Air Plan Approval; Kentucky; 2008 Ozone NAAQS Interstate Transport SIP Requirements, 33730-33760 [2018-15143]
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Federal Register / Vol. 83, No. 137 / Tuesday, July 17, 2018 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 52
[EPA–R04–OAR–2018–0142; FRL–9980–
57—Region 4]
Air Plan Approval; Kentucky; 2008
Ozone NAAQS Interstate Transport SIP
Requirements
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
The Environmental Protection
Agency (EPA) is approving a revision to
Kentucky’s State Implementation Plan
(SIP) pertaining to the ‘‘good neighbor’’
provision of the Clean Air Act (CAA or
Act) for the 2008 8-hour ozone National
Ambient Air Quality Standard
(NAAQS). Kentucky submitted a draft
version of this SIP revision for parallel
processing by EPA on February 28,
2018, and submitted a final version that
contained no substantive changes on
May 10, 2018. The good neighbor
provision requires each state’s
implementation plan to address the
interstate transport of air pollution in
amounts that contribute significantly to
nonattainment, or interfere with
maintenance, of a NAAQS in any other
state. In this action, EPA is approving
Kentucky’s submission demonstrating
that no additional emission reductions
are necessary to address the good
neighbor provision for the 2008 ozone
NAAQS beyond those required by the
Cross-State Air Pollution Rule Update
(CSAPR Update) federal implementation
plan (FIP). Accordingly, EPA is
approving Kentucky’s submission
because it partially addresses the
requirements of the good neighbor
provision for the 2008 ozone NAAQS,
and it resolves any obligation remaining
under the good neighbor provision after
promulgation of the CSAPR Update FIP.
The approval of Kentucky’s SIP
submission and the CSAPR Update FIP,
together, fully address the requirements
of the good neighbor provision for the
2008 ozone NAAQS for Kentucky. EPA
is approving this action because it is
consistent with the CAA.
DATES: This rule is effective August 16,
2018.
ADDRESSES: EPA has established a
docket for this action under Docket
Identification No. EPA–R04–OAR–
2018–0142. All documents in the docket
are listed on the www.regulations.gov
website. Although listed in the index,
some information may not be publicly
available, i.e., Confidential Business
Information or other information whose
disclosure is restricted by statute.
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SUMMARY:
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Certain other material, such as
copyrighted material, is not placed on
the internet and will be publicly
available only in hard copy form.
Publicly available docket materials are
available either electronically through
www.regulations.gov or in hard copy at
the Air Regulatory Management Section,
Air Planning and Implementation
Branch, Air, Pesticides and Toxics
Management Division, U.S.
Environmental Protection Agency,
Region 4, 61 Forsyth Street SW, Atlanta,
Georgia 30303–8960. EPA requests that
if at all possible, you contact the person
listed in the FOR FURTHER INFORMATION
CONTACT section to schedule your
inspection. The Regional Office’s
official hours of business are Monday
through Friday 8:30 a.m. to 4:30 p.m.,
excluding Federal holidays.
FOR FURTHER INFORMATION CONTACT:
Ashten Bailey, Air Regulatory
Management Section, Air Planning and
Implementation Branch, Air, Pesticides
and Toxics Management Division,
Region 4, U.S. Environmental Protection
Agency, 61 Forsyth Street SW, Atlanta,
Georgia 30303–8960. Ms. Bailey can be
reached by telephone at (404) 562–9164
or via electronic mail at bailey.ashten@
epa.gov.
SUPPLEMENTARY INFORMATION:
I. Background
On March 27, 2008 (73 FR 16436),
EPA promulgated an ozone NAAQS that
revised the levels of the primary and
secondary 8-hour ozone standards from
0.08 parts per million (ppm) to 0.075
ppm or 75 parts per billion (ppb).
Pursuant to CAA section 110(a)(1),
within three years after promulgation of
a new or revised NAAQS (or shorter, if
EPA prescribes), states must submit SIPs
that meet the applicable requirements of
section 110(a)(2). EPA has historically
referred to these SIP submissions made
for the purpose of satisfying the
requirements of sections 110(a)(1) and
110(a)(2) as ‘‘infrastructure SIP’’
submissions. One of the structural
requirements of section 110(a)(2) is
section 110(a)(2)(D)(i), also known as
the ‘‘good neighbor’’ provision, which
generally requires SIPs to contain
adequate provisions to prohibit in-state
emissions activities from having certain
adverse air quality effects on downwind
states due to interstate transport of air
pollution. There are four sub-elements,
or ‘‘prongs,’’ within section
110(a)(2)(D)(i) of the CAA. CAA section
110(a)(2)(D)(i)(I), addressing two of
these four prongs, requires SIPs to
include provisions prohibiting any
source or other type of emissions
activity in one state from emitting any
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air pollutant in amounts that will
contribute significantly to
nonattainment, or interfere with
maintenance, of the NAAQS in another
state. The two provisions of this section
are referred to as prong 1 (significant
contribution to nonattainment) and
prong 2 (interference with
maintenance). This action addresses
only prongs 1 and 2 of section
110(a)(2)(D)(i).1
On July 17, 2012, Kentucky submitted
a SIP submission to EPA, addressing a
number of the CAA requirements for the
2008 8-hour ozone NAAQS
infrastructure SIPs. With respect to the
interstate transport requirements of
110(a)(2)(D)(i)(I), EPA disapproved the
submission (78 FR 14681 (March 7,
2013), effective April 8, 2013) because
the SIP had relied on Kentucky’s
participation in the Clean Air Interstate
Rule (CAIR), which did not address the
2008 ozone NAAQS and had been
remanded by the D.C. Circuit. In
October 2016, EPA promulgated the
CSAPR Update to address the
requirements of CAA section
110(a)(2)(D)(i)(I) concerning interstate
transport of air pollution for the 2008
ozone NAAQS. See 81 FR 74504
(October 26, 2016). In the CSAPR
Update rulemaking, EPA determined
that air pollution transported from
Kentucky would unlawfully affect other
states’ ability to attain or maintain the
2008 8-hour ozone NAAQS. EPA’s
analysis projected that in 2017,
Kentucky would be linked to downwind
nonattainment or maintenance problems
at four monitors, or receptors.
Accordingly, EPA established an ozone
season nitrogen oxides (NOX) budget for
Kentucky’s electricity generating units
(EGUs) and promulgated a FIP requiring
affected EGUs to participate in an
allowance trading program to
implement the budget.2 At the time it
finalized the CSAPR Update, EPA
determined that, after implementation
of the rule, many downwind air quality
problems would persist in 2017,
including at two of the four receptors to
which Kentucky was linked. EPA
therefore found that the CSAPR Update
FIPs for Kentucky and 20 other states
may not fully address the good neighbor
requirements as to the 2008 8-hour
ozone NAAQS. EPA explained that
further analysis of air quality in a
potential future compliance year and
potential control strategies would be
needed to determine whether any
1 All other infrastructure SIP elements for
Kentucky for the 2008 8-hour ozone NAAQS were
addressed in separate rulemakings. See 78 FR 14681
(March 7, 2013) and 79 FR 65143 (November 3,
2014).
2 CSAPR Update, 81 FR at 74507–08.
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further emission reductions from these
states would be necessary to fully
address the good neighbor obligations.
On October 27, 2017, EPA issued a
memorandum (October 2017 Transport
Memo) 3 that provided technical
information and related analyses to
assist states with developing SIPs to
address any remaining section
110(a)(2)(D)(i)(I) requirements for the
2008 8-hour ozone NAAQS. EPA’s
updated modeling data, released with
the October 2017 Transport Memo,
indicate that for the 2023 future base
case emissions scenario there are no
monitoring sites, outside of California,
that are projected to have nonattainment
or maintenance problems with respect
to the 2008 ozone NAAQS in 2023.
II. This Action
On February 28, 2018, Kentucky
submitted a draft SIP revision to EPA for
parallel processing that reviewed air
quality modeling and data files that EPA
disseminated in the October 2017
Transport Memo. The draft SIP revision
indicated that the air quality problems
at monitors to which Kentucky
remained linked after implementation of
the CSAPR Update would be resolved
by 2023. Kentucky’s draft SIP
submission agreed with the October
2017 Transport Memo’s preliminary
projections and provided information
intended to demonstrate that reliance on
the modeling to evaluate its remaining
good neighbor obligation is appropriate.
The draft submission also contained air
quality modeling conducted by Alpine
Geophysics, LLC (Alpine) that
concluded that none of the
nonattainment and maintenance
receptors identified in the CSAPR
Update are predicted to be in
nonattainment or have issues with
maintenance of the 2008 ozone NAAQS
in 2023. Additionally, Kentucky cited
information related to emissions
trends—such as reductions in ozone
precursor emissions and controls on
Kentucky sources—as further evidence
that, after implementation of all on-thebooks measures, including those
promulgated in the CSAPR Update FIPs,
emissions from the Commonwealth will
no longer contribute significantly to
nonattainment or interfere with
maintenance of the 2008 8-hour ozone
NAAQS in any other state.
In a notice of proposed rulemaking
(NPRM) published on April 18, 2018 (83
FR 17123), EPA proposed to approve
Kentucky’s February 28, 2018 draft SIP
3 Memorandum, Stephen D. Page, Supplemental
Information on the Interstate Transport State
Implementation Plan Submissions for the 2008
Ozone National Ambient Air Quality Standards
under Clean Air Action Section 110(a)(2)(D)(i)(I).
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submission. In the NPRM, EPA
explained that it was basing its proposal
to approve Kentucky’s February 28,
2018 draft SIP submission on a finding
that 2023 is a reasonable analytic year
for evaluating ozone transport problems
with respect to the 2008 ozone NAAQS
and that interstate ozone transport air
quality modeling projections for 2023
indicate that Kentucky is not expected
to significantly contribute to
nonattainment or interfere with
maintenance of the 2008 ozone NAAQS
in downwind states. As described in
more detail in the NPRM, EPA based its
evaluation on a four-step analytic
framework by:
(1) Identifying downwind air quality
problems relative to the 2008 ozone
NAAQS considering air quality
modeling projections to a future
compliance year;
(2) Determining which upwind states
are ‘‘linked’’ to these identified
downwind air quality problems and
thereby warrant further analysis to
determine whether their emissions
violate the good neighbor provision;
(3) For states linked to downwind air
quality problems, identifying upwind
emissions on a statewide basis that
significantly contribute to
nonattainment or interfere with
maintenance of a standard; and
(4) For states that are found to have
emissions that significantly contribute
to nonattainment or interfere with
maintenance of the NAAQS downwind,
implementing the necessary emission
reductions within the state.
EPA explained that its selection of
2023 was a reasonable analytic year for
evaluating downwind air quality at step
one of the framework, supported by an
assessment of attainment dates for the
2008 ozone NAAQS and feasibility of
implementing potential control
strategies at both EGUs and non-EGUs to
reduce NOX in CSAPR Update states,
including Kentucky. First, EPA
considered the upcoming 2021 and 2027
attainment dates for the 2008 ozone
NAAQS, consistent with the holding of
the U.S. Court of Appeals for the District
of Columbia Circuit (D.C. Circuit) in
North Carolina v. EPA, 531 F.3d 896,
911–12 (2008). Next, EPA assessed the
amount of time necessary to implement
new NOX controls at EGUs and nonEGUs across the CSAPR Update region,
finding that, fleetwide, sources would
require four years to implement
additional, substantial NOX emission
reductions. EPA therefore proposed to
find that 2023 is an appropriate future
analytic year because it is the first ozone
season for which significant new postcombustion controls to reduce NOX
could be feasibly installed across the
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CSAPR Update region, and thus
represents the timeframe that is as
expeditious as practicable for upwind
states to implement additional emission
reductions. EPA then described its
modeling analysis at step one of the
four-step framework for the 2023
analytic year, which indicates that there
are no expected nonattainment or
maintenance receptors for the 2008
ozone NAAQS in the eastern U.S. in this
future year. Please refer to the April 18,
2018 NPRM for additional information
on the basis for the proposed approval.
Based on these proposed findings and
the information provided in Kentucky’s
February 28, 2018 SIP submittal, EPA
proposed to determine that Kentucky’s
draft SIP submission demonstrates that
emission activities from the
Commonwealth will not contribute
significantly to nonattainment or
interfere with maintenance of the 2008
8-hour ozone NAAQS in any other state
after implementation of all on-the-books
measures, including the CSAPR Update.
Comments on the NPRM were due on or
before May 18, 2018. EPA received
adverse comments on the proposed
rulemaking, which are discussed below.
Because Kentucky submitted the draft
SIP revision for parallel processing,
EPA’s April 18, 2018 proposed
rulemaking was contingent upon
Kentucky providing a final SIP revision
that was substantively the same as the
draft SIP revision. See 83 FR 17123.
Kentucky submitted the final version of
its SIP revision on May 10, 2018.4 The
May 10, 2018 SIP submission had no
substantive changes from the February
28, 2018 draft SIP submission.
After considering the comments
received on the NPRM, for the reasons
described in the NPRM and in this
action,5 EPA is now taking final action
to approve Kentucky’s May 10, 2018,
final SIP submission and find that
Kentucky is not required to make any
further reductions, beyond those
required by the CSAPR Update, to
address its statutory obligation under
CAA section 110(a)(2)(D)(i)(I) for the
2008 ozone NAAQS. EPA’s final
approval of Kentucky’s submission
means that Kentucky’s obligations
under 110(a)(2)(D)(i)(I) are fully
addressed through the combination of
the 2016 CSAPR Update FIP and the
2018 SIP demonstration showing that no
4 Both the draft and final SIP revisions are
provided in the docket for this action.
5 EPA notes that to the extent there are any
conflicts between the rationale provided in the
NPRM for the proposed approval and the rationale
provided in this action, statements made in this
document should be treated as the controlling basis
for EPA’s final action approving Kentucky’s SIP
submission.
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further reductions are necessary. As a
result, EPA is also amending the
regulatory text at 40 CFR 52.940(b)(2) to
reflect that the CSAPR Update
represents a full remedy with respect to
Kentucky’s transport obligation for the
2008 ozone NAAQS.
III. Response to Comments
The Regional Administrator signed
the proposed rule on April 9, 2018, and
on April 12, 2018, EPA made a
prepublication version of the proposal
available on its website. The 30-day
public comment period on the proposed
rulemaking began on April 18, 2018, the
day of publication of the proposal in the
Federal Register, and closed on May 18,
2018. EPA received 15 comments on the
proposed action, 10 of which are
relevant to the proposal. The relevant
comments were submitted by the
Connecticut Department of Energy and
Environmental Protection, Delaware
Department of Natural Resources &
Environmental Control, Maryland
Department of the Environment,
Midwest Ozone Group, New Jersey
Department of Environmental
Protection, New York State Department
of Environmental Conservation
(NYDEC), New York State Office of the
Attorney General, Sierra Club and
Chesapeake Bay Foundation, and Utility
Air Regulatory Group. The remaining
comments were outside the scope of the
proposed action. This section contains
summaries of the relevant comments
and EPA’s responses to those comments.
Comment: One commenter states that
existing measures, including volatile
organic compounds (VOC) and NOX
requirements for EGUs, industrial
sources, and mobile sources within
Kentucky, have brought Kentucky into
attainment of both the 2008 and 2015
ozone NAAQS. The commenter states
that the issue being addressed in the
proposed SIP is whether these existing
measures also satisfy Kentucky’s ‘‘good
neighbor’’ requirements for the 2008
ozone NAAQS. The commenter states
that 2023 is the appropriate analytic
year for evaluation of ozone transport
issues related to the 2008 ozone
NAAQS. The commenter points to the
October 2017 Transport Memo and its
modeling results as demonstrating that
there is no need to conduct any further
analysis of EPA’s four-step transport
framework. The commenter states its
support of both EPA and Alpine
modeling showing no downwind air
quality problems related to the 2008
ozone NAAQS and cites a report
prepared for the commenter by Alpine
indicating that all sites identified in the
final CSAPR Update will have design
values below the 2008 ozone NAAQS by
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2023 and that therefore no states are
required to estimate their contributions
to these monitors. The commenter states
in conclusion that recent modeling
performed by EPA as well as by Alpine
indicate that implementation of the
CSAPR Update, in addition to other onthe-books controls, are all that are
needed to satisfy requirements related to
the 2008 ozone NAAQS, and indicates
commenter’s support for Kentucky’s
request that EPA approve its ‘‘good
neighbor’’ SIP.
An additional commenter expresses
support for EPA to finalize approval of
Kentucky’s section 110(a)(2)(D)(i)(I) SIP
submission and further states its
support for Kentucky’s reliance on
EPA’s modeling analysis. The
commenter states that the EPA analysis
released in the October 2017 Transport
Memo was consistent with the four-step
framework, and that it was not
necessary to complete all four steps
because no receptor in the eastern
United States is expected to have
problems attaining or maintaining the
2008 ozone NAAQS in 2023. The
commenter states that 2023 is the
modeling year used in EPA’s modeling
because that is the earliest year by
which it is feasible to install controls
across the CSAPR Update region and
states its support of EPA’s decision to
evaluate the feasibility of installing
controls on a regional basis rather than
on a state-by-state or unit-by-unit basis.
The commenter further states that EPA
properly considered upcoming
attainment dates and the need to
consider future effects of local, state,
and federal emission reduction
requirements in order to avoid
unlawfully mandating over-control. The
commenter concludes that EPA’s
modeling analysis is reasonable and that
EPA’s approval is proper even without
additional information from Kentucky.
In support of its assertion that EPA
should finalize its approval, the
commenter notes that Kentucky also
provides state-specific information to
further demonstrate that reliance on
EPA’s modeling is appropriate in the
context of this SIP and modeling
performed by Alpine that is consistent
with EPA’s results.
Response: EPA agrees with the
commenters’ assertions as to the
appropriateness of 2023 as an analytic
year and other specifics of EPA’s
analysis as documented in the October
2017 Transport Memo. EPA
acknowledges receipt of the Alpine
report and recognizes that it
demonstrates similar 2023 design values
to those projected by EPA’s modeling.
Comment: One commenter states that,
although it appreciates the emissions
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reductions made thus far by Kentucky,
EPA must disapprove Kentucky’s
proposed SIP as it does not fulfill the
CAA’s good neighbor obligations.
Another commenter states that, while
New York will continue to control air
pollution, it does not have the authority
to control sources in upwind states and
that EPA must disapprove the Kentucky
submission. Additional commenters
state opposition to EPA’s proposed
approval, and assert that EPA should
disapprove Kentucky’s SIP submission.
Response: EPA disagrees with the
commenters’ contentions that EPA
should disapprove Kentucky’s submittal
because it does not fulfill the CAA’s
good neighbor obligations. As explained
in the proposed rulemaking and further
in this action, based on EPA’s modeling
and with implementation of the CSAPR
Update and other measures, Kentucky is
not expected to significantly contribute
to nonattainment or interfere with
maintenance of the 2008 ozone NAAQS
in downwind states in 2023. Kentucky
provided information showing that the
use of the modeling is appropriate in
this context, and also included
additional modeling that showed results
consistent with EPA’s modeling. Thus,
Kentucky’s draft submission is
approvable because it demonstrated that
emission activity from the State will not
contribute significantly to
nonattainment or interfere with
maintenance of the 2008 8-hour ozone
NAAQS in any other state after
implementation of all on-the-books
measures, including the CSAPR Update.
To the extent that these comments are
general statements stating opposition to
EPA’s action and are intended to
incorporate other, specific comments
made by commenters, EPA has
addressed the specific concerns later in
this preamble.
Comment: One commenter states that
EPA’s determination of significant
contribution should be based upon
current data, and to base the
determination on 2023 modeling ignores
New York’s 2021 attainment deadline
and adds too much uncertainty and
speculation to the determination of
whether Kentucky significantly
contributes to nonattainment or
interferes with maintenance in New
York and other states.
Response: EPA does not agree that it
is inappropriate to rely on modeled
projections for a future year, rather than
current data, to analyze ozone
concentrations in downwind states.
Consistent with historical practice,
Kentucky and EPA have focused their
analysis in this action on a future year
in light of the forward-looking nature of
the good neighbor obligation in section
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110(a)(2)(D)(i)(I). Specifically, the
statute requires that states prohibit
emissions that ‘‘will’’ significantly
contribute to nonattainment or interfere
with maintenance of the NAAQS in any
other state. EPA reasonably interprets
this language as permitting states and
EPA in implementing the good neighbor
provision to evaluate downwind air
quality problems, and the need for
further upwind emission reductions,
prospectively. In EPA’s prior regional
transport rulemakings, the Agency
generally evaluated whether upwind
states ‘‘will’’ significantly contribute to
nonattainment or interfere with
maintenance based on projections of air
quality in the future year in which any
emission reductions would be expected
to go into effect. See, e.g., NOX SIP Call,
63 FR 57377 (using the anticipated 2007
compliance year for its analysis); CAIR,
70 FR 25241 (using the years 2009 and
2010, the anticipated compliance years
for the ozone and fine particulate matter
(PM2.5) NAAQS, respectively); CSAPR,
76 FR 48211 (using the 2012 compliance
year); CSAPR Update, 81 FR 74537
(using the 2017 compliance year). The
D.C. Circuit affirmed EPA’s
interpretation of ‘‘will,’’ finding EPA’s
consideration of future projected air
quality (in addition to current measured
data) to be a reasonable interpretation of
an ambiguous term. North Carolina, 531
F.3d at 913–14. Thus, consistent with
this precedent, it is reasonable for EPA
to analyze air quality in an appropriate
future compliance year to evaluate any
remaining obligation for the 2008 ozone
NAAQS.
EPA also does not agree that the 2023
modeling is too uncertain or speculative
as compared to current data. As
discussed in more detail later, courts’
rulings have deferred to EPA’s
reasonable reliance on modeling to
inform its policy choices,
notwithstanding that no model is
perfect and there may be some level of
discrepancy between modeled
predictions what eventually occurs.
Comments regarding the relationship
between the future analytic year and the
attainment date are also addressed later
in this preamble.
Comment: One commenter states that
the plain meaning of section
110(a)(2)(D) requires Kentucky to
prohibit contributing emissions prior to
the 2008 ozone attainment dates set for
downwind states, i.e., by 2018 for
moderate nonattainment areas. The
commenter contends that the D.C.
Circuit adopted this plain reading,
finding the statute unambiguously
requires compliance with NAAQS
attainment deadlines in North Carolina,
531 F.3d at 911–12. The court based its
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conclusion on the requirement that
implementing provisions be consistent
with Title I of the CAA, finding the plan
must be consistent with both the
substantive and procedural
requirements of NAAQS compliance. Id.
at 911. The commenter states that the
court also held that compliance must be
achieved in time for attainment
determinations for downwind states
expected to be close to the NAAQS so
as not to ‘‘interfere with maintenance.’’
Id. at 908–09.
The commenter further states that the
CAA establishes attainment dates for the
2008 ozone NAAQS ‘‘as expeditiously
as practicable’’ but no later than 3, 6, 9,
15, or 20 years—depending on area
classification—after the designation.
The commenter contends that, in NRDC
v. EPA, 777 F.3d 456 (D.C. Cir. 2014),
the court rejected EPA’s attempt to
extend the 2008 ozone NAAQS
compliance deadlines by several
months, holding that the CAA requires
attainment dates be set at the statutorily
fixed term of time from the date of
designations.
The commenter therefore asserts that
section 110(a)(2)(D)(i)(I) does not allow
Kentucky to wait until 2023 nor does it
grant EPA discretion to extend
compliance deadlines. The commenter
contends that, by 2023, the harms the
good neighbor provisions were intended
to avoid will have already befallen
downwind states. Accordingly, the
commenter states that Kentucky must
take immediate steps to offset past overpollution. In a footnote, the commenter
notes that prior legal precedent
indicates that attainment dates are
‘‘central to the regulatory scheme,’’
Sierra Club v. EPA, 294 F.3d 155, 161
(D.C. Cir. 2002), and ‘‘leave no room for
claims of technological or economic
feasibility,’’ NRDC, 777 F.3d at 468.
Another commenter points to 2015–
2017 design values at monitors in the
NJ-NY-CT nonattainment area that are
above the standard at 83 ppb (the
Stratford monitor) and 82 ppb (the
Westport monitor). The commenter
states that design values indicate that
the area can expect to be reclassified as
‘‘serious’’ with an attainment deadline
of July 2021, based on a 2020 design
value. The commenter contends that the
Kentucky SIP is deficient because it
relies on a future year that does not
adequately reflect the appropriate
attainment year of the impacted
nonattainment area. Because the
moderate attainment deadline has
passed, the commenter states that
modeling for the next attainment date of
July 2021 (based on 2020 design values)
should be conducted.
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The commenter asserts that
downwind states significantly impacted
by ozone pollution will be unable to
meet attainment deadlines if good
neighbor SIPs are not done prior to the
attainment deadline of the downwind
nonattainment areas. The commenter
asserts the CAA recognizes this since
the good neighbor provision is required
to be addressed ahead of the attainment
demonstration requirements for
nonattainment areas. The commenter
notes that Kentucky’s significant
contributions for the 2008 ozone
NAAQS therefore should have been
addressed by March 2011. The
commenter states that 2023 is an
inappropriate future year for modeling
because it falls after both the July 2018
moderate classification deadline and the
July 2021 serious classification
deadline.
One commenter states that the tristate New York City metropolitan area
struggles to attain the 2008 ozone
NAAQS, with 2017 design values up to
83 ppb, due in significant part to
interstate transport of ozone precursors
from upwind states like Kentucky. The
commenter notes that NYDEC requested
a reclassification of the area to ‘‘serious’’
nonattainment due to the inevitability of
missing the moderate area attainment
deadline. The commenter therefore
asserts that the 2023 modeling year
relied upon by EPA and Kentucky is
well beyond—and fails to take into
account—the attainment deadline for
‘‘serious’’ nonattainment areas.
The commenter further states that had
EPA met its 2015 FIP deadline for
Kentucky, it could have mandated
controls that would be installed and
operating in time to benefit New York’s
‘‘serious’’ nonattainment deadline.
One commenter contends that EPA’s
proposed approval fails to account for
New York’s upcoming attainment
deadlines for the 2008 ozone NAAQS.
The commenter asserts that the New
York metropolitan area has struggled to
attain the 2008 ozone NAAQS, with
2017 design values of up to 83 ppb. The
commenter asserts that EPA admitted
the CSAPR Update was only a partial
remedy for downwind states such as
New York, and that additional
reductions may be required from
upwind states, including Kentucky.
CSAPR Update modeling projected that
New York would remain in
nonattainment past its July 20, 2018
statutory attainment deadline. On
November 10, 2017, NYDEC requested a
reclassification to ‘‘serious’’
nonattainment, due to the inevitability
of missing the July 20, 2018 moderate
area attainment deadline, which the
state attributed in large part to
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transported emissions from upwind
states such as Kentucky. The
reclassification carries an attainment
deadline of July 20, 2021, based on
2018–2020 monitoring data.
The commenter asserts that 2023
modeling analysis takes no account of
New York’s current and likely new
attainment deadlines, in direct conflict
with settled law under the Act. To be
fully compliant, the commenter believes
a good neighbor SIP must eliminate
significant contribution to downwind
nonattainment or interference with
maintenance by the deadlines for
downwind areas to attain the NAAQS.
EPA’s proposed approval only discusses
this deadline in its conclusion that
emission reductions will not be
achieved in time to meet it. The
commenter asserts that EPA cannot
approve a SIP that delays eliminating
emissions that presently contribute to
downwind nonattainment past New
York’s attainment deadlines.
One commenter challenges the future
year selection of 2023 and states that it
perpetuates Connecticut citizens’ health
and economic burdens. The commenter
states that Connecticut faces a
reclassification to serious
nonattainment, has previously been
reclassified to moderate, and has not
met attainment due to ‘‘overwhelming’’
transport from upwind areas, including
Kentucky.
Response: EPA disagrees that it has
failed to consider the appropriate
attainment dates in relying on the 2023
modeling results to approve Kentucky’s
SIP submission.
First, to the extent the commenters
suggest that the current measured
design values may preclude EPA’s
reliance on modeled projections, EPA
does not agree. As explained earlier in
this action, EPA has reasonably
interpreted the term ‘‘will’’ in the good
neighbor provision as permitting states
and EPA in implementing the good
neighbor provision to evaluate
downwind air quality problems, and the
need for further upwind emission
reductions, prospectively and
coordinated with anticipated
compliance timeframes. See North
Carolina, 531 F.3d at 913–14.
EPA further disagrees that the D.C.
Circuit’s North Carolina decision
constrains EPA to choosing the next
relevant attainment date as its future
analytic year. The North Carolina
decision faulted EPA for not giving any
consideration to upcoming attainment
dates in downwind states when setting
compliance deadlines for upwind
emissions; there, EPA had evaluated
only the feasibility of implementing
upwind controls. Id. at 911–12. But the
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court did not hold that the CAA
imposes strict deadlines for the
implementation of good neighbor
emission reductions. Nor did the court
opine that EPA would never be justified
in setting compliance dates that postdate downwind attainment dates or
consider the feasibility of implementing
upwind emission reductions. Indeed, in
remanding the rule, the D.C. Circuit
acknowledged that upwind compliance
dates may, in some circumstances,
follow attainment dates. Id. at 930
(instructing EPA to ‘‘decide what date,
whether 2015 or earlier, is as
expeditious as practicable for states to
eliminate their significant contributions
to downwind nonattainment’’).6
While the commenters suggest that
the court’s reference to the phrase
‘‘consistent with the provisions of this
subchapter’’—i.e., CAA Title I—imports
downwind attainment dates from
section 181 into the good neighbor
provision, CAA section 181 itself does
not impose inflexible deadlines for
attainment. The general timeframes
provided in the section 181(a)(1) table
may be (and often are) modified
pursuant to other provisions in section
181, considering factors such as
measured ozone concentrations and the
feasibility of implementing additional
emission reductions. For example, the
six-year timeframe for attainment of the
2008 ozone NAAQS in moderate areas
could be extended by up to two years
(to 2020), pursuant to section 181(a)(5).
And pursuant to section 181(b)(2), when
downwind areas are unable to
implement sufficient reductions via
feasible control technologies by one
attainment date, those areas will be
‘‘bumped up’’ in classification and
given a new attainment date with
additional time to attain. With ‘‘bumpups’’ like this, the date for an area to
attain the 2008 ozone NAAQS could be
extended to 2021, 2027, and 2032, and
each of these deadlines could be subject
to further extensions of up to two years
6 EPA also disagrees with the commenters’
contention that the North Carolina decision
explicitly requires emission reductions, 531 F.3d at
911–912, necessary to address the ‘‘interfere with
maintenance clause’’ of the good neighbor provision
to be aligned with downwind attainment dates. The
commenters are conflating the court’s holding that
EPA should consider downwind attainment dates
when setting compliance schedules for upwind
state emission reductions with the court’s separate
holding that EPA must give independent
significance to the ‘‘interfere with maintenance’’
clause when identifying downwind air quality
problems. id. at 910–911. The court did not
explicitly indicate whether EPA was required to
align emission reductions associated with
maintenance receptors with downwind attainment
dates, indicating only that EPA must ‘‘provide a
sufficient level of protection to downwind states
projected to be in nonattainment as of’’ the future
analytic year. Id. at 912 (emphasis added).
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pursuant to section 181(a)(5). See also
Whitman v. Am. Trucking Ass’ns, Inc.,
531 U.S. 457, 493–94 (2001) (Breyer
concurring) (considerations of costs and
technological feasibility may affect
deadlines selected by EPA). Thus, the
commenters’ premise that all upwind
emission reductions must occur before
the earliest downwind attainment date,
feasible or not, is inconsistent with the
framework of section 181 as it applies
to downwind states.
Similarly, the D.C. Circuit’s decision
in NRDC, 777 F.3d at 468, does not
stand for the proposition that EPA
should ignore the feasibility of
implementing emission reductions
when addressing the good neighbor
provision, or that such emission
reductions are strictly required to be in
place by a date certain. There, EPA had
set 2008 ozone standard attainment
dates in December 2015 so that
downwind states could use data from
the 2015 ozone season to demonstrate
attainment. Id. at 465. The NRDC court
simply held that section 181(a)(1) did
not allow EPA this type of flexibility.
The court’s holding in NRDC did not
speak to state planning or
implementation requirements that apply
for areas subject to those dates, or the
various ways in which the date may be
legally extended under the CAA. NRDC
is therefore inapposite as to how the
good neighbor provision should be
harmonized with CAA statutory or
regulatory dates for downwind states.
Here, EPA has considered the
downwind attainment dates for the 2008
ozone NAAQS, consistent with the
court’s holding in North Carolina. As
the commenters note, areas classified as
moderate nonattainment areas currently
have attainment dates of July 20, 2018,
but the 2017 ozone season was the last
full season from which data could be
used to determine attainment of the
NAAQS by that date. Given that the
2017 ozone season has now passed, it is
not possible to achieve additional
emission reductions by the moderate
area attainment date. It is therefore
necessary to consider what subsequent
attainment dates should inform EPA’s
analysis. The next attainment dates for
the 2008 ozone NAAQS will be July 20,
2021, for nonattainment areas classified
as serious, and July 20, 2027, for
nonattainment areas classified as
severe.7 Because the various attainment
7 While there are no areas (outside of California)
that are currently designated as serious or severe for
the 2008 ozone NAAQS, the CAA requires that EPA
reclassify to serious any moderate nonattainment
areas that fail to attain by their attainment date of
July 20, 2018. Similarly, if any area fails to attain
by the serious area attainment date, the CAA
requires that EPA reclassify the area to severe.
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deadlines are in July, which is in the
middle of the ozone monitoring season
for all states, data from the calendar year
immediately prior to the attainment date
(e.g., data from 2020 for the 2021
attainment date and from 2026 for the
2027 attainment date) are the last data
that can be used to demonstrate
attainment with the NAAQS by the
relevant attainment date.
As discussed in the NPRM and later
in this action, EPA has also considered
the timeframes that would likely be
required for implementing further
emissions reductions as expeditiously
as practicable and concluded that
additional control strategies at EGUs
and non-EGUs could not be
implemented by the July 2021 serious
area attainment date, and certainly not
by the 2020 ozone season immediately
preceding that attainment date. This
consideration of feasibility is consistent
with the considerations affecting the
statutory timeframes imposed on
downwind nonattainment areas under
section 181. Therefore, because new
emissions controls for sources in
upwind states cannot be implemented
feasibly for several years, and at that
later point in time air quality will likely
be cleaner due to continued phase-in of
existing regulatory programs, changing
market conditions, and fleet turnover, it
is reasonable for EPA to evaluate air
quality (at step one of the four-step
framework) in a future year that is
aligned with feasible control installation
timing in order to ensure that the
upwind states continue to be linked to
downwind air quality problems when
any potential emissions reductions
would be implemented and to ensure
that such reductions do not over-control
relative to the identified ozone problem.
Comment: One commenter notes that
Delaware’s Sussex County is a
standalone nonattainment area and New
Castle County is part of the
Philadelphia-Wilmington-Atlantic City,
PA-NJ-MD-DE nonattainment area
(Philadelphia NAA), with an attainment
date of July 20, 2015. The CAA requires
states to attain the ozone standards as
expeditiously as practicable, but states
significantly impacted by ozone
pollution from upwind states will be
unable to do so if good neighbor SIPs
are not submitted with adequate
remedies implemented prior to
downwind attainment dates. Such SIPs
are required to be addressed prior to the
submission of attainment
demonstrations by nonattainment areas,
such that Kentucky should have
addressed its significant contribution for
the 2008 ozone NAAQS by March 2011.
The commenter notes that states,
including Kentucky, failed to submit
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SIPs and EPA failed to issue FIPs until
the CSAPR Update was issued on
October 26, 2016, well after the
attainment dates for many areas,
including Delaware.
The commenter contends that EPA
should have acted in a timely manner
when states failed to adopt good
neighbor provisions, and contends that
Kentucky should have tied its analysis
of significant contribution to the air
quality at the time designations were
made. The commenter asserts that EPA
should have coupled its analysis and
remedy with marginal attainment dates,
as the first deadline for which
nonattainment areas had to attain the
standard. The commenter notes that
EPA aligned its modeling analysis and
implementation of the CSAPR Update
with the moderate area attainment dates
in 2018. While the commenter
acknowledges that EPA could not have
tied implementation of the CSAPR
Update to the 2015 marginal area
attainment date which had already
passed, the commenter contends EPA
should have addressed the need for
good neighbor reductions relative to
marginal nonattainment by aligning
contribution modeling analysis for those
states to some timeframe prior to the
marginal attainment deadline. Instead,
EPA’s process takes place after the
attainment dates, at which point EPA
concludes that Delaware and all other
areas outside of California do not need
reductions to attain and maintain the
NAAQS.
Response: As explained earlier in this
action, EPA has reasonably interpreted
the term ‘‘will’’ in the good neighbor
provision as permitting states and EPA
in implementing the good neighbor
provision to evaluate downwind air
quality problems, and the need for
further upwind emission reductions,
prospectively and coordinated with
anticipated compliance timeframes. See
North Carolina, 531 F.3d at 913–14.
Accordingly, EPA does not agree that
Kentucky should tie its analysis to
either the date when designations were
made or the marginal area attainment
date, both of which have now passed.
Were EPA to have evaluated good
neighbor obligations based on a
retrospective analysis of downwind air
quality, the Agency could not have
ensured that any emission reductions
that may have been required would
actually be necessary to address
downwind air quality problems at the
time they were implemented, which
could result in impermissible overcontrol under the Supreme Court’s
holding in EPA v. EME Homer City
Generation, L.P., 134 S. Ct. 1584, 1608
(2014) (EME Homer City). Whether
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33735
Kentucky or EPA acted in a timely
manner to develop a SIP or promulgate
a FIP, respectively, does not lessen the
obligation to comply the Supreme
Court’s holding in the present action.
Comment: One commenter alleges
that EPA’s decision to untether its
action from statutory nonattainment
dates and instead focus on 2023 is
arbitrary and capricious, as the ‘‘agency
has relied on factors which Congress has
not intended it to consider’’ and
‘‘entirely failed to consider an important
aspect of the problem.’’ Motor Vehicle
Mfrs. Ass’n v. State Farm Mut. Auto.
Ins. Co., 463 U.S. 29, 43 (1983). The
commenter suggests that EPA takes a
novel approach of selecting an analytic
year five years in the future based on
concerns that by the time any controls
can be implemented, they may no
longer be needed. The commenter cites
both CSAPR and the CSAPR Update as
examples of how EPA analyzed
projected emissions in the upcoming
year. The commenter states that EPA’s
logic is almost tantamount to urging
upwind states to wait because
downwind states will take care of the
problem themselves.
The commenter states that technical
feasibility has been specifically rejected
as a basis for ignoring attainment
deadlines in North Carolina, and overcontrol is at best a secondary factor
which does not justify complete
departure from the plain text and
controlling precedent. The commenter
states that EPA’s emphasis on overcontrol is contrary to EME Homer City,
stating that when the Supreme Court
upheld the consideration of costeffectiveness in CSAPR and upheld
EPA’s immediate issuance of a FIP after
disapproving a SIP, the Court clearly
indicated that the key statutory mandate
of the good neighbor provision is to
expeditiously ‘‘maximize achievement
of attainment downwind.’’ 134 S. Ct. at
1590. The Court made concern about
over-control secondary to that goal. Id.
at 1609.
The commenter further asserts that
reliance on feasibility of implementing
controls to justify delaying action or
analysis until 2023 is foreclosed by
North Carolina, which specifically
rejected the compliance deadlines in
CAIR that were based on feasibility
restraints but were not consistent with
compliance deadlines for downwind
states. When EPA has considered
feasibility in analyzing ozone related
good neighbor obligations since North
Carolina, it has not been in the context
of selecting an analytic year, but in
allocating emission budgets. The
commenter states that EPA’s argument
regarding feasibility also includes the
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need for additional time for planning
and coordination between EPA and
states, but asserts that the courts have
rejected claims that additional time is
necessary to improve the quality or
soundness of regulations. Sierra Club v.
Johnson, 444 F. Supp. 2d 46, 53 (D.D.C.
2006).
One commenter states that EPA
should focus on achieving available
emission reductions on or before the
2020 ozone season (the next applicable
attainment date), rather than looking
ahead to 2023. The commenter states
that by focusing on the timeframes to
install new controls, EPA has not
conducted an analysis of reductions
available in the near term to see if there
are additional NOX reduction strategies
that are available prior to 2023. The
commenter identified optimization of
previously installed post-combustion
controls as a potential NOX reduction
strategy with reductions available
immediately and at low cost. The
commenter stated that EPA’s concern
with over-control must be evaluated
relative to the attainment deadlines for
the standard. Therefore, relying on
EPA’s 2023 modeling is inconsistent
with the intent of the CAA to achieve
standards as expeditiously as
practicable.
Another commenter states that EPA’s
rationale for use of a 2023 modeling
year rests on a speculative guess of the
time required for two categories of costeffective controls to be installed, starting
from the date of its approval. The
commenter contends that EPA cannot
rely on the cost-effectiveness of EGU
controls as the exclusive consideration
in justifying a further five-year delay
when a full remedy for Kentucky has
already been unlawfully delayed for
years. Even if EPA has a general duty to
avoid over-control of upwind emissions,
it cannot point to this duty to justify a
strategy that postpones necessary
controls. Rather, EPA should require
these controls now, and then reevaluate
them in a few years at the point when
the purported over-control may actually
occur.
Response: EPA disagrees with the
commenters’ assertion that EPA has
inappropriately weighted concerns
about over-control of upwind state
emissions. The Supreme Court and the
D.C. Circuit have both held that EPA
may not require emissions reductions
(at step three of the framework) that are
greater than necessary to achieve
attainment and maintenance of the
NAAQS in downwind areas. EME
Homer City, 134 S. Ct. at 1608; EME
Homer City Generation, L.P. v. EPA, 795
F.3d 118, 127 (D.C. Cir. 2012) (EME
Homer City II). While the Supreme
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Court indicated that ‘‘EPA must have
leeway’’ to balance the possibilities of
under-control and over-control and that
‘‘some amount of over-control . . . would
not be surprising,’’ the Court did not
indicate that such over-control was
required. 134 S. Ct. at 1609. Rather, the
Court held, ‘‘If EPA requires an upwind
State to reduce emissions by more than
the amount necessary to achieve
attainment in every downwind State to
which it is linked, the Agency will have
overstepped its authority, under the
Good Neighbor Provision.’’ Id. at 1608.
On remand in EME Homer City II, the
D.C. Circuit gave that holding further
meaning when it determined that the
CSAPR phase 2 ozone season NOX
budgets for 10 states were invalid
because EPA’s modeling showed that
the downwind air quality problems to
which these states were linked when
EPA evaluated air quality projections in
2012 would be entirely resolved by
2014, when the phase 2 budgets were
scheduled to be implemented. 795 F.3d
at 129–30. Thus, the Court did not find
that over-control was a secondary
consideration, but rather that it was a
constraint on EPA’s authority.
To the extent that the commenters
note that EPA chose an earlier analytic
year in prior rulemakings, EPA notes
that it has not done so in all
rulemakings. In the NOX SIP Call, EPA
evaluated air quality in 2007, nine years
after the rule was promulgated. 63 FR
57377 (October 27, 1998). In CAIR,
which was promulgated in 2005, EPA
evaluated air quality in 2009 and 2010,
for the ozone and PM2.5 NAAQS,
respectively. 70 FR 25241 (May 12,
2005). Thus, EPA’s approach in this
action is not inconsistent with these
prior actions. Although EPA evaluated
relatively more near-term air quality in
CSAPR and CSAPR Update, EPA
expected that certain cost-effective
emission reductions could be
implemented in the near-term in those
actions. Here, EPA has already analyzed
and implemented those cost-effective
control strategies that could be
implemented quickly (including the
optimization of existing postcombustion controls) to address the
2008 ozone NAAQS through the CSAPR
Update FIPs. Accordingly, any further
emission reductions that may be
required to address the 2008 ozone
NAAQS would necessarily be
implemented through control strategies
that cannot be implemented in the near
term and require a longer period for
implementation. In addition, NOX
emissions levels are expected to decline
in the future through the combination of
the implementation of existing local,
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state, and federal emissions reduction
programs and changing market
conditions for generation technologies
and fuels.8 Therefore, were EPA to
evaluate downwind ozone
concentrations and upwind state
linkages in a future year that precedes
the date when actual compliance is
anticipated (i.e., the timeframe within
which additional control strategies can
feasibly be implemented), EPA could
not ensure that the emission reductions
will be ‘‘necessary to achieve
attainment’’ in any downwind area by
the time they were implemented. Such
an approach would only replicate the
circumstances the D.C. Circuit found
impermissible in CSAPR.
The commenter’s citation to Sierra
Club v. Johnson is inapposite. In that
case, EPA sought more time to
promulgate regulations under the CAA
after failing to perform the mandatory
duties within the statutorily prescribed
timeframe. 444 F. Supp. 2d at 52.
Therefore, the court’s reference to the
Agency’s need for ‘‘additional time’’ is
in reference to the time required to
conduct the rulemaking process. Id. at
53. The court was not interpreting the
requirements of the good neighbor
provision or any other provision
regarding the time required for states or
sources to implement controls under the
CAA.
Finally, the commenters
misunderstand EPA’s evaluation to the
extent they suggest that EPA relied on
the cost-effectiveness of controls for this
action. EPA evaluated the feasibility of
implementing various control options,
without regard to cost, that had not
previously been included in EPA’s
analysis of cost-effective controls in the
CSAPR Update. EPA concluded that
additional controls on either EGUs or
non-EGUs—when considering multiple
projects across multiple states and
allowing for planning and permitting—
would generally require four years or
more to implement, which would lead
to an implementation timeframe
associated with the 2023 ozone season.
Because the air quality modeling results
for 2023 showed that air quality
problems in the eastern U.S. would be
resolved by 2023, EPA did not further
evaluate the cost-effectiveness of the
control options considered for the
feasibility analysis.
Comment: One commenter contends
that EPA’s insistence on fleetwide
compliance is based on a circular
argument wherein such a scheme would
8 Annual Energy Outlook 2018. Electricity Supply,
Disposition, Prices, and Emissions. Reference Case.
Department of Energy, Energy Information
Administration.
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cause labor and material shortages that
would, in turn, require four years to
implement, at which point they will be
unnecessary. The commenter points out
that this means there will be no labor
shortage. The commenter notes that this
is contrary to EPA’s prior approaches in
CSAPR where the agency segregated
controls based on feasibility, including
multiple phases, and conducted
emissions analyses for both phases.
One commenter states that EPA
cannot rely on its analysis of alleged
labor and materials shortages relating to
installation of new controls at a ‘‘fleet’’
level. While EPA may prefer a regional
approach, Congress did not establish a
regional implementation plan
requirement or mechanism, and EPA is
not considering whether to approve a
regional transport rule, nor a group of
SIPs or FIPs. EPA is proposing to
approve a single SIP from a single state
and has not undertaken a study of the
labor or materials market in Kentucky.
Therefore, EPA’s justification for
allowing the delay of EGU controls for
up to 48 months based on its
speculative estimate of the time needed
to install these controls on all sources
within some unidentified region is
arbitrary and capricious.
One commenter states EPA’s
approach to evaluating potential NOX
controls on a regional, rather than statespecific, basis ‘‘undermines the intent of
the CAA’’ and causes Connecticut to be
required to spend more to attempt to
comply with the CAA than states that
emit and contribute more to
Connecticut’s ozone problem.’’ The
commenter states as an example that it
recently promulgated a reasonably
available control technology (RACT)
rule with a minimum control cost of
$13,000 per ton. The commenter states
that EPA’s under controlling of
emissions has led to delays in
attainment and added cost for
Connecticut despite ozone exceedances
being overwhelmingly due to
transported emissions.
One commenter states that guidance
provided in an informational
memorandum issued by EPA in January
2015 9 specifically references upwind
state responsibilities in determining the
states’ good neighbor SIP transport
obligations. EPA further states in its
proposal that it believes the most
9 Memorandum from Stephen D. Page to Regional
Air Division Directors, ‘‘Information on the
Interstate Transport ‘Good Neighbor’ Provision for
the 2008 Ozone National Ambient Air Quality
Standards (NAAQS) under Clean Air Act (CAA)
Section 110(a)(2)(D)(i)(I)’’ (January 22, 2015)
(January 2015 Transport Memo), available at
https://www.epa.gov/sites/production/files/201511/documents/goodneighborprovision2008
naaqs.pdf.
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appropriate approach to evaluating
potential upwind obligations for
Kentucky (where several other states are
also linked to the Harford County
receptor) is to evaluate potential NOX
control strategies on a regional, rather
than state-specific basis. The commenter
asserts that this is inconsistent with the
scope of EPA’s SIP approval authority
under CAA section 110, which involves
intra-state, rather than regional, plans to
attain the NAAQS. The commenter also
contends that EPA’s position is contrary
to its previous positions in denying
Maryland’s request for a super-regional
nonattainment area under CAA section
107, and in denying Maryland’s section
176A petition requesting expansion of
the Ozone Transport Region (OTR). To
the contrary, EPA stated in those actions
that CAA sections 110 and 126 were
more appropriate mechanisms for
controlling interstate pollution
transport.
Response: EPA disagrees with the
commenters that it is inappropriate to
evaluate the feasibility of implementing
NOX controls on a regional or fleetwide
basis. EPA’s analysis of the feasibility of
NOX control strategies reflects the time
needed to plan for, install, test, and
place into operation new EGU and nonEGU NOX reduction strategies
regionally—i.e., across multiple states.
This regional analytic approach is
consistent with the regional nature of
interstate ozone pollution transport. The
Agency adopted this approach based on
previous interstate ozone transport
analyses showing that where eastern
downwind ozone problems are
identified, multiple upwind states
typically are linked to these problems.
See 81 FR at 74538 (October 26, 2016).
Specifically of relevance to this action,
EPA’s assessment in the CSAPR Update
found that 21 states would continue to
contribute greater than or equal to 1
percent of the 2008 ozone NAAQS to
identified downwind nonattainment or
maintenance receptors in multiple
downwind states in 2017, even after
implementation of the CSAPR Update
FIPs. Thus, to reasonably address these
ozone transport problems, EPA must
identify and apportion emission
reduction responsibility across multiple
upwind states. In other words, EPA’s
analysis should necessarily be regional,
rather than focused on individual
linkages. Where such an analysis is
needed for multiple states, the inquiry
into the availability and feasibility of
control options is necessarily
considerably more complicated than for
a single state or sector.
EPA further disagrees that this
approach is inconsistent with EPA’s
prior rulemakings, like CSAPR, where
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33737
the Agency implemented controls in
multiple phases. In CSAPR, EPA
evaluated downwind air quality and
upwind state linkages based on 2012 air
quality and contribution modeling. The
commenter is correct that EPA then
implemented two phases of emission
budgets, with a first phase of reductions
implemented beginning in 2012 and a
second phase of reductions
implemented beginning in 2014.
However, in subsequent litigation, a
number of the phase 2 ozone season
NOX emission budgets were remanded
because EPA’s modeling showed that
there would no longer be downwind air
quality problems in many areas in 2014.
See EME Homer City II, 795 F.3d at 129–
30. Thus, EPA cannot require additional
emission reductions in a future year if
EPA’s data show that there will no
longer be downwind air quality
problems in that year. Here, EPA
implemented a first phase of postCSAPR emission reductions in 2017 via
the CSAPR Update. In this action,
Kentucky and EPA have evaluated
whether a second phase of post-CSAPR
emission reductions is necessary and
authorized by the good neighbor
provision and determined that it is not
because downwind air quality problems
identified in 2017 with respect to the
2008 ozone NAAQS will be resolved by
2023.
EPA does not agree that this approach
is inconsistent with the scope of EPA’s
authority under section 110. The fact
that EPA is, in this action, acting on a
single SIP does not alter the regional
nature of ozone pollution transport. As
the Supreme Court noted, the good
neighbor provision presents a ‘‘thorny
causation problem’’ with respect to
ozone pollution transport in light of the
‘‘collective and interwoven
contributions of multiple upwind
States,’’ EME Homer City, 134 S. Ct. at
1604. The Court affirmed EPA’s
consideration of the problem on a
regional rather than localized scale. Id.
at 1606–07 (affirming EPA’s use of cost
to apportion upwind state emission
reduction responsibility). The Court did
not indicate that this endorsement of a
regional assessment was appropriate
only when EPA is taking a regional
action. Rather, it is reasonable for EPA
to interpret the implementation of the
good neighbor provision for a particular
NAAQS consistently regardless of the
scope of the action. Consistent with this
opinion, it is therefore also reasonable
for EPA to view an individual state’s
implementation plan through a regional
lens.
EPA also does not agree that the
Agency’s approach to evaluating
interstate ozone transport under section
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110 is inconsistent with its recent action
on a section 176A petition to expand the
OTR or EPA’s designations under
section 107. EPA denied the section
176A petition because it concluded that
any remaining interstate transport
problems could be better addressed via
the good neighbor provision, which EPA
and the states can use to make decisions
regarding which precursor pollutants to
address, which sources to regulate, and
what amount of emission reductions to
require, flexibilities that are not
available with respect to control
requirements applicable to sources in
the OTR. See 82 FR 51244–46
(November 3, 2017). EPA did not deny
the petition because it concluded that
ozone transport was not regional; on the
contrary, EPA explicitly acknowledged
the regional nature of ozone transport in
its action. See 82 FR 6511 (January 19,
2017).
With respect to the request for a
super-regional nonattainment area
under section 107, EPA has consistently
explained that such an approach is not
consistent with the statutory language.10
CAA section 107(d)(1) provides that
areas designated nonattainment should
include any ‘‘nearby’’ area contributing
to a violation of the NAAQS. EPA has
repeatedly explained that the proposal
for broad super-regional nonattainment
areas go beyond this statutory definition
by including areas that are not
necessarily ‘‘nearby’’ but contribute to
nonattainment through long-range
transport, an issue that other sections of
the CAA, like the good neighbor
provision, are designed to address.
Thus, rather than contradict EPA’s
analysis of ozone transport regionwide,
EPA’s prior actions regarding requests
for a super-regional nonattainment area
support EPA’s view that such an
approach is appropriately applied under
the good neighbor provision.
Finally, EPA does not agree that its
conclusion that no additional emission
reductions would be required of upwind
states undermines its fleetwide analysis
of labor and material shortages. EPA’s
analysis was based on the assumption
that if additional controls would be
required of upwind states, they would
be required on a region-wide basis. This
was a reasonable assumption in light of
the complex, regional nature of ozone
pollution transport. Had EPA identified
10 See, e.g., Responses to Significant Comments
on the State and Tribal Designation
Recommendations for the 2008 Ozone National
Ambient Air Quality Standards (NAAQS), EPA–
HQ–OAR–2008–0476–0675, Section 3.1.2 (April
2012); New York-Northern New Jersey, Long-Island,
NY-NJ-CT Nonattainment Area, Final Area
Designations for the 2015 Ozone National Ambient
Air Quality Standards Technical Support
Document, at 28–29.
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remaining downwind air quality
problems in the future analytic year, it
would have been reasonable to assume
that multiple upwind states would
contribute to any remaining air quality
problem consistent with EPA’s previous
ozone transport analyses and thus
multiple upwind states could be
required to concurrently implement
emission reductions. As explained
earlier, while EPA has phased-in
application of controls in some
circumstances, those phases were
implemented based on consistent,
region-wide compliance deadlines. The
commenters do not explain how EPA
could set different compliance dates for
different states in the CSAPR Update
region to require additional emission
reductions while also insuring that
states’ obligations were addressed in a
consistent, non-arbitrary manner that
did not lead to over- or under-control.
Comment: One commenter states that
EPA’s argument that extensive planning
is required to install controls is
uncompelling because EPA has had
ample time to plan. The CSAPR Update
repeatedly emphasizes that states,
including Kentucky, were expected to
have remaining obligations after the
implementation of the CSAPR Update.
Moreover, EPA has been on notice that
it would be required to take action on
Kentucky by June 2018 as required by
court order.
Response: The commenter
misunderstands EPA’s reference to the
planning required to implement
additional controls. The individual
sources, not EPA, must engage in
appropriate planning anytime they
install new control devices. As
discussed in more detail later, installing
new selective catalytic reduction (SCR)
or selective non-catalytic reduction
(SNCR) controls for EGUs or non-EGUs
generally involves the following steps:
Conducting an engineering review of the
facility; advertising and awarding a
procurement contract; obtaining a
construction permit; installing the
control technology; testing the control
technology; and obtaining or modifying
an operating permit.11 Scheduled
curtailment, or planned outage, for
pollution control installation would be
necessary to complete either SCR or
SNCR projects. Given that peak demand
for EGUs and rule compliance would
both fall in the ozone season, such
sources would likely try to schedule
installation projects for the ‘‘shoulder’’
seasons (i.e., the spring and/or fall
11 Final Report: Engineering and Economic
Factors Affecting the Installation of Control
Technologies for Multipollutant Strategies, EPA–
600/R–02/073 (October 2002), available at https://
nepis.epa.gov/Adobe/PDF/P1001G0O.pdf.
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seasons), when electricity demand is
lower than in the summer, reserves are
higher, and ozone season compliance
requirements are not in effect. In
addition to the coordination of
scheduled curtailment, an appropriate
compliance timeframe would need to
accommodate the additional
coordination of labor and material
supply necessary for any fleet-wide
mitigation efforts. More details
regarding these considerations are
outlined later in this preamble.
Many of these materials, installation,
and labor concerns are also relevant for
non-EGU control technologies. Thus,
the implementation of new EGU and
non-EGU NOX reduction strategies,
especially when implemented across a
broad region of states, requires extensive
time and planning by the affected
sources.
Moreover, while EPA indicated that
the CSAPR Update may not fully
address states’ good neighbor
obligations, the Agency did not
definitively conclude that more
emission reductions would necessarily
be required. Nor did the Agency
indicate what sources would likely be
controlled, in which states, or via what
control strategies if additional emission
reductions were in fact required. Thus,
EPA does not agree with the
commenter’s suggestion that it was
reasonable for any particular sources to
begin planning for the implementation
of new controls before EPA or the states
completed further analysis and
promulgated requirements actually
requiring additional emission
reductions.
Comment: One commenter states that
EPA’s finding that implementation of
control strategies is not feasible until
during or after the 2022 ozone season is
false and contradicted by the evidence
EPA presents. The commenter contends
that EPA’s conclusion that 48 months
may be necessary to implement
emission reductions is contrary to EPA’s
own experience of pollution control and
belied by EPA’s own finding that
Kentucky will likely outperform its
CSAPR Update obligations. Both CSAPR
and CSAPR Update were implemented
on much shorter timescales, with
immediate reductions available in both
cases in under one year, and postcombustion controls being required
within three years under CSAPR.
Response: EPA has evaluated the
feasibility of implementing controls on
a region-wide basis, considering markets
for labor and materials necessary for
implementing controls across multiple
sources in multiple states. Thus,
examples where individual sources
might have installed controls more
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quickly do not speak to what is
reasonable to require across a state or a
region, and therefore do not contradict
EPA’s analysis.
Moreover, EPA’s projections of EGU
emission levels in Kentucky in 2023
also do not contradict EPA’s conclusion
that 48 months should be provided for
the region-wide implementation of new
NOX post-combustion controls.
Kentucky’s CSAPR Update budget is not
an emissions floor. It represents
emission reductions reflecting control
strategies determined to be cost-effective
and feasible to implement by the first
compliance year in 2017 (e.g., SCR
optimization). However, market
conditions that did not influence
quantification of the budgets can also
drive further emission reductions in
future years, including variables such as
low natural gas prices and new, lowercost competitor generation in
downwind states, and can lead to utility
decisions to retire aging assets. In
addition, sources may install new
controls after the 2017 ozone season that
would not have been considered when
EPA calculated the budgets.12 These
factors can and do lead to state-emission
levels often being significantly lower
than its emission budget in future
compliance years. EPA’s projected
emissions level in 2023 captures these
types of recently announced and known
infrastructure changes and fleet
turnover and it is therefore reasonable
that the 2023 projected EGU emissions
would be below Kentucky’s CSAPR
Update budget established for a first
compliance year of 2017.
While CSAPR and CSAPR Update
were implemented more quickly than
the four years considered in this action,
neither CSAPR nor CSAPR Update
anticipated that sources would
implement new post-combustion NOX
controls. See 76 FR 48302 (August 8,
2011); 81 FR 74541 (October 26, 2016).
Rather, the ozone season emission
budgets for both rules only considered
the near-term emission reductions that
could be achieved from implementation
of control strategies other than new
post-combustion controls, including the
optimization of existing postcombustion controls and
implementation of new combustion
controls. See 76 FR 48256 (August 8,
2011); 81 FR 74541 (October 26, 2016).
12 EPA notes that the only new post-combustion
controls assumed in EPA’s projection of 2023 EGU
emissions in Kentucky were at Shawnee units 1 and
4. Both of these units were required to implement
SCR as of December 31, 2017 pursuant to a
compliance agreement with EPA finalized in 2011.
See 76 FR 22095 (April 20, 2011) and https://
www.epa.gov/enforcement/tennessee-valleyauthority-clean-air-act-settlement.
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With respect to the 2008 ozone NAAQS,
EPA already implemented the near-term
emission reductions that were costeffective in the CSAPR Update.
Accordingly, EPA disagrees with the
commenter’s suggestion that there may
be substantial immediate NOX
reductions available that could be
implemented on a more immediate
timeframe at this time.
EPA notes that it did evaluate postcombustion controls in CSAPR with
respect to sulfur dioxide (SO2) emission
reductions necessary to address PM2.5
and established emission budgets
reflecting the possible implementation
of scrubbers three years following rule
promulgation. However, to the extent
labor and supply markets were a
consideration for installation timing
requirements for scrubbers in CSAPR in
2011, those variables may have changed
over the last seven years. Moreover, EPA
established budgets for NOX in CSAPR
based on a cost threshold of $500 per
ton, which was not anticipated to drive
significant, labor- and resourceintensive SCR installation within that
timeframe. See 76 FR 48302 (August 8,
2011).
Comment: One commenter asserts
that EPA has not explained why it still
lacks information on the potential for
cost-effective emission reductions from
non-EGUs, two years after the CSAPR
Update was promulgated. EPA’s
analysis is lacking any analysis of actual
cost-effectiveness numbers for non-EGU
controls, relying instead on an
‘‘implication’’ from two-year old public
comments that non-EGU controls would
be relatively less cost-effective than
EGU controls. EPA ignores its own
framework, which calls for determining
the availability and cost-effectiveness of
non-EGU controls, despite identifying
the need to do so in the CSAPR Update.
In a footnote, the commenter notes that
EPA represented to the court in a
mandatory duty suit that it was taking
steps to improve its data to evaluate
NOX reduction potential from nonEGUs, which it expected to complete by
November 2017. EPA has not accounted
for any of the stakeholder reviewed
information on non-EGU emissions
reductions and costs that it should have
amassed in the last year and a half.
The commenter further contends that
EPA has changed its regulatory position
without reasonable explanation. In the
CSAPR Update, EPA indicated that
evaluating full interstate transport
obligations is subject to an evaluation of
the contribution to interstate transport
from non-EGUs, but EPA has
unexpectedly changed course and stated
that no such evaluation is necessary.
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33739
This is an unexplained, arbitrary and
capricious change in policy.
One commenter states that with
respect to non-EGU sources, EPA ‘‘has
documented multiple cost-effective
controls that can be implemented
within one year’’ in the ‘‘Assessment of
Non-EGU NOX Emissions Controls,
Costs of Controls and Time for
Compliance Final TSD’’ dated August
2016 available in the docket for the final
CSAPR Update Rule. The commenter
notes that EPA has dismissed these
potential benefits as ‘‘uncertain’’ and
states that EPA ‘‘cannot continue to
invoke the prospect of an uncertain
future to limit its responsibility to
satisfy its statutory mandate.’’
Response: EPA first notes that it is not
relying on its lack of information with
respect to the cost-effectiveness of nonEGUs to support this final action. EPA
evaluated the feasibility of
implementing various control options,
without regard to cost, that had not
previously been included in EPA’s
analysis of cost-effective controls in the
CSAPR Update. EPA concluded that
additional controls—on either EGUs or
non-EGUs—would generally require
four years to implement, which would
lead to an implementation timeframe
associated with the 2023 ozone season.
Because the air quality modeling results
for 2023 showed that air quality
problems in the eastern U.S. would be
resolved by 2023, EPA did not further
evaluate the cost-effectiveness of the
control options considered for the
feasibility analysis. This approach is
consistent with EPA’s four-step
framework, and does not rely on the
relative cost-effectiveness of controls for
non-EGUs.
Because EPA did not need to evaluate
either the cost-effectiveness or NOX
reduction potential of either EGU or
non-EGU sources, the commenter’s
concern with whether EPA has
completed steps to improve its data on
these issues is irrelevant. Nonetheless,
EPA notes that the particular efforts
outlined in the court filing referred to by
the commenter were in support of EPA’s
request in a mandatory duty suit that
the court permit the Agency several
years to develop a rulemaking to
address the good neighbor obligations
with respect to the 2008 ozone NAAQS
for Kentucky and 20 other states. In that
filing, EPA outlined steps that the
Agency believed would be necessary to
promulgate a rulemaking if EPA’s
analysis demonstrated that additional
emission reductions would be required
from sources in upwind states,
including what EPA viewed as
necessary analysis regarding non-EGUs.
EPA acknowledged in that same
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declaration that one possible result of
the litigation could be a determination
that downwind air quality problems
would be resolved, in which case a costeffectiveness analysis would be
unnecessary. See Decl. of Janet G.
McCabe para. 98, Sierra Club v. Pruitt,
No. 3:15–cv–04328–JD (N.D. Cal. Dec.
15, 2016). As EPA could not know the
results of any future air quality
modeling before it was performed,
EPA’s proposed timeline assumed that
such an analysis could be required. Id.
para. 170. Ultimately, the court
disagreed with EPA’s proposed timeline
and provided only one year—until June
30, 2018—for promulgation of a
rulemaking addressing Kentucky’s good
neighbor obligation, which was
insufficient time to complete all of the
steps outlined in EPA’s declaration,
thereby requiring EPA to prioritize
certain steps and eliminate others,
including the additional efforts
intended to improve data regarding the
cost-effectiveness of controls.
Nonetheless, because the first step of
EPA’s analysis demonstrated that there
would be no remaining air quality
problems in 2023 in the eastern U.S., it
was unnecessary for EPA to finalize the
efforts to improve its data regarding the
cost-effectiveness of controls before
finalizing this action. Thus, the
representations that EPA made to the
court regarding the steps necessary to
take this action no longer apply under
the present circumstances.
Thus, EPA’s analysis is not a change
in policy. In the CSAPR Update, EPA
only stated it could not conclude, at that
time, that additional reductions from
NOX sources (including non-EGUs)
would not be necessary to fully resolve
these obligations. While EPA did
indicate that it anticipated the need to
evaluate non-EGUs to fully evaluate the
full scope of upwind states’ good
neighbor obligations, the Agency has
done so here. In selecting the
appropriate future analytic year in
which to evaluate air quality,
contributions, and NOX reduction
potential, EPA considered the
implementation timeframes for controls
at EGUs as well as non-EGUs. As noted
in the NPRM and explained further in
this action, EPA’s analysis showed that
there would be no remaining air quality
problems in 2023 in the eastern U.S.,
and thus EPA has concluded that no
such additional reductions beyond
those on-the-books or on-the-way are
necessary, whether from non-EGUs or
otherwise, to bring downwind areas into
attainment of the 2008 ozone NAAQS.
Finally, the commenter is correct that
EPA included preliminary estimates of
installation times for some non-EGU
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NOX control technologies in a technical
support document for the CSAPR
Update entitled Assessment of Non-EGU
NOX Emission Controls, Cost of
Controls, and Time for Compliance
Final Technical Support Document
(Final Non-EGU TSD). These
preliminary estimates were based on
research from a variety of information
sources, including:
• Typical Installation Timelines for
NOX Emissions Control Technologies on
Industrial Sources, Institute of Clean Air
Companies, December 2006 (all sources
except cement kilns and reciprocating
internal combustion engines (RICE)); 13
• Cement Kilns Technical Support
Document for the NOX FIP, US EPA,
January 2001; 14 and
• Availability and Limitations of NOX
Emission Control Resources for Natural
Gas-Fired Reciprocating Engine Prime
Movers Used in the Interstate Natural
Gas Transmission Industry, Innovative
Environmental Solutions Inc., July 2014
(prepared for the INGAA Foundation).15
EPA’s analysis in the Final Non-EGU
TSD focused on potential control
technologies within the range of costs
considered in the final CSAPR Update
for EGUs, i.e., those controls available at
a marginal cost of $3,400 per ton (2011
dollars) of NOX reduced or less. EPA’s
analysis did not evaluate
implementation timeframes or potential
emissions reductions available from
controls at higher cost thresholds. See
Final Non-EGU TSD at 18. This focus
excluded some emissions source groups
with emissions reduction potential at a
marginal cost greater than $3,400 per
ton, including: Industrial/commercial/
institutional boilers using SCR and lowNOX burners (LNB); and catalytic
cracking units, process heaters, and
coke ovens using LNB and flue gas
recirculation. However, while the
emissions reduction potential from
these source groups is uncertain, the
timeframe for these control technologies
would be subject to similar
considerations and limitations
discussed in the following paragraphs.
13 Institute of Clean Air Companies, Typical
Installation Timelines for NOX Emissions Control
Technologies on Industrial Sources, December
2006, available at https://c.ymcdn.com/sites/
icac.site-ym.com/resource/resmgr/ICAC_NOX_
Control_Installatio.pdf.
14 US EPA, Cement Kilns Technical Support
Document for the NOX FIP, January 2001, available
at https://www.regulations.gov/document?D=EPAHQ-OAR-2015-0500-0094.
15 INGAA Foundation, Availability and
Limitations of NOX Emission Control Resources for
Natural Gas-Fired Reciprocating Engine Prime
Movers Used in the Interstate Natural Gas
Transmission Industry, Innovative Environmental
Solutions Inc., July 2014, available at https://
www.ingaa.org/Foundation/Foundation-Reports/
NOX.aspx.
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Among the control technologies that
were evaluated in the Final Non-EGU
TSD, EPA identified six categories of
common control technologies available
for different non-EGU emissions source
categories. Id. at 19. For four of the
technology categories (SNCR, SCR, LNB,
and mid-kiln firing), EPA preliminarily
estimated that such controls could be
installed in approximately one year or
less in some unit-specific cases.
Installation time estimates presented in
the Final Non-EGU TSD begin with
control technology bid evaluation (bids
from vendors) and end with the startup
of the control technology.16 See Final
Non-EGU TSD at 20. For the other two
technology categories (biosolid injection
technology (BSI) and OXY-firing) as
well as one emissions source category
(RICE), EPA had no installation time
estimates or uncertain installation time
estimates. For example, EPA found that
the use of BSI is not widespread, and
therefore EPA does not have reliable
information regarding the time required
to install the technology on cement
kilns. The installation timing for OXYfiring is similarly uncertain because the
control technology is installed only at
the time of a furnace rebuild, and such
rebuilds occur at infrequent intervals of
a decade or more.
Moreover, for those categories for
which preliminary estimates were
available, as noted in the Final NonEGU TSD, the single unit installation
time estimates provided do not account
for additional important considerations
in assessing the full amount of time
needed for installation of NOX control
measures at non-EGUs; those
considerations include time, labor, and
materials needed for programmatic
adoption of measures and time required
for installing controls on multiple
sources in a few to several non-EGU
sectors across the region. The
preliminary estimates of installation
time shown in the Final Non-EGU TSD
are for installation at a single source and
do not account for the time required for
installing controls to achieve sectorwide compliance. When considering
installation of control measures on
sources regionally and across non-EGU
sectors, the time for full sector-wide
compliance is uncertain, but it is likely
longer than the installation times shown
16 In the Final Non-EGU TSD, we present
different installation time estimates for SCRs and
non-EGUs than described in the NPRM and in this
action for EGUs. These installation times are not
inconsistent because: (i) The EGU time estimate of
39 months mentioned in the NPRM is based on
multi-boiler installation and factors in a pre-vendor
bid engineering study consideration, and (ii) the
non-EGU SCR installation time estimates are based
on single-unit installation and do not factor in prevendor bid evaluation.
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for control measures as mentioned
above for individual sources in the Final
Non-EGU TSD. Regional, sector-wide
compliance could be slowed down by
limited vendor capacity, limited
available skilled labor for manufacturers
such as boilermakers (who produce steel
fabrications, including those for
pollution control equipment),
availability of raw materials and
equipment (e.g., cranes) for control
technology construction, and
bottlenecks in delivery and installation
of control technologies. Some of the
difficulties with control technology
installation as part of regional, sectorwide compliance at non-EGUs, such as
availability of skilled labor and
materials, could also have an impact on
monitor installation at such sources.
EPA currently has insufficient
information on vendor capacity and
limited experience with suppliers of
control technologies and major
engineering firms, which results in
uncertainty in the installation time
estimates for non-EGU sectors.
In summary, there is significant
uncertainty regarding the
implementation timeframes for various
NOX control technologies for non-EGUs.
While EPA has developed preliminary
estimates for some potential control
technologies, these estimates do not
account for additional considerations
such as the impacts of sector- and
region-wide compliance. For purposes
of this analysis, EPA believes that it is
reasonable to assume that it is likely
that an expeditious timeframe for
installing sector- or region-wide controls
on non-EGU sources may collectively
require four years or more.
Comment: One commenter adds that
the CSAPR Update considered SCR to
be optimized if the unit achieves a rate
of 0.10 lbs/mmBtu, but EPA did not
examine the particular rates that can be
achieved by Kentucky’s EGUs. The
commenter states that EPA should
require Kentucky’s EGUs to achieve an
optimized emissions rate at each EGU
based on the past best demonstrated
ozone season average rates at the unit.
The commenter states that such
optimized rates would be reflective of a
unit’s actual reported data and would be
considered well controlled while still
allowing for fluctuation in operating
conditions, as it would encompass a
whole ozone season’s worth of reported
emission data. The commenter states
that its own analysis indicates that, even
after CSAPR Update implementation,
Kentucky’s coal-fired EGUs could have
reduced NOX emissions by an
additional 4,100 tons during the 2017
ozone season and could have reduced
daily NOX emissions by up to an
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additional 35 tons per day by
optimizing existing controls at levels the
EGUs had previously achieved. The
commenter contends that optimization
of existing controls is cost-effective and
has already been shown to be achievable
from past performance. The commenter
further asserts that not requiring
Kentucky’s EGUs to optimize controls
by this ozone season, at levels
consistent with past best-demonstrated
ozone season average rates at each EGU,
goes against the intent of the CAA to
reduce transported air pollution as
expeditiously as practicable. The
commenter provides suggested language
that could be used to require specific
coal-fired EGUs in Kentucky to optimize
use of existing control technologies.
Another commenter states that EPA’s
argument regarding installation of
control devices on uncontrolled EGUs
being unworkable (based on potential
for delays due to shortages in qualified
labor and material) ignores the potential
for immediate reductions that can be
had by optimizing existing EGU
controls.
Response: To the extent the
commenters take issue with EPA’s
determination in the CSAPR Update
that 0.10 lb/mmBtu was reasonable rate
to reflect optimized existing SCR
controls regionwide, EPA did not
reopen that issue for comment in this
rulemaking. EPA has already evaluated
and implemented cost-effective NOX
emission reductions associated with the
optimization of existing SCRs. In
establishing the CSAPR Update EGU
ozone season NOX emissions budgets,
the Agency quantified the emissions
reductions achievable from all NOX
control strategies that were feasible to
implement in less than one year and
cost-effective at a marginal cost of
$1,400 per ton of NOX removed.17 These
EGU NOX control strategies were:
Optimizing NOX removal by existing,
operational SCR controls; turning on
and optimizing existing idled SCR
controls; installing state-of-the-art NOX
combustion controls; and shifting
generation to existing units with lowerNOX emissions rates within the same
state. See 81 FR 74541 (October 26,
2016). Thus, for the purposes of this
action, EPA considers the turning on
and optimizing of existing SCR controls
to be a NOX control strategy that has
already been evaluated and
implemented in the final CSAPR
Update. Any concerns regarding
whether EPA appropriately considered
these controls in the CSAPR Update are
not within the scope of this action.
Moreover, the Agency believes that
the resulting CSAPR Update emissions
budgets are being appropriately
implemented under the CSAPR NOX
Ozone Season Group 2 allowance
trading program. Preliminary data for
the 2017 ozone season, which is the first
CSAPR Update compliance period,
indicate that power plant ozone season
NOX emissions across the 22-state
CSAPR Update region were reduced by
77,420 tons (or 21 percent) from 2016 to
2017.18 As a result, total 2017 ozone
season NOX emissions from covered
EGUs across the 22 CSAPR Update
states were approximately 294,478
tons,19 well below the sum of states’
emissions budgets established in the
CSAPR Update of 316,464 tons. At the
state-level, preliminary 2017 ozone
season data indicate power plant
emissions within Kentucky were
reduced 5,424 tons (also 21 percent)
from 2016 to 2017. As a result,
emissions were 19,978 tons, well below
Kentucky’s CSAPR Update budget of
21,115 tons. More specifically,
emissions from non-optimized SCRcontrolled units (i.e., units with an
emission rate greater than 0.10 lb/
mmBtu) in the CSAPR Update region
were 82,321 tons in 2016. EPA’s 2023
emission estimate for these same units
post-optimization was 40,590. Actual
emissions in 2017 from these units was
41,706 tons, demonstrating that the
CSAPR Update has successfully
incentivized optimization of controls in
Kentucky and across the CSAPR Update
region.
To the extent that EPA’s NPRM could
be interpreted as having invited
comment on this issue, EPA further
notes that, in the CSAPR Update the
Agency reviewed fleet-wide, SCRcontrolled coal units from 2009 to 2015
and calculated an average ozone season
NOX emission rate across the fleet of
coal-fired EGUs with SCR for each of
these seven years, and used the third
lowest average ozone season NOX rate.
As described in that rule, EPA
determined that it was not prudent to
use either the lowest or second-lowest
ozone season NOX rates to represent the
optimization of controls because such a
rate may reflect new SCR systems that
have all new components (e.g., new
layers of catalyst). See 81 FR 74543
(October 26, 2016). EPA determined that
data from these new systems are not
representative of ongoing achievable
NOX rates considering broken-in
17 The CSAPR Update was signed on September
7, 2016—approximately eight months before the
beginning of the 2017 ozone season on May 1.
18 https://ampd.epa.gov/ampd/ (Data current as of
March 1, 2018).
19 Id.
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components and routine maintenance
schedules. Moreover, there are market
conditions, maintenance, and outages
(scheduled and unscheduled) that can
impact the utilization rates. These
factors can fluctuate yearly and provide
another set of reasons to not universally
assume that the lowest rate for a unit
can repeat itself on a yearly basis going
forward. EPA determined instead that
the third lowest fleet-wide average coalfired EGU NOX rate for EGUs with SCR,
or 0.10 lbs/mmBtu, would be
representative of ongoing achievable
emission rates. The commenter has not
provided any information to contradict
this conclusion.
EPA further notes that this rate was
implemented as an upper limit,
meaning that EPA did reflect units that
had recently operated an a more
efficient rate in the budget calculations.
EPA considered the latest available data
at the time of that rulemaking (i.e., 2015)
that captured each unit’s operation and
performance under the latest fleet and
market conditions. EPA used 0.10 lb/
mmBtu as a ceiling in its budget
calculation to reflect optimization of
existing controls that were not achieving
that level in 2015. However, the Agency
used a rate of less than 0.10 lb/mmBtu
if the unit was operating at that level in
2015 and a rate of 0.075 lb/mmBtu for
new SCRs. Thus, EPA’s budget
calculation and consequent emission
reduction requirements did reflect the
fact that some units can and do operate
below 0.10 lb/mmBtu.
Comment: One commenter states that
EPA’s speculative examination of the
timeline required to install and run new
EGU controls based on a costeffectiveness threshold of $1,400 is
unreasonable where there are existing
EGU controls that EPA admits could be
run, only at a higher cost. EPA’s focus
on its estimated timeline for design and
installation of new, cost-effective EGU
controls such as SCRs and SNCRs puts
cost-effectiveness above all else, and
that EPA must take into account other
statutory concerns and considerations
(such as attainment deadlines for
downwind states). The commenter
contends that, while cost-effectiveness
thresholds have been upheld as a
reasonable consideration in prioritizing
control of sources, these thresholds
cannot conversely be used to justify
unreasonable, protracted delay in
requiring upwind emission reductions.
If there are no EGU controls at a given
cost threshold that can be installed in
time to permit downwind states to meet
their attainment deadlines, then EPA
has set the cost-effectiveness threshold
too low or has defined the type of
controls too narrowly.
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The commenter concludes that EPA’s
refusal to reconsider its costeffectiveness threshold of $1,400 per ton
of NOX is arbitrary where EPA has
concluded that idled SNCR controls are
available for immediate emission
reductions at a cost of $3,400 per ton.
Moreover, EPA dismissed this control
strategy without any analysis of whether
SNCRs can be run at less than $3,400
per ton, which is arbitrary and
capricious when downwind states such
as New York are forced to reduce NOX
by implementing RACT controls at costs
of more than $5,000 per ton.
One commenter states that the CSAPR
Update failed to look at any short-term
fixes, such as the operation of idled
SNCR, that could now be benefiting
downwind areas. The commenter notes
that the CSAPR Update also ruled out
restarting idled SNCR based on the
conclusion that $3,400 per ton was not
cost effective, despite the fact that New
York and other downwind states
commonly apply RACT at a cost
threshold of $5,000 per ton and greater.
Another commenter states that the
control costs of $1,400 per ton
considered in the Kentucky SIP are too
low and that EPA should require
Kentucky to analyze all options
available. The commenter states that
Kentucky should not limit its control
costs to those in the CSAPR Update
since ‘‘EPA considered this rule a
partial remedy.’’ The commenter
provides as an example that ‘‘EPA
identified an additional measure that
could be undertaken immediately’’ in
turning on existing idled SNCRs. The
commenter states that EPA should also
consider evaluating cost effectiveness of
controls on an ozone season day rather
than an annual basis, in order to address
the need to lower emissions on high
ozone days.
Response: EPA first notes that the
commenters misunderstand EPA’s
evaluation in this action to the extent
they suggest that Kentucky or EPA
relied on the cost-effectiveness of
controls in order to select an
appropriate future analytic year. As
explained earlier, EPA evaluated the
feasibility of implementing, without
regard to cost, various control options
that had not previously been included
in EPA’s analysis of cost-effective
controls in the CSAPR Update. EPA
concluded that additional controls on
either EGUs or non-EGUs would
generally require four years to
implement, which would lead to an
implementation timeframe associated
with the 2023 ozone season. Had EPA
identified downwind air quality
problems to which upwind states
continued to be linked in 2023, EPA
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would have proceeded to the next steps
in its four-step analytic framework and
evaluated the cost-effectiveness of all
available controls, considering the
achievable emission reductions and
anticipated improvements in downwind
air quality at all cost thresholds.
However, EPA did not further evaluate
the cost-effectiveness of the control
options considered for the feasibility
analysis because EPA lacks authority to
require additional emission reductions
in 2023 in light of the modeling results
showing that air quality problems in the
eastern U.S. would be resolved by that
time. See EME Homer City II, 795 F.3d
at 129–30 (finding emissions budgets for
10 states were invalid because EPA’s
modeling showed that the downwind
air quality problems to which these
states were linked when EPA evaluated
projected air quality in 2012 would be
entirely resolved by 2014).
Similarly, to the extent the
commenter suggests cost-effectiveness
should be evaluated on particular days,
rather than over the ozone season, this
comment is not material to this action
because EPA’s analysis has concluded at
step one of the four-step framework.
EPA did not reevaluate the feasibility
of near-term control strategies in order
to inform the selection of a future
analytic year for this action because
both the feasibility and costeffectiveness of those control strategies
were already fully evaluated in the
CSAPR Update. Thus, EPA
acknowledges that the operation of
idled SNCR controls could physically be
implemented more quickly than four
years, but EPA already evaluated
whether this control was cost-effective
to implement relative to other near-term
control strategies in the CSAPR Update
and concluded that it was not.20 In the
CSAPR Update, EPA identified a
marginal cost of $3,400 per ton as the
level of uniform control stringency that
represents turning on and fully
20 EPA notes that this conclusion that the
feasibility of implementing SNCR should not
inform the potential compliance timeframe and
analytic year would not have precluded EPA from
considering whether the operation of SNCR would
be cost-effective relative to the installation of postcombustion controls. Had EPA, at step one of the
four-step framework, identified continued
downwind air quality problems in 2023, EPA could
have considered in subsequent steps whether to
require emission reductions consistent with
operation of existing SNCR in addition to
considering whether to require emission reductions
consistent with implementation of new postcombustion controls. However, because EPA has
already concluded that operation of existing SNCR
is not cost-effective in the near-term, it would not
be reasonable for EPA to select an earlier analytic
year that would only be consistent with the
timeframe for implementing that non-cost-effective
near-term compliance strategy.
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operating idled SNCR controls.21
Ultimately, the CSAPR Update finalized
emissions budgets using $1,400 per ton
control stringency, finding that this
level of stringency represented the
control level at which incremental EGU
NOX reductions and corresponding
downwind ozone air quality
improvements were maximized with
respect to marginal cost. In finding that
use of the $1,400 control cost level was
appropriate, EPA established that the
more stringent emissions budget level
reflecting $3,400 per ton (representing
turning on idled SNCR controls) yielded
fewer additional emissions reductions
and fewer air quality improvements
relative to the increase in control costs.
Specifically, EPA’s analysis showed that
the additional reductions from the
operation of idling SNCRs in Kentucky
would only result in a 0.5 percent
decrease in the Commonwealth’s
emission budget (from 21,115 to 21,007
tons). See 81 FR 74548 (October 26,
2016). In other words, based on the
CSAPR Update analysis, establishing
emissions budgets at $3,400 per ton, and
therefore developing budgets based on
operation of idled SNCR controls, was
determined not to be cost-effective for
addressing downwind air quality
problems under the good neighbor
provision obligations for the 2008 ozone
NAAQS. See 81 FR 74550 (October 26,
2016). EPA believes that the strategy of
turning on and fully operating idled
SNCR controls was appropriately
evaluated in the CSAPR Update with
respect to addressing interstate ozone
pollution transport for the 2008 ozone
NAAQS. Accordingly, EPA is not
further assessing this control strategy for
purposes of identifying an appropriate
future analytic year. EPA did not reopen
that issue for comment in this
rulemaking, and the comments are
therefore not within the scope of this
action. To the extent that the commenter
believes that EPA’s analysis of SNCR
controls in the CSAPR Update was
flawed, the time to contest that analysis
was during that rulemaking.
To the extent the commenters suggest
that EPA must select a higher cost
threshold in order to ‘‘permit downwind
states to meet their attainment
deadlines,’’ the commenters
misconstrue the requirements of the
good neighbor provision and the
applicable legal precedent. The good
neighbor provision does not require
upwind states to bring that downwind
21 See EGU NO Mitigation Strategies Final Rule
X
TSD (docket ID EPA–HQ–OAR–2015–0500–0554,
available at www.regulations.gov and https://
www.epa.gov/sites/production/files/2017-05/
documents/egu_nox_mitigation_strategies_final_
rule_tsd.pdf) (NOX Mitigation Strategies TSD).
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areas into attainment with the NAAQS.
Rather, states are required to reduce
emissions that ‘‘contribute
significantly’’ to nonattainment in
downwind areas. Once a state has
eliminated its significant contribution to
downwind nonattainment, it has met
the requirements of the good neighbor
provision, regardless of whether the
downwind area has actually attained.
See, e.g., 76 FR 48258–59 (August 8,
2011) (determining in CSAPR that SO2
emission reductions available at $2,300
per ton represented good neighbor
obligation even though some downwind
air quality problems would persist).
This is distinct from the obligations
imposed on downwind states containing
designated nonattainment areas, which
are directly obligated to demonstrate
attainment of the NAAQS. See, e.g.,
CAA section 182(c)(2)(A) (requiring the
state submit a demonstration that the
plan will provided for attainment of the
ozone NAAQS by the applicable
attainment date). Because the statutory
obligations imposed on upwind and
downwind states with respect to
attainment differs, it is also reasonable
that the costs of controls implemented
in upwind states may also differ from
those implemented in downwind states.
The Supreme Court has already affirmed
EPA’s approach to quantifying and
apportioning upwind states’ significant
contribution on the basis of cost. See
EME Homer City, 134 S. Ct. at 1607.
While the Court stated that EPA was
prohibited from requiring more
emission reductions than necessary to
bring downwind areas into attainment
of the NAAQS, id. at 1608, the Court did
not indicate that upwind states were
specifically responsible for ensuring the
downwind states achieve attainment in
all instances. Thus, EPA does not agree
that it must require additional emission
reductions from upwind states, even if
they are not cost-effective, simply
because a downwind area has not yet
attained the NAAQS.
Comment: One commenter states that
EPA’s contention that implementation
of controls is not feasible until during or
after the 2022 ozone season is
unfounded for the following reasons:
• SCR installations are typically less
time-consuming than 39 months, noting
that one of the resources EPA cites
indicates 21 months is reasonable.
• SNCR takes less time, 10–13
months, to implement.
• EPA tacitly admits some projects
could be completed prior to 2022 when
it claims that SCR and SNCR should be
‘‘linked’’ at the fleet-level.
• The original CSAPR allowed less
than three years for compliance with
SO2 limits that were expected to require
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33743
installation of flue gas desulfurization
controls, which generally are expected
to take longer than SCR to install.
• EPA’s integrated planning model
assumes SO2 scrubbers can be installed
in three years and SCR units in two
years.
• Non-EGU controls are widely
available on timeframes shorter than 48
months according to EPA’s Final NonEGU TSD. Although EPA insinuates this
document questions the availability of
non-EGU controls within 48 months, it
lists many categories of non-EGU NOX
controls available in about 60 weeks
that were also cost-effective.
• EPA did not exhaust readily
available EGU control options.
Kentucky could require 100 percent
operation of already-installed control
equipment or insist on optimized
performance. Kentucky could
discontinue use of ‘‘banked allowances’’
in the CSAPR Update. And CSAPR did
not require any re-dispatch or shifting
power generation from higher-emitting
to lower-emitting plants, which is also
feasible in the short term.
• EPA’s arguments regarding the
availability of steel and cranes are
tenuous. EPA cites only two documents
to support its assertion about crane
shortages, only one of which even
mentions a shortage. That article only
indicates that developers need to book
the cranes and operators several months
in advance, which is not much of an
obstacle.
Another commenter states that—
based on its experience—EPA’s
estimated installation time frames for
SCRs are too conservative (short), and
provides a range of 28 to 60 months for
installation of SCRs at one site.
Response: EPA first notes that
responses to comments regarding the
following issues are addressed earlier in
this document: (1) Timeframes assumed
for installation of post-combustion
controls in CSAPR; (2) timeframes for
installation of controls on non-EGUs;
and (3) the optimization of existing
post-combustion controls. EPA will
address the remaining comments in the
following paragraphs.
EPA disagrees that the timeframe for
implementation of SNCR and SCR at an
individual unit necessarily indicates
that the feasibility analysis is flawed. As
an initial matter, there are differences
between these control technologies with
respect to the potential viability of
achieving cost-effective regional NOX
reductions from EGUs. SCR controls
generally achieve greater EGU NOX
reduction efficiency (up to 90 percent)
than SNCR controls (up to 25 percent).
Resulting in part from this disparity in
NOX reduction efficiency, when
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considering both control costs and NOX
reduction potential in developing cost
per ton analysis for the CSAPR Update,
EPA found new SCR controls to be more
cost-effective than SNCR at removing
NOX. Specifically, EPA found that new
SCR controls could generally reduce
EGU emissions for $5,000 per ton of
NOX removed whereas new SNCR
controls could generally reduce EGU
emissions at a higher cost of $6,400 per
ton of NOX removed.22 In other words,
the greater NOX reduction efficiency for
SCR controls translates into greater costeffectiveness relative to SNCR controls.
The general cost-effectiveness advantage
is consistent with observed installation
patterns where SCR controls (62 percent
of coal-fired capacity) are more
prevalent across the east relative to
SNCR (12 percent of coal-fired
capacity).23 In light of the increased
NOX removal efficiency and the relative
cost-effectiveness of SCR as compared to
SNCR, EPA does not believe that is
reasonable to focus its analysis on the
implementation of the less-efficient
control strategy (SNCR) at the expense
of the greater emission reduction
potential of SCR controls. Accordingly,
EPA believes it is reasonable to select a
potential compliance timeframe and
therefore a future analytic year that
would permit the region-wide
installation of both new SCR and new
SNCR.
Moreover, the estimated 39 months
and 10 to 13 months for implementation
of SCR and SNCR, respectively, at an
individual unit do not account for
factors that would influence this
timeframe across the fleet. Installing
new SCR or SNCR controls for EGUs
generally involves the same steps:
Conducting an engineering review of the
facility; advertising and awarding a
procurement contract; obtaining a
construction permit; installing the
control technology; testing the control
technology; and obtaining or modifying
an operating permit.24
Scheduled curtailment, or planned
outage, for pollution control installation
would be necessary to complete either
SCR or SNCR projects. Given that peak
demand and rule compliance would
both fall in the ozone season, sources
would likely try to schedule installation
projects for the ‘‘shoulder’’ seasons (i.e.,
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22 NO
X Mitigation Strategies TSD.
23 National Electric Energy Data System
(NEEDS)
v6. EPA, available at https://www.epa.gov/
airmarkets/national-electric-energy-data-systemneeds-v6.
24 Final Report: Engineering and Economic
Factors Affecting the Installation of Control
Technologies for Multipollutant Strategies, EPA–
600/R–02/073 (October 2002), available at https://
nepis.epa.gov/Adobe/PDF/P1001G0O.pdf.
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the spring and/or fall seasons), when
electricity demand is lower than in the
summer, reserves are higher, and ozoneseason compliance requirements are not
in effect. If multiple units were under
the same timeline to complete the
retrofit projects as soon as feasible from
an engineering perspective, this could
lead to bottlenecks of scheduled outages
as each unit attempts to start and finish
its installation in roughly the same
compressed time period. Thus, any
compliance timeframe that would
assume installation of new SCR or
SNCR controls should encompass
multiple shoulder seasons to
accommodate scheduling of curtailment
for control installation purposes and
better accommodate the regional nature
of the program.
In addition to the coordination of
scheduled curtailment, an appropriate
compliance timeframe should
accommodate the additional
coordination of labor and material
supply necessary for any fleet-wide
control installation efforts.25 The total
construction labor for an SCR system
associated with a 500-megawatt (MW)
EGU is in the range of 310,000 to
365,000 man-hours, with boilermakers
accounting for approximately half of
this time.26 SNCR installations, while
generally having shorter individual
project timeframes of 10 to 13 months
from bid solicitation to startup, share
similar labor and material resources and
the timing of SNCR installation
planning is therefore linked to the
timing of SCR installation planning. In
recent industry surveys, one of the
largest shortages of union craft workers
was for boilermakers. This shortage of
skilled boilermakers is expected to rise
due to an anticipated nine percent
increase in boilermaker labor demand
growth by 2026, coupled with expected
retirements and comparatively low
numbers of apprentices joining the
workforce.27 The shortage of and
demand for skilled labor, including
other craft workers critical to pollution
control installation, is pronounced in
the manufacturing industry. The
Association of Union Constructors
conducted a survey of identified labor
shortages and found that boilermakers
were the second-most frequently
reported skilled labor market with a
25 EPA considers these additional labor and
supply requirements in the context of the already
committed labor and supply requirements
associated with projects already underway.
26 Id.
27 Occupational Outlook Handbook, Bureau of
Labor Statistics, available at https://www.bls.gov/
ooh/construction-and-extraction/boilermakers.htm.
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labor shortage.28 Moreover, recovery
efforts from the natural disasters of
Hurricanes Harvey and Irma and
wildfires in 2017 are expected to further
tighten the labor supply market in
manufacturing in the near term.29 EPA
determined that these tight labor market
conditions within the relevant
manufacturing sectors, combined with
fleet-level mitigation initiatives, would
likely lead to some sequencing and
staging of labor pool usage, rather than
simultaneous construction across all
efforts. This sector-wide trend supports
SCR and SNCR installation timeframes
for a fleet-wide program that exceed the
demonstrated single-unit installation
timeframe.
Moreover, NOX post-combustion
control projects also require materials
and equipment such as steel and cranes.
Sheet metal workers, necessary for steel
production, are also reported as having
well above an average supply-side
shortage of labor.30 This, coupled with
growth in steel demand estimated at
three percent in 2018, and simultaneous
global economic growth, suggests that
there may be a constricted supply of
steel needed for installation of new
post-combustion controls.31 Similarly,
cranes are critical for installation of
SCRs, components of which must be
lifted hundreds of feet in the air during
construction. Cranes are also facing
higher demand during this period of
economic growth, with companies
reporting a shortage in both equipment
and manpower.32 33 The tightening
markets in relevant skilled labor,
materials, and equipment, combined
with the large number of installations
that could be required fleet-wide under
a regional air pollution transport
program, necessitate longer installation
28 Union Craft Labor Supply Survey, The
Association of Union Constructors, Exhibit 4–2 at
page 29, available at https://www.tauc.org/files/
2017_TAUC_UNION_CRAFT_LABOR_SUPPLY_
REVISEDBC_FINAL.pdf.
29 Skilled Wage Growth Less Robust, Worker
Shortage Still an Issue, Industry Week, October 23,
2017, available at https://www.industryweek.com/
talent/skilled-wage-growth-less-robust-workershortage-still-issue.
30 Union Craft Labor Supply Survey, The
Association of Union Constructors, Exhibit 4–2 at
page 29, available at https://www.tauc.org/files/
2017_TAUC_UNION_CRAFT_LABOR_SUPPLY_
REVISEDBC_FINAL.pdf.
31 Worldsteel Short Range Outlook, October 16,
2017, available at https://www.worldsteel.org/
media-centre/press-releases/2017/worldsteel-ShortRange-Outlook-2017-2018.html.
32 See, e.g., Seattle Has Most Cranes in the
Country for 2nd Year in a Row—and Lead is
Growing, Seattle Times, July 11, 2017, available at
https://www.seattletimes.com/business/real-estate/
seattle-has-most-cranes-in-the-country-for-2ndyear-in-a-row-and-lead-is-growing/.
33 See RLB Crane Index, January 2018, in the
docket for this action.
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time-tables relative to what has been
historically demonstrated at the unitlevel.
EPA disagrees with the commenter’s
assertion that these observations
regarding crane and steel markets are
tenuous and thus should not influence
EPA’s analysis. While this is not the
sole reason for EPA’s conclusion that 48
months would be necessary for regionwide control installation, EPA believes
the market for labor and materials is a
relevant factor to consider in light of
reports from companies that supply the
tower cranes that there is a shortage of
both equipment and manpower. The
crane index, along with quarterly
construction costs reports, are metrics
regularly used to evaluate construction
activity by construction consultancies
and can provide information useful to
demonstrate the level of equipment
demand.34 Moreover, the commenter
provides no evidence to contradict the
EPA’s finding that these equipment
markets are facing periods of higher
demand.
The time lag observed between the
planning phase and in-service date of
SCR and SNCR operations in certain
cases also illustrates that site-specific
conditions sometimes lead to
installation times of four years or longer.
For instance, SCR projects for units at
Ottumwa Generating Station (Iowa),
Columbia Energy Center (Wisconsin),
and Oakley Generating Station
(California) were all in the planning
phase in 2014. However, these projects
have estimated in-service dates ranging
between 2018 and 2021.35 Similarly,
individual SNCR projects can exceed
their estimated 10–13-month time
frame. For example, projects such as
SNCR installation at Jeffrey Energy
Center (Kansas) were in the planning
phase in 2013, but not in service until
2015.36 Completed projects, when large
in scale, also illustrate how timelines
can extend beyond the bare minimum
necessary for a single unit when the
project is part of a larger air quality
initiative involving more than one unit
at a plant. For instance, the Big Bend
Power Station in Florida completed a
multi-faceted project that involved
adding SCRs to all four units as well as
converting furnaces, over-fire air
changes, and making windbox
modifications. The time from the initial
34 Kalinoski, Gail, North American Construction
Trends: RLB Reports, available at https://
www.cpexecutive.com/post/north-americaconstruction-trends-rlb-reports/.
35 2014 EIA Form 860, Schedule 6, Environmental
Control Equipment.
36 2013 EIA Form 860, Schedule 6, Environmental
Control Equipment.
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planning stages to completion was a
decade.37
While individual unit-level SCR and
SNCR projects can average 39 and 10
months, respectively, from bid to
startup, a comprehensive and regional
emissions reduction effort also requires
more time to accommodate the labor,
materials, and outage coordination for
these two types of control strategies.
Because these post-combustion control
strategies share similar resource inputs
and are part of regional emissions
reduction programs rather than unitspecific technology mandates, the
timeframes for one type are inherently
linked to the other type. This means that
SNCR projects cannot be put on an early
schedule in light of their reduced
construction timing without impacting
the availability of resources for the
manufacture and installation of SCRs
and thus the potential start dates of
those projects.
In short, given the market and
regulatory circumstances in which EPA
evaluated this effort, we determined that
four years would be an expeditious
timeframe to coordinate the planning
and completion of any mitigation efforts
that might be necessary in this instance.
In regard to the commenter who noted
a range of 28 to 60 months for SCR
installation, EPA notes that a period of
48 months falls reasonably within that
range, and is consistent with the regionwide evaluation of control feasibility
that EPA has conducted in this action.
EPA notes that the commenters’
assertions about assumptions in IPM
regarding control installation
timeframes are unfounded. Postcombustion control installation times
are an exogenous assumption in EPA’s
power sector modeling—i.e., EPA
determines the number of years for
installation and provides that figure as
an input to the model; the figure is not
the product of a function that the model
performs internally. EPA makes this
installation determination
independently for each model run. For
instance, if EPA is using IPM to model
a run year that is three years from a
present date, it may choose to allow
scrubber installation to occur in that
first model run year if the volume of
installations is expected to be small
(consistent with the notion that some
units may be able to install controls
more quickly). However, if the volume
of scrubber installations is expected to
be larger, reflecting more region-wide
resource coordination requirements and
37 Big Bend’s Multi-Unit SCR Retrofit, Power
Magazine, March 1, 2010, available at https://
www.powermag.com/big-bends-multi-unit-scrretrofit/.
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resource requirements, EPA may not
allow the retrofit option in the model
until after three years. Thus, the
assumption can vary according to the
policy context being considered.
Finally, EPA notes that the
commenter is incorrect in asserting that
the CSAPR Update failed to account for
generation shifting. The CSAPR Update
budgets accounted for generation
shifting that was considered to be
available at the $1,400 cost threshold
and feasible to implement by the 2017
compliance timeframe. See 81 FR
74544–45 (October 26, 2016). The
commenter does not otherwise explain
whether or how any potential for
additional generation shifting should
influence EPA’s analysis in this
action.38
Comment: Several commenters
advocate for the adoption of short-term
NOX emission rate limits for EGUs. The
ozone NAAQS is based on an 8-hour
standard and the allowance trading
under the CSAPR Update is done over
a multi-month ozone season. The
commenters believe that the lack of
federally enforceable short-term NOX
emission rates in Kentucky will
facilitate the continued operation of
EGUs with inadequate NOX emission
controls, to include units that have NOX
controls that are not always operated
during the ozone season. While the
CSAPR Update has encouraged
improved utilization of SCR and SNCR
controls during the 2017 ozone season,
the commenter contends that there are
additional cost-effective NOX reductions
that can be achieved by requiring
optimization of these existing controls,
every day of the ozone season, at coalfired EGUs. The commenter therefore
states that Kentucky should establish
emission limits for its EGUs with
appropriate magnitudes and averaging
periods.
Another commenter also states that
EPA should require Kentucky to adopt
targeted strategies for reducing
emissions on ‘‘high emitting days.’’
One commenter contends that
compliance with a cap-and-trade
program like the CSAPR Update is an
38 Because EPA did not evaluate additional
generation shifting possibilities in this action, it
does not at this time need to revisit the question
whether it is within the EPA’s authority or
otherwise proper to consider generation shifting in
implementing the good neighbor provision. The
EPA is aware that this has been an issue of
contention in the past. See, e.g., 81 FR at 74545
(October 26, 2016) (responding to comments);
CSAPR Update Rule—Response to Comment, at
534–50 (EPA–HQ–OAR–2015–0500–0572)
(summarizing and responding to comments). The
EPA may revisit this question in addressing good
neighbor requirements for other NAAQS but is not
revisiting this issue with regard to the 2008 ozone
NAAQS.
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inadequate mechanism to ensure
permanent NOX reductions on high
ozone days that determine attainment or
nonattainment of the NAAQS. The
commenter states that its analysis shows
that many coal-fired EGUs in Kentucky
were not optimizing their controls in
2017 and failed to operate at rates
assumed in EPA’s 2023 modeling
analysis. The commenter states that a
cap and trade program allows emissions
to fluctuate above the state-wide
budgets if the owners or operators (1)
have adequate banked allowances, or (2)
can purchase allowances to cover excess
emissions. Ozone is an air pollutant to
which prevention of short-term
exposure to excessive levels over an
eight-hour period is critical to protect
public health, and compliance with the
NAAQS can be negatively impacted by
inconsistent day-to-day operation of
pollution controls. Allowing a plant to
cycle back the efficiency or altogether
turn off control equipment is an
inappropriate control measure for ozone
because this can result in excessive rates
on high ozone days, when it is most
important to ensure low emission rates.
Response: EPA first notes that it is
unnecessary to evaluate what strategy
would be appropriate for the
implementation of additional emission
reductions because EPA has determined
that they are unnecessary and
unauthorized in light of the modeling
data showing that downwind air quality
problems will be resolved by 2023,
when additional control strategies could
be feasibly implemented.
To the extent the commenter is raising
concerns with the use of an allowance
trading program to implement the
emission reductions required by the
CSAPR Update to address the 2008
ozone NAAQS, EPA considers it
untimely for the commenter to raise
such a challenge in this action. Those
emission reductions were finalized in a
separate rulemaking, and the
appropriate venues to raise concerns
over the adequacy for reduction
implementation of the CSAPR
allowance trading program, as compared
to other measures such as short-term
emission limits, were that rulemaking
process and subsequent petitions for
judicial review of that final rule. Thus,
this issue is outside the scope of the
present rulemaking. Similarly, as
discussed earlier in this action, to the
extent the commenter also disagrees
with EPA’s determinations regarding the
optimization of SCR controls or the costeffectiveness of SCNR controls in the
CSAPR Update, those comments are
also outside the scope of this action.
Nonetheless, EPA has examined the
hourly NOX emissions data reported to
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EPA and observed very few instances of
units selectively turning down or
turning off their emissions control
equipment during hours with high
generation.39 SCR-controlled units
generally operated with lower emissions
rates on high generation hours,
suggesting SCRs generally were in better
operating condition—not worse, let
alone idling—on those days/hours. In
other words, EPA compared NOX rates
on hours with high demand and
compared them with seasonal average
NOX rates and found very little
difference. The data do not support the
notion that units are reducing SCR
operation on high demand days (when
ozone concentrations often peak). In
fact, EPA noticed that SCR performance
rates—on average—were better on high
demand days. EPA, therefore, concludes
that increases in total emissions on days
with high generation are a result of
additional units coming online and
units increasing hourly utilization,
rather than units decreasing the
functioning of control equipment.
Moreover, SCR performance is not
purely a matter of operational decisions
of the control. EPA’s review of hourly
2017 data suggests that SCR
performance often decreases as hourly
load levels drop below a particular level
(e.g., 30 percent of maximum rated
hourly heat input rate).40 41 A drop in
SCR performance at a lower load level
is consistent with engineering-based
performance challenges associated with
minimum operating temperatures
(among other factors) for the SCR
system.42 In other words, SCR systems
with typical catalyst formulations are
not effective at removing NOX during
low-load operations when the unit
might not achieve sufficient
temperatures to promote the necessary
chemical reactions. Decreases in SCR
removal efficiency at low load levels
appear to be consistent with known
engineering limitations. The 2017 data
do not provide any indication of broad
regional patterns of scaling back SCR
operations during particular hours of an
ozone season for reasons other than
engineering limitations. Thus, EPA does
not have any basis, at this time, to
believe that short-term emission rates
are necessary to address regional SCR
39 See Discussion of Short-term Emission Limits,
available in the docket for this action.
40 Id.
41 Maximum rated hourly heat input rate is the
higher of the manufacturer’s maximum rated hourly
heat input rate or the highest observed hourly heat
input rate.
42 Gray, Sterling; Jarvis, Jim; Donner Chad, and
Estep John, SCR Performance, Power Engineering,
March 9, 2017, available at https://www.powereng.com/articles/print/volume-121/issue-3/
features/scr-performance.html.
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operation patterns on high demand days
in the context of this action.
Moreover, even if it were appropriate
to assess the merits of particular
remedies as part of this action, EPA
does not agree that an allowance trading
program would be an inadequate means
of implementing any additional
statewide emission reductions that may
have been necessary under a scenario
where more reductions were required to
fully address the good neighbor
provision. Implementation mechanisms
based on seasonal NOX requirements
have demonstrated success at reducing
peak ozone concentrations. For
example, over the past decade, there has
been significant improvement in ozone
across the eastern U.S., in part due to
season-long allowance trading programs
such as the NOX Budget Trading
Program and the CSAPR NOX ozone
season allowance trading program. As a
result, areas are now attaining the 1997
ozone NAAQS. Further, EPA notes that
the standard is a 3-year average value of
three individual seasonal values. Thus,
a seasonal program is harmonious with
the form of the standard.
Comment: One commenter states that
EPA should require Kentucky to ensure
all ‘‘minimum control strategies’’
identified in a recent Ozone Transport
Commission (OTC) statement regarding
‘‘good neighbor’’ SIPs are adopted, along
with other points noted in the
document.
Another commenter states that other
measures should be undertaken to
reduce Kentucky’s impact on other
states, including NOX RACT on EGUs
and other large NOX sources at the same
stringent levels used within the OTR,
along with controls on mobile sources
(inspection and maintenance, and antiidling).
One commenter recommends that any
full remedy of a state’s good neighbor
obligations must require, at minimum,
RACT on all major NOX and VOC
sources, best available control
technology (BACT) on all existing EGUs
and large industrial boilers, BACT on all
sources with high ozone-day emissions,
and regional measures such as those
recommended by the OTR.
Response: EPA lacks authority to
require control measures or emission
reductions unless the Agency first
identifies a downwind air quality
problem to which an upwind state is
contributing. See EME Homer City, 134
S. Ct. at 1608 (‘‘If EPA requires an
upwind State to reduce emissions by
more than the amount necessary to
achieve attainment in every downwind
State to which it is linked, the Agency
will have overstepped its authority,
under the Good Neighbor Provision.’’);
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EME Homer City II, 795 F.3d at 129–30
(finding emissions budgets for 10 states
were invalid because EPA’s modeling
showed that the downwind air quality
problems to which these states were
linked when EPA evaluated projected
air quality in 2012 would be entirely
resolved by 2014). With respect to the
recommended control strategies, the
commenters do not explain why they
believe the control strategies applicable
to the OTR, RACT, BACT, or other
measures are necessary to achieve
attainment or maintenance of the
NAAQS in downwind states. While EPA
determined that Kentucky would be
linked to downwind air quality
problems in 2017, EPA has also
determined that those air quality
problems would be resolved by 2023.
Thus, EPA has no authority to require
additional emission reductions—via the
control strategies suggested by the
commenters or otherwise—from
Kentucky or other upwind states in
2023.
Comment: One commenter states that
EPA’s 2023 modeling is based on
numerous flawed assumptions. EPA
adjusted projected NOX emissions for
dozens of EGUs based on assumptions
of new or optimized controls. However,
the Kentucky SIP contains no
enforceable mechanisms, schedules, or
timetables for compliance to ensure the
relied-upon assumptions are valid and
will actually occur or remain in place in
2023. The commenter contends that
EPA’s demonstration or verification of
enforceable commitments to support
Kentucky’s assumptions, as well as
EPA’s assumptions for all other states,
are required by the CAA, citing section
110(a)(2)(A) and (C).
One commenter also contends that
Kentucky’s SIP fails to satisfy section
110(a)(2)(A) because, even if reliance on
2023 were valid, it lacks any proposed
enforceable limitations or compliance
timelines.
One commenter states that Kentucky
has not shown that the EPA-modeled
shutdowns of E.W. Brown Generating
Station and Elmer Smith plant will
occur in a federally enforceable manner,
and that therefore, EPA should not
approve Kentucky’s SIP since the
modeling includes such reductions.
One commenter states that although
EPA and Alpine modeling indicate all
areas outside California will achieve
attainment with the 2008 ozone NAAQS
by 2023, some Connecticut monitors
will ‘‘only barely’’ comply. Commenter
states that Kentucky’s reliance on the
2023 modeling should be accompanied
by enforceable regulations that ensure
the lower, modeled 2023 emissions are
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achieved, including the decrease in EGU
emissions.
One commenter includes a table
summarizing adjusted projected NOX
emissions for Kentucky EGUs used in
EPA’s 2023 modeling based on
assumptions of new or optimized
controls. The commenter states that
there are no enforceable commitments
in Kentucky’s SIP to support these
assumptions, which the commenter
asserts are required by EPA’s own
methodology, citing a March 2018 EPA
memorandum. Without enforceable
measures, the commenter asserts the
modeling is not a proper basis for a good
neighbor SIP.
One commenter contends that EPA’s
modeling relies on reductions that are
not federally enforceable, and Kentucky
failed to demonstrate that the emission
reductions EPA relied on across the
modeling domain are federally
enforceable. The commenter contends
that the upwind state good neighbor
obligations cannot be deemed satisfied
if large portions of their emissions
inventory remain poorly controlled.
One commenter states that an
approvable good neighbor SIP must
include permanent and federally
enforceable emissions reductions. The
commenter contends that section 110
requires that a SIP (1) include
enforceable emission limitations and
other control measures, means, or
techniques, (2) include a program to
provide for the enforcement of the
measures, and (3) provide adequate
provisions prohibiting emissions
activity within the state from emitting
any air pollutant in amounts which will
contribute significantly to
nonattainment in or interfere with
maintenance by any other state with
respect to the NAAQS. EPA’s four-step
analysis also requires the adoption of
‘‘permanent and enforceable measures.’’
The commenter states that
compliance with the rates reflected in
the 2023 modeling are not permanent or
federally enforceable under the CSAPR
Update or any other federal rule,
including the assumption that most
units will emit at 2016 levels and that
25 units will take additional emission
reduction actions, including unit
retirement, increased use of postcombustion controls, or addition of new
combustion controls. The commenter
contends these actions are therefore
speculative and cannot be properly
considered when determining if a state
met its good neighbor obligations.
Downwind states cannot rely on
speculative reduction, and without
federally enforceable limits, there is no
guarantee that Maryland will maintain
the 2008 ozone NAAQS. The
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commenter notes that Maryland’s
section 126(b) petition proposed
specific language and NOX emission
rates for EGUs with SCR and SNCR in
Kentucky that EPA should consider
making federally enforceable as a nearterm NOX reduction strategy. EPA
should also modify operating permits
for other units to require
implementation of specific emission
rates, fuel switches, and control
installations for EGUs that are not
equipped with controls, which were
relied on in the modeling.
Response: EPA does not agree that
Kentucky is required to adopt
permanent and enforceable control
measures to ensure that the projected
emission levels used in the 2023
modeling will be maintained. Within
EPA’s four-step interstate transport
framework, EPA only requires sources
in upwind states to implement
enforceable emission limitations if: (1)
Downwind air quality problems are
identified in at step one, (2) an upwind
state is linked to a downwind air quality
problem at step two, and (3) sources in
the linked upwind state are identified at
step three as having emissions that
significantly contribute to
nonattainment and interfere with
maintenance of the NAAQS considering
cost- and air-quality-based factors. If all
three of these steps are not satisfied,
then the state is not required to include
provisions in its SIP prohibiting any
level of reductions because the EPA has
determined that the state will not
significantly contribute to
nonattainment or interfere with
maintenance of the NAAQS downwind.
For the reasons described in the
following paragraphs, EPA believes this
approach is a reasonable interpretation
of the good neighbor provision.
The good neighbor provision instructs
EPA and states to apply its requirements
‘‘consistent with the provisions of’’ title
I of the CAA. EPA is therefore
interpreting the requirements of the
good neighbor provision, and the
elements of its four-step interstate
transport framework, to apply in a
manner consistent with the designation
and planning requirements in title I that
apply in downwind states. See North
Carolina, 531 F.3d at 912 (holding that
the good neighbor provision’s reference
to title I requires consideration of both
procedural and substantive provisions
in title I). EPA notes that this
consistency instruction follows the
requirement that plans ‘‘contain
adequate provisions prohibiting’’ certain
emissions in the good neighbor
provision. The following paragraphs
will therefore explain how EPA’s
interpretation of the circumstances
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under which the good neighbor
provision requires that plans ‘‘prohibit’’
emissions through enforceable measures
is consistent with the circumstances
under which downwind states are
required to implement emissions
control measures in nonattainment
areas.
For purposes of this analysis, EPA
notes specific aspects of the title I
designations process and attainment
planning requirements for the ozone
NAAQS that provide particularly
relevant context for evaluating the
consistency of EPA’s approach to the
good neighbor provision in upwind
states. EPA notes that this discussion is
not intended to suggest that the specific
requirements of designations and
attainment planning apply to upwind
states pursuant to the good neighbor
provision, but rather to explain why
EPA’s approach to interpreting the good
neighbor approach is reasonable in light
of relevant, comparable provisions
found elsewhere in title I. In particular,
these provisions demonstrate that EPA’s
approach is consistent with other
relevant provisions of title I with respect
to what data is considered in EPA’s
analysis and when states are required to
implement enforceable measures.
First, areas are initially designated
attainment or nonattainment for the
ozone NAAQS based on actual
measured ozone concentrations. CAA
section 107(d) (noting that an area shall
be designated attainment where it
‘‘meets’’ the NAAQS and nonattainment
where it ‘‘does not meet’’ the NAAQS).
Therefore, a designation of
nonattainment does not in the first
instance depend on what specific
factors have influenced the measured
ozone concentrations or whether such
levels are due to enforceable emissions
limits. If an area measures a violation of
the relevant ozone NAAQS, then the
area is designated nonattainment. In
cases where the nonattainment area is
classified moderate or higher, the
responsible state is required to develop
an attainment plan, which generally
includes the application of various
enforceable control measures to sources
of emissions located in the
nonattainment area, consistent with the
requirements in Part D of title I of the
Act.43 See generally CAA section 182, 42
U.S.C. 7511a. If, however, an area
measures compliance with the ozone
NAAQS, the area is designated
attainment, and sources in that area
43 Nonattainment areas classified as marginal are
required to submit emissions inventories and
implement a nonattainment new source review
permitting program, but are not generally required
to implement controls at existing sources. See CAA
section 182(a), 42 U.S.C. 7511a(a).
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generally are not subject to any new
enforceable control measures under Part
D.44
Similarly, in determining the
boundaries of an ozone nonattainment
area, the CAA requires EPA to consider
whether ‘‘nearby’’ areas ‘‘contribute’’ to
ambient air quality in the area that does
not meet the NAAQS. See 42 U.S.C.
7407(d). For each monitor or group of
monitors indicating a violation of the
ozone NAAQS, EPA assesses
information related to five factors,
including current emissions and
emissions-related data from the areas
near the monitor(s), for the purpose of
establishing the appropriate geographic
boundaries for the designated ozone
nonattainment areas. A nearby area may
be included within the boundary of the
ozone nonattainment area only after
assessing area-specific information,
including an assessment of whether
current emissions from that area
contribute to the air quality problem
identified at the violating monitor.45 If
such a determination is made, sources
in the nearby area are also subject to the
applicable Part D control requirements.
However, if EPA determines that the
nearby area does not contribute to the
measured nonattainment problem, then
the nearby area is not part of the
designated nonattainment area and
sources in that area are not subject to
such nonattainment control
requirements.
EPA’s historical approach to
addressing the good neighbor provision
via the four-step interstate transport
framework, and the approach EPA
continues to apply here, is consistent
with these title I requirements. That is,
in steps 1 and 2 of the framework, EPA
evaluates whether there is a downwind
air quality problem (either
nonattainment or maintenance), and
whether an upwind state impacts the
downwind area such that it contributes
to and is therefore ‘‘linked’’ to the area.
EPA’s determination at step one of the
good neighbor analysis that it has not
identified any downwind air quality
problems to which an upwind state
could contribute is analogous to EPA’s
44 CAA section 184 contains the exception to this
general rule: States that are part of the OTR are
required to provide SIPs that include specific
enforceable control measures, similar to those for
nonattainment areas, that apply to the whole state,
even for areas designated attainment for the ozone
NAAQS. See generally 42 U.S.C. 7511c.
45 See Memorandum from Robert J. Meyers,
Principal Deputy Assistant Administrator, US EPA
to Regional Administrators, Area Designations for
the 2008 Ozone National Ambient Air Quality
Standards, at Attachment 2, December 4, 2008,
available at https://archive.epa.gov/
ozonedesignations/web/pdf/area_designations_for_
the_2008_revised_ozone_naaqs.pdf.
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determination in the designation
analysis that an area should be
designated attainment. Similarly, EPA’s
determination at step two of the good
neighbor analysis that, while it has at
step one identified downwind air
quality problems, an upwind state does
not sufficiently impact the downwind
area such that the state is linked is
analogous to EPA’s determination in the
designation analysis that a nearby area
does not contribute to a NAAQS
violation in another area. Thus, under
the good neighbor provision, EPA
determines at step one or two, as
appropriate, that the upwind state will
not significantly contribute to
nonattainment or interfere with
maintenance of the NAAQS in the
downwind area. See, e.g., 81 FR 74506
(October 26, 2016) (determining that
emissions from 14 states whose
contributions to downwind receptors
are below the air quality threshold will
not significantly contribute to
nonattainment or interfere with
maintenance of the 2008 ozone
NAAQS); 76 FR 48236 (August 8, 2011)
(finding that states whose contributions
to downwind receptors are below the air
quality threshold will not significantly
contribute to nonattainment or interfere
with maintenance of the relevant
NAAQS). Under such circumstances,
sources in the upwind state are not
obligated to implement any control
measures under the good neighbor
provision, which is consistent with the
fact that sources located in attainment
areas generally are not required to
implement the control measures found
in Part D of the Act. Cf. EME Homer City
II, 795 F.3d at 130 (determining that
CSAPR ozone season NOX budgets for
10 states were invalid based on
determination that modeling showed no
future air quality problems); 81 FR
74523–24 (October 26, 2016) (removing
three states from CSAPR ozone season
NOX program based on determination
that states are not linked to any
remaining air quality problems for the
1997 ozone NAAQS).
EPA acknowledges that one
distinction between the good neighbor
and designation analyses: The good
neighbor analysis relies on future year
projections of emissions to calculate
ozone concentrations and upwind state
contributions, compared to the
designation analysis’s use of current
measured data. As described in more
detail earlier, this approach is a
reasonable interpretation of the term
‘‘will’’ in the good neighbor provision,
see North Carolina, 531 F.3d at 913–14,
and interpreting language specific to
that provision does not create an
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impermissible inconsistency with other
provisions of title I. Moreover, EPA’s
use of future-year modeling in the good
neighbor analysis to identify downwind
air quality problems and linked states is
consistent with its use of current
measured data in the designations
process. EPA’s future year air quality
projections are influenced by a variety
of factors, including current emissions
data, anticipated future control
measures, economic market influences,
and meteorology. Many of these same
factors, e.g., current control measures,
economic market influences, and
meteorology, can affect the NOX
emissions levels and consequent
measured ozone concentrations that
inform the designations process. Like
the factors that affect measured ozone
concentrations used in the designations
process, not all of the factors
influencing EPA’s modeling projections
are or can be enforceable limitations on
emissions or ozone concentrations.
However, EPA believes that
consideration of these factors
contributes to a reasonable estimate of
anticipated future ozone concentrations.
See EME Homer City II, 795 F.3d at 135
(declining to invalidate EPA’s modeling
projections ‘‘solely because there might
be discrepancies between those
predictions and the real world’’);
Chemical Manufacturers Association v.
EPA, 28 F.3d 1259, 1264 (D.C. Cir. 1994)
(‘‘a model is meant to simplify reality in
order to make it tractable’’). Thus, EPA
believes that consideration of these
factors in its future-year modeling
projections used at steps 1 and 2 of the
good neighbor analysis is reasonable
and consistent with the use of measured
data in the designations analysis.46
EPA notes that there is a further
distinction between the section 107(d)
designations provision and the good
neighbor provision in that the latter
provision uses different terms to
describe the threshold for determining
whether emissions in an upwind state
should be regulated (‘‘contribute
significantly’’) as compared to the
standard for evaluating the impact of
nearby areas in the designations process
(‘‘contribute’’).
Thus, at step three of the good
neighbor analysis EPA evaluates
additional factors, including cost and
air-quality considerations, to determine
46 EPA also notes that the consideration of
projected actual emissions in the future analytic
year—as opposed to allowable levels—is also
consistent with the statute’s instruction that states
(or EPA in the states’ stead) prohibit emissions that
‘‘will’’ impermissibly impact downwind air quality.
This term is reasonably interpreted to mean that
EPA should evaluate anticipated emissions (what
sources will emit) rather than potential emissions
(what sources could emit).
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whether emissions from a linked
upwind state would violate the good
neighbor provision (i.e., costeffectiveness). Only if EPA at step three
determines that the upwind state’s
emissions would violate the good
neighbor provision will it proceed to
step four, at which point emissions in
the upwind state must be controlled so
as to address the identified violation,
analogous to the trigger for the
application of Part D requirements to
sources located in designated
nonattainment areas. EPA interprets the
good neighbor provision to not require
the Agency or the upwind state to
proceed to step four and implement any
enforceable measures to ‘‘prohibit’’
emissions unless it identifies a violation
of the provision at step three. See, e.g.,
76 FR 48262 (August 8, 2011) (finding
at step three that the District of
Columbia will not violate the good
neighbor provision, and therefore will
not at step four be subject to any control
requirements in CSAPR, because no
cost-effective emissions reductions were
identified).
For these reasons, EPA also does not
agree that either section 110(a)(2)(A) or
section 110(a)(2)(C) requires the state to
include measures to make the projected
emission limitations enforceable in
order to address the good neighbor
provision. Section 110(a)(2)(A) states
that a SIP should ‘‘include enforceable
emission limitations and other control
measures, means, or techniques . . . as
may be necessary or appropriate to meet
the applicable requirements’’ of the
CAA (emphasis added). As just
described, a finding at step one that
there is no air quality problem supports
a conclusion that a state simply will not
contribute significantly or interfere with
maintenance of the NAAQS in another
state, and thus that the state need not
prohibit any particular level of
emissions under the good neighbor
provision. Thus, under section
110(a)(2)(A), no emission limitations
would be necessary or appropriate to
meet the good neighbor provision.
Section 110(a)(2)(C) similarly indicates
that SIPs should provide for the
enforcement of measures cited to
support the requirements of section
110(a)(2)(A), but it does not
independently require the imposition of
additional control measures.
Comment: One commenter states that
Kentucky proposes to rely on
projections of future emissions based on
a current regulatory framework that EPA
is actively attempting to dismantle.
Actions that the commenter contends
EPA has not accounted for in the
modeling include EPA’s proposed
repeal of glider rules, which if finalized
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33749
would permit vehicles that emit
significant amounts of NOX. In its
original rule, EPA estimated that
unregulated glider vehicles would
increase emissions from heavy-duty
highway vehicles by approximately
300,000 tons annually in 2025.
Conversely, the CSAPR Update only
reduces annual NOX emissions by
75,000 tons, meaning the proposed
regulatory action would swamp
multiple times over the emission
reductions from the CSAPR Update and
undercut the assumptions in EPA’s
estimates.
The commenter also cites efforts to
weaken the Corporate Average Fuel
Economy standards, which were
anticipated to reduce annual light-duty
highway vehicle emissions of NOX by
904 tons in 2020 and 6,509 tons in 2030,
and emissions of VOCs, another ozone
precursor, by 11,712 and 123,070 tons
in 2020 and 2030, respectively. EPA is
also considering rescinding 2016
Control Techniques Guidelines (CTG)
for oil and natural gas industry,
estimated to reduce emissions by 80,000
tons annually.
The commenter contends that these
actions, if finalized, would ensure that
the exceedingly narrow compliance
margins assumed by its modeling in
2023 are not achieved. To the extent
Kentucky stakes good neighbor
compliance entirely on an unenforced
and actively undercut prediction, the
commenter claims its reliance is
arbitrary and capricious.
Another commenter states that EPA’s
2023 modeling fails to account for
potential federal rule repeals and
delays, such as those for: ‘‘glider’’
vehicles and engines (proposed
November 2017); oil and gas CTG
guidelines (March 2018); and the NSPS
for the oil and gas sector. The
commenter also states that relaxation or
elimination of control requirements will
result in increased ozone concentrations
and that the 2023 design values are
therefore an underestimate of actual
levels that will occur. The commenter
states that given EPA predicts a
maximum design value of 75.9 ppb in
2023 at the Westport, Connecticut
monitor, coupled with the fact that
‘‘Kentucky significantly contributes to
this monitor,’’ the ‘‘unenforceable
commitments’’ in Kentucky’s SIP, and
federal rule repeals and relaxations that
EPA ignores, nonattainment can be
expected to result at this monitor.
One commenter asserts that the 2023
modeling fails to account for the
proposed weakening, repeal, and/or
delay of numerous federal rules that
directly impact ozone levels, including
for glider vehicles, CTGs for oil and gas,
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and reconsideration of new source
performance standards (NSPS) for the
oil and gas sector, which will increase
ozone concentrations near and
downwind of affected sources. The
commenter contends that the Westport,
Connecticut monitor (part of the New
York metropolitan area (NYMA)) is
projected to have design value of 75.9
ppb in 2023, only 0.1 ppb below the
standard (and above the 2015 ozone
NAAQS), and Kentucky significantly
contributes to this monitor. The
inevitable increase of ozone levels from
EPA’s deregulatory activities will drive
the Westport monitor above the 2008
ozone NAAQS.
Response: EPA disagrees that its 2023
projections are unreliable because of
potential changes to other regulations.
EPA first notes any potential regulatory
changes to the ‘‘glider’’ regulations and
the oil and gas CTG have not been
finalized, nor have any relevant changes
to the NSPS for the oil and gas sector
been finalized. EPA’s normal practice is
to only include changes in emissions
from final regulatory actions in its
modeling because, until such rules are
finalized, any potential changes in NOX
or VOC emissions are speculative. In
addition, even if emissions were to
change as a result of any such final
rules, commenters have not indicated
how and whether these additional
emissions would affect downwind
ozone concentrations. If circumstances
change such that EPA’s projections may
be affected, commenters are free to
submit an administrative petition to the
Agency.
Comment: One commenter contends
that EPA’s modeling over-predicts
actions taken in compliance with
CSAPR. The commenter notes that the
2023 modeling TSD reveals assumptions
that facilities that retrofit between 2016
and 2023 to install SCR will achieve an
emission rate of 0.075 lb NOX/mmBtu.
The commenter asserts this is
unrealistic given the CSAPR Update
itself relies on the idea that SCRequipped units will only achieve 0.10
lb/mmBtu NOX emission rates. EPA
itself considered the 0.075 lb/mmBtu
rate to be unachievable fleetwide in the
CSAPR Update.
Response: The commenter conflates
EPA’s assumptions in the CSAPR
Update regarding emission rates
achievable by units with existing SCR
controls (i.e., 0.10 lb/mmBtu) that are
idled or not being optimized with its
assumptions regarding new SCR retrofits
(i.e., 0.075 lb/mmBtu). As explained in
the CSAPR Update, EPA selected a
different rate for existing SCRs that were
viewed as likely to ‘‘optimize’’ than it
did for new SCR installations. This
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difference reflects both differences in
historical data values for the two
populations sets, and also the increased
technology performance expected from
more recent technology vintages.47
EPA’s assumption of 0.075 lb/mmBtu
for SCR retrofits is supported by
historical data on emission rates for new
SCR controlled units, is consistent with
its prior engineering and technology
assumptions, and is a conservative
estimate of new SCR performance.
New SCR controlled units often
perform equal to or better than older
SCRs reflecting advancements in both
technology and installation practices.
New SCRs have regularly operated at or
below EPA’s assumed emission rate of
0.075 lb/mmbtu. For 12 coal units
where SCR was installed and operating
between 2014 and 2016, the average
ozone season NOX emission rate for
2017 was 0.059 lb/mmBtu. When this
time horizon is extended to the 25 SCRs
that came online between 2012 and
2016, the 23 that operated in 2017 ozone
season operated at a rate of 0.060 lb/
mmBtu. Either measure demonstrates
that 0.075 lb/mmBtu is not only
possible for newly controlled units, but
regularly achieved and surpassed. This
historical data strongly contradicts the
commenters assertion that EPA’s
assumption that new units would
operate at an emission rate of 0.075 lb/
mmBtu is unrealistically low, but rather
supports EPA performance capability
assumption as both reasonable and
conservative.
Additionally, the 0.075 lb/mmBtu
emission rate assumption for new SCRs
is consistent with EPA’s historical levels
of assumed performance in its power
sector modeling and consistent with the
engineering assessment by Sargent and
Lundy underpinning those performance
assumptions.48
Comment: One commenter asserts
that the modeling predicts that existing
units will either install new controls or
operate controls at higher efficiencies
following the CSAPR Update, despite
limited incentives to do so. The
commenter cites as an example the
Paradise unit 3 in Kentucky that EPA
assumed will optimize its SCR (0.10 lb/
mmBtu) and reduce its NOX output to
about 1,000 tons per ozone season, but
in 2017, the unit emitted over twice that
47 See NO Mitigation Strategy TSD available at
X
https://www.epa.gov/sites/production/files/201705/documents/egu_nox_mitigation_strategies_final_
rule_tsd.pdf.
48 Sargent & Lundy, IPM Model—Updates to Cost
and Performance for APC Technologies, SCR Cost
Development Methodology, Final, Project 12847–
002 (March 2013), available at https://
www.epa.gov/sites/production/files/2015-08/
documents/attachment_5-3_scr_cost_
methodology.pdf.
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amount (about 2,400 tons or 0.22 lb/
mmBtu). Moreover, the Additional
Updates to Emissions Inventories for the
Version 6.3, 2011 Emissions Modeling
Platform for the Year 2023 TSD
generally assumes that facilities that
emitted at a rate higher than 0.10 lb/
mmBtu in 2016 will come down to 0.10
lb/mmBtu in 2023, which ignores the
reality of emission trading under
CSAPR. The commenter contends that
this effectively assumes that the market
for emissions credits will price those
credits so highly that no emitter will
choose to buy credits rather than reduce
emissions, which is belied by purpose
and experience of the CSAPR trading
scheme.
Response: EPA’s assumption of 0.010
lb/mmBtu for optimized SCR
performance at units with existing SCRs
is both reasonable and consistent with
recent historical data.
As explained in the CSAPR Update,
EPA evaluated SCR emission rates at
existing units from 2009–2015 and
found that the third lowest fleet-wide
yearly ozone season average was an
appropriate metric to use for SCR
performance. See 81 FR 74543 (October
26, 2016). These emission rates were
used to calculate states’ emissions
budgets in the CSAPR Update. In order
to project emission levels representing
CSAPR Update implementation in 2023,
it is reasonable to use the same
assumptions regarding the average,
fleet-wide emissions rate for affected
units, even if individual unit operation
may vary. Thus, consistent with that
assumption, EPA used a 0.10 lb/mmBtu
to represent operation of existing SCRs
its 2023 projections as well. While unitlevel performance will vary relative to
this fleet-wide assumption (with some
SCR controlled units operating below
and some above), using a fleet-wide
average for each unit-level estimate
captures aggregate emission impacts to
the air shed and minimizes the net
residuals between unit-level estimates
and the eventual observed unit-level
performance.
Data from 2017, the first year of ozone
season data that would be influenced by
the CSAPR Update compliance
requirements, is consistent with this
assumption on a fleet-wide level. EPA
began its engineering analysis to project
2023 EGU emissions with 2016
monitored and reported data. For the
units with existing SCRs that were
operating above 0.10 lb/mmBtu in 2016
(totaling 82,321 tons of emissions in that
year), EPA assumed that SCRs would be
optimized under a CSAPR Update
scenario to 0.10 lb/mmBtu on average
for 2023. This results in 2023 emissions
estimates for these units being adjusted
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down to 40,590 tons for these units. In
2017, the very first year of CSAPR
Update, collective emissions from these
units were 41,706 tons. This 2017 value
is already very close to the 2023
estimated value, and supports the
assumed behavior of optimized SCR
performance to 0.10 lb/mmBtu on
average. Some of these units operated
above 0.10 lb/mmBtu in 2017 (as the
commenter points out), but many
operated below 0.10 lb/mmBtu, as well.
Relying on the fleet-wide average
estimate was very consistent with the
fleet-wide observed behavior in 2017.
EPA disagrees with the notion that
EGU emissions will increase, rather
than decrease, in future years of the
CSAPR Update implementation, or that
the market for allowances would have to
price allowances much higher in order
for emission reductions to continue.
This is not borne out by historical
precedent or any economic models.
There are a variety of policy and market
forces at work beyond CSAPR allowance
prices that are anticipated to continue to
drive generation to shift from higher
emitting to lower emitting sources. As
evidenced in prior EPA allowance
trading programs, emissions from
covered sources generally trend
downwards (regardless of allowance
price) as time extends further from the
initial compliance year.49 Both the Acid
Rain Program and CSAPR SO2
allowance banks grew in 2017 from
their 2016 levels, indicating that sources
are collectively adding to the bank (by
emitting below state budgets) rather
than drawing down the bank because of
the availability of low cost allowances.
This illustrates that there are multiple
drivers affecting emissions, and it is
reasonable for EPA to consider those, in
addition to CSAPR update incentives, in
its projection of 2023 ozone season NOX
levels for EGUs.
Comment: One commenter states that
EPA’s 2023 modeling contains aspects
that ‘‘deviate from past guidance and
have not undergone peer review,’’
including a new approach to coastal
grid cells. The commenter states that the
affected community needs to be
afforded the opportunity for review and
public comment on such approaches.
Response: EPA released 2023
projected ozone design value data for
individual monitoring sites in October
2017.50 These data include ozone design
49 2014 Program Progress, Clean Air Interstate
Rule, Acid Rain Program, and Former NOX Budget
Trading Program. EPA, available at https://
www.epa.gov/sites/production/files/2017-09/
documents/2014_full_report.pdf.
50 https://www.epa.gov/airmarkets/october-2017memo-and-supplemental-information-interstatetransport-sips-2008-ozone-naaqs.
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value projections for each site based on
the methodology recommended in
EPA’s photochemical modeling
guidance.51 In addition, EPA provided a
companion set of 2023 design values
based on an alternative approach for
coastal monitoring sites. The commenter
had an opportunity to review and
analyze the alternative coastal grid cell
approach during the public comment
period for this action, as well as when
the data were released in October 2017.
The commenter did not provide any
substantive feedback on the alternative
approach including reasons why the
approach would not be appropriate.
EPA also notes that both methods result
in the same outcome that all monitoring
sites outside of California are not
expected to have problems attaining or
maintaining the 2008 NAAQS by 2023.
Comment: One commenter contends
that reliance on modeling that predicts
future compliance by 0.1 ppb when
inherent uncertainties are much larger is
arbitrary and capricious. The
commenter states that the October 2017
Transport Memo speculatively suggests
ozone NAAQS attainment without
performance of any sensitivity analyses
and through incorporation of a series of
dubious assumptions, projecting
attainment by only 0.1 ppb. Prediction
of near-nationwide compliance by 2023
is the product of thousands of inputs,
assumptions, and simplifications related
to emissions inventories, future power
consumption, meteorological
conditions, and chemical reactions. The
commenter notes natural gas prices as
an example of the huge degree of
uncertainty in this prediction. The
modeling is based on predictions of
2023 emissions, which is based on
predictions of power plant fuel
utilization based on a guess of future
fuel prices in 2023. If gas prices are
higher than predicted, the modeling will
predict greater dependence on coal-fired
generation, predicting higher NOX
emissions, and ultimately under-predict
ozone formation.
Response: EPA’s modeling results that
show the site the commenter refers to,
site 090019003 in Fairfield County,
Connecticut, is projected to be in
compliance of the 2008 NAAQS by
three ppb (i.e., 2023 projected average
design value is 73.0 ppb). When
considering the effects of meteorological
variability this site is still projected to
be below the level of the NAAQS (i.e.,
projected maximum design value is 75.9
51 Modeling Guidance for Demonstrating
Attainment of Air Quality Goals for Ozone, PM2.5,
and Regional Haze, U.S. Environmental Protection
Agency, Research Triangle Park, NC, available at
https://www.epa.gov/ttn/scram/guidance/guide/
Draft_O3-PM-RH_Modeling_Guidance-2014.pdf.
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33751
ppb). Additionally, continuing ozone
reductions are expected in future years
at all sites due to an estimated 19
percent reduction in ozone season NOX
emissions expected to occur between
2017 and 2023 in the aggregate for the
states covered by the CSAPR Update.
The commenter provides no data to
substantiate their claim that EPA’s
projected design values are not
technically sound and appropriate for
use in this rulemaking.
EPA recognizes that there are inherent
uncertainties in modeling the future, but
EPA believes that the model platform
and inputs selected are well-supported
and reasonable. The commenter did not
provide information to suggest that
there is an overall bias in the modelingbased projections. As it has for every air
quality modeling exercise, EPA
performed a model evaluation, as
described in the Air Quality Modeling
Technical Support Document for the
final CSAPR Update, which compared
ozone predictions for 2011 from the
modeling platform to actual measured
data from that year, in order to test how
well the model characterized reality.
The model evaluation indicates that the
model’s predictions corresponded
closely to actual measured
concentrations in terms of the
magnitude, temporal fluctuations, and
spatial differences for 8-hour daily
maximum ozone.52 The commenter is
correct that EPA’s modeling predictions
are the result of thousands of inputs,
assumptions, and simplifications; this is
by definition the exercise of modeling.
Moreover, because of the complexity of
air quality modeling, courts are
deferential to EPA’s with respect to
those inputs, assumptions, and
simplifications. The D.C. Circuit has
declined to ‘‘invalidate EPA’s
predictions solely because there might
be discrepancies between those
predictions and the real world.’’ EME
Homer City II, 795 F.3d at 135–36. The
fact that a ‘‘model does not fit every
application perfectly is not criticism; a
model is meant to simplify reality in
order to make it tractable.’’ Chemical
Manufacturers Association v EPA, 28
F.3d 1259, 1264, 307 U.S. App. DC 392
(D.C. Cir. 1994). The court has held that
‘‘it is only when the model bears no
rational relationship to the
characteristics of the data to which it is
applied that we will hold that the use
of the model was arbitrary and
capricious.’’ Appalachian Power Co. v.
EPA, 135 F.3d 791, 802 (D.C. Cir. 1998).
52 Air Quality Modeling TSD, available at https://
www.epa.gov/airmarkets/air-quality-modelingtechnical-support-document-final-cross-state-airpollution-rule.
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As demonstrated by EPA’s model
performance evaluation, the modeling
platform used in this rulemaking and
EPA’s choices as to inputs and
assumptions provide reasonable
projections of expected future year
ozone concentrations and contributions,
and is thus an appropriate basis on
which to base the findings made in this
action.
EPA further disagrees with the
commenter’s assertion that EGU
projections are too uncertain because
natural gas fuel prices may be different
than those underlying EPA’s
projections, resulting in greater coalfired generation and consequently
higher emissions. First, EPA notes that
power plant emissions are a small
portion (approximately 15 percent) of
the 2023 eastern states total NOX
emission inventory used to inform the
air quality modeling.53 Relative to
mobile sources and other emission
categories, EGU emissions projections
are a smaller segment of the inventory
and just a portion of the impact on the
Connecticut modeled attainment status.
Moreover, EPA believes its EGU
projections are reasonable and
conservative. In developing the 2023
EGU emissions projections, EPA relied
on 2016 monitored and reported data
and only made emissions adjustments to
account for (1) control optimization
expected in response to the CSAPR
Update implementation beginning in
2017, and (2) any known (e.g., planned
and under construction) power plant
infrastructure changes, including new
builds, retirements, coal-to-gas
switching, and SCR retrofit project
underway and reported by the owner or
operators to the Department of Energy’s
(DOE) Energy Information
Administration (EIA) in EIA Form
860.54 No adjustments were made for
projected, but unannounced, fleet
changes estimated to occur by 2023 in
response to market conditions and an
aging fleet. Because these projected fleet
wide changes would have resulted in
lower 2023 EGU emission estimates, the
EGU emission projections EPA actually
used in the modeling were conservative.
EPA also does not agree with the
commenter that gas prices are likely to
be higher in future years. Average
annual natural gas prices ranged from
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53 Available
at ftp://newftp.epa.gov/Air/emismod/
2011/v3platform/reports/2011en_and_2023en/
2023en_cb6v2_v6_11g_state_sector_totals.xlsx.
54 Additional Updates to Emissions Inventories
for the Version 6.3, 2011 Emissions Modeling
Platform for the Year 2023 Technical Support
Document, EPA, October 2017, available at https://
www.epa.gov/sites/production/files/2017-11/
documents/2011v6.3_2023en_update_emismod_
tsd_oct2017.pdf.
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$2.52/mmBtu to $4.37/mmBtu between
2009 and 2016.55 EPA and other
independent analysts expect future
natural gas prices to remain low and
within this 2009 to 2016 range due both
to supply and distribution pipeline
build-out. For example, the EIA’s 2018
Annual Energy Outlook (AEO) natural
gas price projections for Henry Hub spot
price range from $3.06/mmBtu in 2018
to $3.83/mmBtu in 2023.56 Moreover,
the AEO short-term energy outlook and
New York Mercantile Exchange futures
further support the estimates of a
continued low-cost natural gas supply.57
These independent analyses of fuel
price data and projections lead to EPA’s
expectation that fuel-market economics
will continue to support natural gas
consumption during future ozone
seasons through at least 2023 in a
manner similar to recent historical
levels. These lower natural gas price
outlooks suggest, if anything, lower
emissions projections, not higher.
Consistent with this outlook, industry
has announced significant new waves of
coal retirements since 2016—which is
also consistent with a less emissionsintensive outlook than that captured by
EPA’s use of 2016 EGU data as its
starting point for emissions inventory
purposes in this action. EPA agrees that
there is some uncertainty in fuel prices
that consequently casts uncertainty on
future emissions projections. However,
for the reasons discussed herein, EPA
believes its assumptions are both
reasonable and conservative. Moreover,
EPA notes that many of the assumptions
factored into its 2023 projections are
firm (e.g., retirements) and therefore not
sensitive to future fuel price changes.
The reasonableness, conservativeness,
and feasibility of EPA assumptions are
illustrated by the first year of CSAPR
compliance emission levels in 2017.
Emissions in 2017 dropped (in just one
year) by 21 percent from 2016 levels and
were 7 percent below the CSAPR budget
for the 22 affected states. EPA 2023
projections for the same set of states
were 10 percent below the CSAPR
budget, meaning in just one-year states
have already achieved the majority of
the EGU reduction anticipated by EPA
and are well above pace to be at or
below that level by 2023. For Kentucky
specifically, ozone season NOX EGU
55 https://tonto.eia.gov/dnav/ng/hist/
rngwhhda.htm.
56 In the 2018 reference case AEO released
February 6, 2018, created by the U.S. EIA, natural
gas prices for the power sector for 2018 through
2023. Available at https://www.eia.gov/outlooks/
aeo/data/browser/#/?id=13AEO2018&cases=ref2018&sourcekey=0.
57 AEO short-term energy outlook, available at
https://www.eia.gov/outlooks/steo/report/
natgas.php.
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emissions dropped from 25,402 tons in
2016 to 19,978 tons in 2017 for EGUs
greater than 25 MW. This reflects a 21
percent reduction in just one year of the
total 33 percent reduction assumed for
the state by 2023.58
Comment: One commenter provided
2017, 2020, and 2023 projected design
values based on air quality modeling by
the Ozone Transport Commissions
(OTC) using the Community Multi-scale
Air Quality Model (CMAQ) and design
values for 2023 using the
Comprehensive Air Quality Model with
Extensions (CAMx) in conjunction with
emissions inventory projections from
the Mid-Atlantic Regional Air
Management Association (MARAMA).
The commenter also included the 2023
projected design values based on EPA’s
CAMx modeling. The commenter
includes a sample of the results and
points to predicted 2023 design values
based on CMAQ that are above the
NAAQS at the Westport, Connecticut
and Susan Wagner, New York monitors.
The commenter states that the CMAQ
results are ‘‘considerably different’’ from
EPA’s CAMx modeling.
Another commenter states that EPA’s
modeling as well as modeling
conducted by Alpine produce overly
optimistic projection of future year
ozone levels. The commenter includes a
table that the commenter characterizes
as indicating 2017 measured design
values considerably higher than those
projected at all Connecticut monitoring
sites as well as indicating Kentucky
contributions of greater than 1 percent
at two Connecticut monitors after
contributions are scaled relative to 2017
measured air quality levels. The
commenter states that Kentucky’s
proposed SIP fails to address the
underprediction of the modeling.
Response: EPA does not agree that the
modeling provided by commenters
should affect EPA’s reliance on its own
2023 modeling. The first commenter
provided projected design values at 41
monitoring sites along the Northeast
Corridor for each model run. Of these 41
sites, all but two had base year design
values that exceeded the 2008 NAAQS.
The modeling results show that the EPA
and OTC CAMx-based 2023 design
value projections are consistent on an
individual site basis for all 41 sites.
Both sets of CAMx modeling indicate
that the 41 sites will be below the 2008
NAAQS by 2023.
In addition, the CMAQ 2023 design
values are consistent with both sets of
CAMx-based 2023 projections at nearly
58 See Engineering Analysis—Unit File, available
at ftp://ftp.epa.gov/EmisInventory/2011v6/
v3platform/reports/2011en_and_2023en/.
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all sites. That is, CMAQ modeling
indicates that all but two of the 41 sites
will be below the 2008 NAAQS by 2023.
The two sites projected to exceed the
2008 NAAQS in 2023 with CMAQ, but
not the OTC and EPA CAMx modeling,
are the Westport site in Connecticut and
the Susan Wagner High School site in
New York.
The CMAQ projections for these two
sites are not only inconsistent with the
CAMx modeling, but they are also
inconsistent with the CMAQ modeling
for other nearby sites in Connecticut,
New York, and New Jersey. For
example, based on the CMAQ modeling,
ozone at the Susan Wagner site is
projected to decline by only five percent
between 2011 and 2023, whereas at a
site in nearby Bayonne, New Jersey,
ozone is projected to decline by 13
percent over this same period.
Similarly, ozone at the Westport site is
projected to decline by only three
percent between 2011 and 2023 with
CMAQ, but at other sites along the
Connecticut coastline (i.e., sites in
Greenwich, Stratford, and Madison)
ozone is projected to decline by 10 to 19
percent. In addition, the CMAQ results
for these two sites are inconsistent with
ozone reductions predicted by CMAQ at
other sites in the New York City area
which range from 11 to 18 percent.
While it is possible ozone levels in 2023
at the Westport and/or Susan Wagner
sites may be higher than at other sites
in the New York City area, the
commenter fails to provide any
explanation regarding the large
difference in the CMAQ-based model
response to emissions reductions at
these two sites compared to nearby sites
and to other sites in the New York area.
Based on the complicated
photochemistry in the New York City
area, it is possible that ozone monitoring
sites closest to the New York City NOX
emissions plume may be less responsive
to NOX controls compared to sites
further downwind. Due to non-linear
chemistry, sites very close to the city
may experience increases in ozone or
less reduction than other nearby sites on
some days in response to local
emissions reductions in NOX. Thus, we
might expect that monitoring sites in
Connecticut that are closer to New York
City would show less reduction in
ozone than sites in Connecticut that are
further downwind. However, as noted
above, in the OTC CMAQ modeling, the
closest downwind Connecticut site
(Greenwich) has a 10-percent modeled
ozone reduction, while the Westport
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site, which is further downwind, has
only a 3-percent modeled ozone
reduction. The commenter did not
provide any information to explain why
the OTC CMAQ modeling results for the
Westport, Connecticut and Susan
Wagner, New York monitoring sites are
dissimilar to other near-by sites or why
the CMAQ modeling provides a more
representative ozone projection for these
two sites compared to the EPA and OTC
CAMx-based modeling results.
The second commenter contends that
modeling by EPA and Alpine for 2023
is overly optimistic because EPA’s
modeled ozone design values for 2017
are higher than the preliminary 2017
design values for certain monitoring
sites in Connecticut. The results of the
air quality modeling performed by the
OTC show that the results of the CAMx
modeling by EPA and Alpine are
consistent with the OTC’s 2023 CAMx
modeling results. Specifically, the EPA,
Alpine, and OTC CAMx modeling all
project that all sites identified by the
commenter as having preliminary 2017
measured design values exceeding the
2008 NAAQS will be in compliance
with that NAAQS by 2023. These CAMx
results are also consistent with the OTC
CMAQ modeling, except for one site in
Westport, Connecticut, that CMAQ
predicts will still violate the 2008
NAAQS in 2023. However, the CMAQ
modeling for this site is inconsistent
with other available modeling from
EPA, the OTC, and Alpine, as described
in the paragraph above.
In addition, the commenter compared
the preliminary 2017 measured design
values to EPA’s projected 2017 average
design values, but did not demonstrate
that the modeling was generally biased.
In particular, the commenter ignored
EPA’s projected maximum design
values. The projected maximum design
values are intended to represent future
ozone concentrations when
meteorological conditions are more
favorable to ozone formation than the
average. Comparing both the 2017
modeled average design values and
maximum projected design values to the
preliminary 2017 measured design
values indicates that the projected
maximum design values are, in most
cases, closer in magnitude to the 2017
preliminary measured design values
than the 2017 model-projected average
design values listed in the comments.
Further, while the modeling-based
projections may have understated
observed design values at certain
monitoring sites in Connecticut, this
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33753
was not the case for other 2017 receptor
sites in the Northeast Corridor. For
example, at other receptor sites in the
New York area in Suffolk and Richmond
counties, New York, the measured 2017
design values were within 0.2 ppb of the
model-predicted average design values.
At the site in Philadelphia County,
Pennsylvania the modeled 2017
maximum design value was 1.1 ppb
lower than the corresponding measured
value and at the site in Harford County,
Maryland, the modeled value was
higher, not lower, than the measured
2017 design value. It is not
unreasonable that there may be some
differences between the modeling-based
projections for a future year in part
because the meteorology of the future
year cannot be known in advance.
While EPA recognizes that there are
uncertainties in the modeling, the
results for the 2017 receptor sites in the
Northeast do not, on balance, show a
consistent bias.
Even though the preliminary 2017
measured design values at the eight sites
identified by the commenter are still
measuring violations of the 2008
NAAQS, it is entirely reasonable to
project that these sites will be in
attainment by 2023 as a result of the
roughly 19 percent reduction in
aggregate ozone season NOX emissions
that is expected to occur between 2017
and 2023 for the states covered by the
CSAPR Update. As mentioned earlier,
because of the high NOX emissions in
the New York City area and the nonlinear chemistry associated with ozone
formation, the benefits of NOX
emissions reductions may not have been
fully realized to date at downwind sites
in Connecticut. More notable reductions
in ozone at these sites are expected as
NOX emissions decline further, in
response to existing control programs
and other factors influencing emissions.
A large short-term reduction in ozone is
not unprecedented at historically high
ozone sites in other parts of the
Northeast Corridor. Specifically, the
measured design values at the
Edgewood monitoring site in Harford
County, Maryland, which is downwind
of the Baltimore/Washington, DC urban
area, declined by nearly 20 percent
between 2012 and 2014 and have been
below the level of the 2008 NAAQS
since 2014, as shown by the data in the
table below. Thus, EPA disagrees that
the monitored data cited by the
commenter indicates that the modeling
projections are unreliable.
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DESIGN VALUES (PPB) AT EDGEWOOD SITE IN HARFORD COUNTY, MD, 2007 THROUGH 2017
Year
2007
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Design Value .......................
2008
94
2009
91
Comment: One commenter asserts
that the 2023 modeling provided by
EPA does not provide a ‘‘full remedy’’
because it shows that Kentucky still
significantly contributes to ozone levels
(which the commenter contends is
defined by a contribution greater than 1
percent of the NAAQS, or 0.75 ppb)
across Delaware between 1.10 and 2.53
ppb in 2023. Although the modeling
shows attainment in Delaware in 2023,
the commenter contends that Kentucky
should not presume Delaware or any
other state will be attaining the 2008
ozone NAAQS in 2023. The commenter
notes that monitors in Delaware are
currently meeting the 2008 ozone
NAAQS, but that other monitors in the
Philadelphia nonattainment area are
exceeding the NAAQS (noting the
Bristol, Pennsylvania monitor with a
2014–2016 design value of 77 ppb),
despite the fact that EPA officially
declared the nonattainment area had
attained.
Another commenter states that the
CSAPR Update ‘‘clearly established’’
Kentucky’s significant contribution to
the Richmond County monitor, and
disagrees with EPA’s proposed
amendment to reflect that the CSAPR
Update provides a full remedy to
Kentucky’s transport obligation because
in EPA’s 2023 modeling ‘‘Kentucky is
still shown to be significantly
contributing to monitors’’ in the New
York City metropolitan area, the area
currently exceeds the NAAQS ‘‘by a
significant margin,’’ and the area will
likely continue to exceed the NAAQS in
2023 ‘‘once the issues with EPA’s
projection modeling are addressed.
Response: EPA disagrees with the
commenters’ assertion that an impact in
a downwind area above the 1 percent
threshold necessarily indicates that an
upwind state significantly contributes to
nonattainment or interferes with
maintenance of the NAAQS in a
downwind state. The good neighbor
provision first requires the
identification of a downwind
nonattainment or maintenance problem
before emission reductions may be
required, regardless of the upwind state
impact on downwind ozone
concentrations. See EME Homer City II,
795 F.3d at 129–30 (finding emission
budgets invalid where air quality
modeling showed downwind
nonattainment and maintenance
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2010
87
2011
89
2012
92
2013
93
problems would be resolved). As the
commenter notes, EPA’s modeling
shows that no areas in the East will have
downwind air quality problems with
respect to the 2008 ozone NAAQS in
2023, and thus EPA’s analysis is
complete at step one of the four-step
framework. As discussed earlier,
although monitors may currently
measure exceedances of the NAAQS,
EPA interprets the term ‘‘will’’ in the
good neighbor provision to permit
consideration of projected air quality in
an appropriate future year. See North
Carolina, 531 F.3d at 913–14.
Moreover, even if a downwind air
quality problem had been identified, the
fact that an upwind state would
contribute at or above the 1 percent
threshold to downwind nonattainment
and maintenance receptors in step two
of EPA’s framework does not by itself
indicate that the state would be
considered to ‘‘contribute significantly’’
or ‘‘interfere with maintenance’’ of the
NAAQS. The finding that a state’s
downwind impact would meet or
exceed this threshold only indicates that
further analysis is appropriate to
determine whether any of the upwind
state’s emissions meet the statutory
criteria of significantly contributing to
nonattainment or interfering with
maintenance. This further analysis in
step three of EPA’s four-step framework
considers cost, technical feasibility and
air quality factors to determine whether
any emissions deemed to contribute to
the downwind air quality problem must
be controlled pursuant to the good
neighbor provision.
Thus, the commenter is incorrect to
assert that EPA’s 2023 modeling shows
that Kentucky significantly contributes
to ozone levels in Delaware.
Comment: One commenter points to
the 2023 modeling performed by Alpine
indicating greater than a 1 percent
contribution by Kentucky to New Jersey.
The commenter points specifically to
the Ocean County and Colliers Mill
monitoring sites in New Jersey as
receiving 1.48 ppb of ozone from
Kentucky.
Response: There is only one ozone
monitoring site in Ocean County New
Jersey and that site is located in Colliers
Mills.59 This site is currently monitoring
59 See Figure 4–5 in the 2016 New Jersey Air
Quality Report, New Jersey Department of
Environmental Protection, Bureau of Air
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2014
85
2015
75
Preliminary
2017
2016
71
73
75
attainment of the 2008 ozone NAAQS
based on a 2014–2016 design value of
73 ppb, and preliminary data indicates
that the 2015–2017 design value
remains at 73 ppb. This site is also
projected to be in attainment of the 2008
ozone NAAQS in 2023. That is, this site
is not expected to have a problem
attaining or maintaining the 2008
NAAQS in 2023 that would warrant
consideration of further upwind
reductions in Kentucky.
Comment: One commenter states that
EPA’s 2023 contribution assessment
methodology, which uses average
exceedance day ozone contribution,
does not capture what happens on a
daily basis for ozone formation and is
inconsistent with how the states are
required to use ‘‘peak’’ ozone days when
they demonstrate attainment of the
ozone standard. Ozone episodes are
dependent on variation in daily weather
patterns and energy generation dispatch.
The commenter notes that Maryland
has recently conducted modeling that
shows that certain meteorological
regimes will show very large
contribution while other meteorological
regimes show lower contribution. The
commenter states that the days when
Kentucky’s contribution in the model is
very high are generally the same type of
days that Maryland expects will drive
the attainment process, where peak days
are used to calculate design values using
measured, not modeled data. The
commenter states that this can be
resolved by requiring the largest
emitters of ozone precursors, coal-fired
EGUs with SCR and SNCR, to optimize
those controls every day of the ozone
season.
Response: EPA does not believe the
methodology used to evaluate upwind
state contributions to downwind air
quality problems is relevant to this
action, because, as noted in the NPRM
and earlier this action, EPA’s modeling
shows that there are projected to be no
remaining air quality problems
identified in the East in 2023.
Accordingly, EPA’s analysis concludes
at step one of the four-step framework,
and as discussed earlier in this action,
the level of Kentucky’s contribution to
any downwind monitoring cites in
2023, which would not be addressed
until step two of the four-step
Monitoring, December 7, 2017, available at https://
www.njaqinow.net/.
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framework, is therefore irrelevant.
Moreover, to the extent the commenter
refers to Kentucky’s contribution to
downwind air quality problems in
EPA’s 2017 modeling conducted for the
CSAPR Update, EPA has already
acknowledged that Kentucky was linked
to the ozone monitoring site in Harford
County, Maryland. Thus, whether or not
Kentucky’s contribution would have
been higher in 2017 based on examining
impacts on ‘‘peak’’ ozone days is also
irrelevant because EPA already
quantified and implemented emission
reductions for Kentucky in the CSAPR
Update based on this linkage.
Nonetheless, EPA disagrees that its
method for calculating contribution
from upwind states to downwind
receptors is inconsistent with how the
states are required to demonstrate
attainment of the ozone NAAQS. EPA’s
modeling guidance recommends that
states calculate future year ozone
projections based on 5-year weighted
average design values and on the
average base year and future year
concentrations across the highest base
year concentration days.60 Similarly,
EPA’s method for calculating the
average contribution metric in the
CSAPR Update was based on the
average contribution across the days
with the highest future year
concentrations.
Comment: One commenter states that
the CSAPR Update, by its own terms,
does not fully satisfy section
110(a)(2)(D) for the 2008 ozone NAAQS.
Rather than rely on the CSAPR Update,
Kentucky’s SIP revision must evaluate
the Commonwealth’s expected
contribution to downwind
nonattainment and include provisions
to prevent those contributions in a
timely fashion. The commenter cites
North Carolina’s conclusion that ‘‘a
complete remedy to section
110(a)(2)(D)(i)(I) . . . must do more than
achieve something measurable; it must
actually require elimination of
emissions from sources that contribute
significantly and interfere with
maintenance in downwind
nonattainment areas.’’ 531 F.3d at 908.
The commenter notes that, in the final
CSAPR Update, EPA explained that
downwind air quality problems would
remain after implementation, and that
the rule was limited by EPA’s focus on
‘‘immediately available reductions’’ that
could be implemented by the 2017
ozone season. The commenter further
60 Modeling Guidance for Demonstrating
Attainment of Air Quality Goals for Ozone, PM2.5,
and Regional Haze, U.S. Environmental Protection
Agency, Research Triangle Park, NC, available at
https://www.epa.gov/ttn/scram/guidance/guide/
Draft_O3-PM-RH_Modeling_Guidance-2014.pdf.
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states that EPA’s October 2017
Transport Memo conceded that the
CSAPR update only partially addressed
the requirements of the good neighbor
provision, noting in a footnote that the
memo indicates continued
nonattainment in Philadelphia, which is
linked to Kentucky in the CSAPR
Update.
The commenter contends that
Kentucky has undertaken no
independent analysis of whether any
emission reductions that have occurred
as a result of its implementation of the
CSAPR Update have actually eliminated
the Commonwealth’s significant
contribution to nonattainment or
maintenance monitors in linked
downwind states. Given Kentucky’s
largest downwind contribution was 10.8
ppb to ozone concentrations at a
maintenance monitor in Ohio in 2017,
the commenter asserts that it is highly
improbable that the modest reductions
in NOX emissions from Kentucky plants
that have occurred since the
implementation of the CSAPR Update
have eliminated this significant linkage.
The commenter notes in a footnote that
Kentucky reduced NOX emissions
during the ozone season by about a third
in implementing the CSAPR Update,
and accordingly retained a similar
majority of its downwind impacts, well
above the 0.75 ppb threshold of
‘‘significant contributions.’’
Response: While EPA indicated that
the CSAPR Update FIPs ‘‘may not be
sufficient to fully address these states’
[including Kentucky’s] good neighbor
obligations’’ for the 2008 ozone NAAQS
(emphasis added), EPA did not
definitely determine that additional
reductions were required. 81 FR 74521.
Rather, EPA acknowledged that
additional analysis would be required to
determine the full extent of the good
neighbor obligation. Kentucky’s SIP
submission and EPA’s review in this
action conduct this additional
assessment by analyzing downwind
ozone concentrations relative to the
2008 ozone NAAQS in a future analytic
year, considering downwind attainment
dates and anticipated compliance
timeframes for potential, additional
emission reductions. The results of this
analysis show that the downwind air
quality problems to which Kentucky
was linked in 2017 are resolved by
2023, and thus concludes that the
emission reductions required by the
CSAPR Update provide a complete
remedy under the good neighbor
provision for the 2008 ozone NAAQS.
EPA therefore disagrees that EPA’s
approval of Kentucky’s SIP is
inconsistent with the court’s holding in
North Carolina, because EPA has in fact
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33755
required meaningful emission
reductions from sources in Kentucky via
the CSAPR Update FIP.
Moreover, as explained earlier in this
action, an impact in a downwind area
above the 1 percent threshold does not
necessarily indicate that an upwind
state significantly contributes to
nonattainment or interferes with
maintenance of the NAAQS in a
downwind state. The good neighbor
provision first requires the
identification of a downwind
nonattainment or maintenance problem
before emission reductions may be
required, regardless of the upwind state
impact on downwind ozone
concentrations. See EME Homer City II,
795 F.3d at 129–30 (finding emission
budgets invalid where air quality
modeling showed downwind
nonattainment and maintenance
problems would be resolved). Thus,
although emissions from Kentucky may
continue to impact air quality in other
states in 2023, this impact is not
impermissible under the good neighbor
provision given EPA has projected that
there will be no air quality problems
that could trigger upwind control
obligations.
Comment: One commenter contends
that EPA takes two contradictory
positions regarding its application of the
four-step framework designed to assist
states in determining good neighbor SIP
obligations under the CAA, citing the
January 2015 Transport Memo. The
commenter notes that, based on 2017
modeling conducted for the CSAPR
Update, EPA acknowledged that
Kentucky is linked to Maryland’s
Harford County monitor, which will
continue to have maintenance problems
in the near future. However, instead of
completing the analysis at steps 3 and
4 using 2017 as a baseline, EPA returned
to step one, performed new modeling
for 2023, and used that modeling to
determine that there will be no
remaining air quality problems outside
of California.
The commenter further contends that
reliance on 2023 modeling is
inappropriate because the attainment
deadline for Harford County is July
2018, and Maryland must continue to
maintain thereafter. The commenter
states that EPA should have completed
all steps of the four-step framework
using a consistent base year since EPA’s
own modeling identified Kentucky as
currently linked to the Harford County
receptor. EPA should have identified
the emissions reductions necessary to
prevent Kentucky from significantly
contributing to nonattainment or
interfering with maintenance in
Maryland, and required Kentucky to
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adopt permanent and enforceable
measures needed to achieve identified
emission reductions as expeditiously as
practicable. The commenter asserts that
Kentucky’s obligation to reduce its
current contribution to Maryland’s 2017
maintenance monitor cannot properly
be offset based on projections about
future air quality which may or may not
occur in 2023.
Response: The commenter
misunderstands EPA’s analysis in this
rule and the operation of the four-step
framework. EPA agrees that Kentucky
was linked to the Harford County
receptor in step two of EPA’s four-step
framework based on the 2017 modeling
conducted for the CSAPR Update. Based
on that determination, EPA already
evaluated and quantified, at step three,
feasible and cost-effective emission
reductions that were required to address
Kentucky’s good neighbor obligation
with respect to that receptor in the
CSAPR Update, and implemented those
emission reductions at step four through
the requirement that EGUs in Kentucky
participate in the CSAPR NOX Ozone
Season Group 2 allowance trading
program. Thus, EPA has completed
steps 3 and 4 with respect to the 2017
modeling analysis.
However, as explained in the CSAPR
Update, EPA could not conclude that
the rule fully addressed CAA section
110(a)(2)(D)(i)(I) obligations for 21 of the
22 CSAPR Update states, including
Kentucky. Specifically, EPA determined
that downwind air quality problems
would remain after implementation of
the CSAPR Update, including at the
Harford County monitor, and EPA could
not conclude at that time whether
additional EGU and non-EGU
reductions implemented on a longer
timeframe than 2017 would be feasible,
necessary, and cost-effective to address
states’ good neighbor obligations for this
NAAQS.
Given that any additional emission
reductions, if necessary, would be
implemented at some point after 2017,
it is reasonable for Kentucky and EPA
to evaluate air quality (at step one of the
framework) in a future year that is
aligned with feasible control installation
timing in order to ensure that the
upwind states continue to be linked to
downwind air quality problems when
any potential emissions reductions
would be implemented and to ensure
that such reductions do not over-control
relative to the identified downwind
ozone problem. See EME Homer City,
134 S. Ct. at 1608. Here, EPA has
determined that the air quality problems
identified at the Harford receptor with
respect to the 2008 ozone NAAQS will
be resolved by 2023. Accordingly, EPA
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does not have the authority to require
additional emission reductions from
sources in Kentucky in that year. See
EME Homer City II, 795 F.3d at 130
(determining that CSAPR ozone season
budgets for 10 states are invalid based
on determination that modeling showed
no future air quality problems).
Comment: One commenter asserts
that the good neighbor provision does
not permit a state to delay its
elimination of significant downwind
contribution indefinitely. EPA made
nonattainment designations for areas
where Kentucky is making a significant
contribution and therefore EPA’s
proposal to delay enforcing Kentucky’s
good neighbor obligations for another
five years violates the good neighbor
provision. Kentucky’s SIP fails to
address Kentucky’s present and ongoing
significant contribution to
nonattainment or interference with
maintenance of the NAAQS in
downwind areas including the New
York-Northern New Jersey-Long Island,
NY-NJ-CT nonattainment area in the
NYMA.
The commenter states that the CSAPR
Update established Kentucky’s
significant contribution to the
Richmond County monitor in 2017,
which is part of the NYMA that
measured nonattainment for the 2008
ozone NAAQS during 2017. The
commenter contends that EPA’s
proposed approval provides no
modeling or monitoring data showing
that Kentucky’s significant contribution
to NYMA nonattainment has presently
ceased or that it will cease at any time
prior to 2023. Therefore, the commenter
opposes the modification of EPA
regulations to reflect that the CSAPR
Update fully addresses Kentucky’s
transport obligation.
The commenter states that Kentucky’s
significant contribution to
nonattainment and/or maintenance
problems for New York under the 2008
ozone NAAQS are present nearly 10
years after EPA promulgated the
NAAQS, seven years after the SIP was
due, and five years after EPA’s FIP was
due. Yet Kentucky’s SIP looks out
another five years before concluding it
is feasible for Kentucky to comply with
its good neighbor obligations. EPA’s
2023 modeling is 15 years after
promulgation of the NAAQS and delays
compliance without statutory authority,
effectively permitting Kentucky’s
continuing violation of the good
neighbor provision.
Response: EPA disagrees that it has
allowed Kentucky to delay addressing
its good neighbor obligation
indefinitely. Rather, EPA promulgated a
FIP for the Kentucky in the CSAPR
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Update that has required EGUs in the
Commonwealth to limit their collective
emissions beginning 2017. As discussed
earlier, EPA could not conclude
whether or not the FIP was sufficient to
address the state’s good neighbor
obligation for Kentucky without further
analysis, and EPA therefore further
disagrees with the commenter’s
assertion that Kentucky has continued
to violate its obligation after
implementation of the CSAPR Update.
As discussed earlier, the fact that
emissions from the Commonwealth may
continue to impact air quality in other
states does not conclude the question of
whether that impact constitutes a
significant contribution or interference
with maintenance of the NAAQS under
the good neighbor provision.
In order to determine whether
Kentucky had any remaining emission
reduction obligations with respect to the
2008 ozone NAAQS, additional analysis
was necessary. EPA explained in the
NPRM and earlier in this action why it
was appropriate to evaluate air quality
in a future analytic year to determine
whether the Commonwealth would
have any further emission reduction
after implantation of the CSAPR Update
and how the choice of a 2023 analytic
year was consistent with legal
precedent. Thus, EPA does not agree
that its approval of Kentucky’s SIP
improperly delays compliance with the
good neighbor provision for the 2008
ozone NAAQS.
Comment: One commenter states that
EPA must issue a FIP for the
Commonwealth of Kentucky consistent
with the obligations of CAA section
110(a)(2)(D) as well as the court’s order
in Sierra Club v. Pruitt, No. 3:15–cv–
04328–JD (N.D. Cal. May 23, 2017),
directing EPA ‘‘to promulgate the
Kentucky FIP by June 30, 2018.’’
Another commenter contends that
EPA’s proposed approval of the
Kentucky SIP does not obviate its duty
to issue a fully compliant FIP for
Kentucky by the June 30, 2018 deadline
in accordance with the court’s order.
A further commenter states that states
were required to submit SIPs addressing
the good neighbor provision for the
2008 ozone NAAQS by March 2011, and
that EPA disapproved Kentucky’s SIP
on March 4, 2013. This finding triggered
EPA’s mandatory duty under CAA
section 110(c)(1) to promulgate a FIP for
Kentucky within two years: By March 7,
2015. When EPA failed to act, Sierra
Club and New York sued EPA in the
United States District Court for the
Northern District of California to require
EPA to adopt a FIP addressing
Kentucky’s good neighbor obligations.
The commenter notes that the Supreme
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Court found that section 110(c)(1)
‘‘impose[s] an absolute duty on EPA to
issue [a] FIP within two years of
Kentucky’s failure to adopt an adequate
state implementation plan,’’ EME Homer
City, 134 S. Ct. at 1600, and that EPA
did not contest its liability to issue a FIP
for Kentucky based on the SIP
disapproval. The District Court ordered
EPA ‘‘to promulgate the Kentucky FIP
by June 30, 2018.’’
The commenter contends that the
Kentucky SIP cannot be approved
because it requires insufficient action to
reduce Kentucky’s significant
contribution to nonattainment in the
NY-NJ-CT multistate nonattainment area
by the CAA’s mandatory attainment
deadlines of July 2018 (moderate areas)
and July 2021 (serious areas). The
commenter asserts that EPA’s failure to
propose a FIP by June 30, 2018, is
another instance of EPA’s failure to
carry out its mandatory duty under
section 110(c) with respect to
Kentucky’s transport obligations, and a
clear violation of the District Court’s
order.
Response: EPA disagrees that this
action fails to satisfy the requirements of
the court’s order in Sierra Club v. Pruitt.
While the commenters are correct that
section 110(c)(1)(B) requires the
Administrator to promulgate a FIP
within two years after the Administrator
disapproves a SIP in whole or in part,
the provision further qualifies this
obligation. The Administrator is to
promulgate a FIP ‘‘unless the State
corrects the deficiency, and the
Administrator approves the plan or plan
revision, before the Administrator
promulgates such [FIP].’’ Thus, once
EPA has approved a SIP that EPA
determines addresses the deficiency that
was the subject of the prior SIP
disapproval, the Administrator no
longer has the authority (much less the
obligation) to promulgate a FIP.
As to the requirements of the good
neighbor provision for the 2008 ozone
NAAQS, EPA has promulgated a FIP for
Kentucky in the CSAPR Update. While
EPA indicated that the CSAPR Update
FIPs ‘‘may not be sufficient to fully
address these states’ [including
Kentucky’s] good neighbor obligations’’
for the 2008 ozone NAAQS (emphasis
added), EPA did not definitely
determine that additional reductions
were required. See 81 FR 74521
(October 26, 2016). Rather, EPA
acknowledged that additional analysis
would be required to determine the full
extent of the good neighbor obligation.
Thus, the only remaining deficiency
after promulgation of the CSAPR Update
FIP was to determine what, if any
remaining emission reduction obligation
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would apply to the states, including
Kentucky. EPA has determined, in this
SIP action, that no further emission
reductions are required for the 2008
ozone NAAQS, and thus, that the
CSAPR Update FIP fully addresses
Kentucky’s good neighbor obligation.
Accordingly, EPA lacks authority to
issue any further FIP since the CSAPR
Update has fully addressed the
deficiency identified in the initial SIP
disapproval that triggered EPA’s FIP
obligation.
Moreover, to the extent the
commenters contend that the court’s
citation to the Supreme Court’s decision
in EME Homer City, 134 S. Ct. at 1600,
precludes EPA’s use of a SIP approval
to address the remaining deficiency, the
commenters misrepresent the holding of
the Court. Importantly, the Court was
emphasizing the ‘‘absolute’’ nature of
EPA’s mandate in order to counter
arguments from the respondents and the
lower court that EPA’s FIP authority
was contingent on an obligation to take
some action other than to find that the
state has failed to submit an approvable
SIP. While the Court did state that EPA
has an absolute mandate to promulgate
a FIP upon a SIP disapproval, the court
also acknowledged, repeatedly, that the
state could first ‘‘correct the deficiency’’
through submission of a SIP. Id. at
1600–01 (emphasizing twice that EPA’s
obligation to issue a FIP can be affected
if the state ‘‘correct[s] the deficiency’’ on
its own). That is precisely what has
occurred here with respect to the
portion of the good neighbor deficiency
not already addressed by the CSAPR
Update. Thus, EPA’s action is consistent
with section 110(c) and therefore
consistent with the Northern District of
California’s order that EPA address its
obligation under section 110(c) as it
pertains to Kentucky’s good neighbor
obligation for the 2008 ozone NAAQS.
Comment: Several commenters
contend that EPA is inappropriately
parallel processing the Kentucky SIP in
light of the ‘‘significant number and
scope’’ of public comments raised
during the state public comment
process. The commenters state that
Kentucky should have been required to
address comments prior to EPA’s
proposed approval. One commenter
contends that EPA’s proposed approval
of the Kentucky SIP on the condition
that the final SIP contain no substantial
changes removes any incentive for
Kentucky to address the public
comments by making necessary
changes. The commenter further asserts
that Kentucky’s SIP is controversial and
contested, and thus, parallel processing
is inappropriate. To support this
assertion, the commenter notes that EPA
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denied a petition brought under section
176A, which is currently subject to
review in the D.C. Circuit, that involves
claims of transported ozone pollution
from Kentucky and other upwind states.
The commenter further states that EPA’s
only apparent reason for parallel
processing is the court-ordered deadline
to promulgate a FIP by June 30, 2018,
and that EPA’s own inaction is no
excuse for taking rushed, unreasonable,
arbitrary and capricious action to
approve a deficient SIP.
Response: EPA disagrees with the
commenters’ assertions that parallel
processing is inappropriate in these
circumstances. Parallel processing is a
well-established procedure for acting on
SIP submissions that is allowed under
long-standing EPA regulations.
Appendix V to 40 CFR part 51
(Appendix V) provides the criteria for
determining the completeness of SIP
submittals and the procedures for
parallel processing. These procedures,
set forth in paragraph 2.3 of Appendix
V, allow a state to request parallel
processing as the state is accepting
comments and finalizing its SIP
revision. Under parallel processing, the
state submits a copy of a draft SIP
submittal to EPA before conducting its
public hearing. EPA reviews the draft
submittal and, if EPA believes it is
approvable, publishes an NPRM during
the same timeframe that the state is
holding its public hearing. The state and
EPA then provide for concurrent public
comment periods on both the state
action and the federal action,
respectively.
Although parallel processing
expedites action on SIP submissions, it
does not limit EPA’s substantive review.
EPA evaluates the draft submittal
against the same approvability criteria
as any other SIP submission, and the
final submission must meet all of the
necessary SIP completeness criteria,
including the requirement that the
submission contain a ‘‘[c]ompilation of
public comments and the State’s
response thereto.’’ See Appendix V,
paragraphs 2.1(h) and 2.3.2. Therefore, a
state must respond to comments
received during the state public
comment period. Parallel processing
does not remove the incentive for a state
to revise its SIP submission in response
to comments that raise valid
approvability concerns because
ultimately EPA cannot approve a
submission that fails to meet all
approvability criteria.
EPA is not taking a rushed,
unreasonable, or arbitrary and
capricious action by using parallel
processing to act on Kentucky’s SIP
submission. Kentucky submitted a
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parallel processing request, as allowed
under paragraph 2.3.1 of Appendix V,
and EPA is following the criteria set
forth in Appendix V to approve the
Commonwealth’s final submittal. These
criteria do not exclude certain types of
SIP submissions from parallel
processing because all SIP submissions
reviewed through this process must
ultimately meet all completeness and
approvability criteria regardless of the
number of comments received or the
degree of controversy. Furthermore,
EPA provided the public with a full
opportunity to comment on the draft
submittal and has fully evaluated all of
the submitted comments. If these
comments had identified specific issues
that would not allow EPA to approve
the draft SIP submission, EPA could not
have taken this final action.
Comment: One commenter suggests
that a declaration filed in another
pending lawsuit demonstrates that EPA
has prejudged its approval of
Kentucky’s proposed SIP submission, by
noting that the declaration states EPA
has proposed an ‘‘unconditional
approval.’’ This appears to be contrary
to what was stated in EPA’s proposed
approval, wherein EPA stated that the
approval is contingent on Kentucky
addressing any comments in the statelevel process. The declaration further
states that ‘‘EPA intends to finalize an
appropriate action for Kentucky’’ by the
court-ordered deadline. The commenter
contends that, because of the public
notice and hearing requirements under
CAA section 307(d), and because EPA
has not yet proposed a FIP, the only
action EPA has left itself is to approve
Kentucky’s deficient SIP regardless of
any public comments it receives.
Response: The commenter
misinterprets the reference to proposed
‘‘unconditional approval’’ of Kentucky’s
SIP made in the declaration of Reid
Harvey filed in New York v. Pruitt, No.
18–cv–406 (S.D.N.Y.). Section 110(k)(4)
permits the Administrator to issue a
‘‘conditional’’ approval of a SIP based
on a commitment of a state to adopt
specific measures within one year of the
final action. If the state fails to meet this
commitment, the conditional approval
is treated as a disapproval. Mr. Harvey’s
declaration used the term
‘‘unconditional approval’’ to indicate
that the proposed approval was not
made pursuant to section 110(k)(4). The
use of this term is unrelated to the
contingencies associated with the
parallel processing requirements, which
are laid out in Appendix V to 40 CFR
part 51 rather than in section 110.
Moreover, EPA does not agree that the
Agency has been forced to approve a
deficient SIP based on the court-ordered
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deadline and the procedural
requirements for the promulgation of a
FIP. For the reasons explained in the
NRPM and in this action, EPA finds that
Kentucky’s SIP submission, together
with the CSAPR Update, fully satisfies
the requirements of the good neighbor
provision with respect to the 2008
ozone NAAQS. However, had EPA
determined that it could not finalize
approval of Kentucky’s SIP and would
instead need to promulgate a FIP, EPA
would have filed an appropriate motion
with the district court requesting an
extension of the court-ordered deadline.
Comment: One commenter contends
that approving the Kentucky SIP and
putting the October 2017 Transport
Memo into effect will effectively
foreclose any further good neighbor
activities under the 2008 ozone NAAQS
and EPA will have reversed its position
in the CSAPR Update that more NOX
controls were necessary. EPA deferred
action under section 176A of the CAA
by indicating it would enforce good
neighbor obligations through other
mechanisms like the transport rule
framework. The commenter asserts that
EPA effectively shifts the burden onto
downwind states to cope with upwind
pollution sources while denying
downwind state any means to enforce
good neighbor obligations.
The commenter continues that EPA’s
failure is forcing downwind states to
attempt to address Kentucky’s and other
upwind states’ contributions to ozone
concentrations via other, resourceintensive CAA mechanisms. The
commenter cites a recent petition
submitted by Maryland under CAA
section 126 identifying three coal-fired
units in Kentucky to which EPA has to
date failed to respond. The commenter
also cites a petition submitted pursuant
to CAA section 176A to expand the
OTR, which EPA denied. The
commenter claims it is arbitrary and
capricious for EPA to point to separate
CAA provisions as an excuse for
inaction on the ozone transport
problem, and to reverse itself without
confronting its prior position.
Another commenter states that New
York’s recent submittal of a section 126
petition to EPA buttresses Connecticut’s
claims and that notes that such petition
names stationary sources in Kentucky as
‘‘interfer[ing] with attainment’’ of the
New York-New Jersey-Connecticut
nonattainment area. The commenter
states that EPA has referred to section
126 petitions as one of the tools
available to states seeking attainment
with the ozone NAAQS, yet they would
not be required if upwind states and
EPA satisfied their obligations in a
timely matter.
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Response: EPA disagrees that it has
changed its position in the CSAPR
Update regarding the need for
additional emission reductions. In that
rulemaking, EPA only stated it could
not conclude, without further analysis,
whether additional reductions from
NOX sources would be necessary to
fully resolve these obligations. This
conclusion is not inconsistent with
EPA’s action on the section 176A
petition seeking to expand the OTR.
EPA denied the section 176A petition
because it concluded that any remaining
interstate transport problems could be
better addressed via the good neighbor
provision, which EPA and the states can
use to make decisions regarding which
precursor pollutants to address, which
sources to regulate, and what amount of
emission reductions to require,
flexibilities that are not available with
respect to control requirements
applicable to sources in the OTR. See 82
FR 51244–46 (November 3, 2017). EPA
has subsequently completed further
analysis that shows that there will be no
remaining air quality problems in 2023
in the eastern U.S., and thus EPA has
concluded that no additional reductions
from upwind states, beyond those
required by the CSAPR Update and
other on-the-books or on the way
measures, are necessary to bring
downwind areas into attainment of the
2008 ozone NAAQS. While downwind
states may continue to have current
planning obligations associated with
designated nonattainment areas, EPA
lacks the authority to require additional
emissions reductions from upwind
states under the good neighbor
provision in a future year where EPA’s
analysis shows that current
nonattainment problems will be
resolved.
While EPA is concluding in this
action that Kentucky has no remaining
good neighbor obligation with respect to
the 2008 ozone NAAQS after
implementation of the CSAPR Update,
EPA disagrees that this action
necessarily forecloses all further good
neighbor activities with respect to that
NAAQS. This action does not address
remaining good neighbor obligations for
any other states, and EPA will address
any such obligations in a separate
rulemaking. Moreover, the commenters
acknowledge and EPA agrees that
section 126 provides a process for states
to bring claims to the Agency if the
petitioning state can present
information demonstrating that sources
in upwind states will have impacts on
downwind air quality in violation of the
good neighbor provision. However, the
right to submit such petitions does not
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presuppose that any pending or future
petitions will necessarily make the
requisite demonstration. To the extent
that the commenters invokes separate,
pending section 126 petitions, EPA will
address those claims in separate actions.
IV. Final Action
For the reasons discussed above, EPA
is taking final action to approve
Kentucky’s May 10, 2018, SIP
submission and find that Kentucky is
not required to make any further
reductions, beyond those required by
the CSAPR Update, to address its
statutory obligation under CAA section
110(a)(2)(D)(i)(I) for the 2008 ozone
NAAQS. EPA’s final approval of
Kentucky’s submission means that
Kentucky’s obligations under
110(a)(2)(D)(i)(I) are fully addressed
through the combination of the CSAPR
Update FIP and the SIP demonstration
showing that no further reductions are
necessary. EPA is also amending the
regulatory text at 40 CFR 52.940(b)(2) to
reflect that the CSAPR Update
represents a full remedy with respect to
Kentucky’s transport obligation for the
2008 ozone NAAQS.
V. Statutory and Executive Order
Reviews
Under the CAA, the Administrator is
required to approve a SIP submission
that complies with the provisions of the
Act and applicable Federal regulations.
See 42 U.S.C. 7410(k); 40 CFR 52.02(a).
Thus, in reviewing SIP submissions,
EPA’s role is to approve state choices,
provided that they meet the criteria of
the CAA. This action merely approves
state law as meeting Federal
requirements and does not impose
additional requirements beyond those
imposed by state law. For that reason,
this action:
• Is not a significant regulatory action
subject to review by the Office of
Management and Budget under
Executive Orders 12866 (58 FR 51735,
October 4, 1993) and 13563 (76 FR 3821,
January 21, 2011);
• Is not an Executive Order 13771 (82
FR 9339, February 2, 2017) regulatory
action because SIP approvals are
exempted under Executive Order 12866;
• Does not impose an information
collection burden under the provisions
of the Paperwork Reduction Act (44
U.S.C. 3501 et seq.);
• Is certified as not having a
significant economic impact on a
substantial number of small entities
under the Regulatory Flexibility Act (5
U.S.C. 601 et seq.);
• Does not contain any unfunded
mandate or significantly or uniquely
affect small governments, as described
in the Unfunded Mandates Reform Act
of 1995 (Pub. L. 104–4);
• Does not have Federalism
implications as specified in Executive
Order 13132 (64 FR 43255, August 10,
1999);
• Is not an economically significant
regulatory action based on health or
safety risks subject to Executive Order
13045 (62 FR 19885, April 23, 1997);
• Is not a significant regulatory action
subject to Executive Order 13211 (66 FR
28355, May 22, 2001);
• Is not subject to requirements of
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (15 U.S.C. 272 note) because
application of those requirements would
be inconsistent with the CAA; and
• Does not provide EPA with the
discretionary authority to address, as
appropriate, disproportionate human
health or environmental effects, using
practicable and legally permissible
methods, under Executive Order 12898
(59 FR 7629, February 16, 1994).
The SIP is not approved to apply on
any Indian reservation land or in any
other area where EPA or an Indian tribe
has demonstrated that a tribe has
jurisdiction. In those areas of Indian
country, the rule does not have tribal
implications as specified by Executive
Order 13175 (65 FR 67249, November 9,
2000), nor will it impose substantial
direct costs on tribal governments or
preempt tribal law.
The Congressional Review Act, 5
U.S.C. 801 et seq., as added by the Small
Business Regulatory Enforcement
Fairness Act of 1996, generally provides
that before a rule may take effect, the
agency promulgating the rule must
submit a rule report, which includes a
copy of the rule, to each House of the
Congress and to the Comptroller General
of the United States. EPA will submit a
report containing this action and other
required information to the U.S. Senate,
the U.S. House of Representatives, and
the Comptroller General of the United
States prior to publication of the rule in
the Federal Register. A major rule
cannot take effect until 60 days after it
is published in the Federal Register.
This action is not a ‘‘major rule’’ as
defined by 5 U.S.C. 804(2).
Under section 307(b)(1) of the Act,
petitions for judicial review of this
action must be filed in the United States
Court of Appeals for the appropriate
circuit by September 17, 2018. Under
section 307(b)(2) of the Act, the
requirements of this final action may
not be challenged later in civil or
criminal proceedings for enforcement.
List of Subjects in 40 CFR Part 52
Environmental protection,
Administrative practice and procedure,
Air pollution control, Incorporation by
reference, Intergovernmental relations,
Nitrogen dioxide, Ozone, Reporting and
recordkeeping requirements.
Authority: 42 U.S.C. 7401 et seq.
Dated: June 28, 2018.
Onis ‘‘Trey’’ Glenn, III,
Regional Administrator, Region 4.
40 CFR part 52 is amended as follows:
PART 52—APPROVAL AND
PROMULGATION OF
IMPLEMENTATION PLANS
1. The authority citation for part 52
continues to read as follows:
■
Authority: 42.U.S.C. 7401 et seq.
Subpart S—Kentucky
2. Section 52.920(e) is amended by
adding an entry for ‘‘110(a)(2)(D)(i)(I)
Infrastructure Requirement for the 2008
8-Hour Ozone National Ambient Air
Quality Standards’’ at the end of the
table to read as follows:
■
§ 52.920
Identification of plan.
(e) * * *
EPA-APPROVED KENTUCKY NON-REGULATORY PROVISIONS
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Name of non-regulatory SIP
provision
Applicable geographic or
nonattainment area
*
*
*
110(a)(2)(D)(i)(I) Infrastructure Commonwealth of Kentucky ..
Requirement for the 2008 8Hour Ozone National Ambient Air Quality Standards.
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State submittal
date/effective
date
*
05/10/2018
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EPA approval date
*
07/17/2018, [Insert Federal
Register citation].
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Explanations
*
*
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3. Section 52.940 is amended by
revising paragraph (b)(2) to read as
follows:
■
§ 52.940 Interstate pollutant transport
provisions; What are the FIP requirements
for decreases in emissions of nitrogen
oxides?
*
*
*
*
(b) * * *
(2) The owner and operator of each
source and each unit located in the State
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*
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of Kentucky and for which requirements
are set forth under the CSAPR NOX
Ozone Season Group 2 Trading Program
in subpart EEEEE of part 97 of this
chapter must comply with such
requirements with regard to emissions
occurring in 2017 and each subsequent
year. The obligation to comply with
such requirements will be eliminated by
the promulgation of an approval by the
Administrator of a revision to
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Kentucky’s State Implementation Plan
(SIP) as correcting the SIP’s deficiency
that is the basis for the CSAPR Federal
Implementation Plan (FIP) under
§ 52.38(b), except to the extent the
Administrator’s approval is partial or
conditional.
*
*
*
*
*
[FR Doc. 2018–15143 Filed 7–16–18; 8:45 am]
BILLING CODE 6560–50–P
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Agencies
[Federal Register Volume 83, Number 137 (Tuesday, July 17, 2018)]
[Rules and Regulations]
[Pages 33730-33760]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2018-15143]
[[Page 33729]]
Vol. 83
Tuesday,
No. 137
July 17, 2018
Part V
Environmental Protection Agency
-----------------------------------------------------------------------
40 CFR Part 52
Air Plan Approval; Kentucky; 2008 Ozone NAAQS Interstate Transport SIP
Requirements; Final Rule
Federal Register / Vol. 83 , No. 137 / Tuesday, July 17, 2018 / Rules
and Regulations
[[Page 33730]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 52
[EPA-R04-OAR-2018-0142; FRL-9980-57--Region 4]
Air Plan Approval; Kentucky; 2008 Ozone NAAQS Interstate
Transport SIP Requirements
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: The Environmental Protection Agency (EPA) is approving a
revision to Kentucky's State Implementation Plan (SIP) pertaining to
the ``good neighbor'' provision of the Clean Air Act (CAA or Act) for
the 2008 8-hour ozone National Ambient Air Quality Standard (NAAQS).
Kentucky submitted a draft version of this SIP revision for parallel
processing by EPA on February 28, 2018, and submitted a final version
that contained no substantive changes on May 10, 2018. The good
neighbor provision requires each state's implementation plan to address
the interstate transport of air pollution in amounts that contribute
significantly to nonattainment, or interfere with maintenance, of a
NAAQS in any other state. In this action, EPA is approving Kentucky's
submission demonstrating that no additional emission reductions are
necessary to address the good neighbor provision for the 2008 ozone
NAAQS beyond those required by the Cross-State Air Pollution Rule
Update (CSAPR Update) federal implementation plan (FIP). Accordingly,
EPA is approving Kentucky's submission because it partially addresses
the requirements of the good neighbor provision for the 2008 ozone
NAAQS, and it resolves any obligation remaining under the good neighbor
provision after promulgation of the CSAPR Update FIP. The approval of
Kentucky's SIP submission and the CSAPR Update FIP, together, fully
address the requirements of the good neighbor provision for the 2008
ozone NAAQS for Kentucky. EPA is approving this action because it is
consistent with the CAA.
DATES: This rule is effective August 16, 2018.
ADDRESSES: EPA has established a docket for this action under Docket
Identification No. EPA-R04-OAR-2018-0142. All documents in the docket
are listed on the www.regulations.gov website. Although listed in the
index, some information may not be publicly available, i.e.,
Confidential Business Information or other information whose disclosure
is restricted by statute. Certain other material, such as copyrighted
material, is not placed on the internet and will be publicly available
only in hard copy form. Publicly available docket materials are
available either electronically through www.regulations.gov or in hard
copy at the Air Regulatory Management Section, Air Planning and
Implementation Branch, Air, Pesticides and Toxics Management Division,
U.S. Environmental Protection Agency, Region 4, 61 Forsyth Street SW,
Atlanta, Georgia 30303-8960. EPA requests that if at all possible, you
contact the person listed in the FOR FURTHER INFORMATION CONTACT
section to schedule your inspection. The Regional Office's official
hours of business are Monday through Friday 8:30 a.m. to 4:30 p.m.,
excluding Federal holidays.
FOR FURTHER INFORMATION CONTACT: Ashten Bailey, Air Regulatory
Management Section, Air Planning and Implementation Branch, Air,
Pesticides and Toxics Management Division, Region 4, U.S. Environmental
Protection Agency, 61 Forsyth Street SW, Atlanta, Georgia 30303-8960.
Ms. Bailey can be reached by telephone at (404) 562-9164 or via
electronic mail at [email protected].
SUPPLEMENTARY INFORMATION:
I. Background
On March 27, 2008 (73 FR 16436), EPA promulgated an ozone NAAQS
that revised the levels of the primary and secondary 8-hour ozone
standards from 0.08 parts per million (ppm) to 0.075 ppm or 75 parts
per billion (ppb). Pursuant to CAA section 110(a)(1), within three
years after promulgation of a new or revised NAAQS (or shorter, if EPA
prescribes), states must submit SIPs that meet the applicable
requirements of section 110(a)(2). EPA has historically referred to
these SIP submissions made for the purpose of satisfying the
requirements of sections 110(a)(1) and 110(a)(2) as ``infrastructure
SIP'' submissions. One of the structural requirements of section
110(a)(2) is section 110(a)(2)(D)(i), also known as the ``good
neighbor'' provision, which generally requires SIPs to contain adequate
provisions to prohibit in-state emissions activities from having
certain adverse air quality effects on downwind states due to
interstate transport of air pollution. There are four sub-elements, or
``prongs,'' within section 110(a)(2)(D)(i) of the CAA. CAA section
110(a)(2)(D)(i)(I), addressing two of these four prongs, requires SIPs
to include provisions prohibiting any source or other type of emissions
activity in one state from emitting any air pollutant in amounts that
will contribute significantly to nonattainment, or interfere with
maintenance, of the NAAQS in another state. The two provisions of this
section are referred to as prong 1 (significant contribution to
nonattainment) and prong 2 (interference with maintenance). This action
addresses only prongs 1 and 2 of section 110(a)(2)(D)(i).\1\
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\1\ All other infrastructure SIP elements for Kentucky for the
2008 8-hour ozone NAAQS were addressed in separate rulemakings. See
78 FR 14681 (March 7, 2013) and 79 FR 65143 (November 3, 2014).
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On July 17, 2012, Kentucky submitted a SIP submission to EPA,
addressing a number of the CAA requirements for the 2008 8-hour ozone
NAAQS infrastructure SIPs. With respect to the interstate transport
requirements of 110(a)(2)(D)(i)(I), EPA disapproved the submission (78
FR 14681 (March 7, 2013), effective April 8, 2013) because the SIP had
relied on Kentucky's participation in the Clean Air Interstate Rule
(CAIR), which did not address the 2008 ozone NAAQS and had been
remanded by the D.C. Circuit. In October 2016, EPA promulgated the
CSAPR Update to address the requirements of CAA section
110(a)(2)(D)(i)(I) concerning interstate transport of air pollution for
the 2008 ozone NAAQS. See 81 FR 74504 (October 26, 2016). In the CSAPR
Update rulemaking, EPA determined that air pollution transported from
Kentucky would unlawfully affect other states' ability to attain or
maintain the 2008 8-hour ozone NAAQS. EPA's analysis projected that in
2017, Kentucky would be linked to downwind nonattainment or maintenance
problems at four monitors, or receptors. Accordingly, EPA established
an ozone season nitrogen oxides (NOX) budget for Kentucky's
electricity generating units (EGUs) and promulgated a FIP requiring
affected EGUs to participate in an allowance trading program to
implement the budget.\2\ At the time it finalized the CSAPR Update, EPA
determined that, after implementation of the rule, many downwind air
quality problems would persist in 2017, including at two of the four
receptors to which Kentucky was linked. EPA therefore found that the
CSAPR Update FIPs for Kentucky and 20 other states may not fully
address the good neighbor requirements as to the 2008 8-hour ozone
NAAQS. EPA explained that further analysis of air quality in a
potential future compliance year and potential control strategies would
be needed to determine whether any
[[Page 33731]]
further emission reductions from these states would be necessary to
fully address the good neighbor obligations.
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\2\ CSAPR Update, 81 FR at 74507-08.
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On October 27, 2017, EPA issued a memorandum (October 2017
Transport Memo) \3\ that provided technical information and related
analyses to assist states with developing SIPs to address any remaining
section 110(a)(2)(D)(i)(I) requirements for the 2008 8-hour ozone
NAAQS. EPA's updated modeling data, released with the October 2017
Transport Memo, indicate that for the 2023 future base case emissions
scenario there are no monitoring sites, outside of California, that are
projected to have nonattainment or maintenance problems with respect to
the 2008 ozone NAAQS in 2023.
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\3\ Memorandum, Stephen D. Page, Supplemental Information on the
Interstate Transport State Implementation Plan Submissions for the
2008 Ozone National Ambient Air Quality Standards under Clean Air
Action Section 110(a)(2)(D)(i)(I).
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II. This Action
On February 28, 2018, Kentucky submitted a draft SIP revision to
EPA for parallel processing that reviewed air quality modeling and data
files that EPA disseminated in the October 2017 Transport Memo. The
draft SIP revision indicated that the air quality problems at monitors
to which Kentucky remained linked after implementation of the CSAPR
Update would be resolved by 2023. Kentucky's draft SIP submission
agreed with the October 2017 Transport Memo's preliminary projections
and provided information intended to demonstrate that reliance on the
modeling to evaluate its remaining good neighbor obligation is
appropriate. The draft submission also contained air quality modeling
conducted by Alpine Geophysics, LLC (Alpine) that concluded that none
of the nonattainment and maintenance receptors identified in the CSAPR
Update are predicted to be in nonattainment or have issues with
maintenance of the 2008 ozone NAAQS in 2023. Additionally, Kentucky
cited information related to emissions trends--such as reductions in
ozone precursor emissions and controls on Kentucky sources--as further
evidence that, after implementation of all on-the-books measures,
including those promulgated in the CSAPR Update FIPs, emissions from
the Commonwealth will no longer contribute significantly to
nonattainment or interfere with maintenance of the 2008 8-hour ozone
NAAQS in any other state.
In a notice of proposed rulemaking (NPRM) published on April 18,
2018 (83 FR 17123), EPA proposed to approve Kentucky's February 28,
2018 draft SIP submission. In the NPRM, EPA explained that it was
basing its proposal to approve Kentucky's February 28, 2018 draft SIP
submission on a finding that 2023 is a reasonable analytic year for
evaluating ozone transport problems with respect to the 2008 ozone
NAAQS and that interstate ozone transport air quality modeling
projections for 2023 indicate that Kentucky is not expected to
significantly contribute to nonattainment or interfere with maintenance
of the 2008 ozone NAAQS in downwind states. As described in more detail
in the NPRM, EPA based its evaluation on a four-step analytic framework
by:
(1) Identifying downwind air quality problems relative to the 2008
ozone NAAQS considering air quality modeling projections to a future
compliance year;
(2) Determining which upwind states are ``linked'' to these
identified downwind air quality problems and thereby warrant further
analysis to determine whether their emissions violate the good neighbor
provision;
(3) For states linked to downwind air quality problems, identifying
upwind emissions on a statewide basis that significantly contribute to
nonattainment or interfere with maintenance of a standard; and
(4) For states that are found to have emissions that significantly
contribute to nonattainment or interfere with maintenance of the NAAQS
downwind, implementing the necessary emission reductions within the
state.
EPA explained that its selection of 2023 was a reasonable analytic
year for evaluating downwind air quality at step one of the framework,
supported by an assessment of attainment dates for the 2008 ozone NAAQS
and feasibility of implementing potential control strategies at both
EGUs and non-EGUs to reduce NOX in CSAPR Update states,
including Kentucky. First, EPA considered the upcoming 2021 and 2027
attainment dates for the 2008 ozone NAAQS, consistent with the holding
of the U.S. Court of Appeals for the District of Columbia Circuit (D.C.
Circuit) in North Carolina v. EPA, 531 F.3d 896, 911-12 (2008). Next,
EPA assessed the amount of time necessary to implement new
NOX controls at EGUs and non-EGUs across the CSAPR Update
region, finding that, fleetwide, sources would require four years to
implement additional, substantial NOX emission reductions.
EPA therefore proposed to find that 2023 is an appropriate future
analytic year because it is the first ozone season for which
significant new post-combustion controls to reduce NOX could
be feasibly installed across the CSAPR Update region, and thus
represents the timeframe that is as expeditious as practicable for
upwind states to implement additional emission reductions. EPA then
described its modeling analysis at step one of the four-step framework
for the 2023 analytic year, which indicates that there are no expected
nonattainment or maintenance receptors for the 2008 ozone NAAQS in the
eastern U.S. in this future year. Please refer to the April 18, 2018
NPRM for additional information on the basis for the proposed approval.
Based on these proposed findings and the information provided in
Kentucky's February 28, 2018 SIP submittal, EPA proposed to determine
that Kentucky's draft SIP submission demonstrates that emission
activities from the Commonwealth will not contribute significantly to
nonattainment or interfere with maintenance of the 2008 8-hour ozone
NAAQS in any other state after implementation of all on-the-books
measures, including the CSAPR Update. Comments on the NPRM were due on
or before May 18, 2018. EPA received adverse comments on the proposed
rulemaking, which are discussed below. Because Kentucky submitted the
draft SIP revision for parallel processing, EPA's April 18, 2018
proposed rulemaking was contingent upon Kentucky providing a final SIP
revision that was substantively the same as the draft SIP revision. See
83 FR 17123. Kentucky submitted the final version of its SIP revision
on May 10, 2018.\4\ The May 10, 2018 SIP submission had no substantive
changes from the February 28, 2018 draft SIP submission.
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\4\ Both the draft and final SIP revisions are provided in the
docket for this action.
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After considering the comments received on the NPRM, for the
reasons described in the NPRM and in this action,\5\ EPA is now taking
final action to approve Kentucky's May 10, 2018, final SIP submission
and find that Kentucky is not required to make any further reductions,
beyond those required by the CSAPR Update, to address its statutory
obligation under CAA section 110(a)(2)(D)(i)(I) for the 2008 ozone
NAAQS. EPA's final approval of Kentucky's submission means that
Kentucky's obligations under 110(a)(2)(D)(i)(I) are fully addressed
through the combination of the 2016 CSAPR Update FIP and the 2018 SIP
demonstration showing that no
[[Page 33732]]
further reductions are necessary. As a result, EPA is also amending the
regulatory text at 40 CFR 52.940(b)(2) to reflect that the CSAPR Update
represents a full remedy with respect to Kentucky's transport
obligation for the 2008 ozone NAAQS.
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\5\ EPA notes that to the extent there are any conflicts between
the rationale provided in the NPRM for the proposed approval and the
rationale provided in this action, statements made in this document
should be treated as the controlling basis for EPA's final action
approving Kentucky's SIP submission.
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III. Response to Comments
The Regional Administrator signed the proposed rule on April 9,
2018, and on April 12, 2018, EPA made a prepublication version of the
proposal available on its website. The 30-day public comment period on
the proposed rulemaking began on April 18, 2018, the day of publication
of the proposal in the Federal Register, and closed on May 18, 2018.
EPA received 15 comments on the proposed action, 10 of which are
relevant to the proposal. The relevant comments were submitted by the
Connecticut Department of Energy and Environmental Protection, Delaware
Department of Natural Resources & Environmental Control, Maryland
Department of the Environment, Midwest Ozone Group, New Jersey
Department of Environmental Protection, New York State Department of
Environmental Conservation (NYDEC), New York State Office of the
Attorney General, Sierra Club and Chesapeake Bay Foundation, and
Utility Air Regulatory Group. The remaining comments were outside the
scope of the proposed action. This section contains summaries of the
relevant comments and EPA's responses to those comments.
Comment: One commenter states that existing measures, including
volatile organic compounds (VOC) and NOX requirements for
EGUs, industrial sources, and mobile sources within Kentucky, have
brought Kentucky into attainment of both the 2008 and 2015 ozone NAAQS.
The commenter states that the issue being addressed in the proposed SIP
is whether these existing measures also satisfy Kentucky's ``good
neighbor'' requirements for the 2008 ozone NAAQS. The commenter states
that 2023 is the appropriate analytic year for evaluation of ozone
transport issues related to the 2008 ozone NAAQS. The commenter points
to the October 2017 Transport Memo and its modeling results as
demonstrating that there is no need to conduct any further analysis of
EPA's four-step transport framework. The commenter states its support
of both EPA and Alpine modeling showing no downwind air quality
problems related to the 2008 ozone NAAQS and cites a report prepared
for the commenter by Alpine indicating that all sites identified in the
final CSAPR Update will have design values below the 2008 ozone NAAQS
by 2023 and that therefore no states are required to estimate their
contributions to these monitors. The commenter states in conclusion
that recent modeling performed by EPA as well as by Alpine indicate
that implementation of the CSAPR Update, in addition to other on-the-
books controls, are all that are needed to satisfy requirements related
to the 2008 ozone NAAQS, and indicates commenter's support for
Kentucky's request that EPA approve its ``good neighbor'' SIP.
An additional commenter expresses support for EPA to finalize
approval of Kentucky's section 110(a)(2)(D)(i)(I) SIP submission and
further states its support for Kentucky's reliance on EPA's modeling
analysis. The commenter states that the EPA analysis released in the
October 2017 Transport Memo was consistent with the four-step
framework, and that it was not necessary to complete all four steps
because no receptor in the eastern United States is expected to have
problems attaining or maintaining the 2008 ozone NAAQS in 2023. The
commenter states that 2023 is the modeling year used in EPA's modeling
because that is the earliest year by which it is feasible to install
controls across the CSAPR Update region and states its support of EPA's
decision to evaluate the feasibility of installing controls on a
regional basis rather than on a state-by-state or unit-by-unit basis.
The commenter further states that EPA properly considered upcoming
attainment dates and the need to consider future effects of local,
state, and federal emission reduction requirements in order to avoid
unlawfully mandating over-control. The commenter concludes that EPA's
modeling analysis is reasonable and that EPA's approval is proper even
without additional information from Kentucky. In support of its
assertion that EPA should finalize its approval, the commenter notes
that Kentucky also provides state-specific information to further
demonstrate that reliance on EPA's modeling is appropriate in the
context of this SIP and modeling performed by Alpine that is consistent
with EPA's results.
Response: EPA agrees with the commenters' assertions as to the
appropriateness of 2023 as an analytic year and other specifics of
EPA's analysis as documented in the October 2017 Transport Memo. EPA
acknowledges receipt of the Alpine report and recognizes that it
demonstrates similar 2023 design values to those projected by EPA's
modeling.
Comment: One commenter states that, although it appreciates the
emissions reductions made thus far by Kentucky, EPA must disapprove
Kentucky's proposed SIP as it does not fulfill the CAA's good neighbor
obligations. Another commenter states that, while New York will
continue to control air pollution, it does not have the authority to
control sources in upwind states and that EPA must disapprove the
Kentucky submission. Additional commenters state opposition to EPA's
proposed approval, and assert that EPA should disapprove Kentucky's SIP
submission.
Response: EPA disagrees with the commenters' contentions that EPA
should disapprove Kentucky's submittal because it does not fulfill the
CAA's good neighbor obligations. As explained in the proposed
rulemaking and further in this action, based on EPA's modeling and with
implementation of the CSAPR Update and other measures, Kentucky is not
expected to significantly contribute to nonattainment or interfere with
maintenance of the 2008 ozone NAAQS in downwind states in 2023.
Kentucky provided information showing that the use of the modeling is
appropriate in this context, and also included additional modeling that
showed results consistent with EPA's modeling. Thus, Kentucky's draft
submission is approvable because it demonstrated that emission activity
from the State will not contribute significantly to nonattainment or
interfere with maintenance of the 2008 8-hour ozone NAAQS in any other
state after implementation of all on-the-books measures, including the
CSAPR Update.
To the extent that these comments are general statements stating
opposition to EPA's action and are intended to incorporate other,
specific comments made by commenters, EPA has addressed the specific
concerns later in this preamble.
Comment: One commenter states that EPA's determination of
significant contribution should be based upon current data, and to base
the determination on 2023 modeling ignores New York's 2021 attainment
deadline and adds too much uncertainty and speculation to the
determination of whether Kentucky significantly contributes to
nonattainment or interferes with maintenance in New York and other
states.
Response: EPA does not agree that it is inappropriate to rely on
modeled projections for a future year, rather than current data, to
analyze ozone concentrations in downwind states. Consistent with
historical practice, Kentucky and EPA have focused their analysis in
this action on a future year in light of the forward-looking nature of
the good neighbor obligation in section
[[Page 33733]]
110(a)(2)(D)(i)(I). Specifically, the statute requires that states
prohibit emissions that ``will'' significantly contribute to
nonattainment or interfere with maintenance of the NAAQS in any other
state. EPA reasonably interprets this language as permitting states and
EPA in implementing the good neighbor provision to evaluate downwind
air quality problems, and the need for further upwind emission
reductions, prospectively. In EPA's prior regional transport
rulemakings, the Agency generally evaluated whether upwind states
``will'' significantly contribute to nonattainment or interfere with
maintenance based on projections of air quality in the future year in
which any emission reductions would be expected to go into effect. See,
e.g., NOX SIP Call, 63 FR 57377 (using the anticipated 2007
compliance year for its analysis); CAIR, 70 FR 25241 (using the years
2009 and 2010, the anticipated compliance years for the ozone and fine
particulate matter (PM2.5) NAAQS, respectively); CSAPR, 76
FR 48211 (using the 2012 compliance year); CSAPR Update, 81 FR 74537
(using the 2017 compliance year). The D.C. Circuit affirmed EPA's
interpretation of ``will,'' finding EPA's consideration of future
projected air quality (in addition to current measured data) to be a
reasonable interpretation of an ambiguous term. North Carolina, 531
F.3d at 913-14. Thus, consistent with this precedent, it is reasonable
for EPA to analyze air quality in an appropriate future compliance year
to evaluate any remaining obligation for the 2008 ozone NAAQS.
EPA also does not agree that the 2023 modeling is too uncertain or
speculative as compared to current data. As discussed in more detail
later, courts' rulings have deferred to EPA's reasonable reliance on
modeling to inform its policy choices, notwithstanding that no model is
perfect and there may be some level of discrepancy between modeled
predictions what eventually occurs. Comments regarding the relationship
between the future analytic year and the attainment date are also
addressed later in this preamble.
Comment: One commenter states that the plain meaning of section
110(a)(2)(D) requires Kentucky to prohibit contributing emissions prior
to the 2008 ozone attainment dates set for downwind states, i.e., by
2018 for moderate nonattainment areas. The commenter contends that the
D.C. Circuit adopted this plain reading, finding the statute
unambiguously requires compliance with NAAQS attainment deadlines in
North Carolina, 531 F.3d at 911-12. The court based its conclusion on
the requirement that implementing provisions be consistent with Title I
of the CAA, finding the plan must be consistent with both the
substantive and procedural requirements of NAAQS compliance. Id. at
911. The commenter states that the court also held that compliance must
be achieved in time for attainment determinations for downwind states
expected to be close to the NAAQS so as not to ``interfere with
maintenance.'' Id. at 908-09.
The commenter further states that the CAA establishes attainment
dates for the 2008 ozone NAAQS ``as expeditiously as practicable'' but
no later than 3, 6, 9, 15, or 20 years--depending on area
classification--after the designation. The commenter contends that, in
NRDC v. EPA, 777 F.3d 456 (D.C. Cir. 2014), the court rejected EPA's
attempt to extend the 2008 ozone NAAQS compliance deadlines by several
months, holding that the CAA requires attainment dates be set at the
statutorily fixed term of time from the date of designations.
The commenter therefore asserts that section 110(a)(2)(D)(i)(I)
does not allow Kentucky to wait until 2023 nor does it grant EPA
discretion to extend compliance deadlines. The commenter contends that,
by 2023, the harms the good neighbor provisions were intended to avoid
will have already befallen downwind states. Accordingly, the commenter
states that Kentucky must take immediate steps to offset past over-
pollution. In a footnote, the commenter notes that prior legal
precedent indicates that attainment dates are ``central to the
regulatory scheme,'' Sierra Club v. EPA, 294 F.3d 155, 161 (D.C. Cir.
2002), and ``leave no room for claims of technological or economic
feasibility,'' NRDC, 777 F.3d at 468.
Another commenter points to 2015-2017 design values at monitors in
the NJ-NY-CT nonattainment area that are above the standard at 83 ppb
(the Stratford monitor) and 82 ppb (the Westport monitor). The
commenter states that design values indicate that the area can expect
to be reclassified as ``serious'' with an attainment deadline of July
2021, based on a 2020 design value. The commenter contends that the
Kentucky SIP is deficient because it relies on a future year that does
not adequately reflect the appropriate attainment year of the impacted
nonattainment area. Because the moderate attainment deadline has
passed, the commenter states that modeling for the next attainment date
of July 2021 (based on 2020 design values) should be conducted.
The commenter asserts that downwind states significantly impacted
by ozone pollution will be unable to meet attainment deadlines if good
neighbor SIPs are not done prior to the attainment deadline of the
downwind nonattainment areas. The commenter asserts the CAA recognizes
this since the good neighbor provision is required to be addressed
ahead of the attainment demonstration requirements for nonattainment
areas. The commenter notes that Kentucky's significant contributions
for the 2008 ozone NAAQS therefore should have been addressed by March
2011. The commenter states that 2023 is an inappropriate future year
for modeling because it falls after both the July 2018 moderate
classification deadline and the July 2021 serious classification
deadline.
One commenter states that the tri-state New York City metropolitan
area struggles to attain the 2008 ozone NAAQS, with 2017 design values
up to 83 ppb, due in significant part to interstate transport of ozone
precursors from upwind states like Kentucky. The commenter notes that
NYDEC requested a reclassification of the area to ``serious''
nonattainment due to the inevitability of missing the moderate area
attainment deadline. The commenter therefore asserts that the 2023
modeling year relied upon by EPA and Kentucky is well beyond--and fails
to take into account--the attainment deadline for ``serious''
nonattainment areas.
The commenter further states that had EPA met its 2015 FIP deadline
for Kentucky, it could have mandated controls that would be installed
and operating in time to benefit New York's ``serious'' nonattainment
deadline.
One commenter contends that EPA's proposed approval fails to
account for New York's upcoming attainment deadlines for the 2008 ozone
NAAQS. The commenter asserts that the New York metropolitan area has
struggled to attain the 2008 ozone NAAQS, with 2017 design values of up
to 83 ppb. The commenter asserts that EPA admitted the CSAPR Update was
only a partial remedy for downwind states such as New York, and that
additional reductions may be required from upwind states, including
Kentucky. CSAPR Update modeling projected that New York would remain in
nonattainment past its July 20, 2018 statutory attainment deadline. On
November 10, 2017, NYDEC requested a reclassification to ``serious''
nonattainment, due to the inevitability of missing the July 20, 2018
moderate area attainment deadline, which the state attributed in large
part to
[[Page 33734]]
transported emissions from upwind states such as Kentucky. The
reclassification carries an attainment deadline of July 20, 2021, based
on 2018-2020 monitoring data.
The commenter asserts that 2023 modeling analysis takes no account
of New York's current and likely new attainment deadlines, in direct
conflict with settled law under the Act. To be fully compliant, the
commenter believes a good neighbor SIP must eliminate significant
contribution to downwind nonattainment or interference with maintenance
by the deadlines for downwind areas to attain the NAAQS. EPA's proposed
approval only discusses this deadline in its conclusion that emission
reductions will not be achieved in time to meet it. The commenter
asserts that EPA cannot approve a SIP that delays eliminating emissions
that presently contribute to downwind nonattainment past New York's
attainment deadlines.
One commenter challenges the future year selection of 2023 and
states that it perpetuates Connecticut citizens' health and economic
burdens. The commenter states that Connecticut faces a reclassification
to serious nonattainment, has previously been reclassified to moderate,
and has not met attainment due to ``overwhelming'' transport from
upwind areas, including Kentucky.
Response: EPA disagrees that it has failed to consider the
appropriate attainment dates in relying on the 2023 modeling results to
approve Kentucky's SIP submission.
First, to the extent the commenters suggest that the current
measured design values may preclude EPA's reliance on modeled
projections, EPA does not agree. As explained earlier in this action,
EPA has reasonably interpreted the term ``will'' in the good neighbor
provision as permitting states and EPA in implementing the good
neighbor provision to evaluate downwind air quality problems, and the
need for further upwind emission reductions, prospectively and
coordinated with anticipated compliance timeframes. See North Carolina,
531 F.3d at 913-14.
EPA further disagrees that the D.C. Circuit's North Carolina
decision constrains EPA to choosing the next relevant attainment date
as its future analytic year. The North Carolina decision faulted EPA
for not giving any consideration to upcoming attainment dates in
downwind states when setting compliance deadlines for upwind emissions;
there, EPA had evaluated only the feasibility of implementing upwind
controls. Id. at 911-12. But the court did not hold that the CAA
imposes strict deadlines for the implementation of good neighbor
emission reductions. Nor did the court opine that EPA would never be
justified in setting compliance dates that post-date downwind
attainment dates or consider the feasibility of implementing upwind
emission reductions. Indeed, in remanding the rule, the D.C. Circuit
acknowledged that upwind compliance dates may, in some circumstances,
follow attainment dates. Id. at 930 (instructing EPA to ``decide what
date, whether 2015 or earlier, is as expeditious as practicable for
states to eliminate their significant contributions to downwind
nonattainment'').\6\
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\6\ EPA also disagrees with the commenters' contention that the
North Carolina decision explicitly requires emission reductions, 531
F.3d at 911-912, necessary to address the ``interfere with
maintenance clause'' of the good neighbor provision to be aligned
with downwind attainment dates. The commenters are conflating the
court's holding that EPA should consider downwind attainment dates
when setting compliance schedules for upwind state emission
reductions with the court's separate holding that EPA must give
independent significance to the ``interfere with maintenance''
clause when identifying downwind air quality problems. id. at 910-
911. The court did not explicitly indicate whether EPA was required
to align emission reductions associated with maintenance receptors
with downwind attainment dates, indicating only that EPA must
``provide a sufficient level of protection to downwind states
projected to be in nonattainment as of'' the future analytic year.
Id. at 912 (emphasis added).
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While the commenters suggest that the court's reference to the
phrase ``consistent with the provisions of this subchapter''--i.e., CAA
Title I--imports downwind attainment dates from section 181 into the
good neighbor provision, CAA section 181 itself does not impose
inflexible deadlines for attainment. The general timeframes provided in
the section 181(a)(1) table may be (and often are) modified pursuant to
other provisions in section 181, considering factors such as measured
ozone concentrations and the feasibility of implementing additional
emission reductions. For example, the six-year timeframe for attainment
of the 2008 ozone NAAQS in moderate areas could be extended by up to
two years (to 2020), pursuant to section 181(a)(5). And pursuant to
section 181(b)(2), when downwind areas are unable to implement
sufficient reductions via feasible control technologies by one
attainment date, those areas will be ``bumped up'' in classification
and given a new attainment date with additional time to attain. With
``bump-ups'' like this, the date for an area to attain the 2008 ozone
NAAQS could be extended to 2021, 2027, and 2032, and each of these
deadlines could be subject to further extensions of up to two years
pursuant to section 181(a)(5). See also Whitman v. Am. Trucking Ass'ns,
Inc., 531 U.S. 457, 493-94 (2001) (Breyer concurring) (considerations
of costs and technological feasibility may affect deadlines selected by
EPA). Thus, the commenters' premise that all upwind emission reductions
must occur before the earliest downwind attainment date, feasible or
not, is inconsistent with the framework of section 181 as it applies to
downwind states.
Similarly, the D.C. Circuit's decision in NRDC, 777 F.3d at 468,
does not stand for the proposition that EPA should ignore the
feasibility of implementing emission reductions when addressing the
good neighbor provision, or that such emission reductions are strictly
required to be in place by a date certain. There, EPA had set 2008
ozone standard attainment dates in December 2015 so that downwind
states could use data from the 2015 ozone season to demonstrate
attainment. Id. at 465. The NRDC court simply held that section
181(a)(1) did not allow EPA this type of flexibility. The court's
holding in NRDC did not speak to state planning or implementation
requirements that apply for areas subject to those dates, or the
various ways in which the date may be legally extended under the CAA.
NRDC is therefore inapposite as to how the good neighbor provision
should be harmonized with CAA statutory or regulatory dates for
downwind states.
Here, EPA has considered the downwind attainment dates for the 2008
ozone NAAQS, consistent with the court's holding in North Carolina. As
the commenters note, areas classified as moderate nonattainment areas
currently have attainment dates of July 20, 2018, but the 2017 ozone
season was the last full season from which data could be used to
determine attainment of the NAAQS by that date. Given that the 2017
ozone season has now passed, it is not possible to achieve additional
emission reductions by the moderate area attainment date. It is
therefore necessary to consider what subsequent attainment dates should
inform EPA's analysis. The next attainment dates for the 2008 ozone
NAAQS will be July 20, 2021, for nonattainment areas classified as
serious, and July 20, 2027, for nonattainment areas classified as
severe.\7\ Because the various attainment
[[Page 33735]]
deadlines are in July, which is in the middle of the ozone monitoring
season for all states, data from the calendar year immediately prior to
the attainment date (e.g., data from 2020 for the 2021 attainment date
and from 2026 for the 2027 attainment date) are the last data that can
be used to demonstrate attainment with the NAAQS by the relevant
attainment date.
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\7\ While there are no areas (outside of California) that are
currently designated as serious or severe for the 2008 ozone NAAQS,
the CAA requires that EPA reclassify to serious any moderate
nonattainment areas that fail to attain by their attainment date of
July 20, 2018. Similarly, if any area fails to attain by the serious
area attainment date, the CAA requires that EPA reclassify the area
to severe.
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As discussed in the NPRM and later in this action, EPA has also
considered the timeframes that would likely be required for
implementing further emissions reductions as expeditiously as
practicable and concluded that additional control strategies at EGUs
and non-EGUs could not be implemented by the July 2021 serious area
attainment date, and certainly not by the 2020 ozone season immediately
preceding that attainment date. This consideration of feasibility is
consistent with the considerations affecting the statutory timeframes
imposed on downwind nonattainment areas under section 181. Therefore,
because new emissions controls for sources in upwind states cannot be
implemented feasibly for several years, and at that later point in time
air quality will likely be cleaner due to continued phase-in of
existing regulatory programs, changing market conditions, and fleet
turnover, it is reasonable for EPA to evaluate air quality (at step one
of the four-step framework) in a future year that is aligned with
feasible control installation timing in order to ensure that the upwind
states continue to be linked to downwind air quality problems when any
potential emissions reductions would be implemented and to ensure that
such reductions do not over-control relative to the identified ozone
problem.
Comment: One commenter notes that Delaware's Sussex County is a
standalone nonattainment area and New Castle County is part of the
Philadelphia-Wilmington-Atlantic City, PA-NJ-MD-DE nonattainment area
(Philadelphia NAA), with an attainment date of July 20, 2015. The CAA
requires states to attain the ozone standards as expeditiously as
practicable, but states significantly impacted by ozone pollution from
upwind states will be unable to do so if good neighbor SIPs are not
submitted with adequate remedies implemented prior to downwind
attainment dates. Such SIPs are required to be addressed prior to the
submission of attainment demonstrations by nonattainment areas, such
that Kentucky should have addressed its significant contribution for
the 2008 ozone NAAQS by March 2011. The commenter notes that states,
including Kentucky, failed to submit SIPs and EPA failed to issue FIPs
until the CSAPR Update was issued on October 26, 2016, well after the
attainment dates for many areas, including Delaware.
The commenter contends that EPA should have acted in a timely
manner when states failed to adopt good neighbor provisions, and
contends that Kentucky should have tied its analysis of significant
contribution to the air quality at the time designations were made. The
commenter asserts that EPA should have coupled its analysis and remedy
with marginal attainment dates, as the first deadline for which
nonattainment areas had to attain the standard. The commenter notes
that EPA aligned its modeling analysis and implementation of the CSAPR
Update with the moderate area attainment dates in 2018. While the
commenter acknowledges that EPA could not have tied implementation of
the CSAPR Update to the 2015 marginal area attainment date which had
already passed, the commenter contends EPA should have addressed the
need for good neighbor reductions relative to marginal nonattainment by
aligning contribution modeling analysis for those states to some
timeframe prior to the marginal attainment deadline. Instead, EPA's
process takes place after the attainment dates, at which point EPA
concludes that Delaware and all other areas outside of California do
not need reductions to attain and maintain the NAAQS.
Response: As explained earlier in this action, EPA has reasonably
interpreted the term ``will'' in the good neighbor provision as
permitting states and EPA in implementing the good neighbor provision
to evaluate downwind air quality problems, and the need for further
upwind emission reductions, prospectively and coordinated with
anticipated compliance timeframes. See North Carolina, 531 F.3d at 913-
14. Accordingly, EPA does not agree that Kentucky should tie its
analysis to either the date when designations were made or the marginal
area attainment date, both of which have now passed. Were EPA to have
evaluated good neighbor obligations based on a retrospective analysis
of downwind air quality, the Agency could not have ensured that any
emission reductions that may have been required would actually be
necessary to address downwind air quality problems at the time they
were implemented, which could result in impermissible over-control
under the Supreme Court's holding in EPA v. EME Homer City Generation,
L.P., 134 S. Ct. 1584, 1608 (2014) (EME Homer City). Whether Kentucky
or EPA acted in a timely manner to develop a SIP or promulgate a FIP,
respectively, does not lessen the obligation to comply the Supreme
Court's holding in the present action.
Comment: One commenter alleges that EPA's decision to untether its
action from statutory nonattainment dates and instead focus on 2023 is
arbitrary and capricious, as the ``agency has relied on factors which
Congress has not intended it to consider'' and ``entirely failed to
consider an important aspect of the problem.'' Motor Vehicle Mfrs.
Ass'n v. State Farm Mut. Auto. Ins. Co., 463 U.S. 29, 43 (1983). The
commenter suggests that EPA takes a novel approach of selecting an
analytic year five years in the future based on concerns that by the
time any controls can be implemented, they may no longer be needed. The
commenter cites both CSAPR and the CSAPR Update as examples of how EPA
analyzed projected emissions in the upcoming year. The commenter states
that EPA's logic is almost tantamount to urging upwind states to wait
because downwind states will take care of the problem themselves.
The commenter states that technical feasibility has been
specifically rejected as a basis for ignoring attainment deadlines in
North Carolina, and over-control is at best a secondary factor which
does not justify complete departure from the plain text and controlling
precedent. The commenter states that EPA's emphasis on over-control is
contrary to EME Homer City, stating that when the Supreme Court upheld
the consideration of cost-effectiveness in CSAPR and upheld EPA's
immediate issuance of a FIP after disapproving a SIP, the Court clearly
indicated that the key statutory mandate of the good neighbor provision
is to expeditiously ``maximize achievement of attainment downwind.''
134 S. Ct. at 1590. The Court made concern about over-control secondary
to that goal. Id. at 1609.
The commenter further asserts that reliance on feasibility of
implementing controls to justify delaying action or analysis until 2023
is foreclosed by North Carolina, which specifically rejected the
compliance deadlines in CAIR that were based on feasibility restraints
but were not consistent with compliance deadlines for downwind states.
When EPA has considered feasibility in analyzing ozone related good
neighbor obligations since North Carolina, it has not been in the
context of selecting an analytic year, but in allocating emission
budgets. The commenter states that EPA's argument regarding feasibility
also includes the
[[Page 33736]]
need for additional time for planning and coordination between EPA and
states, but asserts that the courts have rejected claims that
additional time is necessary to improve the quality or soundness of
regulations. Sierra Club v. Johnson, 444 F. Supp. 2d 46, 53 (D.D.C.
2006).
One commenter states that EPA should focus on achieving available
emission reductions on or before the 2020 ozone season (the next
applicable attainment date), rather than looking ahead to 2023. The
commenter states that by focusing on the timeframes to install new
controls, EPA has not conducted an analysis of reductions available in
the near term to see if there are additional NOX reduction
strategies that are available prior to 2023. The commenter identified
optimization of previously installed post-combustion controls as a
potential NOX reduction strategy with reductions available
immediately and at low cost. The commenter stated that EPA's concern
with over-control must be evaluated relative to the attainment
deadlines for the standard. Therefore, relying on EPA's 2023 modeling
is inconsistent with the intent of the CAA to achieve standards as
expeditiously as practicable.
Another commenter states that EPA's rationale for use of a 2023
modeling year rests on a speculative guess of the time required for two
categories of cost-effective controls to be installed, starting from
the date of its approval. The commenter contends that EPA cannot rely
on the cost-effectiveness of EGU controls as the exclusive
consideration in justifying a further five-year delay when a full
remedy for Kentucky has already been unlawfully delayed for years. Even
if EPA has a general duty to avoid over-control of upwind emissions, it
cannot point to this duty to justify a strategy that postpones
necessary controls. Rather, EPA should require these controls now, and
then reevaluate them in a few years at the point when the purported
over-control may actually occur.
Response: EPA disagrees with the commenters' assertion that EPA has
inappropriately weighted concerns about over-control of upwind state
emissions. The Supreme Court and the D.C. Circuit have both held that
EPA may not require emissions reductions (at step three of the
framework) that are greater than necessary to achieve attainment and
maintenance of the NAAQS in downwind areas. EME Homer City, 134 S. Ct.
at 1608; EME Homer City Generation, L.P. v. EPA, 795 F.3d 118, 127
(D.C. Cir. 2012) (EME Homer City II). While the Supreme Court indicated
that ``EPA must have leeway'' to balance the possibilities of under-
control and over-control and that ``some amount of over-control . . .
would not be surprising,'' the Court did not indicate that such over-
control was required. 134 S. Ct. at 1609. Rather, the Court held, ``If
EPA requires an upwind State to reduce emissions by more than the
amount necessary to achieve attainment in every downwind State to which
it is linked, the Agency will have overstepped its authority, under the
Good Neighbor Provision.'' Id. at 1608. On remand in EME Homer City II,
the D.C. Circuit gave that holding further meaning when it determined
that the CSAPR phase 2 ozone season NOX budgets for 10
states were invalid because EPA's modeling showed that the downwind air
quality problems to which these states were linked when EPA evaluated
air quality projections in 2012 would be entirely resolved by 2014,
when the phase 2 budgets were scheduled to be implemented. 795 F.3d at
129-30. Thus, the Court did not find that over-control was a secondary
consideration, but rather that it was a constraint on EPA's authority.
To the extent that the commenters note that EPA chose an earlier
analytic year in prior rulemakings, EPA notes that it has not done so
in all rulemakings. In the NOX SIP Call, EPA evaluated air
quality in 2007, nine years after the rule was promulgated. 63 FR 57377
(October 27, 1998). In CAIR, which was promulgated in 2005, EPA
evaluated air quality in 2009 and 2010, for the ozone and
PM2.5 NAAQS, respectively. 70 FR 25241 (May 12, 2005). Thus,
EPA's approach in this action is not inconsistent with these prior
actions. Although EPA evaluated relatively more near-term air quality
in CSAPR and CSAPR Update, EPA expected that certain cost-effective
emission reductions could be implemented in the near-term in those
actions. Here, EPA has already analyzed and implemented those cost-
effective control strategies that could be implemented quickly
(including the optimization of existing post-combustion controls) to
address the 2008 ozone NAAQS through the CSAPR Update FIPs.
Accordingly, any further emission reductions that may be required to
address the 2008 ozone NAAQS would necessarily be implemented through
control strategies that cannot be implemented in the near term and
require a longer period for implementation. In addition, NOX
emissions levels are expected to decline in the future through the
combination of the implementation of existing local, state, and federal
emissions reduction programs and changing market conditions for
generation technologies and fuels.\8\ Therefore, were EPA to evaluate
downwind ozone concentrations and upwind state linkages in a future
year that precedes the date when actual compliance is anticipated
(i.e., the timeframe within which additional control strategies can
feasibly be implemented), EPA could not ensure that the emission
reductions will be ``necessary to achieve attainment'' in any downwind
area by the time they were implemented. Such an approach would only
replicate the circumstances the D.C. Circuit found impermissible in
CSAPR.
---------------------------------------------------------------------------
\8\ Annual Energy Outlook 2018. Electricity Supply, Disposition,
Prices, and Emissions. Reference Case. Department of Energy, Energy
Information Administration.
---------------------------------------------------------------------------
The commenter's citation to Sierra Club v. Johnson is inapposite.
In that case, EPA sought more time to promulgate regulations under the
CAA after failing to perform the mandatory duties within the
statutorily prescribed timeframe. 444 F. Supp. 2d at 52. Therefore, the
court's reference to the Agency's need for ``additional time'' is in
reference to the time required to conduct the rulemaking process. Id.
at 53. The court was not interpreting the requirements of the good
neighbor provision or any other provision regarding the time required
for states or sources to implement controls under the CAA.
Finally, the commenters misunderstand EPA's evaluation to the
extent they suggest that EPA relied on the cost-effectiveness of
controls for this action. EPA evaluated the feasibility of implementing
various control options, without regard to cost, that had not
previously been included in EPA's analysis of cost-effective controls
in the CSAPR Update. EPA concluded that additional controls on either
EGUs or non-EGUs--when considering multiple projects across multiple
states and allowing for planning and permitting--would generally
require four years or more to implement, which would lead to an
implementation timeframe associated with the 2023 ozone season. Because
the air quality modeling results for 2023 showed that air quality
problems in the eastern U.S. would be resolved by 2023, EPA did not
further evaluate the cost-effectiveness of the control options
considered for the feasibility analysis.
Comment: One commenter contends that EPA's insistence on fleetwide
compliance is based on a circular argument wherein such a scheme would
[[Page 33737]]
cause labor and material shortages that would, in turn, require four
years to implement, at which point they will be unnecessary. The
commenter points out that this means there will be no labor shortage.
The commenter notes that this is contrary to EPA's prior approaches in
CSAPR where the agency segregated controls based on feasibility,
including multiple phases, and conducted emissions analyses for both
phases.
One commenter states that EPA cannot rely on its analysis of
alleged labor and materials shortages relating to installation of new
controls at a ``fleet'' level. While EPA may prefer a regional
approach, Congress did not establish a regional implementation plan
requirement or mechanism, and EPA is not considering whether to approve
a regional transport rule, nor a group of SIPs or FIPs. EPA is
proposing to approve a single SIP from a single state and has not
undertaken a study of the labor or materials market in Kentucky.
Therefore, EPA's justification for allowing the delay of EGU controls
for up to 48 months based on its speculative estimate of the time
needed to install these controls on all sources within some
unidentified region is arbitrary and capricious.
One commenter states EPA's approach to evaluating potential
NOX controls on a regional, rather than state-specific,
basis ``undermines the intent of the CAA'' and causes Connecticut to be
required to spend more to attempt to comply with the CAA than states
that emit and contribute more to Connecticut's ozone problem.'' The
commenter states as an example that it recently promulgated a
reasonably available control technology (RACT) rule with a minimum
control cost of $13,000 per ton. The commenter states that EPA's under
controlling of emissions has led to delays in attainment and added cost
for Connecticut despite ozone exceedances being overwhelmingly due to
transported emissions.
One commenter states that guidance provided in an informational
memorandum issued by EPA in January 2015 \9\ specifically references
upwind state responsibilities in determining the states' good neighbor
SIP transport obligations. EPA further states in its proposal that it
believes the most appropriate approach to evaluating potential upwind
obligations for Kentucky (where several other states are also linked to
the Harford County receptor) is to evaluate potential NOX
control strategies on a regional, rather than state-specific basis. The
commenter asserts that this is inconsistent with the scope of EPA's SIP
approval authority under CAA section 110, which involves intra-state,
rather than regional, plans to attain the NAAQS. The commenter also
contends that EPA's position is contrary to its previous positions in
denying Maryland's request for a super-regional nonattainment area
under CAA section 107, and in denying Maryland's section 176A petition
requesting expansion of the Ozone Transport Region (OTR). To the
contrary, EPA stated in those actions that CAA sections 110 and 126
were more appropriate mechanisms for controlling interstate pollution
transport.
---------------------------------------------------------------------------
\9\ Memorandum from Stephen D. Page to Regional Air Division
Directors, ``Information on the Interstate Transport `Good Neighbor'
Provision for the 2008 Ozone National Ambient Air Quality Standards
(NAAQS) under Clean Air Act (CAA) Section 110(a)(2)(D)(i)(I)''
(January 22, 2015) (January 2015 Transport Memo), available at
https://www.epa.gov/sites/production/files/2015-11/documents/goodneighborprovision2008naaqs.pdf.
---------------------------------------------------------------------------
Response: EPA disagrees with the commenters that it is
inappropriate to evaluate the feasibility of implementing
NOX controls on a regional or fleetwide basis. EPA's
analysis of the feasibility of NOX control strategies
reflects the time needed to plan for, install, test, and place into
operation new EGU and non-EGU NOX reduction strategies
regionally--i.e., across multiple states. This regional analytic
approach is consistent with the regional nature of interstate ozone
pollution transport. The Agency adopted this approach based on previous
interstate ozone transport analyses showing that where eastern downwind
ozone problems are identified, multiple upwind states typically are
linked to these problems. See 81 FR at 74538 (October 26, 2016).
Specifically of relevance to this action, EPA's assessment in the CSAPR
Update found that 21 states would continue to contribute greater than
or equal to 1 percent of the 2008 ozone NAAQS to identified downwind
nonattainment or maintenance receptors in multiple downwind states in
2017, even after implementation of the CSAPR Update FIPs. Thus, to
reasonably address these ozone transport problems, EPA must identify
and apportion emission reduction responsibility across multiple upwind
states. In other words, EPA's analysis should necessarily be regional,
rather than focused on individual linkages. Where such an analysis is
needed for multiple states, the inquiry into the availability and
feasibility of control options is necessarily considerably more
complicated than for a single state or sector.
EPA further disagrees that this approach is inconsistent with EPA's
prior rulemakings, like CSAPR, where the Agency implemented controls in
multiple phases. In CSAPR, EPA evaluated downwind air quality and
upwind state linkages based on 2012 air quality and contribution
modeling. The commenter is correct that EPA then implemented two phases
of emission budgets, with a first phase of reductions implemented
beginning in 2012 and a second phase of reductions implemented
beginning in 2014. However, in subsequent litigation, a number of the
phase 2 ozone season NOX emission budgets were remanded
because EPA's modeling showed that there would no longer be downwind
air quality problems in many areas in 2014. See EME Homer City II, 795
F.3d at 129-30. Thus, EPA cannot require additional emission reductions
in a future year if EPA's data show that there will no longer be
downwind air quality problems in that year. Here, EPA implemented a
first phase of post-CSAPR emission reductions in 2017 via the CSAPR
Update. In this action, Kentucky and EPA have evaluated whether a
second phase of post-CSAPR emission reductions is necessary and
authorized by the good neighbor provision and determined that it is not
because downwind air quality problems identified in 2017 with respect
to the 2008 ozone NAAQS will be resolved by 2023.
EPA does not agree that this approach is inconsistent with the
scope of EPA's authority under section 110. The fact that EPA is, in
this action, acting on a single SIP does not alter the regional nature
of ozone pollution transport. As the Supreme Court noted, the good
neighbor provision presents a ``thorny causation problem'' with respect
to ozone pollution transport in light of the ``collective and
interwoven contributions of multiple upwind States,'' EME Homer City,
134 S. Ct. at 1604. The Court affirmed EPA's consideration of the
problem on a regional rather than localized scale. Id. at 1606-07
(affirming EPA's use of cost to apportion upwind state emission
reduction responsibility). The Court did not indicate that this
endorsement of a regional assessment was appropriate only when EPA is
taking a regional action. Rather, it is reasonable for EPA to interpret
the implementation of the good neighbor provision for a particular
NAAQS consistently regardless of the scope of the action. Consistent
with this opinion, it is therefore also reasonable for EPA to view an
individual state's implementation plan through a regional lens.
EPA also does not agree that the Agency's approach to evaluating
interstate ozone transport under section
[[Page 33738]]
110 is inconsistent with its recent action on a section 176A petition
to expand the OTR or EPA's designations under section 107. EPA denied
the section 176A petition because it concluded that any remaining
interstate transport problems could be better addressed via the good
neighbor provision, which EPA and the states can use to make decisions
regarding which precursor pollutants to address, which sources to
regulate, and what amount of emission reductions to require,
flexibilities that are not available with respect to control
requirements applicable to sources in the OTR. See 82 FR 51244-46
(November 3, 2017). EPA did not deny the petition because it concluded
that ozone transport was not regional; on the contrary, EPA explicitly
acknowledged the regional nature of ozone transport in its action. See
82 FR 6511 (January 19, 2017).
With respect to the request for a super-regional nonattainment area
under section 107, EPA has consistently explained that such an approach
is not consistent with the statutory language.\10\ CAA section
107(d)(1) provides that areas designated nonattainment should include
any ``nearby'' area contributing to a violation of the NAAQS. EPA has
repeatedly explained that the proposal for broad super-regional
nonattainment areas go beyond this statutory definition by including
areas that are not necessarily ``nearby'' but contribute to
nonattainment through long-range transport, an issue that other
sections of the CAA, like the good neighbor provision, are designed to
address. Thus, rather than contradict EPA's analysis of ozone transport
regionwide, EPA's prior actions regarding requests for a super-regional
nonattainment area support EPA's view that such an approach is
appropriately applied under the good neighbor provision.
---------------------------------------------------------------------------
\10\ See, e.g., Responses to Significant Comments on the State
and Tribal Designation Recommendations for the 2008 Ozone National
Ambient Air Quality Standards (NAAQS), EPA-HQ-OAR-2008-0476-0675,
Section 3.1.2 (April 2012); New York-Northern New Jersey, Long-
Island, NY-NJ-CT Nonattainment Area, Final Area Designations for the
2015 Ozone National Ambient Air Quality Standards Technical Support
Document, at 28-29.
---------------------------------------------------------------------------
Finally, EPA does not agree that its conclusion that no additional
emission reductions would be required of upwind states undermines its
fleetwide analysis of labor and material shortages. EPA's analysis was
based on the assumption that if additional controls would be required
of upwind states, they would be required on a region-wide basis. This
was a reasonable assumption in light of the complex, regional nature of
ozone pollution transport. Had EPA identified remaining downwind air
quality problems in the future analytic year, it would have been
reasonable to assume that multiple upwind states would contribute to
any remaining air quality problem consistent with EPA's previous ozone
transport analyses and thus multiple upwind states could be required to
concurrently implement emission reductions. As explained earlier, while
EPA has phased-in application of controls in some circumstances, those
phases were implemented based on consistent, region-wide compliance
deadlines. The commenters do not explain how EPA could set different
compliance dates for different states in the CSAPR Update region to
require additional emission reductions while also insuring that states'
obligations were addressed in a consistent, non-arbitrary manner that
did not lead to over- or under-control.
Comment: One commenter states that EPA's argument that extensive
planning is required to install controls is uncompelling because EPA
has had ample time to plan. The CSAPR Update repeatedly emphasizes that
states, including Kentucky, were expected to have remaining obligations
after the implementation of the CSAPR Update. Moreover, EPA has been on
notice that it would be required to take action on Kentucky by June
2018 as required by court order.
Response: The commenter misunderstands EPA's reference to the
planning required to implement additional controls. The individual
sources, not EPA, must engage in appropriate planning anytime they
install new control devices. As discussed in more detail later,
installing new selective catalytic reduction (SCR) or selective non-
catalytic reduction (SNCR) controls for EGUs or non-EGUs generally
involves the following steps: Conducting an engineering review of the
facility; advertising and awarding a procurement contract; obtaining a
construction permit; installing the control technology; testing the
control technology; and obtaining or modifying an operating permit.\11\
Scheduled curtailment, or planned outage, for pollution control
installation would be necessary to complete either SCR or SNCR
projects. Given that peak demand for EGUs and rule compliance would
both fall in the ozone season, such sources would likely try to
schedule installation projects for the ``shoulder'' seasons (i.e., the
spring and/or fall seasons), when electricity demand is lower than in
the summer, reserves are higher, and ozone season compliance
requirements are not in effect. In addition to the coordination of
scheduled curtailment, an appropriate compliance timeframe would need
to accommodate the additional coordination of labor and material supply
necessary for any fleet-wide mitigation efforts. More details regarding
these considerations are outlined later in this preamble.
---------------------------------------------------------------------------
\11\ Final Report: Engineering and Economic Factors Affecting
the Installation of Control Technologies for Multipollutant
Strategies, EPA-600/R-02/073 (October 2002), available at https://nepis.epa.gov/Adobe/PDF/P1001G0O.pdf.
---------------------------------------------------------------------------
Many of these materials, installation, and labor concerns are also
relevant for non-EGU control technologies. Thus, the implementation of
new EGU and non-EGU NOX reduction strategies, especially
when implemented across a broad region of states, requires extensive
time and planning by the affected sources.
Moreover, while EPA indicated that the CSAPR Update may not fully
address states' good neighbor obligations, the Agency did not
definitively conclude that more emission reductions would necessarily
be required. Nor did the Agency indicate what sources would likely be
controlled, in which states, or via what control strategies if
additional emission reductions were in fact required. Thus, EPA does
not agree with the commenter's suggestion that it was reasonable for
any particular sources to begin planning for the implementation of new
controls before EPA or the states completed further analysis and
promulgated requirements actually requiring additional emission
reductions.
Comment: One commenter states that EPA's finding that
implementation of control strategies is not feasible until during or
after the 2022 ozone season is false and contradicted by the evidence
EPA presents. The commenter contends that EPA's conclusion that 48
months may be necessary to implement emission reductions is contrary to
EPA's own experience of pollution control and belied by EPA's own
finding that Kentucky will likely outperform its CSAPR Update
obligations. Both CSAPR and CSAPR Update were implemented on much
shorter timescales, with immediate reductions available in both cases
in under one year, and post-combustion controls being required within
three years under CSAPR.
Response: EPA has evaluated the feasibility of implementing
controls on a region-wide basis, considering markets for labor and
materials necessary for implementing controls across multiple sources
in multiple states. Thus, examples where individual sources might have
installed controls more
[[Page 33739]]
quickly do not speak to what is reasonable to require across a state or
a region, and therefore do not contradict EPA's analysis.
Moreover, EPA's projections of EGU emission levels in Kentucky in
2023 also do not contradict EPA's conclusion that 48 months should be
provided for the region-wide implementation of new NOX post-
combustion controls. Kentucky's CSAPR Update budget is not an emissions
floor. It represents emission reductions reflecting control strategies
determined to be cost-effective and feasible to implement by the first
compliance year in 2017 (e.g., SCR optimization). However, market
conditions that did not influence quantification of the budgets can
also drive further emission reductions in future years, including
variables such as low natural gas prices and new, lower-cost competitor
generation in downwind states, and can lead to utility decisions to
retire aging assets. In addition, sources may install new controls
after the 2017 ozone season that would not have been considered when
EPA calculated the budgets.\12\ These factors can and do lead to state-
emission levels often being significantly lower than its emission
budget in future compliance years. EPA's projected emissions level in
2023 captures these types of recently announced and known
infrastructure changes and fleet turnover and it is therefore
reasonable that the 2023 projected EGU emissions would be below
Kentucky's CSAPR Update budget established for a first compliance year
of 2017.
---------------------------------------------------------------------------
\12\ EPA notes that the only new post-combustion controls
assumed in EPA's projection of 2023 EGU emissions in Kentucky were
at Shawnee units 1 and 4. Both of these units were required to
implement SCR as of December 31, 2017 pursuant to a compliance
agreement with EPA finalized in 2011. See 76 FR 22095 (April 20,
2011) and https://www.epa.gov/enforcement/tennessee-valley-authority-clean-air-act-settlement.
---------------------------------------------------------------------------
While CSAPR and CSAPR Update were implemented more quickly than the
four years considered in this action, neither CSAPR nor CSAPR Update
anticipated that sources would implement new post-combustion
NOX controls. See 76 FR 48302 (August 8, 2011); 81 FR 74541
(October 26, 2016). Rather, the ozone season emission budgets for both
rules only considered the near-term emission reductions that could be
achieved from implementation of control strategies other than new post-
combustion controls, including the optimization of existing post-
combustion controls and implementation of new combustion controls. See
76 FR 48256 (August 8, 2011); 81 FR 74541 (October 26, 2016). With
respect to the 2008 ozone NAAQS, EPA already implemented the near-term
emission reductions that were cost-effective in the CSAPR Update.
Accordingly, EPA disagrees with the commenter's suggestion that there
may be substantial immediate NOX reductions available that
could be implemented on a more immediate timeframe at this time.
EPA notes that it did evaluate post-combustion controls in CSAPR
with respect to sulfur dioxide (SO2) emission reductions
necessary to address PM2.5 and established emission budgets
reflecting the possible implementation of scrubbers three years
following rule promulgation. However, to the extent labor and supply
markets were a consideration for installation timing requirements for
scrubbers in CSAPR in 2011, those variables may have changed over the
last seven years. Moreover, EPA established budgets for NOX
in CSAPR based on a cost threshold of $500 per ton, which was not
anticipated to drive significant, labor- and resource-intensive SCR
installation within that timeframe. See 76 FR 48302 (August 8, 2011).
Comment: One commenter asserts that EPA has not explained why it
still lacks information on the potential for cost-effective emission
reductions from non-EGUs, two years after the CSAPR Update was
promulgated. EPA's analysis is lacking any analysis of actual cost-
effectiveness numbers for non-EGU controls, relying instead on an
``implication'' from two-year old public comments that non-EGU controls
would be relatively less cost-effective than EGU controls. EPA ignores
its own framework, which calls for determining the availability and
cost-effectiveness of non-EGU controls, despite identifying the need to
do so in the CSAPR Update. In a footnote, the commenter notes that EPA
represented to the court in a mandatory duty suit that it was taking
steps to improve its data to evaluate NOX reduction
potential from non-EGUs, which it expected to complete by November
2017. EPA has not accounted for any of the stakeholder reviewed
information on non-EGU emissions reductions and costs that it should
have amassed in the last year and a half.
The commenter further contends that EPA has changed its regulatory
position without reasonable explanation. In the CSAPR Update, EPA
indicated that evaluating full interstate transport obligations is
subject to an evaluation of the contribution to interstate transport
from non-EGUs, but EPA has unexpectedly changed course and stated that
no such evaluation is necessary. This is an unexplained, arbitrary and
capricious change in policy.
One commenter states that with respect to non-EGU sources, EPA
``has documented multiple cost-effective controls that can be
implemented within one year'' in the ``Assessment of Non-EGU
NOX Emissions Controls, Costs of Controls and Time for
Compliance Final TSD'' dated August 2016 available in the docket for
the final CSAPR Update Rule. The commenter notes that EPA has dismissed
these potential benefits as ``uncertain'' and states that EPA ``cannot
continue to invoke the prospect of an uncertain future to limit its
responsibility to satisfy its statutory mandate.''
Response: EPA first notes that it is not relying on its lack of
information with respect to the cost-effectiveness of non-EGUs to
support this final action. EPA evaluated the feasibility of
implementing various control options, without regard to cost, that had
not previously been included in EPA's analysis of cost-effective
controls in the CSAPR Update. EPA concluded that additional controls--
on either EGUs or non-EGUs--would generally require four years to
implement, which would lead to an implementation timeframe associated
with the 2023 ozone season. Because the air quality modeling results
for 2023 showed that air quality problems in the eastern U.S. would be
resolved by 2023, EPA did not further evaluate the cost-effectiveness
of the control options considered for the feasibility analysis. This
approach is consistent with EPA's four-step framework, and does not
rely on the relative cost-effectiveness of controls for non-EGUs.
Because EPA did not need to evaluate either the cost-effectiveness
or NOX reduction potential of either EGU or non-EGU sources,
the commenter's concern with whether EPA has completed steps to improve
its data on these issues is irrelevant. Nonetheless, EPA notes that the
particular efforts outlined in the court filing referred to by the
commenter were in support of EPA's request in a mandatory duty suit
that the court permit the Agency several years to develop a rulemaking
to address the good neighbor obligations with respect to the 2008 ozone
NAAQS for Kentucky and 20 other states. In that filing, EPA outlined
steps that the Agency believed would be necessary to promulgate a
rulemaking if EPA's analysis demonstrated that additional emission
reductions would be required from sources in upwind states, including
what EPA viewed as necessary analysis regarding non-EGUs. EPA
acknowledged in that same
[[Page 33740]]
declaration that one possible result of the litigation could be a
determination that downwind air quality problems would be resolved, in
which case a cost-effectiveness analysis would be unnecessary. See
Decl. of Janet G. McCabe para. 98, Sierra Club v. Pruitt, No. 3:15-cv-
04328-JD (N.D. Cal. Dec. 15, 2016). As EPA could not know the results
of any future air quality modeling before it was performed, EPA's
proposed timeline assumed that such an analysis could be required. Id.
para. 170. Ultimately, the court disagreed with EPA's proposed timeline
and provided only one year--until June 30, 2018--for promulgation of a
rulemaking addressing Kentucky's good neighbor obligation, which was
insufficient time to complete all of the steps outlined in EPA's
declaration, thereby requiring EPA to prioritize certain steps and
eliminate others, including the additional efforts intended to improve
data regarding the cost-effectiveness of controls. Nonetheless, because
the first step of EPA's analysis demonstrated that there would be no
remaining air quality problems in 2023 in the eastern U.S., it was
unnecessary for EPA to finalize the efforts to improve its data
regarding the cost-effectiveness of controls before finalizing this
action. Thus, the representations that EPA made to the court regarding
the steps necessary to take this action no longer apply under the
present circumstances.
Thus, EPA's analysis is not a change in policy. In the CSAPR
Update, EPA only stated it could not conclude, at that time, that
additional reductions from NOX sources (including non-EGUs)
would not be necessary to fully resolve these obligations. While EPA
did indicate that it anticipated the need to evaluate non-EGUs to fully
evaluate the full scope of upwind states' good neighbor obligations,
the Agency has done so here. In selecting the appropriate future
analytic year in which to evaluate air quality, contributions, and
NOX reduction potential, EPA considered the implementation
timeframes for controls at EGUs as well as non-EGUs. As noted in the
NPRM and explained further in this action, EPA's analysis showed that
there would be no remaining air quality problems in 2023 in the eastern
U.S., and thus EPA has concluded that no such additional reductions
beyond those on-the-books or on-the-way are necessary, whether from
non-EGUs or otherwise, to bring downwind areas into attainment of the
2008 ozone NAAQS.
Finally, the commenter is correct that EPA included preliminary
estimates of installation times for some non-EGU NOX control
technologies in a technical support document for the CSAPR Update
entitled Assessment of Non-EGU NOX Emission Controls, Cost
of Controls, and Time for Compliance Final Technical Support Document
(Final Non-EGU TSD). These preliminary estimates were based on research
from a variety of information sources, including:
Typical Installation Timelines for NOX Emissions Control
Technologies on Industrial Sources, Institute of Clean Air Companies,
December 2006 (all sources except cement kilns and reciprocating
internal combustion engines (RICE)); \13\
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\13\ Institute of Clean Air Companies, Typical Installation
Timelines for NOX Emissions Control Technologies on Industrial
Sources, December 2006, available at https://c.ymcdn.com/sites/icac.site-ym.com/resource/resmgr/ICAC_NOX_Control_Installatio.pdf.
---------------------------------------------------------------------------
Cement Kilns Technical Support Document for the NOX FIP,
US EPA, January 2001; \14\ and
---------------------------------------------------------------------------
\14\ US EPA, Cement Kilns Technical Support Document for the
NOX FIP, January 2001, available at https://www.regulations.gov/document?D=EPA-HQ-OAR-2015-0500-0094.
---------------------------------------------------------------------------
Availability and Limitations of NOX Emission Control
Resources for Natural Gas-Fired Reciprocating Engine Prime Movers Used
in the Interstate Natural Gas Transmission Industry, Innovative
Environmental Solutions Inc., July 2014 (prepared for the INGAA
Foundation).\15\
---------------------------------------------------------------------------
\15\ INGAA Foundation, Availability and Limitations of
NOX Emission Control Resources for Natural Gas-Fired
Reciprocating Engine Prime Movers Used in the Interstate Natural Gas
Transmission Industry, Innovative Environmental Solutions Inc., July
2014, available at https://www.ingaa.org/Foundation/Foundation-Reports/NOX.aspx.
---------------------------------------------------------------------------
EPA's analysis in the Final Non-EGU TSD focused on potential
control technologies within the range of costs considered in the final
CSAPR Update for EGUs, i.e., those controls available at a marginal
cost of $3,400 per ton (2011 dollars) of NOX reduced or
less. EPA's analysis did not evaluate implementation timeframes or
potential emissions reductions available from controls at higher cost
thresholds. See Final Non-EGU TSD at 18. This focus excluded some
emissions source groups with emissions reduction potential at a
marginal cost greater than $3,400 per ton, including: Industrial/
commercial/institutional boilers using SCR and low-NOX
burners (LNB); and catalytic cracking units, process heaters, and coke
ovens using LNB and flue gas recirculation. However, while the
emissions reduction potential from these source groups is uncertain,
the timeframe for these control technologies would be subject to
similar considerations and limitations discussed in the following
paragraphs.
Among the control technologies that were evaluated in the Final
Non-EGU TSD, EPA identified six categories of common control
technologies available for different non-EGU emissions source
categories. Id. at 19. For four of the technology categories (SNCR,
SCR, LNB, and mid-kiln firing), EPA preliminarily estimated that such
controls could be installed in approximately one year or less in some
unit-specific cases. Installation time estimates presented in the Final
Non-EGU TSD begin with control technology bid evaluation (bids from
vendors) and end with the startup of the control technology.\16\ See
Final Non-EGU TSD at 20. For the other two technology categories
(biosolid injection technology (BSI) and OXY-firing) as well as one
emissions source category (RICE), EPA had no installation time
estimates or uncertain installation time estimates. For example, EPA
found that the use of BSI is not widespread, and therefore EPA does not
have reliable information regarding the time required to install the
technology on cement kilns. The installation timing for OXY-firing is
similarly uncertain because the control technology is installed only at
the time of a furnace rebuild, and such rebuilds occur at infrequent
intervals of a decade or more.
---------------------------------------------------------------------------
\16\ In the Final Non-EGU TSD, we present different installation
time estimates for SCRs and non-EGUs than described in the NPRM and
in this action for EGUs. These installation times are not
inconsistent because: (i) The EGU time estimate of 39 months
mentioned in the NPRM is based on multi-boiler installation and
factors in a pre-vendor bid engineering study consideration, and
(ii) the non-EGU SCR installation time estimates are based on
single-unit installation and do not factor in pre-vendor bid
evaluation.
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Moreover, for those categories for which preliminary estimates were
available, as noted in the Final Non-EGU TSD, the single unit
installation time estimates provided do not account for additional
important considerations in assessing the full amount of time needed
for installation of NOX control measures at non-EGUs; those
considerations include time, labor, and materials needed for
programmatic adoption of measures and time required for installing
controls on multiple sources in a few to several non-EGU sectors across
the region. The preliminary estimates of installation time shown in the
Final Non-EGU TSD are for installation at a single source and do not
account for the time required for installing controls to achieve
sector-wide compliance. When considering installation of control
measures on sources regionally and across non-EGU sectors, the time for
full sector-wide compliance is uncertain, but it is likely longer than
the installation times shown
[[Page 33741]]
for control measures as mentioned above for individual sources in the
Final Non-EGU TSD. Regional, sector-wide compliance could be slowed
down by limited vendor capacity, limited available skilled labor for
manufacturers such as boilermakers (who produce steel fabrications,
including those for pollution control equipment), availability of raw
materials and equipment (e.g., cranes) for control technology
construction, and bottlenecks in delivery and installation of control
technologies. Some of the difficulties with control technology
installation as part of regional, sector-wide compliance at non-EGUs,
such as availability of skilled labor and materials, could also have an
impact on monitor installation at such sources. EPA currently has
insufficient information on vendor capacity and limited experience with
suppliers of control technologies and major engineering firms, which
results in uncertainty in the installation time estimates for non-EGU
sectors.
In summary, there is significant uncertainty regarding the
implementation timeframes for various NOX control
technologies for non-EGUs. While EPA has developed preliminary
estimates for some potential control technologies, these estimates do
not account for additional considerations such as the impacts of
sector- and region-wide compliance. For purposes of this analysis, EPA
believes that it is reasonable to assume that it is likely that an
expeditious timeframe for installing sector- or region-wide controls on
non-EGU sources may collectively require four years or more.
Comment: One commenter adds that the CSAPR Update considered SCR to
be optimized if the unit achieves a rate of 0.10 lbs/mmBtu, but EPA did
not examine the particular rates that can be achieved by Kentucky's
EGUs. The commenter states that EPA should require Kentucky's EGUs to
achieve an optimized emissions rate at each EGU based on the past best
demonstrated ozone season average rates at the unit. The commenter
states that such optimized rates would be reflective of a unit's actual
reported data and would be considered well controlled while still
allowing for fluctuation in operating conditions, as it would encompass
a whole ozone season's worth of reported emission data. The commenter
states that its own analysis indicates that, even after CSAPR Update
implementation, Kentucky's coal-fired EGUs could have reduced
NOX emissions by an additional 4,100 tons during the 2017
ozone season and could have reduced daily NOX emissions by
up to an additional 35 tons per day by optimizing existing controls at
levels the EGUs had previously achieved. The commenter contends that
optimization of existing controls is cost-effective and has already
been shown to be achievable from past performance. The commenter
further asserts that not requiring Kentucky's EGUs to optimize controls
by this ozone season, at levels consistent with past best-demonstrated
ozone season average rates at each EGU, goes against the intent of the
CAA to reduce transported air pollution as expeditiously as
practicable. The commenter provides suggested language that could be
used to require specific coal-fired EGUs in Kentucky to optimize use of
existing control technologies.
Another commenter states that EPA's argument regarding installation
of control devices on uncontrolled EGUs being unworkable (based on
potential for delays due to shortages in qualified labor and material)
ignores the potential for immediate reductions that can be had by
optimizing existing EGU controls.
Response: To the extent the commenters take issue with EPA's
determination in the CSAPR Update that 0.10 lb/mmBtu was reasonable
rate to reflect optimized existing SCR controls regionwide, EPA did not
reopen that issue for comment in this rulemaking. EPA has already
evaluated and implemented cost-effective NOX emission
reductions associated with the optimization of existing SCRs. In
establishing the CSAPR Update EGU ozone season NOX emissions
budgets, the Agency quantified the emissions reductions achievable from
all NOX control strategies that were feasible to implement
in less than one year and cost-effective at a marginal cost of $1,400
per ton of NOX removed.\17\ These EGU NOX control
strategies were: Optimizing NOX removal by existing,
operational SCR controls; turning on and optimizing existing idled SCR
controls; installing state-of-the-art NOX combustion
controls; and shifting generation to existing units with lower-
NOX emissions rates within the same state. See 81 FR 74541
(October 26, 2016). Thus, for the purposes of this action, EPA
considers the turning on and optimizing of existing SCR controls to be
a NOX control strategy that has already been evaluated and
implemented in the final CSAPR Update. Any concerns regarding whether
EPA appropriately considered these controls in the CSAPR Update are not
within the scope of this action.
---------------------------------------------------------------------------
\17\ The CSAPR Update was signed on September 7, 2016--
approximately eight months before the beginning of the 2017 ozone
season on May 1.
---------------------------------------------------------------------------
Moreover, the Agency believes that the resulting CSAPR Update
emissions budgets are being appropriately implemented under the CSAPR
NOX Ozone Season Group 2 allowance trading program.
Preliminary data for the 2017 ozone season, which is the first CSAPR
Update compliance period, indicate that power plant ozone season
NOX emissions across the 22-state CSAPR Update region were
reduced by 77,420 tons (or 21 percent) from 2016 to 2017.\18\ As a
result, total 2017 ozone season NOX emissions from covered
EGUs across the 22 CSAPR Update states were approximately 294,478
tons,\19\ well below the sum of states' emissions budgets established
in the CSAPR Update of 316,464 tons. At the state-level, preliminary
2017 ozone season data indicate power plant emissions within Kentucky
were reduced 5,424 tons (also 21 percent) from 2016 to 2017. As a
result, emissions were 19,978 tons, well below Kentucky's CSAPR Update
budget of 21,115 tons. More specifically, emissions from non-optimized
SCR-controlled units (i.e., units with an emission rate greater than
0.10 lb/mmBtu) in the CSAPR Update region were 82,321 tons in 2016.
EPA's 2023 emission estimate for these same units post-optimization was
40,590. Actual emissions in 2017 from these units was 41,706 tons,
demonstrating that the CSAPR Update has successfully incentivized
optimization of controls in Kentucky and across the CSAPR Update
region.
---------------------------------------------------------------------------
\18\ https://ampd.epa.gov/ampd/ (Data current as of March 1,
2018).
\19\ Id.
---------------------------------------------------------------------------
To the extent that EPA's NPRM could be interpreted as having
invited comment on this issue, EPA further notes that, in the CSAPR
Update the Agency reviewed fleet-wide, SCR-controlled coal units from
2009 to 2015 and calculated an average ozone season NOX
emission rate across the fleet of coal-fired EGUs with SCR for each of
these seven years, and used the third lowest average ozone season
NOX rate. As described in that rule, EPA determined that it
was not prudent to use either the lowest or second-lowest ozone season
NOX rates to represent the optimization of controls because
such a rate may reflect new SCR systems that have all new components
(e.g., new layers of catalyst). See 81 FR 74543 (October 26, 2016). EPA
determined that data from these new systems are not representative of
ongoing achievable NOX rates considering broken-in
[[Page 33742]]
components and routine maintenance schedules. Moreover, there are
market conditions, maintenance, and outages (scheduled and unscheduled)
that can impact the utilization rates. These factors can fluctuate
yearly and provide another set of reasons to not universally assume
that the lowest rate for a unit can repeat itself on a yearly basis
going forward. EPA determined instead that the third lowest fleet-wide
average coal-fired EGU NOX rate for EGUs with SCR, or 0.10
lbs/mmBtu, would be representative of ongoing achievable emission
rates. The commenter has not provided any information to contradict
this conclusion.
EPA further notes that this rate was implemented as an upper limit,
meaning that EPA did reflect units that had recently operated an a more
efficient rate in the budget calculations. EPA considered the latest
available data at the time of that rulemaking (i.e., 2015) that
captured each unit's operation and performance under the latest fleet
and market conditions. EPA used 0.10 lb/mmBtu as a ceiling in its
budget calculation to reflect optimization of existing controls that
were not achieving that level in 2015. However, the Agency used a rate
of less than 0.10 lb/mmBtu if the unit was operating at that level in
2015 and a rate of 0.075 lb/mmBtu for new SCRs. Thus, EPA's budget
calculation and consequent emission reduction requirements did reflect
the fact that some units can and do operate below 0.10 lb/mmBtu.
Comment: One commenter states that EPA's speculative examination of
the timeline required to install and run new EGU controls based on a
cost-effectiveness threshold of $1,400 is unreasonable where there are
existing EGU controls that EPA admits could be run, only at a higher
cost. EPA's focus on its estimated timeline for design and installation
of new, cost-effective EGU controls such as SCRs and SNCRs puts cost-
effectiveness above all else, and that EPA must take into account other
statutory concerns and considerations (such as attainment deadlines for
downwind states). The commenter contends that, while cost-effectiveness
thresholds have been upheld as a reasonable consideration in
prioritizing control of sources, these thresholds cannot conversely be
used to justify unreasonable, protracted delay in requiring upwind
emission reductions. If there are no EGU controls at a given cost
threshold that can be installed in time to permit downwind states to
meet their attainment deadlines, then EPA has set the cost-
effectiveness threshold too low or has defined the type of controls too
narrowly.
The commenter concludes that EPA's refusal to reconsider its cost-
effectiveness threshold of $1,400 per ton of NOX is
arbitrary where EPA has concluded that idled SNCR controls are
available for immediate emission reductions at a cost of $3,400 per
ton. Moreover, EPA dismissed this control strategy without any analysis
of whether SNCRs can be run at less than $3,400 per ton, which is
arbitrary and capricious when downwind states such as New York are
forced to reduce NOX by implementing RACT controls at costs
of more than $5,000 per ton.
One commenter states that the CSAPR Update failed to look at any
short-term fixes, such as the operation of idled SNCR, that could now
be benefiting downwind areas. The commenter notes that the CSAPR Update
also ruled out restarting idled SNCR based on the conclusion that
$3,400 per ton was not cost effective, despite the fact that New York
and other downwind states commonly apply RACT at a cost threshold of
$5,000 per ton and greater.
Another commenter states that the control costs of $1,400 per ton
considered in the Kentucky SIP are too low and that EPA should require
Kentucky to analyze all options available. The commenter states that
Kentucky should not limit its control costs to those in the CSAPR
Update since ``EPA considered this rule a partial remedy.'' The
commenter provides as an example that ``EPA identified an additional
measure that could be undertaken immediately'' in turning on existing
idled SNCRs. The commenter states that EPA should also consider
evaluating cost effectiveness of controls on an ozone season day rather
than an annual basis, in order to address the need to lower emissions
on high ozone days.
Response: EPA first notes that the commenters misunderstand EPA's
evaluation in this action to the extent they suggest that Kentucky or
EPA relied on the cost-effectiveness of controls in order to select an
appropriate future analytic year. As explained earlier, EPA evaluated
the feasibility of implementing, without regard to cost, various
control options that had not previously been included in EPA's analysis
of cost-effective controls in the CSAPR Update. EPA concluded that
additional controls on either EGUs or non-EGUs would generally require
four years to implement, which would lead to an implementation
timeframe associated with the 2023 ozone season. Had EPA identified
downwind air quality problems to which upwind states continued to be
linked in 2023, EPA would have proceeded to the next steps in its four-
step analytic framework and evaluated the cost-effectiveness of all
available controls, considering the achievable emission reductions and
anticipated improvements in downwind air quality at all cost
thresholds. However, EPA did not further evaluate the cost-
effectiveness of the control options considered for the feasibility
analysis because EPA lacks authority to require additional emission
reductions in 2023 in light of the modeling results showing that air
quality problems in the eastern U.S. would be resolved by that time.
See EME Homer City II, 795 F.3d at 129-30 (finding emissions budgets
for 10 states were invalid because EPA's modeling showed that the
downwind air quality problems to which these states were linked when
EPA evaluated projected air quality in 2012 would be entirely resolved
by 2014).
Similarly, to the extent the commenter suggests cost-effectiveness
should be evaluated on particular days, rather than over the ozone
season, this comment is not material to this action because EPA's
analysis has concluded at step one of the four-step framework.
EPA did not reevaluate the feasibility of near-term control
strategies in order to inform the selection of a future analytic year
for this action because both the feasibility and cost-effectiveness of
those control strategies were already fully evaluated in the CSAPR
Update. Thus, EPA acknowledges that the operation of idled SNCR
controls could physically be implemented more quickly than four years,
but EPA already evaluated whether this control was cost-effective to
implement relative to other near-term control strategies in the CSAPR
Update and concluded that it was not.\20\ In the CSAPR Update, EPA
identified a marginal cost of $3,400 per ton as the level of uniform
control stringency that represents turning on and fully
[[Page 33743]]
operating idled SNCR controls.\21\ Ultimately, the CSAPR Update
finalized emissions budgets using $1,400 per ton control stringency,
finding that this level of stringency represented the control level at
which incremental EGU NOX reductions and corresponding
downwind ozone air quality improvements were maximized with respect to
marginal cost. In finding that use of the $1,400 control cost level was
appropriate, EPA established that the more stringent emissions budget
level reflecting $3,400 per ton (representing turning on idled SNCR
controls) yielded fewer additional emissions reductions and fewer air
quality improvements relative to the increase in control costs.
Specifically, EPA's analysis showed that the additional reductions from
the operation of idling SNCRs in Kentucky would only result in a 0.5
percent decrease in the Commonwealth's emission budget (from 21,115 to
21,007 tons). See 81 FR 74548 (October 26, 2016). In other words, based
on the CSAPR Update analysis, establishing emissions budgets at $3,400
per ton, and therefore developing budgets based on operation of idled
SNCR controls, was determined not to be cost-effective for addressing
downwind air quality problems under the good neighbor provision
obligations for the 2008 ozone NAAQS. See 81 FR 74550 (October 26,
2016). EPA believes that the strategy of turning on and fully operating
idled SNCR controls was appropriately evaluated in the CSAPR Update
with respect to addressing interstate ozone pollution transport for the
2008 ozone NAAQS. Accordingly, EPA is not further assessing this
control strategy for purposes of identifying an appropriate future
analytic year. EPA did not reopen that issue for comment in this
rulemaking, and the comments are therefore not within the scope of this
action. To the extent that the commenter believes that EPA's analysis
of SNCR controls in the CSAPR Update was flawed, the time to contest
that analysis was during that rulemaking.
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\20\ EPA notes that this conclusion that the feasibility of
implementing SNCR should not inform the potential compliance
timeframe and analytic year would not have precluded EPA from
considering whether the operation of SNCR would be cost-effective
relative to the installation of post-combustion controls. Had EPA,
at step one of the four-step framework, identified continued
downwind air quality problems in 2023, EPA could have considered in
subsequent steps whether to require emission reductions consistent
with operation of existing SNCR in addition to considering whether
to require emission reductions consistent with implementation of new
post-combustion controls. However, because EPA has already concluded
that operation of existing SNCR is not cost-effective in the near-
term, it would not be reasonable for EPA to select an earlier
analytic year that would only be consistent with the timeframe for
implementing that non-cost-effective near-term compliance strategy.
\21\ See EGU NOX Mitigation Strategies Final Rule TSD
(docket ID EPA-HQ-OAR-2015-0500-0554, available at
www.regulations.gov and https://www.epa.gov/sites/production/files/2017-05/documents/egu_nox_mitigation_strategies_final_rule_tsd.pdf)
(NOX Mitigation Strategies TSD).
---------------------------------------------------------------------------
To the extent the commenters suggest that EPA must select a higher
cost threshold in order to ``permit downwind states to meet their
attainment deadlines,'' the commenters misconstrue the requirements of
the good neighbor provision and the applicable legal precedent. The
good neighbor provision does not require upwind states to bring that
downwind areas into attainment with the NAAQS. Rather, states are
required to reduce emissions that ``contribute significantly'' to
nonattainment in downwind areas. Once a state has eliminated its
significant contribution to downwind nonattainment, it has met the
requirements of the good neighbor provision, regardless of whether the
downwind area has actually attained. See, e.g., 76 FR 48258-59 (August
8, 2011) (determining in CSAPR that SO2 emission reductions
available at $2,300 per ton represented good neighbor obligation even
though some downwind air quality problems would persist). This is
distinct from the obligations imposed on downwind states containing
designated nonattainment areas, which are directly obligated to
demonstrate attainment of the NAAQS. See, e.g., CAA section
182(c)(2)(A) (requiring the state submit a demonstration that the plan
will provided for attainment of the ozone NAAQS by the applicable
attainment date). Because the statutory obligations imposed on upwind
and downwind states with respect to attainment differs, it is also
reasonable that the costs of controls implemented in upwind states may
also differ from those implemented in downwind states. The Supreme
Court has already affirmed EPA's approach to quantifying and
apportioning upwind states' significant contribution on the basis of
cost. See EME Homer City, 134 S. Ct. at 1607. While the Court stated
that EPA was prohibited from requiring more emission reductions than
necessary to bring downwind areas into attainment of the NAAQS, id. at
1608, the Court did not indicate that upwind states were specifically
responsible for ensuring the downwind states achieve attainment in all
instances. Thus, EPA does not agree that it must require additional
emission reductions from upwind states, even if they are not cost-
effective, simply because a downwind area has not yet attained the
NAAQS.
Comment: One commenter states that EPA's contention that
implementation of controls is not feasible until during or after the
2022 ozone season is unfounded for the following reasons:
SCR installations are typically less time-consuming than
39 months, noting that one of the resources EPA cites indicates 21
months is reasonable.
SNCR takes less time, 10-13 months, to implement.
EPA tacitly admits some projects could be completed prior
to 2022 when it claims that SCR and SNCR should be ``linked'' at the
fleet-level.
The original CSAPR allowed less than three years for
compliance with SO2 limits that were expected to require
installation of flue gas desulfurization controls, which generally are
expected to take longer than SCR to install.
EPA's integrated planning model assumes SO2
scrubbers can be installed in three years and SCR units in two years.
Non-EGU controls are widely available on timeframes
shorter than 48 months according to EPA's Final Non-EGU TSD. Although
EPA insinuates this document questions the availability of non-EGU
controls within 48 months, it lists many categories of non-EGU
NOX controls available in about 60 weeks that were also
cost-effective.
EPA did not exhaust readily available EGU control options.
Kentucky could require 100 percent operation of already-installed
control equipment or insist on optimized performance. Kentucky could
discontinue use of ``banked allowances'' in the CSAPR Update. And CSAPR
did not require any re-dispatch or shifting power generation from
higher-emitting to lower-emitting plants, which is also feasible in the
short term.
EPA's arguments regarding the availability of steel and
cranes are tenuous. EPA cites only two documents to support its
assertion about crane shortages, only one of which even mentions a
shortage. That article only indicates that developers need to book the
cranes and operators several months in advance, which is not much of an
obstacle.
Another commenter states that--based on its experience--EPA's
estimated installation time frames for SCRs are too conservative
(short), and provides a range of 28 to 60 months for installation of
SCRs at one site.
Response: EPA first notes that responses to comments regarding the
following issues are addressed earlier in this document: (1) Timeframes
assumed for installation of post-combustion controls in CSAPR; (2)
timeframes for installation of controls on non-EGUs; and (3) the
optimization of existing post-combustion controls. EPA will address the
remaining comments in the following paragraphs.
EPA disagrees that the timeframe for implementation of SNCR and SCR
at an individual unit necessarily indicates that the feasibility
analysis is flawed. As an initial matter, there are differences between
these control technologies with respect to the potential viability of
achieving cost-effective regional NOX reductions from EGUs.
SCR controls generally achieve greater EGU NOX reduction
efficiency (up to 90 percent) than SNCR controls (up to 25 percent).
Resulting in part from this disparity in NOX reduction
efficiency, when
[[Page 33744]]
considering both control costs and NOX reduction potential
in developing cost per ton analysis for the CSAPR Update, EPA found new
SCR controls to be more cost-effective than SNCR at removing
NOX. Specifically, EPA found that new SCR controls could
generally reduce EGU emissions for $5,000 per ton of NOX
removed whereas new SNCR controls could generally reduce EGU emissions
at a higher cost of $6,400 per ton of NOX removed.\22\ In
other words, the greater NOX reduction efficiency for SCR
controls translates into greater cost-effectiveness relative to SNCR
controls. The general cost-effectiveness advantage is consistent with
observed installation patterns where SCR controls (62 percent of coal-
fired capacity) are more prevalent across the east relative to SNCR (12
percent of coal-fired capacity).\23\ In light of the increased
NOX removal efficiency and the relative cost-effectiveness
of SCR as compared to SNCR, EPA does not believe that is reasonable to
focus its analysis on the implementation of the less-efficient control
strategy (SNCR) at the expense of the greater emission reduction
potential of SCR controls. Accordingly, EPA believes it is reasonable
to select a potential compliance timeframe and therefore a future
analytic year that would permit the region-wide installation of both
new SCR and new SNCR.
---------------------------------------------------------------------------
\22\ NOX Mitigation Strategies TSD.
\23\ National Electric Energy Data System (NEEDS) v6. EPA,
available at https://www.epa.gov/airmarkets/national-electric-energy-data-system-needs-v6.
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Moreover, the estimated 39 months and 10 to 13 months for
implementation of SCR and SNCR, respectively, at an individual unit do
not account for factors that would influence this timeframe across the
fleet. Installing new SCR or SNCR controls for EGUs generally involves
the same steps: Conducting an engineering review of the facility;
advertising and awarding a procurement contract; obtaining a
construction permit; installing the control technology; testing the
control technology; and obtaining or modifying an operating permit.\24\
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\24\ Final Report: Engineering and Economic Factors Affecting
the Installation of Control Technologies for Multipollutant
Strategies, EPA-600/R-02/073 (October 2002), available at https://nepis.epa.gov/Adobe/PDF/P1001G0O.pdf.
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Scheduled curtailment, or planned outage, for pollution control
installation would be necessary to complete either SCR or SNCR
projects. Given that peak demand and rule compliance would both fall in
the ozone season, sources would likely try to schedule installation
projects for the ``shoulder'' seasons (i.e., the spring and/or fall
seasons), when electricity demand is lower than in the summer, reserves
are higher, and ozone-season compliance requirements are not in effect.
If multiple units were under the same timeline to complete the retrofit
projects as soon as feasible from an engineering perspective, this
could lead to bottlenecks of scheduled outages as each unit attempts to
start and finish its installation in roughly the same compressed time
period. Thus, any compliance timeframe that would assume installation
of new SCR or SNCR controls should encompass multiple shoulder seasons
to accommodate scheduling of curtailment for control installation
purposes and better accommodate the regional nature of the program.
In addition to the coordination of scheduled curtailment, an
appropriate compliance timeframe should accommodate the additional
coordination of labor and material supply necessary for any fleet-wide
control installation efforts.\25\ The total construction labor for an
SCR system associated with a 500-megawatt (MW) EGU is in the range of
310,000 to 365,000 man-hours, with boilermakers accounting for
approximately half of this time.\26\ SNCR installations, while
generally having shorter individual project timeframes of 10 to 13
months from bid solicitation to startup, share similar labor and
material resources and the timing of SNCR installation planning is
therefore linked to the timing of SCR installation planning. In recent
industry surveys, one of the largest shortages of union craft workers
was for boilermakers. This shortage of skilled boilermakers is expected
to rise due to an anticipated nine percent increase in boilermaker
labor demand growth by 2026, coupled with expected retirements and
comparatively low numbers of apprentices joining the workforce.\27\ The
shortage of and demand for skilled labor, including other craft workers
critical to pollution control installation, is pronounced in the
manufacturing industry. The Association of Union Constructors conducted
a survey of identified labor shortages and found that boilermakers were
the second-most frequently reported skilled labor market with a labor
shortage.\28\ Moreover, recovery efforts from the natural disasters of
Hurricanes Harvey and Irma and wildfires in 2017 are expected to
further tighten the labor supply market in manufacturing in the near
term.\29\ EPA determined that these tight labor market conditions
within the relevant manufacturing sectors, combined with fleet-level
mitigation initiatives, would likely lead to some sequencing and
staging of labor pool usage, rather than simultaneous construction
across all efforts. This sector-wide trend supports SCR and SNCR
installation timeframes for a fleet-wide program that exceed the
demonstrated single-unit installation timeframe.
---------------------------------------------------------------------------
\25\ EPA considers these additional labor and supply
requirements in the context of the already committed labor and
supply requirements associated with projects already underway.
\26\ Id.
\27\ Occupational Outlook Handbook, Bureau of Labor Statistics,
available at https://www.bls.gov/ooh/construction-and-extraction/boilermakers.htm.
\28\ Union Craft Labor Supply Survey, The Association of Union
Constructors, Exhibit 4-2 at page 29, available at https://www.tauc.org/files/2017_TAUC_UNION_CRAFT_LABOR_SUPPLY_REVISEDBC_FINAL.pdf.
\29\ Skilled Wage Growth Less Robust, Worker Shortage Still an
Issue, Industry Week, October 23, 2017, available at https://www.industryweek.com/talent/skilled-wage-growth-less-robust-worker-shortage-still-issue.
---------------------------------------------------------------------------
Moreover, NOX post-combustion control projects also
require materials and equipment such as steel and cranes. Sheet metal
workers, necessary for steel production, are also reported as having
well above an average supply-side shortage of labor.\30\ This, coupled
with growth in steel demand estimated at three percent in 2018, and
simultaneous global economic growth, suggests that there may be a
constricted supply of steel needed for installation of new post-
combustion controls.\31\ Similarly, cranes are critical for
installation of SCRs, components of which must be lifted hundreds of
feet in the air during construction. Cranes are also facing higher
demand during this period of economic growth, with companies reporting
a shortage in both equipment and manpower.32 33 The
tightening markets in relevant skilled labor, materials, and equipment,
combined with the large number of installations that could be required
fleet-wide under a regional air pollution transport program,
necessitate longer installation
[[Page 33745]]
time-tables relative to what has been historically demonstrated at the
unit-level.
---------------------------------------------------------------------------
\30\ Union Craft Labor Supply Survey, The Association of Union
Constructors, Exhibit 4-2 at page 29, available at https://www.tauc.org/files/2017_TAUC_UNION_CRAFT_LABOR_SUPPLY_REVISEDBC_FINAL.pdf.
\31\ Worldsteel Short Range Outlook, October 16, 2017, available
at https://www.worldsteel.org/media-centre/press-releases/2017/worldsteel-Short-Range-Outlook-2017-2018.html.
\32\ See, e.g., Seattle Has Most Cranes in the Country for 2nd
Year in a Row--and Lead is Growing, Seattle Times, July 11, 2017,
available at https://www.seattletimes.com/business/real-estate/seattle-has-most-cranes-in-the-country-for-2nd-year-in-a-row-and-lead-is-growing/.
\33\ See RLB Crane Index, January 2018, in the docket for this
action.
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EPA disagrees with the commenter's assertion that these
observations regarding crane and steel markets are tenuous and thus
should not influence EPA's analysis. While this is not the sole reason
for EPA's conclusion that 48 months would be necessary for region-wide
control installation, EPA believes the market for labor and materials
is a relevant factor to consider in light of reports from companies
that supply the tower cranes that there is a shortage of both equipment
and manpower. The crane index, along with quarterly construction costs
reports, are metrics regularly used to evaluate construction activity
by construction consultancies and can provide information useful to
demonstrate the level of equipment demand.\34\ Moreover, the commenter
provides no evidence to contradict the EPA's finding that these
equipment markets are facing periods of higher demand.
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\34\ Kalinoski, Gail, North American Construction Trends: RLB
Reports, available at https://www.cpexecutive.com/post/north-america-construction-trends-rlb-reports/.
---------------------------------------------------------------------------
The time lag observed between the planning phase and in-service
date of SCR and SNCR operations in certain cases also illustrates that
site-specific conditions sometimes lead to installation times of four
years or longer. For instance, SCR projects for units at Ottumwa
Generating Station (Iowa), Columbia Energy Center (Wisconsin), and
Oakley Generating Station (California) were all in the planning phase
in 2014. However, these projects have estimated in-service dates
ranging between 2018 and 2021.\35\ Similarly, individual SNCR projects
can exceed their estimated 10-13-month time frame. For example,
projects such as SNCR installation at Jeffrey Energy Center (Kansas)
were in the planning phase in 2013, but not in service until 2015.\36\
Completed projects, when large in scale, also illustrate how timelines
can extend beyond the bare minimum necessary for a single unit when the
project is part of a larger air quality initiative involving more than
one unit at a plant. For instance, the Big Bend Power Station in
Florida completed a multi-faceted project that involved adding SCRs to
all four units as well as converting furnaces, over-fire air changes,
and making windbox modifications. The time from the initial planning
stages to completion was a decade.\37\
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\35\ 2014 EIA Form 860, Schedule 6, Environmental Control
Equipment.
\36\ 2013 EIA Form 860, Schedule 6, Environmental Control
Equipment.
\37\ Big Bend's Multi-Unit SCR Retrofit, Power Magazine, March
1, 2010, available at https://www.powermag.com/big-bends-multi-unit-scr-retrofit/.
---------------------------------------------------------------------------
While individual unit-level SCR and SNCR projects can average 39
and 10 months, respectively, from bid to startup, a comprehensive and
regional emissions reduction effort also requires more time to
accommodate the labor, materials, and outage coordination for these two
types of control strategies. Because these post-combustion control
strategies share similar resource inputs and are part of regional
emissions reduction programs rather than unit-specific technology
mandates, the timeframes for one type are inherently linked to the
other type. This means that SNCR projects cannot be put on an early
schedule in light of their reduced construction timing without
impacting the availability of resources for the manufacture and
installation of SCRs and thus the potential start dates of those
projects.
In short, given the market and regulatory circumstances in which
EPA evaluated this effort, we determined that four years would be an
expeditious timeframe to coordinate the planning and completion of any
mitigation efforts that might be necessary in this instance. In regard
to the commenter who noted a range of 28 to 60 months for SCR
installation, EPA notes that a period of 48 months falls reasonably
within that range, and is consistent with the region-wide evaluation of
control feasibility that EPA has conducted in this action.
EPA notes that the commenters' assertions about assumptions in IPM
regarding control installation timeframes are unfounded. Post-
combustion control installation times are an exogenous assumption in
EPA's power sector modeling--i.e., EPA determines the number of years
for installation and provides that figure as an input to the model; the
figure is not the product of a function that the model performs
internally. EPA makes this installation determination independently for
each model run. For instance, if EPA is using IPM to model a run year
that is three years from a present date, it may choose to allow
scrubber installation to occur in that first model run year if the
volume of installations is expected to be small (consistent with the
notion that some units may be able to install controls more quickly).
However, if the volume of scrubber installations is expected to be
larger, reflecting more region-wide resource coordination requirements
and resource requirements, EPA may not allow the retrofit option in the
model until after three years. Thus, the assumption can vary according
to the policy context being considered.
Finally, EPA notes that the commenter is incorrect in asserting
that the CSAPR Update failed to account for generation shifting. The
CSAPR Update budgets accounted for generation shifting that was
considered to be available at the $1,400 cost threshold and feasible to
implement by the 2017 compliance timeframe. See 81 FR 74544-45 (October
26, 2016). The commenter does not otherwise explain whether or how any
potential for additional generation shifting should influence EPA's
analysis in this action.\38\
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\38\ Because EPA did not evaluate additional generation shifting
possibilities in this action, it does not at this time need to
revisit the question whether it is within the EPA's authority or
otherwise proper to consider generation shifting in implementing the
good neighbor provision. The EPA is aware that this has been an
issue of contention in the past. See, e.g., 81 FR at 74545 (October
26, 2016) (responding to comments); CSAPR Update Rule--Response to
Comment, at 534-50 (EPA-HQ-OAR-2015-0500-0572) (summarizing and
responding to comments). The EPA may revisit this question in
addressing good neighbor requirements for other NAAQS but is not
revisiting this issue with regard to the 2008 ozone NAAQS.
---------------------------------------------------------------------------
Comment: Several commenters advocate for the adoption of short-term
NOX emission rate limits for EGUs. The ozone NAAQS is based
on an 8-hour standard and the allowance trading under the CSAPR Update
is done over a multi-month ozone season. The commenters believe that
the lack of federally enforceable short-term NOX emission
rates in Kentucky will facilitate the continued operation of EGUs with
inadequate NOX emission controls, to include units that have
NOX controls that are not always operated during the ozone
season. While the CSAPR Update has encouraged improved utilization of
SCR and SNCR controls during the 2017 ozone season, the commenter
contends that there are additional cost-effective NOX
reductions that can be achieved by requiring optimization of these
existing controls, every day of the ozone season, at coal-fired EGUs.
The commenter therefore states that Kentucky should establish emission
limits for its EGUs with appropriate magnitudes and averaging periods.
Another commenter also states that EPA should require Kentucky to
adopt targeted strategies for reducing emissions on ``high emitting
days.''
One commenter contends that compliance with a cap-and-trade program
like the CSAPR Update is an
[[Page 33746]]
inadequate mechanism to ensure permanent NOX reductions on
high ozone days that determine attainment or nonattainment of the
NAAQS. The commenter states that its analysis shows that many coal-
fired EGUs in Kentucky were not optimizing their controls in 2017 and
failed to operate at rates assumed in EPA's 2023 modeling analysis. The
commenter states that a cap and trade program allows emissions to
fluctuate above the state-wide budgets if the owners or operators (1)
have adequate banked allowances, or (2) can purchase allowances to
cover excess emissions. Ozone is an air pollutant to which prevention
of short-term exposure to excessive levels over an eight-hour period is
critical to protect public health, and compliance with the NAAQS can be
negatively impacted by inconsistent day-to-day operation of pollution
controls. Allowing a plant to cycle back the efficiency or altogether
turn off control equipment is an inappropriate control measure for
ozone because this can result in excessive rates on high ozone days,
when it is most important to ensure low emission rates.
Response: EPA first notes that it is unnecessary to evaluate what
strategy would be appropriate for the implementation of additional
emission reductions because EPA has determined that they are
unnecessary and unauthorized in light of the modeling data showing that
downwind air quality problems will be resolved by 2023, when additional
control strategies could be feasibly implemented.
To the extent the commenter is raising concerns with the use of an
allowance trading program to implement the emission reductions required
by the CSAPR Update to address the 2008 ozone NAAQS, EPA considers it
untimely for the commenter to raise such a challenge in this action.
Those emission reductions were finalized in a separate rulemaking, and
the appropriate venues to raise concerns over the adequacy for
reduction implementation of the CSAPR allowance trading program, as
compared to other measures such as short-term emission limits, were
that rulemaking process and subsequent petitions for judicial review of
that final rule. Thus, this issue is outside the scope of the present
rulemaking. Similarly, as discussed earlier in this action, to the
extent the commenter also disagrees with EPA's determinations regarding
the optimization of SCR controls or the cost-effectiveness of SCNR
controls in the CSAPR Update, those comments are also outside the scope
of this action.
Nonetheless, EPA has examined the hourly NOX emissions
data reported to EPA and observed very few instances of units
selectively turning down or turning off their emissions control
equipment during hours with high generation.\39\ SCR-controlled units
generally operated with lower emissions rates on high generation hours,
suggesting SCRs generally were in better operating condition--not
worse, let alone idling--on those days/hours. In other words, EPA
compared NOX rates on hours with high demand and compared
them with seasonal average NOX rates and found very little
difference. The data do not support the notion that units are reducing
SCR operation on high demand days (when ozone concentrations often
peak). In fact, EPA noticed that SCR performance rates--on average--
were better on high demand days. EPA, therefore, concludes that
increases in total emissions on days with high generation are a result
of additional units coming online and units increasing hourly
utilization, rather than units decreasing the functioning of control
equipment. Moreover, SCR performance is not purely a matter of
operational decisions of the control. EPA's review of hourly 2017 data
suggests that SCR performance often decreases as hourly load levels
drop below a particular level (e.g., 30 percent of maximum rated hourly
heat input rate).40 41 A drop in SCR performance at a lower
load level is consistent with engineering-based performance challenges
associated with minimum operating temperatures (among other factors)
for the SCR system.\42\ In other words, SCR systems with typical
catalyst formulations are not effective at removing NOX
during low-load operations when the unit might not achieve sufficient
temperatures to promote the necessary chemical reactions. Decreases in
SCR removal efficiency at low load levels appear to be consistent with
known engineering limitations. The 2017 data do not provide any
indication of broad regional patterns of scaling back SCR operations
during particular hours of an ozone season for reasons other than
engineering limitations. Thus, EPA does not have any basis, at this
time, to believe that short-term emission rates are necessary to
address regional SCR operation patterns on high demand days in the
context of this action.
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\39\ See Discussion of Short-term Emission Limits, available in
the docket for this action.
\40\ Id.
\41\ Maximum rated hourly heat input rate is the higher of the
manufacturer's maximum rated hourly heat input rate or the highest
observed hourly heat input rate.
\42\ Gray, Sterling; Jarvis, Jim; Donner Chad, and Estep John,
SCR Performance, Power Engineering, March 9, 2017, available at
https://www.power-eng.com/articles/print/volume-121/issue-3/features/scr-performance.html.
---------------------------------------------------------------------------
Moreover, even if it were appropriate to assess the merits of
particular remedies as part of this action, EPA does not agree that an
allowance trading program would be an inadequate means of implementing
any additional statewide emission reductions that may have been
necessary under a scenario where more reductions were required to fully
address the good neighbor provision. Implementation mechanisms based on
seasonal NOX requirements have demonstrated success at
reducing peak ozone concentrations. For example, over the past decade,
there has been significant improvement in ozone across the eastern
U.S., in part due to season-long allowance trading programs such as the
NOX Budget Trading Program and the CSAPR NOX
ozone season allowance trading program. As a result, areas are now
attaining the 1997 ozone NAAQS. Further, EPA notes that the standard is
a 3-year average value of three individual seasonal values. Thus, a
seasonal program is harmonious with the form of the standard.
Comment: One commenter states that EPA should require Kentucky to
ensure all ``minimum control strategies'' identified in a recent Ozone
Transport Commission (OTC) statement regarding ``good neighbor'' SIPs
are adopted, along with other points noted in the document.
Another commenter states that other measures should be undertaken
to reduce Kentucky's impact on other states, including NOX
RACT on EGUs and other large NOX sources at the same
stringent levels used within the OTR, along with controls on mobile
sources (inspection and maintenance, and anti-idling).
One commenter recommends that any full remedy of a state's good
neighbor obligations must require, at minimum, RACT on all major
NOX and VOC sources, best available control technology
(BACT) on all existing EGUs and large industrial boilers, BACT on all
sources with high ozone-day emissions, and regional measures such as
those recommended by the OTR.
Response: EPA lacks authority to require control measures or
emission reductions unless the Agency first identifies a downwind air
quality problem to which an upwind state is contributing. See EME Homer
City, 134 S. Ct. at 1608 (``If EPA requires an upwind State to reduce
emissions by more than the amount necessary to achieve attainment in
every downwind State to which it is linked, the Agency will have
overstepped its authority, under the Good Neighbor Provision.'');
[[Page 33747]]
EME Homer City II, 795 F.3d at 129-30 (finding emissions budgets for 10
states were invalid because EPA's modeling showed that the downwind air
quality problems to which these states were linked when EPA evaluated
projected air quality in 2012 would be entirely resolved by 2014). With
respect to the recommended control strategies, the commenters do not
explain why they believe the control strategies applicable to the OTR,
RACT, BACT, or other measures are necessary to achieve attainment or
maintenance of the NAAQS in downwind states. While EPA determined that
Kentucky would be linked to downwind air quality problems in 2017, EPA
has also determined that those air quality problems would be resolved
by 2023. Thus, EPA has no authority to require additional emission
reductions--via the control strategies suggested by the commenters or
otherwise--from Kentucky or other upwind states in 2023.
Comment: One commenter states that EPA's 2023 modeling is based on
numerous flawed assumptions. EPA adjusted projected NOX
emissions for dozens of EGUs based on assumptions of new or optimized
controls. However, the Kentucky SIP contains no enforceable mechanisms,
schedules, or timetables for compliance to ensure the relied-upon
assumptions are valid and will actually occur or remain in place in
2023. The commenter contends that EPA's demonstration or verification
of enforceable commitments to support Kentucky's assumptions, as well
as EPA's assumptions for all other states, are required by the CAA,
citing section 110(a)(2)(A) and (C).
One commenter also contends that Kentucky's SIP fails to satisfy
section 110(a)(2)(A) because, even if reliance on 2023 were valid, it
lacks any proposed enforceable limitations or compliance timelines.
One commenter states that Kentucky has not shown that the EPA-
modeled shutdowns of E.W. Brown Generating Station and Elmer Smith
plant will occur in a federally enforceable manner, and that therefore,
EPA should not approve Kentucky's SIP since the modeling includes such
reductions.
One commenter states that although EPA and Alpine modeling indicate
all areas outside California will achieve attainment with the 2008
ozone NAAQS by 2023, some Connecticut monitors will ``only barely''
comply. Commenter states that Kentucky's reliance on the 2023 modeling
should be accompanied by enforceable regulations that ensure the lower,
modeled 2023 emissions are achieved, including the decrease in EGU
emissions.
One commenter includes a table summarizing adjusted projected
NOX emissions for Kentucky EGUs used in EPA's 2023 modeling
based on assumptions of new or optimized controls. The commenter states
that there are no enforceable commitments in Kentucky's SIP to support
these assumptions, which the commenter asserts are required by EPA's
own methodology, citing a March 2018 EPA memorandum. Without
enforceable measures, the commenter asserts the modeling is not a
proper basis for a good neighbor SIP.
One commenter contends that EPA's modeling relies on reductions
that are not federally enforceable, and Kentucky failed to demonstrate
that the emission reductions EPA relied on across the modeling domain
are federally enforceable. The commenter contends that the upwind state
good neighbor obligations cannot be deemed satisfied if large portions
of their emissions inventory remain poorly controlled.
One commenter states that an approvable good neighbor SIP must
include permanent and federally enforceable emissions reductions. The
commenter contends that section 110 requires that a SIP (1) include
enforceable emission limitations and other control measures, means, or
techniques, (2) include a program to provide for the enforcement of the
measures, and (3) provide adequate provisions prohibiting emissions
activity within the state from emitting any air pollutant in amounts
which will contribute significantly to nonattainment in or interfere
with maintenance by any other state with respect to the NAAQS. EPA's
four-step analysis also requires the adoption of ``permanent and
enforceable measures.''
The commenter states that compliance with the rates reflected in
the 2023 modeling are not permanent or federally enforceable under the
CSAPR Update or any other federal rule, including the assumption that
most units will emit at 2016 levels and that 25 units will take
additional emission reduction actions, including unit retirement,
increased use of post-combustion controls, or addition of new
combustion controls. The commenter contends these actions are therefore
speculative and cannot be properly considered when determining if a
state met its good neighbor obligations. Downwind states cannot rely on
speculative reduction, and without federally enforceable limits, there
is no guarantee that Maryland will maintain the 2008 ozone NAAQS. The
commenter notes that Maryland's section 126(b) petition proposed
specific language and NOX emission rates for EGUs with SCR
and SNCR in Kentucky that EPA should consider making federally
enforceable as a near-term NOX reduction strategy. EPA
should also modify operating permits for other units to require
implementation of specific emission rates, fuel switches, and control
installations for EGUs that are not equipped with controls, which were
relied on in the modeling.
Response: EPA does not agree that Kentucky is required to adopt
permanent and enforceable control measures to ensure that the projected
emission levels used in the 2023 modeling will be maintained. Within
EPA's four-step interstate transport framework, EPA only requires
sources in upwind states to implement enforceable emission limitations
if: (1) Downwind air quality problems are identified in at step one,
(2) an upwind state is linked to a downwind air quality problem at step
two, and (3) sources in the linked upwind state are identified at step
three as having emissions that significantly contribute to
nonattainment and interfere with maintenance of the NAAQS considering
cost- and air-quality-based factors. If all three of these steps are
not satisfied, then the state is not required to include provisions in
its SIP prohibiting any level of reductions because the EPA has
determined that the state will not significantly contribute to
nonattainment or interfere with maintenance of the NAAQS downwind. For
the reasons described in the following paragraphs, EPA believes this
approach is a reasonable interpretation of the good neighbor provision.
The good neighbor provision instructs EPA and states to apply its
requirements ``consistent with the provisions of'' title I of the CAA.
EPA is therefore interpreting the requirements of the good neighbor
provision, and the elements of its four-step interstate transport
framework, to apply in a manner consistent with the designation and
planning requirements in title I that apply in downwind states. See
North Carolina, 531 F.3d at 912 (holding that the good neighbor
provision's reference to title I requires consideration of both
procedural and substantive provisions in title I). EPA notes that this
consistency instruction follows the requirement that plans ``contain
adequate provisions prohibiting'' certain emissions in the good
neighbor provision. The following paragraphs will therefore explain how
EPA's interpretation of the circumstances
[[Page 33748]]
under which the good neighbor provision requires that plans
``prohibit'' emissions through enforceable measures is consistent with
the circumstances under which downwind states are required to implement
emissions control measures in nonattainment areas.
For purposes of this analysis, EPA notes specific aspects of the
title I designations process and attainment planning requirements for
the ozone NAAQS that provide particularly relevant context for
evaluating the consistency of EPA's approach to the good neighbor
provision in upwind states. EPA notes that this discussion is not
intended to suggest that the specific requirements of designations and
attainment planning apply to upwind states pursuant to the good
neighbor provision, but rather to explain why EPA's approach to
interpreting the good neighbor approach is reasonable in light of
relevant, comparable provisions found elsewhere in title I. In
particular, these provisions demonstrate that EPA's approach is
consistent with other relevant provisions of title I with respect to
what data is considered in EPA's analysis and when states are required
to implement enforceable measures.
First, areas are initially designated attainment or nonattainment
for the ozone NAAQS based on actual measured ozone concentrations. CAA
section 107(d) (noting that an area shall be designated attainment
where it ``meets'' the NAAQS and nonattainment where it ``does not
meet'' the NAAQS). Therefore, a designation of nonattainment does not
in the first instance depend on what specific factors have influenced
the measured ozone concentrations or whether such levels are due to
enforceable emissions limits. If an area measures a violation of the
relevant ozone NAAQS, then the area is designated nonattainment. In
cases where the nonattainment area is classified moderate or higher,
the responsible state is required to develop an attainment plan, which
generally includes the application of various enforceable control
measures to sources of emissions located in the nonattainment area,
consistent with the requirements in Part D of title I of the Act.\43\
See generally CAA section 182, 42 U.S.C. 7511a. If, however, an area
measures compliance with the ozone NAAQS, the area is designated
attainment, and sources in that area generally are not subject to any
new enforceable control measures under Part D.\44\
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\43\ Nonattainment areas classified as marginal are required to
submit emissions inventories and implement a nonattainment new
source review permitting program, but are not generally required to
implement controls at existing sources. See CAA section 182(a), 42
U.S.C. 7511a(a).
\44\ CAA section 184 contains the exception to this general
rule: States that are part of the OTR are required to provide SIPs
that include specific enforceable control measures, similar to those
for nonattainment areas, that apply to the whole state, even for
areas designated attainment for the ozone NAAQS. See generally 42
U.S.C. 7511c.
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Similarly, in determining the boundaries of an ozone nonattainment
area, the CAA requires EPA to consider whether ``nearby'' areas
``contribute'' to ambient air quality in the area that does not meet
the NAAQS. See 42 U.S.C. 7407(d). For each monitor or group of monitors
indicating a violation of the ozone NAAQS, EPA assesses information
related to five factors, including current emissions and emissions-
related data from the areas near the monitor(s), for the purpose of
establishing the appropriate geographic boundaries for the designated
ozone nonattainment areas. A nearby area may be included within the
boundary of the ozone nonattainment area only after assessing area-
specific information, including an assessment of whether current
emissions from that area contribute to the air quality problem
identified at the violating monitor.\45\ If such a determination is
made, sources in the nearby area are also subject to the applicable
Part D control requirements. However, if EPA determines that the nearby
area does not contribute to the measured nonattainment problem, then
the nearby area is not part of the designated nonattainment area and
sources in that area are not subject to such nonattainment control
requirements.
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\45\ See Memorandum from Robert J. Meyers, Principal Deputy
Assistant Administrator, US EPA to Regional Administrators, Area
Designations for the 2008 Ozone National Ambient Air Quality
Standards, at Attachment 2, December 4, 2008, available at https://archive.epa.gov/ozonedesignations/web/pdf/area_designations_for_the_2008_revised_ozone_naaqs.pdf.
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EPA's historical approach to addressing the good neighbor provision
via the four-step interstate transport framework, and the approach EPA
continues to apply here, is consistent with these title I requirements.
That is, in steps 1 and 2 of the framework, EPA evaluates whether there
is a downwind air quality problem (either nonattainment or
maintenance), and whether an upwind state impacts the downwind area
such that it contributes to and is therefore ``linked'' to the area.
EPA's determination at step one of the good neighbor analysis that it
has not identified any downwind air quality problems to which an upwind
state could contribute is analogous to EPA's determination in the
designation analysis that an area should be designated attainment.
Similarly, EPA's determination at step two of the good neighbor
analysis that, while it has at step one identified downwind air quality
problems, an upwind state does not sufficiently impact the downwind
area such that the state is linked is analogous to EPA's determination
in the designation analysis that a nearby area does not contribute to a
NAAQS violation in another area. Thus, under the good neighbor
provision, EPA determines at step one or two, as appropriate, that the
upwind state will not significantly contribute to nonattainment or
interfere with maintenance of the NAAQS in the downwind area. See,
e.g., 81 FR 74506 (October 26, 2016) (determining that emissions from
14 states whose contributions to downwind receptors are below the air
quality threshold will not significantly contribute to nonattainment or
interfere with maintenance of the 2008 ozone NAAQS); 76 FR 48236
(August 8, 2011) (finding that states whose contributions to downwind
receptors are below the air quality threshold will not significantly
contribute to nonattainment or interfere with maintenance of the
relevant NAAQS). Under such circumstances, sources in the upwind state
are not obligated to implement any control measures under the good
neighbor provision, which is consistent with the fact that sources
located in attainment areas generally are not required to implement the
control measures found in Part D of the Act. Cf. EME Homer City II, 795
F.3d at 130 (determining that CSAPR ozone season NOX budgets
for 10 states were invalid based on determination that modeling showed
no future air quality problems); 81 FR 74523-24 (October 26, 2016)
(removing three states from CSAPR ozone season NOX program
based on determination that states are not linked to any remaining air
quality problems for the 1997 ozone NAAQS).
EPA acknowledges that one distinction between the good neighbor and
designation analyses: The good neighbor analysis relies on future year
projections of emissions to calculate ozone concentrations and upwind
state contributions, compared to the designation analysis's use of
current measured data. As described in more detail earlier, this
approach is a reasonable interpretation of the term ``will'' in the
good neighbor provision, see North Carolina, 531 F.3d at 913-14, and
interpreting language specific to that provision does not create an
[[Page 33749]]
impermissible inconsistency with other provisions of title I. Moreover,
EPA's use of future-year modeling in the good neighbor analysis to
identify downwind air quality problems and linked states is consistent
with its use of current measured data in the designations process.
EPA's future year air quality projections are influenced by a variety
of factors, including current emissions data, anticipated future
control measures, economic market influences, and meteorology. Many of
these same factors, e.g., current control measures, economic market
influences, and meteorology, can affect the NOX emissions
levels and consequent measured ozone concentrations that inform the
designations process. Like the factors that affect measured ozone
concentrations used in the designations process, not all of the factors
influencing EPA's modeling projections are or can be enforceable
limitations on emissions or ozone concentrations. However, EPA believes
that consideration of these factors contributes to a reasonable
estimate of anticipated future ozone concentrations. See EME Homer City
II, 795 F.3d at 135 (declining to invalidate EPA's modeling projections
``solely because there might be discrepancies between those predictions
and the real world''); Chemical Manufacturers Association v. EPA, 28
F.3d 1259, 1264 (D.C. Cir. 1994) (``a model is meant to simplify
reality in order to make it tractable''). Thus, EPA believes that
consideration of these factors in its future-year modeling projections
used at steps 1 and 2 of the good neighbor analysis is reasonable and
consistent with the use of measured data in the designations
analysis.\46\
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\46\ EPA also notes that the consideration of projected actual
emissions in the future analytic year--as opposed to allowable
levels--is also consistent with the statute's instruction that
states (or EPA in the states' stead) prohibit emissions that
``will'' impermissibly impact downwind air quality. This term is
reasonably interpreted to mean that EPA should evaluate anticipated
emissions (what sources will emit) rather than potential emissions
(what sources could emit).
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EPA notes that there is a further distinction between the section
107(d) designations provision and the good neighbor provision in that
the latter provision uses different terms to describe the threshold for
determining whether emissions in an upwind state should be regulated
(``contribute significantly'') as compared to the standard for
evaluating the impact of nearby areas in the designations process
(``contribute'').
Thus, at step three of the good neighbor analysis EPA evaluates
additional factors, including cost and air-quality considerations, to
determine whether emissions from a linked upwind state would violate
the good neighbor provision (i.e., cost-effectiveness). Only if EPA at
step three determines that the upwind state's emissions would violate
the good neighbor provision will it proceed to step four, at which
point emissions in the upwind state must be controlled so as to address
the identified violation, analogous to the trigger for the application
of Part D requirements to sources located in designated nonattainment
areas. EPA interprets the good neighbor provision to not require the
Agency or the upwind state to proceed to step four and implement any
enforceable measures to ``prohibit'' emissions unless it identifies a
violation of the provision at step three. See, e.g., 76 FR 48262
(August 8, 2011) (finding at step three that the District of Columbia
will not violate the good neighbor provision, and therefore will not at
step four be subject to any control requirements in CSAPR, because no
cost-effective emissions reductions were identified).
For these reasons, EPA also does not agree that either section
110(a)(2)(A) or section 110(a)(2)(C) requires the state to include
measures to make the projected emission limitations enforceable in
order to address the good neighbor provision. Section 110(a)(2)(A)
states that a SIP should ``include enforceable emission limitations and
other control measures, means, or techniques . . . as may be necessary
or appropriate to meet the applicable requirements'' of the CAA
(emphasis added). As just described, a finding at step one that there
is no air quality problem supports a conclusion that a state simply
will not contribute significantly or interfere with maintenance of the
NAAQS in another state, and thus that the state need not prohibit any
particular level of emissions under the good neighbor provision. Thus,
under section 110(a)(2)(A), no emission limitations would be necessary
or appropriate to meet the good neighbor provision. Section
110(a)(2)(C) similarly indicates that SIPs should provide for the
enforcement of measures cited to support the requirements of section
110(a)(2)(A), but it does not independently require the imposition of
additional control measures.
Comment: One commenter states that Kentucky proposes to rely on
projections of future emissions based on a current regulatory framework
that EPA is actively attempting to dismantle. Actions that the
commenter contends EPA has not accounted for in the modeling include
EPA's proposed repeal of glider rules, which if finalized would permit
vehicles that emit significant amounts of NOX. In its
original rule, EPA estimated that unregulated glider vehicles would
increase emissions from heavy-duty highway vehicles by approximately
300,000 tons annually in 2025. Conversely, the CSAPR Update only
reduces annual NOX emissions by 75,000 tons, meaning the
proposed regulatory action would swamp multiple times over the emission
reductions from the CSAPR Update and undercut the assumptions in EPA's
estimates.
The commenter also cites efforts to weaken the Corporate Average
Fuel Economy standards, which were anticipated to reduce annual light-
duty highway vehicle emissions of NOX by 904 tons in 2020
and 6,509 tons in 2030, and emissions of VOCs, another ozone precursor,
by 11,712 and 123,070 tons in 2020 and 2030, respectively. EPA is also
considering rescinding 2016 Control Techniques Guidelines (CTG) for oil
and natural gas industry, estimated to reduce emissions by 80,000 tons
annually.
The commenter contends that these actions, if finalized, would
ensure that the exceedingly narrow compliance margins assumed by its
modeling in 2023 are not achieved. To the extent Kentucky stakes good
neighbor compliance entirely on an unenforced and actively undercut
prediction, the commenter claims its reliance is arbitrary and
capricious.
Another commenter states that EPA's 2023 modeling fails to account
for potential federal rule repeals and delays, such as those for:
``glider'' vehicles and engines (proposed November 2017); oil and gas
CTG guidelines (March 2018); and the NSPS for the oil and gas sector.
The commenter also states that relaxation or elimination of control
requirements will result in increased ozone concentrations and that the
2023 design values are therefore an underestimate of actual levels that
will occur. The commenter states that given EPA predicts a maximum
design value of 75.9 ppb in 2023 at the Westport, Connecticut monitor,
coupled with the fact that ``Kentucky significantly contributes to this
monitor,'' the ``unenforceable commitments'' in Kentucky's SIP, and
federal rule repeals and relaxations that EPA ignores, nonattainment
can be expected to result at this monitor.
One commenter asserts that the 2023 modeling fails to account for
the proposed weakening, repeal, and/or delay of numerous federal rules
that directly impact ozone levels, including for glider vehicles, CTGs
for oil and gas,
[[Page 33750]]
and reconsideration of new source performance standards (NSPS) for the
oil and gas sector, which will increase ozone concentrations near and
downwind of affected sources. The commenter contends that the Westport,
Connecticut monitor (part of the New York metropolitan area (NYMA)) is
projected to have design value of 75.9 ppb in 2023, only 0.1 ppb below
the standard (and above the 2015 ozone NAAQS), and Kentucky
significantly contributes to this monitor. The inevitable increase of
ozone levels from EPA's deregulatory activities will drive the Westport
monitor above the 2008 ozone NAAQS.
Response: EPA disagrees that its 2023 projections are unreliable
because of potential changes to other regulations. EPA first notes any
potential regulatory changes to the ``glider'' regulations and the oil
and gas CTG have not been finalized, nor have any relevant changes to
the NSPS for the oil and gas sector been finalized. EPA's normal
practice is to only include changes in emissions from final regulatory
actions in its modeling because, until such rules are finalized, any
potential changes in NOX or VOC emissions are speculative.
In addition, even if emissions were to change as a result of any such
final rules, commenters have not indicated how and whether these
additional emissions would affect downwind ozone concentrations. If
circumstances change such that EPA's projections may be affected,
commenters are free to submit an administrative petition to the Agency.
Comment: One commenter contends that EPA's modeling over-predicts
actions taken in compliance with CSAPR. The commenter notes that the
2023 modeling TSD reveals assumptions that facilities that retrofit
between 2016 and 2023 to install SCR will achieve an emission rate of
0.075 lb NOX/mmBtu. The commenter asserts this is
unrealistic given the CSAPR Update itself relies on the idea that SCR-
equipped units will only achieve 0.10 lb/mmBtu NOX emission
rates. EPA itself considered the 0.075 lb/mmBtu rate to be unachievable
fleetwide in the CSAPR Update.
Response: The commenter conflates EPA's assumptions in the CSAPR
Update regarding emission rates achievable by units with existing SCR
controls (i.e., 0.10 lb/mmBtu) that are idled or not being optimized
with its assumptions regarding new SCR retrofits (i.e., 0.075 lb/
mmBtu). As explained in the CSAPR Update, EPA selected a different rate
for existing SCRs that were viewed as likely to ``optimize'' than it
did for new SCR installations. This difference reflects both
differences in historical data values for the two populations sets, and
also the increased technology performance expected from more recent
technology vintages.\47\
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\47\ See NOX Mitigation Strategy TSD available at
https://www.epa.gov/sites/production/files/2017-05/documents/egu_nox_mitigation_strategies_final_rule_tsd.pdf.
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EPA's assumption of 0.075 lb/mmBtu for SCR retrofits is supported
by historical data on emission rates for new SCR controlled units, is
consistent with its prior engineering and technology assumptions, and
is a conservative estimate of new SCR performance.
New SCR controlled units often perform equal to or better than
older SCRs reflecting advancements in both technology and installation
practices. New SCRs have regularly operated at or below EPA's assumed
emission rate of 0.075 lb/mmbtu. For 12 coal units where SCR was
installed and operating between 2014 and 2016, the average ozone season
NOX emission rate for 2017 was 0.059 lb/mmBtu. When this
time horizon is extended to the 25 SCRs that came online between 2012
and 2016, the 23 that operated in 2017 ozone season operated at a rate
of 0.060 lb/mmBtu. Either measure demonstrates that 0.075 lb/mmBtu is
not only possible for newly controlled units, but regularly achieved
and surpassed. This historical data strongly contradicts the commenters
assertion that EPA's assumption that new units would operate at an
emission rate of 0.075 lb/mmBtu is unrealistically low, but rather
supports EPA performance capability assumption as both reasonable and
conservative.
Additionally, the 0.075 lb/mmBtu emission rate assumption for new
SCRs is consistent with EPA's historical levels of assumed performance
in its power sector modeling and consistent with the engineering
assessment by Sargent and Lundy underpinning those performance
assumptions.\48\
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\48\ Sargent & Lundy, IPM Model--Updates to Cost and Performance
for APC Technologies, SCR Cost Development Methodology, Final,
Project 12847-002 (March 2013), available at https://www.epa.gov/sites/production/files/2015-08/documents/attachment_5-3_scr_cost_methodology.pdf.
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Comment: One commenter asserts that the modeling predicts that
existing units will either install new controls or operate controls at
higher efficiencies following the CSAPR Update, despite limited
incentives to do so. The commenter cites as an example the Paradise
unit 3 in Kentucky that EPA assumed will optimize its SCR (0.10 lb/
mmBtu) and reduce its NOX output to about 1,000 tons per
ozone season, but in 2017, the unit emitted over twice that amount
(about 2,400 tons or 0.22 lb/mmBtu). Moreover, the Additional Updates
to Emissions Inventories for the Version 6.3, 2011 Emissions Modeling
Platform for the Year 2023 TSD generally assumes that facilities that
emitted at a rate higher than 0.10 lb/mmBtu in 2016 will come down to
0.10 lb/mmBtu in 2023, which ignores the reality of emission trading
under CSAPR. The commenter contends that this effectively assumes that
the market for emissions credits will price those credits so highly
that no emitter will choose to buy credits rather than reduce
emissions, which is belied by purpose and experience of the CSAPR
trading scheme.
Response: EPA's assumption of 0.010 lb/mmBtu for optimized SCR
performance at units with existing SCRs is both reasonable and
consistent with recent historical data.
As explained in the CSAPR Update, EPA evaluated SCR emission rates
at existing units from 2009-2015 and found that the third lowest fleet-
wide yearly ozone season average was an appropriate metric to use for
SCR performance. See 81 FR 74543 (October 26, 2016). These emission
rates were used to calculate states' emissions budgets in the CSAPR
Update. In order to project emission levels representing CSAPR Update
implementation in 2023, it is reasonable to use the same assumptions
regarding the average, fleet-wide emissions rate for affected units,
even if individual unit operation may vary. Thus, consistent with that
assumption, EPA used a 0.10 lb/mmBtu to represent operation of existing
SCRs its 2023 projections as well. While unit-level performance will
vary relative to this fleet-wide assumption (with some SCR controlled
units operating below and some above), using a fleet-wide average for
each unit-level estimate captures aggregate emission impacts to the air
shed and minimizes the net residuals between unit-level estimates and
the eventual observed unit-level performance.
Data from 2017, the first year of ozone season data that would be
influenced by the CSAPR Update compliance requirements, is consistent
with this assumption on a fleet-wide level. EPA began its engineering
analysis to project 2023 EGU emissions with 2016 monitored and reported
data. For the units with existing SCRs that were operating above 0.10
lb/mmBtu in 2016 (totaling 82,321 tons of emissions in that year), EPA
assumed that SCRs would be optimized under a CSAPR Update scenario to
0.10 lb/mmBtu on average for 2023. This results in 2023 emissions
estimates for these units being adjusted
[[Page 33751]]
down to 40,590 tons for these units. In 2017, the very first year of
CSAPR Update, collective emissions from these units were 41,706 tons.
This 2017 value is already very close to the 2023 estimated value, and
supports the assumed behavior of optimized SCR performance to 0.10 lb/
mmBtu on average. Some of these units operated above 0.10 lb/mmBtu in
2017 (as the commenter points out), but many operated below 0.10 lb/
mmBtu, as well. Relying on the fleet-wide average estimate was very
consistent with the fleet-wide observed behavior in 2017.
EPA disagrees with the notion that EGU emissions will increase,
rather than decrease, in future years of the CSAPR Update
implementation, or that the market for allowances would have to price
allowances much higher in order for emission reductions to continue.
This is not borne out by historical precedent or any economic models.
There are a variety of policy and market forces at work beyond CSAPR
allowance prices that are anticipated to continue to drive generation
to shift from higher emitting to lower emitting sources. As evidenced
in prior EPA allowance trading programs, emissions from covered sources
generally trend downwards (regardless of allowance price) as time
extends further from the initial compliance year.\49\ Both the Acid
Rain Program and CSAPR SO2 allowance banks grew in 2017 from
their 2016 levels, indicating that sources are collectively adding to
the bank (by emitting below state budgets) rather than drawing down the
bank because of the availability of low cost allowances. This
illustrates that there are multiple drivers affecting emissions, and it
is reasonable for EPA to consider those, in addition to CSAPR update
incentives, in its projection of 2023 ozone season NOX
levels for EGUs.
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\49\ 2014 Program Progress, Clean Air Interstate Rule, Acid Rain
Program, and Former NOX Budget Trading Program. EPA,
available at https://www.epa.gov/sites/production/files/2017-09/documents/2014_full_report.pdf.
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Comment: One commenter states that EPA's 2023 modeling contains
aspects that ``deviate from past guidance and have not undergone peer
review,'' including a new approach to coastal grid cells. The commenter
states that the affected community needs to be afforded the opportunity
for review and public comment on such approaches.
Response: EPA released 2023 projected ozone design value data for
individual monitoring sites in October 2017.\50\ These data include
ozone design value projections for each site based on the methodology
recommended in EPA's photochemical modeling guidance.\51\ In addition,
EPA provided a companion set of 2023 design values based on an
alternative approach for coastal monitoring sites. The commenter had an
opportunity to review and analyze the alternative coastal grid cell
approach during the public comment period for this action, as well as
when the data were released in October 2017. The commenter did not
provide any substantive feedback on the alternative approach including
reasons why the approach would not be appropriate. EPA also notes that
both methods result in the same outcome that all monitoring sites
outside of California are not expected to have problems attaining or
maintaining the 2008 NAAQS by 2023.
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\50\ https://www.epa.gov/airmarkets/october-2017-memo-and-supplemental-information-interstate-transport-sips-2008-ozone-naaqs.
\51\ Modeling Guidance for Demonstrating Attainment of Air
Quality Goals for Ozone, PM2.5, and Regional Haze, U.S.
Environmental Protection Agency, Research Triangle Park, NC,
available at https://www.epa.gov/ttn/scram/guidance/guide/Draft_O3-PM-RH_Modeling_Guidance-2014.pdf.
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Comment: One commenter contends that reliance on modeling that
predicts future compliance by 0.1 ppb when inherent uncertainties are
much larger is arbitrary and capricious. The commenter states that the
October 2017 Transport Memo speculatively suggests ozone NAAQS
attainment without performance of any sensitivity analyses and through
incorporation of a series of dubious assumptions, projecting attainment
by only 0.1 ppb. Prediction of near-nationwide compliance by 2023 is
the product of thousands of inputs, assumptions, and simplifications
related to emissions inventories, future power consumption,
meteorological conditions, and chemical reactions. The commenter notes
natural gas prices as an example of the huge degree of uncertainty in
this prediction. The modeling is based on predictions of 2023
emissions, which is based on predictions of power plant fuel
utilization based on a guess of future fuel prices in 2023. If gas
prices are higher than predicted, the modeling will predict greater
dependence on coal-fired generation, predicting higher NOX
emissions, and ultimately under-predict ozone formation.
Response: EPA's modeling results that show the site the commenter
refers to, site 090019003 in Fairfield County, Connecticut, is
projected to be in compliance of the 2008 NAAQS by three ppb (i.e.,
2023 projected average design value is 73.0 ppb). When considering the
effects of meteorological variability this site is still projected to
be below the level of the NAAQS (i.e., projected maximum design value
is 75.9 ppb). Additionally, continuing ozone reductions are expected in
future years at all sites due to an estimated 19 percent reduction in
ozone season NOX emissions expected to occur between 2017
and 2023 in the aggregate for the states covered by the CSAPR Update.
The commenter provides no data to substantiate their claim that EPA's
projected design values are not technically sound and appropriate for
use in this rulemaking.
EPA recognizes that there are inherent uncertainties in modeling
the future, but EPA believes that the model platform and inputs
selected are well-supported and reasonable. The commenter did not
provide information to suggest that there is an overall bias in the
modeling-based projections. As it has for every air quality modeling
exercise, EPA performed a model evaluation, as described in the Air
Quality Modeling Technical Support Document for the final CSAPR Update,
which compared ozone predictions for 2011 from the modeling platform to
actual measured data from that year, in order to test how well the
model characterized reality. The model evaluation indicates that the
model's predictions corresponded closely to actual measured
concentrations in terms of the magnitude, temporal fluctuations, and
spatial differences for 8-hour daily maximum ozone.\52\ The commenter
is correct that EPA's modeling predictions are the result of thousands
of inputs, assumptions, and simplifications; this is by definition the
exercise of modeling. Moreover, because of the complexity of air
quality modeling, courts are deferential to EPA's with respect to those
inputs, assumptions, and simplifications. The D.C. Circuit has declined
to ``invalidate EPA's predictions solely because there might be
discrepancies between those predictions and the real world.'' EME Homer
City II, 795 F.3d at 135-36. The fact that a ``model does not fit every
application perfectly is not criticism; a model is meant to simplify
reality in order to make it tractable.'' Chemical Manufacturers
Association v EPA, 28 F.3d 1259, 1264, 307 U.S. App. DC 392 (D.C. Cir.
1994). The court has held that ``it is only when the model bears no
rational relationship to the characteristics of the data to which it is
applied that we will hold that the use of the model was arbitrary and
capricious.'' Appalachian Power Co. v. EPA, 135 F.3d 791, 802 (D.C.
Cir. 1998).
[[Page 33752]]
As demonstrated by EPA's model performance evaluation, the modeling
platform used in this rulemaking and EPA's choices as to inputs and
assumptions provide reasonable projections of expected future year
ozone concentrations and contributions, and is thus an appropriate
basis on which to base the findings made in this action.
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\52\ Air Quality Modeling TSD, available at https://www.epa.gov/airmarkets/air-quality-modeling-technical-support-document-final-cross-state-air-pollution-rule.
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EPA further disagrees with the commenter's assertion that EGU
projections are too uncertain because natural gas fuel prices may be
different than those underlying EPA's projections, resulting in greater
coal-fired generation and consequently higher emissions. First, EPA
notes that power plant emissions are a small portion (approximately 15
percent) of the 2023 eastern states total NOX emission
inventory used to inform the air quality modeling.\53\ Relative to
mobile sources and other emission categories, EGU emissions projections
are a smaller segment of the inventory and just a portion of the impact
on the Connecticut modeled attainment status.
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\53\ Available at ftp://newftp.epa.gov/Air/emismod/2011/v3platform/reports/2011en_and_2023en/2023en_cb6v2_v6_11g_state_sector_totals.xlsx.
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Moreover, EPA believes its EGU projections are reasonable and
conservative. In developing the 2023 EGU emissions projections, EPA
relied on 2016 monitored and reported data and only made emissions
adjustments to account for (1) control optimization expected in
response to the CSAPR Update implementation beginning in 2017, and (2)
any known (e.g., planned and under construction) power plant
infrastructure changes, including new builds, retirements, coal-to-gas
switching, and SCR retrofit project underway and reported by the owner
or operators to the Department of Energy's (DOE) Energy Information
Administration (EIA) in EIA Form 860.\54\ No adjustments were made for
projected, but unannounced, fleet changes estimated to occur by 2023 in
response to market conditions and an aging fleet. Because these
projected fleet wide changes would have resulted in lower 2023 EGU
emission estimates, the EGU emission projections EPA actually used in
the modeling were conservative.
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\54\ Additional Updates to Emissions Inventories for the Version
6.3, 2011 Emissions Modeling Platform for the Year 2023 Technical
Support Document, EPA, October 2017, available at https://www.epa.gov/sites/production/files/2017-11/documents/2011v6.3_2023en_update_emismod_tsd_oct2017.pdf.
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EPA also does not agree with the commenter that gas prices are
likely to be higher in future years. Average annual natural gas prices
ranged from $2.52/mmBtu to $4.37/mmBtu between 2009 and 2016.\55\ EPA
and other independent analysts expect future natural gas prices to
remain low and within this 2009 to 2016 range due both to supply and
distribution pipeline build-out. For example, the EIA's 2018 Annual
Energy Outlook (AEO) natural gas price projections for Henry Hub spot
price range from $3.06/mmBtu in 2018 to $3.83/mmBtu in 2023.\56\
Moreover, the AEO short-term energy outlook and New York Mercantile
Exchange futures further support the estimates of a continued low-cost
natural gas supply.\57\ These independent analyses of fuel price data
and projections lead to EPA's expectation that fuel-market economics
will continue to support natural gas consumption during future ozone
seasons through at least 2023 in a manner similar to recent historical
levels. These lower natural gas price outlooks suggest, if anything,
lower emissions projections, not higher. Consistent with this outlook,
industry has announced significant new waves of coal retirements since
2016--which is also consistent with a less emissions-intensive outlook
than that captured by EPA's use of 2016 EGU data as its starting point
for emissions inventory purposes in this action. EPA agrees that there
is some uncertainty in fuel prices that consequently casts uncertainty
on future emissions projections. However, for the reasons discussed
herein, EPA believes its assumptions are both reasonable and
conservative. Moreover, EPA notes that many of the assumptions factored
into its 2023 projections are firm (e.g., retirements) and therefore
not sensitive to future fuel price changes.
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\55\ https://tonto.eia.gov/dnav/ng/hist/rngwhhda.htm.
\56\ In the 2018 reference case AEO released February 6, 2018,
created by the U.S. EIA, natural gas prices for the power sector for
2018 through 2023. Available at https://www.eia.gov/outlooks/aeo/data/browser/#/?id=13-AEO2018&cases=ref2018&sourcekey=0.
\57\ AEO short-term energy outlook, available at https://www.eia.gov/outlooks/steo/report/natgas.php.
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The reasonableness, conservativeness, and feasibility of EPA
assumptions are illustrated by the first year of CSAPR compliance
emission levels in 2017. Emissions in 2017 dropped (in just one year)
by 21 percent from 2016 levels and were 7 percent below the CSAPR
budget for the 22 affected states. EPA 2023 projections for the same
set of states were 10 percent below the CSAPR budget, meaning in just
one-year states have already achieved the majority of the EGU reduction
anticipated by EPA and are well above pace to be at or below that level
by 2023. For Kentucky specifically, ozone season NOX EGU
emissions dropped from 25,402 tons in 2016 to 19,978 tons in 2017 for
EGUs greater than 25 MW. This reflects a 21 percent reduction in just
one year of the total 33 percent reduction assumed for the state by
2023.\58\
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\58\ See Engineering Analysis--Unit File, available at ftp://ftp.epa.gov/EmisInventory/2011v6/v3platform/reports/2011en_and_2023en/.
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Comment: One commenter provided 2017, 2020, and 2023 projected
design values based on air quality modeling by the Ozone Transport
Commissions (OTC) using the Community Multi-scale Air Quality Model
(CMAQ) and design values for 2023 using the Comprehensive Air Quality
Model with Extensions (CAMx) in conjunction with emissions inventory
projections from the Mid-Atlantic Regional Air Management Association
(MARAMA). The commenter also included the 2023 projected design values
based on EPA's CAMx modeling. The commenter includes a sample of the
results and points to predicted 2023 design values based on CMAQ that
are above the NAAQS at the Westport, Connecticut and Susan Wagner, New
York monitors. The commenter states that the CMAQ results are
``considerably different'' from EPA's CAMx modeling.
Another commenter states that EPA's modeling as well as modeling
conducted by Alpine produce overly optimistic projection of future year
ozone levels. The commenter includes a table that the commenter
characterizes as indicating 2017 measured design values considerably
higher than those projected at all Connecticut monitoring sites as well
as indicating Kentucky contributions of greater than 1 percent at two
Connecticut monitors after contributions are scaled relative to 2017
measured air quality levels. The commenter states that Kentucky's
proposed SIP fails to address the underprediction of the modeling.
Response: EPA does not agree that the modeling provided by
commenters should affect EPA's reliance on its own 2023 modeling. The
first commenter provided projected design values at 41 monitoring sites
along the Northeast Corridor for each model run. Of these 41 sites, all
but two had base year design values that exceeded the 2008 NAAQS. The
modeling results show that the EPA and OTC CAMx-based 2023 design value
projections are consistent on an individual site basis for all 41
sites. Both sets of CAMx modeling indicate that the 41 sites will be
below the 2008 NAAQS by 2023.
In addition, the CMAQ 2023 design values are consistent with both
sets of CAMx-based 2023 projections at nearly
[[Page 33753]]
all sites. That is, CMAQ modeling indicates that all but two of the 41
sites will be below the 2008 NAAQS by 2023. The two sites projected to
exceed the 2008 NAAQS in 2023 with CMAQ, but not the OTC and EPA CAMx
modeling, are the Westport site in Connecticut and the Susan Wagner
High School site in New York.
The CMAQ projections for these two sites are not only inconsistent
with the CAMx modeling, but they are also inconsistent with the CMAQ
modeling for other nearby sites in Connecticut, New York, and New
Jersey. For example, based on the CMAQ modeling, ozone at the Susan
Wagner site is projected to decline by only five percent between 2011
and 2023, whereas at a site in nearby Bayonne, New Jersey, ozone is
projected to decline by 13 percent over this same period. Similarly,
ozone at the Westport site is projected to decline by only three
percent between 2011 and 2023 with CMAQ, but at other sites along the
Connecticut coastline (i.e., sites in Greenwich, Stratford, and
Madison) ozone is projected to decline by 10 to 19 percent. In
addition, the CMAQ results for these two sites are inconsistent with
ozone reductions predicted by CMAQ at other sites in the New York City
area which range from 11 to 18 percent. While it is possible ozone
levels in 2023 at the Westport and/or Susan Wagner sites may be higher
than at other sites in the New York City area, the commenter fails to
provide any explanation regarding the large difference in the CMAQ-
based model response to emissions reductions at these two sites
compared to nearby sites and to other sites in the New York area. Based
on the complicated photochemistry in the New York City area, it is
possible that ozone monitoring sites closest to the New York City
NOX emissions plume may be less responsive to NOX
controls compared to sites further downwind. Due to non-linear
chemistry, sites very close to the city may experience increases in
ozone or less reduction than other nearby sites on some days in
response to local emissions reductions in NOX. Thus, we
might expect that monitoring sites in Connecticut that are closer to
New York City would show less reduction in ozone than sites in
Connecticut that are further downwind. However, as noted above, in the
OTC CMAQ modeling, the closest downwind Connecticut site (Greenwich)
has a 10-percent modeled ozone reduction, while the Westport site,
which is further downwind, has only a 3-percent modeled ozone
reduction. The commenter did not provide any information to explain why
the OTC CMAQ modeling results for the Westport, Connecticut and Susan
Wagner, New York monitoring sites are dissimilar to other near-by sites
or why the CMAQ modeling provides a more representative ozone
projection for these two sites compared to the EPA and OTC CAMx-based
modeling results.
The second commenter contends that modeling by EPA and Alpine for
2023 is overly optimistic because EPA's modeled ozone design values for
2017 are higher than the preliminary 2017 design values for certain
monitoring sites in Connecticut. The results of the air quality
modeling performed by the OTC show that the results of the CAMx
modeling by EPA and Alpine are consistent with the OTC's 2023 CAMx
modeling results. Specifically, the EPA, Alpine, and OTC CAMx modeling
all project that all sites identified by the commenter as having
preliminary 2017 measured design values exceeding the 2008 NAAQS will
be in compliance with that NAAQS by 2023. These CAMx results are also
consistent with the OTC CMAQ modeling, except for one site in Westport,
Connecticut, that CMAQ predicts will still violate the 2008 NAAQS in
2023. However, the CMAQ modeling for this site is inconsistent with
other available modeling from EPA, the OTC, and Alpine, as described in
the paragraph above.
In addition, the commenter compared the preliminary 2017 measured
design values to EPA's projected 2017 average design values, but did
not demonstrate that the modeling was generally biased. In particular,
the commenter ignored EPA's projected maximum design values. The
projected maximum design values are intended to represent future ozone
concentrations when meteorological conditions are more favorable to
ozone formation than the average. Comparing both the 2017 modeled
average design values and maximum projected design values to the
preliminary 2017 measured design values indicates that the projected
maximum design values are, in most cases, closer in magnitude to the
2017 preliminary measured design values than the 2017 model-projected
average design values listed in the comments.
Further, while the modeling-based projections may have understated
observed design values at certain monitoring sites in Connecticut, this
was not the case for other 2017 receptor sites in the Northeast
Corridor. For example, at other receptor sites in the New York area in
Suffolk and Richmond counties, New York, the measured 2017 design
values were within 0.2 ppb of the model-predicted average design
values. At the site in Philadelphia County, Pennsylvania the modeled
2017 maximum design value was 1.1 ppb lower than the corresponding
measured value and at the site in Harford County, Maryland, the modeled
value was higher, not lower, than the measured 2017 design value. It is
not unreasonable that there may be some differences between the
modeling-based projections for a future year in part because the
meteorology of the future year cannot be known in advance. While EPA
recognizes that there are uncertainties in the modeling, the results
for the 2017 receptor sites in the Northeast do not, on balance, show a
consistent bias.
Even though the preliminary 2017 measured design values at the
eight sites identified by the commenter are still measuring violations
of the 2008 NAAQS, it is entirely reasonable to project that these
sites will be in attainment by 2023 as a result of the roughly 19
percent reduction in aggregate ozone season NOX emissions
that is expected to occur between 2017 and 2023 for the states covered
by the CSAPR Update. As mentioned earlier, because of the high
NOX emissions in the New York City area and the non-linear
chemistry associated with ozone formation, the benefits of
NOX emissions reductions may not have been fully realized to
date at downwind sites in Connecticut. More notable reductions in ozone
at these sites are expected as NOX emissions decline
further, in response to existing control programs and other factors
influencing emissions. A large short-term reduction in ozone is not
unprecedented at historically high ozone sites in other parts of the
Northeast Corridor. Specifically, the measured design values at the
Edgewood monitoring site in Harford County, Maryland, which is downwind
of the Baltimore/Washington, DC urban area, declined by nearly 20
percent between 2012 and 2014 and have been below the level of the 2008
NAAQS since 2014, as shown by the data in the table below. Thus, EPA
disagrees that the monitored data cited by the commenter indicates that
the modeling projections are unreliable.
[[Page 33754]]
Design Values (ppb) at Edgewood Site in Harford County, MD, 2007 Through 2017
--------------------------------------------------------------------------------------------------------------------------------------------------------
Preliminary
Year 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017
--------------------------------------------------------------------------------------------------------------------------------------------------------
Design Value................. 94 91 87 89 92 93 85 75 71 73 75
--------------------------------------------------------------------------------------------------------------------------------------------------------
Comment: One commenter asserts that the 2023 modeling provided by
EPA does not provide a ``full remedy'' because it shows that Kentucky
still significantly contributes to ozone levels (which the commenter
contends is defined by a contribution greater than 1 percent of the
NAAQS, or 0.75 ppb) across Delaware between 1.10 and 2.53 ppb in 2023.
Although the modeling shows attainment in Delaware in 2023, the
commenter contends that Kentucky should not presume Delaware or any
other state will be attaining the 2008 ozone NAAQS in 2023. The
commenter notes that monitors in Delaware are currently meeting the
2008 ozone NAAQS, but that other monitors in the Philadelphia
nonattainment area are exceeding the NAAQS (noting the Bristol,
Pennsylvania monitor with a 2014-2016 design value of 77 ppb), despite
the fact that EPA officially declared the nonattainment area had
attained.
Another commenter states that the CSAPR Update ``clearly
established'' Kentucky's significant contribution to the Richmond
County monitor, and disagrees with EPA's proposed amendment to reflect
that the CSAPR Update provides a full remedy to Kentucky's transport
obligation because in EPA's 2023 modeling ``Kentucky is still shown to
be significantly contributing to monitors'' in the New York City
metropolitan area, the area currently exceeds the NAAQS ``by a
significant margin,'' and the area will likely continue to exceed the
NAAQS in 2023 ``once the issues with EPA's projection modeling are
addressed.
Response: EPA disagrees with the commenters' assertion that an
impact in a downwind area above the 1 percent threshold necessarily
indicates that an upwind state significantly contributes to
nonattainment or interferes with maintenance of the NAAQS in a downwind
state. The good neighbor provision first requires the identification of
a downwind nonattainment or maintenance problem before emission
reductions may be required, regardless of the upwind state impact on
downwind ozone concentrations. See EME Homer City II, 795 F.3d at 129-
30 (finding emission budgets invalid where air quality modeling showed
downwind nonattainment and maintenance problems would be resolved). As
the commenter notes, EPA's modeling shows that no areas in the East
will have downwind air quality problems with respect to the 2008 ozone
NAAQS in 2023, and thus EPA's analysis is complete at step one of the
four-step framework. As discussed earlier, although monitors may
currently measure exceedances of the NAAQS, EPA interprets the term
``will'' in the good neighbor provision to permit consideration of
projected air quality in an appropriate future year. See North
Carolina, 531 F.3d at 913-14.
Moreover, even if a downwind air quality problem had been
identified, the fact that an upwind state would contribute at or above
the 1 percent threshold to downwind nonattainment and maintenance
receptors in step two of EPA's framework does not by itself indicate
that the state would be considered to ``contribute significantly'' or
``interfere with maintenance'' of the NAAQS. The finding that a state's
downwind impact would meet or exceed this threshold only indicates that
further analysis is appropriate to determine whether any of the upwind
state's emissions meet the statutory criteria of significantly
contributing to nonattainment or interfering with maintenance. This
further analysis in step three of EPA's four-step framework considers
cost, technical feasibility and air quality factors to determine
whether any emissions deemed to contribute to the downwind air quality
problem must be controlled pursuant to the good neighbor provision.
Thus, the commenter is incorrect to assert that EPA's 2023 modeling
shows that Kentucky significantly contributes to ozone levels in
Delaware.
Comment: One commenter points to the 2023 modeling performed by
Alpine indicating greater than a 1 percent contribution by Kentucky to
New Jersey. The commenter points specifically to the Ocean County and
Colliers Mill monitoring sites in New Jersey as receiving 1.48 ppb of
ozone from Kentucky.
Response: There is only one ozone monitoring site in Ocean County
New Jersey and that site is located in Colliers Mills.\59\ This site is
currently monitoring attainment of the 2008 ozone NAAQS based on a
2014-2016 design value of 73 ppb, and preliminary data indicates that
the 2015-2017 design value remains at 73 ppb. This site is also
projected to be in attainment of the 2008 ozone NAAQS in 2023. That is,
this site is not expected to have a problem attaining or maintaining
the 2008 NAAQS in 2023 that would warrant consideration of further
upwind reductions in Kentucky.
---------------------------------------------------------------------------
\59\ See Figure 4-5 in the 2016 New Jersey Air Quality Report,
New Jersey Department of Environmental Protection, Bureau of Air
Monitoring, December 7, 2017, available at https://www.njaqinow.net/.
---------------------------------------------------------------------------
Comment: One commenter states that EPA's 2023 contribution
assessment methodology, which uses average exceedance day ozone
contribution, does not capture what happens on a daily basis for ozone
formation and is inconsistent with how the states are required to use
``peak'' ozone days when they demonstrate attainment of the ozone
standard. Ozone episodes are dependent on variation in daily weather
patterns and energy generation dispatch.
The commenter notes that Maryland has recently conducted modeling
that shows that certain meteorological regimes will show very large
contribution while other meteorological regimes show lower
contribution. The commenter states that the days when Kentucky's
contribution in the model is very high are generally the same type of
days that Maryland expects will drive the attainment process, where
peak days are used to calculate design values using measured, not
modeled data. The commenter states that this can be resolved by
requiring the largest emitters of ozone precursors, coal-fired EGUs
with SCR and SNCR, to optimize those controls every day of the ozone
season.
Response: EPA does not believe the methodology used to evaluate
upwind state contributions to downwind air quality problems is relevant
to this action, because, as noted in the NPRM and earlier this action,
EPA's modeling shows that there are projected to be no remaining air
quality problems identified in the East in 2023. Accordingly, EPA's
analysis concludes at step one of the four-step framework, and as
discussed earlier in this action, the level of Kentucky's contribution
to any downwind monitoring cites in 2023, which would not be addressed
until step two of the four-step
[[Page 33755]]
framework, is therefore irrelevant. Moreover, to the extent the
commenter refers to Kentucky's contribution to downwind air quality
problems in EPA's 2017 modeling conducted for the CSAPR Update, EPA has
already acknowledged that Kentucky was linked to the ozone monitoring
site in Harford County, Maryland. Thus, whether or not Kentucky's
contribution would have been higher in 2017 based on examining impacts
on ``peak'' ozone days is also irrelevant because EPA already
quantified and implemented emission reductions for Kentucky in the
CSAPR Update based on this linkage.
Nonetheless, EPA disagrees that its method for calculating
contribution from upwind states to downwind receptors is inconsistent
with how the states are required to demonstrate attainment of the ozone
NAAQS. EPA's modeling guidance recommends that states calculate future
year ozone projections based on 5-year weighted average design values
and on the average base year and future year concentrations across the
highest base year concentration days.\60\ Similarly, EPA's method for
calculating the average contribution metric in the CSAPR Update was
based on the average contribution across the days with the highest
future year concentrations.
---------------------------------------------------------------------------
\60\ Modeling Guidance for Demonstrating Attainment of Air
Quality Goals for Ozone, PM2.5, and Regional Haze, U.S.
Environmental Protection Agency, Research Triangle Park, NC,
available at https://www.epa.gov/ttn/scram/guidance/guide/Draft_O3-PM-RH_Modeling_Guidance-2014.pdf.
---------------------------------------------------------------------------
Comment: One commenter states that the CSAPR Update, by its own
terms, does not fully satisfy section 110(a)(2)(D) for the 2008 ozone
NAAQS. Rather than rely on the CSAPR Update, Kentucky's SIP revision
must evaluate the Commonwealth's expected contribution to downwind
nonattainment and include provisions to prevent those contributions in
a timely fashion. The commenter cites North Carolina's conclusion that
``a complete remedy to section 110(a)(2)(D)(i)(I) . . . must do more
than achieve something measurable; it must actually require elimination
of emissions from sources that contribute significantly and interfere
with maintenance in downwind nonattainment areas.'' 531 F.3d at 908.
The commenter notes that, in the final CSAPR Update, EPA explained
that downwind air quality problems would remain after implementation,
and that the rule was limited by EPA's focus on ``immediately available
reductions'' that could be implemented by the 2017 ozone season. The
commenter further states that EPA's October 2017 Transport Memo
conceded that the CSAPR update only partially addressed the
requirements of the good neighbor provision, noting in a footnote that
the memo indicates continued nonattainment in Philadelphia, which is
linked to Kentucky in the CSAPR Update.
The commenter contends that Kentucky has undertaken no independent
analysis of whether any emission reductions that have occurred as a
result of its implementation of the CSAPR Update have actually
eliminated the Commonwealth's significant contribution to nonattainment
or maintenance monitors in linked downwind states. Given Kentucky's
largest downwind contribution was 10.8 ppb to ozone concentrations at a
maintenance monitor in Ohio in 2017, the commenter asserts that it is
highly improbable that the modest reductions in NOX
emissions from Kentucky plants that have occurred since the
implementation of the CSAPR Update have eliminated this significant
linkage. The commenter notes in a footnote that Kentucky reduced
NOX emissions during the ozone season by about a third in
implementing the CSAPR Update, and accordingly retained a similar
majority of its downwind impacts, well above the 0.75 ppb threshold of
``significant contributions.''
Response: While EPA indicated that the CSAPR Update FIPs ``may not
be sufficient to fully address these states' [including Kentucky's]
good neighbor obligations'' for the 2008 ozone NAAQS (emphasis added),
EPA did not definitely determine that additional reductions were
required. 81 FR 74521. Rather, EPA acknowledged that additional
analysis would be required to determine the full extent of the good
neighbor obligation. Kentucky's SIP submission and EPA's review in this
action conduct this additional assessment by analyzing downwind ozone
concentrations relative to the 2008 ozone NAAQS in a future analytic
year, considering downwind attainment dates and anticipated compliance
timeframes for potential, additional emission reductions. The results
of this analysis show that the downwind air quality problems to which
Kentucky was linked in 2017 are resolved by 2023, and thus concludes
that the emission reductions required by the CSAPR Update provide a
complete remedy under the good neighbor provision for the 2008 ozone
NAAQS. EPA therefore disagrees that EPA's approval of Kentucky's SIP is
inconsistent with the court's holding in North Carolina, because EPA
has in fact required meaningful emission reductions from sources in
Kentucky via the CSAPR Update FIP.
Moreover, as explained earlier in this action, an impact in a
downwind area above the 1 percent threshold does not necessarily
indicate that an upwind state significantly contributes to
nonattainment or interferes with maintenance of the NAAQS in a downwind
state. The good neighbor provision first requires the identification of
a downwind nonattainment or maintenance problem before emission
reductions may be required, regardless of the upwind state impact on
downwind ozone concentrations. See EME Homer City II, 795 F.3d at 129-
30 (finding emission budgets invalid where air quality modeling showed
downwind nonattainment and maintenance problems would be resolved).
Thus, although emissions from Kentucky may continue to impact air
quality in other states in 2023, this impact is not impermissible under
the good neighbor provision given EPA has projected that there will be
no air quality problems that could trigger upwind control obligations.
Comment: One commenter contends that EPA takes two contradictory
positions regarding its application of the four-step framework designed
to assist states in determining good neighbor SIP obligations under the
CAA, citing the January 2015 Transport Memo. The commenter notes that,
based on 2017 modeling conducted for the CSAPR Update, EPA acknowledged
that Kentucky is linked to Maryland's Harford County monitor, which
will continue to have maintenance problems in the near future. However,
instead of completing the analysis at steps 3 and 4 using 2017 as a
baseline, EPA returned to step one, performed new modeling for 2023,
and used that modeling to determine that there will be no remaining air
quality problems outside of California.
The commenter further contends that reliance on 2023 modeling is
inappropriate because the attainment deadline for Harford County is
July 2018, and Maryland must continue to maintain thereafter. The
commenter states that EPA should have completed all steps of the four-
step framework using a consistent base year since EPA's own modeling
identified Kentucky as currently linked to the Harford County receptor.
EPA should have identified the emissions reductions necessary to
prevent Kentucky from significantly contributing to nonattainment or
interfering with maintenance in Maryland, and required Kentucky to
[[Page 33756]]
adopt permanent and enforceable measures needed to achieve identified
emission reductions as expeditiously as practicable. The commenter
asserts that Kentucky's obligation to reduce its current contribution
to Maryland's 2017 maintenance monitor cannot properly be offset based
on projections about future air quality which may or may not occur in
2023.
Response: The commenter misunderstands EPA's analysis in this rule
and the operation of the four-step framework. EPA agrees that Kentucky
was linked to the Harford County receptor in step two of EPA's four-
step framework based on the 2017 modeling conducted for the CSAPR
Update. Based on that determination, EPA already evaluated and
quantified, at step three, feasible and cost-effective emission
reductions that were required to address Kentucky's good neighbor
obligation with respect to that receptor in the CSAPR Update, and
implemented those emission reductions at step four through the
requirement that EGUs in Kentucky participate in the CSAPR
NOX Ozone Season Group 2 allowance trading program. Thus,
EPA has completed steps 3 and 4 with respect to the 2017 modeling
analysis.
However, as explained in the CSAPR Update, EPA could not conclude
that the rule fully addressed CAA section 110(a)(2)(D)(i)(I)
obligations for 21 of the 22 CSAPR Update states, including Kentucky.
Specifically, EPA determined that downwind air quality problems would
remain after implementation of the CSAPR Update, including at the
Harford County monitor, and EPA could not conclude at that time whether
additional EGU and non-EGU reductions implemented on a longer timeframe
than 2017 would be feasible, necessary, and cost-effective to address
states' good neighbor obligations for this NAAQS.
Given that any additional emission reductions, if necessary, would
be implemented at some point after 2017, it is reasonable for Kentucky
and EPA to evaluate air quality (at step one of the framework) in a
future year that is aligned with feasible control installation timing
in order to ensure that the upwind states continue to be linked to
downwind air quality problems when any potential emissions reductions
would be implemented and to ensure that such reductions do not over-
control relative to the identified downwind ozone problem. See EME
Homer City, 134 S. Ct. at 1608. Here, EPA has determined that the air
quality problems identified at the Harford receptor with respect to the
2008 ozone NAAQS will be resolved by 2023. Accordingly, EPA does not
have the authority to require additional emission reductions from
sources in Kentucky in that year. See EME Homer City II, 795 F.3d at
130 (determining that CSAPR ozone season budgets for 10 states are
invalid based on determination that modeling showed no future air
quality problems).
Comment: One commenter asserts that the good neighbor provision
does not permit a state to delay its elimination of significant
downwind contribution indefinitely. EPA made nonattainment designations
for areas where Kentucky is making a significant contribution and
therefore EPA's proposal to delay enforcing Kentucky's good neighbor
obligations for another five years violates the good neighbor
provision. Kentucky's SIP fails to address Kentucky's present and
ongoing significant contribution to nonattainment or interference with
maintenance of the NAAQS in downwind areas including the New York-
Northern New Jersey-Long Island, NY-NJ-CT nonattainment area in the
NYMA.
The commenter states that the CSAPR Update established Kentucky's
significant contribution to the Richmond County monitor in 2017, which
is part of the NYMA that measured nonattainment for the 2008 ozone
NAAQS during 2017. The commenter contends that EPA's proposed approval
provides no modeling or monitoring data showing that Kentucky's
significant contribution to NYMA nonattainment has presently ceased or
that it will cease at any time prior to 2023. Therefore, the commenter
opposes the modification of EPA regulations to reflect that the CSAPR
Update fully addresses Kentucky's transport obligation.
The commenter states that Kentucky's significant contribution to
nonattainment and/or maintenance problems for New York under the 2008
ozone NAAQS are present nearly 10 years after EPA promulgated the
NAAQS, seven years after the SIP was due, and five years after EPA's
FIP was due. Yet Kentucky's SIP looks out another five years before
concluding it is feasible for Kentucky to comply with its good neighbor
obligations. EPA's 2023 modeling is 15 years after promulgation of the
NAAQS and delays compliance without statutory authority, effectively
permitting Kentucky's continuing violation of the good neighbor
provision.
Response: EPA disagrees that it has allowed Kentucky to delay
addressing its good neighbor obligation indefinitely. Rather, EPA
promulgated a FIP for the Kentucky in the CSAPR Update that has
required EGUs in the Commonwealth to limit their collective emissions
beginning 2017. As discussed earlier, EPA could not conclude whether or
not the FIP was sufficient to address the state's good neighbor
obligation for Kentucky without further analysis, and EPA therefore
further disagrees with the commenter's assertion that Kentucky has
continued to violate its obligation after implementation of the CSAPR
Update. As discussed earlier, the fact that emissions from the
Commonwealth may continue to impact air quality in other states does
not conclude the question of whether that impact constitutes a
significant contribution or interference with maintenance of the NAAQS
under the good neighbor provision.
In order to determine whether Kentucky had any remaining emission
reduction obligations with respect to the 2008 ozone NAAQS, additional
analysis was necessary. EPA explained in the NPRM and earlier in this
action why it was appropriate to evaluate air quality in a future
analytic year to determine whether the Commonwealth would have any
further emission reduction after implantation of the CSAPR Update and
how the choice of a 2023 analytic year was consistent with legal
precedent. Thus, EPA does not agree that its approval of Kentucky's SIP
improperly delays compliance with the good neighbor provision for the
2008 ozone NAAQS.
Comment: One commenter states that EPA must issue a FIP for the
Commonwealth of Kentucky consistent with the obligations of CAA section
110(a)(2)(D) as well as the court's order in Sierra Club v. Pruitt, No.
3:15-cv-04328-JD (N.D. Cal. May 23, 2017), directing EPA ``to
promulgate the Kentucky FIP by June 30, 2018.''
Another commenter contends that EPA's proposed approval of the
Kentucky SIP does not obviate its duty to issue a fully compliant FIP
for Kentucky by the June 30, 2018 deadline in accordance with the
court's order.
A further commenter states that states were required to submit SIPs
addressing the good neighbor provision for the 2008 ozone NAAQS by
March 2011, and that EPA disapproved Kentucky's SIP on March 4, 2013.
This finding triggered EPA's mandatory duty under CAA section 110(c)(1)
to promulgate a FIP for Kentucky within two years: By March 7, 2015.
When EPA failed to act, Sierra Club and New York sued EPA in the United
States District Court for the Northern District of California to
require EPA to adopt a FIP addressing Kentucky's good neighbor
obligations. The commenter notes that the Supreme
[[Page 33757]]
Court found that section 110(c)(1) ``impose[s] an absolute duty on EPA
to issue [a] FIP within two years of Kentucky's failure to adopt an
adequate state implementation plan,'' EME Homer City, 134 S. Ct. at
1600, and that EPA did not contest its liability to issue a FIP for
Kentucky based on the SIP disapproval. The District Court ordered EPA
``to promulgate the Kentucky FIP by June 30, 2018.''
The commenter contends that the Kentucky SIP cannot be approved
because it requires insufficient action to reduce Kentucky's
significant contribution to nonattainment in the NY-NJ-CT multistate
nonattainment area by the CAA's mandatory attainment deadlines of July
2018 (moderate areas) and July 2021 (serious areas). The commenter
asserts that EPA's failure to propose a FIP by June 30, 2018, is
another instance of EPA's failure to carry out its mandatory duty under
section 110(c) with respect to Kentucky's transport obligations, and a
clear violation of the District Court's order.
Response: EPA disagrees that this action fails to satisfy the
requirements of the court's order in Sierra Club v. Pruitt. While the
commenters are correct that section 110(c)(1)(B) requires the
Administrator to promulgate a FIP within two years after the
Administrator disapproves a SIP in whole or in part, the provision
further qualifies this obligation. The Administrator is to promulgate a
FIP ``unless the State corrects the deficiency, and the Administrator
approves the plan or plan revision, before the Administrator
promulgates such [FIP].'' Thus, once EPA has approved a SIP that EPA
determines addresses the deficiency that was the subject of the prior
SIP disapproval, the Administrator no longer has the authority (much
less the obligation) to promulgate a FIP.
As to the requirements of the good neighbor provision for the 2008
ozone NAAQS, EPA has promulgated a FIP for Kentucky in the CSAPR
Update. While EPA indicated that the CSAPR Update FIPs ``may not be
sufficient to fully address these states' [including Kentucky's] good
neighbor obligations'' for the 2008 ozone NAAQS (emphasis added), EPA
did not definitely determine that additional reductions were required.
See 81 FR 74521 (October 26, 2016). Rather, EPA acknowledged that
additional analysis would be required to determine the full extent of
the good neighbor obligation. Thus, the only remaining deficiency after
promulgation of the CSAPR Update FIP was to determine what, if any
remaining emission reduction obligation would apply to the states,
including Kentucky. EPA has determined, in this SIP action, that no
further emission reductions are required for the 2008 ozone NAAQS, and
thus, that the CSAPR Update FIP fully addresses Kentucky's good
neighbor obligation. Accordingly, EPA lacks authority to issue any
further FIP since the CSAPR Update has fully addressed the deficiency
identified in the initial SIP disapproval that triggered EPA's FIP
obligation.
Moreover, to the extent the commenters contend that the court's
citation to the Supreme Court's decision in EME Homer City, 134 S. Ct.
at 1600, precludes EPA's use of a SIP approval to address the remaining
deficiency, the commenters misrepresent the holding of the Court.
Importantly, the Court was emphasizing the ``absolute'' nature of EPA's
mandate in order to counter arguments from the respondents and the
lower court that EPA's FIP authority was contingent on an obligation to
take some action other than to find that the state has failed to submit
an approvable SIP. While the Court did state that EPA has an absolute
mandate to promulgate a FIP upon a SIP disapproval, the court also
acknowledged, repeatedly, that the state could first ``correct the
deficiency'' through submission of a SIP. Id. at 1600-01 (emphasizing
twice that EPA's obligation to issue a FIP can be affected if the state
``correct[s] the deficiency'' on its own). That is precisely what has
occurred here with respect to the portion of the good neighbor
deficiency not already addressed by the CSAPR Update. Thus, EPA's
action is consistent with section 110(c) and therefore consistent with
the Northern District of California's order that EPA address its
obligation under section 110(c) as it pertains to Kentucky's good
neighbor obligation for the 2008 ozone NAAQS.
Comment: Several commenters contend that EPA is inappropriately
parallel processing the Kentucky SIP in light of the ``significant
number and scope'' of public comments raised during the state public
comment process. The commenters state that Kentucky should have been
required to address comments prior to EPA's proposed approval. One
commenter contends that EPA's proposed approval of the Kentucky SIP on
the condition that the final SIP contain no substantial changes removes
any incentive for Kentucky to address the public comments by making
necessary changes. The commenter further asserts that Kentucky's SIP is
controversial and contested, and thus, parallel processing is
inappropriate. To support this assertion, the commenter notes that EPA
denied a petition brought under section 176A, which is currently
subject to review in the D.C. Circuit, that involves claims of
transported ozone pollution from Kentucky and other upwind states. The
commenter further states that EPA's only apparent reason for parallel
processing is the court-ordered deadline to promulgate a FIP by June
30, 2018, and that EPA's own inaction is no excuse for taking rushed,
unreasonable, arbitrary and capricious action to approve a deficient
SIP.
Response: EPA disagrees with the commenters' assertions that
parallel processing is inappropriate in these circumstances. Parallel
processing is a well-established procedure for acting on SIP
submissions that is allowed under long-standing EPA regulations.
Appendix V to 40 CFR part 51 (Appendix V) provides the criteria for
determining the completeness of SIP submittals and the procedures for
parallel processing. These procedures, set forth in paragraph 2.3 of
Appendix V, allow a state to request parallel processing as the state
is accepting comments and finalizing its SIP revision. Under parallel
processing, the state submits a copy of a draft SIP submittal to EPA
before conducting its public hearing. EPA reviews the draft submittal
and, if EPA believes it is approvable, publishes an NPRM during the
same timeframe that the state is holding its public hearing. The state
and EPA then provide for concurrent public comment periods on both the
state action and the federal action, respectively.
Although parallel processing expedites action on SIP submissions,
it does not limit EPA's substantive review. EPA evaluates the draft
submittal against the same approvability criteria as any other SIP
submission, and the final submission must meet all of the necessary SIP
completeness criteria, including the requirement that the submission
contain a ``[c]ompilation of public comments and the State's response
thereto.'' See Appendix V, paragraphs 2.1(h) and 2.3.2. Therefore, a
state must respond to comments received during the state public comment
period. Parallel processing does not remove the incentive for a state
to revise its SIP submission in response to comments that raise valid
approvability concerns because ultimately EPA cannot approve a
submission that fails to meet all approvability criteria.
EPA is not taking a rushed, unreasonable, or arbitrary and
capricious action by using parallel processing to act on Kentucky's SIP
submission. Kentucky submitted a
[[Page 33758]]
parallel processing request, as allowed under paragraph 2.3.1 of
Appendix V, and EPA is following the criteria set forth in Appendix V
to approve the Commonwealth's final submittal. These criteria do not
exclude certain types of SIP submissions from parallel processing
because all SIP submissions reviewed through this process must
ultimately meet all completeness and approvability criteria regardless
of the number of comments received or the degree of controversy.
Furthermore, EPA provided the public with a full opportunity to comment
on the draft submittal and has fully evaluated all of the submitted
comments. If these comments had identified specific issues that would
not allow EPA to approve the draft SIP submission, EPA could not have
taken this final action.
Comment: One commenter suggests that a declaration filed in another
pending lawsuit demonstrates that EPA has prejudged its approval of
Kentucky's proposed SIP submission, by noting that the declaration
states EPA has proposed an ``unconditional approval.'' This appears to
be contrary to what was stated in EPA's proposed approval, wherein EPA
stated that the approval is contingent on Kentucky addressing any
comments in the state-level process. The declaration further states
that ``EPA intends to finalize an appropriate action for Kentucky'' by
the court-ordered deadline. The commenter contends that, because of the
public notice and hearing requirements under CAA section 307(d), and
because EPA has not yet proposed a FIP, the only action EPA has left
itself is to approve Kentucky's deficient SIP regardless of any public
comments it receives.
Response: The commenter misinterprets the reference to proposed
``unconditional approval'' of Kentucky's SIP made in the declaration of
Reid Harvey filed in New York v. Pruitt, No. 18-cv-406 (S.D.N.Y.).
Section 110(k)(4) permits the Administrator to issue a ``conditional''
approval of a SIP based on a commitment of a state to adopt specific
measures within one year of the final action. If the state fails to
meet this commitment, the conditional approval is treated as a
disapproval. Mr. Harvey's declaration used the term ``unconditional
approval'' to indicate that the proposed approval was not made pursuant
to section 110(k)(4). The use of this term is unrelated to the
contingencies associated with the parallel processing requirements,
which are laid out in Appendix V to 40 CFR part 51 rather than in
section 110.
Moreover, EPA does not agree that the Agency has been forced to
approve a deficient SIP based on the court-ordered deadline and the
procedural requirements for the promulgation of a FIP. For the reasons
explained in the NRPM and in this action, EPA finds that Kentucky's SIP
submission, together with the CSAPR Update, fully satisfies the
requirements of the good neighbor provision with respect to the 2008
ozone NAAQS. However, had EPA determined that it could not finalize
approval of Kentucky's SIP and would instead need to promulgate a FIP,
EPA would have filed an appropriate motion with the district court
requesting an extension of the court-ordered deadline.
Comment: One commenter contends that approving the Kentucky SIP and
putting the October 2017 Transport Memo into effect will effectively
foreclose any further good neighbor activities under the 2008 ozone
NAAQS and EPA will have reversed its position in the CSAPR Update that
more NOX controls were necessary. EPA deferred action under
section 176A of the CAA by indicating it would enforce good neighbor
obligations through other mechanisms like the transport rule framework.
The commenter asserts that EPA effectively shifts the burden onto
downwind states to cope with upwind pollution sources while denying
downwind state any means to enforce good neighbor obligations.
The commenter continues that EPA's failure is forcing downwind
states to attempt to address Kentucky's and other upwind states'
contributions to ozone concentrations via other, resource-intensive CAA
mechanisms. The commenter cites a recent petition submitted by Maryland
under CAA section 126 identifying three coal-fired units in Kentucky to
which EPA has to date failed to respond. The commenter also cites a
petition submitted pursuant to CAA section 176A to expand the OTR,
which EPA denied. The commenter claims it is arbitrary and capricious
for EPA to point to separate CAA provisions as an excuse for inaction
on the ozone transport problem, and to reverse itself without
confronting its prior position.
Another commenter states that New York's recent submittal of a
section 126 petition to EPA buttresses Connecticut's claims and that
notes that such petition names stationary sources in Kentucky as
``interfer[ing] with attainment'' of the New York-New Jersey-
Connecticut nonattainment area. The commenter states that EPA has
referred to section 126 petitions as one of the tools available to
states seeking attainment with the ozone NAAQS, yet they would not be
required if upwind states and EPA satisfied their obligations in a
timely matter.
Response: EPA disagrees that it has changed its position in the
CSAPR Update regarding the need for additional emission reductions. In
that rulemaking, EPA only stated it could not conclude, without further
analysis, whether additional reductions from NOX sources
would be necessary to fully resolve these obligations. This conclusion
is not inconsistent with EPA's action on the section 176A petition
seeking to expand the OTR. EPA denied the section 176A petition because
it concluded that any remaining interstate transport problems could be
better addressed via the good neighbor provision, which EPA and the
states can use to make decisions regarding which precursor pollutants
to address, which sources to regulate, and what amount of emission
reductions to require, flexibilities that are not available with
respect to control requirements applicable to sources in the OTR. See
82 FR 51244-46 (November 3, 2017). EPA has subsequently completed
further analysis that shows that there will be no remaining air quality
problems in 2023 in the eastern U.S., and thus EPA has concluded that
no additional reductions from upwind states, beyond those required by
the CSAPR Update and other on-the-books or on the way measures, are
necessary to bring downwind areas into attainment of the 2008 ozone
NAAQS. While downwind states may continue to have current planning
obligations associated with designated nonattainment areas, EPA lacks
the authority to require additional emissions reductions from upwind
states under the good neighbor provision in a future year where EPA's
analysis shows that current nonattainment problems will be resolved.
While EPA is concluding in this action that Kentucky has no
remaining good neighbor obligation with respect to the 2008 ozone NAAQS
after implementation of the CSAPR Update, EPA disagrees that this
action necessarily forecloses all further good neighbor activities with
respect to that NAAQS. This action does not address remaining good
neighbor obligations for any other states, and EPA will address any
such obligations in a separate rulemaking. Moreover, the commenters
acknowledge and EPA agrees that section 126 provides a process for
states to bring claims to the Agency if the petitioning state can
present information demonstrating that sources in upwind states will
have impacts on downwind air quality in violation of the good neighbor
provision. However, the right to submit such petitions does not
[[Page 33759]]
presuppose that any pending or future petitions will necessarily make
the requisite demonstration. To the extent that the commenters invokes
separate, pending section 126 petitions, EPA will address those claims
in separate actions.
IV. Final Action
For the reasons discussed above, EPA is taking final action to
approve Kentucky's May 10, 2018, SIP submission and find that Kentucky
is not required to make any further reductions, beyond those required
by the CSAPR Update, to address its statutory obligation under CAA
section 110(a)(2)(D)(i)(I) for the 2008 ozone NAAQS. EPA's final
approval of Kentucky's submission means that Kentucky's obligations
under 110(a)(2)(D)(i)(I) are fully addressed through the combination of
the CSAPR Update FIP and the SIP demonstration showing that no further
reductions are necessary. EPA is also amending the regulatory text at
40 CFR 52.940(b)(2) to reflect that the CSAPR Update represents a full
remedy with respect to Kentucky's transport obligation for the 2008
ozone NAAQS.
V. Statutory and Executive Order Reviews
Under the CAA, the Administrator is required to approve a SIP
submission that complies with the provisions of the Act and applicable
Federal regulations. See 42 U.S.C. 7410(k); 40 CFR 52.02(a). Thus, in
reviewing SIP submissions, EPA's role is to approve state choices,
provided that they meet the criteria of the CAA. This action merely
approves state law as meeting Federal requirements and does not impose
additional requirements beyond those imposed by state law. For that
reason, this action:
Is not a significant regulatory action subject to review
by the Office of Management and Budget under Executive Orders 12866 (58
FR 51735, October 4, 1993) and 13563 (76 FR 3821, January 21, 2011);
Is not an Executive Order 13771 (82 FR 9339, February 2,
2017) regulatory action because SIP approvals are exempted under
Executive Order 12866;
Does not impose an information collection burden under the
provisions of the Paperwork Reduction Act (44 U.S.C. 3501 et seq.);
Is certified as not having a significant economic impact
on a substantial number of small entities under the Regulatory
Flexibility Act (5 U.S.C. 601 et seq.);
Does not contain any unfunded mandate or significantly or
uniquely affect small governments, as described in the Unfunded
Mandates Reform Act of 1995 (Pub. L. 104-4);
Does not have Federalism implications as specified in
Executive Order 13132 (64 FR 43255, August 10, 1999);
Is not an economically significant regulatory action based
on health or safety risks subject to Executive Order 13045 (62 FR
19885, April 23, 1997);
Is not a significant regulatory action subject to
Executive Order 13211 (66 FR 28355, May 22, 2001);
Is not subject to requirements of Section 12(d) of the
National Technology Transfer and Advancement Act of 1995 (15 U.S.C. 272
note) because application of those requirements would be inconsistent
with the CAA; and
Does not provide EPA with the discretionary authority to
address, as appropriate, disproportionate human health or environmental
effects, using practicable and legally permissible methods, under
Executive Order 12898 (59 FR 7629, February 16, 1994).
The SIP is not approved to apply on any Indian reservation land or
in any other area where EPA or an Indian tribe has demonstrated that a
tribe has jurisdiction. In those areas of Indian country, the rule does
not have tribal implications as specified by Executive Order 13175 (65
FR 67249, November 9, 2000), nor will it impose substantial direct
costs on tribal governments or preempt tribal law.
The Congressional Review Act, 5 U.S.C. 801 et seq., as added by the
Small Business Regulatory Enforcement Fairness Act of 1996, generally
provides that before a rule may take effect, the agency promulgating
the rule must submit a rule report, which includes a copy of the rule,
to each House of the Congress and to the Comptroller General of the
United States. EPA will submit a report containing this action and
other required information to the U.S. Senate, the U.S. House of
Representatives, and the Comptroller General of the United States prior
to publication of the rule in the Federal Register. A major rule cannot
take effect until 60 days after it is published in the Federal
Register. This action is not a ``major rule'' as defined by 5 U.S.C.
804(2).
Under section 307(b)(1) of the Act, petitions for judicial review
of this action must be filed in the United States Court of Appeals for
the appropriate circuit by September 17, 2018. Under section 307(b)(2)
of the Act, the requirements of this final action may not be challenged
later in civil or criminal proceedings for enforcement.
List of Subjects in 40 CFR Part 52
Environmental protection, Administrative practice and procedure,
Air pollution control, Incorporation by reference, Intergovernmental
relations, Nitrogen dioxide, Ozone, Reporting and recordkeeping
requirements.
Authority: 42 U.S.C. 7401 et seq.
Dated: June 28, 2018.
Onis ``Trey'' Glenn, III,
Regional Administrator, Region 4.
40 CFR part 52 is amended as follows:
PART 52--APPROVAL AND PROMULGATION OF IMPLEMENTATION PLANS
0
1. The authority citation for part 52 continues to read as follows:
Authority: 42.U.S.C. 7401 et seq.
Subpart S--Kentucky
0
2. Section 52.920(e) is amended by adding an entry for
``110(a)(2)(D)(i)(I) Infrastructure Requirement for the 2008 8-Hour
Ozone National Ambient Air Quality Standards'' at the end of the table
to read as follows:
Sec. 52.920 Identification of plan.
(e) * * *
EPA-Approved Kentucky Non-regulatory Provisions
----------------------------------------------------------------------------------------------------------------
Applicable State
Name of non-regulatory SIP geographic or submittal date/ EPA approval date Explanations
provision nonattainment area effective date
----------------------------------------------------------------------------------------------------------------
* * * * * * *
110(a)(2)(D)(i)(I) Infrastructure Commonwealth of 05/10/2018 07/17/2018, [Insert
Requirement for the 2008 8-Hour Kentucky. Federal Register
Ozone National Ambient Air citation].
Quality Standards.
----------------------------------------------------------------------------------------------------------------
[[Page 33760]]
0
3. Section 52.940 is amended by revising paragraph (b)(2) to read as
follows:
Sec. 52.940 Interstate pollutant transport provisions; What are the
FIP requirements for decreases in emissions of nitrogen oxides?
* * * * *
(b) * * *
(2) The owner and operator of each source and each unit located in
the State of Kentucky and for which requirements are set forth under
the CSAPR NOX Ozone Season Group 2 Trading Program in
subpart EEEEE of part 97 of this chapter must comply with such
requirements with regard to emissions occurring in 2017 and each
subsequent year. The obligation to comply with such requirements will
be eliminated by the promulgation of an approval by the Administrator
of a revision to Kentucky's State Implementation Plan (SIP) as
correcting the SIP's deficiency that is the basis for the CSAPR Federal
Implementation Plan (FIP) under Sec. 52.38(b), except to the extent
the Administrator's approval is partial or conditional.
* * * * *
[FR Doc. 2018-15143 Filed 7-16-18; 8:45 am]
BILLING CODE 6560-50-P