 CFR 49.5512(e)(6). In paragraph
49.5512(e)(1), we are proposing to delete provisions that specify the
compliance deadline for installing CEMS for SO2 and
NOX because CEMS for those pollutants have already been
installed at FCPP. In paragraph (e)(3), we are proposing to revise the
testing requirements for PM to be consistent with the three options for
PM testing under the MATS Rule in 40 CFR part 63 subpart UUUUU. In
paragraph (e)(6), we are proposing to clarify that (e)(6) applies if
the opacity standard in paragraph (d)(4) is applicable, i.e., if the
owner or operator has not elected to install and certify PM CEMS for
demonstrating compliance with PM emission limitations. In addition, we
are revising the opacity monitoring requirements in (e)(6) to provide
three options for determining compliance with the opacity standard, if
the opacity standard applies. Because Units 1, 2, and 3 at FCPP have
permanently ceased operation, the EPA is also proposing to delete the
testing requirements for those units in paragraph (e)(8).
5. Revisions to 40 CFR 49.5512(f)
The EPA is proposing revisions to the reporting and recordkeeping
requirements to provide additional clarity that all reports and
notifications required in paragraph (f), (f)(4), and (f)(4)(ii) should
be reported to the Navajo Nation Environmental Protection Agency
(NNEPA) and the EPA. We are also revising paragraph (f) to require that
the Air Division and the Enforcement Division within the Region IX
office of the EPA be provided reports and notifications. Paragraph
(f)(1) includes CEMS notification and recordkeeping requirements, and
we are proposing to add notification and recordkeeping requirements for
the Continuous Opacity Monitoring Systems (COMS) and visible emission
testing. In addition, we are also proposing to delete the water vapor
exemptions in paragraphs (f)(4)(i) and (f)(4)(i)(H). Finally, paragraph
(f)(4)(i)(G) requires written reports to include opacity exceedances
from the COMS, and we are proposing to also require reporting of
opacity exceedances from the visible emission performance tests.
6. Revisions to 40 CFR 49.5512(h)
The EPA is proposing to delete the startup and shutdown exemptions
for opacity and PM at paragraph (h)(2), and to delete the provisions
related to an affirmative defense for malfunctions in paragraph (h)(3).
7. Revisions to 40 CFR 49.5512(i)
The EPA is proposing to delete the technical specifications in
paragraph (i)(1) for annual PM testing and require that PM testing be
performed in accordance with paragraph (e)(3) of 49.5512, which
requires either testing using procedures in accordance with the MATS
Rule at 40 CFR part 63 subpart UUUUU, or the installation, calibration,
maintenance, and operation of a continuous parametric monitoring system
(CPMS) or a CEMS for PM. In
[[Page 86992]]
addition, under paragraph (i)(2)(iii), we are proposing to correct a
typographical error.
8. Addition of 40 CFR 49.5512(k)
The EPA is proposing to promulgate paragraph (k) to add emission
limitations and other provisions from the Consent Decree to the FCPP
FIP.
B. Justification for Proposed FIP Revisions
1. Revisions to 40 CFR 49.5512(a)
The EPA is proposing to add a statement to the applicability
paragraph of the FIP that Units 1, 2, and 3 at the Four Corners Power
Plant permanently ceased operation by January 1, 2014 pursuant to the
requirements of 40 CFR 49.5512(i)(3). This proposed revision is
intended to update the FIP to reflect current operation at FCPP.
The EPA's 2012 FIP for Regional Haze required FCPP to comply with
either emission limitations for BART, achievable with the installation
of SCR on all five units at FCPP, or a ``better than BART''
alternative.\24\ The operator of FCPP elected to comply with the
alternative. Under the alternative, the operator retired Units 1, 2,
and 3 by January 1, 2014, and has begun the process to install SCR on
the Units 4 and 5.
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\24\ See 40 CFR 49.5512(i)(2) and (3). See also 77 FR 51620
(August 24, 2012).
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Units 1, 2, and 3 have not been operated since January 1, 2014, and
the operator has been begun the process to dismantle those units.
Accordingly, it is reasonable to add a statement regarding the status
of those units. This revision, if finalized as proposed, would not
relax any requirement or affect the stringency of the FIP. This
proposed change to update the FIP would not have any effect on air
quality in the area surrounding FCPP.
2. Revisions to 40 CFR 49.5512(c)
Paragraph (c) defines certain terms used in the FIP. As discussed
elsewhere, the EPA is proposing to add a new paragraph (k) that
includes provisions, including a separate set of definitions, from the
Consent Decree. Therefore, to avoid confusion associated with slight
differences that may exist between terms common to both sets of
definitions, we are proposing to specify that the definitions in
paragraph (c) apply to paragraph (a) through (j). This revision, if
finalized as proposed, would not relax any requirement or affect the
stringency of the FIP, and would not have any effect on air quality in
the area surrounding FCPP.
Consistent with the proposed revisions to paragraph (a), the EPA is
proposing to remove portions of definitions for shutdown and startup
(at paragraph (c)(12) and (13)), related to Units 1, 2, and 3, in order
to update the FIP to reflect current operating conditions. Because
these units were retired by January 1, 2014, these revisions, if
finalized as proposed, would not relax any requirements or affect the
stringency of the FIP as contemplated by CAA section 110(l). These
proposed changes to update the FIP would not have any effect on air
quality in the area surrounding FCPP.
The EPA is also proposing to remove definitions and provisions in
paragraph 49.5512(c) that provide an affirmative defense for
malfunction episodes. After the EPA's promulgation of the 2007 FIP, the
United States Court of Appeals for the District of Columbia (``D.C.
Circuit'') ruled that CAA sections 113 (federal enforcement) and 304
(citizen suits) preclude EPA from creating affirmative defense
provisions in the Agency's own regulations imposing emission
limitations on sources.\25\ The D.C. Circuit found that such
affirmative defense provisions purport to alter the jurisdiction of
federal courts to assess liability and impose penalties for violations
of those limits in private civil enforcement cases. The D.C. Circuit's
holding makes clear that the CAA does not authorize promulgation of
such a provision by the EPA. In particular, the D.C. Circuit's decision
turned on an analysis of CAA sections 113 and 304. These provisions
apply with equal force to a civil action brought to enforce the
provisions of a FIP. The logic of the D.C. Circuit's decision thus
applies to the promulgation of a FIP, and precludes the EPA from
including an affirmative defense provision in a FIP.\26\ For these
reasons, the EPA is proposing to delete the provision in the FIP that
provides an affirmative defense for exceedances of emission limitations
that occur during malfunctions at FCPP. This proposed revision, if
finalized, will not relax any requirements in the FIP and would not
have any adverse effects on air quality in the area. Additionally, by
removing an inconsistency between the FIP and the EPA's more recently
promulgated regulations and the 2015 SSM Action, the proposed revision
provides more clarity and certainty.
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\25\ See NRDC v. EPA, 749 F.3d 1055 (D.C. Cir. 2014).
\26\ See February 4, 2013 Memorandum to Docket EPA-HQ-OAR-2012-
0322: ``State Implementation Plans: Response to Petition for
Rulemaking; Findings of Substantial Inadequacy; and SIP Calls to
Amend Provisions Applying to Excess Emissions During Periods of
Startup, Shutdown, and Malfunction; Statutory, Regulatory, and
Policy Context for this Rulemaking.''
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3. Revisions to 40 CFR 49.5512(d)
The EPA is proposing to add a statement to make clear that the
emission limitations under 40 CFR 49.5512(d) apply continuously and at
all times. Exemptions from emission limitations during any mode of
source operation are contrary to CAA requirements. CAA section
110(a)(2)(A) requires SIPs to include, among other requirements,
``enforceable emission limitations.'' Section 302(k) of the CAA defines
an emission limitation as: ``a requirement established by the State or
the Administrator which limits the quantity, rate, or concentration of
emissions of air pollutants on a continuous basis, including any
requirement relating to the operation or maintenance of a source to
assure continuous emission reduction, and any design, equipment, work
practice or operational standard promulgated under this Act.'' The
courts have held that the plain meaning of the term ``continuous'' does
not allow exemptions from emission limitations.\27\ For these reasons,
the EPA is proposing to add a statement to clarify in 40 CFR 49.5512(d)
that the emission limitations in that paragraph apply at all times.
This proposed revision, if finalized, would strengthen the existing
emission limitations by clarifying that the limits are applicable at
all times, including during periods of startup and shutdown.
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\27\ See, e.g., Sierra Club v. Johnson, 551 F.3d 1019 (D.C. Cir.
2008); US Magnesium, LLC v. EPA, 690 F.3d 1157 (10th Cir. 2012).
This issue is discussed at length in ``Memorandum to Docket EPA-HQ-
OAR-2012-0322, Statutory, Regulatory, and Policy Context for this
Rulemaking,'' February 4, 2013.
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Under paragraph (d)(2), the EPA is proposing to delete the portion
of the PM emission limitation that specifies requirements related to
the test duration and minimum collection volume for PM testing.
Generally, the testing requirements for PM and other pollutants are
found in paragraph (e). To improve clarity of the regulation, the EPA
is proposing to delete the provisions in paragraph (d)(2) that relate
to testing and rely solely on paragraph (e) to specify the requirements
for test methods. This proposed revision, if finalized, would not relax
any requirements and would not affect air quality in the area
surrounding FCPP.
Under paragraph (d)(3), we are proposing to delete the requirements
for dust control. The EPA promulgated paragraph (d)(3) as part of the
2007 FIP. Following final action on the 2007 FIP, the operator of FCPP
filed a petition for review, claiming, among other things,
[[Page 86993]]
that the EPA had not provided an adequate explanation for promulgating
the dust control requirements.\28\ In the litigation, the EPA agreed
that the dust control requirements should be remanded and vacated
because the 2007 FIP did not contain an adequate explanation of its
rationale. On November 13, 2008, the EPA issued a final rule to stay
the effectiveness of the dust control requirements at paragraph
(d)(3).\29\ In the EPA's 2012 action to implement the BART requirements
for FCPP, the EPA proposed and finalized dust control measures in the
FCPP FIP at paragraph (j) that were consistent with the requirements in
paragraph (d)(3) requiring submission of a dust control plan and
compliance with a 20-percent opacity limit.\30\ The proposal provided
the EPA's rationale for establishing dust control requirements, and
these requirements were not challenged in the final 2012 FIP. Because
the requirements in paragraph (d)(3) were stayed in 2008 and replaced
by paragraph (j) in 2012, which remains in effect, the EPA's proposal
to remove the dust control requirements at paragraph (d)(3) would not
relax any requirements and would not have any effects on air quality in
the area surrounding FCPP.
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\28\ Arizona Public Service Company v. EPA et al., 562 F.3d
1116, Case No. 07-9546, (10th Circuit, Apr. 14, 2009).
\29\ See 73 FR 67107 (November 13, 2008).
\30\ See 75 FR 64211 (October 19, 2010) and 77 FR 51620 (August
12, 2012).
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Paragraph (d)(4) establishes a requirement that the discharge of
emissions from the stacks of Units 4 and 5 shall not exhibit greater
than 20 percent opacity, excluding uncombined water droplets. We are
proposing to delete the exclusion of uncombined water droplets from the
opacity standard. This specific exclusion of water vapor is
inconsistent with the 2015 SSM Action. The exclusion is also
inconsistent with the EPA's treatment of opacity in other rulemakings.
For example, although FCPP is not subject to the New Source Performance
Standard (NSPS) for electric generating units at 40 CFR part 60 subpart
Da, the subpart Da standard does not include a specific exclusion for
water vapor in the opacity standard.\31\ However, it does include
provisions for addressing interference of water vapor with the COMS by
providing alternative monitoring requirements to assure continuous
monitoring of baghouse performance.\32\ In addition, subpart B to 40
CFR part 75 includes an exemption from the opacity monitoring
requirements of part 75 (i.e., COMS) for units with wet flue gas
pollution control systems where it is demonstrated that condensed water
is present and impedes the accuracy of opacity measurements.\33\
Generally, these alternatives for addressing water vapor interference
would be invoked for systems that consistently experience saturated
stack conditions.
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\31\ See 40 CFR part 60 subpart Da at 60.42Da(b). Subpart Da to
part 60 is the ``Standard of Performance for Electric Utility Steam
Generating Units'' and applies to units that are capable of
combusting more than 73 MW heat input of fossil fuel and for which
construction, modification, or reconstruction commenced after
September 18, 1978. The units at FCPP were constructed prior to 1978
and are not subject to part 60 subpart Da.
\32\ See 40 CFR part 60 subpart Da 60.49Da(a).
\33\ See 40 CFR part 75 subpart B at 75.14.
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The EPA promulgated the exclusion of uncombined water droplets in
the 2007 FIP to address the technical challenge at FCPP associated with
the use of COMS to monitor opacity when the stacks are saturated.\34\
Currently, the scrubbers for SO2 control at FCPP operate
with a bypass specifically to avoid saturated stack conditions given
the physical limitations of the existing unlined stacks.\35\
Furthermore, we understand from the operator of FCPP that Units 4 and 5
infrequently experience high opacity readings as a result of water
vapor interference, and the limited instances generally resulted from
equipment or process issues.\36\
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\34\ See 72 FR 25698 at 25701 (May 7, 2007).
\35\ We note that the Consent Decree requires the operator to
modify the existing ductwork at FCPP to withstand saturated
conditions in order to eliminate the bypass. See proposed regulatory
text at 40 CFR 49.5512(k)(3)(ii).
\36\ See document titled ``Opacity Exceedances due to Saturated
Stack.docx,'' in the docket for this rulemaking, showing three
opacity exceedances from Units 4 and 5 combined due to wet stack
conditions over 2011-2015, generally resulting from equipment
malfunction.
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The EPA is proposing to remove the provisions exempting water vapor
from the opacity standard and the associated monitoring and reporting
requirements because these exemptions are inconsistent with the 2015
SSM Action, stating that emission standards must apply at all times,
including periods of malfunction. Our proposal, to remove the water
vapor exemption from the opacity standard and monitoring requirements,
represents a strengthening of the FIP. Therefore, we anticipate that
this proposed revision would not have any adverse effects on air
quality in the surrounding area.
Under paragraph (d)(4), we are also proposing to add a provision
that any unit for which the owner or operator installs, calibrates,
maintains, and operates a PM CEMS to demonstrate compliance with a PM
emission limitation shall be exempt from the opacity standard in
paragraph (d)(4), and the associated monitoring and recordkeeping
requirements in paragraphs (e) and (f). This provision is consistent
with the provisions of the NSPS at 60.42Da(b)(1) and the Acid Rain
Program requirements at 40 CFR 75.14(e), which generally provides that
any owner or operator that elects to install, calibrate, maintain, and
operate a CEMS for measuring PM emissions is exempt from the opacity
standard and monitoring requirements.\37\ The PM CEMS is a monitoring
system that provides a continuous assessment of compliance with a PM
limit. Generally, opacity standards and COMS have been used as a
surrogate to ensure continuous compliance with a PM emission standard
that would otherwise be subject to periodic source testing.\38\ As
noted above, FCPP is not subject to the NSPS at 60.42Da. However, we
are proposing to follow the same rationale from Subpart Da to exempt
any unit from the opacity standard and COMS requirement if a PM CEMS is
installed on that unit and used for determining continuous compliance
with its PM emission limitation.
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\37\ See also 77 FR 9304 (February 16, 2012).
\38\ See, e.g., discussion of opacity in the 2007 FIP for FCPP,
72 FR 25698 at 25701 (May 7, 2007), stating that opacity limits are
generally applied to ensure a unit is meeting its PM limit.
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As discussed elsewhere in this proposed rule, the Consent Decree
requires the operator of FCPP, by early 2017, to install PM CEMS and,
by mid-2018, to make modifications to the stacks to withstand saturated
conditions to allow greater SO2 removal efficiency (by
reducing or eliminating the existing scrubber bypass). After these
stack modifications are made in 2018, we anticipate that the units at
FCPP will more consistently experience saturated stack conditions that
may impede the accuracy of opacity measurements. We consider the use of
PM CEMS to be an improvement upon the use of an opacity standard and
COMS as a surrogate for measuring continuous compliance with PM limits,
particularly for wet stacks. Therefore, the EPA does not consider these
revisions to relax any requirements or to result in any adverse effects
on air quality in the surrounding area.
The last proposed revision under paragraph (d) is to remove the
emission limitation for NOX that applied to Units 1, 2, and
3 at FCPP under 40 CFR 49.5512(d)(5)(i). The owner or operator
permanently ceased operation of Units 1, 2, and 3 by January 1, 2014;
therefore, removal of the emission limitations for these retired units
specified in
[[Page 86994]]
paragraph (d)(5)(i) would not relax any requirements or have any effect
on air quality in the area surrounding FCPP.
4. Revisions to 40 CFR 49.5512(e)
Paragraph (e) of 40 CFR 49.5512 generally relates to testing and
monitoring requirements that follow in subparagraphs (e)(1)-(e)(8).
Under paragraph (e), prior to subparagraph (e)(1), we are proposing to
remove specific provisions for particulate matter testing and to move
revised provisions for PM to subparagraph (e)(3). The EPA is proposing
this revision to improve the clarity of the regulatory requirements.
Therefore, this proposed revision, to address testing and monitoring
requirements elsewhere, within specific sub-paragraphs in paragraph
(e), would not relax any requirements or affect air quality in the
surrounding area. We address the specific provisions related to
revisions to the PM testing and monitoring provisions in a separate
discussion on paragraph (e)(3).
In paragraph (e), we are also proposing to remove provisions
related to opacity and move revised opacity monitoring requirements to
paragraph (e)(6). We are proposing to remove the existing opacity
monitoring exemption for periods when the stack is saturated and to
remove the presumption that high opacity readings that occur when the
baghouse is operating within normal parameters is caused by water vapor
and shall not be considered a violation. As outlined in our
justification for proposed revisions to paragraph (d)(4), the existing
exemptions for opacity monitoring for periods of saturated stacks are
inconsistent with the EPA's interpretation of CAA requirements to
prohibit emission limitation exemptions and affirmative defenses
applicable to excess emissions during malfunctions. The proposed
revisions to the opacity standard and monitoring requirements
strengthen the FIP and therefore, these changes would not affect air
quality in the surrounding area.
In paragraph (e)(1), we are proposing to remove the provision
specifying a compliance deadline for installing CEMS for
SO2, NOX, and a diluent because the CEMS for
those pollutants have already been installed. The EPA is not revising
the provisions related to the required operation, maintenance, or
certification of the CEMS. Because we are proposing to delete a
requirement that merely establishes a compliance date that has already
been met, this proposed revision would not relax any requirements or
affect air quality in the surrounding area.
In paragraph (e)(3), the EPA is proposing to revise the annual PM
testing requirements to require the owner or operator to either:
Conduct PM testing in accordance with the quarterly testing
specifications in the MATS Rule (see Table 5, 40 CFR part 63, subpart
UUUUU); to install, calibrate, maintain, and operate a CPMS on each
unit in accordance with the MATS Rule (see 40 CFR part 63, subpart
UUUUU); or to install, calibrate, maintain, and operate a PM CEMS on
each unit, in accordance with the MATS Rule (see 40 CFR part 63,
subpart UUUUU). Currently, paragraph (e)(3) requires annual PM testing.
We are proposing to align the PM testing requirement in the 2007 FIP
with the testing requirements in the MATS Rule, which includes either
quarterly testing or continuous monitoring. Therefore, this proposed
revision would increase the frequency of PM testing required in the FIP
from an annual basis to either a quarterly or a continuous basis. In
addition, the testing provisions in the MATS Rule generally refer to
the same test methods as those already referenced elsewhere in the FCPP
FIP in paragraphs (e) and (i)(1), e.g., 40 CFR part 60 Appendices A-1
through A-3, Methods 1 through 4, and Method 5. Therefore, this
proposed revision streamlines testing for PM, does not relax any other
requirements, and makes the testing requirements for PM under the FIP
consistent with the PM testing requirements in a recent national
rulemaking. This proposed revision would not have adverse impacts on
air quality in the surrounding area.
In paragraph (e)(6), we are proposing to clarify that this opacity
monitoring provision applies only to units at FCPP that are subject to
the opacity standard at paragraph (d)(4). As discussed elsewhere in
this proposed rule, we are proposing that the opacity standard would
apply only if the owner or operator does not elect to monitor
compliance with the PM limit using PM CEMS. If the opacity standard
applies, under paragraph (e)(6) we are proposing three options for
determining compliance with the opacity standard. The first option
specifies separate compliance demonstrations for the opacity standard
under dry and wet conditions. When the stack is dry (unsaturated), we
are proposing to continue to require use of the existing COMS. However,
during periods of wet (saturated) stack conditions, which are currently
infrequent, the condensed water vapor may impede the accuracy of
opacity measurements. Therefore, anticipating that saturated stack
conditions at FCPP may occur more frequently in the future, we are
proposing to require the owner or operator to demonstrate compliance
with the opacity standard during saturated stack conditions using
visible emission performance testing. We consider the visible emission
compliance demonstrations to provide reasonable demonstrations of
compliance with the opacity standard during these infrequent
occurrences. However, when the stacks at FCPP are lined to eliminate
the scrubber bypass and result in consistently saturated stacks,
continuous visible emission performance tests may be impractical.
Therefore, we are proposing two additional options for determining
compliance with the opacity standard. Both options are provided in 40
CFR part 60 subpart Da as alternatives to COMS for units experiencing
interference from water vapor.\39\ In paragraph (e)(6)(ii), we are
proposing a second option that requires the installation and
maintenance of a CPMS, in accordance with the MATS Rule at 40 CFR part
63 subpart UUUUU, combined with periodic visible emission testing in
accordance with 40 CFR 60.49Da(a)(3). In paragraph (e)(6)(iii), we are
proposing a third option that requires monitoring performance of the
existing baghouses using a bag leak detection system in accordance with
40 CFR 60.48Da(o)(4), or an alternative bag leak detection system
approved by the EPA, combined with periodic visible emission testing in
accordance with 40 CFR 60.49Da(a)(3).\40\ As discussed elsewhere in
this notice, the proposed revisions to the opacity standard and
monitoring requirements would strengthen the FIP and benefit air
quality in the surrounding area because they remove existing exemptions
in the FIP and provide reasonable alternatives to address saturated
stack conditions in a manner that is consistent with other national
rulemakings.
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\39\ See 40 CFR 60.49Da(2)(i) and 60.49Da(a)(4)(ii).
\40\ Under 40 CFR 60.13(h)(3)(i), the Administrator may approve
alternatives to any monitoring procedures or requirements of part
60.
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Because Units 1, 2, and 3 have permanently ceased operation, we are
proposing to delete the testing requirements for those units in
paragraph (e)(8). Removal of the testing requirements for these retired
units would not relax any requirements or have any effect on air
quality in the area surrounding FCPP.
5. Revisions to 40 CFR 49.5512(f)
The EPA is proposing revisions to the reporting and recordkeeping
requirements to provide additional clarity that all reports and
notifications
[[Page 86995]]
required in paragraph (f), (f)(4), and (f)(4)(ii) must be submitted to
the NNEPA and the EPA. Within the recordkeeping and reporting
requirements in paragraph (f), we are proposing changes to clarify that
any reports that are required to be submitted to the Regional
Administrator or the Administrator must be submitted to the Director of
NNEPA and to the Air Division Director at Region IX office of the EPA.
We are also revising paragraph (f) to require that the Director of the
Enforcement Division, in addition to the Director of the Air Division,
at the Region IX office of the EPA, be provided reports and
notifications. These proposed revisions do not relax any requirements
or have any effect on air quality in the area surrounding FCPP.
Paragraph (f)(1) requires notification and recordkeeping
requirements for the CEMS. The EPA is proposing to add the COMS and
visible emission testing to the notification and recordkeeping
requirements in this paragraph. These proposed revisions do not relax
any requirements and would not adversely affect air quality in the area
surrounding FCPP.
In paragraph (f)(3), we are proposing to delete the specification
related to the frequency of particulate matter testing but are not
proposing to modify any provisions related to PM testing reports to the
EPA. As discussed elsewhere, we are proposing modifications to the PM
testing requirements to align with the MATS Rule, which provides three
options for demonstrating compliance with the PM emission limitations:
Quarterly stack tests, CPMS, or PM CEMS. Deleting the specification in
paragraph (f)(3) that PM testing occurs annually is consistent with the
proposed revision to align the PM testing and monitoring requirements
for FCPP with those of the MATS Rule.
In addition, in paragraphs (f)(4)(i) and (f)(4)(ii), we are
proposing to delete the mailing addresses and other details related to
reporting requirements, as they are redundant to the provisions in
paragraph (f). All reports and notifications under paragraph (f) must
be submitted to the NNEPA and the EPA, and we are proposing to clarify
under paragraph (f) that all references to the Regional Administrator
in that paragraph mean the Directors of the NNEPA and two divisions
within the EPA Region IX office. Paragraph (f)(4) repeats addresses and
other details already stated in paragraph (f). The EPA is proposing to
delete these redundant provisions in paragraph (f)(4). We anticipate
this revision would improve regulatory clarity and would have no impact
on air quality in the surrounding area.
Consistent with the proposed revisions to the opacity standard and
COMS requirement in paragraphs (d) and (e), we are proposing to delete
references to saturated stack conditions in paragraphs (f)(4)(i) and
(f)(4)(i)(H). In paragraph (f)(4)(i)(G), we are also proposing to
require the owner or operator to report opacity exceedances determined
from the visible emission performance tests. As discussed elsewhere in
this notice, because provisions in the existing FCPP FIP exempt the
units from the opacity limit during periods where the stacks were
saturated, the removal of the exemption represents a strengthening of
the FIP and would not relax other requirements in the FCPP FIP.
6. Revisions to 40 CFR 49.5512(h)
The EPA is proposing to delete the startup and shutdown exemptions
for the opacity and PM emission limitations at paragraph (h)(2) and to
delete the provisions related to an affirmative defense for
malfunctions in paragraph (h)(3). As discussed previously, exemptions
from emission limitations and provisions that allow an affirmative
defense are inconsistent with CAA requirements. Using the same
rationale we provided elsewhere in this notice, for the proposed
revisions to 40 CFR 52.5512(c) and (d), the EPA is proposing to delete
the provisions at paragraph (h)(2) that provide an exemption from
emission limitations during periods of startup and shutdown and also to
delete the provisions in the paragraph (h)(3) that provide an
affirmative defense for malfunctions at FCPP. The proposed removal of
these provisions strengthens the FIP and does not relax any other
requirements in the FIP. Therefore, the removal of these revisions
would not adversely affect air quality in the surrounding area.
7. Revisions to 40 CFR 49.5512(i)
Under paragraph (i)(1), promulgated in the 2012 FIP, the EPA is
proposing to delete the existing provisions related to annual PM
testing and add a provision that PM testing shall be performed in
accordance with paragraph (e)(3), which requires quarterly PM testing,
or installation, calibration, and operation of CPMS, or PM CEMS, in
accordance with the MATS Rule. This proposed revision would increase
the frequency of PM testing from an annual basis to either a quarterly
or continuous basis. The testing provisions in the MATS Rule generally
refer to the same test methods already referenced in the FIP in
paragraphs (e) and (i)(1), e.g., 40 CFR part 60 Appendices A-1 through
A-3, Methods 1 through 4, and Method 5. This proposed revision would
not relax any requirements and would make the testing requirements for
PM under the FIP consistent with the PM testing requirements in recent
national rulemakings. Therefore, this revision would not have adverse
impacts on air quality in the surrounding area.
In addition, under paragraph (i)(2)(iii) of the 2012 FIP, we are
proposing to correct a typographical error in a citation. Paragraph
(i)(2)(iii) provides the schedule for the installation of add-on post-
combustion NOX controls and refers to interim emission
limitations for NOX at paragraph (i)(2)(ii)(A). However, the
interim emission limitations are found in paragraph (i)(2)(ii), and
subparagraph (A) to paragraph (i)(2)(ii) does not exist. Although the
interim limits under paragraph (i)(2)(ii) do not apply because the
owner or operator elected to implement paragraph (i)(3) in lieu of
paragraph (i)(2) for NOX, the EPA is proposing to correct
this error in order to improve regulatory clarity. This proposed
revision would have no effect on air quality in the surrounding area.
8. Addition of 40 CFR 49.5513(k)
The EPA is proposing to add paragraph (k) to include provisions
required for compliance with the Consent Decree. The EPA is not
revisiting or opening for comment any of the specific requirements of
the Consent Decree and is requesting comment only on whether the EPA
has incorporated all appropriate requirements from the Consent Decree
into the FIP. Generally, the Consent Decree established emission
limitations and other requirements to reduce emissions of
SO2, NOX and PM. The Consent Decree requires the
owner or operator to modify the existing ductwork and stacks for Units
4 and 5 to accommodate a wet stack in order to eliminate the need to
bypass flue gas around the scrubbers and to achieve and maintain an
SO2 removal efficiency of at least 95 percent, which is more
stringent than the requirement to achieve an 88 percent removal
efficiency in paragraph (d)(1)(i). The Consent Decree also established
an emission limitation for NOX of 0.080 lb/MMBtu, which is
more stringent than the NOX limit of 0.098 lb/MMBtu in 40
CFR 49.5512(i)(3) from the 2012 FIP. Finally, the Consent Decree
established a PM emission limitation of 0.0150 lb/MMBtu for Units 4 and
5, which is more stringent than the PM limit of 0.015 lb/MMBtu that was
applied to those units in the 2012 FIP. Because the Consent Decree set
more
[[Page 86996]]
stringent emission limitations, the proposed revision to incorporate
the provisions of the Consent Decree into the FIP for FCPP strengthens
the FIP and would not relax any existing requirements. In this action,
the EPA is merely proposing to incorporate the existing Consent Decree
requirements into the FIP for FCPP and is requesting comment only on
whether the EPA has incorporated all appropriate requirements from the
Consent Decree into the FIP. The Consent Decree is anticipated to
benefit air quality, and the proposed inclusion of the Consent Decree
requirements in the FIP would make those requirements continue to be
federally enforceable after the Consent Decree is terminated.
C. Compliance Schedule
The EPA proposes that the requirements contained in this proposal
will become enforceable on the effective date following final
promulgation of this FIP revision unless otherwise provided in a
specific provision of the FIP.
IV. Proposed Action and Solicitation of Comments
As described above, the EPA proposes revisions to the FCPP FIP for
several reasons: (1) To make certain provisions in the FIP consistent
with national rulemakings and other actions since 2012; (2) to update
the FIP to reflect recent operating changes; and (3) to add new
provisions to the FIP to include the requirements of the Consent
Decree.
The EPA solicits comments on the limited revisions of the FCPP FIP
that we are proposing in this rulemaking. We are also soliciting
comment on whether the EPA has accurately incorporated the requirements
from the Consent Decree into paragraph (k) of the FIP. We are not
accepting comment on any provisions of the FCPP FIP that we are not
proposing to revise, and we are not accepting comment on the specific
requirements of the Consent Decree. Accordingly, please limit your
comments to those specific provisions recited above that we are
proposing to revise in today's action.
V. Environmental Justice Considerations
The Four Corners Power Plant is located on the reservations lands
of the Navajo Nation, and the EPA recognizes there is significant
community interest in the emissions and environmental effects of this
facility. As discussed elsewhere in this document, the proposed
revisions to the FCPP FIP would: Strengthen the FIP by removing
emission limitation exemptions for periods of startup, shutdown, and
saturated stacks; remove an affirmative defense applicable to excess
emissions during malfunctions; and codify more stringent emission
limitations for SO2, NOX, and PM from a Consent
Decree dated August 17, 2015. Additional revisions to the FCPP FIP
proposed in this notice, including to streamline certain testing
requirements to be consistent with national rulemakings promulgated
since 2008 and to remove requirements for units that have permanently
ceased operation, would not relax any condition in the FCPP FIP.
Therefore, the EPA considers this proposed action to be beneficial for
human and environmental health, and to have no potential
disproportionately high and adverse effects on minority, low-income, or
indigenous populations.
VI. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review and Executive
Order 13563: Improving Regulation and Regulatory Review
This action is not a significant regulatory action and was
therefore not submitted to the Office of Management and Budget (OMB)
for review.
B. Paperwork Reduction Act (PRA)
This action does not impose an information collection burden under
the provisions of the Paperwork Reduction Act, 44 U.S.C. 3501 et seq.
This rule applies to only one facility. Therefore, its recordkeeping
and reporting provisions do not constitute a ``collection of
information'' as defined under 44 U.S.C. 3502(3) and 5 CFR 1320.3(c).
C. Regulatory Flexibility Act (RFA)
I certify that this proposed action will not have a significant
economic impact on a substantial number of small entities. This action
will not impose any requirements on small entities. Firms primarily
engaged in the generation, transmission, and/or distribution of
electric energy for sale are small if, including affiliates, the total
electric output for the preceding fiscal year did not exceed four
million megawatt-hours. Each of the owners of the facility (i.e.,
Arizona Public Service, Salt River Project, Tucson Electric Power, and
El Paso Electric) affected by this rule exceed this threshold.
D. Unfunded Mandates Reform Act (UMRA)
This action does not contain an unfunded mandate of $100 million or
more as described in UMRA, 2 U.S.C. 1531-1538, and does not
significantly or uniquely affect small governments.
E. Executive Order 13132: Federalism
This action does not have federalism implications. It will not have
substantial direct effects on the states, on the relationship between
the national government and the states, or on the distribution of power
and responsibilities among the various levels of government.
F. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
This action does not have tribal implications, as specified in
Executive Order 13175. Although this proposed action affects a facility
located in Indian country, the proposed limited revisions to existing
provisions in the FIP for FCPP, and the incorporation of provisions
into the FIP from a Consent Decree, which has already undergone public
review and was the subject of tribal consultation, will not have
substantial direct effects on any Indian tribes, on the relationship
between the federal government and Indian tribes, or on the
distribution of power and responsibilities between the federal
government and Indian tribes. Thus, Executive Order 13175 does not
apply to this action. However, we note that we have engaged in numerous
discussions with the NNEPA during the development of this proposed rule
and continue to invite consultation on this proposed action.
G. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
EPA interprets EO 13045 as applying only to those regulatory
actions that concern health or safety risks that EPA has reason to
believe may disproportionately affect children, per the definition of
``covered regulatory action'' in section 2-202 of the Executive Order.
This action is not subject to Executive Order 13045 because it does not
concern an environmental health risk or safety risk.
H. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
This action is not subject to Executive Order 13211 because it is
not a significant regulatory action under Executive Order 12866.
I. National Technology Transfer and Advancement Act
This action involves technical standards. The technical standards
in this action are based on the technical standards used in other
rulemakings promulgated by the EPA. We refer to the
[[Page 86997]]
discussion of the technical standards and voluntary consensus standards
in the final rule for 40 CFR part 60 subpart Da and 40 CFR part 63
subpart UUUUU at 77 FR 9304 at 9441 (February 16, 2012).
J. Executive Order 12898: Federal Actions To Address Environmental
Justice in Minority Populations and Low-Income Populations
The EPA believes the human health or environmental risk addressed
by this action will not have potential disproportionately high and
adverse human health or environmental effects on minority, low-income
or indigenous populations. If this rule is finalized as proposed, we
expect that the limited revisions to the FIP will strengthen
requirements for periods of startup, shutdown, and malfunction and will
not relax any other existing requirements. Additional revisions related
to streamlining of PM testing and providing options for PM and opacity
testing that are in accordance with other rulemakings from the EPA will
not affect air quality in the area surrounding FCPP.
List of Subjects in 40 CFR Part 49
Environmental protection, Administrative practice and procedure,
Air pollution control, Incorporation by reference, Indians,
Intergovernmental relations, Reporting and recordkeeping requirements,
Startup shutdown and malfunction.
Dated: November 22, 2016.
Alexis Strauss,
Acting Regional Administrator, Region IX.
Chapter I, title 40, of the Code of Federal Regulations is proposed
to be amended as follows:
PART 49--INDIAN COUNTRY: AIR QUALITY PLANNING AND MANAGEMENT
0
1. The authority citation for part 49 continues to read as follows:
Authority: 42 U.S.C. 7401, et seq.
Subpart L--Implementation Plans for Tribes--Region IX
0
2. Section 49.5512 is amended by:
0
a. Revising paragraph (a);
0
b. Revising paragraph (c) introductory text;
0
c. Removing and reserving paragraph (c)(1);
0
d. Revising paragraph (c)(7);
0
e. Revising paragraph (c)(12);
0
f. Revising paragraph (c)(13);
0
g. Revising paragraph (d) introductory text;
0
h. Revising paragraph (d)(2);
0
i. Removing and reserving paragraph (d)(3);
0
j. Revising paragraph (d)(4);
0
k. Revising paragraph (d)(5);
0
l. Revising paragraph (e) introductory text;
0
m. Revising paragraph (e)(1);
0
n. Revising paragraph (e)(3);
0
o. Revising paragraph (e)(6);
0
p. Removing and reserving paragraph (e)(8);
0
q. Revising paragraph (f) introductory text;
0
r. Revising paragraph (f)(1);
0
s. Revising paragraph (f)(3) introductory text;
0
t. Revising paragraphs (f)(4)(i) introductory text, (f)(4)(i)(G) and
(H) and (f)(4)(ii);
0
u. Removing and reserving paragraphs (h)(2) and (3);
0
v. Revising paragraph (i)(1);
0
w. Revising paragraph (i)(2)(iii)(A); and
0
x. Adding paragraph (k).
The text to read as follows:
Sec. 49.5512 Federal Implementation Plan Provisions for Four Corners
Power Plant, Navajo Nation.
(a) Applicability. The provisions of this section shall apply to
each owner or operator of the coal burning equipment designated as
Units 1, 2, 3, 4, and 5 at the Four Corners Power Plant (the Plant) on
the Navajo Nation Indian Reservation located in the Four Corners
Interstate Air Quality Control Region (see 40 CFR 81.121). Units 1, 2,
and 3 at the Four Corners Power Plant permanently ceased operation by
January 1, 2014, pursuant to the requirements of paragraph (i)(3).
* * * * *
(c) Definitions. For the purposes of paragraphs (a)-(j):
(1) [Reserved]
* * * * *
(7) Malfunction means any sudden and unavoidable failure of air
pollution control equipment or process equipment or of a process to
operate in a normal or usual manner.
* * * * *
(12) Shutdown means the cessation of operation of any air pollution
control equipment, process equipment, or process for any purpose. For
Units 4 or 5, shutdown begins when the unit drops below 300 MW net load
with the intent to remove the unit from service.
(13) Startup means the setting into operation of any air pollution
control equipment, process equipment, or process for any purpose. For
Units 4 or 5, startup ends when the unit reaches 400 MW net load.
* * * * *
(d) Emissions Standards and Control Measures. The following
emission limits shall apply at all times.
* * * * *
(2) Particulate Matter. No owner or operator shall discharge or
cause the discharge of particulate matter from any coal burning
equipment into the atmosphere in excess of 0.050 pounds per million
British thermal unit (lb/MMBtu) of heat input (higher heating value).
(3) [Reserved].
(4) Opacity. No owner or operator shall discharge or cause the
discharge of emissions from the stacks of Units 4 and 5 into the
atmosphere exhibiting greater than 20 percent opacity, averaged over
any six (6) minute period, except for one six (6) minute period per
hour of not more than 27 percent opacity. Any unit for which the owner
or operator installs, calibrates, maintains, and operates particulate
matter CEMS under paragraph (e)(3) of this section shall be exempt from
this opacity standard in this paragraph (d)(4) and associated
requirements in paragraphs (e) and (f) to demonstrate compliance with
the opacity standard.
(5) Oxides of nitrogen. No owner or operator shall discharge or
cause the discharge of NOX into the atmosphere in excess of
the amounts specified below.
(i) 0.65 lb/MMBtu of heat input per unit averaged over any
successive thirty (30) boiler operating-day period from Units 4 and 5;
(ii) 335,000 lb per 24-hour period when coal-burning equipment is
operating, on a plant-wide basis; for each hour when coal-burning
equipment is not operating, this limitation shall be reduced. If the
unit which is not operating is Unit 1, 2, or 3, the limitation shall be
reduced by 1,542 lb per hour for each unit which is not operating. If
the unit which is not operating is Unit 4 or 5, the limitation shall be
reduced by 4,667 lb per hour for each unit which is not operating.
(e) Testing and Monitoring. Compliance with the emissions limits
set for SO2 and NOX shall be determined by using
data from a CEMS unless otherwise specified in paragraphs (e)(2) and
(e)(4) of this section.
(1) The owner or operator shall maintain and operate CEMS for
SO2, NO or NOX, and a diluent, and for Units 4
and 5 only, COMS, in accordance with 40 CFR 60.8 and 60.13, and
appendix B of 40 CFR part 60. Completion of 40 CFR part 75 monitor
certification requirements shall be deemed to satisfy the requirements
under 40 CFR 60.8 and 60.13 and appendix B of part 60. The owner or
operator shall comply with the
[[Page 86998]]
quality assurance procedures for CEMS found in 40 CFR part 75, and all
reports required thereunder shall be submitted to the Regional
Administrator. The owner or operator shall provide the Regional
Administrator notice in accordance with 40 CFR 75.61.
* * * * *
(3) To assure continuous compliance with the particulate matter
limits in paragraph (d)(2), the owner or operator shall either conduct
particulate matter testing in accordance with the testing
specifications outlined in Table 5 of 40 CFR part 63 subpart UUUUU, or
install, calibrate, operate, and maintain a continuous parametric
monitoring system (CPMS) for that unit in accordance with 40 CFR part
63 subpart UUUUU, or install, calibrate, maintain, and operate
particulate matter CEMS in accordance with 40 CFR part 63 subpart
UUUUU. The owner or operator shall submit a written notification, in
accordance with paragraph (f), of intent to demonstrate compliance with
this paragraph by using a CPMS or PM CEMS. This notification shall be
sent at least 30 calendar days before the initial startup of the
monitor for compliance determination purposes. The owner or operator
may discontinue operation of the monitor and instead return to
demonstration of compliance with this paragraph using quarterly PM
testing by submitting written notification, in accordance with
paragraph (f), of such intent at least 30 calendar days before shutdown
of the monitor for compliance determination purposes. Nothing in this
paragraph replaces or supersedes the requirements for PM CEMS in the
August 17, 2015 Consent Decree under paragraph (k).
* * * * *
(6) If the opacity standard in paragraph (d)(4) applies, the owner
or operator shall demonstrate compliance with the opacity standard
using one of the following options:
(i) Operate Continuous Opacity Monitoring Systems (COMS) and
maintain a set of opacity filters to be used as audit standards.
Compliance with the opacity standard during periods of dry
(unsaturated) stack conditions shall be determined using COMS.
Compliance with the opacity standard during periods of wet (saturated)
stack conditions shall be determined using visible emission performance
testing specified in 40 CFR part 60 appendix A-4 Method 9 during the
duration of the saturated stack condition, or
(ii) Install, calibrate, operate, and maintain a continuous
parametric monitoring system (CPMS) for that unit in accordance with 40
CFR part 63 subpart UUUUU, including the requirements for the
development of site-specific monitoring plans and recordkeeping and
reporting; and conduct periodic performance testing of visible
emissions using the procedures specified in paragraphs 40 CFR
60.49Da(a)(3), or
(iii) monitor performance of the baghouses using a bag leak
detection system in accordance with 40 CFR 60.48Da(o)(4), or an
alternative bag leak detection system approved by the EPA, including
requirements for the development of site-specific monitoring plans and
recordkeeping and reporting; and conduct periodic performance testing
of visible emissions using the procedures specified in paragraphs 40
CFR 60.49Da(a)(3).
* * * * *
(8) [Reserved]
(f) Reporting and Recordkeeping Requirements. All requests,
reports, submittals, notifications, and other communications to the
Regional Administrator or Administrator required by this paragraph (f)
and references therein shall be submitted to the Director, Navajo
Nation Environmental Protection Agency, P.O. Box 339, Window Rock,
Arizona 86515, (928) 871-7692, (928) 871-7996 (facsimile); to the
Director, Air Division, U.S. Environmental Protection Agency, Region
IX, to the attention of Mail Code: AIR-3, at 75 Hawthorne Street, San
Francisco, California 94105, (415) 972-397490, (415) 947-3579
(facsimile); and to the Director, Enforcement Division, U.S.
Environmental Protection Agency, to the attention of Mail Code ENF-2-1,
at 75 Hawthorne Street, San Francisco, California, 94105, (415) 972-
3982, or by email to r9.aeo@epa.gov. For each unit subject to the
emissions limitation in this section and upon completion of the
installation of CEMS and COMS as required in this section, the owner or
operator shall comply with the following requirements:
(1) For each emissions limit in this section, comply with the
notification and recordkeeping requirements for CEMS and COMS
compliance monitoring in 40 CFR 60.7(c) and (d), and for visible
emissions testing, if applicable under paragraph (e)(6), record and
report results of the test in accordance with 40 CFR 60.7(d).
* * * * *
(3) Furnish the Regional Administrator with reports describing the
results of the particulate matter emissions tests postmarked within
sixty (60) days of completing the tests. Each report shall include the
following information:
* * * * *
(4) * * *
(i) For excess emissions, the owner or operator shall notify the
Regional Administrator by telephone or in writing within one business
day (initial notification). A complete written report of the incident
shall be submitted within ten (10) working days of the initial
notification. The complete written report shall include:
* * * * *
(G) For an opacity exceedance, the 6-minute average opacity
monitoring data or visible emission performance test results greater
than 20 percent opacity for the 24 hours prior to and during the
exceedance for Units 4 and 5; and
(H) The efforts taken or being taken to minimize the excess
emissions and to repair or otherwise bring the Plant into compliance
with the applicable emissions limit(s) or other requirements.
(ii) If the period of excess emissions extends beyond the submittal
of the written report, the owner or operator shall also notify the
Regional Administrator in writing of the exact time and date when the
excess emissions stopped. Compliance with the excess emissions
notification provisions of this section shall not excuse or otherwise
constitute a defense to any violations of this section or of any law or
regulation which such excess emissions or malfunction may cause.
* * * * *
(i) * * *
(1) Particulate Matter from Units 4 and 5 shall be limited to 0.015
lb/MMBtu for each unit. Particulate matter testing shall be performed
in accordance with paragraph (e)(3) of this section.
(2) * * *
(iii) * * *
(A) Within 4 years of the effective date of this rule, FCPP shall
have installed add-on post-combustion NOX controls on at
least 750 MW (net) of generation to meet the interim emission limit in
paragraph (i)(2)(ii) of this section.
* * * * *
(k) Emission limitations from August 17, 2015 Consent Decree. The
emission limitations and other requirements from this paragraph (k),
originally contained in a Consent Decree filed on August 17, 2015 in
the United States District Court for the District of New Mexico, are in
addition to the requirements in paragraphs (a) through (j) of this
section.
(1) Definitions. Every term expressly defined in this paragraph (k)
shall have the meaning given that term herein. Every other term used in
this paragraph
[[Page 86999]]
(k) that is also a term used under the Act or in a federal regulation
implementing the Act shall mean what such term means under the Act or
those regulations.
(i) A ``30-Day Rolling Average NOX Emission Rate'' for a
Unit shall be expressed in lb/MMBtu and calculated in accordance with
the following procedure: First, sum the total pounds of NOX
emitted from the Unit during the current Unit Operating Day and the
previous twenty nine (29) Unit Operating Days; second, sum the total
heat input to the Unit in MMBtu during the current Unit Operating Day
and the previous twenty-nine (29) Unit Operating Days; and third,
divide the total number of pounds of NOX emitted during the
thirty (30) Unit Operating Days by the total heat input during the
thirty (30) Unit Operating Days. A new 30-Day Rolling Average
NOX Emission Rate shall be calculated for each new Unit
Operating Day. Each 30-Day Rolling Average NOX Emission Rate
shall include all emissions that occur during all periods within any
Unit Operating Day, including emissions from startup, shutdown, and
Malfunction.
(ii) A ``30-Day Rolling Average SO2 Removal Efficiency''
means the percent reduction in the mass of SO2 achieved by a
Unit's FGD system over a thirty (30) Unit Operating Day period and
shall be calculated as follows: Step one, sum the total pounds of
SO2 emitted as measured at the outlet of the FGD system for
the Unit during the current Unit Operating Day and the previous twenty-
nine (29) Unit Operating Days as measured at the outlet of the FGD
system for that Unit; step two, sum the total pounds of SO2
delivered to the inlet of the FGD system for the Unit during the
current Unit Operating Day and the previous twenty-nine (29) Unit
Operating Days as measured at the inlet to the FGD system for that Unit
(this shall be calculated by measuring the ratio of the lb/MMBtu
SO2 inlet to the lb/MMBtu SO2 outlet and
multiplying the outlet pounds of SO2 by that ratio); step
three, subtract the outlet SO2 emissions calculated in step
one from the inlet SO2 emissions calculated in step two;
step four, divide the remainder calculated in step three by the inlet
SO2 emissions calculated in step two; and step five,
multiply the quotient calculated in step four by 100 to express as a
percentage of removal efficiency. A new 30-Day Rolling Average
SO2 Removal Efficiency shall be calculated for each new Unit
Operating Day, and shall include all emissions that occur during all
periods within each Unit Operating Day, including emissions from
startup, shutdown, and Malfunction.
(iii) ``Annual Tonnage Limitation'' means the limitation on the
number of tons of the pollutant in question that may be emitted from
FCPP during the relevant calendar year (i.e., January 1 through
December 31), and shall include all emissions of the pollutant emitted
during periods of startup, shutdown and Malfunction.
(iv) ``Baghouse'' means a full stream (fabric filter) particulate
emissions control device.
(v) ``Clean Air Act'' and ``the Act'' mean the federal Clean Air
Act, 42 U.S.C. 7401-7671q, and its implementing regulations.
(vi) ``CEMS'' and ``Continuous Emission Monitoring System,'' mean,
for obligations involving the monitoring of NOX and
SO2 emissions under this paragraph (k), the devices defined
in 40 CFR 72.2, and the SO2 monitors required by this
paragraph (k) for determining compliance with the 30-Day Rolling
Average SO2 Removal Efficiency requirement set forth in this
paragraph (k).
(vii) ``Continuous Operation,'' ``Continuously Operate,'' and
``Continuously Operating'' mean that when a pollution control
technology or combustion control is required to be used at a Unit
pursuant to this paragraph (k) (including, but not limited to, SCR,
FGD, or Baghouse), it shall be operated at all times such Unit is in
operation, consistent with the technological limitations,
manufacturers' specifications, good engineering and maintenance
practices, and good air pollution control practices for minimizing
emissions (as defined in 40 CFR 60.11(d)) for such equipment and the
Unit.
(viii) ``Day'' means calendar day unless otherwise specified in
this paragraph (k).
(ix) ``Emission Rate'' means, for a given pollutant, the number of
pounds of that pollutant emitted per million British thermal units of
heat input (``lb/MMBtu''), measured in accordance with this paragraph
(k).
(x) ``Flue Gas Desulfurization System'' and ``FGD'' mean a
pollution control device that employs flue gas desulfurization
technology, including an absorber utilizing lime slurry, for the
reduction of SO2 emissions.
(xi) ``Fossil Fuel'' means any hydrocarbon fuel, including coal,
petroleum coke, petroleum oil, or natural gas.
(xii) ``lb/MMBtu'' means one pound of a pollutant per million
British thermal units of heat input.
(xiii) ``Make-Right Vendor Guarantee'' means, for an SCR, a
guarantee offered by an SCR vendor that covers the SCR, including the
catalyst, ammonia injection system, and support structure, under
operating conditions (excluding any Malfunctions) above minimum
operating temperature for the SCR, the achievement of which is
demonstrated solely during two performance tests: One performance test
no later than 90 Days after initial operation of the SCR, and one
performance test after no fewer than 16,000 hours of SCR operation, but
no later than December 31, 2020 regardless of the number of operating
hours achieved. If the SCR does not meet the guarantee in one of these
two performance tests, a Make-Right Vendor Guarantee requires the SCR
vendor to repair, replace, or correct the SCR to meet the specified
guaranteed Emission Rate, which is demonstrated by successful
achievement of a performance test.
(xiv) ``Malfunction'' means any sudden, infrequent, and not
reasonably preventable failure of air pollution control equipment,
process equipment, or a process to operate in a normal or usual manner.
Failures that are caused in part by poor maintenance or careless
operation are not Malfunctions.
(xv) ``NOX Allowance'' means an authorization or credit
to emit a specified amount of NOX that is allocated or
issued under an emissions trading or marketable permit program of any
kind established under the Clean Air Act or an applicable
implementation plan. Although no NOX Allowance program is
applicable to FCPP as of the promulgation of this paragraph (k), this
definition of ``NOX Allowance'' includes authorizations or
credits that may be allocated or issued under emissions trading or
marketable permit programs that may become applicable to FCPP in the
future.
(xvi) ``Operating Day'' means any Day on which a Unit fires Fossil
Fuel.
(xvii) ``PM'' means total filterable particulate matter, measured
in accordance with the provisions of this paragraph (k).
(xviii) ``PM CEMS'' and ``PM Continuous Emission Monitoring
System'' mean, for obligations involving the monitoring of PM emissions
under this paragraph (k), the equipment that samples, analyzes,
measures, and provides, by readings taken at frequent intervals, an
electronic and/or paper record of PM emissions.
(xix) ``Removal Efficiency'' means, for a given pollutant, the
percentage of that pollutant removed by the applicable emission control
device, measured in
[[Page 87000]]
accordance with the provisions of this paragraph (k).
(xx) ``Selective Catalytic Reduction'' and ``SCR'' mean a pollution
control device that destroys NOX by injecting a reducing
agent (e.g., ammonia) into the flue gas that, in the presence of a
catalyst (e.g., vanadium, titanium, or zeolite), converts
NOX into molecular nitrogen and water.
(xxi) ``Semi-annual reports'' are periodic reports that are
submitted to EPA within 60 days after the end of each half of the
calendar year.
(xxii) ``SO2 Allowance'' means an authorization to emit
a specified amount of SO2 that is allocated or issued under
an emissions trading or marketable permit program of any kind
established under the Clean Air Act or an applicable implementation
plan, including as defined at 42 U.S.C. 7651a(3).
(xxiii) ``Surrender'' means to permanently surrender SO2
Allowances so that such SO2 Allowances can never be used to
meet any compliance requirement under the Clean Air Act or this
paragraph (k).
(xxiv) ``Unit'' means, solely for purposes of this paragraph (k),
collectively, the coal pulverizer, stationary equipment that feeds coal
to the boiler, the boiler that produces steam for the steam turbine,
the steam turbine, the generator, equipment necessary to operate the
generator, steam turbine and boiler, and all ancillary equipment,
including pollution control equipment, at or serving a coal-fired steam
electric generating unit at FCPP.
(xxv) ``Wet Stack'' means a stack designed to be capable of use
with a saturated gas stream constructed with liner material(s)
consisting of one or more of the following: Carbon steel with a
protective lining (organic resin, fluoroelastomers, borosilicate glass
blocks or a thin cladding of a corrosion-resistant alloy), fiberglass-
reinforced plastic, solid corrosion-resistant alloy, or acid-resistant
brick and mortar.
(2) NOX Emission Limitations and Control Requirements.
(i) The owner or operator shall install and commence Continuous
Operation of an SCR on or FCPP Unit 5 by no later than March 31, 2018.
Commencing no later than 30 Operating Days thereafter, the owner or
operator shall Continuously Operate the SCR so as to achieve and
maintain a 30-Day Rolling Average NOX Emission Rate of no
greater than 0.080 lb/MMBtu, subject to the petition process paragraph
(k)(2)(iii).
(ii) The owner or operator shall install and commence Continuous
Operation of an SCR on the FCPP Unit 4 by no later than July 31, 2018.
Commencing no later than 30 Operating Days thereafter, the owner or
operator shall Continuously Operate the SCR so as to achieve and
maintain a 30-Day Rolling Average NOX Emission Rate of no
greater than 0.080 lb/MMBtu, subject to the petition process in
paragraph (k)(2)(iii).
(iii) At any time after March 31, 2019 but before December 31,
2020, the owner or operator may submit to EPA a petition for a proposed
revision to the 30-Day Rolling Average NOX Emission Rate of
0.080 lb/MMBtu for either or both of the FCPP Units. The petition must
demonstrate all of the following:
(A) That the design of the SCR system met the following parameters:
(1) The SCR system was designed to meet a NOX emission
rate of 0.049 lb/MMBtu, on an hourly average basis, under normal
operating conditions once the minimum operating temperature of the SCR
catalyst is achieved; and
(2) The owner or operator obtained a Make-Right Vendor Guarantee
for a NOX emission rate of 0.049 lb/MMBtu;
(B) That best efforts have been taken to achieve the 30-Day Rolling
Average NOX Emission Rate of 0.080 lb/MMBtu. Best efforts
include but are not limited to exhausting the Make-Right Vendor
Guarantee and obtaining independent outside support from a registered
professional engineer expert in SCR design. To demonstrate best efforts
have been taken, the petition shall also include:
(1) The request for bid for the subject SCR;
(2) Winning bid documents, including all warranties and design
information;
(3) NOX, NH3, and heat rate CEMS data and all
related stack tests;
(4) Daily coal quality data, including sulfur, ash, and heat
content;
(5) Operating and maintenance logs documenting all exceedances of
the 0.080 lb/MMBtu 30-Day Rolling Average NOX Emission Rate
and measures taken to correct them;
(6) Vendor certification pursuant to a Make-Right Vendor Guarantee
that the 0.080 lb/MMBtu 30-Day Rolling Average NOX Emission
Rate cannot be met by the SCR as designed;
(7) A signed and sealed report by a registered professional
engineer expert in SCR design confirming the 0.080 lb/MMBtu 30-Day
Rolling Average NOX Emission Rate cannot be met by the SCR
as designed; and
(8) Affidavits documenting causes of failure to meet the 0.080 lb/
MMBtu 30-Day Rolling Average NOX Emission Rate, signed and
sealed by a licensed professional engineer;
(C) That the SCR system was properly operated and maintained
pursuant to the manufacturer's specifications for achieving and
Continuously Operating to meet the design NOX emission rate
of 0.049 lb/MMBtu; and
(D) That the owner or operator Continuously Operated the SCR and
maximized the percent of flue gas or water bypassed around the
economizer during any startup and shutdown events in a manner to attain
minimum operating temperature as quickly as reasonably possible during
startup and to maintain minimum operating temperature during shutdowns
as long as reasonably possible;
(E) That the owner or operator Continuously Operated the SCR and
controlled the percent of flue gas or water bypassed around the
economizer to maintain minimum operating temperature during load
changes.
(iv) In any petition submitted pursuant to paragraph (k)(2)(iii),
the owner or operator shall include an alternate 30-Day Rolling Average
NOX Emission Rate, but in no event may the owner or operator
propose a 30-Day Rolling Average NOX Emission Rate more than
0.085 lb/MMBtu. The owner or operator shall also submit all studies,
reports, and/or recommendations from the vendor and contractor(s)
required by this paragraph and paragraph (k)(2)(iii), evaluating each
measure undertaken in an effort to meet a 30-Day Rolling Average
NOX Emission Rate of no greater than 0.080 lb/MMBtu. The
owner or operator shall also deliver with each submission all pertinent
documents and data that support or were considered in preparing such
submission, as well as all data pertaining to the performance of the
SCR in question since August 17, 2015 and the operational history of
the Unit since August 17, 2015.
(v) In addition to meeting the emissions rates set forth in
paragraphs (k)(2)(i) and (k)(2)(ii), all Units at FCPP, collectively,
shall not emit NOX in excess of the following Annual Tonnage
Limitation: 31,060 tons of NOX per year in 2016 and 2017;
12,165 tons of NOX per year in 2018; and 4,968 tons of
NOX per year in 2019 and thereafter. However, if the 30-Day
Rolling Average NOX Emission Rate of 0.080 lb/MMBtu required
under Paragraphs (k)(2)(i) and (k)(2)(ii) is revised pursuant to the
petition process set forth in paragraphs (k)(2)(iii) and (k)(2)(iv),
the annual NOX tonnage limitations set forth as follows
shall increase by the ratio of the new NOX rate in lb/MMBtu
determined pursuant to paragraphs (k)(2)(iii) and (k)(2)(iv) divided by
0.080 lb/MMBtu.
(vi) In determining the 30-Day Rolling Average NOX
Emission Rate, the owner or operator shall use CEMS in
[[Page 87001]]
accordance with the procedures of 40 CFR part 75, except that
NOX emissions data for the 30-Day Rolling Average
NOX Emission Rate need not be bias adjusted and the missing
data substitution procedures of 40 CFR part 75 shall not apply. Diluent
capping (i.e., 5 percent CO2) will be applied to the
NOX emission calculation for any hours where the measured
CO2 concentration is less than 5 percent following the
procedures in 40 CFR part 75, Appendix F, Section 3.3.4.1. The owner or
operator shall report semiannually all hours where diluent capping
procedures were applied during the reporting period.
(vii) For purposes of determining compliance with the Annual
Tonnage Limitations in paragraph (k)(2)(v), the owner or operator shall
use CEMS in accordance with the procedures specified in 40 CFR part 75.
(viii) The owner or operator shall not sell, trade, or transfer any
surplus NOX Allowances allocated to FCPP that would
otherwise be available for sale or trade as a result of the actions
taken by the owner or operator to comply with the requirements of this
rule.
(3) SO2 Emission Limitations and Control Requirements.
(i) Beginning on August 17, 2015, the owner or operator shall
continuously operate the existing FGDs at FCPP Unit 4 and Unit 5 so as
to emit SO2 from FCPP at an amount no greater than 10.0
percent of the potential combustion concentration assuming all of the
sulfur in the coal is converted to SO2. Compliance with this
emissions standard shall be determined on a rolling 365-Operating Day
basis using the applicable methodologies set forth in paragraph (e)(2)
of this section. The first day for determining compliance with this
emissions standard shall be 365 Days after August 17, 2015. The
requirements of this paragraph shall remain in effect until the owner
or operator achieve compliance with the requirements set forth in
paragraphs (k)(3)(ii) and (k)(3)(iii).
(ii) By no later than March 31, 2018, the owner or operator shall
convert the existing ductwork and stack at FCPP Unit 5 to a Wet Stack,
so as to eliminate the need to bypass flue gas around the FGD absorbers
for reheat purposes. Commencing no later than 30 Operating Days
thereafter, the owner or operator shall continuously operate the
existing FGD at FCPP Unit 5 so as to achieve and maintain a 30-Day
Rolling Average SO2 Removal Efficiency of at least 95.0
percent.
(iii) By no later than July 31, 2018, the owner or operator shall
convert the existing ductwork and stack at FCPP Unit 4 to a Wet Stack,
so as to eliminate the need to bypass flue gas around the FGD absorbers
for reheat purposes. Commencing no later than 30 Operating Days
thereafter, the owner or operator shall Continuously Operate the
existing FGD at FCPP Unit 4 so as to achieve and maintain a 30-Day
Rolling Average SO2 Removal Efficiency of at least 95.0
percent.
(iv) In addition to meeting the emission rates set forth in
paragraphs (k)(3)(i), (k)(3)(ii) and (k)(3)(iii), all Units at FCPP,
collectively, shall not emit SO2 in excess of the following
Annual Tonnage Limitations: 13,300 tons of SO2 per year in
2016 and 2017; 8,300 tons of SO2 per year in 2018; 6,800
tons of SO2 per year in 2019 and thereafter.
(v) By each of the dates by which the owner or operator must comply
with the 30-Day Rolling Average SO2 Removal Efficiency
required under paragraphs (k)(3)(ii) and (k)(3)(iii), the owner or
operator shall install, certify, maintain, and operate FGD inlet
SO2 and any associated diluent CEMS with respect to that
Unit in accordance with the requirements of paragraph (e)(1) of this
section.
(vi) In determining the 30-Day Rolling Average SO2
Removal Efficiency, the owner or operator shall use CEMS in accordance
with the procedures of 40 CFR part 75, except that SO2
emissions data for the 30-Day Rolling Average SO2 Removal
Efficiency need not be bias adjusted, and the missing data substitution
procedures of 40 CFR part 75 shall not apply. Diluent capping (i.e., 5
percent CO2) will be applied to the SO2 emission
calculation for any hours where the measured CO2
concentration is less than 5 percent following the procedures in 40 CFR
part 75, Appendix F, Section 3.3.4.1. The owner or operator shall
submit a semi-annual report that includes all hours where diluent
capping procedures were applied during the reporting period.
(vii) For purposes of determining compliance with the Annual
Tonnage Limitations in paragraph (k)(3)(iv), the owner or operator
shall use CEMS in accordance with the procedures specified in 40 CFR
part 75.
(4) Use and Surrender of SO2 Allowances. (i) The owner or operator
shall not use SO2 Allowances to comply with any requirement
of paragraph (k), including by claiming compliance with any emission
limitation required paragraph (k) by using, tendering, or otherwise
applying SO2 Allowances to offset any excess emissions.
(ii) Except as provided in paragraph (k), the owner or operator
shall not sell, bank, trade, or transfer any SO2 Allowances
allocated to FCPP.
(iii) Beginning with calendar year 2015, and continuing each
calendar year thereafter, the owner or operator shall surrender to EPA,
or transfer to a non-profit third party selected by the owner or
operator for Surrender, all SO2 Allowances allocated to FCPP
for that calendar year that the owner or operator does not need in
order to meet their own federal and/or state Clean Air Act statutory or
regulatory requirements for the FCPP Units.
(iv) Nothing in paragraph (k)(4) shall prevent the owners or
operator from purchasing or otherwise obtaining SO2
Allowances from another source for purposes of complying with Clean Air
Act requirements to the extent otherwise allowed by law.
(v) For any given calendar year, provided that FCPP is in
compliance for that calendar year with all emissions limitations for
SO2 set forth in this section, nothing in paragraph (k),
including the provisions of paragraphs (k)(4)(ii) and (k)(4)(iii)
pertaining to the Use and Surrender of SO2 Allowances, shall
preclude the owner or operator from selling, trading, or transferring
SO2 Allowances allocated to FCPP that become available for
sale or trade that calendar year solely as a result of:
(A) The installation and operation of any pollution control
technology or technique at Unit 4 or Unit 5 that is not otherwise
required by paragraph (k); or
(B) Achievement and maintenance of a 30-Day Rolling Average
SO2 Removal Efficiency at Unit 4 or Unit 5 at a higher
removal efficiency than the 30-Day Rolling Average SO2
Removal Efficiency required by paragraph (k)(3); so long as the owner
or operator submits a semi-annual report of the generation of such
surplus SO2 Allowances that occur after August 17, 2015.
(vi) The owner or operator shall Surrender, or transfer to a non-
profit third party selected by the owner or operator for Surrender, all
SO2 Allowances required to be Surrendered pursuant to
paragraph (k)(4)(iii) by April 30 of the immediately following calendar
year. Surrender need not include the specific SO2 Allowances
that were allocated to FCPP, so long as the owner or operator Surrender
SO2 Allowances that are from the same year and that are
equal to the number required to be Surrendered under paragraph
(k)(4)(vii).
(vii) If any SO2 Allowances are transferred directly to
a non-profit third party, the owner or operator shall include a
description of such transfer in the next semi-annual report submitted
to EPA. Such report shall:
(A) Provide the identity of the non-profit third-party recipient(s)
of the SO2
[[Page 87002]]
Allowances and a listing of the serial numbers of the transferred
SO2 Allowances; and
(B) Include a certification by the third-party recipient(s)
certifying under the penalty of law that the recipient(s) will not
sell, trade, or otherwise exchange any of the allowances and will not
use any of the SO2 Allowances to meet any obligation imposed
by any environmental law. The certification must also include a
statement that the recipient understands that there are significant
penalties for submitting false, inaccurate or incomplete information to
the United States.
(C) No later than the third semi-annual report due after the
transfer of any SO2 Allowances, the owner or operator shall
include a statement that the third-party recipient(s) Surrendered the
SO2 Allowances for permanent Surrender to EPA in accordance
with the provisions of paragraph (k)(4)(ix) within one (1) year after
the owner or operator transferred the SO2 Allowances to
them. The owner or operator shall not have complied with the
SO2 Allowance Surrender requirements of subparagraph
(k)(4)(viii) until all third-party recipient(s) shall have actually
Surrendered the transferred SO2 Allowances to EPA.
(viii) For all SO2 Allowances Surrendered to EPA, the
owner or operator or the third-party recipient(s) (as the case may be)
shall first submit an SO2 Allowance transfer request form to
the EPA Office of Air and Radiation's Clean Air Markets Division
directing the transfer of such SO2 Allowances to the EPA
Enforcement Surrender Account or to any other EPA account that EPA may
direct in writing. Such SO2 Allowance transfer requests may
be made in an electronic manner using the EPA's Clean Air Markets
Division Business System or similar system provided by EPA. As part of
submitting these transfer requests, the owner or operator or the third-
party recipient(s) shall irrevocably authorize the transfer of these
SO2 Allowances and identify--by name of account and any
applicable serial or other identification numbers or station names--the
source and location of the SO2 Allowances being Surrendered.
(5) PM Emission Reduction Requirements.
(i) The owner or operator shall operate each FCPP Unit in a manner
consistent with good air pollution control practice for minimizing PM
emissions, as set forth in paragraph (g). In addition, with respect to
FCPP Units 4 and 5, the owner or operator shall, at a minimum, to the
extent practicable:
(A) Operate each compartment of the Baghouse for each Unit (except
the compartment provided as a spare compartment under the design of the
baghouse), regardless of whether those actions are needed to comply
with opacity limits;
(B) Repair any failed Baghouse compartment at the next planned Unit
outage (or unplanned outage of sufficient length);
(C) Maintain and replace bags on each Baghouse as needed to achieve
the required collection efficiency;
(D) Inspect for and repair during the next planned Unit outage (or
unplanned outage of sufficient length) any openings in Baghouse
casings, ductwork, and expansion joints to minimize air leakage; and
(E) Ensure that a bag leak detection program is developed and
implemented to detect leaks and promptly repair any identified leaks.
(ii) The owner or operator shall Continuously Operate a Baghouse at
FCPP Unit 4 and Unit 5 so as to achieve and maintain a filterable PM
Emission Rate no greater than 0.0150 lb/MMBtu.
(iii) Once in each calendar year, the owner or operator shall
conduct stack tests for PM at FCPP Units 4 and 5. Alternatively,
following the installation and operation of PM CEMS as required by
paragraph (k)(6), the owner or operator may seek written approval to
forego stack testing and instead demonstrate continuous compliance with
an applicable filterable PM Emission Rate using CEMS on a 24-hour
rolling average basis.
(iv) Unless EPA approves a request to demonstrate continuous
compliance using CEMS under paragraph (k)(5)(iii) to determine
compliance with the PM Emission Rate established in subparagraph
(k)(5)(ii), the owner or operator shall use the reference methods and
procedures (filterable portion only) specified in 40 CFR part 60, App.
A-3, Method 5, Method 5 as described in subpart UUUUU, Table 5, or App.
A-6, Method 17 (provided that Method 17 shall only be used for stack
tests conducted prior to conversion of an FCPP Unit to a Wet Stack), or
alternative stack tests or methods that are requested by the owner or
operator and approved by EPA. Each test shall consist of three separate
runs performed under representative operating conditions not including
periods of startup, shutdown, or Malfunction. The sampling time for
each run shall be at least 120 minutes and the volume of each run shall
be at least 1.70 dry standard cubic meters (60 dry standard cubic
feet). The owner or operator shall calculate the PM Emission Rate from
the stack test results in accordance with 40 CFR 60.8(f). The results
of each PM stack test shall be submitted to EPA and NNEPA within 60
Days of completion of each test.
(v) Once each calendar year, the owner or operator shall conduct a
PM stack test for condensable PM at FCPP Units 4 and 5, using the
reference methods and procedures set forth at 40 CFR part 51, Appendix
M, Method 202 and as set forth in paragraph (vi). This test shall be
conducted under as similar operating conditions and as close in time as
reasonably possible as the test for filterable PM in paragraph
(k)(5)(iv). Each test shall consist of three separate runs performed
under representative operating conditions not including periods of
startup, shutdown, or Malfunction. The sampling time for each run shall
be at least 120 minutes and the volume of each run shall be at least
1.70 dry standard cubic meters (60 dry standard cubic feet). The owner
or operator shall calculate the number of pounds of condensable PM
emitted in lb/MMBtu of heat input from the stack test results in
accordance with 40 CFR 60.8(f). The results of the PM stack test
conducted pursuant to this paragraph shall not be used for the purpose
of determining compliance with the PM Emission Rates required by
paragraph (k). The results of each PM stack test shall be submitted to
EPA within sixty (60) Days of completion of each test. If EPA approves
a request to demonstrate continuous compliance with an applicable PM
Emission Rate at a Unit using PM CEMS under paragraph (k)(5)(iii),
annual stack testing for condensable PM using the reference methods and
procedures set forth at 40 CFR part 51, Appendix M, Method 202 is not
required for that Unit.
(6) PM CEMS. (i) The owner or operator shall install, correlate,
maintain, and operate a PM CEMS for FCPP Unit 4 and FCPP Unit 5 as
specified below. The PM CEMS shall comprise a continuous-particle mass
monitor measuring particulate matter concentration, directly or
indirectly, on an hourly average basis and a diluent monitor used to
convert the concentration to units expressed in lb/MMBtu. The PM CEMS
installed at each Unit must be appropriate for the anticipated stack
conditions and capable of measuring PM concentrations on an hourly
average basis. Each PM CEMS shall complete a minimum of one cycle of
operations (sampling, analyzing and data recording) for each successive
15-minute period. The owner or operator shall maintain, in an
electronic database, the hourly-average emission values of all PM CEMS
in lb/MMBtu. Except for periods of monitor
[[Page 87003]]
malfunction, maintenance, or repair, the owner or operator shall
continuously operate the PM CEMS at all times when the Unit it serves
is operating.
(ii) By no later than February 16, 2017, the owner or operator
shall ensure that the PM CEMS are installed, correlated, maintained and
operated at FCPP Units 4 and 5.
(iii) The owner or operator shall ensure that performance
specification tests on the PM CEMS are conducted and shall ensure
compliance with the PM CEMS installation plan and QA/QC protocol
submitted to and approved by EPA. The PM CEMS shall be operated in
accordance with the approved plan and QA/QC protocol.
(iv) The data recorded by the PM CEMS during Unit operation,
expressed in lb/MMBtu on a 3-hour, 24-hour, and 30-Day rolling average
basis, shall be included in the semiannual report submitted to EPA in
electronic format (Microsoft Excel-compatible).
(v) Notwithstanding any other provision of paragraph (k),
exceedances of the PM Emission Rate that occur as a result of detuning
emission controls as required to achieve the high-level PM test runs
during the correlation testing shall not be considered a violation of
the requirements of this section provided that the owner or operator
made best efforts to keep the high-level PM test runs during such
correlation testing below the applicable PM Emission Rate.
(vi) Stack testing conducted pursuant to paragraph (k)(5)(iv) shall
be the compliance method for the PM Emission Rates established by
paragraph (k)(5), unless EPA approves a request under paragraph
(k)(5)(iii), in which case PM CEMS shall be used to demonstrate
continuous compliance with an applicable PM Emission Rate on a 24-hour
rolling average basis. Data from PM CEMS shall be used, at a minimum,
to monitor progress in reducing PM emissions on a continuous basis.
(7) Reporting. The owner or operator shall submit all
notifications, petitions, and reports under paragraph (k), unless
otherwise specified, to EPA and NNEPA in accordance with paragraph (f).
[FR Doc. 2016-28870 Filed 12-1-16; 8:45 am]
BILLING CODE 6560-50-P