National Oil and Hazardous Substances Pollution Contingency Plan; National Priorities List: Partial Deletion of the Vasquez Boulevard and I-70 Superfund Site, 2116-2121 [2019-01318]
Download as PDF
2116
Federal Register / Vol. 84, No. 25 / Wednesday, February 6, 2019 / Proposed Rules
end of the pesticide petition summary of
interest.
amozie on DSK3GDR082PROD with PROPOSALS1
B. What should I consider as I prepare
my comments for EPA?
1. Submitting CBI. Do not submit this
information to EPA through
regulations.gov or email. Clearly mark
the part or all of the information that
you claim to be CBI. For CBI
information in a disk or CD–ROM that
you mail to EPA, mark the outside of the
disk or CD–ROM as CBI and then
identify electronically within the disk or
CD–ROM the specific information that
is claimed as CBI. In addition to one
complete version of the comment that
includes information claimed as CBI, a
copy of the comment that does not
contain the information claimed as CBI
must be submitted for inclusion in the
public docket. Information so marked
will not be disclosed except in
accordance with procedures set forth in
40 CFR part 2.
2. Tips for preparing your comments.
When preparing and submitting your
comments, see the commenting tips at
https://www.epa.gov/dockets/
comments.html.
3. Environmental justice. EPA seeks to
achieve environmental justice, the fair
treatment and meaningful involvement
of any group, including minority and/or
low-income populations, in the
development, implementation, and
enforcement of environmental laws,
regulations, and policies. To help
address potential environmental justice
issues, the Agency seeks information on
any groups or segments of the
population who, as a result of their
location, cultural practices, or other
factors, may have atypical or
disproportionately high and adverse
human health impacts or environmental
effects from exposure to the pesticides
discussed in this document, compared
to the general population.
II. What action is the Agency taking?
EPA is announcing its receipt of
several pesticide petitions filed under
section 408 of the Federal Food, Drug,
and Cosmetic Act (FFDCA), 21 U.S.C.
346a, requesting the establishment or
modification of regulations in 40 CFR
part 174 or part 180 for residues of
pesticide chemicals in or on various
food commodities. The Agency is taking
public comment on the requests before
responding to the petitioners. EPA is not
proposing any particular action at this
time. EPA has determined that the
pesticide petitions described in this
document contain the data or
information prescribed in FFDCA
section 408(d)(2), 21 U.S.C. 346a(d)(2);
however, EPA has not fully evaluated
VerDate Sep<11>2014
16:37 Feb 05, 2019
Jkt 247001
the sufficiency of the submitted data at
this time or whether the data support
granting of the pesticide petitions. After
considering the public comments, EPA
intends to evaluate whether and what
action may be warranted. Additional
data may be needed before EPA can
make a final determination on these
pesticide petitions.
Pursuant to 40 CFR 180.7(f), a
summary of each of the petitions that
are the subject of this document,
prepared by the petitioner, is included
in a docket EPA has created for each
rulemaking. The docket for each of the
petitions is available at https://
www.regulations.gov.
As specified in FFDCA section
408(d)(3), 21 U.S.C. 346a(d)(3), EPA is
publishing notice of the petitions so that
the public has an opportunity to
comment on these requests for the
establishment or modification of
regulations for residues of pesticides in
or on food commodities. Further
information on the petitions may be
obtained through the petition
summaries referenced in this unit.
Amended Tolerances for Non-Inerts
PP 8F8679. (EPA–HQ–OPP–2018–
0526). Syngenta Crop Protection, LLC,
P.O. Box 18300, Greensboro, NC 27419,
proposes upon the establishment of the
tolerances references in this document
under ‘‘New Tolerances’’ for PP 8F8679
to remove existing tolerances in 40 CFR
part 180.665 for residues of the
fungicide sedaxane in or on soybean,
seed at 0.01 parts per million (ppm) and
pea and bean, dried shelled, except
soybean, subgroup 6C at 0.01ppm.
Contact: RD.
New Tolerance Exemptions for Inerts
(Except PIPS)
PP IN–11130. (EPA–HQ–OPP–2018–
0613). SciReg, Inc. 12733 Director’s
Loop, Woodbridge, VA 22192, on behalf
of Bayer CropScience Biologics GmbH,
Lukaswiese 4, 23970 Wismar, Germany,
requests to establish an exemption from
the requirement of a tolerance for
residues of 2-hydroxypropyl starch
(CAS Reg. No. 9049–76–7) when used as
an inert ingredient in pesticide
formulations applied to growing crops
only under 40 CFR 180.920. The
petitioner believes no analytical method
is needed because it is not required for
an exemption from the requirement of a
tolerance. Contact: RD.
New Tolerance Exemptions for NonInerts (Except PIPS)
PP 8F8698. (EPA–HQ–OPP–2018–
0686). Plant Health Care, Inc., 2626
Glenwood Ave., Suite 350, Raleigh, NC
27608, requests to establish an
PO 00000
Frm 00048
Fmt 4702
Sfmt 4702
exemption from the requirement of a
tolerance in 40 CFR part 180 for
residues of the plant regulator Ea
Peptide 91398 in or on all food
commodities. The petitioner believes no
analytical method is needed because of
the lack of effects in toxicological
studies. Contact: BPPD.
New Tolerances for Inerts
PP 8F8679. (EPA–HQ–OPP–2018–
0526). Syngenta Crop Protection, LLC,
P.O. Box 18300, Greensboro, NC 27419,
requests to establish a tolerance in 40
CFR part 180.665 for residues of the
fungicide sedaxane in or on vegetable,
legume, group 6 at 0.01 parts per
million (ppm). The high-performance
liquid chromatography with triple
quadrapole mass spectrometry method
is used to measure and evaluate the
chemical sedaxane. Contact: RD.
New Tolerances for Non-Inerts
PP 8G8702. (EPA–HQ–OPP–2018–
0680). Valent BioSciences LLC, 870
Technology Way, Libertyville, IL 60048,
requests to establish temporary
tolerances in 40 CFR part 180 for
residues of the plant regulator
aminoethoxyvinylglycine in or on apple
at 0.065 parts per million (ppm) and
pear at 0.065 ppm. The highperformance liquid chromatography
analytical method is used to measure
and evaluate the chemical
aminoethoxyvinylglycine. Contact:
BPPD.
Authority: 21 U.S.C. 346a.
Dated: December 17, 2018.
Delores Barber,
Director, Information Technology and
Resources Management Division, Office of
Pesticide Programs.
[FR Doc. 2019–01108 Filed 2–5–19; 8:45 am]
BILLING CODE 6560–50–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 300
[EPA–HQ–SFUND–1999–0010; FRL–9988–
92–Region 8]
National Oil and Hazardous
Substances Pollution Contingency
Plan; National Priorities List: Partial
Deletion of the Vasquez Boulevard and
I–70 Superfund Site
Environmental Protection
Agency (EPA).
ACTION: Proposed rule; notice of intent.
AGENCY:
The Environmental Protection
Agency (EPA) Region 8 is issuing a
Notice of Intent to Delete Operable Unit
1 (OU1) of the Vasquez Boulevard and
SUMMARY:
E:\FR\FM\06FEP1.SGM
06FEP1
amozie on DSK3GDR082PROD with PROPOSALS1
Federal Register / Vol. 84, No. 25 / Wednesday, February 6, 2019 / Proposed Rules
I–70 Superfund Site (Site) located in the
City and County of Denver, CO, from the
National Priorities List (NPL) and
requests public comments on this
proposed action. The NPL, promulgated
pursuant to section 105 of the
Comprehensive Environmental
Response, Compensation, and Liability
Act (CERCLA) of 1980, as amended, is
an appendix of the National Oil and
Hazardous Substances Pollution
Contingency Plan (NCP). EPA and the
State of Colorado (State), through the
Colorado Department of Public Health
and the Environment (CDPHE), have
determined that all appropriate
response actions under CERCLA, other
than operation and maintenance and
five-year reviews (FYR), have been
completed. However, this deletion does
not preclude future actions under
Superfund.
This partial deletion pertains only to
OU1, the residential portion of the Site.
Operable Unit 2 (OU2) and Operable
Unit 3 (OU3) will remain on the NPL
and are not being considered for
deletion as part of this proposed action.
DATES: Comments must be received by
March 8, 2019.
ADDRESSES: Submit your comments,
identified by Docket ID no. EPA–HQ–
SFUND–1999–0010 by one of the
following methods:
• https://www.regulations.gov.
Follow on-line instructions for
submitting comments. Once submitted,
comments cannot be edited or removed
from Regulations.gov. EPA may publish
any comment received to its public
docket. Do not submit electronically any
information you consider to be
Confidential Business Information (CBI)
or other information whose disclosure is
restricted by statute. Multimedia
submissions (audio, video, etc.) must be
accompanied by a written comment.
The written comment is considered the
official comment and should include
discussion of all points you wish to
make. EPA will generally not consider
comments or comment contents located
outside of the primary submission (i.e.,
on the web, cloud, or other file sharing
system). For additional submission
methods, the full EPA public comment
policy, information about CBI or
multimedia submissions, and general
guidance on making effective
comments, please visit https://
www.epa2.gov/dockets/commentingepa-dockets.
• Email: aviles.jesse@epa.gov.
• Mail: Jesse Avile´s, Remedial Project
Manager, U.S. EPA, Region 8, Mail Code
8EPR–SR, 1595 Wynkoop Street,
Denver, CO 80202–1129.
VerDate Sep<11>2014
16:37 Feb 05, 2019
Jkt 247001
Instructions: Direct your comments to
Docket ID no. EPA–HQ–SFUND–1999–
0010. EPA’s policy is that all comments
received will be included in the public
docket without change and may be
made available online at https://
www.regulations.gov, including any
personal information provided, unless
the comment includes information
claimed to be Confidential Business
Information (CBI) or other information
whose disclosure is restricted by statute.
Do not submit information that you
consider to be CBI or otherwise
protected through https://
www.regulations.gov or email. The
https://www.regulations.gov website is
an ‘‘anonymous access’’ system, which
means EPA will not know your identity
or contact information unless you
provide it in the body of your comment.
If you send an email comment directly
to EPA without going through https://
www.regulations.gov, your email
address will be automatically captured
and included as part of the comment
that is placed in the public docket and
made available on the internet. If you
submit an electronic comment, EPA
recommends that you include your
name and other contact information in
the body of your comment and with any
disk or CD–ROM you submit. If EPA
cannot read your comment due to
technical difficulties and cannot contact
you for clarification, EPA may not be
able to consider your comment.
Electronic files should avoid the use of
special characters, any form of
encryption, and be free of any defects or
viruses.
Docket: All documents in the docket
are listed in the https://
www.regulations.gov index. Although
listed in the index, some information is
not publicly available, e.g., CBI or other
information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
will be publicly available only in hard
copy. Publicly available docket
materials are available either
electronically in https://
www.regulations.gov or in hard copy at:
U.S. Environmental Protection Agency,
Region 8, 1595 Wynkoop Street, Denver,
CO, (303) 312–7279, Monday to Friday,
9:00 a.m. to 4:00 p.m., excluding
Federal holidays.
FOR FURTHER INFORMATION CONTACT:
Jesse Avile´s, Remedial Project Manager,
U.S. Environmental Protection Agency,
Region 8, EPR–SR, Denver, CO 80202,
email: aviles.jesse@epa.gov.
SUPPLEMENTARY INFORMATION:
Table of Contents
I. Introduction
PO 00000
Frm 00049
Fmt 4702
Sfmt 4702
2117
II. NPL Deletion Criteria
III. Deletion Procedures
IV. Basis for Intended Partial Site Deletion
I. Introduction
EPA announces its intent to delete
OU1 of the Vasquez Boulevard and I–70
Superfund Site (Site) from the National
Priorities List (NPL) and requests public
comment on this proposed action. OU1
is the residential portion of the Site. The
NPL constitutes Appendix B of 40 CFR
part 300 which is the National Oil and
Hazardous Substances Pollution
Contingency Plan (NCP), which EPA
promulgated pursuant to section 105 of
the Comprehensive Environmental
Response, Compensation and Liability
Act (CERCLA) of 1980, as amended.
EPA maintains the NPL as the list of
sites that appear to present a significant
risk to public health, welfare, or the
environment. Sites on the NPL may be
the subject of remedial actions financed
by the Hazardous Substance Superfund
(Fund). This partial deletion of OU1 of
the Site is proposed in accordance with
40 CFR 300.425(e) and is consistent
with the Notice of Policy Change: Partial
Deletion of Sites Listed on the National
Priorities List. 60 FR 55466 (Nov. 1,
1995). As described in section
300.425(e)(3) of the NCP, a portion of a
site deleted from the NPL remains
eligible for Fund-financed remedial
action if future conditions warrant such
actions.
EPA will accept comments on the
proposal to partially delete this Site for
thirty (30) days after publication of this
document in the Federal Register.
Section II of this document explains
the criteria for deleting sites from the
NPL. Section III discusses procedures
that EPA is using for this action. Section
IV discusses the OU1 of the Site and
demonstrates how it meets the deletion
criteria.
II. NPL Deletion Criteria
The NCP establishes the criteria that
EPA uses to delete sites from the NPL.
In accordance with 40 CFR 300.425(e),
sites may be deleted from the NPL
where no further response is
appropriate. In making such a
determination pursuant to 40 CFR
300.425(e), EPA will consider, in
consultation with the State, whether any
of the following criteria has been met:
(1) Responsible parties or other
persons have implemented all
appropriate response actions required;
(2) All appropriate Fund-financed
response under CERCLA has been
implemented, and no further response
action by responsible parties is
appropriate; or
E:\FR\FM\06FEP1.SGM
06FEP1
amozie on DSK3GDR082PROD with PROPOSALS1
2118
Federal Register / Vol. 84, No. 25 / Wednesday, February 6, 2019 / Proposed Rules
(3) The remedial investigation has
shown that the release poses no
significant threat to public health or the
environment and, therefore, the taking
of remedial measures in not appropriate.
Pursuant to CERCLA section 121(c)
and the NCP, EPA conducts five-year
reviews to ensure the continued
protectiveness of remedial actions
where hazardous substances, pollutants,
or contaminants remain at a site above
levels that allow for unlimited use and
unrestricted exposure. EPA conducts
such five-year reviews even if a site is
deleted from the NPL. EPA may initiate
further action to ensure continued
protectiveness at a deleted site if new
information becomes available that
indicates it is appropriate. Whenever
there is a significant release from a site
deleted from the NPL, the deleted site
may be restored to the NPL without
application of the hazard ranking
system.
Federal Register. Public notices, public
submissions and copies of the
Responsiveness Summary, if prepared,
will be made available to interested
parties and included in the site
information repositories listed above.
Deletion of a portion of a site from the
NPL does not itself create, alter, or
revoke any individual’s rights or
obligations. Deletion of a portion of a
site from the NPL does not in any way
alter EPA’s right to take enforcement
actions, as appropriate. The NPL is
designed primarily for informational
purposes and to assist EPA
management. Section 300.425(e)(3) of
the NCP states that the deletion of a site
from the NPL does not preclude
eligibility for future response actions,
should future conditions warrant such
actions.
III. Deletion Procedures
The following procedures apply to
deletion of OU1 of the Vasquez
Boulevard and I–70 Superfund Site:
(1) EPA consulted with the State
before developing this Notice of Intent
for Partial Deletion.
(2) EPA has provided the State 30
working days for review of this notice
prior to publication of it today.
(3) In accordance with the criteria
discussed above, EPA has determined
that no further response is appropriate.
(4) The State of Colorado, through the
CDPHE, has concurred with deletion of
OU1 of the Site, from the NPL.
(5) Concurrently with the publication
of this Notice of Intent for Partial
Deletion in the Federal Register, a
notice is being published in the Denver
Post. The newspaper notice announces
the 30-day public comment period
concerning the Notice of Intent for
Partial Deletion of the Site from the
NPL.
(6) EPA placed copies of documents
supporting the proposed partial deletion
in the deletion docket, made these items
available for public inspection, and
copying at the Site information
repositories identified above.
If comments are received within the
30-day comment period on this
document, EPA will evaluate and
respond to the comments before making
a final decision to delete OU1. If
necessary, EPA will prepare a
Responsiveness Summary to address
any significant public comments
received. After the public comment
period, if EPA determines it is still
appropriate to delete OU1 of the Site,
the Regional Administrator will publish
a final Notice of Partial Deletion in the
The following information provides
EPA’s rationale for deleting the OU1 of
the Vasquez Boulevard and I–70
Superfund Site from the NPL:
VerDate Sep<11>2014
16:37 Feb 05, 2019
Jkt 247001
IV. Basis for Intended Partial Site
Deletion
Site Background and History
The Vasquez Boulevard and I–70
Superfund Site (CO0002259588) covers
approximately 4.5 square miles located
in the north-central section of the City
and County of Denver, Colorado.
Historically, the Site and the area
around the Site was a major smelting
center for the Rocky Mountain West.
The Omaha & Grant Smelter, the Argo
Smelter, and the ASARCO Globe
Smelter all previously operated in the
area refining gold, silver, copper, lead,
and zinc.
The Site was placed on the NPL in
1999 due to metal contamination
associated with historical smelter
operations. The proposed listing
occurred on January 19, 1999 (64 FR
2950) and the final listing occurred on
July 22, 1999 (64 FR 39878). The
primary contaminants of concern are
lead and arsenic. Subsequent
investigations revealed that arsenic
contamination might also be present as
a result of application of lawn care
products.
EPA divided the Site into Operable
Units. OU1 is OU–Facility (Residential)
Soils of Site. There are approximately
4,470 residential properties (most of
which are single-family homes), 10
schools and 7 parks located in OU1.
However, multifamily and commercial/
industrial properties also exist in OU1.
According to the 2010 census,
approximately 16,262 people live
within OU1, including approximately
2,700 children under the age of 6.
PO 00000
Frm 00050
Fmt 4702
Sfmt 4702
OU1 encompasses approximately four
largely residential neighborhoods in
north-central Denver: Swansea, Elyria,
Clayton, and Cole. OU1 also includes
the southwest portion of the Globeville
neighborhood and the northern portion
of the Curtis Park Neighborhood. These
neighborhoods are located to the east of
the former Argo Smelter (OU3) and the
former Omaha and Grant Smelter (OU2),
as well as the ASARCO Globe Smelter
(AGS) Site. The AGS site is adjacent to
OU1 and was addressed under a State
consent decree with the ASARCO MultiState trust and encompasses all of the
Globeville neighborhood except the
southwest portion of the neighborhood
which was included in OU1 instead.
The AGS site is currently addressed,
since 2014, under an agreement with
Globeville I, LLC.
OU2 is defined as the area where the
former Omaha & Grant Smelter
operated. OU2 is located between 42nd
Avenue and St. Vincent Street, north of
Brighton Boulevard and south of
Interstate 70 and the existing Denver
Coliseum, in Denver Colorado. OU3 is
defined as the area where the former
Argo Smelter operated and is bounded
by 48th Avenue on the north, 46th
Avenue on the south, Broadway Street
on the east, and Huron Street on the
west. Each operable unit has a unique
physical location and historic operation.
Thus, actions at one operable unit have
been taken independently of actions at
other portions of the Site. EPA has not
selected remedies for OU2 and OU3,
and the remedial investigations for these
operable units are still in progress.
Remedial Investigation and Feasibility
Study (RI/FS)
In 1997, CDPHE began a limited soil
sampling program for OU1 in the Elyria
and Swansea neighborhoods, located
just east of the Globeville neighborhood,
across the South Platte River. These
results indicated that high
concentrations of arsenic and lead in
soil extended beyond the Globeville
neighborhood. Accordingly, CDPHE
requested EPA’s assistance in
immediately responding to the elevated
levels of arsenic and lead in soil found
in the Elyria and Swansea
neighborhoods.
In 1998, EPA mobilized a team under
its Emergency Response Program to
conduct an extensive soil sampling
effort and time-critical removal action
for the houses in OU1 where soil
concentrations posed immediate health
risks to residents. The response action
consisted of 3 phases. Phase I sampling
occurred during March and April 1998.
A minimum of 3 grab samples were
collected from each property where EPA
E:\FR\FM\06FEP1.SGM
06FEP1
amozie on DSK3GDR082PROD with PROPOSALS1
Federal Register / Vol. 84, No. 25 / Wednesday, February 6, 2019 / Proposed Rules
obtained access; 2 samples from the
surface and 1 from the subsurface. EPA
also collected soil samples from all
schools and parks located within the
initial study area. Samples were
collected from locations judged to
present a high potential for exposure
relative to other areas of the property
(for example, at bare spots within the
yard) and were analyzed for arsenic,
lead, cadmium, and zinc. From the
Phase I data, EPA identified 37
properties as potentially requiring a
time-critical removal action.
The Phase II sampling occurred in
July and August 1998. Additional soil
samples were collected from any
residential properties that had a
maximum surface soil concentration
equal to or greater than 450 parts per
million (ppm) for arsenic or 2,000 ppm
for lead (i.e., time-critical removal
action candidates). EPA’s removal team
revisited these residential properties
and collected a 5-point composite
sample from the front yard and a second
5-point composite sample from the
backyard of each property. Arsenic and
lead levels in these samples were
measured, and any property with one or
more composite samples exceeding the
removal action levels for either arsenic
or lead was identified for soil removal.
In all, EPA sampled 1,393 properties as
part of the Phase I and II programs.
From the Phase II sampling results, EPA
identified 143 properties as requiring a
soil cleanup.
Based on the results of the Phase I and
Phase II sampling programs, EPA
determined that numerous residential
properties within the Site contained
concentrations of arsenic or lead at
levels that could present unacceptable
health risks to residents with long-term
exposures. EPA placed the Site on the
NPL on July 22, 1999 (64 FR 39878).
EPA began Phase III/RI activities in
August 1998 while time-critical removal
action activities were in progress.
During the public comment period on
the proposed NPL listing of the Site, the
potentially responsible party, ASARCO,
submitted information stating that the
source of the arsenic in residential soil
may be lawn care products that were
readily available for residential use in
the Rocky Mountain Region and
elsewhere in the west in the 1950s and
1960s. These products were legally
formulated with arsenic trioxide and
lead arsenate to be effective in
controlling crabgrass. ASARCO
specifically identified PAX 3-year
Crabgrass Control, available from the
1950s until the early 1970s. The product
is no longer available commercially.
Also, efforts began to investigate the
source of the arsenic and lead in
VerDate Sep<11>2014
16:37 Feb 05, 2019
Jkt 247001
residential soils. Toward that end, EPA
used its CERCLA section 104(e)
information gathering authority to
acquire a 6-ounce sample of the PAX 3year Crabgrass Control product from
Martin Resources, a company that
acquired the company that had
manufactured PAX. Tests on the PAX
sample formulation provided by Martin
Resources were helpful to EPA, but by
themselves proved inconclusive to
determine whether all arsenic and lead
found in the VB/I–70 residential soils
derived from pesticides or smelter
emissions, or both.
To assess ASARCO’s concerns, EPA’s
Phase III/RI activities focused on
collecting necessary information to
accurately characterize exposure and
risk to residents at the Site to support
a quantitative baseline human health
risk assessment and remedial risk
management decisions. EPA Phase III
concluded remedial investigation
activities in November 2000. This
sampling program supported the
physio-chemical characterization of
soils, the baseline human health risk
assessment, and soil sampling of
additional properties. During Phase III,
3,007 properties were sampled,
including the re-sampling of properties
sampled during Phases I and II. As part
of the Phase III remedial investigation,
sampling was conducted at discreet soil
depths to evaluate where the highest
soil concentrations occurred. The
evaluation determined that soil
concentrations were highest in the
uppermost 2 inches of the soil profile,
and supported soil removal down to a
1-foot depth limit. Based on the phase
III data, 30 additional properties were
identified for time-critical soil removal.
Response Actions
Soil removals in residential yards
began with the time-critical removal
action in 1998, continued with the
subsequent non-time-critical removal
action in 2003, then the remedial action
began in 2004. In September 1998, EPA
issued an Action Memorandum that
established the basis for conducting a
time-critical removal action. The Action
Memorandum required that soil be
removed and replaced at any property
with an average arsenic soil
concentration greater than 450 ppm
and/or lead soil concentration greater
than 2000 ppm. These removal ‘‘action
levels’’ were chosen to protect young
children from adverse health effects
related to short-term (sub-chronic)
exposure. EPA conducted soil removals
at 18 properties in October and
November of 1998.
On March 6, 2003, EPA issued an
Action Memorandum that established
PO 00000
Frm 00051
Fmt 4702
Sfmt 4702
2119
the basis for conducting a non-timecritical removal action. The Action
Memorandum required the removal and
replacement of soil at any property that
had an arsenic soil level greater than
240 ppm and/or lead soil levels greater
than 540 ppm. These ‘‘action levels’’
were determined from the baseline risk
assessment to address the properties
that presented the highest risk of
adverse health effects to children and
adult residents. From the Phase III
sampling results, EPA identified 143
properties as requiring a soil cleanup,
and in 2003, EPA conducted cleanups at
133 of these properties. The properties
not addressed by this non-time-critical
removal action were included in the list
of properties to be addressed by the
remedial action under the OU1 record of
decision (ROD).
Selected Remedy
EPA and CDPHE signed the ROD
(2003 OU1 ROD) detailing the final
remedy for OU1 on September 25, 2003.
The selected remedy for OU1 consisted
of 3 components to address lead and
arsenic contamination in residential
soils: Soil sampling, soil removal, and a
community health program.
Additionally, the 2003 OU1 ROD
provided an informational institutional
control through the community health
program. The community health
program ended in 2008. An explanation
of significant differences (2014 ESD)
modifying the selected remedy for OU1
was signed on September 30, 2014. The
2014 ESD added institutional controls
for the residential properties where EPA
was unable to secure access for
sampling and/or soil removal.
As identified in the 2003 OU1 ROD,
the remedial action objectives (RAOs)
for arsenic in soil are:
• For all residents of the Site, prevent
exposure to soil containing arsenic in
levels predicted to result in an excess
lifetime cancer risk associated with
ingestion of soil which exceeds 1 ×
10¥4, using reasonable maximum
exposure assumptions.
• For all residents of the Site, prevent
exposure to soil containing arsenic in
levels predicted to result in a chronic or
sub-chronic hazard quotient (HQ)
associated with ingestion of soil that
exceeds a HQ of 1, using reasonable
maximum exposure assumptions.
• For children with soil pica behavior
who reside in the Site, reduce the
potential for exposures to arsenic in soil
that result in acute effects.
The RAOs for lead in soil are:
• Limit exposure to lead in soil such
that no more than 5 percent of young
children (72 months or younger) who
live within the Site are at risk for blood
E:\FR\FM\06FEP1.SGM
06FEP1
amozie on DSK3GDR082PROD with PROPOSALS1
2120
Federal Register / Vol. 84, No. 25 / Wednesday, February 6, 2019 / Proposed Rules
lead levels higher than 10 micrograms
per deciliter (mg/dL) from such
exposure. This provides 95%
confidence that children exposed to
lead in soil will be protected.
In 2016, EPA published a
memorandum titled ‘‘Updated Scientific
Considerations for Lead in Soils
Cleanups.’’ A recent EPA review, which
included review of the 2016
memorandum, concluded that the
cleanup level for lead in OU1 remains
appropriate.
The 2003 OU1 ROD adjusted the
action levels identified for conducting
the non-time-critical removal actions
from 240 ppm to 70 ppm for arsenic and
from 540 ppm to 400 ppm for lead. This
change was based on results of public
comment on the initial Proposed Plan,
which suggested that the cleanup levels
for OU1 should be the same as those
adopted by the State of Colorado for the
Asarco Globe Smelter Site. The adjusted
ROD action levels were within the range
of preliminary remediation goals
identified in the Feasibility Study
Report based on results of the Baseline
Risk Assessment.
The major portions of the remedy
were implemented from 2003 through
2006 with a few residential properties
being remediated in 2008 and, as
explained below, a few more residential
properties were remediated between
2012 and 2015. In the summer of 2013,
a last call letter was sent to owners of
properties not previously sampled. In
the period from 1999 to 2015, 4,445
properties were sampled with 814
properties being remediated. Soil
removals occurred at properties that had
arsenic soil concentrations greater than
70 ppm or that had lead soil
concentrations greater than 400 ppm
consistent with the 2003 OU1 ROD. For
properties where soil removal was
conducted, all accessible soils were
removed to a depth of 12 inches. Since
the contamination was only found in
the top 3–6 inches, EPA considered
excavation to 12 inches to be adequate
for removing all lead and arsenic
contamination in the soils. The
excavated areas were backfilled with
clean soil, and pre-remediation yard
features were restored to the extent
practicable, in consultation with the
property owner. At the homeowner’s
request, flower beds and vegetable
gardens were sampled individually. If
the concentrations of lead and arsenic in
the flower beds or vegetable gardens
were found to be below the action
levels, then soil removal was not
required in these areas. This was the
only situation where a partial soil
removal occurred at a property. If
VerDate Sep<11>2014
16:37 Feb 05, 2019
Jkt 247001
sprinkler systems were present, the
system was removed and reinstalled.
During the 2003 through 2008 period,
all excavated soils were transported to
the ASARCO Globe Plant where they
were used as capping and fill material
in implementing the selected remedy at
the ASARCO Globe Plant Site. The
ASARCO Globe Plant Site is managed
by CDPHE under a program similar to
Superfund. The remedy at that site
included managing the soils from OU1
at the onsite repository. The repository
was later capped.
EPA considered the construction
phase of the OU1 remedy complete in
2008. The Remedial Action Report
Addendum that covered soil sampling
and removal activities as part of the
remedial action was produced in August
2008. However, as part of the ‘‘last call
effort,’’ more sampling and residential
cleanups were performed between 2012
and 2015; a final Remedial Action
Report was signed on February 22, 2017
to include this work. Maps of the
operable unit boundaries and
information on the cleanup activities
can be found in this report.
The community health program was
developed to raise awareness in the
community about lead and arsenic
hazards and was designed to
complement the soil cleanups. The
community health program was a
unique program designed by local,
federal and state government
representatives and community leaders.
It was developed in consultation with
an advisory stakeholder group for the
Site and implemented by the City and
County of Denver. Funded by EPA and
the State, the City and County of Denver
administered the program, which
included door-to-door visits from
community members trained to provide
education to area residents on the
hazards of lead, arsenic and other
environmentally-related topics. The
program provided opportunities for
parents to have their children tested for
lead or arsenic exposure. The
community health program consisted of
two activities, providing biomonitoring
services for children and conducting
community outreach.
Biomonitoring: The primary goal of
the biomonitoring program was to test
young children and pregnant women to
determine if they had been exposed to
lead and/or arsenic. This was
accomplished through the following
tasks:
• Establishing and staffing periodic
testing clinics in each neighborhood
• Collection and analysis of
biomonitoring samples
• Reporting results to each participant
PO 00000
Frm 00052
Fmt 4702
Sfmt 4702
• Recommendations to parents for
environmental and medical follow-up
actions, if needed.
Thirty-eight clinics were held
between November 2004 and October
2006. During this time, 661 individuals
participated in the biomonitoring
program. Health officials identified
twenty children with elevated blood
lead above 10 mg/dL, and 94 children
were identified with elevated blood lead
concentrations; i.e., concentrations
ranging from 5–10 mg/dL. The 10 mg/dL
value was adopted from EPA’s OSWER
Directive 9355.4–12, July 14, 1994,
which determined that, in Superfund
site cleanups, EPA will attempt to limit
exposure to soil lead levels such that a
typical (or hypothetical) child or group
of similarly exposed children would
have an estimated risk of no more than
5% of exceeding a blood lead level of
10 mg/dL. The parents of children found
with elevated blood lead concentrations
were referred to organizations that were
able to follow-up with the family on
environmental and medical issues.
In addition, in accordance with the
Community Health Program
requirements in the ROD for lead,
exterior lead-based paint assessments
were conducted at all properties where
soil was removed due to elevated lead
concentrations. A total of 297 properties
met the criteria for lead-based paint
assessments. During the assessment, all
structures including garages, fences, and
sheds with chipping and peeling paint
were tested for lead-based paint. If EPA
determined that there was peeling leadbased paint on the property sufficient to
cause recontamination of the soil above
the action level, then EPA performed an
exterior lead-based paint abatement at
the property. As a result of the
assessments conducted, 120 homes
received exterior lead-based paint
abatements. This work was performed
in accordance with the Colorado
‘‘Regulation No. 19, Lead-Based Paint
Abatement.’’
Community Outreach: The City and
County of Denver conducted
community outreach using a door-todoor canvassing outreach model,
utilizing community health workers to
provide individual health education.
The community health workers were
members of the Site’s community that
the City and County of Denver trained
to provide health information
concerning lead and arsenic exposure.
The community health workers
provided information on the following:
• Health effects of lead
• Health effects of arsenic
• Soil pica behavior
E:\FR\FM\06FEP1.SGM
06FEP1
Federal Register / Vol. 84, No. 25 / Wednesday, February 6, 2019 / Proposed Rules
amozie on DSK3GDR082PROD with PROPOSALS1
• Soil sampling and soil removal
aspects of the remedy
• Biomonitoring program.
Community health workers conducted
home visits at 94% of the homes within
the site boundaries. In addition to home
visits, outreach was conducted to
realtors and contractors that live or
work within the site communities by
mailing them relevant information. The
community health program concluded
in 2008 with completion of the soil
sampling and soil removal components
of the OU1 remedy.
Operation and Maintenance
Operation and maintenance activities
are required for the institutional
controls provided in the 2014 ESD.
O&M activities include monitoring the
ICs, reviewing property records for the
properties that have either a recorded
Notice of Potential Environmental
Conditions or a recorded Notice of
Environmental Conditions and
preparing and mailing the annual
informational letter. CDPHE sends the
annual letters to the properties with a
Notice of Environmental Conditions and
works with the property owners that
want to remove the notice of
environmental conditions.
Institutional controls were
implemented in the summer of 2014 for
69 residential properties within OU1
where the property owner denied EPA
access to sample and/or remove soil.
The ICs were incorporated into the OU1
remedy through the issuance of the 2014
ESD. The IC for OU1 is an informational
IC consisting of 2 parts. The first part is
either a Notice of Potential
Environmental Conditions, for
residential properties where EPA did
not sample, or a Notice of
Environmental Conditions for properties
where EPA has sampling results
showing lead or arsenic levels above the
action levels established in the ROD but
where cleanup was not conducted.
These notices were filed with the City
and County of Denver Clerk and
Recorders Office in the title records and
serve to notify present, prospective, and
future owners of the potential for
elevated levels of lead or arsenic in the
properties’ soils.
The second part of the informational
IC for OU1 is an informational letter that
is sent annually to the owner of record
and to the property address to make
sure that any tenants are informed. This
annual informational letter provides the
specific information EPA has on the
property and provides information on
how to minimize exposure to
potentially contaminated soil. ICs were
implemented in June 2014, when EPA
filed either a Notice of Environmental
VerDate Sep<11>2014
16:37 Feb 05, 2019
Jkt 247001
Conditions or a Notice of Potential
Environmental Conditions in each
properties’ title file at the City and
County of Denver Clerk and Recorder’s
Officer for 69 unaddressed properties. A
copy of the filed notice was sent to the
property owner of record. Since January
2015, annual informational letters are
sent to each owner as well as to the
property address.
Five-Year Review
Statutory Five-Year Reviews (FYRs) of
the Site are required because hazardous
substances remain on-Site above levels
which allow for unlimited use and
unrestricted exposure. The last FYR
Report was signed on September 30,
2014 and found that the remedy
implemented at OU1 of the Site is
protective of human health and the
environment. The 2014 FYR did not
identify any issues or make any
recommendations.
The next FYR is scheduled to be
completed by September 2019. FYRs
will continue every 5 years thereafter.
Community Involvement
Due to the high degree of public
interest, the large population impacted
by OU1, and the cultural differences
among the OU1 neighborhoods, EPA
and CDPHE expanded community
involvement to provide for extensive
public input throughout the remedial
process. Expanded public involvement
included conducting a stakeholder
assessment, establishment of a
stakeholders working group, providing
funding for a technical assistance grant,
and additional public meetings and fact
sheet mailings. All materials were
provided in both Spanish and English
and all meetings were conducted with
Spanish translation services. In August
1998, EPA formed a Working Group of
stakeholders to provide an open forum
for discussing all technical aspects of
EPA’s RI/FS, risk assessment, ROD
remedial design and remedial action.
The Working Group addressed the
Environmental Justice concern of having
the community participate in decision
making by providing direct access to
decision makers. Through the Working
Group, data and issues were discussed,
allowing for community input into
decision-making throughout the
Superfund process.
The stakeholders attending the
Working Group meetings included
representatives from all parties that had
an interest in OU1. The Working Group
included representatives of the City and
County of Denver; CDPHE; the Agency
for Toxic Substances and Disease
Registry (ATSDR); ASARCO; and
representatives from the four Denver
PO 00000
Frm 00053
Fmt 4702
Sfmt 9990
2121
neighborhoods included in OU1.
Stakeholders also included the Clayton,
Elyria, and Swansea Environmental
Coalition (CEASE), the recipient of a
Technical Assistance Grant from EPA.
During the period 2012 to 2014, EPA
made a concerted effort through letters,
phone calls and neighborhood
canvasing to reach the owners of the
unaddressed properties to offer them the
opportunity to have their properties
sampled and/or cleaned up. More
recently, a community advisory group
formed to discuss response activities at
OU2.
Determination That the Site Meets the
Criteria for Deletion
In accordance with the NCP at 40 CFR
300.425(e), EPA has determined that the
response activities at OU1 are complete
and the operable unit poses no
unacceptable risk to human health or
the environment. EPA also has
determined that the implemented
remedies achieve the degree of cleanup
and protection specified in the 2003
OU1 ROD and the 2014 ESD. Moreover,
EPA has determined that all selected
removal and remedial action objectives
and associated cleanup goals for OU1
are consistent with agency policy and
guidance. Therefore, EPA has
determined that no further response is
necessary at OU1. EPA consulted with
and has the concurrence of the State of
Colorado on this partial deletion action.
As such, this partial deletion meets
the deletion requirements as specified
in the National Contingency Plan at 40
CFR 300.425(e) and is consistent with
the Notice of Policy Change: Partial
Deletion of Sites Listed on the National
Priorities List (60 FR 55466 (Nov. 1,
1995) and OSWER Directive 9320.2–22,
Close Out Procedures for National
Priority List Sites.
List of Subjects in 40 CFR Part 300
Environmental protection, Air
pollution control, Chemicals, Hazardous
waste, Hazardous substances,
Intergovernmental relations, Penalties,
Reporting and recordkeeping
requirements, Superfund, Water
pollution control, Water supply.
Authority: 33 U.S.C. 1321(d), 42 U.S.C.
9601–9657; E.O. 12580, E.O. 12777, E.O.
13626, 52 FR 29233, 56 FR 54757, 77 FR
56749, 3 CFR 2013 Comp., p. 306; 3 CFR,
1991 Comp., p. 351; 3 CFR, 1987 Comp., p.
193.
Dated: December 20, 2018.
Douglas H. Benevento,
Regional Administrator, Region 8.
[FR Doc. 2019–01318 Filed 2–5–19; 8:45 am]
BILLING CODE 6560–50–P
E:\FR\FM\06FEP1.SGM
06FEP1
Agencies
[Federal Register Volume 84, Number 25 (Wednesday, February 6, 2019)]
[Proposed Rules]
[Pages 2116-2121]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2019-01318]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 300
[EPA-HQ-SFUND-1999-0010; FRL-9988-92-Region 8]
National Oil and Hazardous Substances Pollution Contingency Plan;
National Priorities List: Partial Deletion of the Vasquez Boulevard and
I-70 Superfund Site
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule; notice of intent.
-----------------------------------------------------------------------
SUMMARY: The Environmental Protection Agency (EPA) Region 8 is issuing
a Notice of Intent to Delete Operable Unit 1 (OU1) of the Vasquez
Boulevard and
[[Page 2117]]
I-70 Superfund Site (Site) located in the City and County of Denver,
CO, from the National Priorities List (NPL) and requests public
comments on this proposed action. The NPL, promulgated pursuant to
section 105 of the Comprehensive Environmental Response, Compensation,
and Liability Act (CERCLA) of 1980, as amended, is an appendix of the
National Oil and Hazardous Substances Pollution Contingency Plan (NCP).
EPA and the State of Colorado (State), through the Colorado Department
of Public Health and the Environment (CDPHE), have determined that all
appropriate response actions under CERCLA, other than operation and
maintenance and five-year reviews (FYR), have been completed. However,
this deletion does not preclude future actions under Superfund.
This partial deletion pertains only to OU1, the residential portion
of the Site. Operable Unit 2 (OU2) and Operable Unit 3 (OU3) will
remain on the NPL and are not being considered for deletion as part of
this proposed action.
DATES: Comments must be received by March 8, 2019.
ADDRESSES: Submit your comments, identified by Docket ID no. EPA-HQ-
SFUND-1999-0010 by one of the following methods:
https://www.regulations.gov. Follow on-line instructions
for submitting comments. Once submitted, comments cannot be edited or
removed from Regulations.gov. EPA may publish any comment received to
its public docket. Do not submit electronically any information you
consider to be Confidential Business Information (CBI) or other
information whose disclosure is restricted by statute. Multimedia
submissions (audio, video, etc.) must be accompanied by a written
comment. The written comment is considered the official comment and
should include discussion of all points you wish to make. EPA will
generally not consider comments or comment contents located outside of
the primary submission (i.e., on the web, cloud, or other file sharing
system). For additional submission methods, the full EPA public comment
policy, information about CBI or multimedia submissions, and general
guidance on making effective comments, please visit https://www.epa2.gov/dockets/commenting-epa-dockets.
Email: aviles.jesse@epa.gov.
Mail: Jesse Avil[eacute]s, Remedial Project Manager, U.S.
EPA, Region 8, Mail Code 8EPR-SR, 1595 Wynkoop Street, Denver, CO
80202-1129.
Instructions: Direct your comments to Docket ID no. EPA-HQ-SFUND-
1999-0010. EPA's policy is that all comments received will be included
in the public docket without change and may be made available online at
https://www.regulations.gov, including any personal information
provided, unless the comment includes information claimed to be
Confidential Business Information (CBI) or other information whose
disclosure is restricted by statute. Do not submit information that you
consider to be CBI or otherwise protected through https://www.regulations.gov or email. The https://www.regulations.gov website
is an ``anonymous access'' system, which means EPA will not know your
identity or contact information unless you provide it in the body of
your comment. If you send an email comment directly to EPA without
going through https://www.regulations.gov, your email address will be
automatically captured and included as part of the comment that is
placed in the public docket and made available on the internet. If you
submit an electronic comment, EPA recommends that you include your name
and other contact information in the body of your comment and with any
disk or CD-ROM you submit. If EPA cannot read your comment due to
technical difficulties and cannot contact you for clarification, EPA
may not be able to consider your comment. Electronic files should avoid
the use of special characters, any form of encryption, and be free of
any defects or viruses.
Docket: All documents in the docket are listed in the https://www.regulations.gov index. Although listed in the index, some
information is not publicly available, e.g., CBI or other information
whose disclosure is restricted by statute. Certain other material, such
as copyrighted material, will be publicly available only in hard copy.
Publicly available docket materials are available either electronically
in https://www.regulations.gov or in hard copy at: U.S. Environmental
Protection Agency, Region 8, 1595 Wynkoop Street, Denver, CO, (303)
312-7279, Monday to Friday, 9:00 a.m. to 4:00 p.m., excluding Federal
holidays.
FOR FURTHER INFORMATION CONTACT: Jesse Avil[eacute]s, Remedial Project
Manager, U.S. Environmental Protection Agency, Region 8, EPR-SR,
Denver, CO 80202, email: aviles.jesse@epa.gov.
SUPPLEMENTARY INFORMATION:
Table of Contents
I. Introduction
II. NPL Deletion Criteria
III. Deletion Procedures
IV. Basis for Intended Partial Site Deletion
I. Introduction
EPA announces its intent to delete OU1 of the Vasquez Boulevard and
I-70 Superfund Site (Site) from the National Priorities List (NPL) and
requests public comment on this proposed action. OU1 is the residential
portion of the Site. The NPL constitutes Appendix B of 40 CFR part 300
which is the National Oil and Hazardous Substances Pollution
Contingency Plan (NCP), which EPA promulgated pursuant to section 105
of the Comprehensive Environmental Response, Compensation and Liability
Act (CERCLA) of 1980, as amended. EPA maintains the NPL as the list of
sites that appear to present a significant risk to public health,
welfare, or the environment. Sites on the NPL may be the subject of
remedial actions financed by the Hazardous Substance Superfund (Fund).
This partial deletion of OU1 of the Site is proposed in accordance with
40 CFR 300.425(e) and is consistent with the Notice of Policy Change:
Partial Deletion of Sites Listed on the National Priorities List. 60 FR
55466 (Nov. 1, 1995). As described in section 300.425(e)(3) of the NCP,
a portion of a site deleted from the NPL remains eligible for Fund-
financed remedial action if future conditions warrant such actions.
EPA will accept comments on the proposal to partially delete this
Site for thirty (30) days after publication of this document in the
Federal Register.
Section II of this document explains the criteria for deleting
sites from the NPL. Section III discusses procedures that EPA is using
for this action. Section IV discusses the OU1 of the Site and
demonstrates how it meets the deletion criteria.
II. NPL Deletion Criteria
The NCP establishes the criteria that EPA uses to delete sites from
the NPL. In accordance with 40 CFR 300.425(e), sites may be deleted
from the NPL where no further response is appropriate. In making such a
determination pursuant to 40 CFR 300.425(e), EPA will consider, in
consultation with the State, whether any of the following criteria has
been met:
(1) Responsible parties or other persons have implemented all
appropriate response actions required;
(2) All appropriate Fund-financed response under CERCLA has been
implemented, and no further response action by responsible parties is
appropriate; or
[[Page 2118]]
(3) The remedial investigation has shown that the release poses no
significant threat to public health or the environment and, therefore,
the taking of remedial measures in not appropriate.
Pursuant to CERCLA section 121(c) and the NCP, EPA conducts five-
year reviews to ensure the continued protectiveness of remedial actions
where hazardous substances, pollutants, or contaminants remain at a
site above levels that allow for unlimited use and unrestricted
exposure. EPA conducts such five-year reviews even if a site is deleted
from the NPL. EPA may initiate further action to ensure continued
protectiveness at a deleted site if new information becomes available
that indicates it is appropriate. Whenever there is a significant
release from a site deleted from the NPL, the deleted site may be
restored to the NPL without application of the hazard ranking system.
III. Deletion Procedures
The following procedures apply to deletion of OU1 of the Vasquez
Boulevard and I-70 Superfund Site:
(1) EPA consulted with the State before developing this Notice of
Intent for Partial Deletion.
(2) EPA has provided the State 30 working days for review of this
notice prior to publication of it today.
(3) In accordance with the criteria discussed above, EPA has
determined that no further response is appropriate.
(4) The State of Colorado, through the CDPHE, has concurred with
deletion of OU1 of the Site, from the NPL.
(5) Concurrently with the publication of this Notice of Intent for
Partial Deletion in the Federal Register, a notice is being published
in the Denver Post. The newspaper notice announces the 30-day public
comment period concerning the Notice of Intent for Partial Deletion of
the Site from the NPL.
(6) EPA placed copies of documents supporting the proposed partial
deletion in the deletion docket, made these items available for public
inspection, and copying at the Site information repositories identified
above.
If comments are received within the 30-day comment period on this
document, EPA will evaluate and respond to the comments before making a
final decision to delete OU1. If necessary, EPA will prepare a
Responsiveness Summary to address any significant public comments
received. After the public comment period, if EPA determines it is
still appropriate to delete OU1 of the Site, the Regional Administrator
will publish a final Notice of Partial Deletion in the Federal
Register. Public notices, public submissions and copies of the
Responsiveness Summary, if prepared, will be made available to
interested parties and included in the site information repositories
listed above.
Deletion of a portion of a site from the NPL does not itself
create, alter, or revoke any individual's rights or obligations.
Deletion of a portion of a site from the NPL does not in any way alter
EPA's right to take enforcement actions, as appropriate. The NPL is
designed primarily for informational purposes and to assist EPA
management. Section 300.425(e)(3) of the NCP states that the deletion
of a site from the NPL does not preclude eligibility for future
response actions, should future conditions warrant such actions.
IV. Basis for Intended Partial Site Deletion
The following information provides EPA's rationale for deleting the
OU1 of the Vasquez Boulevard and I-70 Superfund Site from the NPL:
Site Background and History
The Vasquez Boulevard and I-70 Superfund Site (CO0002259588) covers
approximately 4.5 square miles located in the north-central section of
the City and County of Denver, Colorado. Historically, the Site and the
area around the Site was a major smelting center for the Rocky Mountain
West. The Omaha & Grant Smelter, the Argo Smelter, and the ASARCO Globe
Smelter all previously operated in the area refining gold, silver,
copper, lead, and zinc.
The Site was placed on the NPL in 1999 due to metal contamination
associated with historical smelter operations. The proposed listing
occurred on January 19, 1999 (64 FR 2950) and the final listing
occurred on July 22, 1999 (64 FR 39878). The primary contaminants of
concern are lead and arsenic. Subsequent investigations revealed that
arsenic contamination might also be present as a result of application
of lawn care products.
EPA divided the Site into Operable Units. OU1 is OU-Facility
(Residential) Soils of Site. There are approximately 4,470 residential
properties (most of which are single-family homes), 10 schools and 7
parks located in OU1. However, multifamily and commercial/industrial
properties also exist in OU1. According to the 2010 census,
approximately 16,262 people live within OU1, including approximately
2,700 children under the age of 6.
OU1 encompasses approximately four largely residential
neighborhoods in north-central Denver: Swansea, Elyria, Clayton, and
Cole. OU1 also includes the southwest portion of the Globeville
neighborhood and the northern portion of the Curtis Park Neighborhood.
These neighborhoods are located to the east of the former Argo Smelter
(OU3) and the former Omaha and Grant Smelter (OU2), as well as the
ASARCO Globe Smelter (AGS) Site. The AGS site is adjacent to OU1 and
was addressed under a State consent decree with the ASARCO Multi-State
trust and encompasses all of the Globeville neighborhood except the
southwest portion of the neighborhood which was included in OU1
instead. The AGS site is currently addressed, since 2014, under an
agreement with Globeville I, LLC.
OU2 is defined as the area where the former Omaha & Grant Smelter
operated. OU2 is located between 42nd Avenue and St. Vincent Street,
north of Brighton Boulevard and south of Interstate 70 and the existing
Denver Coliseum, in Denver Colorado. OU3 is defined as the area where
the former Argo Smelter operated and is bounded by 48th Avenue on the
north, 46th Avenue on the south, Broadway Street on the east, and Huron
Street on the west. Each operable unit has a unique physical location
and historic operation. Thus, actions at one operable unit have been
taken independently of actions at other portions of the Site. EPA has
not selected remedies for OU2 and OU3, and the remedial investigations
for these operable units are still in progress.
Remedial Investigation and Feasibility Study (RI/FS)
In 1997, CDPHE began a limited soil sampling program for OU1 in the
Elyria and Swansea neighborhoods, located just east of the Globeville
neighborhood, across the South Platte River. These results indicated
that high concentrations of arsenic and lead in soil extended beyond
the Globeville neighborhood. Accordingly, CDPHE requested EPA's
assistance in immediately responding to the elevated levels of arsenic
and lead in soil found in the Elyria and Swansea neighborhoods.
In 1998, EPA mobilized a team under its Emergency Response Program
to conduct an extensive soil sampling effort and time-critical removal
action for the houses in OU1 where soil concentrations posed immediate
health risks to residents. The response action consisted of 3 phases.
Phase I sampling occurred during March and April 1998. A minimum of 3
grab samples were collected from each property where EPA
[[Page 2119]]
obtained access; 2 samples from the surface and 1 from the subsurface.
EPA also collected soil samples from all schools and parks located
within the initial study area. Samples were collected from locations
judged to present a high potential for exposure relative to other areas
of the property (for example, at bare spots within the yard) and were
analyzed for arsenic, lead, cadmium, and zinc. From the Phase I data,
EPA identified 37 properties as potentially requiring a time-critical
removal action.
The Phase II sampling occurred in July and August 1998. Additional
soil samples were collected from any residential properties that had a
maximum surface soil concentration equal to or greater than 450 parts
per million (ppm) for arsenic or 2,000 ppm for lead (i.e., time-
critical removal action candidates). EPA's removal team revisited these
residential properties and collected a 5-point composite sample from
the front yard and a second 5-point composite sample from the backyard
of each property. Arsenic and lead levels in these samples were
measured, and any property with one or more composite samples exceeding
the removal action levels for either arsenic or lead was identified for
soil removal. In all, EPA sampled 1,393 properties as part of the Phase
I and II programs. From the Phase II sampling results, EPA identified
143 properties as requiring a soil cleanup.
Based on the results of the Phase I and Phase II sampling programs,
EPA determined that numerous residential properties within the Site
contained concentrations of arsenic or lead at levels that could
present unacceptable health risks to residents with long-term
exposures. EPA placed the Site on the NPL on July 22, 1999 (64 FR
39878).
EPA began Phase III/RI activities in August 1998 while time-
critical removal action activities were in progress. During the public
comment period on the proposed NPL listing of the Site, the potentially
responsible party, ASARCO, submitted information stating that the
source of the arsenic in residential soil may be lawn care products
that were readily available for residential use in the Rocky Mountain
Region and elsewhere in the west in the 1950s and 1960s. These products
were legally formulated with arsenic trioxide and lead arsenate to be
effective in controlling crabgrass. ASARCO specifically identified PAX
3-year Crabgrass Control, available from the 1950s until the early
1970s. The product is no longer available commercially. Also, efforts
began to investigate the source of the arsenic and lead in residential
soils. Toward that end, EPA used its CERCLA section 104(e) information
gathering authority to acquire a 6-ounce sample of the PAX 3-year
Crabgrass Control product from Martin Resources, a company that
acquired the company that had manufactured PAX. Tests on the PAX sample
formulation provided by Martin Resources were helpful to EPA, but by
themselves proved inconclusive to determine whether all arsenic and
lead found in the VB/I-70 residential soils derived from pesticides or
smelter emissions, or both.
To assess ASARCO's concerns, EPA's Phase III/RI activities focused
on collecting necessary information to accurately characterize exposure
and risk to residents at the Site to support a quantitative baseline
human health risk assessment and remedial risk management decisions.
EPA Phase III concluded remedial investigation activities in November
2000. This sampling program supported the physio-chemical
characterization of soils, the baseline human health risk assessment,
and soil sampling of additional properties. During Phase III, 3,007
properties were sampled, including the re-sampling of properties
sampled during Phases I and II. As part of the Phase III remedial
investigation, sampling was conducted at discreet soil depths to
evaluate where the highest soil concentrations occurred. The evaluation
determined that soil concentrations were highest in the uppermost 2
inches of the soil profile, and supported soil removal down to a 1-foot
depth limit. Based on the phase III data, 30 additional properties were
identified for time-critical soil removal.
Response Actions
Soil removals in residential yards began with the time-critical
removal action in 1998, continued with the subsequent non-time-critical
removal action in 2003, then the remedial action began in 2004. In
September 1998, EPA issued an Action Memorandum that established the
basis for conducting a time-critical removal action. The Action
Memorandum required that soil be removed and replaced at any property
with an average arsenic soil concentration greater than 450 ppm and/or
lead soil concentration greater than 2000 ppm. These removal ``action
levels'' were chosen to protect young children from adverse health
effects related to short-term (sub-chronic) exposure. EPA conducted
soil removals at 18 properties in October and November of 1998.
On March 6, 2003, EPA issued an Action Memorandum that established
the basis for conducting a non-time-critical removal action. The Action
Memorandum required the removal and replacement of soil at any property
that had an arsenic soil level greater than 240 ppm and/or lead soil
levels greater than 540 ppm. These ``action levels'' were determined
from the baseline risk assessment to address the properties that
presented the highest risk of adverse health effects to children and
adult residents. From the Phase III sampling results, EPA identified
143 properties as requiring a soil cleanup, and in 2003, EPA conducted
cleanups at 133 of these properties. The properties not addressed by
this non-time-critical removal action were included in the list of
properties to be addressed by the remedial action under the OU1 record
of decision (ROD).
Selected Remedy
EPA and CDPHE signed the ROD (2003 OU1 ROD) detailing the final
remedy for OU1 on September 25, 2003. The selected remedy for OU1
consisted of 3 components to address lead and arsenic contamination in
residential soils: Soil sampling, soil removal, and a community health
program. Additionally, the 2003 OU1 ROD provided an informational
institutional control through the community health program. The
community health program ended in 2008. An explanation of significant
differences (2014 ESD) modifying the selected remedy for OU1 was signed
on September 30, 2014. The 2014 ESD added institutional controls for
the residential properties where EPA was unable to secure access for
sampling and/or soil removal.
As identified in the 2003 OU1 ROD, the remedial action objectives
(RAOs) for arsenic in soil are:
For all residents of the Site, prevent exposure to soil
containing arsenic in levels predicted to result in an excess lifetime
cancer risk associated with ingestion of soil which exceeds 1 x
10-4, using reasonable maximum exposure assumptions.
For all residents of the Site, prevent exposure to soil
containing arsenic in levels predicted to result in a chronic or sub-
chronic hazard quotient (HQ) associated with ingestion of soil that
exceeds a HQ of 1, using reasonable maximum exposure assumptions.
For children with soil pica behavior who reside in the
Site, reduce the potential for exposures to arsenic in soil that result
in acute effects.
The RAOs for lead in soil are:
Limit exposure to lead in soil such that no more than 5
percent of young children (72 months or younger) who live within the
Site are at risk for blood
[[Page 2120]]
lead levels higher than 10 micrograms per deciliter ([mu]g/dL) from
such exposure. This provides 95% confidence that children exposed to
lead in soil will be protected.
In 2016, EPA published a memorandum titled ``Updated Scientific
Considerations for Lead in Soils Cleanups.'' A recent EPA review, which
included review of the 2016 memorandum, concluded that the cleanup
level for lead in OU1 remains appropriate.
The 2003 OU1 ROD adjusted the action levels identified for
conducting the non-time-critical removal actions from 240 ppm to 70 ppm
for arsenic and from 540 ppm to 400 ppm for lead. This change was based
on results of public comment on the initial Proposed Plan, which
suggested that the cleanup levels for OU1 should be the same as those
adopted by the State of Colorado for the Asarco Globe Smelter Site. The
adjusted ROD action levels were within the range of preliminary
remediation goals identified in the Feasibility Study Report based on
results of the Baseline Risk Assessment.
The major portions of the remedy were implemented from 2003 through
2006 with a few residential properties being remediated in 2008 and, as
explained below, a few more residential properties were remediated
between 2012 and 2015. In the summer of 2013, a last call letter was
sent to owners of properties not previously sampled. In the period from
1999 to 2015, 4,445 properties were sampled with 814 properties being
remediated. Soil removals occurred at properties that had arsenic soil
concentrations greater than 70 ppm or that had lead soil concentrations
greater than 400 ppm consistent with the 2003 OU1 ROD. For properties
where soil removal was conducted, all accessible soils were removed to
a depth of 12 inches. Since the contamination was only found in the top
3-6 inches, EPA considered excavation to 12 inches to be adequate for
removing all lead and arsenic contamination in the soils. The excavated
areas were backfilled with clean soil, and pre-remediation yard
features were restored to the extent practicable, in consultation with
the property owner. At the homeowner's request, flower beds and
vegetable gardens were sampled individually. If the concentrations of
lead and arsenic in the flower beds or vegetable gardens were found to
be below the action levels, then soil removal was not required in these
areas. This was the only situation where a partial soil removal
occurred at a property. If sprinkler systems were present, the system
was removed and reinstalled.
During the 2003 through 2008 period, all excavated soils were
transported to the ASARCO Globe Plant where they were used as capping
and fill material in implementing the selected remedy at the ASARCO
Globe Plant Site. The ASARCO Globe Plant Site is managed by CDPHE under
a program similar to Superfund. The remedy at that site included
managing the soils from OU1 at the onsite repository. The repository
was later capped.
EPA considered the construction phase of the OU1 remedy complete in
2008. The Remedial Action Report Addendum that covered soil sampling
and removal activities as part of the remedial action was produced in
August 2008. However, as part of the ``last call effort,'' more
sampling and residential cleanups were performed between 2012 and 2015;
a final Remedial Action Report was signed on February 22, 2017 to
include this work. Maps of the operable unit boundaries and information
on the cleanup activities can be found in this report.
The community health program was developed to raise awareness in
the community about lead and arsenic hazards and was designed to
complement the soil cleanups. The community health program was a unique
program designed by local, federal and state government representatives
and community leaders. It was developed in consultation with an
advisory stakeholder group for the Site and implemented by the City and
County of Denver. Funded by EPA and the State, the City and County of
Denver administered the program, which included door-to-door visits
from community members trained to provide education to area residents
on the hazards of lead, arsenic and other environmentally-related
topics. The program provided opportunities for parents to have their
children tested for lead or arsenic exposure. The community health
program consisted of two activities, providing biomonitoring services
for children and conducting community outreach.
Biomonitoring: The primary goal of the biomonitoring program was to
test young children and pregnant women to determine if they had been
exposed to lead and/or arsenic. This was accomplished through the
following tasks:
Establishing and staffing periodic testing clinics in each
neighborhood
Collection and analysis of biomonitoring samples
Reporting results to each participant
Recommendations to parents for environmental and medical
follow-up actions, if needed.
Thirty-eight clinics were held between November 2004 and October
2006. During this time, 661 individuals participated in the
biomonitoring program. Health officials identified twenty children with
elevated blood lead above 10 [micro]g/dL, and 94 children were
identified with elevated blood lead concentrations; i.e.,
concentrations ranging from 5-10 [micro]g/dL. The 10 [micro]g/dL value
was adopted from EPA's OSWER Directive 9355.4-12, July 14, 1994, which
determined that, in Superfund site cleanups, EPA will attempt to limit
exposure to soil lead levels such that a typical (or hypothetical)
child or group of similarly exposed children would have an estimated
risk of no more than 5% of exceeding a blood lead level of 10 [micro]g/
dL. The parents of children found with elevated blood lead
concentrations were referred to organizations that were able to follow-
up with the family on environmental and medical issues.
In addition, in accordance with the Community Health Program
requirements in the ROD for lead, exterior lead-based paint assessments
were conducted at all properties where soil was removed due to elevated
lead concentrations. A total of 297 properties met the criteria for
lead-based paint assessments. During the assessment, all structures
including garages, fences, and sheds with chipping and peeling paint
were tested for lead-based paint. If EPA determined that there was
peeling lead-based paint on the property sufficient to cause
recontamination of the soil above the action level, then EPA performed
an exterior lead-based paint abatement at the property. As a result of
the assessments conducted, 120 homes received exterior lead-based paint
abatements. This work was performed in accordance with the Colorado
``Regulation No. 19, Lead-Based Paint Abatement.''
Community Outreach: The City and County of Denver conducted
community outreach using a door-to-door canvassing outreach model,
utilizing community health workers to provide individual health
education. The community health workers were members of the Site's
community that the City and County of Denver trained to provide health
information concerning lead and arsenic exposure. The community health
workers provided information on the following:
Health effects of lead
Health effects of arsenic
Soil pica behavior
[[Page 2121]]
Soil sampling and soil removal aspects of the remedy
Biomonitoring program.
Community health workers conducted home visits at 94% of the homes
within the site boundaries. In addition to home visits, outreach was
conducted to realtors and contractors that live or work within the site
communities by mailing them relevant information. The community health
program concluded in 2008 with completion of the soil sampling and soil
removal components of the OU1 remedy.
Operation and Maintenance
Operation and maintenance activities are required for the
institutional controls provided in the 2014 ESD. O&M activities include
monitoring the ICs, reviewing property records for the properties that
have either a recorded Notice of Potential Environmental Conditions or
a recorded Notice of Environmental Conditions and preparing and mailing
the annual informational letter. CDPHE sends the annual letters to the
properties with a Notice of Environmental Conditions and works with the
property owners that want to remove the notice of environmental
conditions.
Institutional controls were implemented in the summer of 2014 for
69 residential properties within OU1 where the property owner denied
EPA access to sample and/or remove soil. The ICs were incorporated into
the OU1 remedy through the issuance of the 2014 ESD. The IC for OU1 is
an informational IC consisting of 2 parts. The first part is either a
Notice of Potential Environmental Conditions, for residential
properties where EPA did not sample, or a Notice of Environmental
Conditions for properties where EPA has sampling results showing lead
or arsenic levels above the action levels established in the ROD but
where cleanup was not conducted. These notices were filed with the City
and County of Denver Clerk and Recorders Office in the title records
and serve to notify present, prospective, and future owners of the
potential for elevated levels of lead or arsenic in the properties'
soils.
The second part of the informational IC for OU1 is an informational
letter that is sent annually to the owner of record and to the property
address to make sure that any tenants are informed. This annual
informational letter provides the specific information EPA has on the
property and provides information on how to minimize exposure to
potentially contaminated soil. ICs were implemented in June 2014, when
EPA filed either a Notice of Environmental Conditions or a Notice of
Potential Environmental Conditions in each properties' title file at
the City and County of Denver Clerk and Recorder's Officer for 69
unaddressed properties. A copy of the filed notice was sent to the
property owner of record. Since January 2015, annual informational
letters are sent to each owner as well as to the property address.
Five-Year Review
Statutory Five-Year Reviews (FYRs) of the Site are required because
hazardous substances remain on-Site above levels which allow for
unlimited use and unrestricted exposure. The last FYR Report was signed
on September 30, 2014 and found that the remedy implemented at OU1 of
the Site is protective of human health and the environment. The 2014
FYR did not identify any issues or make any recommendations.
The next FYR is scheduled to be completed by September 2019. FYRs
will continue every 5 years thereafter.
Community Involvement
Due to the high degree of public interest, the large population
impacted by OU1, and the cultural differences among the OU1
neighborhoods, EPA and CDPHE expanded community involvement to provide
for extensive public input throughout the remedial process. Expanded
public involvement included conducting a stakeholder assessment,
establishment of a stakeholders working group, providing funding for a
technical assistance grant, and additional public meetings and fact
sheet mailings. All materials were provided in both Spanish and English
and all meetings were conducted with Spanish translation services. In
August 1998, EPA formed a Working Group of stakeholders to provide an
open forum for discussing all technical aspects of EPA's RI/FS, risk
assessment, ROD remedial design and remedial action. The Working Group
addressed the Environmental Justice concern of having the community
participate in decision making by providing direct access to decision
makers. Through the Working Group, data and issues were discussed,
allowing for community input into decision-making throughout the
Superfund process.
The stakeholders attending the Working Group meetings included
representatives from all parties that had an interest in OU1. The
Working Group included representatives of the City and County of
Denver; CDPHE; the Agency for Toxic Substances and Disease Registry
(ATSDR); ASARCO; and representatives from the four Denver neighborhoods
included in OU1. Stakeholders also included the Clayton, Elyria, and
Swansea Environmental Coalition (CEASE), the recipient of a Technical
Assistance Grant from EPA.
During the period 2012 to 2014, EPA made a concerted effort through
letters, phone calls and neighborhood canvasing to reach the owners of
the unaddressed properties to offer them the opportunity to have their
properties sampled and/or cleaned up. More recently, a community
advisory group formed to discuss response activities at OU2.
Determination That the Site Meets the Criteria for Deletion
In accordance with the NCP at 40 CFR 300.425(e), EPA has determined
that the response activities at OU1 are complete and the operable unit
poses no unacceptable risk to human health or the environment. EPA also
has determined that the implemented remedies achieve the degree of
cleanup and protection specified in the 2003 OU1 ROD and the 2014 ESD.
Moreover, EPA has determined that all selected removal and remedial
action objectives and associated cleanup goals for OU1 are consistent
with agency policy and guidance. Therefore, EPA has determined that no
further response is necessary at OU1. EPA consulted with and has the
concurrence of the State of Colorado on this partial deletion action.
As such, this partial deletion meets the deletion requirements as
specified in the National Contingency Plan at 40 CFR 300.425(e) and is
consistent with the Notice of Policy Change: Partial Deletion of Sites
Listed on the National Priorities List (60 FR 55466 (Nov. 1, 1995) and
OSWER Directive 9320.2-22, Close Out Procedures for National Priority
List Sites.
List of Subjects in 40 CFR Part 300
Environmental protection, Air pollution control, Chemicals,
Hazardous waste, Hazardous substances, Intergovernmental relations,
Penalties, Reporting and recordkeeping requirements, Superfund, Water
pollution control, Water supply.
Authority: 33 U.S.C. 1321(d), 42 U.S.C. 9601-9657; E.O. 12580,
E.O. 12777, E.O. 13626, 52 FR 29233, 56 FR 54757, 77 FR 56749, 3 CFR
2013 Comp., p. 306; 3 CFR, 1991 Comp., p. 351; 3 CFR, 1987 Comp., p.
193.
Dated: December 20, 2018.
Douglas H. Benevento,
Regional Administrator, Region 8.
[FR Doc. 2019-01318 Filed 2-5-19; 8:45 am]
BILLING CODE 6560-50-P