Updating Regulations on Water Quality Certification, 44080-44122 [2019-17555]
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Federal Register / Vol. 84, No. 163 / Thursday, August 22, 2019 / Proposed Rules
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 121
[EPA–HQ–OW–2019–0405; FRL–9997–82–
OW]
RIN 2040–AF86
Updating Regulations on Water Quality
Certification
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
Table of Contents
The Environmental Protection
Agency (EPA) is publishing for public
comment a proposed rule providing
updates and clarifications to the
substantive and procedural
requirements for water quality
certification under Clean Water Act
(CWA or the Act) section 401. CWA
section 401 is a direct grant of authority
to states (and tribes that have been
approved for ‘‘treatment as a state’’
status) to review for compliance with
appropriate federal, state, and tribal
water quality requirements any
proposed activity that requires a federal
license or permit and may result in a
discharge to waters of the United States.
This proposal is intended to increase
the predictability and timeliness of
section 401 certification by clarifying
timeframes for certification, the scope of
certification review and conditions, and
related certification requirements and
procedures.
DATES: Comments must be received on
or before October 21, 2019.
ADDRESSES: Submit your comments,
identified by Docket ID No. EPA–HQ–
OW–2019–0405, at https://
www.regulations.gov. Follow the online
instructions for submitting comments.
Once submitted, comments cannot be
edited or removed from Regulations.gov.
The EPA may publish any comment
received to its public docket. Do not
submit electronically any information
you consider to be Confidential
Business Information (CBI) or other
information whose disclosure is
restricted by statute. Multimedia
submissions (audio, video, etc.) must be
accompanied by a written comment.
The written comment is considered the
official comment and should include
discussion of all points you wish to
make. The EPA will generally not
consider comments or comment
contents located outside of the primary
submission (i.e., on the web, cloud, or
other file sharing system). For
additional submission methods, the full
EPA public comment policy,
information about CBI or multimedia
SUMMARY:
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submissions, and general guidance on
making effective comments, please visit
https://www.epa.gov/dockets/
commenting-epa-dockets.
FOR FURTHER INFORMATION CONTACT:
Lauren Kasparek, Oceans, Wetlands,
and Communities Division, Office of
Water (4504–T), Environmental
Protection Agency, 1200 Pennsylvania
Avenue NW, Washington, DC 20460;
telephone number: (202) 564–3351;
email address: cwa401@epa.gov.
SUPPLEMENTARY INFORMATION:
I. General Information
A. How can I get copies of this document
and related information?
B. Under what legal authority is this
proposed rule issued?
C. How should I submit comments?
II. Background
A. Executive Summary
B. Executive Order 13868: Promoting
Energy Infrastructure and Economic
Growth
C. Pre-Proposal Stakeholder Engagement
D. Guidance Document
E. Effect on Existing Federal, State, and
Tribal Regulations
F. Legal Background
1. The Clean Water Act
2. The EPA’s Role in Implementing Section
401
3. The EPA’s Existing Certification
Regulations
4. Judicial Interpretations of Section 401
a. U.S. Supreme Court Decisions
i. P.U.D. No. 1 of Jefferson County
ii. S.D. Warren
b. Circuit Court Decisions
5. Administrative Law Principles
6. Legal Construct for the Proposed Rule
a. Scope of Certification
i. Water Quality
ii. Activity Versus Discharge
iii. Discharges From Point Sources to
Waters of the United States
b. Timeline for Section 401 Certification
Analysis
III. Proposed Rule
A. When Section 401 Certification Is
Required
B. Certification Request/Receipt
C. Certification Actions
D. Appropriate Scope for Section 401
Certification Review
E. Timeframe for Certification Analysis and
Decision
F. Contents and Effect of a Certification
G. Certification by the Administrator
1. Public Notice Procedure
2. Pre-filing Meeting Procedure
3. Requests for Additional Information
H. Determination of Effect on Neighboring
Jurisdictions
I. EPA’s Role in Review and Advice
J. Enforcement
K. Modifications
IV. Economic Analysis
V. Statutory and Executive Order Reviews
A. Executive Order 13771: Reducing
Regulation and Controlling Regulatory
Costs
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B. Executive Order 12866: Regulatory
Planning and Review; Executive Order
13563: Improving Regulation and
Regulatory Review
C. Paperwork Reduction Act
D. Regulatory Flexibility Act
E. Unfunded Mandates Reform Act
F. Executive Order 13132: Federalism
G. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
H. Executive Order 13045: Protection of
Children From Environmental Health
and Safety Risks
I. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
J. National Technology Transfer and
Advancement Act
K. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
I. General Information
A. How can I get copies of this
document and related information?
1. Docket. An official public docket
for this action has been established
under Docket ID No. EPA–HQ–OW–
2019–0405. The official public docket
consists of the documents specifically
referenced in this action, and other
information related to this action. The
official public docket is the collection of
materials that is available for public
viewing at the OW Docket, EPA West,
Room 3334, 1301 Constitution Ave. NW,
Washington, DC 20004. This Docket
Facility is open from 8:30 a.m. to 4:30
p.m., Monday through Friday, excluding
legal holidays. The OW Docket
telephone number is 202–566–2426. A
reasonable fee will be charged for
copies.
2. Electronic Access. You may access
this Federal Register document
electronically under the ‘‘Federal
Register’’ listings at https://
www.regulations.gov. An electronic
version of the public docket is available
through EPA’s electronic public docket
and comment system, EPA Dockets. You
may access EPA Dockets at https://
www.regulations.gov to view public
comments as they are submitted and
posted, access the index listing of the
contents of the official public docket,
and access those documents in the
public docket that are available
electronically. For additional
information about EPA’s public docket,
visit the EPA Docket Center homepage
at https://www.epa.gov/epahome/
dockets.htm. Although not all docket
materials may be available
electronically, you may still access any
of the publicly available docket
materials through the Docket Facility.
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B. Under what legal authority is this
proposed rule issued?
The authority for this action is the
Federal Water Pollution Control Act, 33
U.S.C. 1251 et seq., including section
401 and 501(a).
C. How should I submit comments?
Throughout this document, the EPA
solicits comment on a number of issues
related to the proposed rulemaking.
Comments on this proposed rulemaking
should be submitted to Docket ID No.
EPA–HQ–OW–2019–0405 at https://
www.regulations.gov per the online
instructions for submitting comments
and the information provided in
ADDRESSES, above.
As discussed in section II.C in this
preamble, this proposed rule is the
outgrowth of extensive outreach efforts,
including requests for
recommendations, and the EPA has
taken recommendations received into
account in developing this proposal. In
developing a final rule, the EPA will be
considering comments submitted on
this proposal. Persons who wish to
provide views or recommendations on
this proposal and have them considered
as part of this rulemaking process must
provide comments to the EPA as part of
this comment process. To facilitate the
processing of comments, commenters
are encouraged to organize their
comments in a manner that corresponds
to the outline of this proposal.
II. Background
A. Executive Summary
Congress enacted section 401 of the
CWA to provide states and authorized
tribes with an important tool to help
protect water quality of federally
regulated waters within their borders in
collaboration with federal agencies.
Under section 401, a Federal agency
may not issue a license or permit to
conduct any activity that may result in
any discharge into waters of the United
States,1 unless the state or authorized
tribe where the discharge would
originate either issues a section 401
water quality certification finding
compliance with existing water quality
requirements or waives the certification
requirement. As described in greater
detail below, section 401 envisions a
robust state and tribal role in the federal
licensing or permitting process where
1 The
CWA, including section 401, uses
‘‘navigable waters’’, defined as ‘‘waters of the
United States, including territorial seas.’’ 33 U.S.C.
1362(7). This proposal uses ‘‘waters of the United
States’’ throughout. The EPA is currently in the
process of revising the definition of waters of the
United States via rulemaking and expects the final
definition of the term to control in all CWA
contexts.
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local authority may otherwise be
preempted by federal law, but places
limitations on how that role may be
implemented to maintain an efficient
process, consistent with the overall
cooperative federalism construct
established by the CWA as explained
below in section II.F.1 in this preamble.
The plain language of section 401
provides that a state or authorized tribe
must act on a section 401 certification
request within a reasonable period of
time, which shall not exceed one year.2
Section 401 does not guarantee a state
or tribe a full year to act on a
certification request. The statute only
grants as much time as is reasonable,
and federal licensing or permitting
agencies, in their discretion, may
establish a period of time shorter than
one year if the federal licensing and
permitting agencies determine that a
shorter period is ‘‘reasonable.’’ 33 U.S.C.
1341(a)(1). The CWA provides that the
timeline for action on a section 401
certification begins ‘‘upon receipt’’ of a
certification request. Id. If a state or tribe
does not grant, grant with conditions,
deny, or expressly waive the section 401
certification within a reasonable time
period as determined by the federal
licensing and permitting agencies,
section 401 authorizes the federal
licensing and permitting agencies to
find that the state or tribe waived the
section 401 certification requirement
and issue the federal license or permit.
Id. at 1341; 40 CFR 121.16(b). If the
certification requirement has been
waived and the federal license or permit
is issued, any subsequent action by a
state or tribe to grant, grant with
condition, or deny section 401
certification has no legal force or effect.
Section 401 authorizes states and
tribes to certify that a discharge to
waters of the United States that may
result from a proposed activity will
comply with certain enumerated
sections of the CWA, including the
effluent limitations and standards of
performance for new and existing
discharge sources (sections 301, 302 and
306 of the CWA), water quality
standards and implementation plans
(section 303), and toxic pretreatment
effluent standards (section 307). When
granting a section 401 certification,
states and tribes are directed by CWA
section 401(d) to include conditions,
2 ‘‘If
the State, interstate agency, or Administrator,
as the case may be, fails or refuses to act on a
request for certification, within a reasonable period
of time (which shall not exceed one year) after
receipt of such request, the certification
requirements of this subsection shall be waived
with respect to such Federal application.’’ 33 U.S.C.
1341(a)(1); see also Hoopa Valley Tribe v. FERC,
913 F.3d 1099 (D.C. Cir. 2019).
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including ‘‘effluent limitations 3 and
other limitations, and monitoring
requirements’’ that are necessary to
assure that the applicant for a federal
license or permit will comply with
applicable provisions of CWA sections
301, 302, 306 and 307, and with ‘‘any
other appropriate requirement of State
law.’’
As the agency charged with
administering the CWA,4 the EPA is
responsible for developing a common
framework for certifying authorities to
follow when completing section 401
certifications. See 33 U.S.C. 1251(d),
1361(a). In 1971, the EPA promulgated
at 40 CFR part 121 a common
framework for implementing the
certification provisions pursuant to
section 21(b) of the Federal Water
Pollution Control Act of 1948 (FWCPA),
but the EPA never updated that
framework to reflect the 1972
amendments to the FWCPA (commonly
known as the Clean Water Act or CWA),
which created section 401. Over the last
several years, litigation over the section
401 certifications for several highprofile infrastructure projects have
highlighted the need for the EPA to
update its regulations to provide a
common framework for consistency
with CWA section 401 and to give
project proponents, certifying
authorities, and federal licensing and
permitting agencies additional clarity
and regulatory certainty.
In April 2019, the President issued
Executive Order 13868 titled Promoting
Energy Infrastructure and Economic
Growth, which directed the EPA to
engage with states, tribes, and federal
agencies and update the Agency’s
outdated guidance and regulations,
including the existing certification
framework. Consistent with Executive
Order 13868 and the modern CWA, this
proposal provides an updated common
framework that is consistent with the
modern CWA and which seeks to
increase predictability and timeliness.
B. Executive Order 13868: Promoting
Energy Infrastructure and Economic
Growth
On April 10, 2019, the President
issued Executive Order 13868 titled
Promoting Energy Infrastructure and
Economic Growth. Its purpose is to
encourage greater investment in energy
3 This proposal does not interpret ‘‘effluent
limitations’’ to be synonymous with ‘‘effluent
limitation guidelines’’, the pollution control
technology-based limits developed under section
304, 306, and 307 of the CWA, but also does
interpret the term to include, for example, water
quality based effluent limits required under
sections 301 and 303.
4 The EPA co-administers section 404 with the
Corps.
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infrastructure in the United States by
promoting efficient federal permitting
processes and reducing regulatory
uncertainty. The Executive Order
identifies the EPA’s outdated federal
guidance and regulations as one source
of confusion and uncertainty hindering
the development of energy
infrastructure. As noted above, the
EPA’s current certification regulations
(codified at 40 CFR part 121) have not
been updated since they were
promulgated in 1971, pursuant to
section 21(b) of the FWPCA.
Additionally, at the time the Executive
Order was issued, the EPA’s only
guidance to the public on section 401
implementation was an interim
handbook titled Clean Water Act
Section 401 Water Quality Certification:
A Water Quality Protection Tool for
States and Tribes, which had not been
updated since it was released in 2010
and therefore no longer reflected the
current case law interpreting CWA
section 401.
The Executive Order directed the EPA
to review CWA section 401 and the
EPA’s existing certification regulations
and interim guidance, issue new
guidance to states, tribes, and federal
agencies within 60 days of the Order,
and propose new section 401
regulations within 120 days of the
Order. The Executive Order also
directed the EPA to consult with states,
tribes, and relevant federal agencies
while reviewing its existing guidance
and regulations to identify areas that
would benefit from greater clarity.
As part of its review, the Executive
Order directed the EPA to take into
account the federalism considerations
underlying section 401 and to focus its
attention on the appropriate scope of
water quality reviews and conditions,
the scope of information needed to act
on a certification request in reasonable
period of time, and expectations for
certification review times. Section 3.a.
of Executive Order 13868 Promoting
Energy Infrastructure and Economic
Growth. Following the release of the
EPA’s new guidance document, the
Executive Order directed the EPA to
lead an interagency review of all
existing federal regulations and
guidance pertaining to section 401 to
ensure consistency with the EPA’s new
guidance and rulemaking efforts. The
Executive Order directs all federal
agencies to update their existing section
401 guidance within 90 days after
publication of the EPA’s new guidance
documents. Additionally, the Executive
Order directs other federal agencies to
initiate rulemaking, if necessary, within
90 days of the completion of the EPA’s
rulemaking, to ensure their own CWA
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section 401 regulations are consistent
with the EPA’s new rules and with the
Executive Order’s policy goals.
Although the Executive Order focuses
on section 401’s impact on the energy
sector, section 401 applies broadly to
any proposed federally licensed or
permitted activity that may result in any
discharge into a water of the United
States. Therefore, updates to the EPA’s
existing certification regulations and
guidance are relevant to all water
quality certifications.
Additional information on the EPA’s
state and tribal engagement is discussed
in section II.C in this preamble, and
additional information on the EPA’s
updated guidance document is
discussed in section II.D in this
preamble.
C. Pre-Proposal Stakeholder
Engagement
Prior to the release of Executive Order
13868 Promoting Energy Infrastructure
and Economic Growth, the Agency’s
2018 Spring Unified Agenda of
Regulatory and Deregulatory Actions
announced that the Agency was
considering, as a long-term action, the
issuance of a notice soliciting public
comment on whether the section 401
certification process would benefit from
a rulemaking to promote nationwide
consistency and regulatory certainty for
states, authorized tribes, and
stakeholders. While the Agency has
decided to issue this proposal instead of
the notice, that entry was the first
indication to the public of the Agency’s
interest in revising its section 401
certification process.
On August 6, 2018, the Agency sent
a letter to the Environmental Council of
the States, the Association of Clean
Water Administrators, the Association
of State Wetlands Managers, the
National Tribal Water Council, and the
National Tribal Caucus indicating the
Agency’s interest in engaging on
potential clarifications to the section
401 process. The Agency discussed
section 401 at several association
meetings and calls in Fall 2018 and
Spring 2019 and received
correspondence from several
stakeholders between Fall 2018 and
Spring 2019. Early stakeholder feedback
received prior to the issuance of the
Executive Order, as well as
presentations given between Fall 2018
and Spring 2019, may be found in the
pre-proposal recommendations docket
(Docket ID No. EPA–HQ–OW–2018–
0855).
Following the release of the Executive
Order, the EPA continued its effort to
engage with states and tribes on how to
increase clarity in the section 401
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certification process, including creating
a new website to provide information on
section 401 and notifying state
environmental commissioners and tribal
environmental directors of a two-part
webinar series for states and tribes. See
www.epa.gov/cwa-401. The first
webinar was held on April 17, 2019,
and discussed the Executive Order, the
EPA’s next steps, and solicited feedback
from states and tribes consistent with
the Executive Order. Shortly thereafter,
the EPA initiated formal consultation
efforts with states and tribes regarding
provisions that require clarification
within section 401 of the CWA and
related federal regulations and
guidance. Consultation occurred from
April 24, 2019 through May 24, 2019,
and the EPA opened a docket for preproposal recommendations during this
time period (Docket ID No. EPA–HQ–
OW–2018–0855). On May 7, 2019 and
May 15, 2019, the EPA held tribal
informational webinars, and on May 8,
2019, the EPA held an informational
webinar for both states and tribes. See
section V in this preamble for further
details on the Agency’s federalism and
tribal consultations. Questions and
recommendations from the webinar
attendees are available in the preproposal docket (Docket ID No. EPA–
HQ–OW–2018–0855).
During the consultation period, the
EPA participated in phone calls and inperson meetings with intergovernmental and tribal associations
including the National Governor’s
Association and National Tribal Water
Council. The EPA also attended the EPA
Region 9 Regional Tribal Operations
Committee meeting on May 22, 2019, to
solicit recommendations for the
proposed rule. The EPA engaged with
federal agencies that issue permits or
licenses subject to section 401,
including the United States Department
of Agriculture, Federal Energy
Regulatory Commission, Army Corps of
Engineers, Alcohol and Tobacco Tax
and Trade Bureau, and Nuclear
Regulatory Commission through several
meetings and phone calls to gain
additional feedback from federal
partners.
At the webinars and meetings, the
EPA provided a presentation and sought
input on areas of section 401 that may
require updating or benefit from
clarification, including timeframe, scope
of certification review, and coordination
among certifying authorities, federal
licensing or permitting agencies, and
project proponents. The EPA requested
input on issues and process
improvements that the EPA might
consider for a future rule. Participant
recommendations from webinars,
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meetings, and the docket represent a
diverse range of interests, positions and
suggestions. Several themes emerged
throughout this process, including
support for ongoing state and tribal
engagement, support for retention of
state and tribal authority, and
suggestions for process improvements
for CWA section 401 water quality
certifications.
Tribes provided several specific
recommendations regarding the
proposed rulemaking. First, some tribes
requested the EPA better clarify its
responsibilities under CWA section
401(a)(2). These tribes expressed the
importance of considering impacts to
neighboring jurisdictions during the
section 401 certification process. Tribes
also emphasized that section 401
certification decision-making should not
be prolonged such that section 401
certifications delay implementation of
updated water quality standards. Tribes
also requested that any changes to the
section 401 certification process should
maintain tribal authority and
sovereignty. Finally, tribes emphasized
the importance of meaningful
consultation and engagement
throughout the rulemaking process.
The EPA received several specific
recommendations regarding process
improvements for section 401
certifications. First, states, cross-cutting
state organizations, and industry groups
expressed support for pre-application
meetings and information-sharing
among project proponents, certifying
authorities, and federal licensing and
permitting agencies. Additionally, state
officials, tribal officials, and crosscutting state organizations cited
deficient certification applications as a
primary cause for delays in the
certification decision-making process.
Permit applicants suggested the lack of
clear state processes and prolonged
information requests contributed
significantly to the delay in the 401
certification process. The Agency was
also made aware of relatively low
staffing availability in many state and
tribal 401 certification programs.
Stakeholders suggested that preapplication meetings as well as explicit
state processes and checklists could
increase the quality of certification
applications.
Additionally, state and tribal officials
as well as cross-cutting state
organizations cautioned the Agency
against mandating a specific reasonable
period of time (e.g., 60 days) that would
apply to all types of projects. These
recommendations encouraged the EPA
to maintain the authority of federal
licensing and permitting agencies to
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determine the appropriate reasonable
period of time.
Finally, the EPA received preproposal recommendations covering a
wide variety of viewpoints on the
certifying authority’s scope of
certification review. The EPA
considered all of this information and
stakeholder input, including all 72
recommendations submitted to the
docket during development of this
proposed rule, and feedback received
prior to the initiation of and during the
formal consultation period.
D. Guidance Document
Pursuant to Executive Order 13868,
the Agency released updated section
401 guidance on June 7, 2019, available
at https://www.epa.gov/cwa-401/cleanwater-act-section-401-guidance-federalagencies-states-and-authorized-tribes.
Coincident with the release of the new
guidance, EPA rescinded the 2010
document titled Clean Water Act
Section 401 Water Quality Certification:
A Water Quality Protection Tool for
States and Tribes (‘‘Interim
Handbook’’). The 2010 Interim
Handbook had not been updated or
revised since its release in 2010, and
therefore no longer reflected the current
case law interpreting CWA section 401,
nor had it been finalized.
The updated guidance provides
information and recommendations for
implementing the substantive and
procedural requirements of section 401,
consistent with the areas of focus in the
Executive Order. More specifically, the
guidance focuses on aspects of the
certification process, including the
timeline for review and decision-making
and the appropriate scope of review and
conditions. Additionally, the guidance
provides recommendations for how
federal licensing and permitting
agencies, states, and tribes can better
coordinate to improve the section 401
certification process. The emphasis on
early coordination and collaboration to
increase process efficiency aligns with
other agency directives under Executive
Order 13807, Establishing Discipline
and Accountability in the
Environmental Review and Permitting
Process for Infrastructure Projects, or
simply, the ‘‘One Federal Decision’’
policy. For major infrastructure projects,
the One Federal Decision policy directs
federal agencies to use a single,
coordinated process for compliance
with the National Environmental Policy
Act (NEPA), 42 U.S.C. 4321 et seq., and
emphasizes advance coordination to
streamline federal permitting actions.
The new guidance is not a regulation,
nor does it change or substitute for any
applicable regulations. Therefore, it
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does not impose legally binding
requirements on the EPA, states, tribes,
other federal agencies, or the regulated
community. The EPA expects its final
regulation, once promulgated, will
provide the clarity and regulatory
certainty expected by the Executive
Order and additional guidance will not
be necessary to implement section 401.
The Agency therefore requests comment
on whether it should rescind its June 7,
2019 guidance upon completion of this
rulemaking or whether separate
guidance would be helpful on
implementation of the provisions that
are finalized in this proposal.
E. Effect on Existing Federal, State, and
Tribal Regulations
Section 3.d. of Executive Order 13868
provides that, within 90 days after the
EPA issues its final section 401
regulations, ‘‘if necessary, the heads of
each 401 implementing Agency shall
initiate a rulemaking to ensure that their
respective agencies’ regulations are
consistent with’’ EPA’s final section 401
regulations and ‘‘the policies set forth in
section 2 of [the Executive Order].’’
According to the Executive Order, these
subsequent federal agency rulemaking
efforts will follow an EPA-led
interagency review and examination of
existing federal guidance and
regulations ‘‘for consistency with EPA
guidance and regulations.’’ As the EPA
understands the Executive Order, the
other federal agencies that issue permits
or licenses subject to the certification
requirements of section 401 are
expected to ensure that regulations
governing their own processing,
disposition, and enforcement of section
401 certifications are consistent with the
EPA’s final regulations and the policies
articulated in section 2 of the Executive
Order. The EPA plans to review its own
National Pollutant Discharge
Elimination System (NPDES)
regulations to ensure its program
certification regulations are also
consistent with the Agency’s final
regulations under this proposal. The
EPA will be working with its fellow
section 401 implementing agencies to
accomplish this goal.
The EPA recommends that states and
authorized tribes update, as necessary,
their own CWA section 401 regulations
to provide procedural and substantive
requirements that are consistent with
those the EPA eventually promulgates.
Regulatory consistency across both
federal and state governments with
respect to issues like timing, waiver,
and scope of section 401 reviews and
conditions will substantially contribute
towards ensuring that section 401 is
implemented in an efficient, effective,
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transparent, and nationally consistent
manner and will reduce the likelihood
of protracted litigation over these issues.
The EPA solicits comments from state
and tribal governments, and the public
at large regarding the need for, and
potential benefits of, a consistent,
national and state regulatory approach
to section 401 and how the EPA may
best promote such consistency.
F. Legal Background
This proposal initiates the EPA’s first
comprehensive effort to promulgate
federal rules governing the
implementation of CWA section 401.
The Agency’s existing certification
regulations at 40 CFR part 121 pre-date
the 1972 CWA amendments. This
proposal therefore provides the EPA’s
first holistic analysis of the statutory
text, legislative history, and relevant
case law informing the implementation
of the CWA section 401 program by the
Agency and our federal, state, and tribal
partners. The proposal, while focused
on the relevant statutory provisions and
case law interpreting those provisions,
is informed by policy considerations
where necessary to address certain
ambiguities in the statutory text. The
following sections describe the basic
operational construct and history of the
modern CWA, how section 401 fits
within that construct, and certain core
administrative legal principles that
guide agency decision-making in this
context. This legal background is
intended to inform the public’s review
of the proposed regulation by
summarizing the legal framework for the
proposal.
1. The Clean Water Act
Congress amended the CWA 5 in 1972
to address longstanding concerns
regarding the quality of the nation’s
waters and the federal government’s
ability to address those concerns under
existing law. Prior to 1972, the ability to
control and redress water pollution in
the nation’s waters largely fell to the
U.S. Army Corps of Engineers (Corps)
under the Rivers and Harbors Act of
1899 (RHA). While much of that statute
focused on restricting obstructions to
navigation on the nation’s major
waterways, section 13 of the RHA made
it unlawful to discharge refuse ‘‘into any
navigable water of the United States,6 or
5 The FWPCA is commonly referred to as the
CWA following the 1977 amendments to the
FWPCA. Public Law 95–217, 91 Stat. 1566 (1977).
For ease of reference, the Agency will generally
refer to the FWPCA in this notice as the CWA or
the Act.
6 The term ‘‘navigable water of the United States’’
is a term of art used to refer to waters subject to
federal jurisdiction under the RHA. See, e.g., 33
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into any tributary of any navigable water
from which the same shall float or be
washed into such navigable water.’’ 33
U.S.C. 407. Congress had also enacted
the Water Pollution Control Act of 1948,
Pub. L. 80–845, 62 Stat. 1155 (June 30,
1948), to address interstate water
pollution, and subsequently amended
that statute in 1956 (giving the statute is
current formal name), 1961, and 1965.
The early versions of the CWA
promoted the development of pollution
abatement programs, required states to
develop water quality standards, and
authorized the federal government to
bring enforcement actions to abate water
pollution.
These earlier statutory frameworks,
however, proved challenging for
regulators, who often worked backwards
from an overly-polluted waterway to
determine which dischargers and which
sources of pollution may be responsible.
See EPA v. State Water Resources
Control Bd., 426 U.S. 200, 204 (1976). In
fact, Congress determined that they
ultimately proved inadequate to address
the decline in the quality of the nation’s
waters, see City of Milwaukee v. Illinois,
451 U.S. 304, 310 (1981), so Congress
performed a ‘‘total restructuring’’ and
‘‘complete rewriting’’ of the existing
statutory framework of the Act in 1972.
Id. at 317 (quoting legislative history of
1972 amendments). That restructuring
resulted in the enactment of a
comprehensive scheme designed to
prevent, reduce, and eliminate pollution
in the nation’s waters generally, and to
regulate the discharge of pollutants into
waters of the United States specifically.
See, e.g., S.D. Warren Co. v. Maine Bd.
of Envtl. Prot., 547 U.S. 370, 385 (2006)
(‘‘[T]he Act does not stop at controlling
the ‘addition of pollutants,’ but deals
with ‘pollution’ generally[.]’’).
The objective of the new statutory
scheme was ‘‘to restore and maintain
the chemical, physical, and biological
integrity of the Nation’s waters.’’ 33
U.S.C. 1251(a). In order to meet that
objective, Congress declared two
national goals: (1) ‘‘that the discharge of
pollutants into the navigable waters be
eliminated by 1985;’’ and (2) ‘‘that
wherever attainable, an interim goal of
water quality which provides for the
protection and propagation of fish,
shellfish, and wildlife and provides for
recreation in and on the water be
achieved by July 1, 1983 . . . .’’ Id. at
1251(a)(1)–(2).
CFR 329.1. The term is not synonymous with the
phrase ‘‘waters of the United States’’ under the
CWA, see id., and the general term ‘‘navigable
waters’’ has different meanings depending on the
context of the statute in which it is used. See, e.g.,
PPL Montana, LLC v. Montana, 132 S. Ct. 1215,
1228 (2012).
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Congress established several key
policies that direct the work of the
Agency to effectuate those goals. For
example, Congress declared as a
national policy ‘‘that the discharge of
toxic pollutants in toxic amounts be
prohibited; . . . that Federal financial
assistance be provided to construct
publicly owned waste treatment works;
. . . that areawide waste treatment
management planning processes be
developed and implemented to assure
adequate control of sources of pollutants
in each State; . . . [and] that programs
for the control of nonpoint sources of
pollution be developed and
implemented in an expeditious manner
so as to enable the goals of this Act to
be met through the control of both point
and nonpoint sources of pollution.’’ Id.
at 1251(a)(3)–(7).
Congress provided a major role for the
states in implementing the CWA,
balancing the traditional power of states
to regulate land and water resources
within their borders with the need for
a national water quality regulation. For
example, the statute highlighted ‘‘the
policy of the Congress to recognize,
preserve, and protect the primary
responsibilities and rights of States to
prevent, reduce, and eliminate
pollution’’ and ‘‘to plan the
development and use . . . of land and
water resources . . . .’’ Id. at 1251(b).
Congress also declared as a national
policy that States manage the major
construction grant program and
implement the core permitting programs
authorized by the statute, among other
responsibilities. Id. Congress added that
‘‘[e]xcept as expressly provided in this
Act, nothing in this Act shall . . . be
construed as impairing or in any
manner affecting any right or
jurisdiction of the States with respect to
the waters (including boundary waters)
of such States.’’ Id. at 1370.7 Congress
also pledged to provide technical
support and financial aid to the States
‘‘in connection with the prevention,
reduction, and elimination of
pollution.’’ Id. at 1251(b).
To carry out these policies, Congress
broadly defined ‘‘pollution’’ to mean
‘‘the man-made or man-induced
alteration of the chemical, physical,
biological, and radiological integrity of
water,’’ id. at 1362(19), to parallel the
broad objective of the Act ‘‘to restore
and maintain the chemical, physical,
and biological integrity of the Nation’s
waters.’’ Id. at 1251(a). Congress then
crafted a non-regulatory statutory
7 33 U.S.C. 1370 also prohibits authorized states
from adopting any limitations, prohibitions, or
standards that are less stringent than required by
the CWA.
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framework to provide technical and
financial assistance to the states to
prevent, reduce, and eliminate pollution
in the nation’s waters generally. See,
e.g., id. at 1256(a) (authorizing the EPA
to issue ‘‘grants to States and to
interstate agencies to assist them in
administering programs for the
prevention, reduction, and elimination
of pollution’’); see also 84 FR 4154, 4157
(Feb. 14, 2019) (discussing nonregulatory program provisions); 83 FR
32227, 32232 (July 12, 2018) (same).
In addition to the Act’s non-regulatory
measures to control pollution of the
nation’s waters, Congress created a
federal regulatory program designed to
address the discharge of pollutants into
a subset of those waters identified as
‘‘the waters of the United States.’’ See
33 U.S.C. 1362(7). Section 301 contains
the key regulatory mechanism: ‘‘Except
as in compliance with this section and
sections 302, 306, 307, 318, 402, and
404 of this Act, the discharge of any
pollutant by any person shall be
unlawful.’’ Id. at 1311(a). A ‘‘discharge
of a pollutant’’ is defined to include
‘‘any addition of any pollutant to
navigable waters from any point
source,’’ such as a pipe, ditch or other
‘‘discernible, confined and discrete
conveyance.’’ Id. at 1362(12), (14). The
term ‘‘pollutant’’ means ‘‘dredged spoil,
solid waste, incinerator residue, sewage,
garbage, sewage sludge, munitions,
chemical wastes, biological materials,
radioactive materials, heat, wrecked or
discarded equipment, rock, sand, cellar
dirt and industrial, municipal, and
agricultural waste discharged into
water.’’ Id. at 1362(6). Thus, it is
unlawful to discharge pollutants into
waters of the United States from a point
source unless the discharge is in
compliance with certain enumerated
sections of the CWA, including
obtaining authorizations pursuant to the
section 402 NPDES permit program or
the section 404 dredged or fill material
permit program. See id. at 1342, 1344.
Congress therefore hoped to achieve the
Act’s objective ‘‘to restore and maintain
the chemical, physical, and biological
integrity of the Nation’s waters’’ by
addressing pollution of all waters via
non-regulatory means and federally
regulating the discharge of pollutants to
the subset of waters identified as
‘‘navigable waters.’’ 8
8 Fundamental principles of statutory
interpretation support the Agency’s recognition of
a distinction between ‘‘nation’s waters’’ and
‘‘navigable waters.’’ As the Supreme Court has
observed, ‘‘[w]e assume that Congress used two
terms because it intended each term to have a
particular, nonsuperfluous meaning.’’ Bailey v.
United States, 516 U.S. 137, 146 (1995) (recognizing
the canon of statutory construction against
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Within the regulatory programs
established by the Act, two principal
components focus on ‘‘achieving
maximum ‘effluent limitations’ on
‘point sources,’ as well as achieving
acceptable water quality standards,’’
and the development of the NPDES
permitting program that imposes
specific discharge limitations for
regulated entities. EPA v. State Water
Resources Control Bd., 426 U.S. at 204.
Together these components provide a
framework for the Agency to focus on
reducing or eliminating discharges
while creating accountability for each
entity that discharges into a waterbody,
facilitating greater enforcement and
overall achievement of the CWA water
quality goals. Id.; see Oregon Natural
Desert Association v. Dombeck, 172
F.3d 1092, 1096 (9th Cir. 1998)
(observing that 1972 amendments
‘‘largely supplanted’’ earlier version of
CWA ‘‘by replacing water quality
standards with point source effluent
limitations’’).
Under this statutory scheme, the
states 9 are authorized to assume
program authority for issuing section
402 and 404 permits within their
borders, subject to certain limitations.
33 U.S.C. 1342(b), 1344(g). States are
also responsible for developing water
quality standards for ‘‘waters of the
United States’’ within their borders and
reporting on the condition of those
waters to the EPA every two years. Id.
at 1313, 1315. States must develop total
maximum daily loads (TMDLs) for
waters that are not meeting established
water quality standards and must
submit those TMDLs to the EPA for
approval. Id. at 1313(d). And, central to
this proposed rule, states under CWA
section 401 have authority to grant,
grant with conditions, deny, or waive
superfluity). Further, ‘‘the words of a statute must
be read in their context and with a view to their
place in the overall statutory scheme.’’ FDA v.
Brown & Williamson Tobacco Corp., 529 U.S. 120,
133 (2000) (internal quotation marks and citation
omitted); see also United Savings Ass’n v. Timbers
of Inwood Forest Associates, 484 U.S. 365, 371
(‘‘Statutory construction . . . is a holistic endeavor.
A provision that may seem ambiguous in isolation
is often clarified by the remainder of the statutory
scheme—because the same terminology is used
elsewhere in a context that makes its meaning
clear[.]’’) (citation omitted). The non-regulatory
sections of the CWA reveal Congress’ intent to
restore and maintain the integrity of the nation’s
waters using federal assistance to support State and
local partnerships to control pollution in the
nation’s waters in addition to a federal regulatory
prohibition on the discharge of pollutants into the
navigable waters. For further discussion, see 83 FR
at 32232 and 84 FR at 4157.
9 The CWA defines ‘‘state’’ as ‘‘a State, the District
of Columbia, the Commonwealth of Puerto Rico, the
Virgin Islands, Guam, American Samoa, the
Commonwealth of the Northern Mariana Islands,
and the Trust Territory of the Pacific Islands.’’ 33
U.S.C. 1362(3).
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water quality certifications for every
federal license or permit issued within
their borders that may result in a
discharge to waters of the United States.
Id. at 1341. These same regulatory
authorities can be assumed by Indian
tribes under section 518 of the CWA,
which authorizes the EPA to treat
eligible tribes with reservations in a
similar manner to states (referred to as
‘‘treatment as states’’ or TAS) for a
variety of purposes, including
administering the principal CWA
regulatory programs. Id. at 1377(e). In
addition, states and tribes retain
authority to protect and manage the use
of those waters that are not waters of the
United States under the CWA. See, e.g.,
id. at 1251(b), 1251(g), 1370, 1377(a).
In enacting section 401, Congress
recognized that where states and tribes
do not have direct permitting authority
(either under a section 402 or 404
program authorization or where
Congress has preempted a regulatory
field, e.g., under the Federal Power Act),
they may still play a valuable role in
protecting water quality of federally
regulated waters within their borders in
collaboration with federal agencies.
Under section 401, a federal agency may
not issue a license or permit for an
activity that may result in a discharge to
waters of the United States, unless the
appropriate certification authority
provides a section 401 certification or
waives its ability to do so. The authority
to certify a federal license or permit lies
with the agency (the certifying
authority) that has jurisdiction over the
discharge location to the receiving
waters of the United States. Id. at
1341(a)(1). Examples of federal licenses
or permits potentially subject to section
401 certification include, but are not
limited to, CWA section 402 NPDES
permits in states where the EPA
administers the permitting program,
CWA section 404 permits issued by the
Corps, hydropower and pipeline
licenses issued by Federal Energy
Regulatory Commission (FERC), and
RHA sections 9 and 10 permits issued
by the Corps.
Under section 401, a certifying
authority may grant, grant with
conditions, deny, or waive certification
in response to a request from a project
proponent. The certifying authority
determines whether the proposed
activity will comply with the applicable
provisions of sections 301, 302, 303,
306, and 307 of the CWA and any other
appropriate requirement of state law. Id.
Certifying authorities may also add to a
certification ‘‘any effluent limitations
and other limitations, and monitoring
requirements’’ necessary to assure
compliance. Id at 1341(d). These
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additional provisions must become ‘‘a
condition’’ of the federal license or
permit should it be issued. Id. A
certifying authority may deny
certification if it is unable to determine
that the discharge from the proposed
activity will comply with the applicable
sections of the CWA and appropriate
requirements of state law. If a certifying
authority denies certification, the
federal license or permit may not issue.
Id. at 1341(a)(1). A certifying authority
may waive certification by ‘‘fail[ing] or
refus[ing] to act on a request for
certification, within a reasonable period
of time . . . after receipt of such
request.’’ Id.
Perhaps with the exception of section
401,10 the EPA has developed
comprehensive, modern regulatory
programs designed to ensure that the
CWA is fully implemented as Congress
intended. This includes pursuing the
overall ‘‘objective’’ of the CWA to
‘‘restore and maintain the chemical,
physical, and biological integrity of the
Nation’s waters,’’ id. at 1251(a), while
implementing the specific ‘‘policy’’
directives from Congress to, among
other things, ‘‘recognize, preserve, and
protect the primary responsibilities and
rights of States to prevent, reduce, and
eliminate pollution’’ and ‘‘to plan the
development and use . . . of land and
water resources.’’ Id. at 1251(b); see also
Webster’s II, New Riverside University
Dictionary (1994) (defining ‘‘policy’’ as
a ‘‘plan or course of action, as of a
government[,] designed to influence and
determine decisions and actions;’’ an
‘‘objective’’ is ‘‘something worked
toward or aspired to: Goal’’). The
Agency therefore recognizes a
distinction between the specific word
choices of Congress, including the need
to develop regulatory programs that aim
to accomplish the goals of the Act while
implementing the specific policy
directives of Congress. For further
discussion of these principles, see 83 FR
at 32237 and 84 FR at 4168–69.
Congress’ authority to regulate
navigable waters, including those
subject to CWA section 401 water
quality certification, derives from its
power to regulate the ‘‘channels of
interstate commerce’’ under the
Commerce Clause. Gibbons v. Ogden, 22
U.S. (9 Wheat.) 1 (1824); see also United
States v. Lopez, 514 U.S. 549, 558–59
(1995) (describing the ‘‘channels of
interstate commerce’’ as one of three
areas of congressional authority under
the Commerce Clause). The Supreme
10 As noted in section II.F in this preamble, the
EPA’s existing certification regulations were
promulgated prior to the 1972 CWA Amendments
and have not been updated to reflect the current
statutory text.
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Court explained in Solid Waste Agency
of Northern Cook County v. U.S. Army
Corps of Engineers (SWANCC) that the
term ‘‘navigable’’ indicates ‘‘what
Congress had in mind as its authority
for enacting the Clean Water Act: Its
traditional jurisdiction over waters that
were or had been navigable in fact or
which could reasonably be so made.’’
531 U.S. 159, 172 (2001). The Court
further explained that nothing in the
legislative history of the Act provides
any indication that ‘‘Congress intended
to exert anything more than its
commerce power over navigation.’’ Id.
at 168 n.3. The Supreme Court,
however, has recognized that Congress
intended ‘‘to exercise its powers under
the Commerce Clause to regulate at least
some waters that would not be deemed
‘navigable’ under the classical
understanding of that term.’’ United
States v. Riverside Bayview Homes, 474
U.S. 121, 133 (1985); see also SWANCC,
531 U.S. at 167.
The classical understanding of the
term navigable was first articulated by
the Supreme Court in The Daniel Ball:
Those rivers must be regarded as public
navigable rivers in law which are navigable
in fact. And they are navigable in fact when
they are used, or are susceptible of being
used, in their ordinary condition, as
highways of commerce, over which trade and
travel are or may be conducted in the
customary modes of trade and travel on
water. And they constitute navigable waters
of the United States within the meaning of
the Acts of Congress, in contradistinction
from the navigable waters of the States, when
they form in their ordinary condition by
themselves, or by uniting with other waters,
a continued highway over which commerce
is or may be carried on with other States or
foreign countries in the customary modes in
which such commerce is conducted by water.
77 U.S. (10 Wall.) 557, 563 (1871). Over
the years, this traditional test has been
expanded to include waters that had
been used in the past for interstate
commerce, see Economy Light & Power
Co. v. United States, 256 U.S. 113, 123
(1921), and waters that are susceptible
for use with reasonable improvement.
See United States v. Appalachian Elec.
Power Co., 311 U.S. 377, 407–10 (1940).
By the time the 1972 CWA
amendments were enacted, the Supreme
Court had held that Congress’ authority
over the channels of interstate
commerce was not limited to regulation
of the channels themselves but could
extend to activities necessary to protect
the channels. See Oklahoma ex rel.
Phillips v. Guy F. Atkinson Co., 313 U.S.
508, 523 (1941) (‘‘Congress may exercise
its control over the non-navigable
stretches of a river in order to preserve
or promote commerce on the navigable
portions.’’). The Supreme Court also had
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clarified that Congress could regulate
waterways that formed a part of a
channel of interstate commerce, even if
they are not themselves navigable or do
not cross state boundaries. See Utah v.
United States, 403 U.S. 9, 11 (1971).
Congress therefore intended to assert
federal regulatory authority over more
than just waters traditionally
understood as navigable and rooted that
authority in ‘‘its commerce power over
navigation.’’ SWANCC, 531 U.S. at 168
n.3.
The EPA recognizes and respects the
primary responsibilities and rights of
states to regulate their land and water
resources, as envisioned by the CWA.
See 33 U.S.C. 1251(b), 1370. The oftquoted objective of the CWA to ‘‘restore
and maintain the chemical, physical,
and biological integrity of the Nation’s
waters,’’ id. at 1251(a), must be
implemented in a manner consistent
with Congress’ policy directives. The
Supreme Court long ago recognized the
distinction between waters subject to
federal authority, traditionally
understood as navigable, and those
waters ‘‘subject to the control of the
States.’’ The Daniel Ball, 77 U.S. (10
Wall.) 557, 564–65 (1870). Over a
century later, the Supreme Court in
SWANCC reaffirmed the state’s
‘‘traditional and primary power over
land and water use.’’ 531 U.S. at 174.
Ensuring that states retain authority
over their land and water resources
helps carry out the overall objective of
the CWA and ensures that the agency is
giving full effect and consideration to
the entire structure and function of the
Act. See, e.g., Hibbs v. Winn, 542 U.S.
88, 101 (2004) (‘‘A statute should be
construed so that effect is given to all its
provisions, so that no part will be
inoperative or superfluous, void or
insignificant.’’) (citation omitted); see
also Rapanos v. United States, 547 U.S.
715, 755–56 (2006) (Scalia, J., plurality
opinion) (‘‘[C]lean water is not the only
purpose of the statute. So is the
preservation of primary state
responsibility for ordinary land-use
decisions. 33 U.S.C. 1251(b).’’) (original
emphasis).
In summary, Congress relied on its
authority under the Commerce Clause
when it enacted the CWA and intended
to assert federal authority over more
than just waters traditionally
understood as navigable, but it limited
the exercise of that authority to ‘‘its
commerce power over navigation.’’
SWANCC, 531 U.S. at 168 n.3. In doing
so, Congress specifically sought to avoid
‘‘federal encroachment upon a
traditional state power.’’ Id. at 173. The
Court in SWANCC found that ‘‘[r]ather
than expressing a desire to readjust the
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federal-state balance in this manner,
Congress chose [in the CWA] to
‘recognize, preserve, and protect the
primary responsibilities and rights of
States . . . to plan the development and
use . . . of land and water resources
. . .’’ Id. at 174 (quoting 33 U.S.C.
1251(b)). The Court found no clear
statement from Congress that it had
intended to permit federal
encroachment on traditional state power
and construed the CWA to avoid the
significant constitutional questions
related to the scope of federal authority
authorized therein. Id. That is because
the Supreme Court has instructed that
‘‘[w]here an administrative
interpretation of a statute invokes the
outer limits of Congress’ power, we
expect a clear indication that Congress
intended that result.’’ Id. at 172. The
Court has further stated that this is
particularly true ‘‘where the
administrative interpretation alters the
federal-state framework by permitting
federal encroachment upon a traditional
state power.’’ Id. at 173; see also Will v.
Michigan Dept. of State Police, 491 U.S.
58, 65 (1989) (‘‘[I]f Congress intends to
alter the ‘usual constitutional balance
between the States and the Federal
Government,’ it must make its intention
to do so ‘unmistakably clear in the
language of the statute.’ ’’) (quoting
Atascadero State Hospital v. Scanlon,
473 U.S. 234, 242 (1985)); Gregory v.
Ashcroft, 501 U.S. 452, 461 (1991) (‘‘this
plain statement rule . . . acknowledg[es]
that the States retain substantial
sovereign powers under our
constitutional scheme, powers with
which Congress does not readily
interfere’’). This means that that the
executive branch’s authority under the
CWA, while broad, is not unlimited,
and the waters to which CWA
regulatory programs apply must
necessarily respect those limits. For
further discussion of these principles,
see 84 FR at 4165 and 83 FR at 32234.
In some cases, CWA section 401
denials have been challenged on
grounds that the denial improperly
interfered with interstate commerce.
See, e.g., Lighthouse Resources, Inc. v.
Inslee, No. 3:18–cv–5005, Complaint at
¶¶ 206–210; ¶¶ 224–248 (W.D. Wash.
Filed Jan. 8, 2018) (alleging State’s
denial of section 401 certification
violated the dormant commerce clause
and dormant foreign commerce clause).
In Lake Carriers Association v. EPA, 652
F.3d 1 (D.C. Cir. 2011), a court of
appeals found that the section 401
statutory scheme of delegation to states
itself does not create an impermissible
burden on interstate commerce;
however actions taken by states
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pursuant to section 401 are not
insulated from dormant commerce
clause challenges. 652 F.3d at 10 (‘‘If
[petitioners] believe that the
certification conditions imposed by any
particular state pose an inordinate
burden on their operations, they may
challenge those conditions in that state’s
courts. If [petitioners] believe that a
particular state’s law imposes an
unconstitutional burden on interstate
commerce, they may challenge that law
in federal (or state) court.’’).
Accordingly, EPA seeks comment on
whether its proposed regulations
appropriately balance the scope of state
authority under section 401 with
Congress’ goal of facilitating commerce
on interstate navigable waters, and
whether they define the scope in a
manner that would limit the potential
for states to withhold or condition
certifications such that it would place
undue burdens on interstate commerce.
2. The EPA’s Role in Implementing
Section 401
The EPA, as the federal agency
charged with administering the CWA, is
responsible for developing regulations
and guidance to ensure effective
implementation of all CWA programs,
including section 401.11 In addition to
administering the statute and
promulgating implementing regulations,
the Agency has several other roles under
section 401.
The EPA acts as the section 401
certification authority under two
circumstances. First, the EPA will
certify on behalf of a state or tribe where
the jurisdiction in which the discharge
will originate does not itself have
certification authority. 33 U.S.C.
1341(a)(1). In practice, this results in the
EPA certifying on behalf of the many
tribes that do not have TAS authority for
section 401. Second, the EPA will act as
the certifying authority where the
discharge would originate on lands of
exclusive federal jurisdiction.12
11 See 33 U.S.C. 1251(d), 1361(a); Mayo Found.
for Medical Educ. and Res. v. United States, 562
U.S. 44, 45 (2011); Hoopa Valley Tribe v. FERC, 913
F.3d 1099, 1104 (D.C. Cir. 2019); Alabama Rivers
Alliance v. FERC, 325 F.3d 290, 296–97 (D.C. Cir.
2003); California Trout v. FERC, 313 F.3d 1131,
1133 (9th Cir. 2002); American Rivers, Inc. v. FERC,
129 F. 3d 99, 107 (2d. Cir. 1997).
12 The federal government may obtain exclusive
federal jurisdiction over lands in multiple ways,
including where the federal government purchases
lands with state consent consistent with article 1,
section 8, clause 17 of the U.S. Constitution, where
a state chooses to cede jurisdiction to the federal
government, and where the federal government
reserved jurisdiction upon granting statehood. See
Collins v. Yosemite Park Co., 304 U.S. 518, 529–30
(1938); James v. Dravo Contracting Co., 302 U.S.
134, 141–42 (1937); Surplus Trading Company v.
Cook, 281 U.S. 647, 650–52 (1930); Fort
Leavenworth Railroad Company v. Lowe, 114 U.S.
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The EPA also coordinates the
opportunity for neighboring
jurisdictions to raise concerns and
recommendations where their water
quality may be affected by a discharge
subject to section 401 certification. Id. at
1341(a)(2). Although section 401
certification authority lies with the
jurisdiction where the discharge
originates, a neighboring jurisdiction
whose water quality is potentially
affected by the discharge may have an
opportunity to raise concerns. Where
the EPA Administrator determines that
a discharge subject to section 401 ‘‘may
affect’’ the water quality of a
neighboring jurisdiction, the EPA is
required to notify that other jurisdiction.
Id. If the neighboring jurisdiction
determines that the discharge ‘‘will
affect’’ the quality of its waters in
violation of any water quality
requirement of that jurisdiction, it may
notify the EPA and the federal licensing
or permitting agency of its objection to
the license or permit. Id. It may also
request a hearing on its objection with
the federal licensing or permitting
agency. At the hearing, the EPA will
submit its evaluation and
recommendations. The federal agency
will consider the jurisdiction’s and the
EPA’s recommendations, and any
additional evidence presented at the
hearing. The federal agency ‘‘shall
condition such license or permit in such
manner as may be necessary to insure
compliance with the applicable water
quality requirements’’ of the
neighboring jurisdiction. Id. If the
conditions cannot ensure compliance,
the federal agency may not issue the
license or permit.
The EPA also must provide technical
assistance for section 401 certifications
upon the request of any federal or state
agency, or project proponent. Id. at
1341(b). Technical assistance might
include provision of any relevant
information on applicable effluent
limitations, standards, regulations,
requirements, or water quality criteria.
Finally, the EPA is responsible for
developing regulations and guidance to
ensure effective implementation of all
CWA programs, including section 401.
The EPA’s current water quality
certification regulations were
promulgated in 1971,13 prior to the 1972
525, 527 (1895). Examples of lands of exclusive
federal jurisdiction include Denali National Park.
13 The EPA’s existing water quality certification
regulations are found at 40 CFR part 121, 36 FR
22487 (November 25, 1971). The EPA has also
promulgated regulations addressing how 401
certification applies to the CWA section 402 NPDES
program, found at 40 CFR 124.53, 124.54, 124.55;
48 FR 14264 (April 1, 1983). This proposed rule
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amendments that enacted CWA section
401.
The EPA’s 1971 regulations were
designed to implement an earlier
version of the certification requirement
that was included in the pre-1972
version of the FWPCA. The legislative
history reveals Congress added the
certification requirement to ‘‘recognize[]
the responsibility of Federal agencies to
protect water quality whenever their
activities affect public waterways.’’ S.
Rep. No. 91–351, at 3 (1969). ‘‘In the
past, these [Federal] licenses and
permits have been granted without any
assurance that the [water quality]
standards will be met or even
considered.’’ Id. As an example, the
legislative history discusses the Atomic
Energy Commission’s failure to consider
the impact of thermal pollution on
receiving waters when evaluating ‘‘site
selection, construction, and design or
operation of nuclear powerplants.’’ Id.
Prior to 1972, the certification
provision required states to certify that
‘‘such activity will be conducted in a
manner which will not violate
applicable water quality standards.’’
Public Law 91–224, § 21(b)(1), 84 Stat.
91 (1970) (emphasis added). As
described above, the 1972 amendments
restructured the CWA and created a
framework for compliance with effluent
limitations that would be established in
discharge permits issued pursuant to the
new federal permitting program.
The 1972 amendments retained the
pre-existing water quality certification
requirements but modified the
requirements to be consistent with the
overall restructuring of the CWA so that
a water quality certification would
assure that the ‘‘discharge will comply’’
with effluent limitations and other
enumerated regulatory provisions of the
Act, and with ‘‘any other appropriate
requirement’’ of state or tribal law. 33
U.S.C. 1341(a), (d) (emphasis added).
Because the EPA’s existing certification
regulations were promulgated prior to
the 1972 CWA amendments, they
contain language from the pre-1972
FWCPA that Congress changed in those
amendments. In contrast to the language
in CWA section 401, the EPA’s existing
certification regulations direct
authorities to certify that there is
‘‘reasonable assurance that the activity
will be conducted in a manner which
will not violate applicable water quality
standards.’’ 40 CFR 121.2(a)(2)–(3)
(emphasis added). These outdated
provisions have caused confusion for
states, tribes, stakeholders, and courts
does not address the NPDES regulations, and the
Agency will make any necessary conforming
regulatory changes in a subsequent rulemaking.
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reviewing section 401 certifications, and
a primary goal for this proposal is to
update and clarify the Agency’s
regulations to ensure that they are
consistent with the CWA.
3. The EPA’s Existing Certification
Regulations
The EPA’s existing certification
regulations require certifying authorities
to act on a certification request within
a ‘‘reasonable period of time.’’ 40 CFR
121.16(b). The regulations provide that
the federal licensing or permitting
agency determines what constitutes a
‘‘reasonable period,’’ and that the period
shall generally be six months but in any
event shall not exceed one year. Id.
The existing certification regulations
also provide that certifying authorities
may waive the certification requirement
under two circumstances: First, when
the certifying authority sends written
notification expressly waiving its
authority to act on a request for
certification; and second, when the
federal licensing or permitting agency
sends written notification to the EPA
Regional Administrator that the
certifying authority failed to act on a
certification request within a reasonable
period of time after receipt of such a
request. Id. at 121.16(a)–(b). Once
waiver occurs, certification is not
required, and the federal license or
permit may be issued. 33 U.S.C. 1341(a).
When the EPA is the certifying
authority, the existing certification
regulations at 40 CFR part 121 establish
different requirements, including
specific information to be included in a
certification request and additional
procedures. When the EPA is providing
certification, the project proponent must
submit to the EPA Regional
Administrator the name and address of
the project proponent, a description of
the facility or activity and of any related
discharge into waters of the United
States, a description of the function and
operation of wastewater treatment
equipment, dates on which the activity
and associated discharge will begin and
end, and a description of the methods
to be used to monitor the quality and
characteristics of the discharge. 40 CFR
121.22. Once the request is submitted to
the EPA, the Regional Administrator
must provide public notice of the
request and an opportunity to comment,
specifically stating that ‘‘all interested
and affected parties will be given
reasonable opportunity to present
evidence and testimony at a public
hearing on the question whether to grant
or deny certification if the Regional
Administrator determines that such a
hearing is necessary or appropriate.’’ Id.
at 121.23. If, after consideration of
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relevant information, the Regional
Administrator determines that there is
‘‘reasonable assurance that the proposed
activity will not result in a violation of
applicable water quality standards,’’ the
Regional Administrator shall issue the
certification.14 Id. at 121.24.
The existing certification regulations
identify a number of requirements that
all certifying authorities must include in
a section 401 certification. Id. at 121.2.
For example, a section 401 certification
shall include the name and address of
the project proponent. Id. at 121.2(a)(2).
The certification shall also include a
statement that the certifying authority
examined the application made by the
project proponent to the federal
licensing or permitting agency and bases
its certification upon an evaluation of
the application materials which are
relevant to water quality considerations
or that it examined other information
sufficient to permit the certifying
authority to make a statement that there
is a ‘‘reasonable assurance that the
activity will be conducted in a manner
which will not violate applicable water
quality standards.’’ Id. at 121.2(a)(2)–(3).
The certification shall state ‘‘any
conditions which the certifying agency
deems necessary or desirable with
respect to the discharge of the activity,’’
and other information the certifying
authority deems appropriate.15 Id. at
121.2(a)(4)–(5).
The existing certification regulations
at 40 CFR part 121 also establish a
process for the EPA to provide
neighboring jurisdictions with an
opportunity to comment on a
certification that is similar to that
provided in the modern CWA section
401(a)(2). Under the existing
certification regulations, the Regional
Administrator is required to review the
federal license or permit application,
the certification, and any supplemental
information provided to the EPA by the
federal licensing or permitting agency,
and if the Regional Administrator
determines there is ‘‘reason to believe
that a discharge may affect the quality
of the waters of any State or States other
than the State in which the discharge
originates,’’ the Regional Administrator
is required to notify each affected state
within thirty days of receipt of the
application materials and certification.
Id. at 121.13. If the documents provided
are insufficient to make the
14 Use of the terms ‘‘reasonable assurance’’ and
‘‘activity’’ in this operative provision of the EPA’s
existing certification regulation is an artifact of the
pre-1972 statutory language and those terms are not
used in the operative provision of CWA section 401.
See Public Law 91–224, 21(b)(1), 84 Stat. 91 (1970).
15 The term ‘‘desirable’’ is also not used in CWA
section 401.
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determination, the Regional
Administrator may request any
supplemental information ‘‘as may be
required to make the determination.’’ Id.
at 121.12. In cases where the federal
licensing or permitting agency holds a
public hearing on the objection raised
by a neighboring jurisdiction, notice of
such objection shall be forwarded to the
Regional Administrator by the licensing
or permitting agency no later than 30
days prior to the hearing. Id. at 121.15.
At the hearing the Regional
Administrator shall submit an
evaluation and ‘‘recommendations as to
whether and under what conditions the
license or permit should be issued.’’ Id.
at 121.15.
The existing certification regulations
establish that the Regional
Administrator ‘‘may, and upon request
shall’’ provide federal licensing and
permitting agencies, certifying
authorities, and project proponents with
information regarding water quality
standards, status of compliance by
dischargers with the conditions and
requirements of applicable water quality
standards. Id. at 121.30.
Finally, the existing certification
regulations establish an oversight role
for the EPA when a certifying authority
modifies a prior certification. The
regulation provides for a certifying
authority to modify its certification ‘‘in
such manner as may be agreed upon by
the certifying agency, the licensing or
permitting agency, and the Regional
Administrator.’’ Id. at 121.2(b)
(emphasis added).
As noted throughout this preamble,
the EPA’s existing certification
regulations were promulgated prior to
the 1972 CWA amendments and they do
not reflect the current statutory language
in section 401. In addition, the EPA’s
existing certification regulations at 40
CFR part 121 do not address some
important procedural and substantive
components of section 401 certification
review and action. This proposal is
intended to modernize the EPA’s
regulations, align them with the current
text and structure of the CWA, and
provide additional regulatory
procedures that the Agency believes
will help promote consistent
implementation of section 401 and
streamline federal license and permit
processes, consistent with the objectives
of the Executive Order.
4. Judicial Interpretations of Section 401
During the 47 years since its passage,
the federal courts on numerous
occasions have interpreted key
provisions of section 401. The United
States Supreme Court has twice
addressed questions related to the scope
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and triggering mechanism of section
401, and lower courts have also
addressed certain elements of section
401 certifications. This section
summarizes the U.S. Supreme Court
decisions and major lower court
decisions.
a. U.S. Supreme Court Decisions
i. P.U.D. No. 1 of Jefferson County
In 1994, the Supreme Court reviewed
a water quality certification issued by
the State of Washington for a new
hydroelectric project on the Dosewallips
River. See PUD No. 1 of Jefferson
County and City of Tacoma v.
Washington Department of Ecology, 511
U.S. 700 (1994) (PUD No. 1). This
particular decision, though narrow in its
holding, has been read by other courts
as well as the EPA and some states and
tribes to significantly broaden the scope
of section 401 beyond its plain language
meaning.
The principal dispute adjudicated in
PUD No. 1 was whether a state or tribe
may require a minimum stream flow as
a condition in a certification issued
under section 401. In this case, the
project proponent identified two
potential discharges from its proposed
hydroelectric facility: ‘‘the release of
dredged and fill material during
construction of the project, and the
discharge of water at the end of the
tailrace after the water has been used to
generate electricity.’’ Id at 711. The
project proponent argued that the
minimum stream flow condition was
unrelated to these discharges and
therefore beyond the scope of the state’s
authority under section 401. Id.
The Court analyzed sections 401(a)
and 401(d); specifically it analyzed the
use of different terms in those sections
of the statute to inform the scope of a
section 401 certification. Section 401(a)
requires the certifying authority to
certify that the discharge from a
proposed federally licensed or
permitted project will comply with
enumerated CWA provisions, and
section 401(d) allows the certifying
authority to include conditions to assure
that the applicant will comply with
enumerated CWA provisions and ‘‘other
appropriate state law requirements.’’
The Court concluded that, consistent
with the EPA’s implementing
regulations, section 401(d) ‘‘is most
reasonably read as authorizing
additional conditions and limitations on
the activity as a whole once the
threshold condition, the existence of a
discharge, is satisfied.’’ 16 Id. at 712. The
16 The
Court apparently failed to identify or
understand that the EPA’s regulations were
promulgated prior to the 1972 CWA amendments
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Court cited the EPA’s certification
regulations at 40 CFR 121.2(a)(3) with
approval and quoted the EPA’s guidance
titled Wetlands and 401 Certification,
and stated that ‘‘EPA’s conclusion that
activities—not merely discharges—must
comply with state water quality
standards is a reasonable interpretation
of § 401 and is entitled to deference.’’ Id.
(citing EPA, Wetlands and 401
Certification 23 (April 1989)).
The Court was careful to note that a
state’s authority to condition a
certification ‘‘is not unbounded’’ and
that states ‘‘can only ensure that the
project complies with ‘any applicable
effluent limitations and other
limitations, under [33 U.S.C. 1311,
1312]’ or certain other provisions of the
Act, ‘and with any other appropriate
requirement of State Law.’ ’’ Id. The
Court concluded that ‘‘state water
quality standards adopted pursuant to
§ 303 are among the ‘other limitations’
with which a State may ensure
compliance through the § 401
certification process’’ and noted that its
view ‘‘is consistent with EPA’s view of
the statute,’’ again citing the EPA’s
regulations and guidance. Id. at 713.
Although this decision has been
interpreted by some to broadly expand
state authority under section 401—
beyond assessing water quality impacts
from the discharge and allowing
conditions beyond the enumerated
CWA provisions—the Court did not
stray from the bedrock principles that a
section 401 certification must address
water quality and that appropriate
conditions include those necessary to
assure compliance with the state’s water
quality standards. Indeed, referring to
the section 401 language allowing
certification conditions based on ‘‘any
other appropriate requirements of state
law,’’ the Court explicitly declined to
speculate ‘‘on what additional state
laws, if any, might be incorporated by
this language. But at a minimum,
limitations imposed pursuant to state
water quality standards adopted
pursuant to § 303 are appropriate
requirements of state law.’’ Id.
(emphasis added).
On the scope of section 401, the
dissenting opinion would have declined
to adopt the interpretation suggested by
the EPA’s regulations and guidance and
instead analyzed the statutory section as
a whole, attempting to harmonize
sections 401(a) and (d). The dissent first
noted that, if the Court’s conclusion that
states can impose conditions unrelated
and that the exact provision the Court was
analyzing contained outdated terminology,
including the term ‘‘activity’’ from the pre-1972
versions of the Act.
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to discharges is correct, ‘‘Congress’
careful focus on discharges in
§ 401(a)(1)—the provision that describes
the scope and function of the
certification process—was wasted
effort,’’ and that the Court’s conclusion
‘‘effectively eliminates the constraints of
§ 401(a)(1).’’ Id. at 726. The dissent then
‘‘easily reconciled’’ the two provisions
by concluding that, ‘‘it is reasonable to
infer that the conditions a State is
permitted to impose on certification
must relate to the very purpose the
certification process is designed to
serve. Thus, while section 401(d)
permits a State to place conditions on a
certification to ensure compliance of
‘the applicant,’ those conditions must
still be related to discharges.’’ Id. at
726–27. The dissent further noted that
each of the CWA provisions enumerated
in section 401 ‘‘describes dischargerelated limitations’’ and therefore the
plain language of section 401(d)
supports the conclusion that
certification conditions must address
water quality concerns from the
discharge, not the proposed activity as
a whole. Id. at 727. Finally, the dissent
applied the principle ejusdem generis in
its analysis and concluded that because
‘‘other appropriate requirements of state
law’’ is included in a list of more
specific discharge-related CWA
provisions, that the ‘‘appropriate’’
requirements are ‘‘most reasonably
construed to extend only to provisions
that, like the other provisions in the list,
impose discharge-related restrictions.’’
Id. at 728.
The dissent also took issue with the
Court’s reliance, at least in part, on the
EPA’s regulations and its application of
Chevron deference in this case without
first identifying ambiguity in the statute
and, where the government apparently
did not seek deference on an
interpretation of section 401(d). Id. The
dissent noted that there was no EPA
interpretation directly addressing the
language in sections 401(a) and (d), and
that the only existing EPA regulation
that addresses conditions ‘‘speaks
exclusively in terms of limiting
discharges.’’ 17 Id. (citing 40 CFR
121.2(a)(4)).
17 The EPA’s amicus brief filed in this case did
not grapple with the language in 401(a) and (d) at
all, but primarily argued that the proposed project
had two distinct discharges (which were
undisputed) and that ‘‘both discharges could
reasonably be said to cause a violation of the State’s
water quality standards,’’ including the designated
uses and antidegradation components. Brief for the
United States as Amicus Curiae Supporting
Affirmance, at 12 n. 2 (Dec. 1993) (‘‘It is therefore
unnecessary to determine in this case whether
Congress intended by the use of the term
‘‘applicant,’’ rather than ‘‘discharge’’ in section
401(d) to grant States a broader power to condition
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The PUD No. 1 decision addressed
two other scope-related elements of
section 401: Whether certification
conditions may be designed to address
impacts to designated uses, and whether
conditions related to minimum stream
flows are appropriate under section 401.
First, the Court conducted a plain
language analysis of the CWA and
concluded that, ‘‘under the literal terms
of the statute, a project that does not
comply with a designated use of the
water does not comply with the
applicable water quality standards.’’ Id.
at 715. This means a section 401
certification may appropriately include
conditions to require compliance with
designated uses, which pursuant to the
CWA, are a component of a water
quality standard. Id. Second, the Court
acknowledged that the Federal Power
Act (FPA) empowers FERC ‘‘to issue
licenses for projects ‘necessary or
convenient . . . for the development,
transmission, and utilization of power
across, along, from, or in any of the
streams . . . over which Congress has
jurisdiction,’’’ and that the FPA
‘‘requires FERC to consider a project’s
effect on fish and wildlife.’’ Id. at 722.
Although the Court had previously
rejected a state’s minimum stream flow
requirement that conflicted with a
stream flow requirement in a FERC
license, the Court found no similar
conflict in this case because FERC had
not yet issued the hydropower license.
Id. Given the breadth of federal permits
that CWA section 401 applies to, the
Court declined to assert a broad
limitation on stream flow conditions in
certifications but concluded they may
be appropriate if necessary to enforce a
state’s water quality standard, including
designated uses. Id. at 723.
ii. S.D. Warren
In 2006, the Court revisited section
401 in connection with the State of
Maine’s water quality certification of
FERC license renewals for five
hydroelectric dams on the Presumpscot
River. S.D. Warren Co. v. Maine Board
of Environmental Protection et al., 547
U.S. 370 (2006) (S.D. Warren). The issue
presented in S.D. Warren was whether
operation of a dam may result in a
‘‘discharge’’ into the waters of the
United States, triggering the need for a
section 401 certification, even if the
discharge did not add any pollutants.
The Court analyzed the use of different
certifications under Section 401(d) than to deny
them under Section 401(a) and, if so, whether there
are limitations on the States’ authority to impose
such conditions.’’ The EPA’s amicus brief also did
not inform the Court that the Agency’s
implementing regulations included language from
the prior version of the Act.
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terms—‘‘discharge’’ and ‘‘discharge of
pollutants’’—within the CWA, how
those terms are defined and how they
are used in CWA sections 401 and 402.
The Court noted that section 402
expressly uses the term ‘‘discharge of
pollutants’’ and requires permits for
such discharges; and that section 401,
by contrast, provides a tool for states to
maintain water quality within their
jurisdiction and uses the term
‘‘discharge’’ which is not independently
defined in the Act.18 Finding no specific
definition of the term ‘‘discharge’’ in the
statute, the Court turned to its common
dictionary meaning: A ‘‘flowing or
issuing out’’ and concluded that the
term is ‘‘presumably broader’’ than
‘‘discharge of a pollutant.’’ Id. at 375–
76.
The Court held that operating a dam
‘‘does raise the potential for a
discharge’’ and, therefore, section 401 is
triggered. Id. at 373. In so holding, the
Court observed that, ‘‘[t]he alteration of
water quality as thus defined is a risk
inherent in limiting river flow and
releasing water through turbines,’’ and
such changes in a river ‘‘fall within a
State’s legitimate legislative business,
and the Clean Water Act provides for a
system that respects the State’s
concerns.’’ Id. at 385–86. The Court
concluded by observing that ‘‘[s]tate
certifications under [section] 401 are
essential in the scheme to preserve state
authority to address the broad range of
pollution.’’ Id. at 386. This sentence
when read in isolation could be
interpreted as broadening the scope of
section 401 to allow certifying
authorities to consider potential
environmental impacts from a proposed
federally licensed or permitted project
beyond water quality. However, the
Court followed that sentence with a
quote from Senator Muskie’s floor
statement during the enactment of
section 401:
No polluter will be able to hide behind a
Federal license or permit as an excuse for a
violation of water quality standard[s]. No
polluter will be able to make major
investments in facilities under a Federal
license or permit without providing
assurance that the facility will comply with
water quality standards. No State water
pollution control agency will be confronted
with a fait accompli by an industry that has
built a plant without consideration of water
quality requirements.
Id. (emphasis added). The Court then
stated, ‘‘These are the very reasons that
Congress provided the States with
18 The Court noted that the Act provides, that
‘‘the term ‘discharge’ when used without
qualification incudes a discharge of a pollutant, and
a discharge of pollutants.’’ 547 U.S. at 375 (quoting
33 U.S.C. 1362(16)).
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power to enforce ‘any other appropriate
requirement of State law,’ by imposing
conditions on federal licenses for
activities that may result in a
discharge.’’ Id. (emphasis added). Read
in context, the Court’s statement about
a state’s authority to address a ‘‘broad
range of pollution’’ under section 401
does not suggest that an ‘‘appropriate
requirement of State law’’ means
anything other than water quality
requirements or that a state’s or tribe’s
action on a certification request can be
focused on anything other than
compliance with appropriate water
quality requirements.
b. Circuit Court Decisions
Over the years, federal appellate
courts have also addressed important
aspects of section 401, including the
timing for certifying authorities to act on
a request and the scope of authority of
federal agencies other than the EPA to
make determinations on section 401
certifications. This section highlights a
few of the most significant issues
concerning section 401 and the most
often cited decisions but does not cover
the universe of lower federal court or
state court case law. The Agency
intends for this proposed rule, if
finalized, to provide consistency and
certainty where there may currently be
conflicting or unclear but locally
binding legal precedent.
Recent case law has provided insight
concerning the timing and waiver
provisions of section 401. In 2018, the
Second Circuit addressed the question
of when the statutory review clock
begins. N.Y. State Dep’t of Envtl.
Conservation v. FERC, 884 F.3d 450,
455–56 (2d Cir. 2018). Considering
Millennium Pipeline Company’s
certification request, the court disagreed
with the State of New York and held
that the statutory time limit is not
triggered when a state determines that a
request for certification is ‘‘complete,’’
but that the ‘‘plain language of Section
401 outlines a bright-line rule regarding
the beginning of review,’’ and that the
clock begins upon ‘‘receipt of such
request’’ by the certifying authority. Id.
Otherwise, the court noted that states
could ‘‘blur this bright-line into a
subjective standard, dictating that
applications are complete only when
state agencies decide that they have all
the information they need. The state
agencies could thus theoretically
request supplemental information
indefinitely.’’ Id. at 456.
The D.C. Circuit has also recently
analyzed the statutory timeline for
review of a certification and held that,
consistent with the plain language of
CWA section 401(a)(1), ‘‘while a full
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year is the absolute maximum, [the
statute] does not preclude a finding of
waiver prior to the passage of a full
year.’’ Hoopa Valley Tribe v. FERC, 913
F.3d 1099, 1104 (D.C. Cir. 2019). The
court also noted that the EPA—‘‘the
agency charged with administering the
CWA’’—has regulations that allow it to
find that a state has waived certification
of an NPDES permit application after
only six months. Id.
In Hoopa Valley Tribe, the D.C.
Circuit also held that ‘‘the withdrawaland-resubmission of water quality
certification requests does not trigger
new statutory periods of review.’’ Id. at
1101. The court found that the project
proponent and the certifying authorities
(California and Oregon) had improperly
entered into an agreement whereby the
‘‘very same’’ request for state
certification of its relicensing
application was automatically
withdrawn-and resubmitted every year
by operation of ‘‘the same one-page
letter,’’ submitted to the states before the
statute’s one-year waiver deadline. Id. at
1104. The court observed that
‘‘[d]etermining the effectiveness of such
a withdrawal-and-resubmission scheme
is an undemanding inquiry’’ because the
statute’s text ‘‘is clear’’ that failure or
refusal to act on a request for
certification within a reasonable period
of time, not to exceed one year, waives
the state’s ability to certify.19 Id. at 1103.
The court found that, pursuant to the
unlawful withdrawal-and resubmission
‘‘scheme,’’ the states had not yet
rendered a certification decision ‘‘more
than a decade’’ after the initial request
was submitted to the states. Id. at 1104.
The court declined to ‘‘resolve the
legitimacy’’ of an alternative
arrangement whereby an applicant may
actually submit a new request in place
of the old one. Id. Nor did it determine
‘‘how different a request must be to
constitute a ‘new request’ such that it
restarts the one-year clock.’’ Id. On the
facts before it, the court found that
‘‘California’s and Oregon’s deliberate
and contractual idleness’’ defied the
statute’s one-year limitation and
‘‘usurp[ed] FERC’s control over whether
and when a federal license will issue.’’
Id.
Another important area of case law
deals with the scope of authority and
19 Two decisions from the Second Circuit Court
of Appeals recently acknowledged that project
proponents have withdrawn and resubmitted
certification requests to extend the reasonable time
period for a state to review. See N.Y. State Dep’t
of Envtl. Conservation v. FERC, 884 F.3d at 456;
Constitution Pipeline v. N.Y. State Dep’t of Envtl.
Conservation, 868 F.3d 87, 94 (2d Cir. 2018).
However, in neither case did the court consider the
merits or opine on the legality of such an
arrangement.
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deference provided to federal agencies
other than the EPA in addressing issues
arising under section 401. Many other
federal agencies, including FERC and
the Corps, routinely issue licenses and
permits that require section 401
certifications and are responsible for
enforcing state certification conditions
that are incorporated into federal
licenses and permits. However, because
the EPA has been charged by Congress
with administering the CWA, some
courts have concluded that those other
federal agencies are not entitled to
deference on their interpretations of
section 401. See Alabama Rivers
Alliance v. FERC, 325 F.3d 290, 296–97
(D.C. Cir. 2002); California Trout, Inc. v.
FERC, 313 F.3d 1131, 1133–34 (9th Cir.
2002); American Rivers, Inc. v. FERC,
129 F.3d 99, 107 (2d. Cir. 1997). Other
courts have concluded that FERC has an
affirmative obligation to determine
whether a certifying authority has
complied with requirements related to a
section 401 certification. See City of
Tacoma v. FERC, 460 F.3d 53, 67–68
(D.C. Cir. 2006) (FERC had an obligation
to ‘‘obtain some minimal confirmation
of such compliance.’’); see also Keating
v. FERC, 927 F.2d 616, 622–623, 625
(D.C. Cir. 1991) (while federal agency
may not question propriety of state
certification before license has issued,
‘‘FERC must at least decide whether the
state’s assertion of revocation satisfies
section 401(a)(3)’s predicate
requirements.’’).
In an important determination of
procedural authorities, the Second
Circuit affirmed that FERC—as the
licensing agency—‘‘may determine
whether the proper state has issued the
certification or whether a state has
issued a certification within the
prescribed period.’’ Am. Rivers, Inc.,
129 F.3d at 110–111. This holding is
consistent with and supported by the
implied statutory authority of a federal
agency to establish the ‘‘reasonable
period of time (which shall not exceed
one year)’’ in the first place. 33 U.S.C.
1341(a)(1).
Case law also highlights the potential
enforcement challenges that federal
agencies face with section 401
certification conditions included in
federal licenses and permits. Federal
agencies have been admonished not to
‘‘second guess’’ a state’s water quality
certification or its conditions, see, e.g.,
City of Tacoma, 460 F.3d at 67; Am.
Rivers Inc., 129 F.3d at 107; U.S. Dept.
of Interior v. FERC, 952 F.2d 538, 548
(D.C. Cir. 1992) (‘‘FERC may not alter or
reject conditions imposed by the states
through section 401 certificates.’’), even
where the federal agency has attempted
to impose conditions that are more
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stringent than the state’s condition. See
Sierra Club v. U.S. Army Corps of
Engineers, 909 F.3d 635, 648 (4th Cir.
2018) (‘‘the plain language of the Clean
Water Act does not authorize the Corps
to replace a state condition with a
meaningfully different alternative
condition, even if the Corps reasonably
determines that the alternative
condition is more protective of water
quality’’); see also Lake Carriers’
Association v. EPA, 652 F.3d 1, 6, 12
(D.C. Cir. 2011) (concluding that
petitioners’ request for additional notice
and comment procedure on state
certification conditions would have
been futile because ‘‘the petitioners
have failed to establish that EPA can
alter or reject state certification
conditions. . . .’’ But the court also
observed, ‘‘[n]otably, the petitioners
never argued that the certifications
failed to ‘compl[y] with the terms of
section 401,’ . . . by overstepping
traditional bounds of state authority to
regulate interstate commerce’’ (citing
City of Tacoma, 460 F.3d at 67) and the
court ‘‘therefore need not consider
whether EPA has authority to reject
state conditions under such
circumstances.’’)). But in Snoqualmie
Indian Tribe v. FERC, the Ninth Circuit
upheld FERC’s inclusion of minimum
flow requirements greater than those
specified in the State of Washington’s
certification as long as they ‘‘do not
conflict with or weaken the protections
provided by the [State] certification.’’
545 F.3d 1207, 1219 (9th Cir. 2008). In
that case, FERC had added license
conditions increasing the minimum
flows specified in the state’s
certification in order to ‘‘produce a great
amount of mist’’ which it determined
would ‘‘augment the Tribe’s religious
experience,’’ one of the water’s
designated uses. Id.; see also cases
discussed at section III.F in this
preamble affirming a role for federal
agencies to confirm whether
certifications comply with the
requirements of section 401.
This proposal is intended to provide
clarity to certifying authorities, federal
agencies, and project proponents, as it
addresses comprehensively and for the
first time some competing case law and
attempts to clarify the scope of
conditions that may be included in a
certification and the federal agencies’
role in the certification process.
5. Administrative Law Principles
To understand the full context and
legal basis for this proposal, it is useful
to understand some key governing
principles of administrative law. In
general, administrative agencies can
only exercise authority provided by
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Congress, and courts must enforce
unambiguous terms that clearly express
congressional intent. However, when
Congress delegates authority to
administrative agencies, it sometimes
enacts ambiguous statutory provisions.
To carry out their congressionally
authorized missions, agencies,
including the EPA, must often interpret
ambiguous statutory terms. However,
they must do so consistent with
congressional intent. In Chevron,
U.S.A., Inc. v. Natural Resources
Defense Council, Inc., 467 U.S. 837
(1984) (Chevron), the Supreme Court
concluded that courts have a limited
role when reviewing agency
interpretations of ambiguous statutory
terms. In such cases, reviewing courts
defer to an agency’s interpretation of
ambiguous terms if the agency’s
interpretation is reasonable. Under
Chevron, federal agencies—not federal
courts—are charged in the first instance
with resolving statutory ambiguities to
implement delegated authority from
Congress.
The Supreme Court has described the
Chevron analysis as a ‘‘two-step’’
process. Encino Motorcars, LLC v.
Navarro, 136 S. Ct. 2117, 2124 (2016).
At step one, the reviewing court
determines whether Congress has
‘‘directly spoken to the precise question
at issue.’’ Chevron, 467 U.S. at 842. If so,
‘‘that is the end of the matter; for the
court, as well as the agency, must give
effect to the unambiguously expressed
intent of Congress.’’ Id. at 842–43. If the
statute is silent or ambiguous, the
reviewing court proceeds to the second
step, where the court must defer to the
agency’s ‘‘reasonable’’ interpretation. Id.
at 844.
Chevron deference relies on the
straightforward principle that, ‘‘when
Congress grants an agency the authority
to administer a statute by issuing
regulations with the force of law, it
presumes the agency will use that
authority to resolve ambiguities in the
statutory scheme.’’ Encino Motorcars,
136 S. Ct. at 2125 (citing Chevron, 467
U.S. at 843–44). Indeed, courts have
applied Chevron deference to an
agency’s statutory interpretation ‘‘when
it appears that Congress delegated
authority to the agency generally to
make rules carrying the force of law,
and that the agency interpretation
claiming deference was promulgated in
the exercise of that authority.’’ Mayo
Found. for Medical Educ. and Res. v.
United States, 562 U.S. 44, 45 (2011)
(quoting United States v. Mead Corp.,
533 U.S. 218, 226–27 (2001)).
In Chevron, the Supreme Court
reviewed the EPA’s interpretation of
statutory language from the Clean Air
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Act Amendments of 1977. Congress
amended the Clean Air Act to impose
requirements on states that had not
achieved the national air quality
standards promulgated by the EPA.
States that had not attained the
established air standards had to
implement a permit program that would
regulate ‘‘new or modified major
stationary sources’’ of air pollution.
Clean Air Act Amendments of 1977,
Public Law 95–95, 91 Stat. 685 (1977).
The EPA promulgated regulations
defining a ‘‘stationary source’’ as the
entire plant where pollutant-producing
structures may be located. The EPA,
therefore, treated numerous pollutionproducing structures collectively as a
single ‘‘stationary source,’’ even if those
structures were part of the same larger
facility or complex. See 40 CFR
51.18(j)(1)(i)–(ii) (1983). Under the
EPA’s regulation, a facility could modify
or construct new pollution-emitting
structures as long as the stationary
source—the facility as a whole—did not
increase its pollution emissions.
The Natural Resources Defense
Council (NRDC) opposed the EPA’s
definition of ‘‘stationary source’’ and
filed a challenge to the Agency’s
regulations. The D.C. Circuit agreed
with the NRDC and set aside the EPA’s
regulations. The D.C. Circuit
acknowledged that the Clean Air Act
‘‘does not explicitly define what
Congress envisioned as a ‘stationary
source,’ to which the permit program
. . . should apply’’ and also concluded
that Congress had not clearly addressed
the issue in the legislative history.
NRDC v. Gorsuch, 685 F.2d 718, 723
(D.C. Cir. 1982). Without clear text or
intent from Congress, the D.C. Circuit
looked to the purposes of the program
to guide the court’s interpretation. Id. at
726. According to the court, Congress
sought to improve air quality when it
amended the Clean Air Act, and the
EPA’s definition of ‘‘stationary source’’
merely promoted the maintenance of
current air quality standards.
In a unanimous decision, the
Supreme Court reversed, finding that
the D.C. Circuit committed a ‘‘basic
legal error’’ by adopting ‘‘a static
judicial definition of the term
‘stationary source’ when it had decided
that Congress itself had not commanded
that decision.’’ Chevron, 467 U.S. at 842.
The Court explained that it is not the
judiciary’s place to establish a
controlling interpretation of a statute
delegating authority to an agency, but,
rather, it is the agency’s job to ‘‘fill any
gap left, implicitly or explicitly, by
Congress.’’ Id. at 843. When Congress
expressly delegates to an administrative
agency the authority to interpret a
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statute through regulation, courts cannot
substitute their own interpretation of
the statute when the agency has
provided a reasonable construction of
the statute. See id. at 843–44.
During the rulemaking process, the
EPA had explained that Congress had
not fully addressed the definition of
‘‘source’’ in the amendments to the
Clean Air Act or in the legislative
history. Id. at 858. The Supreme Court
agreed, concluding that ‘‘the language of
[the statute] simply does not compel any
given interpretation of the term
‘source.’ ’’ Id. at 860. And the legislative
history associated with the amendments
was ‘‘silent on the precise issue.’’ Id. at
862.
In its proposed and final rulemaking,
the EPA noted that adopting an
individualized equipment definition of
‘‘source’’ could disincentivize the
modernization of plants, if industry had
to go through the permitting process to
create changes. Id. at 858. The EPA
believed that adopting a plant-wide
definition of ‘‘source’’ could result in
reduced pollution emissions. Id.
Considering the Clean Air Act’s
competing objectives of permitting
economic growth and reducing
pollution emissions, the Supreme Court
stated that ‘‘the plantwide definition is
fully consistent with one of those
concerns—the allowance of reasonable
economic growth—and, whether or not
we believe it most effectively
implements the other, we must
recognize that the EPA has advanced a
reasonable explanation for its
conclusion that the regulations serve the
environmental objectives as well.’’ Id. at
863. The Court upheld the EPA’s
definition of the term ‘‘stationary
source,’’ explaining that ‘‘the
Administrator’s interpretation
represents a reasonable accommodation
of manifestly competing interests and is
entitled to deference: The regulatory
scheme is technical and complex, the
agency considered the matter in a
detailed and reasoned fashion, and the
decision involves reconciling
conflicting policies.’’ Id. at 865.20
Even if a court has ruled on the
interpretation of a statute, the ‘‘court’s
prior judicial construction of a statute
20 For other instructive applications of Chevron’s
interpretative principles, see Entergy Corp. v.
Riverkeeper, Inc. 556 U.S. 208, 222–223 (2009)
(statutory silence interpreted as ‘‘nothing more than
a refusal to tie the agency’s hands’’); Zuni Pub.
School Dist. v. Dep’t of Edu. 550 U.S. 81, 89–94
(2007) (court considered whether agency’s
interpretation was reasonable in light of the ‘‘plain
language of the statute’’ as well as the statute’s
‘‘background and basic purposes’’); Healthkeepers,
Inc. v. Richmond Ambulance Auth., 642 F.3d 466,
471 (4th Cir. 2011) (‘‘statutory construction . . . is
a holistic endeavor’’).
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trumps an agency construction
otherwise entitled to Chevron deference
only if the prior court decision holds
that its construction follows from the
unambiguous terms of the statute and
thus leaves no room for agency
discretion.’’ Nat’l Cable & Telecomm.
Ass’n v. Brand X Internet Serv., 545 U.S.
967, 982 (2005) (emphasis added). Put
another way, Brand X held that ‘‘a
court’s choice of one reasonable reading
of an ambiguous statute does not
preclude an implementing agency from
later adopting a different reasonable
interpretation.’’ United States v. Eurodif
S.A., 555 U.S. 305, 315 (2009). This
principle stems from Chevron itself,
which ‘‘established a ‘presumption that
Congress, when it left ambiguity in a
statute meant for implementation by an
agency, understood that the ambiguity
would be resolved, first and foremost,
by the agency, and desired the agency
(rather than the courts) to possess
whatever degree of discretion the
ambiguity allows.’ ’’ Brand X, 545 U.S.
at 982 (quoting Smiley v. Citibank, 517
U.S. 735, 740–41 (1996)). Indeed, even
the ‘‘initial agency interpretation is not
instantly carved in stone.’’ Chevron, 467
U.S. at 863.
In Brand X, the Federal
Communications Commission (FCC or
Commission) interpreted the scope of
the Communications Act of 1934, which
subjects providers of
‘‘telecommunications service’’ to
mandatory common-carrier regulations.
Brand X, 545 U.S. at 977–78. Brand X
internet Services challenged the FCC’s
interpretation, and the Ninth Circuit
concluded that the Commission could
not permissibly construe the
Communications Act the way that it did
based on the Court’s earlier precedent.
Id. at 979–80. The Supreme Court
granted certiorari and reversed. The
Supreme Court upheld the FCC’s
interpretation of the Communications
Act by applying Chevron’s two-step
analysis. The Court found that the
relevant statutory provisions failed to
unambiguously foreclose the
Commission’s interpretation, while
other provisions were silent. The FCC
had ‘‘discretion to fill the consequent
statutory gap,’’ and its construction was
reasonable. Id. at 997.
The entire ‘‘point of Chevron is to
leave the discretion provided by the
ambiguities of a statute with the
implementing agencies.’’ Id. at 981
(quoting Smiley, 517 U.S. at 742). The
Supreme Court emphasized that courts
cannot override an agency’s
interpretation of an ambiguous statute
based on judicial precedent. Id. at 982.
Instead, as a ‘‘better rule,’’ a reviewing
court only can rely on precedent that
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44093
interprets a statute at ‘‘Chevron step
one.’’ Id. ‘‘Only a judicial precedent
holding that the statute unambiguously
forecloses the agency’s interpretation,
and therefore contains no gap for the
agency to fill, displaces a conflicting
agency construction.’’ Id. at 982–83. A
contrary rule produces anomalous
results because the controlling
interpretation would then turn on
whether a court or the agency interprets
the statutory provision first. See id. at
983. Congress delegated authority to
agencies to interpret statutes and that
authority ‘‘does not depend on the order
in which the judicial and administrative
constructions occur.’’ Id. Agencies have
the authority to revise ‘‘unwise judicial
constructions of ambiguous statutes.’’
Id.
6. Legal Construct for the Proposed Rule
As the preceding summary of the
statutory, regulatory and judicial history
demonstrates, the most challenging
aspects of section 401 concern the scope
of review and action on a certification
request, and the amount of time
available for a certifying authority to act.
The Agency is proposing a regulation
that would clarify these aspects and
provide additional regulatory certainty
for states, tribes, federal agencies, and
project proponents. This subsection
summarizes some of the core legal
principles that inform this proposal, and
the following section (section III)
describes how the Agency is applying
those legal principles to support the
proposed regulation.
a. Scope of Certification
The EPA has for the first time
conducted a holistic analysis of the text,
structure, and history of CWA section
401. As a result of that analysis, the EPA
proposes to interpret the scope of
section 401 as protecting the quality of
waters of the United States from point
source discharges associated with
federally licensed or permitted activities
by requiring compliance with the CWA
and EPA-approved state and tribal CWA
regulatory program provisions.
Since at least 1973, the EPA has
issued memoranda and guidance
documents and filed briefs in various
court cases addressing section 401. Only
a handful of these documents address
the scope of section 401, and they were
not the product of a holistic
examination of the statute or its
legislative history and, as a result,
included little explanation for the
Agency’s interpretations. For example,
in 1989, the EPA issued a guidance
document asserting that a section 401
certification could broadly address ‘‘all
of the potential effects of a proposed
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activity on water quality—direct and
indirect, short and long term, upstream
and downstream, construction and
operation. . . .’’ EPA, Wetlands and
401 Certification 23 (April 1989). The
EPA’s only explanation for this
assertion is a reference to section
401(a)(3), which provides that a
certification for a construction permit
may also be used for an operating
permit that requires certification. The
guidance does not provide any analysis
to support its assertion that a
certification could address all potential
impacts from the ‘‘proposed activity’’ as
opposed to the discharge. Several years
later, the United States filed an amicus
brief on behalf of the EPA in the PUD
No. 1 case. The EPA’s brief asserted that
petitioners were ‘‘mistaken’’ in their
contention that the minimum flow
condition is outside the scope of section
401 because it does not address a
discharge, but the brief provided no
analysis to support this position. The
EPA’s brief also did not offer an
affirmative interpretation to harmonize
the different language in sections 401(a)
and 401(d). More than a decade later,
the EPA’s amicus brief in the S.D.
Warren case simply adopted the
Supreme Court’s analysis in PUD No. 1
that once section 401 is triggered by a
discharge, a certification can broadly
cover impacts from the entire activity.
Finally, in 2010 the EPA issued its nowrescinded Interim Handbook which
included a number of recommendations
on scope, timing, and other issues, none
of which were supported with robust
analysis or interpretation of the Act.
This proposed rulemaking marks the
first time that the EPA has undertaken
a holistic review of the text of section
401 in the larger context of the structure
and legislative history of the 1972 Act
and earlier federal water protection
statutes and the first time the Agency
has subjected its analysis to public
notice and comment. The proposed
regulation is informed by this holistic
review and presents a framework that
EPA considers to be most consistent
with congressional intent. The Agency
solicits comments on whether the
proposed approach appropriately
captures the scope of authority for
granting, conditioning, denying, and
waiving a section 401 certification.
i. Water Quality
The EPA proposes to conclude that
the scope of a section 401 review or
action must be limited to considerations
of water quality. The Congressional
purpose of the CWA is to protect and
maintain water quality, and there is no
suggestion in either the plain language
or structure of the statute that Congress
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envisioned section 401 to authorize
action beyond that which is necessary to
address water quality directly. Indeed,
as described in greater detail above, the
1972 amendments to the CWA resulted
in the enactment of a comprehensive
scheme designed to prevent, reduce,
and eliminate pollution in the nation’s
waters generally, and to regulate the
discharge of pollutants into waters of
the United States specifically.
The EPA is aware that certifying
authorities may have previously
interpreted the scope of section 401 in
a way that resulted in the incorporation
of non-water quality related
considerations into their certification
review process. For example, certifying
authorities have included conditions
not related directly to water quality in
section 401 certifications, including
requiring construction of biking and
hiking trails, requiring one-time and
recurring payments to state agencies for
improvements or enhancements that are
unrelated to the proposed federally
licensed or permitted project, and
creating public access for fishing along
waters of the United States. Certifying
authorities have also attempted to
address all potential impacts from the
operation or subsequent use of products
generated by a proposed federally
licensed or permitted project that may
be identified in an environmental
impact statement or environmental
assessment, prepared pursuant to the
NEPA or a state law equivalent. This
includes, for example, consideration of
impacts associated with air emissions
and transportation effects.
The Agency proposes to conclude that
expanding the scope of section 401 to
include consideration of effects and the
imposition of conditions unrelated to
water quality would, at a minimum,
invoke the outer limits of power
Congress delegated under the CWA.
There is nothing in the text of the
statute or its legislative history that
signals that Congress intended to
impose federal regulations on anything
more than water quality-related impacts
to waters of the United States. Indeed,
Congress knows how to craft statutes to
require consideration of multi-media
effects, see 42 U.S.C. 4321 et seq.
(NEPA), and has enacted specific
statutes addressing impacts to air (Clean
Air Act), land (Resource Conservation
and Recovery Act), wildlife (Endangered
Species Act), and cultural resources
(National Historic Preservation Act), by
way of example.21 Subsequent
21 See, e.g., 42 U.S.C. 7401 et seq. (Clean Air Act);
42 U.S.C. 6901 et seq. (Resource Conservation and
Recovery Act); 16 U.S.C. 1531 et seq. (Endangered
Species Act); and 16 U.S.C. 470 et seq. (National
Historic Preservation Act).
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congressional action directly addressing
a particular subject is relevant to
determining whether a previously
adopted statute reaches that subject
matter. See FDA v. Brown & Williamson
Tobacco Corp., 529 U.S. 120, 155 (2000)
(determining that ‘‘actions by Congress
over the past 35 years’’ that addressed
tobacco directly, when ‘‘taken together,’’
‘‘preclude[d] an interpretation’’ that a
previously adopted statute, the Food,
Drug, and Cosmetic Act, ‘‘grant[ed] the
FDA jurisdiction to regulate tobacco
products.’’).
If Congress intended section 401 of
the CWA to authorize consideration or
the imposition of certification
conditions based on air quality
concerns, public access to waters,
energy policy, or other multi-media or
non-water quality impacts, it would
have provided a clear statement to that
effect. Neither the CWA nor section 401
contain any such clear statement. In
fact, Congress specifically contemplated
a broader policy direction in the 1972
amendments that would have
authorized the EPA to address impacts
to land, air and water through
implementation of the CWA, but it was
rejected.22 Agencies must avoid
interpretations of the statutes they
implement to avoid pressing the
envelope of constitutional validity
absent a clear statement from Congress
to do so. See SWANCC, 531 U.S. at 172–
73; Rapanos, 547 U.S. at 738 (Scalia, J.,
plurality). That includes interpretations
of the statute that would provide states,
tribes and the EPA the ability to regulate
interstate commerce beyond the four
corners of the CWA. See discussion
supra at section II.F.1 in this preamble.
The Agency proposes to conclude that
inclusion of the phrase ‘‘other
appropriate requirements of state law’’
in section 401(d) lacks that clear
direction from Congress.23
Pursuant to the plain language of
section 401, when a state or authorized
tribe (and in some cases, the EPA) issues
22 As Congress drafted the 1972 CWA
amendments, the House bill (H.R. 11896) included
section 101(g) within its ‘‘Declaration of Goals and
Policy’’ providing, ‘‘(g) In the implementation of
this Act, agencies responsible therefor shall
consider all potential impacts relating to the water,
land, and air to insure that other significant
environmental degradation and damage to the
health and welfare of man does not result.’’ H.R.
11896, 92nd Cong. (1971). Section 101(g) of the
House bill was ‘‘eliminated’’ at conference, and the
Act was ultimately passed with no federal policy,
goal or directive to address non-water quality
impacts through the CWA. S. Rep. 92–1236, at 100
(1972) (Conf. Rep.).
23 The Agency also proposes to conclude that the
use of the term ‘‘applicant’’ in 401(d) creates
ambiguity in the statute. See section II.F.6.a.ii in
this preamble for discussion on the use of the term
‘‘applicant’’ in section 401(d).
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a certification, it has determined that
the discharge to waters of the United
States from a proposed federally
licensed or permitted activity will
comply with applicable effluent
limitations for new and existing sources
(CWA sections 301, 302 and 306), water
quality standards and implementation
plans (section 303), toxic pretreatment
effluent standards (section 307), and
other ‘‘appropriate requirements’’ of
state or tribal law. 33 U.S.C. 1341(a)(1),
(d). The enumerated CWA provisions
identify requirements to ensure that
discharges of pollutants do not degrade
water quality,24 and specifically
referenced throughout section 401 is the
requirement to ensure compliance with
‘‘applicable effluent limitations’’ and
‘‘water quality requirements,’’
underscoring the focused intent of this
provision on the protection of water
quality from discharges.25 See 33 U.S.C.
1341(a), (b), (d). The legislative history
for the Act provides further support for
the EPA’s interpretation, as it frequently
notes the focus of the section is on
assuring compliance with water quality
requirements and water quality
standards and the elimination of any
discharges of pollutants. See e.g., S.
Rep. No. 92–414, at 69 (1971).
The CWA does not define what is an
‘‘appropriate requirement’’ of state law
that should be considered as part of a
section 401 review, and the Agency
acknowledges the need to respect the
clear policy direction from Congress to
recognize and preserve state authority
over land and water resources within
their borders. See 33 U.S.C. 1251(b).
Indeed, the Agency must avoid
interpretations of the CWA that infringe
on traditional state land use planning
authority. See SWANCC, 531 U.S. at
24 For example, section 306 defines the standard
of performance for new sources of discharges as ‘‘a
standard for the control of the discharge of
pollutants which reflects the greatest degree of
effluent reduction which the Administrator
determines to be achievable through application of
best available demonstrated control technology,
processes, operating methods, or other alternatives,
including, where practicable, a standard permitting
no discharge of pollutants.’’ 33 U.S.C. 1316(a)(1).
Section 303 notes that new or revised state water
quality standards ‘‘[s]hall be such as to protect the
public health or welfare, enhance the quality of
water and serve the purposes of this chapter.’’ Id.
at 1313(c)(2)(A).
25 The term ‘‘effluent limit’’ is defined as, ‘‘any
restriction established by a State or the
Administrator on quantities, rates, and
concentrations of chemical, physical, biological,
and other constituents which are discharged from
point sources into navigable waters, the waters of
the contiguous zone, or the ocean, including
schedules of compliance[,]’’ 33 U.S.C. 1362(11); and
the CWA requires that ‘‘water quality standards’’
developed by states and tribes ‘‘consist of the
designated uses of the navigable waters involved
and the water quality criteria for such waters based
upon such uses.’’ Id. at 1313(c)(2)(A).
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172–73; Will, 491 U.S. at 65. One
potential interpretation of this clause in
section 401(d) could be to authorize the
imposition of conditions or veto
authority over a federal license or
permit based on non-water quality
related impacts if those requirements
are based on existing state law. But such
an interpretation could authorize the
EPA as a certifying authority to push the
constitutional envelope of its delegated
authority into regulatory arenas more
appropriately reserved to the states,
‘‘powers with which Congress does not
readily interfere.’’ Gregory, 501 U.S. at
461 (describing the ‘‘plain statement
rule’’).
More importantly, the Agency does
not believe that Congress intended the
phrase ‘‘any other appropriate
requirements of State law’’ to be read so
broadly. Instead, the principle ejusdem
generis helps to inform the appropriate
interpretation of the text. Under this
principle, where general words follow
an enumeration of two or more things,
they apply only to things of the same
general kind or class specifically
mentioned. See Washington State Dept.
of Social and Health Services v.
Keffeler, 537 U.S. 371, 383–85 (2003).
Here, the general term ‘‘appropriate
requirement’’ follows an enumeration of
four specific sections of the CWA that
are all focused on the protection of
water quality from point source
discharges to waters of the United
States. Given the text, structure,
purpose, and legislative history of the
CWA and section 401, the EPA proposes
to interpret ‘‘appropriate requirements’’
for section 401 certification review to
include those provisions of state or
tribal law that are EPA-approved CWA
regulatory programs that control
discharges, including provisions that are
more stringent than federal law. See S.
Rep. No. 92–414, at 69 (1971) (‘‘In
addition, this provision makes clear that
any water quality requirements
established under State law, more
stringent than those requirements
established under the Act, shall through
certification become conditions on any
Federal license or permit.’’). In this
respect, the EPA agrees with the logic of
Justice Thomas’s dissent in PUD No. 1,
wherein he concludes that ‘‘the general
reference to ‘appropriate’ requirements
of state law is most reasonably
construed to extend only to provisions
that, like other provisions in the list,
impose discharge-related restrictions.’’
PUD No. 1, 511 U.S. at 728 (Thomas, J.,
dissenting). The CWA provisions that
regulate point source discharges to
waters of the United States, and those
discharge-related restrictions referenced
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in Justice Thomas’s dissent, are the
‘‘regulatory provisions of the CWA.’’
When states or tribes enact CWA
regulatory provisions as part of a state
or tribal program, including those
designed to implement the section 402
and 404 permit programs and those that
are more stringent than federal
requirements, those provisions require
EPA approval before they become
effective for CWA purposes. Because the
EPA interprets ‘‘appropriate
requirements’’ to mean the regulatory
provisions of the CWA, it follows that
those would necessarily be EPAapproved provisions. The EPA requests
comment on whether this interpretation
is a reasonable and appropriate reading
of the statute and related legal
authorities.
ii. Activity Versus Discharge
Based on the text, structure, and
legislative history of the CWA, the EPA
proposes to conclude that a certifying
authority’s review and action under
section 401 must be limited to water
quality impacts from the potential
discharge associated with a proposed
federally licensed or permitted project.
Section 401(a) explicitly provides that
the certifying authority, described as
‘‘the State in which the discharge
originates or will originate,’’ must
certify that ‘‘any such discharge will
comply with the applicable provisions
of sections 301, 302, 303, 306 and 307
of this Act’’ (emphasis added). The
plain language of section 401(a)
therefore directs authorities to certify
that the discharge resulting from the
proposed federally licensed or
permitted project will comply with the
CWA. Section 401(d) uses different
language and allows the certifying
authority to include conditions ‘‘to
assure that any applicant 26 for a Federal
license or permit will comply’’
(emphasis added) with applicable
provisions of the CWA and other
appropriate requirements of state or
tribal law. The use of this different term
in section 401(d) creates ambiguity and
has been interpreted as broadening the
scope of section 401(a) beyond
consideration of water quality impacts
from the ‘‘discharge’’ which triggers the
certification requirement, to allow
certification conditions that address
water quality impacts from any aspect of
the construction or operation of the
activity as a whole. See PUD No. 1, 511
U.S. at 712.
26 As a matter of practice, the Corps seeks state
certification for ‘‘its own discharges of dredged or
fill material’’, ‘‘[a]lthough the Corps does not
process and issue permits for its own activities.’’ 33
CFR 336.1(a)(1).
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The ordinary meaning of the word
‘‘applicant’’ is ‘‘[o]ne who applies, as for
a job or admission.’’ See Webster’s II,
New Riverside University Dictionary
(1994). In section 401(d), this term is
used to describe the person or entity
that applied for the federal license or
permit that requires a certification. The
use of this term in section 401(d) is
consistent with the text of the CWA,
which uses the term ‘‘applicant’’
throughout to describe an individual or
entity that has applied for a grant, a
permit, or some other authorization.27
Importantly, the term is also used in
section 401(a) to identify the person
responsible for obtaining the
certification: ‘‘Any applicant for a
Federal license or permit to conduct any
activity including, but not limited to,
the construction or operation of
facilities, which may result in any
discharge into the navigable waters,
shall provide the licensing or permitting
agency a certification from the State
. . . .’’ Broadly interpreting the use of
‘‘applicant’’ in section 401(d) to
authorize certification conditions that
are unrelated to the discharge would
expand section 401 beyond the scope of
federal regulatory authority integrated
throughout the core regulatory
provisions of the modern CWA—the
ability to regulate discharges to waters
of the United States. The Agency is not
aware of any other instance that the
term ‘‘applicant’’ (or permittee or owner
or operator) as used in the CWA has
been interpreted to significantly expand
the jurisdictional scope or meaning of
the statute and believes a better
interpretation would be to align its
meaning with its plain language roots.
The Agency therefore proposes to
interpret the use of the term ‘‘applicant’’
in section 401(d), consistent with its use
in section 401(a) and other areas of the
CWA, as identifying the person or entity
responsible for obtaining and complying
with the certification and any associated
conditions. Throughout the CWA, the
term ‘‘applicant’’ is used to identify the
person or entity responsible for
compliance with the federal regulatory
provisions of the CWA, all of which
remain focused on controlling
discharges of pollutants to waters of the
27 See e.g., 33 U.S.C. 1311 (‘‘An application for an
alternative requirement under this subsection shall
not stay the applicant’s obligation to comply with
the effluent limitation guideline or categorical
pretreatment standard which is the subject of the
application.’’); id. at 1344 (‘‘Not later than the
fifteenth day after the date an applicant submits all
the information required to complete an application
for a permit under this subsection, the Secretary
shall publish the notice required by this
subsection.’’)
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United States.28 The legislative history
of section 401, discussed below,
provides additional support for this
interpretation.
Section 401 was updated as part of
the 1972 CWA amendments to reflect
the restructuring of the Act, as described
in section II.F.1 in this preamble. Two
important phrases were modified
between the 1970 and the 1972 versions
of section 401 that help inform what
Congress intended with the 1972
amendments. First, the 1970 version
provided that an authority must certify
‘‘that such activity . . . will not violate
water quality standards.’’ Public Law
91–224 § 21(b)(1) (emphasis added). The
1972 version was modified to require an
authority to certify ‘‘that any such
discharge shall comply with the
applicable provisions of [the CWA].’’ 33
U.S.C. 1341(a) (emphasis added). On its
face, this modification makes the 1972
version of section 401 consistent with
the overall framework of the amended
statutory regime, which focuses on
eliminating discharges and attaining
water quality standards.
Second, the 1972 version included
section 401(d) for the first time, which
authorizes conditions to be imposed on
a certification ‘‘to assure that any
applicant for a Federal license or permit
will comply with any applicable
effluent limitations and other
limitations, under section 301 or 302 of
this Act, standard of performance under
section 306 of this Act, or prohibition,
effluent standard, or pretreatment
standard under section 307 of this Act,
and with any other appropriate
requirement of State law set forth in
such certification . . . .’’Id. at 1341(d).
This new section also requires such
conditions to be included in the federal
license or permit.
Together, these provisions: Focus
section 401 on discharges that may
affect water quality; enumerate newlycreated federal regulatory programs with
which section 401 mandates
compliance; and require that waterquality related certification conditions
be included in federal licenses and
permits and thereby become federally
enforceable. The legislative history
describing these changes supports a
conclusion that they were made
intentionally and with the purpose of
making the new section 401 consistent
with the new framework of the Act.
Indeed, the 1971 Senate Report provides
that section 401 was ‘‘amended to
28 For example, section 404 provides that after an
applicant requests a permit, the Corps ‘‘may issue
[a] permit[ ], after notice and opportunity for
public hearings for the discharge of dredged or fill
material into the navigable waters at specified
disposal sites.’’ 33 U.S.C. 1344(a).
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assure consistency with the bill’s
changed emphasis from water quality
standards to effluent limitations based
on the elimination of any discharge of
pollutants.’’ S. Rep. No. 92–414, at 69
(1971).
The EPA previously analyzed the
modifications made to section 401
between the 1970 and 1972 Acts. See
Memorandum from Catherine A. Winer,
Attorney, EPA Office of General
Counsel, to David K. Sabock, North
Carolina Department of Natural
Resources (November 12, 1985).29 In its
analysis, the EPA characterized the
legislative history quoted above as ‘‘not
very explicit,’’ and characterized the
new section 401 language as ‘‘not
altogether clear.’’ Id. Based on this
analysis, the EPA found at that time that
‘‘the overall purpose of section 401 is
clearly ‘to assure that Federal licensing
or permitting agencies cannot override
water quality requirements’ ’’ and that
‘‘section 401 may reasonably be read as
retaining its original scope, that is,
allowing state certifications to address
any water quality standard violation
resulting from an activity for which a
certification is required, whether or not
the violation is directly caused by a
‘discharge’ in the narrow sense.’’ Id.
(citing S. Rep. No. 92–414, at 69 (1971)).
The EPA has now performed a
holistic analysis of the text and
structure of the CWA, the language of
section 401, and the amendments made
between 1970 and 1972. Based on this
review, the EPA now proposes to adopt
the reasonable interpretation that the
1972 version of section 401 made
specific changes to ensure that
discharges were controlled and in
compliance with the modern CWA
regulatory programs, and appropriate
requirements of state law implementing
the same. For the reasons noted above
in section II.F.1 in this preamble,
identifying and regulating discharges, as
opposed to managing ambient water
quality, promotes accountability and
enforcement of the Act in a way that the
1970 and earlier versions did not. The
EPA also observes that, had Congress
intended the 1972 amendments to retain
the original scope concerning the
‘‘activity,’’ it could have easily crafted
section 401(d) to authorize certification
conditions to assure that ‘‘the activity’’
would comply with the specified CWA
provisions, but it did not. Instead
Congress used the term ‘‘applicant’’
which, based upon its plain ordinary
meaning, identifies the person seeking
the certification and the related federal
29 Available at https://www.epa.gov/sites/
production/files/2015-01/documents/standardsmarinas-memo.pdf.
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license or permit. When Congress
enacted the 1972 CWA amendments, it
used the term ‘‘discharge’’ to frame the
scope of the certification requirement
under the Act. As a result, the Agency
now considers a more natural
interpretation of the 1972 amendments
to be that Congress rejected the idea that
the scope of a certifying authority’s
review or its conditions should be
defined by the term ‘‘activity.’’ Congress
specifically did not carry forward the
term ‘‘activity’’ in the operative phrase
in section 401(a) and did not
incorporate it into the new provision
authorizing certification conditions in
section 401(d). Under basic canons of
statutory construction, the EPA begins
with the presumption that Congress
chose its words intentionally. See, e.g.,
Stone v. INS, 514 U.S. 386, 397 (1995)
(‘‘When Congress acts to amend a
statute, we presume it intends its
amendment to have real and substantial
effect.’’). This is also consistent with the
dissent in PUD No. 1, wherein Justice
Thomas concluded that ‘‘[i]t is
reasonable to infer that the conditions a
State is permitted to impose on
certification must relate to the very
purpose the certification process is
designed to serve. Thus, while § 401(d)
permits a State to place conditions on a
certification to ensure compliance of the
‘applicant’[,] those conditions must still
be related to discharges.’’ PUD No. 1,
511 U.S. at 726–27 (Thomas, J.,
dissenting). The EPA proposes to
conclude that this interpretation is a
reasonable and appropriate reading of
the statute and related legal authorities
and seeks public comment on this
proposed interpretation.
As described in detail in section
II.F.4.a.i in this preamble, the Supreme
Court in PUD No. 1 considered the
scope of a state’s authority to condition
a section 401 certification and
concluded that, once the 401(a)
‘‘discharge to navigable water’’ triggers
the requirement for certification, section
401(d) authorizes a certifying authority
to impose conditions on ‘‘the
applicant,’’ meaning the activity as a
whole and not just the discharge. In its
discussion of the CWA, the Supreme
Court relied on its own interpretation of
the scope of section 401 and did not
analyze section 401 at ‘‘Chevron step
one’’ or rely on ‘‘the unambiguous
terms’’ of the CWA to support its
reading of section 401. Brand X, 545
U.S. at 982. Instead, the Court
‘‘reasonably read’’ section 401(d) ‘‘as
authorizing additional conditions and
limitations on the activity as a whole
once the threshold condition, the
existence of a discharge, is satisfied.’’
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PUD No. 1, 511 U.S. at 712 (emphasis
added).
To support what it considered to be
a reasonable reading of section 401(d),
the Court looked at the EPA’s
certification regulations at 40 CFR
121.2(a)(3) and related guidance at that
time, but did not have before it the
EPA’s interpretation of how section
401(a) and 401(d) could be harmonized.
Id. In fact, the Court either was not
aware of or did not mention that the
EPA regulations in place at that time
predated the 1972 CWA amendments
and therefore contained outdated
terminology implementing what was
functionally a different statute. As
described above, the EPA’s existing
certification regulations are consistent
with the text of the pre-1972 CWA, and
they require a state to certify that the
‘‘activity’’ will comply with the Act.
The 1972 CWA amendments changed
this language to require a state to certify
that the ‘‘discharge’’ will comply with
the Act.
Based in part on what the EPA now
recognizes was infirm footing, the Court
found that ‘‘EPA’s conclusion that
activities—not merely discharges—must
comply with state water quality
standards is a reasonable interpretation
of § 401 and is entitled to deference.’’ Id.
(emphasis added). As amicus curiae, the
federal government did not seek
Chevron ‘‘deference for the EPA’s
regulation in [the PUD No. 1 case]’’ or
for EPA’s interpretation of section 401.
Id. at 729 (Thomas, J., dissenting). In
fact, the EPA’s amicus brief did not
analyze or interpret the different
language in sections 401(a) and 401(d)
and instead asserted that it was
unnecessary to harmonize the
provisions to resolve the dispute. See
Brief for the United States as Amicus
Curiae Supporting Affirmance, at 12 n.
2. The EPA’s amicus brief asked the
Court to analyze the two undisputed
discharges from the proposed federally
licensed project and determine whether
they would cause violations of the
state’s water quality standards.
Given the circumstances of the PUD
No. 1 litigation, and the fact that the
Supreme Court did not analyze section
401 under Chevron Step 1 or rely on
unambiguous terms in the CWA to
support its own reasonable reading of
the statute, PUD No. 1 does not
foreclose the Agency’s proposed
interpretation of section 401 in this
document. See Brand X, 545 U.S. at
982–83. The Supreme Court’s ‘‘choice of
one reasonable reading’’ of section 401
does not prevent the EPA ‘‘from later
adopting a different reasonable
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interpretation.’’ 30 Eurodif S.A., 555 U.S.
at 315. An agency may engage in ‘‘a
formal adjudication or notice-andcomment rulemaking’’ to articulate its
interpretation of an ambiguous statute.
Christensen v. Harris County, 529 U.S.
576, 587 (2000). When it does, courts
apply ‘‘Chevron-style’’ deference to the
agency’s interpretation. Id. That is
exactly what the EPA is doing in this
proposal. EPA has for the first time,
holistically interpreted the text of
section 401(a) and (d) to support this
proposed update to the EPA’s existing
certification regulations while ensuring
consistency with the plain language of
the 1972 CWA. The Agency solicits
comment on its proposed interpretation
of the CWA and the prevailing case law
as discussed above in section II.F.1 and
II.F.4 in this preamble.
The Agency also solicits comment on
an alternate interpretation of the text of
section 401(d) suggested by language in
the PUD No. 1 majority opinion. At page
712, the Court observes that, ‘‘[a]lthough
401(d) authorizes the State to place
restrictions on the activity as a whole,
that authority is not unbounded.’’
(emphasis added). The Court does not
define the precise limits of State
authority under section 401(d).
However, the Court goes on to say that
‘‘[t]he State can only ensure that the
project complies with ‘any applicable
effluent limitations and other
limitations, under [33 U.S.C. 1311,
1312]’ or certain other provisions of the
Act, ‘and with any other appropriate
requirement of State law.’ 33 U.S.C.
1341(d).’’ In the previous discussion, we
explained why the most reasonable
interpretation of the ‘‘bounds’’ set by the
statutory text is that it limits the
imposition of effluent limitations,
limitations, and other certification
conditions to ‘‘the discharge,’’ and not
‘‘the activity as a whole.’’ However, EPA
is also seeking comment on an alternate
interpretation of the text that would
allow imposition of effluent limitations
and other similar conditions that
address the water quality-related effects
of ‘‘the activity as a whole,’’ and not just
‘‘the discharge,’’ provided such effluent
limitations and other conditions are
based on ‘‘water quality requirements’’
as defined in this proposal.
30 The EPA is not proposing to modify or alter the
Agency’s longstanding interpretation of the Act that
was confirmed by the Court in PUD No. 1 that ‘‘a
water quality standard must ‘consist of the
designated uses of the navigable waters involved
and the water quality criteria for such waters based
upon such uses’ ’’ and that ‘‘a project that does not
comply with the designated use of the water does
not comply with the applicable water quality
standards.’’ 511 U.S. at 714–15 (emphasis in
original).
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iii. Discharges From Point Sources to
Waters of the United States
Based on the text, structure and
purpose of the Act, the history of the
1972 CWA amendments, and supporting
case law, the EPA proposes to conclude
that a certifying authority’s review and
action under section 401 is limited to
water quality impacts to waters of the
United States resulting from a potential
point source discharge associated with a
proposed federally licensed or
permitted project. The text of section
401(a) clearly specifies that certification
is required to ‘‘conduct any activity . . .
which may result in any discharge into
the navigable waters’’ (emphasis added).
Prior interpretations extending section
401 applicability beyond such waters
conflict with and would render
meaningless the plain language of the
statute. And although the statute does
not define with specificity the meaning
of the unqualified term discharge,
interpreting section 401 to cover all
discharges without qualification would
undercut the bedrock structure of the
CWA regulatory programs which are
focused on addressing point source
discharges to waters of the United
States. CWA section 502(14) defines
point source as ‘‘any discernible,
confined and discrete conveyance,
including but not limited to any pipe,
ditch, channel, tunnel, conduit, well,
discrete fissure, container, rolling stock,
concentrated animal feeding operation,
or vessel or other floating craft, from
which pollutants are or may be
discharged.’’ 31
As described in section II.F.1 in this
preamble, the CWA is structured such
that the federal government provides
assistance, technical support, and grant
money to assist states in managing all of
the nation’s waters. By contrast, the
federal regulatory provisions, including
CWA sections 402 and 404, apply only
to point source discharges to waters of
the United States. 33 U.S.C. 1362(7).
Section 401 is the first section of Title
IV of the CWA, titled Permits and
Licenses, and it requires water qualityrelated certification conditions to be
legally binding and federally
enforceable conditions of federal
licenses and permits. Id. at 1341(d).
Similar to the section 402 and 404
permit programs, section 401 is a core
regulatory provision of the CWA.
Accordingly, the scope of its application
is most appropriately interpreted,
consistent with the other federal
31 In the section 404 context, point source
includes bulldozers, mechanized land clearing
equipment, dredging equipment, and the like. See,
e.g., Avoyelles Sportsman’s League, Inc. v. March,
715 F.2d 897, 922 (5th Cir. 1983).
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regulatory programs, as addressing point
source discharges to waters of the
United States.
The EPA is not aware of any court
decisions that have directly addressed
the scope of waters covered by section
401; however, in Oregon Natural Desert
Association v. Dombeck, the Ninth
Circuit relied on the text and structure
of section 401 to interpret the meaning
of ‘‘discharge.’’ In that case, a citizen’s
organization challenged a decision by
the U.S. Forest Service to issue a permit
to graze cattle on federal lands without
first obtaining a section 401 certification
from the state of Oregon. 172 F.3d 1092.
The government argued that a
certification was not needed because the
‘‘unqualified’’ term ‘‘discharge’’—as
used in CWA section 401—is ‘‘limited
to point sources but includes both
polluting and nonpolluting releases.’’
Id. at 1096. Finding that the 1972
amendments to the CWA ‘‘overhauled
the regulation of water quality,’’ the
court said that ‘‘[d]irect federal
regulation [under the CWA] now
focuses on reducing the level of effluent
that flows from point sources.’’ Id. The
court stated that the word ‘‘discharge’’
as used consistently in the CWA refers
to the release of effluent from a point
source. Id. at 1098. The court found that
cattle—even if they wade in a stream—
are not point sources. Id. at 1098–99.
Accordingly, the court held that
certification under section 401 was not
required. Id. at 1099.
The EPA previously suggested that
the scope of section 401 may extend to
non-point discharges to non-waters of
the United States once the requirement
for the section 401 certification is
triggered. Specifically, in the EPA’s
now-withdrawn 2010 Interim Handbook
the Agency included the following
paragraphs,
The scope of waters of the U.S. protected
under the CWA includes traditionally
navigable waters and also extends to include
territorial seas, tributaries to navigable
waters, adjacent wetlands, and other waters.
Since § 401 certification only applies where
there may be a discharge into waters of the
U.S., how states or tribes designate their own
waters does not determine whether § 401
certification is required. Note, however, that
once § 401 has been triggered due to a
potential discharge into a water of the U.S.,
additional waters may become a
consideration in the certification decision if
it is an aquatic resource addressed by ‘‘other
appropriate provisions of state [or tribal]
law.’’
* * *
Section 401 applies to any federal permit
or license for an activity that may discharge
into a water of the U.S. The Ninth Circuit
Court of Appeals ruled that the discharge
must be from a point source, and agencies in
other jurisdictions have generally adopted
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the requirement. Once these thresholds are
met, the scope of analysis and potential
conditions can be quite broad. As the U.S.
Supreme Court has held, once § 401 is
triggered, the certifying state or tribe may
consider and impose conditions on the
project activity in general, and not merely on
the discharge, if necessary to assure
compliance with the CWA and with any
other appropriate requirement of state or
tribal law.
EPA, Clean Water Act Section 401
Water Quality Certification: A Water
Quality Protection Tool for States and
Tribes, 5, 26 (2010) (citations omitted).
To support the first referenced
paragraph on the scope of waters, the
Interim Handbook cited to section
401(d), presumably referring to the use
of the term ‘‘applicant’’ rather than
‘‘discharge’’ used in section 401(a).32 To
support the second paragraph on the
scope of discharges, the Interim
Handbook cited to the PUD No. 1 and
S.D. Warren Co. Supreme Court
decisions. It appears that both
paragraphs from the Agency’s 2010
Interim Handbook relied on the PUD
No. 1 Court’s interpretation of the
ambiguity created by the different
language in sections 401(a) and
401(d).33
For many of the same reasons that the
Agency proposes to avoid interpreting
the word ‘‘applicant’’ in section 401(d)
as broadening the scope of certification
beyond the discharge itself, the Agency
also proposes to decline to interpret
section 401(d) as broadening the scope
of waters and the types of discharges to
which the CWA federal regulatory
programs apply. Were the Agency to
interpret the use in section 401(d) of the
term ‘‘applicant’’ instead of the term
‘‘discharge’’ as authorizing the federal
government to implement and enforce
CWA conditions on non-waters of the
United States, that single word
(‘‘applicant’’) would effectively broaden
the scope of the federal regulatory
programs enacted by the 1972 CWA
32 Interim Handbook, at 5 n. 23. Tellingly,
footnote 23 of the Interim Handbook also states,
‘‘Note that the Corps may consider a 401
certification as administratively denied where the
certification contains conditions that require the
Corps to take an action outside its statutory
authority or are otherwise unacceptable. See, e.g.,
RGL 92–04, ‘Section 401 Water Quality Certification
and Coastal Zone Management Act Conditions for
Nationwide Permits.’’ In other words, in this
footnote the EPA was advising states that, while
section 401(d) could perhaps be interpreted to
expand the scope of federal regulatory and
enforcement authority beyond navigable waters (but
without citation to any case law to support that
proposition), the Army Corps of Engineers may
reject a certification in its entirety that is outside
the statutory authority provided by the CWA.
33 The S.D. Warren decision did not analyze or
adopt the PUD No. 1 Court’s analysis of section
401(a) and 401(d).
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amendments beyond the limits that
Congress intended. Such an
interpretation could permit the
application of the CWA’s regulatory
programs, including section 401
certification conditions that are
enforced by federal agencies, to land
and water resources more appropriately
subject to traditional state land use
planning authority. See, e.g., SWANCC,
531 U.S. at 172–73.
As described in section II.F.4.a.i in
this preamble and pursuant to its
authority to reasonably interpret
ambiguous statutes to fill gaps left by
Congress, the EPA is proposing to
interpret section 401 differently than the
Supreme Court did in PUD No. 1. The
Court’s prior interpretation of sections
401(a) and 401(d) was not based on the
plain unambiguous text of the statute,
but rather was based on the Court’s own
reasonable interpretation (see section
II.F.4.a.i in this preamble). The EPA’s
proposed interpretation is also based on
a reasonable interpretation of the text,
structure and legislative history of
section 401 and the Agency’s current
proposal is not foreclosed by the Court’s
prior interpretation. See Brand X, 545
U.S. at 982.
For the reasons above, the EPA
proposes to conclude that section 401 is
a regulatory provision that creates
federally enforceable requirements and
its application must therefore be limited
to point source discharges to waters of
the United States. This proposed
interpretation is consistent with the text
and structure of the CWA as well as the
principal purpose of this rulemaking,
i.e., to ensure that the EPA’s regulations
(including those defining a section 401
certification’s scope) are consistent with
the current CWA. The Agency solicits
comment on this revised interpretation
of the CWA and associated case law
discussed in this section.
b. Timeline for Section 401 Certification
Analysis
Based on the language of the CWA
and relevant case law, the EPA proposes
to conclude that a certifying authority
must act on a section 401 certification
within a reasonable period of time,
which shall not exceed one year and
that there is no tolling provision to stop
the clock at any time. The Agency
requests comment on this plain
language interpretation of the statute.
The text of section 401 expressly
states that a certifying authority must
act on a section 401 certification request
within a reasonable period of time,
which shall not exceed one year. 33
U.S.C. 1341(a)(1). Importantly, the CWA
does not guarantee that a certifying
authority may take a full year to act on
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a section 401 certification request. The
certifying authority may be subject to a
shorter period of time, provided it is
reasonable. See Hoopa Valley Tribe v.
FERC, 913 F.3d 1099, 1104 (D.C. Cir.
2019) (‘‘Thus, while a full year is the
absolute maximum, it does not preclude
a finding of waiver prior to the passage
of a full year. Indeed, the [EPA]—the
agency charged with administering the
CWA—generally finds a state’s waiver
after only six months. See 40 CFR
121.16.’’). The CWA’s legislative history
indicates that inclusion of a maximum
period of time was to ‘‘insure that sheer
inactivity by the [certifying agency] will
not frustrate the Federal application.’’
H.R. Rep. No. 92–911, at 122 (1972).
The timeline for action on a section
401 certification begins upon receipt of
a certification request. Id. The CWA
does not specify any legal requirements
for what constitutes a request or
otherwise define the term. The EPA has
long recommended that a project
proponent requiring federal licenses or
permits subject to section 401
certification hold early discussions with
both the certifying authority and the
federal agency, to better understand the
certification process and potential data
needs.
The CWA does not contain provisions
for pausing or delaying the timeline for
any reason, including to request or
receive additional information from a
project proponent. If the certifying
authority has not acted on a request for
certification within the reasonable time
period, the certification requirement
will be waived by the federal licensing
and permitting agencies. For further
discussion, see section III.F in this
preamble. The proposed revisions to the
EPA’s regulations in this proposal are
intended to provide greater clarity and
certainty and address some of the delays
and confusion associated with the
timing elements of the section 401
certification process.
III. Proposed Rule
This proposed rule is intended to
make the Agency’s regulations
consistent with the current text of CWA
section 401, increase efficiencies, and
clarify aspects of CWA section 401 that
have been unclear or subject to differing
legal interpretations in the past. The
Agency proposes these revisions to
replace the entirety of the existing
certification regulations at 40 CFR part
121. The following sections explain the
Agency’s rationale for the proposed rule
and provides detailed explanation and
analysis for the substantive changes that
the Agency is proposing.
The EPA’s existing certification
regulations were issued almost 50 years
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ago in 1971, when the Agency was
newly formed and the CWA had not yet
been amended to include the material
revisions to section 401.34 In
modernizing 40 CFR part 121, this
proposal recognizes and responds to the
changes to the CWA that occurred after
the current regulations were finalized,
especially the 1972 and 1977
amendments to the CWA.
Updating the existing certification
regulations to clarify expectations,
timelines, and deliverables also
increases efficiencies. Some aspects of
the existing regulations have been
implemented differently by different
authorities, likely because the scope and
timing of review are not clearly
addressed by the EPA’s existing
certification regulations. While the EPA
recognizes that states and tribes have
broad authority to implement state and
tribal law to protect their water quality,
see 33 U.S.C. 1251(b), section 401 is a
federal regulatory program that contains
explicit limitations on when and how
states and tribes may exercise this
particular authority. Modernizing and
clarifying the EPA’s regulations will
help states, tribes, federal agencies, and
project proponents know what is
required and what to expect during a
section 401 certification process,
thereby reducing regulatory uncertainty.
The Agency requests comment on all
aspects of this effort to modernize and
clarify its section 401 regulations,
including any specific suggestions on
how any of the proposed definitions or
other requirements might be modified to
implement Congress’ intent in enacting
section 401.
The EPA’s existing certification
regulations at 40 CFR part 121 do not
fully address the public notice
requirements called for under CWA
1341(a)(1). The EPA solicits comment
on whether the Agency should include
additional procedures in its final
regulations to ensure that the public is
appropriately informed of proposed
federally licensed or permitted projects,
potential discharges, and related water
quality effects. At a minimum, such
procedures could include public notice
and hearing opportunities, but they
could also include mechanisms to
ensure that the certifying authority is in
a position to appropriately inform the
public, as required by section 401(a)(1).
Such mechanisms could focus on how
and when the certifying authority is
notified of potential certification
requests and what information may be
34 See 36 FR 22487, Nov. 25, 1971, redesignated
at 37 FR 21441, Oct. 11, 1972, further redesignated
at 44 FR 32899, June 7, 1979; Reorganization Plan
No. 3 of 1970 (creating the EPA), 84 Stat. 2086,
effective Dec. 2, 1970.
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necessary for the certifying authority to
act on a request. If the EPA were to
include such additional procedures in
its final regulations, they could be the
same as or similar to the procedures
currently proposed to apply when EPA
is the certifying authority (see proposed
sections 121.12 and 121.13). The
Agency also solicits comment on
whether it would be appropriate or
necessary to require certifying
authorities to submit their section 401
procedures and regulations to the EPA
for informational purposes.
A. When Section 401 Certification is
Required
The EPA proposes that the
requirement for a section 401
certification is triggered based on the
potential for any federally licensed or
permitted activity to result in a
discharge from a point source into
waters of the United States.35 This
proposal is consistent with the Agency’s
longstanding interpretation and is not
intended to alter the scope of
applicability established in the CWA.
Consistent with section 401(a)(1), the
EPA is proposing that:
Any applicant for a license or permit to
conduct any activity which may result in a
discharge shall provide the Federal agency a
certification from the certifying authority in
accordance with this part.
Based on the text of the statute, the
EPA proposes that section 401 is
triggered by the potential for a discharge
to occur, rather than an actual
discharge. This is different from other
parts of the Act 36 and is intended to
provide certifying authorities with a
broad opportunity to review proposed
federally licensed or permitted projects
that may result in a discharge to waters
of the United States within their
borders. This proposal does not identify
a process for certifying authorities or
35 State or tribal implementation of a license or
permit program in lieu of the federal program, such
as a CWA section 402 permit issued by an
authorized state, does not federalize the resulting
permits or licenses and therefore does not trigger
section 401 certification. This is supported by the
legislative history of CWA section 401 which noted
that ‘‘since permits granted by States under section
402 are not Federal permits—but State permits—the
certification procedures are not applicable.’’ H.R.
Rep. No. 92–911, at 127 (1972). The legislative
history of the CWA amendments of 1977,
discussing state assumption of section 404, also
noted that ‘‘[t]he conferees wish to emphasize that
such a State program is one which is established
under State law and which functions in lieu of the
Federal program. It is not a delegation of Federal
authority.’’ H.R. Rep. No. 95–830, at 104 (1977).
36 See e.g., National Pork Producers Council v.
EPA, 635 F.3d 738, 751 (5th Cir. 2011); Waterkeeper
Alliance, Inc. v. EPA, 399 F.3d 486, 505 (2d Cir.
2005) (Interpreting section 402 in the context of
CAFOs, courts said the CWA gives EPA jurisdiction
to require permits for only actual discharges).
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project proponents to determine
whether a federally licensed or
permitted project has a potential or
actual discharge. However, the EPA
observes that if a certifying authority or
project proponent determines after the
certification process is triggered that
there is no actual discharge from the
proposed federally licensed or
permitted project and no potential for a
discharge, there is no longer a need to
request certification. The EPA requests
certifying authorities and project
proponents to submit comment on prior
experiences with undertaking the
certification process and later
determining that the proposed federally
licensed or permitted project would not
result in an actual discharge. The EPA
also requests comment on whether there
are specific procedures that could be
helpful in determining whether a
proposed federally licensed or
permitted project will result in an actual
discharge. Finally, the EPA requests
comment on how project proponents
may establish for regulatory purposes
that there is no potential discharge and
therefore no requirement to pursue a
section 401 certification. This request is
intended to solicit mechanisms for
project proponents to generate a record
for themselves that no 401 certification
was required; this is not intended to
propose a process for project proponents
to seek or require concurrence from the
certifying authority.
The EPA also proposes that section
401 is triggered by a potential discharge
into a water of the United States. 33
U.S.C. 1341(a)(1), 1362(7). Potential
discharges into state or tribal waters that
are not waters of the United States do
not trigger the requirement to obtain
section 401 certification. Id. at
1342(a)(1). This interpretation flows
from the plain text of the statute, is
supported by the legislative history, and
is consistent with other CWA regulatory
program requirements that are triggered
by discharges into waters of the United
States, not state or tribal waters. Id.; see
also H.R. Rep. No. 92–911, at 124 (1972)
(‘‘It should be clearly noted that the
certifications required by section 401
are for activities which may result in
any discharge into navigable waters.’’)
(emphasis added); see also section
II.F.6.a.iii for discussion on discharges
to waters of the United States.
Unlike other CWA regulatory
programs, however, the EPA proposes
that section 401 be triggered by any
unqualified discharge, rather than by a
discharge of pollutants. This
interpretation is consistent with the text
of the statute and with U.S. Supreme
Court precedent. In S.D. Warren, the
Court considered whether discharges
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from a dam were sufficient to trigger
section 401, even if those discharges did
not add pollutants to waters of the
United States. Because section 401 uses
the term discharge but the Act does not
specifically define the term,37 the Court
applied its ordinary dictionary meaning,
‘‘flowing or issuing out.’’ S.D. Warren
Co. v. Maine Bd. of Envtl. Prot. et al.,
547 U.S. 370, 376 (2006). The Court
concluded that Congress intended this
term to be broader than the term
discharge of pollutants that is used in
other provisions of the Act, like section
402. See e.g., 33 U.S.C. 1342, 1344; S.D.
Warren Co., 547 U.S. at 380–81. For
further discussion on S.D. Warren see
section II.F.4.a.ii and for further
discussion on discharges see section
II.F.6.a.ii–iii in this preamble. The Court
held that discharges from the dam
trigger section 401 because ‘‘reading
§ 401 to give ‘discharge’ its common and
ordinary meaning preserves the state
authority apparently intended.’’ S.D.
Warren Co., 547 U.S. at 387. The EPA’s
interpretation in support of this
proposal is therefore consistent with the
Court’s conclusion.
Finally, the EPA proposes that to
trigger section 401, a discharge must be
from a point source. This is consistent
with case law from the Ninth Circuit,
which concluded that the word
‘‘discharge’’ as used consistently
throughout the CWA refers to the
release of effluent from a point source,
and that use is also appropriate for
section 401. Oregon Natural Desert
Association v. Dombeck, 172 F.3d 1092,
1099. Because this proposed
interpretation is consistent with the
structure of the Act and with the other
CWA regulatory programs (see section
II.F above), the EPA adopted the Ninth
Circuit’s interpretation and has
consistently implemented that
interpretation of section 401.38
The CWA does not list specific federal
licenses and permits that are subject to
section 401 certification requirements,
instead providing that section 401
applies when any activity that requires
a federal license or permit may result in
a discharge into waters of the United
States. The most common examples of
licenses or permits that may be subject
to section 401 certification are CWA
section 402 NPDES permits in states
where the EPA administers the
permitting program, CWA section 404
37 The Act provides, ‘‘The term ‘discharge’ when
used without qualification includes a discharge of
a pollutant, and a discharge of pollutants.’’ 33
U.S.C. 1362(16)
38 See, e.g., Briefs of the United States in ONDA
v. Dombeck, Nos. 97–3506, 97–35112, 97–35115
(9th Cir. 1997) and ONDA v. USFS, No. 08–35205
(9th Cir. 2008).
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permits for the discharge of dredged or
fill material, RHA sections 9 and 10
permits issued by the Corps, and
hydropower and interstate natural gas
pipeline licenses issued by FERC. The
Agency is not proposing to further
define this list but requests comment
identifying other federal licenses or
permits that may trigger the section 401
certification requirement.
B. Certification Request/Receipt
Under this proposal, to initiate an
action under section 401, a project
proponent must submit a certification
request to a certifying authority. The
statute limits the time for a certifying
authority to act on a request as follows:
If the State, interstate agency, or
Administrator, as the case may be, fails or
refuses to act on a request for certification,
within a reasonable period of time (which
shall not exceed one year) after receipt of
such request, the certification requirements
of this subsection shall be waived with
respect to such Federal application.
33 U.S.C. 1341(a)(1) (emphasis added).
Although the plain language of the Act
requires the reasonable period of time to
begin upon receipt of a certification
request, the statute does not define
those terms. Because they are not
defined and their precise meaning is
ambiguous, these terms are susceptible
to different interpretations, which have
resulted in inefficiencies in the
certification process, individual
certification decisions that have
extended beyond the statutory
reasonable period of time, and
regulatory uncertainty and litigation.
See section II.F in this preamble. Given
the number of certification requests
submitted each year 39 and the statutory
requirement that those requests be acted
on within a reasonable period of time
not to exceed one year, it is important
that the certifying authorities, project
proponents, and federal agencies have a
clear understanding of what the terms
‘‘request’’ and ‘‘receipt’’ mean.
The CWA does not address (and
therefore is ambiguous regarding)
whether a certification request must be
in writing, must be signed and dated, or
if it must contain specific kinds of
information. The EPA’s prior section
401 guidance (the now-withdrawn 2010
Interim Handbook) indicated that the
timeline for action begins upon receipt
of a ‘‘complete application,’’ as
determined by the certifying authority,
even though section 401 does not use
the term ‘‘complete application’’ or
prescribe what an ‘‘application’’ would
require. The reference by the EPA to a
39 See Economic Analysis for the Proposed Clean
Water Act Section 401 Rulemaking at XX.
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‘‘complete application’’ without
explaining what an ‘‘application’’ must
include has led to subjective
determinations about the sufficiency of
certification request submittals. This in
turn has caused uncertainty about when
the statutory reasonable period of time
begins to run. Certification request
requirements vary from state to state
(e.g., location maps and topographical
maps versus latitude/longitude or GPS
locations). For example, some states
have open-ended and broad submittal
requirements (e.g., ‘‘all information
concerning water resource impacts’’)
which create the potential for certifying
authorities to conclude (sometimes
repeatedly) that a submittal is
incomplete. Additionally, if a certifying
authority requires additional
information to be submitted before it
will review and act on a certification
request, it may be unclear whether the
certifying authority considers the
request to be ‘‘complete’’ and whether
the statutory clock has started to run.
Further, differences in the contents of a
request or required supporting materials
can create special challenges for project
proponents and federal agencies
working on large interstate projects that
require certification from multiple
states.
The CWA also does not define the
term ‘‘receipt,’’ which has led to
different states, tribes, and project
proponents, as well as different courts,
using different definitions. ‘‘Receipt of
the request’’ has been used alternately to
mean receipt by the certifying authority
of the request in whatever form it was
submitted by the project proponent, or
receipt of a ‘‘complete application’’ as
determined by the certifying authority
(see section II.F in this preamble). The
statute also does not specify how
requests are to be ‘‘received’’ by the
certifying authority—whether by mail,
by electronic submission, or some other
means.
As the Agency charged with
administering the CWA, the EPA is
authorized to interpret through
rulemaking undefined terms, including
those associated with CWA section 401
certifications. See Chevron, U.S.A., Inc.
v. Natural Resources Defense Council,
Inc., 467 U.S. 837, 844 (1984). To
address the particular challenges
identified above, the EPA is proposing
to define ‘‘certification request’’ and
‘‘receipt,’’ which Congress left
undefined and ambiguous. By
establishing uniform definitions for
‘‘certification request’’ and ‘‘receipt,’’
EPA hopes to eliminate confusion about
when the statutory reasonable period of
time begins and ends. See id. at 843.
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Consistent with the text of the CWA,
the EPA is proposing that the statutory
timeline for certification review starts
upon receipt by the certifying authority
of a ‘‘certification request,’’ rather than
the receipt of a ‘‘complete application’’
or ‘‘complete request’’ as determined by
the certifying authority. To increase
consistency, the EPA’s proposed
definition of ‘‘certification request’’
includes an enumerated list of
documents and information that must
be included in a certification request:
Certification request means a written,
signed, and dated communication from a
project proponent to the appropriate
certifying authority that:
1. Identifies the project proponent(s) and a
point of contact;
2. identifies the proposed project;
3. identifies the applicable federal license
or permit;
4. identifies the location and type of any
discharge that may result from the proposed
project and the location of receiving waters;
5. includes a description of any methods
and means proposed to monitor the discharge
and the equipment or measures planned to
treat or control the discharge;
6. includes a list of all other federal,
interstate, tribal, state, territorial, or local
agency authorizations required for the
proposed project, including all approvals or
denials already received; and
7. contains the following statement: ‘The
project proponent hereby requests that the
certifying authority review and take action on
this CWA section 401 certification request
within the applicable reasonable timeframe.’
The EPA anticipates that a
certification request that contains each
of these components will provide the
certifying authority with sufficient
notice and information to allow it to
begin to evaluate and act on the request
in a timely manner. The EPA solicits
comment on whether this list of
documents and information is
appropriately inclusive, whether it is
specific enough to inform project
proponents of the submittal
requirements, and whether it is clear
enough to avoid subjective
determinations by a certifying authority
of whether submittal requirements have
been satisfied. The EPA acknowledges
that not all proposed projects may be
subject to monitoring or treatment for a
discharge (e.g., section 404 dredge or fill
permits rarely allow for a treatment
option). The EPA solicits comment on
whether the fourth and fifth items
proposed to be required in a
certification request are sufficiently
broad to capture all potential federal
licenses or permits. The EPA also
acknowledges that some certifying
authorities may charge a fee to process
certification requests. The Agency
solicits comment on whether it should
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include ‘‘any applicable fees’’ in the
definition of certification request. Preproposal recommendations to the EPA
also requested that the Agency require
project proponents to include existing
documentation or reports showing prior
contamination at the proposed federally
licensed or permitted project site. The
EPA solicits comment on whether this
would be an appropriate requirement
for all certification requests, or whether
this information is best requested on a
case-by-case basis by the certifying
authority. Additionally, the EPA solicits
comment on whether such
documentation or reports would be
appropriate if the permit or license is
being reissued or amended, or only for
initial license or permit processes.
The EPA intends that the term
‘‘certification request’’ means only
written requests for certification. In
addition, EPA intends that any written
request for certification include the
specific information identified in the
definition. Providing this new definition
is intended to ensure that the certifying
authority and the project proponent
understand what is required to start the
statutory reasonable time period. The
proposed requirement that a request
include the following statement—‘‘The
project proponent hereby requests that
the certifying authority review and take
action on this CWA section 401
certification request within the
applicable reasonable timeframe.’’—is
intended to remove any potential
ambiguity on the part of the certifying
authority about whether the written
request before it is, in fact, a ‘‘request for
certification’’ that triggers the statutory
timeline. The EPA also solicits comment
on whether the Agency should generate
a standard form that all project
proponents can use to submit
certification requests. A standard form
could help project proponents provide
all necessary information and help
certifying authorities quickly identify all
components of the certification request.
If the EPA promulgated a standard form,
it could include all seven items
included in the proposed definition of
certification request.
This proposal requires a project
proponent to identify the location of a
discharge in the certification request. To
meet this requirement, the EPA
recommends that the project proponent
provide locational information about the
extent of the project footprint and
discharge locations, as shown on design
drawings and plans. Project proponents
should consider, but are not limited to,
using the following formats:
(1) ArcGIS File Geodatabase with
accompanying Feature Classes
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(2) ArcGIS Shapefile
(3) DXF or DWG (CAD files) projected
to WGS 84 Decimal Degrees
(4) KMZ/KML (Google Earth)
Alternatively, the project proponent
might consider identifying discharge
locations on readable maps. The EPA
solicits comment on whether the
location of all potential discharges from
proposed federally licensed or
permitted projects can be identified
with such specificity or if other methods
may be more appropriate for different
types of activities.
Many states and tribes have
established their own requirements for
section 401 certification request
submittals, which may be different from
or more extensive than the proposed
‘‘certification request’’ requirements
listed above. The EPA recommends that,
following establishment of final EPA
regulations defining ‘‘certification
request’’ and ‘‘receipt,’’ certifying
authorities update their existing section
401 certification regulations to ensure
consistency with the EPA’s regulations.
Additionally, the EPA encourages
certifying authorities to work with
neighboring jurisdictions to develop
regulations that are consistent from state
to state. This may be particularly useful
for interstate projects, like pipelines and
transmission lines, requiring
certification in more than one state.
In some cases, federal agencies may
be project proponents for purposes of
section 401, for both individual projects
and activities and for general federal
licenses or permits (e.g., Corps general
permits). The Agency requests comment
on whether federal agencies should be
subject to the same ‘‘certification
request’’ submittal requirements as
proposed, or if they require different
considerations and procedures than
section 401 certification requests by
other non-federal agency project
proponents. Specifically, the Agency
requests comments on an alternative
approach for federal agencies that issue
general federal license or permits
whereby ‘‘certification request for a
general permit or license’’ would mean
a written, signed, and dated
communication from a Federal agency
to the appropriate certifying authority
that:
(1) Identifies the Federal agency and
a point of contact;
(2) identifies the proposed categories
of activities to be authorized by general
permit for which general certification is
requested;
(3) includes the proposed general
permit;
(4) estimates the number of discharges
expected to be authorized by the
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proposed general permit or license each
year;
(5) includes a general description of
the methods and means used or
proposed to monitor the discharge and
the equipment or measures employed or
planned for the treatment or control of
the discharge;
(6) identifies the reasonable period of
time for the certification request; and
(7) contains the following statement:
‘The federal agency hereby requests that
the certifying authority review and take
action on this CWA 401 certification
request within the applicable reasonable
period of time.’
The statutory reasonable period of
time for a certifying authority to act on
a certification request begins upon
‘‘receipt of such request.’’ The EPA is
proposing to define the term ‘‘receipt’’
as follows:
Receipt means the date that a certification
request is documented as received by a
certifying authority in accordance with
applicable submission procedures.
The EPA understands that some
certifying authorities have established
general procedures for project
proponents to follow when seeking state
or tribal licenses or permits and
encourages the use of consistent
procedures for all submittals, including
section 401 certification requests. The
proposed requirement that certification
requests be documented as received ‘‘in
accordance with applicable submission
procedures’’ is intended to recognize
that some certifying authorities may
require hard copy paper submittals and
some may require or allow electronic
submittals. If the certifying authority
accepts hard copy paper submittals,
EPA recommends that the project
proponents submitting a hard copy
request send the request via certified
mail (or similar means) to confirm
receipt of the section 401 certification
request. If the certifying authority
allows for electronic submittals, EPA
recommends that the project proponent
set up an electronic process to confirm
receipt of the request. The EPA
recommends that project proponents
retain a copy of any written or
electronic confirmation of submission or
receipt for their records. The Agency
solicits comment on whether these new
definitions will provide sufficient
clarity and regulatory certainty or if
additional procedures or requirements
may be necessary, and if so, what those
procedures or requirements might be.
C. Certification Actions
Consistent with the text of the CWA,
the EPA proposes that a certifying
authority may take four potential
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actions pursuant to its section 401
authority: It may grant certification,
grant with conditions, deny, or waive its
opportunity to provide a certification.
These actions are reflected in § 121.5 of
the proposed regulatory text.
Granting a section 401 certification
demonstrates that the authority has
concluded that the discharge to waters
of the United States from the proposed
activity will be consistent with the
listed CWA provisions and appropriate
state or tribal water quality
requirements (as defined at § 121.1(p) of
this proposal). Granting certification
allows the federal agency to proceed
with processing the application for the
license or permit.
If the certifying authority determines
that the discharge from a proposed
activity would be consistent with
applicable water quality requirements
only if certain conditions are met, the
authority may include such conditions
in its certification. Any conditions must
be necessary to assure compliance with
water quality requirements. The EPA
proposes that water quality related
conditions that meet the requirements
in this proposed rule and that are placed
on a section 401 certification must
become conditions of the resulting
federal license or permit if it is issued.
33 U.S.C. 1341(d).
A certifying authority may choose to
deny certification if it is unable to
certify that the proposed activity would
be consistent with applicable water
quality requirements. If a certification is
denied, the federal agency may not issue
a license or permit for the proposed
activity. Id. at 1341(a).
Finally, a certifying authority may
waive the requirement for a certification
in two different ways. First, the
certifying authority may waive
expressly by issuing a statement that it
is waiving the requirement. Second, the
certifying authority may implicitly
waive by failing or refusing to act in
accordance with section 401. Id. As
discussed throughout this preamble, a
certifying authority has a reasonable
period of time, not to exceed one year,
to complete its section 401 certification
analysis. If the authority fails or refuses
to act within that reasonable period, the
certification requirement will be
deemed waived by the federal licensing
or permitting agency. Id. Where section
401 certification has been waived—
expressly or implicitly—the federal
agency may issue the license or permit.
Id. This proposal is consistent with the
Agency’s longstanding interpretation of
what actions may be taken in response
to a certification request. The EPA
solicits comment on this interpretation
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and continued approach in this
proposed rule.
D. Appropriate Scope for Section 401
Certification Review
Section 401 of the CWA provides
states and tribes with additional
authority to protect water quality within
their jurisdictions that complements the
other regulatory programs and the
nonregulatory grant and planning
programs established by the CWA. CWA
section 401(a) does so by authorizing
states and tribes to certify that a
potential discharge to waters of the
United States that may result from a
proposed activity will comply with
applicable provisions of certain
enumerated sections of the CWA,
including effluent limitations and
standards of performance for new and
existing sources (sections 301, 302, and
306 of the CWA), water quality
standards and implementation plans
(section 303), and toxic pretreatment
effluent standards (section 307). 33
U.S.C. 1341(a)(1). When granting a
section 401 certification, states and
tribes are authorized by CWA section
401(d) to include conditions, including
effluent limitations, other limitations
and monitoring requirements that are
necessary to assure that the applicant
for a federal license or permit will
comply with appropriate provisions of
CWA sections 301, 302, 306, and 307,
and with any other appropriate
requirement of state law. Id. at 1341(d).
In addition to the specific enumerated
sections of the CWA referenced
throughout section 401, the focus of
section 401(a) on the compliance of
‘‘any such discharge,’’ and the substance
of the enumerated CWA sections in
section 401(d), e.g., to ensure
compliance with ‘‘effluent limitations’’
under sections 301 and 302 and any
‘‘effluent standard’’ under section 307,
underscore that Congress intended this
provision to focus on the protection of
water quality.
Although the text, structure, and
legislative history of the CWA
(including the name of the statute
itself—the Clean Water Act) clearly
demonstrate that section 401 of the
CWA is intended to focus on addressing
water quality impacts from discharges
from federally licensed or permitted
projects, there continues to be some
confusion and uncertainty over the
precise scope of a certifying authority’s
review under section 401 and the scope
of appropriate conditions that may be
included in a certification (see section
II.F in this preamble). This proposal is
intended to provide clarity on these
issues.
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Section 401 contains several
important undefined terms that,
individually and collectively, can be
interpreted in varying ways to place
boundaries on the scope of a certifying
authority’s review and authority.
Discerning the meaning, both
individually and in context, of terms
like ‘‘discharge,’’ ‘‘activity,’’
‘‘applicant,’’ ‘‘other limitations,’’ and
‘‘any other appropriate requirements of
State law’’ with respect to a state or
tribe’s certification authority without
clear regulatory guidance, presents a
challenge to project proponents,
certifying authorities, federal agencies,
and the courts. The challenge is
exacerbated by the fact that nowhere in
section 401 did Congress provide a
single, clear, and unambiguous
definition of the section’s scope, a gap
the Agency is proposing to remedy in
this proposal. See Chevron, 467 U.S. at
843–44.
The phrase ‘‘any other appropriate
requirement of State law’’ in section
401(d) is illustrative of this ambiguity.
Congress did not intend that the scope
of a certifying entity’s authority to
impose conditions to be unbounded.
PUD No. 1 of Jefferson County and City
of Tacoma v. Washington Department of
Ecology, 511 U.S. 700, 712 (1994).
Presumably, that is why Congress added
the modifier ‘‘appropriate’’ in the phrase
‘‘any other appropriate requirements of
State law.’’ In this context, the exact
meaning of ‘‘appropriate’’ and how it
modifies the preceding term ‘‘any other’’
or the following phrase ‘‘requirements
of State law’’ are important, but
undefined by Congress. The Agency, as
the federal entity charged with
administering the CWA, has authority
under Chevron and its progeny to
address these ambiguities through
notice and comment rulemaking.
To provide needed clarity regarding
the scope of a certifying entity’s
authority to grant and condition a
certification, the EPA is proposing a
clear and concise statement of the scope
of certification, as well as clear
regulatory definitions for the terms
‘‘certification,’’ ‘‘condition,’’
‘‘discharge,’’ and ‘‘water quality
requirement.’’
As explained in section II.F.6.a.iii in
this preamble, based on the text and
structure of the Act, as well as the
history of modifications between the
1970 version and the 1972 amendments,
the EPA has concluded that section 401
is best interpreted as protecting water
quality from federally licensed or
permitted activities with point source
discharges to waters of the United States
by requiring compliance with the CWA
as well as EPA-approved state and tribal
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CWA regulatory programs. This
proposal includes for the first time a
well-defined scope for section 401
certification that reflects the EPA’s
holistic interpretation of the statutory
language, which is based on the text and
structure of the Act. As the Agency
charged with administering the CWA,
the EPA is authorized to interpret by
rulemaking the appropriate scope for a
CWA section 401 certification. 33 U.S.C.
1361(a). The EPA proposes to establish
the ‘‘scope of certification’’ as follows:
The scope of a Clean Water Act section 401
certification is limited to assuring that a
discharge from a Federally licensed or
permitted activity will comply with water
quality requirements.
The proposed scope of certification is
consistent with the plain language of
section 401 and is intended to provide
clarity to certifying authorities, federal
agencies, and project proponents about
the extent of environmental review that
is expected, the type of information that
may reasonably be needed to review a
certification request, and the scope of
conditions that are appropriate for
inclusion in a water quality
certification.
The proposed scope of certification
differs from the EPA’s existing
regulations, which require a
certification to include a statement that,
‘‘there is a reasonable assurance that the
activity will be conducted in a manner
which will not violate applicable water
quality standards.’’ See 40 CFR
121.2(a)(3). The ‘‘reasonable assurance’’
language in the EPA’s existing
regulations is an artifact from the pre1972 version of the statute which
provided that the certifying authority
would certify ‘‘that there is reasonable
assurance . . . that such activity will be
conducted in a manner which will not
violate applicable water quality
standards.’’ Public Law 91–224,
21(b)(1), 84 Stat. 91 (1970). The
proposed scope could be considered
more stringent than the EPA’s existing
certification regulations because,
consistent with the 1972 CWA
amendments, it requires certifying
authorities to conclude that a discharge
‘‘will comply’’ with water quality
requirements (as defined at § 121.1(p) of
this proposal), rather than providing
‘‘reasonable assurance.’’
Section 401 is triggered by a proposed
federally licensed or permitted project
that may result in any discharge into
waters of the United States. The term
‘‘discharge’’ is not defined in section
401, and the only definition in the CWA
provides that ‘‘the term ‘discharge’
when used without qualification
includes a discharge of a pollutant, and
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a discharge of pollutants.’’ 33 U.S.C.
1362(16). Consistent with the analysis
above concerning the scope of section
401 and the need to provide greater
clarity, the Agency is proposing to
define the term ‘‘discharge’’ as follows:
Discharge for purposes of this part means
a discharge from a point source into
navigable waters.
The Agency solicits comment on
whether this definition is necessary,
whether it provides appropriate
clarification, or whether the EPA’s
proposed regulations would be
sufficiently clear without including this
new definition. The Agency also solicits
comment on whether an alternate
definition of ‘‘discharge’’ may provide
greater clarity and regulatory certainty.
Section 401(d) requires a certification
to ‘‘set forth any effluent limitations and
other limitations, and monitoring
requirements necessary to assure that
any applicant for a Federal license or
permit will comply with [enumerated
provisions of the CWA], and with any
other appropriate requirement of State
law’’ and that these requirements ‘‘shall
become a condition on any Federal
license or permit subject to the
provisions of this section’’ (emphasis
added). As described in section II.F.6.a.i
in this preamble, the EPA interprets
‘‘appropriate requirement of state law’’
to mean applicable provisions of those
EPA-approved state and tribal CWA
regulatory programs (e.g., state water
quality standards, NPDES program
provisions). To provide greater clarity,
the EPA proposes to define the term
‘‘water quality requirements’’ as follows:
Water quality requirements means
applicable provisions of 301, 302, 303, 306,
and 307 of the Clean Water Act and EPAapproved state or tribal Clean Water Act
regulatory program provisions.
The term ‘‘water quality
requirements’’ appears throughout
section 401, but it is not defined in the
statute. The EPA’s interpretation of this
term and the proposed definition are
intended to align section 401 program
implementation with the text of the
statute, which specifically identifies
those provisions of the Act enumerated
in the proposed definition. The term
‘‘EPA-approved state or tribal CWA
regulatory programs’’ in the proposed
definition is intended to include those
state or tribal provisions of law that are
more stringent than federal law, as
authorized in 33 U.S.C. 1370. The
legislative history supports the
interpretation in this proposal. See S.
Rep. No. 92–414, at 69 (1971) (‘‘In
addition, the provision makes clear that
any water quality requirements
established under State law, more
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stringent than those requirements
established under this Act, also shall
through certification become conditions
on any Federal license or permit.’’). The
CWA provisions that regulate point
source discharges to waters of the
United States are the ‘‘regulatory
provisions of the CWA.’’ When states or
tribes enact CWA regulatory provisions
as part of a state or tribal program,
including those designed to implement
the section 402 and 404 permit
programs and those that are more
stringent than federal requirements,
those provisions require EPA approval
before they become effective for CWA
purposes. Because the EPA interprets
‘‘appropriate requirements’’ to mean the
‘‘regulatory provisions of the CWA,’’ it
follows that those would necessarily be
EPA-approved provisions.
The EPA solicits comment on whether
this proposed definition is clear and
specific enough to provide regulatory
certainty for certifying authorities and
project proponents. The EPA also
solicits comment on whether additional
specificity should be added to the
proposed definition, for example that
the term does not include non-water
quality related state or local laws. In an
alternate approach, the EPA may
consider defining the term ‘‘appropriate
requirement of State law’’ to provide
additional clarity concerning the scope
of section 401. Under this alternate
approach, the EPA solicits comment on
whether that term should be defined
similar to or more broadly or narrowly
than ‘‘EPA-approved state or tribal
Clean Water Act regulatory program
provisions’’ as proposed in this
rulemaking.
The scope of certification established
in this proposal also informs the scope
of conditions that may be included in a
certification. The statute does not define
‘‘condition,’’ but several appellate
courts have analyzed the plain language
of the CWA and concluded that the Act
‘‘leaves no room for interpretation’’ and
that ‘‘state conditions must be’’
included in the federal license or
permit. Sierra Club v. U.S. Army Corps
of Engineers, 909 F.3d 635, 645 (4th Cir.
2018) (emphasis in original); see also
U.S. Dep’t of Interior v. FERC, 952 F.2d
538, 548 (D.C. Cir. 1992); Am. Rivers,
Inc. v. FERC, 129 F.3d 99, 107 (2d Cir.
1997) (recognizing the ‘‘unequivocal’’
and ‘‘mandatory’’ language of section
1341(d)); Snoqualmie Indian Tribe v.
FERC, 545 F.3d 1207, 1218 (9th Cir.
2008) (collecting cases); FERC, 952 F.2d
at 548 (‘‘FERC may not alter or reject
conditions imposed by the states
through section 401 certificates.’’). The
EPA is not proposing to modify this
plain language interpretation of the
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CWA concerning the inclusion of
certification conditions in federal
licenses and permits. However, the EPA
is proposing to define the term
‘‘condition’’ to address ambiguity in the
statute and provide clarity and
regulatory certainty. See Chevron, 467
U.S. at 843–44.
Although the structure and content of
section 401(d) provide helpful context
for what should be included as
conditions in a federal license or permit,
the CWA does not define that operative
term. Because this term is not defined
in the statute, its meaning has been
susceptible to different interpretations.
For example, the EPA understands some
certifying authorities have included
conditions in a certification that have
nothing to do with effluent limitations,
monitoring requirements, water quality,
or even the CWA. Such requirements
were perhaps based on other non-water
quality related federal statutory or
regulatory programs, concerns about
environmental media other than water,
or they might have been related to state
laws, policies, or guidance that make
decisions or recommendations
unrelated to the regulation of point
source discharges to waters of the
United States. As the Agency charged
with administering the CWA, the EPA is
authorized to interpret by rulemaking
what the term ‘‘condition’’ means in the
context of a CWA section 401
certification. Under the Chevron
doctrine, courts presume ‘‘that when an
agency-administered statute is
ambiguous with respect to what it
prescribes, Congress has empowered the
agency to resolve the ambiguity.’’ Utility
Air Regulatory Group v. EPA, 573 U.S.
302, 315 (2014). Congressional silence is
read ‘‘as a delegation of authority to
EPA to select from among reasonable
options.’’ EPA v. EME Homer City
Generation, 572 U.S. 489, 515 (2014).
The EPA recognizes that the majority
of certification actions reflect an
appropriately limited interpretation of
the purpose and scope of section 401.
However, the Agency is also aware that
some certifications have included
conditions that may be unrelated to
water quality, including requirements
for biking and hiking trails to be
constructed, one-time and recurring
payments to state agencies for
improvements or enhancements that are
unrelated to the proposed federally
licensed or permitted project, and
public access for fishing and other
activities along waters of the United
States. The EPA is also aware of
certification conditions that purport to
require project proponents to address
pollutants that are not discharged from
the construction or operation of a
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federally licensed or permitted project.
Using the certification process to yield
facility improvements or payments from
project proponents that are unrelated to
water quality impacts from the proposed
federally licensed or permitted project is
inconsistent with the authority provided
by Congress. During pre-proposal
stakeholder engagement, the EPA also
heard from federal agencies that,
because several court decisions have
concluded that they do not have
authority to ‘‘review and reject the
substance of a state certification or the
conditions contained therein,’’ Am.
Rivers, Inc., 129 F.3d at 106, non-water
quality conditions are often included in
federal licenses and permits. Once
included in the federal license or
permit, federal agencies have found it
challenging to implement and enforce
these non-water quality related
conditions. The Agency solicits
comment on other examples of
certification conditions that may have
been unrelated to water quality.
This proposal includes three elements
designed to address the issues described
above. First, the proposal defines the
term ‘‘condition’’ as follows:
Condition means a specific requirement
included in a certification that is within the
scope of certification.
As described above, the lack of a
statutory definition for the term
‘‘condition,’’ despite its central use in
section 401(d), creates ambiguity and
uncertainty over the types of conditions
that may be included in a certification.
See Chevron, 467 U.S. at 843–44. For
example, does section 401(d) authorize
certifying authorities to include any
kind of limitation or requirement in a
certification? Or it is more limited, and
if so, how limited?
As used in section 401(d), the term is
most logically read to refer to those
‘‘effluent limitations and other
limitations, and monitoring
requirements necessary to assure’’
compliance with certain enumerated
provisions of the CWA and with ‘‘any
other appropriate requirements of State
law.’’ The statute mandates that these
kinds of limitations and monitoring
requirements ‘‘shall become a
condition’’ on a federal license or
permit subject to section 401. Thus,
based on the plain language of the
statute for these limitations or
requirements to become a license or
permit ‘‘condition’’ through operation of
section 401(d), they must be of a certain
character. That is, they must be
necessary to assure compliance with
water quality requirements (as defined
at § 121.1(p) of this proposal). That is
why EPA’s proposed definition of
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‘‘condition’’ would require that it be a
limitation or requirement within the
statute’s ‘‘scope of certification.’’ If it
purports to require something beyond
the appropriate scope of section 401, the
limitation or requirement offered by the
certifying authority would not be a
‘‘condition’’ as that term is used in
section 401(d).
Providing a clear definition of
‘‘condition’’ addresses the ambiguity in
section 401 and provides regulatory
certainty to certifying authorities,
project proponents, and federal
agencies. Although this would be a new
provision in the EPA’s regulations, the
Agency presumes that the majority of
certification conditions included by
states and tribes are consistent with the
authority granted by Congress. The EPA
expects this proposed definition,
however, to provide much needed
clarity to federal agencies and regulatory
certainty to project proponents that have
been subjected to delays and project
denials as a result of the lack of
regulatory certainty in this area.
Second, to assure that such
‘‘conditions’’ are appropriately tailored
to the scope and authorized by law, this
proposal would require the following
information be provided for each
condition included in a certification:
1. A statement explaining why the
condition is necessary to assure that the
discharge from the proposed project will
comply with water quality requirements;
2. A citation to federal, state, or tribal law
that authorizes the condition; and
3. A statement of whether and to what
extent a less stringent condition could satisfy
applicable water quality requirements.
The EPA intends this provision to
require citation to specific state or tribal
law or CWA provision that authorizes
the condition, and that citations to CWA
section 401 or other general
authorization or policy provisions in
federal, state or tribal law would be
insufficient to satisfy the proposed
requirement. These proposed
requirements are intended to ensure that
any limitation or requirement added to
a certification is within the ‘‘scope of
certification’’ and is, thus, a true section
401(d) ‘‘condition.’’
These proposed requirements might
create new obligations for some
certifying authorities, but the EPA
anticipates that the value of including
this information in every certification,
in terms of transparency and regulatory
certainty, will far outweigh the minimal
additional administrative burden of
including this information in a
certification. Stakeholders in preproposal engagement expressed concern
that federal agencies do not enforce the
certification conditions incorporated in
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their federal licenses or permits.
Providing a citation to the legal
authority underpinning a federally
enforceable permit condition is one way
to address these concerns. In fact,
federal agencies during pre-proposal
engagement acknowledged that this
information will help them understand
how best to implement and enforce
certification conditions. In addition,
including this information in each
certification will provide transparency
for the overall certification process and
allow the project proponent to
understand the legal authority that the
certifying authority is relying on to
require the condition. This information
will help the project proponent assess
whether the condition is within the
statute’s lawful scope and what recourse
it might have to challenge or appeal it.
Overall, the EPA believes that the
benefits of providing this information
will significantly outweigh any
additional administrative burden that
certifying authorities may incur because
of these new requirements. The Agency
solicits comment on the proposed
information needed to support each
condition, particularly on the utility of
such information for the certification
process. In an alternate approach, the
Agency may define the third
requirement as ‘‘a statement of whether
and to what extent a more or less
stringent condition could satisfy
applicable water quality requirements,’’
or remove the third requirement
altogether. The Agency also requests
comment on these alternate approaches.
Third, this proposal would
specifically provide federal agencies the
ability to determine whether
certification conditions meet the new
regulatory definition for condition, and
whether the state or tribe has provided
the information required for each
condition. If a condition satisfies these
requirements, under this proposal it
would have to be included in the federal
license or permit; if a condition does not
satisfy these requirements, it may not be
included in the federal license or
permit. See section III.J in this preamble
for more discussion on the federal
licensing or permitting agency’s
enforcement responsibility and
discretion. The EPA expects that the
proposed requirements are clear and
specific enough that a federal agency
would not need to have water quality
expertise to determine if a certification
condition meets the proposed
requirements.40 The Agency solicits
40 Additionally, section 401 provides that federal
agencies may request EPA advice on ‘‘any relevant
information on applicable effluent limitations, or
other limitations, standards, regulations, or
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comment on whether the proposed
requirements for conditions need to be
further refined to allow federal agencies
other than the EPA to appropriately
determine compliance. Although this
review function may be new to some
federal agencies, it is consistent with the
EPA’s own longstanding practice under
its NPDES regulations implementing
section 401 that allow the EPA to make
such determinations under certain
circumstances. See 40 CFR 124.53(e).
This proposal would require other
federal agencies to review and
determine whether certification
conditions are within the ‘‘scope’’
articulated in the proposed
implementing regulations. This is
consistent with the principle that
federal agencies have the authority to
reject certifications or conditions that
are inconsistent with the requirements
and limitations of section 401 itself. In
City of Tacoma, Washington v. FERC,
the Court of Appeals for the D.C. Circuit
noted that ‘‘[i]f the question regarding
the state’s section 401 certification is
not the application of state water quality
standards, but compliance with the
terms of section 401, then [the federal
agency] must address it. This
conclusion is evident from the plain
language of section 401: ‘No license or
permit shall be granted until the
certification required by this section has
been obtained or has been waived.’ ’’
460 F.3d 53, 67–68 (D.C. Cir. 2006)
(citing 33 U.S.C. 1341(a)(1)). The court
went on to explain that even though the
federal licensing or permitting agency
did not need to ‘‘inquire into every
nuance of the state law proceeding . . .
it [did] require [the federal agency] to at
least confirm that the state has facially
satisfied the express requirements of
section 401.’’ Id. at 68. This proposal
provides that, if a federal agency
determines that a certifying authority
included a condition in a certification
that is beyond the scope of certification,
as defined in the proposed regulation, or
that the state has not provided the
specific information necessary to
support each condition, that condition
may not be included in the federal
license or permit and it does not become
federally enforceable.
As noted above, the EPA is not
proposing to modify prior case law
interpreting the plain language of the
CWA to require certification conditions
to be included in federal licenses and
permits. See, e.g., City of Tacoma, 460
F.3d at 67; Am. Rivers Inc., 129 F.3d at
107; FERC, 952 F.2d at 548; Sierra Club,
909 F.3d at 645. The EPA is proposing
requirements, or water quality criteria’’ and
compliance methods. 33 U.S.C. 1341(b).
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to maintain that requirement for
conditions that are consistent with
section 401 and necessary to assure
compliance with the Act and with other
appropriate requirements of state law.
The statute does not define the term
‘‘condition’’ and the EPA proposes to
fill the gap left by Congress and define
the term to address ambiguity in the
statute and provide clarity and
regulatory certainty. See Chevron, 467
U.S. at 843–44.
This proposal would also provide
federal agencies an opportunity to allow
a certifying authority to remedy a
condition that the federal agency
determines exceeds or conflicts with the
scope of section 401 authority under
certain circumstances. If a federal
agency determines that a condition does
not satisfy the proposed requirements
for a condition and the reasonable
period of time has not yet expired, this
proposal would allow the federal agency
to notify the certifying authority and
provide an opportunity to remedy the
defective condition, either by modifying
the condition to conform to the scope of
certification, or by providing the
information required in the proposed
regulation. A federal agency would not
be required to provide this opportunity
to the certifying authority, but if it does,
this proposal nonetheless would require
the certifying authority to provide the
corrected condition or required
information within the original
reasonable period of time, which shall
not exceed one year from receipt. Under
this proposal, any federal agency
determination on whether to allow a
certifying authority to remedy a
deficient condition would have to occur
within the original reasonable period of
time. Under this proposal, if the
certifying authority fails to remedy the
deficiencies within the reasonable
period of time, the condition would not
be included in the federal license or
permit. Deficient conditions do not
invalidate the entire certification, nor do
they invalidate the remaining
conditions in the certification. The EPA
solicits comment on whether the
regulatory text should clarify that
deficient conditions do not invalidate
the entire certification or the remaining
conditions. The EPA also solicits
comment on whether the proposed
opportunity to remedy deficient
conditions would be helpful and an
appropriate use of federal agency
resources, whether it should be
mandatory for federal agencies to
provide this opportunity, and whether it
is within the scope of EPA authority to
establish through regulation. The EPA
also solicits comment on an alternative
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approach where certifying authorities
would not have the opportunity to
remedy deficient conditions, even if the
reasonable period of time has not
expired.
The proposed regulations clarify the
EPA’s interpretation that the
appropriate scope of review under
section 401(a) is limited to the potential
water quality impacts caused by the
point source discharge from a proposed
federally licensed or permitted project
to the waters of the United States. This
is consistent with the statutory language
in sections 401(a) and 401(d) and is
supported by the legislative history. See
S. Rep. No. 92–414, at 69 (1971)
(providing that authorities must certify
that ‘‘any such discharge will comply
with [CWA] Sections 301 and 302’’ and
that section 401 was ‘‘amended to
assure consistency with the bill’s
changed emphasis from water quality
standards to effluent limitations based
on the elimination of any discharge of
pollutants’’), 41 (describing CWA
section 301 as prohibiting the discharge
of any pollutant except as permitted
under CWA sections 301, 302, 306, 307
or 402, and identifying point sources of
pollution as the regulatory target), 46
(describing CWA section 302 to
authorize water quality based effluent
limits ‘‘for the affected point sources at
a level which can reasonably be
expected to contribute to the attainment
or maintenance of such a standard of
water quality’’). The scope of
certification also extends to the scope of
conditions that are appropriate for
inclusion in a certification—
specifically, that these conditions must
be necessary to assure that the discharge
from a proposed federally licensed or
permitted project will comply with
water quality requirements, as defined
at § 121.1(p) of this proposal.
The EPA solicits comments on
whether the proposed approach
appropriately captures the scope of
authority for granting, conditioning,
denying, and waiving a section 401
certification. The EPA solicits comment
on the extent to which project
proponents have received non-water
quality related conditions in
certifications. The EPA also solicits
comment on whether this proposal
regarding the scope of certification and
conditions is an appropriate and useful
way to ensure that federal licenses will
not contain non-water quality related
certification decisions and conditions,
or if there are other more useful and
appropriate tools or mechanisms the
EPA should consider to address these
concerns. In particular, the EPA solicits
comment on what it means for a
certification or its conditions to be
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‘‘related to water quality’’ and how
direct that relationship to water quality
must be to properly define a
certification or condition as within the
appropriate scope of section 401.
In addition, the EPA solicits comment
on its interpretation of the phrase ‘‘any
other appropriate requirements of State
law’’ as limited to requirements in EPAapproved state and tribal CWA
regulatory programs. In particular, EPA
solicits comment on whether EPA
should interpret that phrase more
broadly to include any requirement of
State law, any water quality-related
requirement of State law (regardless of
whether it is part of an EPA-approved
program), or any different universe of
state or tribal requirements (reflecting,
or not, CWA sections or programs) that
might be broader or narrower in scope
than this proposal. The EPA also solicits
comment on its interpretation of
sections 401(a) and 401(d) as limiting
the scope of state and tribal section 401
review and conditions to impacts from
potential ‘‘discharges,’’ or whether the
state or tribe may also consider a
different and broader universe of
impacts, such as impacts from the
licensed project or activity as a whole,
or some other universe of potential
impacts to water quality. The EPA also
solicits comment on whether this
proposal will facilitate enforcement of
certification conditions by federal
agencies, or whether there are other
approaches the Agency should consider
beyond requiring a citation to state,
tribal, or federal law or explaining the
reason for a condition.
Pre-proposal recommendations
identified concerns with certain types of
conditions that have created regulatory
uncertainty for project proponents,
including conditions that extend the
effective date of a certification out
beyond the reasonable period of time
and conditions that authorize
certifications to be re-opened. To better
understand these concerns, the Agency
solicits comment on whether, given the
explicit limitations on conditions in this
proposal, it may still be necessary or
appropriate to expressly preclude these
or other types of conditions that may
create regulatory uncertainty.
The EPA is also soliciting comment
on an alternate approach that it is
considering taking whereby the Agency
would interpret CWA sections 401(a)
and 401(d) as providing two different
scopes for action on a certification
request. Specifically, section 401(a)
could be read to authorize review of a
section 401 certification only on the
basis of determining whether the
discharge would comply with the
enumerated sections of the CWA; and
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section 401(d) could be read to
authorize consideration of ‘‘any other
appropriate requirement of State law’’
only for purposes of establishing
conditions once the certifying authority
has determined to grant certification.
Under this alternate approach, a
certification request could be denied
only if the certifying authority cannot
certify that the discharge will comply
with applicable provisions of CWA
sections 301, 302, 303, 306 and 307.
This proposal would also define the
term ‘‘any other appropriate
requirement of State law’’ to mean EPAapproved state or tribal CWA regulatory
program provisions (e.g., state water
quality standards, NPDES program
provisions). The EPA solicits comment
on this alternate interpretation. The EPA
also solicits comment on whether
establishing two different scopes for
action under section 401 would clarify
the certification process or if it could
cause further confusion or potential
delays in processing certification
requests.
E. Timeframe for Certification Analysis
and Decision
The EPA proposes to reaffirm that
CWA section 401 requires certifying
authorities to act on a request for
certification within a reasonable period
of time, which shall not exceed one
year. By establishing an absolute outer
bound of one year following receipt of
a certification request, Congress
signaled that certifying authorities have
the expertise and ability to evaluate
potential water quality impacts from
even the most complex proposals within
a reasonable period of time after receipt
of a request, and in all cases within one
year. The CWA also provides that if a
certifying authority fails or refuses to act
within that reasonable period of time,
the certification requirement is waived;
however, the CWA does not define the
term ‘‘fails or refuses to act.’’ This
proposal provides additional clarity on
what is a ‘‘reasonable period,’’ how the
period of time is established, and for the
first time defines the term ‘‘fails or
refuses to act’’ to provide additional
clarity and regulatory certainty.
Section 401 does not include a tolling
provision. Therefore, the period of time
to act on a certification request does not
pause or stop for any reason once the
certification request has been received.
One recent court decision held that
withdrawing and resubmitting the same
section 401 request for the purpose of
circumventing the one-year statutory
deadline does not restart the reasonable
period of time. Hoopa Valley Tribe v.
FERC, 913 F.3d 1099 (D.C. Cir. 2019)
(Hoopa Valley). The EPA agrees with
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the Hoopa Valley court that ‘‘Section
401’s text is clear’’ that one year is the
absolute maximum time permitted for a
certification, and that the statute ‘‘does
not preclude a finding of waiver prior to
the passage of a full year.’’ Id. at 1103–
04. The court noted that, ‘‘[b]y shelving
water quality certifications, the states
usurp FERC’s control over whether and
when a federal license will issue. Thus,
if allowed, the withdrawal-andresubmittal scheme could be used to
indefinitely delay federal licensing
proceedings and undermine FERC’s
jurisdiction to regulate such matters.’’
Id. at 1104. The court further observed
that the legislative history supports its
interpretation of the statute’s plain
language because, ‘‘Congress intended
Section 401 to curb a state’s ‘dalliance
or unreasonable delay.’ ’’ Id. at 1104–05
(emphasis in original).
The Hoopa Valley case raised another
important issue: Perpetual delay of
relicensing efforts (in that case for more
than a decade) delays the
implementation and enforcement of
water quality requirements that have
been updated and made more stringent
in the years or decades since the last
relicensing process.41 See id. at 1101.
This concern was also raised in
stakeholder recommendations received
during the pre-proposal outreach
period. One stakeholder specifically
cited the delays in the Hoopa Valley
case as a ‘‘concrete example of how the
§ 401 certification process was being
manipulated by a state certification
agency to delay implementation of
effective water quality controls and
enhancement measures’’ and that
‘‘allowing the § 401 certification process
to be used to achieve further delays in
the re-licensing process is in turn an
abuse of the certification process.’’
Letter from National Tribal Water
Council to David P. Ross, Assistant
Administrator of the Office of Water,
EPA (Mar. 1, 2019).
Given the Hoopa Valley court’s plain
language analysis of the statute and the
potential water quality impacts from
allowing certification decisions to be
delayed, and the Agency’s agreement
with that analysis, EPA is proposing to
amend the Agency’s regulations in a
41 This is a concern shared by the EPA. The
Agency has recently taken steps to promote its own
compliance with CWA deadlines, including acting
on state and tribal water quality standard
submittals, because prior delays have created a
significant backlog of state submittals awaiting EPA
action. Memorandum from David P. Ross to
Regional Administrators (June 3, 2019). These
delays and backlogs prevent states and tribes from
timely implementing and enforcing updated
programs and standards that could otherwise be
improving water quality.
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manner consistent with the Hoopa
Valley holding as follows:
The certifying authority is not authorized
to request the project proponent to withdraw
a certification request or to take any other
action for the purpose of modifying or
restarting the established reasonable period
of time.
The Agency proposes this clear
statement to reflect the plain language of
section 401, which as described above,
is supported by legislative history. The
Agency expects this clarification will
reduce delays and help ensure that
section 401 certification requests are
processed within the reasonable period
of time established by the federal
agency, and at most, within one year
from receipt of the request. The Agency
understands that in cases where the
certifying authority and project
proponent are working collaboratively
and in good faith, it may be desirable to
allow the certification process to extend
beyond the reasonable period of time
and beyond the one-year statutory
deadline. The Agency solicits comment
on whether there is any legal basis to
allow a federal agency to extend the
reasonable period of time beyond one
year from receipt.
During the pre-proposal
recommendation period, stakeholders
also expressed concern about the effect
of potentially limited certification
review timeframes on state and tribal
resources. The Agency has similar
concerns regarding its own resources.
This proposal therefore would establish
a pre-filing meeting process when the
EPA is the certifying authority to ensure
that the Agency receives early
notification of anticipated projects and
can discuss its information needs with
the project proponent (see section III.G
in this preamble). This pre-filing
meeting process is intended to occur
before the statutory timeframe begins.
The Agency solicits comment on
whether the pre-filing meeting process
would be helpful for other certifying
authorities, whether it is an appropriate
mechanism to promote and encourage
early coordination between project
proponents and certifying authorities,
and if there are other options that may
also be appropriate from a regulatory
perspective. The EPA also solicits
comment on whether the Agency has
the authority to propose similar
requirements on state and tribal
certifying authorities through this
rulemaking. The Agency also heard
concerns from certifying authorities on
staffing challenges, agency priorities,
and the need for additional federal
funding to support timely action on
certification requests. To better
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understand these concerns, the Agency
solicits comment from certifying
authorities on the extent to which
section 401 programs are funded by
states and tribes and the number of full
or part time employees that are assigned
to evaluate and take action on
certification requests.
The EPA recognizes that federal
agencies are uniquely positioned to
promote pre-application coordination
among federal agencies, certifying
authorities, and project proponents to
harmonize project planning activities
and promote timely action on
certification requests. For instance, early
coordination between the certifying
authority and the federal agency could
decrease duplication of materials that
need to be prepared and submitted by
the project proponent. The EPA
encourages federal agencies to notify
certifying authorities as early as possible
about potential projects that may require
a section 401 certification. Additionally,
the EPA encourages federal agencies to
respond timely to requests from
certifying authorities for information
concerning the proposed federal license
or permit, and to provide technical and
procedural assistance to certifying
authorities and project proponents upon
request and to the extent consistent with
agency regulations and procedures. The
Agency solicits comment on the
responsibilities of federal agencies,
ways to facilitate technical and
procedural information sharing among
federal agencies, project proponents,
and certifying authorities, and ways to
provide technical and procedural
assistance to project proponents and
certifying authorities.
The EPA also proposes to reaffirm
that the federal agencies determine the
reasonable period of time for a certifying
authority to act on a certification
request. Some existing federal agency
regulations specify a reasonable period
of time that applies across all permit
types. For instance, FERC’s regulations
at 18 CFR 5.23(b)(2) provide that ‘‘[a]
certifying agency is deemed to have
waived the certification requirements of
section 401(a)(1) of the Clean Water Act
if the certifying agency has not denied
or granted certification by one year after
the date the certifying agency received
a written request for certification.’’
Similarly, the Corps regulations at 33
CFR 325.2(b)(1)(ii) state that ‘‘[a] waiver
may be explicit, or will be deemed to
occur if the certifying agency fails or
refuses to act on a request for
certification within sixty days after
receipt of such a request unless the
district engineer determines a shorter or
longer period is reasonable for the state
to act.’’ Executive Order 13868 directed
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these agencies to update their existing
regulations to promote consistency
across the federal government upon
completion of the EPA’s current
rulemaking to modernize its
certification regulations.
In setting the reasonable period of
time for a certification—either on a
project-by-project basis or categorically
through a rulemaking—the EPA
proposes to require federal agencies to
consider:
1. The complexity of the proposed project;
2. The potential for any discharge; and
3. The potential need for additional study
or evaluation of water quality effects from the
discharge.
The EPA solicits comment on whether
these factors are appropriate and
whether there are other factors that a
federal agency should consider when
establishing the reasonable period of
time (e.g., permit type within a federal
agency, certifying authority resources
and capacity to review). The EPA also
solicits comment on whether the
Agency should establish reasonable
periods of time for different federal
permit types on a categorical basis in its
final rule. For example, the EPA could
establish that section 401 certifications
for CWA section 404 permits that
disturb a certain acreage threshold must
be completed in a prescribed period of
time. As another example, the EPA
could establish that for interstate
pipelines that will cross a certain
number of states or transport a certain
volume of material, certification must be
completed within a specific period of
time. The EPA understands that the
federal agencies that implement their
own permitting programs are experts in
those areas, however, the Agency also
understands that establishing a clear
national framework for section 401
certifications may help create
efficiencies in the process and therefore
provide greater regulatory certainty.
The Agency is also soliciting
comment on an alternate approach that
it is considering taking whereby the
EPA would retain the language in its
existing certification regulations that
specifies a reasonable period of time
‘‘shall generally be considered to be 6
months, but in any event shall not
exceed 1 year.’’ 40 CFR 121.16(b). In the
event the EPA pursues this alternate
approach, the Agency requests comment
on whether six months is an appropriate
general rule, if a longer or shorter period
of time would be more appropriate as a
general rule, and whether having such
a general rule is appropriate. Such
alternate approach would retain the
federal agencies ability to determine the
reasonable period of time but would
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allow for a default reasonable period of
time in the event that a federal agency
fails to establish a reasonable period of
time or prefers to rely on the default.
This proposal also intends to clarify
the process by which federal agencies
and certifying authorities communicate
regarding the reasonable period of time.
A clear understanding of the reasonable
period of time will prevent certifying
authorities from inadvertently waiving
their opportunity to certify a request
and will provide regulatory certainty to
the project proponent. Under this
proposal, upon submittal of the request
for certification, the project proponent
would contact the federal agency to
provide notice of the certification
request. Within 15 days of receiving a
notice of the certification request from
the project proponent, the federal
agency would provide, in writing, the
following information to the certifying
authority: The applicable reasonable
period of time to act on the request, the
date of receipt, and the date upon which
waiver will occur if the certifying
authority fails to act. The EPA
understands that this process may create
additional administrative burdens on
federal agencies, given the number of
section 401 certification requests that
are submitted each year. However, the
Agency expects that the benefit of
clarity and transparency that this
additional process will provide for all
parties involved in a section 401
certification process will outweigh any
potential additional burden. The EPA
also expects the federal agencies will
quickly routinize this process, using
forms, electronic notifications or other
tools to minimize the potential
administrative burden associated with
providing written notice of the
reasonable period of time. The EPA
solicits comment on whether the
proposed process is the most efficient
way to provide clarity and transparency,
or if there are other procedural or
administrative mechanisms that may be
more effective. In an alternate approach
the EPA could require federal agencies
to post the reasonable period of time
notification on a public website, instead
of requiring it be sent to the certifying
authority. The EPA solicits comment on
whether this alternate approach would
provide greater efficiency and
transparency in the certification
process, or if there are concerns with
this approach.
The EPA also solicits comment on
whether, if a federal agency promulgates
reasonable periods of time categorically
based on project type, the notification
process in this proposal would still be
necessary. For example, FERC has
promulgated regulations for hydropower
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projects that require the license or
permit applicant to file with FERC
either a copy of the certification, a copy
of the request for certification, including
proof of the date that the certifying
authority received the request, or
evidence of waiver. 18 CFR 4.34(b)(5)(i).
In its permitting processes, FERC allows
certifying authorities to take the full
year provided in section 401, and its
regulations clearly state, ‘‘A certifying
agency is deemed to have waived the
certification requirements . . . if the
certifying agency has not denied or
granted certification by one year after
the date the certifying agency received
a written request for certification.’’ 18
CFR 4.34(b)(5)(iii). The EPA solicits
comment on whether FERC’s
hydropower regulations, or other
existing federal regulations, provide
clear enough procedure and
transparency that the additional notice
to the certifying authority proposed in
this rule would be redundant,
unnecessary, or a waste of resources.
The EPA also proposes to clarify that
section 401 does not prohibit a federal
agency from modifying an established
reasonable period of time, provided the
modified time period is reasonable and
does not exceed one year from receipt.
The EPA does not expect periods of
time to be modified frequently, but this
proposal is intended to provide federal
agencies with additional flexibility for
unique circumstances that may
reasonably require a longer period of
time than was originally established. In
such cases, the modified time period
would be communicated in writing to
the certifying authority and the project
proponent to ensure all parties are
aware of the change. In all cases, the
reasonable period of time would not
exceed one year from the original
receipt of the certification request.
To ensure that the section 401
certification process does not
unreasonably delay the federal licensing
and permitting processes, the plain
language of section 401(a)(1) provides
that the requirement to obtain a
certification is waived when a certifying
authority ‘‘fails or refuses to act’’ on a
request for certification, within a
reasonable period of time (which shall
not exceed one year).’’ 33 U.S.C.
1341(a)(1). The Act does not define the
term ‘‘fails or refuses to act.’’ This term
is ambiguous and the lack of a statutory
definition has resulted in different
interpretations of when the period of
time for review expires and
inefficiencies in the certification
process. It has also resulted in
significant regulatory uncertainty and
litigation. See section II.F in this
preamble. As the Agency charged with
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administering the CWA, the EPA is
authorized to interpret by rulemaking
what these terms mean in the context of
a request for a CWA section 401
certification. See Chevron, 467 U.S. at
843–44.
The phrase ‘‘fails or refuses to act’’
lends itself to at least two
interpretations. One interpretation of
the ‘‘fails or refuses to act’’ language in
section 401 is that a certifying authority
took no action, or refused to take any
action, on a section 401 certification
request within the reasonable period of
time. Such lack of action would be
understood as triggering a waiver.
Alternatively, when read in the larger
context of the section, ‘‘fails or refuses
to act’’ could also mean that—while the
certifying authority took some action in
response to the request—the action it
took was outside the statute’s
permissible scope and thus the
certifying authority failed or refused to
act in a way Congress intended, and that
such failure amounts to a failure or
refusal to act, triggering a waiver. To
resolve this ambiguity, under this
proposed definition, if a certifying
authority either takes no action at all
within the reasonable period of time, or
acts outside the scope of certification, as
defined in this proposal, the federal
agency may determine that waiver has
occurred and issue the federal license or
permit. Accordingly, this proposal
includes the following definition:
Fail or refuse to act means the certifying
authority actually or constructively fails or
refuses to grant or deny certification, or
waive the certification requirement, within
the scope of certification and within the
reasonable period of time.
A certifying authority actually fails or
refuses to grant or deny certification
when it states its intention
unambiguously in writing or takes no
action within the reasonable period of
time. A certifying agency constructively
fails or refuses to grant or deny
certification when it acts outside the
scope of certification as defined in the
proposed rule.
The EPA expects that for the majority
of circumstances where states and tribes
issue section 401 certifications, this new
definition will have little practical
implication because they will have
acted on certification requests within
the scope of CWA section 401. However,
the EPA is aware of circumstances
where some states have denied
certifications on grounds that are
unrelated to water quality requirements
and that are beyond the scope of CWA
section 401.42 The EPA’s existing
42 See Letter from Thomas Berkman, Deputy
Commissioner and General Counsel, New York
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certification regulations at 40 CFR part
121 are silent on this point and thus
when a certifying authority acts beyond
the scope of authority granted by
Congress in section 401, the project
proponent has two options: (1) Walk
away from the proposed federally
licensed or permitted project because
certification has been denied, or (2)
challenge the certification denial in
court. Under this proposal, the Agency
intends to clarify that a denial based on
factors outside the scope of authority
under section 401 amounts to a
‘‘fail[ure] or refus[al] to act.’’ The
burden is thus placed on the certifying
authority to act within the proper scope
of authority granted by Congress, or
otherwise risk having the certification
denial being set aside by the federal
agency. If that were to happen, under
this proposal, a certifying authority that
disagrees that its action was outside the
scope of section 401 could consider its
options for legal or administrative
review against the federal agency for
issuing the license or permit without
considering its certification denial. The
EPA intends that this proposed
definition of ‘‘fails or refuses to act’’ will
encourage certifying authorities to act
within the scope of certification and
promote timely and CWA-consistent
action on certification requests. As
discussed in section III.D in this
preamble, an entire certification is not
considered waived if a certifying
authority grants certification with
deficient conditions. In those
circumstances, the deficient conditions
are addressed by the federal agency but
the remainder of the certification
remains in place.
Alternatively, the Agency seeks
comment on an approach that would
not define ‘‘fails or refuses to act’’ as a
separate term. In the event the Agency
pursues that alternate approach, the
Agency solicits comment on other tools
or mechanisms to encourage certifying
authorities to act timely and within the
scope of certification, consistent with
the text of the CWA as defined in this
proposal.
This proposal also includes a process
by which, if a certifying authority
denies certification on grounds outside
the scope of certification, and the
reasonable period of time has not yet
expired, the federal agency may provide
an opportunity for the certifying
State Department of Environmental Conservation, to
Georgia Carter, Vice President and General Counsel,
Millennium Pipeline Company, and John Zimmer,
Pipeline/LNG Market Director, TRC Environmental
Corp. (Aug. 30, 2017) (denying 401 certification
because ‘‘FERC failed to consider or quantify the
effects of downstream [greenhouse gas emissions] in
its environmental review of the Project’’).
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authority to remedy the deficient denial,
so long as the remedy occurs within the
original reasonable period of time. This
process is intended to promote actions
by certifying authorities that are within
the scope of certification and provide an
ability to remedy deficient denials so
long as it is does not extend the
reasonable period of time, and therefore
does not delay the federal licensing or
permitting process. The Agency solicits
comment on whether the opportunity to
remedy deficient certifications or
conditions would be helpful and
appropriate, or if it could create
additional delays in the federal
licensing or permitting process. The
EPA also solicits comment on an
alternative approach where certifying
authorities would not have the
opportunity to remedy deficient denials,
even if the reasonable period of time has
not expired. The Agency also solicits
comment on whether there are other
mechanisms that may also promote
timely and appropriate action on
certification requests.
F. Contents and Effect of a Certification
The CWA does not define the term
‘‘certification’’ or offer a definitive list of
its contents or elements. Accordingly,
the EPA under section 501(a) may
reasonably interpret the statute to add
content to that term. See 33 U.S.C.
1251(d); 33 U.S.C. 1361(a); Chevron, 467
U.S. at 843–44. While the EPA’s existing
regulations at 40 CFR 121.2(a) identify
certification requirements that might
have made sense in 1971, in this
proposal the EPA seeks to update those
requirements and also address more
fully the effects of certification
decisions. Among other things, the EPA
is proposing that any action on a
certification request be in writing and
clearly state whether the certifying
authority has chosen to grant, grant with
conditions, or deny certification. The
EPA is also proposing that any express
waiver of the certification requirement
by the certifying authority also be in
writing.
In circumstances where certification
is granted, with or without conditions,
the EPA is proposing that the written
certification include a statement that the
discharge from the proposed federally
licensed or permitted project will
comply with applicable water quality
requirements, as defined at § 121.1(p) of
this proposal. Where the certifying
authority has granted without
conditions, the federal agency could
continue processing the license or
permit in accordance with its
implementing regulations. Where the
certifying authority is granting
certification with conditions, the federal
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agency could continue processing the
license or permit and would include
those conditions as terms in the federal
license or permit. Under the proposal,
the certification would include specific
supporting information for each
condition that will be included in the
certification, including at a minimum: A
statement explaining why the condition
is necessary to assure that the discharge
resulting from the proposed federally
licensed or permitted project will
comply with applicable water quality
requirements; a citation to federal, state,
or tribal law that authorizes the
condition; and a statement of whether
and to what extent a less stringent
condition could satisfy applicable water
quality requirements. See section III.D
in this preamble for information about
the scope of appropriate conditions and
for information about how conditions
could be written to ensure enforceability
by federal agencies.
CWA section 401(a)(1) provides that
‘‘[n]o license or permit shall be granted
if certification has been denied by the
State, interstate agency, or the
Administrator, as the case may be.’’ 33
U.S.C. 1341(a)(1). In circumstances
where certification is denied, the EPA is
proposing that the written notification
include the reasons for denial, including
the specific water quality requirements
with which the proposed federally
licensed or permitted project will not
comply, a statement explaining why the
proposed project will not comply with
the identified water quality
requirements, and the specific data,
information, or project modifications, if
any, that would be needed for the
certifying authority to determine that
the discharge will comply with water
quality requirements. In circumstances
where a certifying authority is unable to
certify that a discharge will comply with
the Act, EPA is proposing that the
certifying authority may deny
certification or waive the requirement
for certification. The EPA notes that
there may be multiple reasons why a
certifying authority may be unable to
certify, including a lack of resources for
reviewing the certification request, other
more pressing priority work that the
agency must attend to, or because the
information provided to the agency
demonstrates that the discharge will not
comply with the Act. Under the former
circumstances, waiver may be
appropriate and under the latter
circumstance, denial would be
appropriate. The statute does not
prevent a project proponent from
reapplying for a section 401 certification
if the original request is denied, and this
proposal reaffirms the ability of a
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project proponent to submit a new
certification request. In the event that a
denial is issued, the EPA recommends
that the project proponent discuss with
the certifying authority whether project
plans could be altered to meet
applicable water quality requirements
upon submittal of a new request for
certification.
Where a federal agency determines
that a certifying authority’s denial
satisfied the requirements of section
401, the EPA proposes that the federal
agency provide written notification to
the certifying authority and the project
proponent that the denial was
consistent with section 401 and that the
license or permit will not be granted. A
project proponent may explore its
options to challenge a denial in court,
or alternatively, it may submit a new
request for certification that addresses
the water quality issues identified in the
denial in addition to the other
requirements for a request for
certification, as discussed in section
III.B in this preamble.
Where a federal agency determines
that a certifying authority’s denial failed
to meet the requirements of section 401,
the EPA proposes that the federal
agency provide written notification to
the certifying authority and the project
proponent and indicate which
provision(s) of section 401 the certifying
authority failed to meet. If the federal
agency receives the certifying
authority’s certification decision prior to
the end of the reasonable period of time,
the federal agency may provide the
certifying authority an opportunity to
remedy the deficiencies within the
remaining period of time. In such
circumstances, if the certifying authority
does not provide an updated
certification decision by the end of the
reasonable period of time, under the
proposal the federal agency would treat
the certification in a similar manner as
waiver. The EPA solicits comment on
whether this opportunity to remedy a
deficient denial would be helpful and
an appropriate use of federal agency
resources, whether it should be
mandatory for federal agencies to
provide this opportunity, and whether it
is within the scope of Agency authority
to establish through regulation.
EPA’s proposed regulations at
sections 121.6 (Effect of denial of
certification), 121.7 (Waiver), and 121.8
(Incorporation of conditions in the
license or permit) contemplate that the
licensing or permitting agency would
review and make appropriate
determinations about the adequacy of
certain aspects of a 401 certification.
Establishing such a role for federal
licensing or permitting agencies is a
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reasonable interpretation of the CWA. In
City of Tacoma, Washington v. FERC,
the Court of Appeals for the D.C. Circuit
noted that ‘‘[i]f the question regarding
the state’s section 401 certification is
not the application of state water quality
standards but compliance with the
terms of section 401, then [the federal
agency] must address it. This
conclusion is evident from the plain
language of section 401: ‘No license or
permit shall be granted until the
certification required by this section has
been obtained or has been waived.’ ’’
460 F.3d at 67–68 (citing 33 U.S.C.
1341(a)(1)) (emphasis in original). The
court went on to explain that even
though the federal agency did not need
to ‘‘inquire into every nuance of the
state law proceeding . . . it [did] require
[the federal agency] to at least to
confirm that the state has facially
satisfied the express requirements of
section 401.’’ Id. at 68; see also Hoopa
Valley Tribe v. FERC, 913 F.3d 1099,
1105 (D.C. Cir. 2019) (‘‘had FERC
properly interpreted Section 401 and
found waiver when it first manifested
more than a decade ago,
decommissioning of the Project might
very well be underway’’); Airport
Communities Coalition v. Graves, 280 F.
Supp.2d 1207, 1217 (W.D. Wash. 2003)
(holding that the Army Corps had
discretion not to incorporate untimely
certification conditions).43
In circumstances where certification
is waived, under this proposal, the
federal agency may continue processing
the license or permit in accordance with
its implementing regulations. As
discussed in section III.E and section
III.F in this preamble, under this
43 Cases like Sierra Club, 909 F.3d at 645;
Snoqualmie Indian Tribe, 545 F.3d at 1218; and
FERC, 952 F.2d at 548 are not to the contrary. These
cases do not stand for the proposition that licensing
agencies have no role to play in reviewing and
implementing state or tribal certifications. Although
the courts’ language is at times strong (e.g., ‘‘FERC
may not alter or reject conditions’’), a closer reading
shows that these holdings are more nuanced. In
Sierra Club, the court faulted FERC for replacing a
state certification condition with a different,
alternative condition FERC thought was more
protective. In Snoqualmie, the court allowed FERC
to require additional license conditions that did not
conflict with or weaken the protections provided by
the state’s certificate. In FERC, the court upheld
FERC’s hydroelectric facility license, observing that
‘‘we have no reason to doubt that any valid
conditions imposed by West Virginia in its section
401 certificates must and will be respected by the
Commission.’’ (Emphasis added). Even American
Rivers, 129 F.3d at 110–111, recognized that FERC
‘‘may determine whether the proper state has issued
the certification or whether a state has issued a
certification within the prescribed period.’’ To the
extent any of these cases arguably stand for the
proposition that licensing agencies lack the
authority or discretion to make appropriate
determinations regarding the adequacy of certain
aspects of a state’s or authorized tribe’s
certification, EPA disagrees.
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proposal a certifying authority may
waive its opportunity to certify, either
expressly by issuing a statement that it
is waiving its opportunity to certify or
by failing or refusing to act within the
reasonable period of time and in
accordance with section 401.
The EPA’s existing certification
regulations recognize the role of the
federal agency to determine whether a
waiver has occurred. 40 CFR 121.16(b);
see also Millennium Pipeline Company,
L.L.C. v. Seggos, 860 F.3d at 700–701
(acknowledging that a project proponent
can ask the federal agency to determine
whether a waiver has occurred). As
discussed in section III.E in this
preamble, the federal agency also
determines the reasonable period of
time for a certifying authority to act on
a request for certification. The EPA
proposes to reaffirm that it is the federal
agency that also determines whether a
waiver has occurred.
The EPA is also proposing to clarify
the procedures for a federal agency to
notify a certifying authority that a
waiver has occurred. If the certifying
authority fails or refuses to act before
the date specified by the federal agency,
as explained in section III.E in this
preamble, the federal agency would be
required to communicate to the
certifying authority and project
proponent in writing that waiver has
occurred. The communication would
also include the original notification
from the federal agency to the certifying
authority of the reasonable period of
time.
As discussed in section III.E in this
preamble, the practice of withdrawing
and resubmitting the same request for
certification does not pause or reset the
clock for purposes of determining
whether a waiver has occurred. In
Hoopa Valley Tribe, the Court of
Appeals for the D.C. Circuit held that
waiver occurred where the applicant
and certifying authority coordinated to
repeatedly resubmit the same
certification request for over a decade.
913 F.3d 1099.
This proposal reaffirms the ability of
a state to expressly or affirmatively
waive the requirement to obtain a
section 401 certification. Although the
statute does not explicitly provide for
express or affirmative waiver, such
waivers are consistent with the
certification authority’s ability to waive
through failure or refusal to act. An
express or affirmative decision to waive
certification does not provide the
certifying authority’s determination of
whether or not the section 401
certification request will comply with
the Act. Instead, an express or
affirmative waiver indicates that the
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certifying authority has chosen not to
act on a certification request. See EDF v.
Alexander, 501 F. Supp. 742, 771 (N.D.
Miss. 1980) (‘‘We do not interpret [the
Act] to mean that affirmative waivers
are not allowed. Such a construction
would be illogical and inconsistent with
the purpose of this legislation.’’).
Additionally, express or affirmative
waiver enables the federal agency to
proceed with processing an application
where the certifying authority has stated
it does not intend to act, thereby
avoiding the need to wait for the
reasonable period of time to lapse.
The Agency solicits comments on
whether the proposed approach
appropriately captures the scope of
authority for granting, conditioning,
waiving, and denying a section 401
certification, and whether the proposed
approach also effectively addresses
those circumstances where certification
is sought for general permits issued by
the federal agencies (e.g., 33 U.S.C.
1344(e)).
G. Certification by the Administrator
Section 401(a)(1) of the CWA provides
that ‘‘[i]n any case where a State or
interstate agency has no authority to
give such a certification, such
certification shall be from the
Administrator.’’ 33 U.S.C. 1341(a)(1).
Currently, all states have authority to
implement section 401 certification
programs. However, there are two
scenarios where the EPA acts as the
certifying authority: (1) On behalf of
federally recognized Indian tribes that
have not received TAS for section 401,
and (2) on lands of exclusive federal
jurisdiction, such as Denali National
Park. As discussed in section II.F.1 in
this preamble, tribes may obtain TAS
authorization for purposes of issuing
CWA section 401 certifications. If a tribe
does not obtain TAS for section 401
certifications, the EPA is responsible to
act as the certifying authority for
projects proposed on tribal land. The
Agency solicits comment on whether
additional information on the TAS
process for section 401 certifications
would be helpful and how the Agency
could best communicate that
information to the public.
The federal government may obtain
exclusive federal jurisdiction in
multiple ways, including where the
federal government purchases land with
state consent consistent with article 1,
section 8, clause 17 of the U.S.
Constitution; where a state chooses to
cede jurisdiction to the federal
government; and where the federal
government reserved jurisdiction upon
granting statehood. See Collins v.
Yosemite Park Co., 304 U.S. 518, 529–
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30 (1938); James v. Dravo Contracting
Co., 302 U.S. 134, 141–42 (1937);
Surplus Trading Company v. Cook, 281
U.S. 647, 650–52 (1930); Fort
Leavenworth Railroad Company v.
Lowe, 114 U.S. 525, 527 (1895). For
example, the federal government
retained exclusive jurisdiction over
Denali National Park in Alaska’s
Statehood Act. Alaska Statehood Act,
Public Law 85–508, 72 Stat. 339 (1958).
Considering the potential for
jurisdictional overlap between certifying
authorities at certain project sites (e.g.,
boundary between tribal land and a
state), the Agency encourages project
proponents to engage in pre-application
communications with certifying
authorities and federal agencies to
ensure project proponents submit a
request for certification to the
appropriate certifying authority.
The EPA’s existing certification
regulations discuss circumstances
where the Administrator certifies
instead of a state, tribe, or interstate
authority. The Agency proposes to
modernize and clarify these regulations,
and withdraw the text in 40 CFR 121.21
in its entirety and replace it with the
following text:
Certification by the Administrator that the
discharge from a proposed project will
comply with water quality requirements will
be required where no state, tribe, or interstate
agency has authority to give such a
certification.
In circumstances where the EPA is the
certifying authority and the water body
impacted by the proposed discharge
does not have any applicable water
quality standards, the EPA’s existing
regulation provides the EPA with an
advisory role. 40 CFR 121.24. The
statute does not explicitly provide for
this advisory role, and therefore this
proposal does not include a similar
provision. However, the Agency
believes that this advisory role may not
be inconsistent with the Agency’s
technical advisory role provided at 33
U.S.C. 1341(b). In an alternate approach,
the Agency may reaffirm the Agency’s
advisory role when it certifies for water
bodies without water quality
requirements. The Agency solicits
comment on its interpretation of the
EPA’s advisory role under Section 401
and the utility of maintaining such a
role for the EPA.
This proposal includes three
procedural requirements that would
apply when the Administrator is the
certifying authority: Clarified public
notice procedures, a pre-filing meeting
process, and specific timelines and
requirements for the EPA to request
additional information to support a
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certification request. Each of these is
discussed below and would be
contained in proposed sections 121.11
through 121.13.
1. Public Notice Procedure
Section 401 requires a certifying
authority to provide procedures for
public notice, and a public hearing
where necessary, on a certification
request. The courts have held that this
includes a requirement for public notice
itself. City of Tacoma, 460 F.3d at 68.
As discussed above in section III.B in
this preamble, the timeframe for making
a certification decision begins upon
receipt of request, and not when the
public notice is issued. The existing
regulations at 40 CFR part 121.23
describe the EPA’s procedures for
public notice after receiving a request
for certification.
The EPA proposes to update these
regulations to provide greater clarity to
project proponents, federal agencies,
and other interested parties on the
EPA’s procedures for public notice
when it is acting as the certifying
authority. Under the proposal, the
Agency would provide appropriate
public notice within 20 days of receipt
of a certification request to parties
known to be interested, such as tribal,
state, county, and municipal authorities,
heads of state agencies responsible for
water quality, adjacent property owners,
and conservation organizations. If the
EPA in its discretion determines that a
public hearing is appropriate or
necessary, the Agency would, to the
extent practicable, give all interested
and affected parties the opportunity to
present evidence or testimony at a
public hearing.
When acting as a certifying authority,
the EPA is subject to the same
timeframes and section 401 certification
requirements as other certifying
authorities. The Agency requests
comment on whether providing public
notice within 20 days of receipt is
appropriate or whether more or less
time would be appropriate.
2. Pre-Filing Meeting Procedure
This proposal also includes for the
first time a requirement that the project
proponent request a pre-filing meeting
with the EPA when the Agency is the
certifying authority. The Agency solicits
comment regarding whether the term
‘‘request’’ as used in the statute is broad
enough to include an implied
requirement that, as part of the
submission of a request for certification,
a project proponent also provide the
certifying authority with advance notice
that a request is imminent. The fact that
the statute requires the certifying
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authority to act on a request within a
relatively short time (no longer than one
year and possibly much less) or else
waive, provides some justification in
this context to interpret the term
‘‘request for certification’’ to also
include a pre-filing meeting process.
In order to facilitate early engagement
and coordination, and using its
discretion to interpret the term
‘‘request’’ as applied to its own
certification procedures, the EPA is
proposing a regulatory requirement for a
30-day pre-filing meeting process.
Under this proposal, a project
proponent would be required to request
in writing a pre-filing meeting with EPA
as the certifying authority at least 30
days before submitting a certification
request. As proposed, the EPA would be
required to promptly accommodate the
meeting request or respond in writing
that such a meeting is not necessary.
This proposed pre-filing meeting
process would give the EPA the option
to meet with project proponents before
a certification request is received to
learn more about a proposed federally
licensed or permitted project.
Alternatively, the EPA would have the
option to decline the meeting request.
The EPA expects to take advantage of
this proposed pre-filing meeting process
for larger or more complex projects and
may choose to decline the request for
more routine and less complex projects.
The EPA is proposing to require this
pre-filing meeting process to trigger
early communication with the EPA
about important aspects of section 401
certification requests before the project
proponent submits its certification
request. The period prior to submitting
a certification request provides an
opportunity for the project proponent to
verify whether a section 401
certification is required and for the EPA
to identify potential information, in
addition to the request requirements
proposed in this rule, that may be
necessary to evaluate the certification
request. This will be particularly
important if the EPA anticipates
requesting additional information from
the project proponent.
Pre-filing meetings could be
particularly helpful for complex
projects. In all cases, the EPA
recommends that preliminary
discussions between the project
proponent and the EPA begin well
before submittal of a certification
request. Early engagement and
coordination, including participation in
a pre-filing meeting or other pre-filing
procedures, may also help increase the
quality of application materials and
reduce the need for the EPA to request
additional information during the CWA
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section 401 review period. For further
discussion, see section III.E in this
preamble.
Many states and tribes have indicated
how valuable pre-filing communication
between the project proponent and the
certifying authority can be. The
Association of Clean Water
Administrators also reports that many
states either require or encourage prefiling meetings with project proponents
and observes that many states work with
project proponents through early
engagement to ensure project
proponents are aware of the state’s
information needs. During pre-proposal
outreach for this rulemaking,
stakeholders identified and
recommended specific opportunities for
early coordination among the project
proponent, certifying authority, and
relevant federal agencies. For instance,
some stakeholders encouraged pre-filing
meetings, and others encouraged early
information sharing between federal
agencies and certifying authorities.
The EPA’s existing section 401
certification regulations do not address
pre-filing consultation with the EPA or
any other certifying authority. However,
other federal agencies provide for prefiling discussions in their regulations.
For example, FERC regulations provide
that ‘‘[b]efore it files any application for
an original, new, or subsequent license
under this part, a potential applicant
must consult with the relevant Federal,
state, and interstate resource
agencies. . . .’’ 18 CFR 5.1(d)(1).
Additionally, the Corps regulations state
‘‘[t]he district engineer will establish
local procedures and policies including
appropriate publicity programs which
will allow potential applicants to
contact the district engineer or the
regulatory staff element to request preapplication consultation.’’ 33 CFR
325.1(b).
The Agency encourages states and
tribes to engage in early
communications with project
proponents and federal agencies,
including participation in pre-filing
meetings that federal agencies may
require for their licensing or permitting
processes, as these meetings may
provide significant advance notice and
additional information about proposed
federally licensed or permitted projects
and upcoming or future certification
requests. However, this proposal would
only require a pre-filing meeting process
when the EPA is the certifying
authority. The EPA received
recommendations from many states and
tribes during the pre-proposal process
that additional pre-filing procedures
would be valuable for them as well, and
the EPA would like to be responsive to
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these comments. The EPA seeks
comment on the proposed pre-filing
meeting process. The EPA is
particularly interested in comments
related to existing state, tribal or federal
agency pre-filing notice or meeting
requirements and whether such
requirements have favorably affected the
review and disposition of certification
requests, particularly with respect to
timely receipt of information relevant
for reaching informed section 401
certification decisions. The EPA also
solicits comment on whether states,
tribes and project proponents would
like this pre-filing meeting process to be
required for all certification requests,
including those where the EPA is not
the certifying authority, and what legal
authority the EPA would have to impose
such requirements on states and tribes
through this rulemaking. The EPA also
solicits comment on whether such prefiling meeting process, if adopted
nationwide, should be mandatory or
discretionary. If such pre-filing meeting
process were mandatory, the EPA also
solicits comment on the regulatory
effect of a project proponent or
certifying authority failing to participate
in this process.
3. Requests for Additional Information
The definition of a certification
request in this proposal identifies the
information that project proponents
would be required to provide to
certifying authorities when they submit
a request for certification. However, in
some cases, the EPA and other certifying
authorities may conclude that
additional information is necessary to
determine that the proposed activity
will comply with water quality
requirements (as defined at § 121.1(p) of
this proposal). Section 401 does not
expressly address the issue of whether
and under what conditions a certifying
authority may request additional
information to review and act on a
certification request. Given the
importance of this issue, it is reasonable
and consistent with the CWA’s statutory
framework that EPA when acting as a
certifying authority be afforded the
opportunity to seek additional
information necessary to do its job.
However, consistent with the statute’s
firm timeline, it is also reasonable to
assume that Congress intended there to
be some appropriate limits placed on
the timing and nature of such requests.
This proposal fills the statutory gap and
provides a structure for the EPA as the
certifying authority to request additional
information and for project proponents
to timely respond. The structure in this
proposal includes procedural processes
and timeframes for action and is
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intended to provide transparency and
regulatory certainty for the EPA and
project proponents.
Certifying authorities like the EPA
need relevant information as early as
possible to review and act on section
401 certification requests within the
reasonable period of time. As discussed
earlier, the proposed pre-filing meeting
process is intended to ensure that the
EPA has an opportunity to engage with
the project proponent early, learn about
the proposed federally licensed or
permitted project, and consider what
information might be needed from the
project proponent to act on a
certification request. The EPA is also
proposing that the Agency would have
30 days after the receipt of a
certification request to seek additional
information from the project proponent.
Additional information may include
more detail about the contents of the
potential discharge from the proposed
federally licensed or permitted project
or specific information about treatment
or waste management plans or, where
the certification will also cover a federal
operation permit, additional details
about discharges associated with the
operation of the facility.
The EPA is also proposing that the
Agency would only request additional
information that can be collected or
generated within the established
reasonable period of time. Under this
proposal, in any request for additional
information, the EPA would include a
deadline for the project proponent to
respond. The deadline must be required
to allow sufficient time for the Agency
to review the additional information
and act on the certification request
within the established reasonable period
of time. The EPA is proposing that
project proponents would be required to
submit requested information by the
EPA’s deadline. If the project proponent
fails to submit the requested
information, the EPA may conclude that
it does not have sufficient information
to certify that the discharge will comply
with applicable water quality
requirements. The EPA may also use its
expertise to evaluate the potential risk
associated with the remaining
information or data gap and consider
issuing timely certification with
conditions to address those potential
risks. The EPA expects these proposed
procedures to provide clarity and
regulatory certainty to the EPA and
project proponents.
This proposal is intended to address
concerns that the EPA heard from
stakeholders during the pre-proposal
period concerning the desire for prefiling procedure and additional
information requests. The EPA
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recognizes the advantages of working
cooperatively with project proponents
to secure the information needed to
conduct an informed review of a
certification request. This proposal
provides additional procedures to
assure the EPA will have an opportunity
to request additional information to
make informed and timely decisions on
certification requests.
This proposal is also intended to
address other issues that have caused
delays in certifications and project
development and that have resulted in
protracted litigation. For example, the
Agency is aware that some certifying
authorities have requested ‘‘additional
information’’ in the form of multi-year
environmental investigations and
studies, including completion of a
NEPA review, before the authority
would begin review of the certification
request.44 45 Consistent with the plain
language of section 401, under this
proposal such requests from the EPA
would not be authorized because they
would extend the statutory reasonable
period of time, which is not to exceed
one year. This proposal provides clarity
that, while additional information
requests may be a necessary part of the
certification process, such requests may
not result in extending the period of
time beyond which the CWA requires
the EPA to act.
44 See e.g., Exelon Generation Co. v. Grumbles,
2019 WL 1429530 (D.D.C. 2019) (describing how
the State of Maryland’s request for a multi-year
sediment study resulted in Exelon withdrawing and
resubmitting its certification request multiple times
to prevent waiver while the company completed the
study).
45 Some stakeholders have suggested that it may
be challenging for a state to act on a certification
request without the benefit of review under NEPA
or a similar state authority. See e.g., Cal. Pub. Res.
Code Section 21000 et seq.; Wash. Rev. Code
Section 43.21C.150. Consistent with the EPA’s June
7, 2019 guidance, the EPA recommends that
certifying authorities not delay action on a
certification request until a NEPA review is
complete. The environmental review required by
NEPA has a broader scope than that required by
section 401. For example, the NEPA review
evaluates potential impacts to all environmental
media, as well as potential impacts from alternative
proposals that may not be the subject of a federal
license or permit application. By comparison, a
section 401 certification review is far more narrow
and is focused on assessing potential water quality
impacts from the proposed federally licensed or
permitted project. Additionally, the NEPA process
has historically taken more than one year to
complete and waiting for a NEPA process to
conclude may result in waiver of the certification
requirement for failure to act within a reasonable
period of time. To the extent that state or tribal
implementing regulations require a NEPA review to
be completed as part of a section 401 certification
review, the EPA encourages certifying authorities to
update those regulations to incorporate deadlines
consistent with the reasonable period of time
established under the CWA, or decouple the NEPA
review from the section 401 process to ensure
timely action on section 401 certification requests.
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The EPA is aware that some states
have regulations addressing timeframes
within which states must request
additional information after the receipt
of a request for certification. For
instance, the California Code of
Regulations states that, ‘‘Upon receipt of
an application, it shall be reviewed by
the certifying agency to determine if it
is complete. If the application is
incomplete, the applicant shall be
notified in writing no later than 30 days
after receipt of the application, of any
additional information or action
needed.’’ Cal. Code Regs. tit. 23, 3835(a).
The EPA also notes that some state
regulations may require the completion
of certain processes, studies or other
regulatory milestones before it will
consider a certification request.
Although the CWA does provide
flexibility for certifying authorities to
follow their own administrative
processes, particularly for public notice
and comment, see 33 U.S.C. 1341(a),
these processes cannot be implemented
in such a manner to violate the plain
language of the CWA. The Act requires
the timeline for review to begin upon
receipt of a certification request and
requires certifications to be processed
within a reasonable period of time, not
to exceed one year.
A number of stakeholders submitted
recommendations to the pre-proposal
docket that the EPA propose procedural
requirements for certifying authorities’
requests for additional information.
Some stakeholders recommended
certifying authorities be required to
request additional information within
90 days of receipt, and that project
proponents must be required to respond
within 60 days. The EPA appreciates
these recommendations but notes that
those timelines would not be workable
if the federal agency establishes the
reasonable period of time as, for
example, 60 days from receipt.46 The
EPA understands that providing only 30
days from receipt for the EPA to request
additional information may seem short
but the proposed pre-filing meeting
process is a way for the Agency to
understand more about the proposed
federally licensed or permitted project
before the certification request is
submitted. The EPA solicits comment
on whether 30 days would be too long
in cases with a 60-day reasonable period
of time for a certifying authority to act
on a request. The EPA also solicits
comment on other appropriate timelines
for requesting additional information
46 The Army Corps’ existing federal regulations
require certifications to be completed within 60
days unless circumstances require more or less
time. 33 CFR 325.2(b)(1)(ii).
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that would be consistent with the
reasonable period of time established by
the federal agency.
The EPA solicits comment on whether
nationally consistent procedures for
requesting and receiving additional
information to support a certification
request would provide additional clarity
and regulatory certainty for certifying
authorities and project proponents. The
EPA solicits comment on whether the
procedures in this proposal should be
encouraged or required for all certifying
authorities, not just the EPA, and under
what authority the Agency could require
states and tribes to comply with these
procedures.
H. Determination of Effect on
Neighboring Jurisdictions
Section 401(a)(2) provides a
mechanism for the EPA to coordinate
input from states and authorized tribes
where the EPA has determined the
discharge from a proposed federally
licensed or permitted project subject to
section 401 may affect the quality of
their waters. The EPA’s existing pre1972 certification regulations establish
procedural requirements for this process
but require updating to align with the
modern CWA section 401 and establish
additional clarity. Additionally, preproposal stakeholder input identified
section 401(a)(2) as an area of the
regulations in need of procedural
clarification.
This proposal affirms the EPA’s
interpretation that section 401(a)(2)
establishes a discretionary authority for
the Agency to determine if a water
quality certification and related federal
license or permit may impact the water
quality in a neighboring jurisdiction.
Where the Agency in its discretion has
determined that the certified license or
permit ‘‘may affect’’ the quality of water
in any other state or authorized tribal
jurisdiction, the Act requires the EPA to
coordinate input from the affected
jurisdictions and make
recommendations to the federal agency.
This proposal modifies the EPA’s
existing certification regulations to
mirror the CWA in describing EPA’s
procedural duties regarding neighboring
jurisdictions. The statute provides that,
following notice of a section 401
certification, the Administrator shall
within 30 days notify a potentially
affected downstream state or authorized
tribe ‘‘[w]henever such a discharge may
affect, as determined by the
Administrator, the quality of the waters
of any other State.’’ 33 U.S.C. 1341(a)(2)
(emphasis added). Because the EPA’s
duty to notify is only triggered when the
EPA has made a determination that a
discharge ‘‘may affect’’ a downstream
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state or tribe, the section 401(a)(2)
notification requirement is contingent. It
is not a duty that applies to EPA with
respect to all certifications and licenses,
rather it applies where—at its
discretion—EPA has determined that
the discharge in question ‘‘may affect’’
a neighboring jurisdiction’s waters. This
proposal provides updated language to
increase clarity regarding EPA’s
discretionary determination.
The EPA also proposes to clarify the
section 401(a)(2) notification process in
this proposal, as such procedures are
not described in sufficient detail in the
existing regulations. If the EPA in its
discretion determines that a neighboring
jurisdiction may be affected by a
discharge from a federally licensed or
permitted project, the EPA must notify
the affected jurisdiction, certifying
authority, and federal agency within 30
days of receiving the notice of the
certification request from the federal
agency. If the EPA in its discretion does
not determine that the discharge may
affect neighboring waters, the EPA
would not provide section 401(a)(2)
notice.
The EPA is proposing that its
notification to neighboring jurisdictions
be in writing, dated, and state that the
affected jurisdiction has 60 days to
notify the EPA and the federal agency,
in writing, whether or not the discharge
will violate any of its water quality
requirements (as defined at § 121.1(p) of
this proposal) and whether the
jurisdiction will object to the issuance
of the federal license or permit and
request a public hearing from the federal
agency. The EPA is also proposing that,
if an affected jurisdiction requests a
hearing, the federal agency forward the
hearing notice to the EPA at least 30
days before the hearing takes place. The
EPA would then provide its
recommendations on the federal license
or permit at the hearing. After
considering the EPA and affected
jurisdiction’s input, the federal agency
would under this proposal be required
to condition the license or permit as
necessary to assure that the discharge
from the certified project will comply
with applicable water quality
requirements. Under this proposal, if
additional conditions cannot assure that
the discharge from the certified project
will comply with water quality
requirements, the federal agency would
not issue the license or permit. The
proposed regulation further clarifies that
the federal agency may not issue the
license or permit pending the
conclusion of the determination of
effects on a neighboring jurisdiction.
The EPA solicits comments on this
approach and whether additional
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process or clarification is needed to
explain the EPA’s role in determining
the effects on neighboring jurisdictions.
I. EPA’s Role in Review and Advice
This proposal reaffirms the EPA’s
important role in providing advice and
assistance. Section 40 CFR 121.30 of the
existing regulations specifically
highlight the EPA’s role in assisting
federal agencies as they assess project
compliance with conditions of a license
or permit. Although this proposal aims
to provide greater clarity on section 401
implementation, the Agency recognizes
its role in providing advice and
assistance as needed. For example, the
EPA proposes to change the term ‘‘water
quality standards’’—as currently
appearing in 40 CFR 121.30—to ‘‘water
quality requirements’’ in 121.15(a) to
align its regulations with the scope of
review and the scope of conditions
specified in section III.D in this
preamble. This change is not intended
to preclude federal agencies from
seeking support in interpreting
applicable water quality standards or
requirements and evaluating the
appropriate scope of review and
conditions for particular projects and
certification.
The EPA also proposes to clarify that
federal agencies, certifying authorities,
and project proponents may seek the
EPA’s technical expertise at any point
during the section 401 water quality
certification process. Additionally, the
EPA proposes that a certifying authority,
federal agency, or project proponent
may request assistance from the
Administrator to evaluate whether a
certification condition is intended to
address potential water quality impacts
caused by the discharge from a
proposed federally licensed or
permitted project into waters of the
United States. See section III.D in this
preamble for further discussion on the
appropriate scope of certification
conditions. The Agency solicits
comment on whether this proposal is
tailored for the EPA to provide
appropriate technical assistance to
certifying authorities, federal agencies
and project proponents, or if the EPA
should offer or provide assistance in
other specific or additional
circumstances.
J. Enforcement
The CWA expressly notes that all
certification conditions ‘‘shall become a
condition on any Federal license or
permit’’ subject to section 401. 33 U.S.C.
1341(d); see also Am. Rivers, 129 F.3d
at 111 (‘‘The CWA . . . expressly
requir[es] [federal agencies] to
incorporate into its licenses state-
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imposed-water-quality-conditions.’’).
However, the EPA’s existing
certification regulations do not discuss
the federal agency’s responsibility to
enforce such conditions after they are
incorporated into the permit. Under this
proposal and consistent with the Act, a
federal agency would be responsible for
enforcing conditions included in a
certification that are incorporated into a
federal license or permit. The EPA
requests comment on these provisions,
and whether additional enforcement
procedures may be appropriate to
further define the federal agency’s
enforcement obligations. In limited
circumstances, the EPA’s existing
certification regulations require the
Agency to provide notice of a violation
and allow six months for a project
proponent to return to compliance
before pursuing further enforcement.
See 40 CFR 121.25. The Agency solicits
comment on whether specific
procedures such as these would be
reasonable to include in section 401
regulations, or whether the general
enforcement provisions of the CWA
provide sufficient notice and procedure.
The Agency notes that section 401
does not provide an independent
regulatory enforcement role for
certifying authorities for conditions
included in federal licenses or permits.
The role of the certifying authority is to
review the proposed project and either
grant certification, grant with
conditions, deny, or waive certification.
Once the certifying authority acts on a
certification request, section 401 does
not provide an additional or ongoing
role for certifying authorities to enforce
certification conditions under federal
law; rather, that role is reserved to the
federal agency issuing the federal
license or permit. The Agency solicits
comment on this interpretation and
whether clarification on this point may
be appropriate to include in the
regulatory text.
Enforcement plays an essential role in
maintaining robust compliance with
section 401 certification conditions and
a critical part of any strong enforcement
program is the appropriate use of
enforcement discretion. Heckler v.
Chaney, 470 U.S. 821, 831 (1985) (‘‘This
Court has recognized on several
occasions over many years that an
agency’s decision not to prosecute or
enforce, whether through civil or
criminal process, is a decision generally
committed to an agency’s absolute
discretion.’’). Enforcement programs
exercise discretion and make careful
and informed choices about where to
conduct investigations, identifying the
most serious violations and reserving
limited enforcement resources for the
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cases that can make the most difference.
Sierra Club v. Whitman, 268 F.3d 898
(9th Cir. 2001). It is important for
enforcement programs to retain their
enforcement discretion because federal
agencies are in the best position to (1)
determine whether the action is likely to
succeed, (2) assess whether the
enforcement action requested fits the
agency’s policies, and (3) determine
whether they have enough resources to
undertake the action. See Heckler, 470
U.S. at 831. Further, federal agencies’
decisions not to enforce generally are
not subject to judicial review, because
they involve balancing several factors.
Id. These factors include ‘‘whether a
violation has occurred, . . . whether
agency resources are best spent on this
violation or another, whether the agency
is likely to succeed if it acts, whether
the particular action requested best fits
the federal agency’s overall policies,
and, indeed, whether the agency has
enough resources to undertake the
action at all.’’ Id.
Section 401(a)(4) and the EPA’s
existing regulations at 40 CFR part
121.26 through 121.28 describe
circumstances where the certifying
authority may inspect a facility that has
received certification prior to
operation 47 and notify the federal
agency to determine if the facility will
comply with applicable water quality
requirements. 33 U.S.C. 1341(a)(4). The
Agency proposes to update these
regulations to reflect the scope of
certification review under the modern
CWA in the proposed regulations at
§ 121.9 (see section III.D in this
preamble). Additionally, consistent with
section 401, the EPA proposes to
expand this inspection function to all
certifying authorities and clarify the
process by which certifying authorities
should notify the federal agency and
project proponent of any concerns.
Consistent with section 401, this
proposal provides certifying authorities
the opportunity to inspect the project
facility or activity prior to operations, in
order to determine if the discharge from
the certified project will comply with
the certification. After an inspection, the
certifying authority would be required
to notify the project proponent and
federal agency in writing if the
discharge from the certified project will
violate the certification. The certifying
authority would also be required to
specify recommendations of measures
that may be necessary to bring the
certified project into compliance with
the certification. The Agency solicits
comment on whether there are
47 The Agency notes that operation may include
implementation of a certified project.
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additional procedures or clarifications
that would provide greater regulatory
certainty for certifying authorities,
federal agencies, and project
proponents.
K. Modifications
Section 401 does not provide an
express oversight role for the EPA with
respect to the issuance or modification
of individual water quality certifications
by certifying authorities, other than the
requirement that the EPA provide
technical assistance under section
401(b) and the limited role the EPA is
expected to play for ensuring the
protection of other states’ waters under
section 401(a)(2). However, the EPA’s
existing certification regulations provide
the Agency a unique oversight role in
the context of a modification to an
existing water quality certification. 40
CFR 121.2(b). The EPA is proposing to
remove this provision from the
regulatory text as it is inconsistent with
the Agency’s role for new certifications.
In the alternative, the Agency requests
comment on whether it should maintain
the existing oversight provision for
certification modifications to provide a
regulatory backstop for ensuring
consistency with the CWA, given the
relative infrequency of occurrence and
the unique nature the circumstances
giving rise to a modification request.
The Agency also solicits comment on
the appropriate scope of the EPA’s
general oversight role under section 401,
whether the EPA should play any role
in oversight of state or tribal
certifications or modifications, and, if
so, what that role should be. The
Agency also requests comment on the
legal authority for a more involved
oversight role in individual water
quality certifications or modifications.
In addition, in light of the statute’s oneyear time limit for acting on a section
401 certification, the EPA solicits
comment on whether and to what extent
states or tribes should be able to modify
a previously issued certification, either
before or after the time limit expires,
before or after the license or permit is
issued, or to correct an aspect of a
certification or its conditions remanded
or found unlawful by a federal or state
court or administrative body.
IV. Economic Analysis
Pursuant to Executive Orders 12866
and 13563, the Agency conducted an
economic analysis to better understand
the potential effects of this proposal on
certifying authorities and project
proponents. While the economic
analysis is informative in the
rulemaking context, the EPA is not
relying on the analysis as a basis for this
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proposed rule. See, e.g., Nat’l. Assn. of
Homebuilders v. EPA, 682 F.3d 1032,
1039–40 (D.C. Cir. 2012). The analysis is
contained and described more fully in
the document Economic Analysis for the
Proposed Clean Water Act Section 401
Rulemaking. A copy of this document is
available in the docket for this action.
Section 401 certification decisions
have varying effects on certifying
authorities and project proponents. The
Economic Analysis provides a
qualitative analysis of the current and
proposed section 401 certification
process to make the best use of limited
information to assess the potential
impacts of this proposed rule on project
proponents and certifying authorities.
Using the current practice as the
baseline, the document assesses the
potential impacts to certifying
authorities and project proponents from
the proposed revisions to the section
401 certification process. In particular,
the Economic Analysis focuses on the
proposed revisions to the time period
for review, the scope of review, and the
proposed process requirements
applicable when the EPA is the
certifying authority. The Economic
Analysis explores these changes in more
detail through four case studies.
This proposal will help certifying
authorities, federal agencies, and project
proponents understand what is required
and expected during the section 401
certification process, thereby reducing
regulatory uncertainty. The Economic
Analysis concludes that improved
clarity on the scope and reasonable
period of time for certification review
may make the certification process more
efficient for project proponents and
certifying authorities.
The Agency solicits comments on all
aspects of the analysis, including
assumptions made and information
used, and requests any data that may
assist the Agency in evaluating and
characterizing the potential impacts of
the proposed revisions to the section
401 certification process. The Agency
also solicits comment on the utility of
using case studies to inform the
Agency’s analysis, the utility of the
specific case studies selected, and if
there are other examples that could also
serve as informative case studies.
V. Statutory and Executive Order
Reviews
Additional information about these
statutes and Executive Orders can be
found at https://www.epa.gov/lawsregulations/laws-and-executive-orders.
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A. Executive Order 13771: Reducing
Regulation and Controlling Regulatory
Costs
Pursuant to Executive Order 13771
(82 FR 9339, February 3, 2017), this
proposed rule is expected to be a
deregulatory action. Although the
proposed revisions in certain
circumstances may limit the authority of
some states and tribes relative to current
practice, the Agency believes the net
effect of the proposal on the certification
process will likely be deregulatory. See
Economic Analysis for the Proposed
Clean Water Act Section 401
Rulemaking for further discussion about
the potential effects of this rule.
B. Executive Order 12866: Regulatory
Planning and Review; Executive Order
13563: Improving Regulation and
Regulatory Review
This action is a significant regulatory
action that was submitted to the Office
of Management and Budget (OMB) for
review. Any changes made in response
to OMB recommendations have been
documented in the docket for this
action. In addition, the Agency prepared
an analysis of potential costs and
benefits associated with this action.
This analysis is contained in the
document Economic Analysis for the
Proposed Clean Water Act Section 401
Rulemaking, which is available in the
docket and briefly summarized in
section IV in this preamble. Because of
the limitations in data availability and
uncertainty in the way in which
certifying authorities and project
proponents may respond following a
change in the section 401 certification
process, the potential effects of the
proposed rule are discussed
qualitatively. While economic analyses
are informative in the rulemaking
context, the agencies are not relying on
the economic analysis performed
pursuant to Executive Orders 12866 and
13563 and related procedural
requirements as a basis for this
proposed action.
C. Paperwork Reduction Act
The information collection activities
in this proposed rule have been
submitted for approval to the Office of
Management and Budget (OMB) under
the PRA. The Information Collection
Request (ICR) document that the EPA
prepared has been assigned EPA ICR
number 2603.02 (OMB Control No.
XXXX).
The information collected under
section 401 is used by the certifying
authorities for reviewing proposed
projects for potential water quality
impacts from discharges from an
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activity that requires a federal license or
permit, and by the EPA to evaluate
potential effects on downstream or
neighboring states and tribes. Except for
when the EPA evaluates potential
downstream impacts and acts as a
certifying authority, information
collected under section 401 is not
directly collected by or managed by the
EPA. The primary collection of
information is performed by other
federal agencies and states and tribes
acting as certifying authorities.
Information collected directly by the
EPA under section 401 in support of the
section 402 program is already captured
under existing EPA ICR No. 0229.22
(OMB Control No. 2040).
The revisions in the proposed rule
clarify the information project
proponents must provide to request a
section 401 certification, introduce a
preliminary meeting requirement for
project proponents where the EPA acts
as the certifying authority. The
proposed revisions also remove
information requirements in the
certification modification and 401(a)(2)
contexts and provide additional
transparency by identifying information
necessary to support certification
actions. The EPA expects these
proposed revisions to provide greater
clarity on section 401 requirements,
reduce the overall preparation time
spent by a project proponent on
certification requests, and reduce the
review time for certifying authorities.
The EPA solicits comment on whether
there are ways it can increase clarity,
reduce the burden, or improve the
quality or utility of the collection of
information in general.
In the interest of transparency and
public understanding, the EPA has
provided here relevant portions of the
burden assessment associated with the
EPA’s existing certification regulations.
The EPA does not expect any
measurable change in information
collection burden associated with the
proposed changes.
Respondents/affected entities: Project
proponents, state and tribal reviewers
(certifying authorities).
Respondent’s obligation to respond:
Required to obtain 401 certification.
Estimated number of respondents:
41,000 per year.
Frequency of response: Per federal
application.
Total estimated burden: 328,000
hours (per year). Burden is defined at 5
CFR 1320.3(b).
Total estimated cost: $18,000,000 (per
year).
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
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unless it displays a currently valid OMB
control number. The OMB control
numbers for the EPA’s regulations in 40
CFR are listed in 40 CFR part 9.
Submit your comments on the
Agency’s need for this information, the
accuracy of the provided burden
estimates and any suggested methods
for minimizing respondent burden to
the EPA using the docket identified at
the beginning of this rule. You may also
send your ICR-related comments to
OMB’s Office of Information and
Regulatory Affairs via email to OIRA_
submission@omb.eop.gov, Attention:
Desk Officer for the EPA. Since OMB is
required to make a decision concerning
the ICR between 30 and 60 days after
receipt, OMB must receive comments no
later than September 23, 2019. The EPA
will respond to any ICR-related
comments in the final rule.’’
D. Regulatory Flexibility Act
The Agency certifies that this action
will not have a significant economic
impact on a substantial number of small
entities under the Regulatory Flexibility
Act (RFA). In making this
determination, the impact of concern is
any significant adverse economic
impact on small entities. An agency may
certify that a rule will not have a
significant economic impact on a
substantial number of small entities if
the rule relieves regulatory burden, has
no net burden or otherwise has a
positive economic effect on the small
entities subject to the rule. Section 401
requires federal license or permit project
applicants to request certification from
the certifying authority. This action will
provide project applicants with greater
clarity and certainty on the contents of
and procedures for a request for
certification.
The Regulatory Flexibility Act (RFA)
of 1980, as amended by the Small
Business Regulatory Enforcement
Fairness Act (SBREFA) of 1996, requires
Federal agencies to consider the impact
of their regulatory proposals on small
entities, to analyze alternatives that
minimize those impacts, and to make
their analyses available for public
comments. The RFA addresses three
types of small entities: Small
businesses, small nonprofits, and small
government jurisdictions.
These entities have the following
definitions under the RFA: (1) A small
business that is a small industrial entity
as defined in the U.S. Small Business
Administration’s size standards (see 13
CFR 121.201); (2) a small organization
that is any not-for-profit enterprise that
is independently owned and operated
and is not dominant in its fields; or (3)
a small governmental jurisdiction that is
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a government of a city, county, town,
school district, or special district with a
population of less than 50,000.
The RFA describes the regulatory
flexibility analyses and procedures that
must be completed by federal agencies
unless they certify that this rule, if
promulgated, would not have a
significant economic impact on a
substantial number of small entities.
This certification must be supported by
a statement of factual basis, such as
addressing the number of small entities
affected by the proposed action,
expected cost impacts on these entities,
and evaluation of the economic impacts.
These revisions to section 401 do not
establish any new requirements directly
applicable to regulated entities. This
rule may impact states and authorized
tribes that implement section 401 in the
form of administrative burden and cost.
States and tribes are not small entities
under the RFA. As such, this rule will
not result in impacts to small entities.
E. Unfunded Mandates Reform Act
This proposed rule does not contain
an unfunded mandate of $100 million or
more as described in the Unfunded
Mandates Reform Act of 1995 (UMRA),
2 U.S.C. 1531–1538. The action imposes
no enforceable duty on any state, local
or tribal governments or the private
sector. The proposed rule does not
contain regulatory requirements that
significantly or uniquely affect small
governments.
F. Executive Order 13132: Federalism
The Agency consulted with state and
local government officials, or their
representative national organizations,
during the development of this action as
required under the terms of Executive
Order 13132 (64 FR 43255, August 10,
1999). On April 24, 2019, the Agency
initiated a 30-day Federalism
consultation period prior to proposing
this rule to allow for meaningful input
from state and local governments. The
kickoff Federalism consultation meeting
occurred on April 23, 2019; attendees
included intergovernmental associations
and other associations representing state
and local governments. Organizations in
attendance included: National
Governors’ Association, U.S. Conference
of Mayors, National Conference of State
Legislatures, the Environmental Council
of States, National League of Cities,
Council of State Governments, National
Association of Counties, National
Association of Towns and Townships,
Association of Clean Water
Administrators, Western States Water
Council, Conference of Western
Attorneys’ General, Association of State
Wetland Managers, and Western
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Governors Association. Additionally,
one in-person meeting was held with
the National Governors’ Association on
May 7, 2019. The Agency also held an
informational webinar for states and
tribes on May 8, 2019. At the webinars
and meetings, the EPA provided a
presentation and sought input on areas
of section 401 that may require
clarification, including timeframe, scope
of certification review, and coordination
among project proponents, certifying
authorities, and federal licensing or
permitting agencies. See section II.C in
this preamble for more information on
outreach with states prior to federalism
consultation. Letters and webinar
attendee feedback received by the
agency before and during Federalism
consultation may be found on the preproposal recommendations docket
(Docket ID No. EPA–HQ–OW–2018–
0855). These webinars, meetings, and
letters provided a wide and diverse
range of interests, positions, and
recommendations to the Agency. See
section II.C in this preamble for a
summary of recommendations.
This action may change how states
administer the section 401 program.
Under the technical requirements of
Executive Order 13132, the Agency has
determined that this proposed rule may
not have federalism implications, but
believe that the requirements of the
Executive Order have been satisfied in
any event.
G. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
The Agency consulted with tribal
officials during the development of this
action to permit meaningful and timely
tribal input, consistent with the EPA
Policy on Consultation and
Coordination with Indian Tribes. The
EPA initiated a tribal consultation and
coordination process before proposing
this rule by sending a ‘‘Notification of
Consultation and Coordination’’ letter
dated April 22, 2019, to all 573
Federally recognized tribes. The letter
invited tribal leaders and designated
consultation representatives to
participate in the tribal consultation and
coordination process. The Agency held
two identical webinars on this action for
tribal representatives on May 7 and May
15, 2019. The Agency also presented on
this action at the Region 9 Regional
Tribal Operations Committee Spring
meeting on May 22, 2019. Additionally,
tribes were invited to two webinars for
states, Tribes, and local governments on
April 17, 2019 and May 8, 2019. Tribes
and tribal organizations sent 14 preproposal recommendation letters to the
agency as part of the consultation
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process. All tribal and tribal
organization letters and webinar
feedback may be found on the preproposal recommendations docket
(Docket ID No. EPA–HQ–OW–2018–
0855). The Agency met with three
Tribes at the staff-level. See the section
II.C on ‘‘Pre-proposal engagement’’ for a
summary of recommendations.
This action may change how tribes
with TAS for section 401 administer the
section 401 program, but will not have
an administrative impact on tribes for
whom EPA certifies on their behalf. The
proposal will not impose substantial
direct compliance costs on federally
recognized tribal governments nor
preempt tribal law.
H. Executive Order 13045: Protection of
Children From Environmental Health
and Safety Risks
This action is not subject to Executive
Order 13045 (62 FR 19885, April 23,
1997) because the environmental health
or safety risks addressed by this action
do not present a disproportionate risk to
children.
I. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
This action is not a ‘‘significant
energy action’’ as defined in Executive
Order 13211 (66 FR 28355, May 22,
2001), because it is not likely to have a
significant adverse effect on the supply,
distribution, or use of energy.
44119
Dated: August 8, 2019.
Andrew R. Wheeler,
Administrator.
For the reasons set forth in the
preamble, the EPA proposes to revise 40
CFR part 121 as follows:
■
PART 121—STATE CERTIFICATION OF
ACTIVITIES REQUIRING A FEDERAL
LICENSE OR PERMIT
Sec.
Subpart A—General
121.1 Definitions
Subpart B—Certification Procedures
121.2 When certification is required
121.3 Scope of certification
121.4 Establishing the reasonable period of
time
121.5 Action on a certification request
121.6 Effect of denial of certification
121.7 Waiver
121.8 Incorporation of conditions into the
license or permit
121.9 Enforcement and compliance of
certification conditions
Subpart C—Determination of Effect on
Other States
121.10 Determination of effects on
neighboring jurisdictions
Subpart D—Certification by the
Administrator
121.11 When the Administrator certifies
121.12 Pre-request procedures
121.13 Request for additional information
121.14 Notice and hearing
Subpart E—Consultations
121.15 Review and advice
Authority: 33 U.S.C. 1251 et. seq.
J. National Technology Transfer and
Advancement Act
Subpart A—General
This proposed rule does not involve
technical standards.
(a) Administrator means the
Administrator of the Environmental
Protection Agency or the appropriate
Regional Administrator to whom the
Administrator has delegated Clean
Water Act section 401 authority.
(b) Certification means a water quality
certification issued in accordance with
Clean Water Act section 401 and this
part.
(c) Certification request means a
written, signed, and dated
communication from a project
proponent to the appropriate certifying
authority that:
(1) Identifies the project proponent(s)
and a point of contact;
(2) Identifies the proposed project;
(3) Identifies the applicable federal
license or permit;
(4) Identifies the location and type of
any discharge that may result from the
proposed project and the location of
receiving waters;
K. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
The human health or environmental
risks addressed by this action will not
have potential disproportionately high
and adverse human health or
environmental effects on minority
populations, low income populations,
and/or indigenous populations, as
specified in Executive Order 12898 (59
FR 7629, February 11, 1994).
List of Subjects in 40 CFR Part 121
Environmental protection,
Administrative practice and procedure,
Intergovernmental relations, Water
pollution control.
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(5) Includes a description of any
methods and means proposed to
monitor the discharge and the
equipment or measures planned to treat
or control the discharge;
(6) Includes a list of all other federal,
interstate, tribal, state, territorial, or
local agency authorizations required for
the proposed project, including all
approvals or denials already received;
and
(7) Contains the following statement:
‘The project proponent hereby requests
that the certifying authority review and
take action on this CWA 401
certification request within the
applicable reasonable period of time.’
(d) Certified project means a proposed
project that has received a Clean Water
Act section 401 certification or for
which the certification requirement has
been waived.
(e) Certifying authority means the
agency designated by law to certify
compliance with applicable water
quality requirements in accordance with
Clean Water Act section 401.
(f) Condition means a specific
requirement included in a certification
that is within the scope of certification.
(g) Discharge for purposes of this part
means a discharge from a point source
into navigable waters.
(h) Fail or refuse to act means the
certifying authority actually or
constructively fails or refuses to grant or
deny certification, or waive the
certification requirement, within the
scope of certification and within the
reasonable period of time.
(i) Federal agency means any agency
of the Federal Government to which
application is made for a license or
permit that is subject to Clean Water Act
section 401.
(j) License or permit means any
license or permit granted by an agency
of the Federal Government to conduct
any activity which may result in a
discharge.
(k) Neighboring jurisdictions means
any other state or authorized tribe
whose water quality the Administrator
determines may be affected by a
discharge for which a certification is
granted pursuant to Clean Water Act
section 401 and this part.
(l) Project proponent means the
applicant for a license or permit.
(m) Proposed project means the
activity or facility for which the project
proponent has applied for a license or
permit.
(n) Reasonable period of time means
the time period during which a
certifying authority may act on a
certification request, established in
accordance with § 121.4.
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(o) Receipt means the date that a
certification request is documented as
received by a certifying authority in
accordance with applicable submission
procedures.
(p) Water quality requirements means
applicable provisions of §§ 301, 302,
303, 306, and 307 of the Clean Water
Act and EPA-approved state or tribal
Clean Water Act regulatory program
provisions.
Subpart B—Certification Procedures
§ 121.2
When certification is required.
Any applicant for a license or permit
to conduct any activity which may
result in a discharge shall provide the
Federal agency a certification from the
certifying authority in accordance with
this part.
§ 121.3
Scope of certification.
The scope of a Clean Water Act
section 401 certification is limited to
assuring that a discharge from a
Federally licensed or permitted activity
will comply with water quality
requirements.
§ 121.4 Establishing the reasonable period
of time.
(a) The Federal agency shall establish
the reasonable period of time
categorically or on a case by case basis,
which shall not exceed one year from
receipt.
(b) Upon submittal of a certification
request, the project proponent shall
contact the Federal agency in writing to
provide notice of the certification
request.
(c) Within 15 days of receiving notice
of the certification request from the
project proponent, the Federal agency
shall provide, in writing, the following
information to the certifying authority:
(1) The applicable reasonable period
of time to act on the certification
request;
(2) The date of receipt of the
certification request; and
(3) The date upon which waiver will
occur if the certifying authority fails or
refuses to act on the certification
request.
(d) In establishing the reasonable
period of time, Federal agencies shall
consider:
(1) The complexity of the proposed
project;
(2) The potential for any discharge;
and
(3) The potential need for additional
study or evaluation of water quality
effects from the discharge.
(e) The Federal agency may modify an
established reasonable period of time,
but in no case shall it exceed one year
from receipt.
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(1) Any request by a certifying
authority or project proponent to the
Federal agency to extend the reasonable
period of time shall be in writing.
(2) If the Federal agency agrees to
modify the reasonable period of time, it
shall notify the certifying authority and
project proponent in writing.
(f) The certifying authority is not
authorized to request the project
proponent to withdraw a certification
request or to take any other action for
the purpose of modifying or restarting
the established reasonable period of
time.
§ 121.5
Action on a certification request.
(a) Any action to grant, grant with
conditions, or deny a certification
request must be within the scope of
certification and completed within the
established reasonable period of time.
Alternatively, a certifying authority may
expressly waive the certification
requirement.
(b) If the certifying authority
determines that the discharge from a
proposed project will comply with
water quality requirements it may issue
a certification. If the certifying authority
cannot certify that the discharge from a
proposed project will comply with
water quality requirements, it may deny
or waive certification.
(c) Any grant of certification shall be
in writing and shall include a statement
that the discharge from the proposed
project will comply with water quality
requirements.
(d) Any grant of certification with
conditions shall be in writing and shall
for each condition include, at a
minimum:
(1) A statement explaining why the
condition is necessary to assure that the
discharge from the proposed project will
comply with water quality
requirements;
(2) A citation to federal, state, or tribal
law that authorizes the condition; and
(3) A statement of whether and to
what extent a less stringent condition
could satisfy applicable water quality
requirements.
(e) Any denial of certification shall be
in writing and shall include:
(1) The specific water quality
requirements with which the proposed
project will not comply;
(2) A statement explaining why the
proposed project will not comply with
the identified water quality
requirements; and
(3) The specific water quality data or
information, if any, that would be
needed to assure that the discharge from
the proposed project complies with
water quality requirements.
(f) If the certifying authority
determines that no water quality
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requirements are applicable to the
waters receiving the discharge from the
proposed project, the certifying
authority shall grant or waive
certification.
§ 121.6
Effect of denial of certification.
(a) A certification denial shall not
preclude a project proponent from
submitting a new certification request,
in accordance with the substantive and
procedural requirements of this part.
(b) Where a Federal agency
determines that a certifying authority’s
denial satisfies the requirements of
Clean Water Act section 401 and
§§ 121.3 and 121.5(e), the Federal
agency must provide written notice of
such determination to the certifying
authority and project proponent, and
the license or permit shall not be
granted.
(c) Where a Federal agency
determines that a certifying authority’s
denial did not satisfy the requirements
of Clean Water Act section 401 and
§§ 121.3 and 121.5(e), the Federal
agency must provide written notice of
such determination to the certifying
authority and indicate which
provision(s) of Clean Water Act section
401 and this part the certifying authority
failed to satisfy.
(1) If the Federal agency receives the
certifying authority’s certification
decision prior to the end of the
reasonable period of time, the Federal
agency may offer the certifying authority
the opportunity to remedy the identified
deficiencies in the remaining period of
time.
(2) If the certifying authority does not
provide a certification decision that
satisfies the requirements of Clean
Water Act section 401 and this part by
the end of the reasonable period of time,
the Federal agency shall treat the
certification in a similar manner as
waiver.
§ 121.7
Waiver.
(a) The certification requirement for a
license or permit shall be waived upon:
(1) Written notification from the
certifying authority to the project
proponent and the Federal agency that
it expressly waives its authority to act
on a certification request; or
(2) The certifying authority’s failure or
refusal to act on a certification request.
(b) If the certifying authority fails or
refuses to act, the Federal agency shall
provide written notice to the
Administrator, certifying agency, and
project proponent that waiver has
occurred. This notice must be in writing
and include the notice that the Federal
agency provided to the certifying
authority pursuant to § 121.4(c).
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(c) A written notice of waiver from the
Federal agency shall satisfy the project
proponent’s requirement to obtain a
certification.
(d) Upon issuance of a written notice
of waiver, the Federal agency may issue
the license or permit.
§ 121.8 Incorporation of conditions into
the license or permit.
(a) All conditions that satisfy the
definition of § 121.1(f) and meet the
requirements of § 121.5(d) shall be
incorporated into the license or permit
and shall be federally enforceable.
(1) If the Federal agency determines
that a condition does not satisfy the
definition of § 121.1(f) and meet the
requirements of § 121.5(d), such
condition shall not be incorporated into
the license or permit. The Federal
agency must provide written notice of
such determination to the certifying
authority and indicate which conditions
are deficient and why they do not
satisfy provisions of this part.
(2) If the Federal agency receives a
certification with conditions that do not
satisfy the definition of § 121.1(f) and
the requirements of § 121.5(d) prior to
the end of the reasonable period of time,
the Federal agency may notify the
certifying authority and provide an
opportunity in the remaining period of
time for the certifying authority to
remedy the deficient conditions. If the
certifying authority does not remedy the
deficient conditions by the end of the
reasonable period of time, the Federal
agency shall not incorporate them in the
license or permit.
(b) The license or permit must clearly
identify any conditions that are based
on the certification.
§ 121.9 Enforcement and compliance of
certification conditions.
(a) The certifying authority, prior to
the initial operation of a certified
project, shall be afforded the
opportunity to inspect the proposed
discharge location for the purpose of
determining if the discharge from the
certified project will comply with the
certification.
(b) If the certifying authority, after an
inspection, determines that the
discharge from the certified project will
violate the certification, the certifying
authority shall notify the project
proponent and the Federal agency in
writing, and recommend remedial
measures necessary to bring the certified
project into compliance with the
certification.
(c) The Federal agency shall be
responsible for enforcing certification
conditions that are incorporated into a
federal license or permit.
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44121
Subpart C—Determination of Effect on
Other States
§ 121.10 Determination of effects on
neighboring jurisdictions.
(a) Upon receipt of a federal license or
permit application and the related
certification, the Federal agency shall
notify the Administrator.
(b) Within 30 days of receipt of the
notice provided by the Federal agency,
the Administrator at his or her
discretion may determine that the
discharge from the certified project may
affect water quality in a neighboring
jurisdiction. In making this
determination and in accordance with
applicable law, the Administrator may
request copies of the certification and
the federal license or permit
application.
(c) If the Administrator determines
that the discharge from the certified
project may affect water quality in a
neighboring jurisdiction, the
Administrator shall notify the affected
neighboring jurisdiction, the certifying
authority, the Federal agency, and the
project proponent, and the federal
license or permit may not be issued
pending the conclusion of the processes
in this paragraph and paragraph (d) of
this section.
(1) Notification from the
Administrator shall be in writing, dated,
identify the materials provided by the
Federal agency, and inform the affected
neighboring jurisdiction that it has 60
days to notify the Administrator and the
Federal agency, in writing, whether it
has determined that the discharge will
violate any of its water quality
requirements, object to the issuance of
the federal license or permit, and
request a public hearing from the
Federal agency.
(2) Notification of objection from the
neighboring jurisdiction shall be in
writing, shall identify the receiving
waters it determined will be affected by
the discharge and the specific water
quality requirements it determines will
be violated by the certified project, and
state whether the neighboring
jurisdiction requests a hearing.
(d) If the affected neighboring
jurisdiction requests a hearing in
accordance with this paragraph, the
Federal agency shall hold a public
hearing on the affected neighboring
jurisdiction’s objection to the license or
permit.
(1) The Federal agency shall provide
the hearing notice to the Administrator
at least 30 days before the hearing takes
place.
(2) At the hearing, the Administrator
shall submit to the Federal agency its
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evaluation and recommendation(s)
concerning the objection.
(3) The Federal agency shall consider
recommendations from the neighboring
jurisdiction and the Administrator, and
any additional evidence presented to
the Federal agency at the hearing and
determine if additional conditions are
necessary to assure that the discharge
from the certified project will comply
with water quality requirements.
(4) If additional conditions cannot
assure that the discharge from the
certified project will comply with water
quality requirements, the Federal
agency shall not issue the license or
permit.
Subpart D—Certification by the
Administrator
§ 121.11
When the Administrator certifies.
(a) Certification by the Administrator
that the discharge from a proposed
project will comply with water quality
requirements will be required where no
state, tribe, or interstate agency has
authority to give such a certification.
(b) In taking action pursuant to this
paragraph, the Administrator shall
comply with the requirements of the
Clean Water Act section 401 and this
part.
(c) For purposes of this subpart, the
certifying authority is the
Administrator.
§ 121.12
Pre-request procedures.
(a) At least 30 days prior to submitting
a certification request, the project
proponent shall request a pre-filing
meeting with the certifying authority.
(b) The certifying authority shall
timely grant the pre-filing meeting
request or provide written notice to the
project proponent that a pre-filing
meeting is not necessary.
(c) At the pre-filing meeting, the
project proponent and the certifying
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authority shall discuss the nature of the
proposed project and potential water
quality effects. The project proponent
shall provide a list of applicable state
and federal licenses and permits and
describe the anticipated timeline for
construction and operation.
(d) After the pre-filing meeting, the
certifying authority shall contact the
Federal agency and identify points of
contact at each agency to facilitate
information sharing throughout the
certification process.
§ 121.13 Request for additional
information.
(a) The certifying authority shall have
30 days from receipt to request
additional information from the project
proponent.
(b) The certifying authority shall only
request additional information that is
within the scope of certification and
directly related to the discharge from
the proposed project and its potential
effect on the receiving waters.
(c) The certifying authority shall only
request information that can be
collected or generated within the
established reasonable period of time.
(d) In any request for additional
information, a certifying authority shall
include a deadline for the project
proponent to respond.
(1) Project proponents shall comply
with deadlines established by the
certifying authority.
(2) The deadline must allow sufficient
time for the certifying authority to
review the additional information and
act on the certification request within
the established reasonable period of
time.
(e) Failure of a project proponent to
timely provide the certifying authority
with additional information does not
modify the established reasonable
period of time.
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§ 121.14
Notice and hearing.
(a) Within 20 days of receipt of a
certification request, the Administrator
shall provide appropriate public notice
of receipt of such request, including to
parties known to be interested in the
proposed project or the receiving waters
into which the discharge may occur,
such as tribal, state, county, and
municipal authorities, heads of state
agencies responsible for water quality,
adjacent property owners, and
conservation organizations.
(b) If the Administrator in his or her
discretion determines that a public
hearing is appropriate or necessary, the
agency shall schedule such hearing at
an appropriate time and place and, to
the extent practicable, give all interested
and affected parties the opportunity to
present evidence or testimony in person
or by other means at a public hearing.
Subpart E—Consultations
§ 121.15
Review and advice.
(a) The Administrator may, and upon
request shall, provide federal agencies,
certifying authorities, and project
proponents with assistance regarding
determinations, definitions and
interpretations with respect to the
meaning and content of water quality
requirements, as well as assistance with
respect to the application of water
quality requirements in particular cases
and in specific circumstances
concerning a discharge from a proposed
project or a certified project.
(b) A certifying authority, Federal
agency, or project proponent may
request assistance from the
Administrator to evaluate whether a
condition is intended to address water
quality effects from the discharge.
[FR Doc. 2019–17555 Filed 8–21–19; 8:45 a.m.]
BILLING CODE 6560–50–P
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Agencies
[Federal Register Volume 84, Number 163 (Thursday, August 22, 2019)]
[Proposed Rules]
[Pages 44080-44122]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2019-17555]
[[Page 44079]]
Vol. 84
Thursday,
No. 163
August 22, 2019
Part III
Environmental Protection Agency
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40 CFR Part 121
Updating Regulations on Water Quality Certification; Proposed Rule
Federal Register / Vol. 84 , No. 163 / Thursday, August 22, 2019 /
Proposed Rules
[[Page 44080]]
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 121
[EPA-HQ-OW-2019-0405; FRL-9997-82-OW]
RIN 2040-AF86
Updating Regulations on Water Quality Certification
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: The Environmental Protection Agency (EPA) is publishing for
public comment a proposed rule providing updates and clarifications to
the substantive and procedural requirements for water quality
certification under Clean Water Act (CWA or the Act) section 401. CWA
section 401 is a direct grant of authority to states (and tribes that
have been approved for ``treatment as a state'' status) to review for
compliance with appropriate federal, state, and tribal water quality
requirements any proposed activity that requires a federal license or
permit and may result in a discharge to waters of the United States.
This proposal is intended to increase the predictability and timeliness
of section 401 certification by clarifying timeframes for
certification, the scope of certification review and conditions, and
related certification requirements and procedures.
DATES: Comments must be received on or before October 21, 2019.
ADDRESSES: Submit your comments, identified by Docket ID No. EPA-HQ-OW-
2019-0405, at https://www.regulations.gov. Follow the online
instructions for submitting comments. Once submitted, comments cannot
be edited or removed from Regulations.gov. The EPA may publish any
comment received to its public docket. Do not submit electronically any
information you consider to be Confidential Business Information (CBI)
or other information whose disclosure is restricted by statute.
Multimedia submissions (audio, video, etc.) must be accompanied by a
written comment. The written comment is considered the official comment
and should include discussion of all points you wish to make. The EPA
will generally not consider comments or comment contents located
outside of the primary submission (i.e., on the web, cloud, or other
file sharing system). For additional submission methods, the full EPA
public comment policy, information about CBI or multimedia submissions,
and general guidance on making effective comments, please visit https://www.epa.gov/dockets/commenting-epa-dockets.
FOR FURTHER INFORMATION CONTACT: Lauren Kasparek, Oceans, Wetlands, and
Communities Division, Office of Water (4504-T), Environmental
Protection Agency, 1200 Pennsylvania Avenue NW, Washington, DC 20460;
telephone number: (202) 564-3351; email address: [email protected].
SUPPLEMENTARY INFORMATION:
Table of Contents
I. General Information
A. How can I get copies of this document and related
information?
B. Under what legal authority is this proposed rule issued?
C. How should I submit comments?
II. Background
A. Executive Summary
B. Executive Order 13868: Promoting Energy Infrastructure and
Economic Growth
C. Pre-Proposal Stakeholder Engagement
D. Guidance Document
E. Effect on Existing Federal, State, and Tribal Regulations
F. Legal Background
1. The Clean Water Act
2. The EPA's Role in Implementing Section 401
3. The EPA's Existing Certification Regulations
4. Judicial Interpretations of Section 401
a. U.S. Supreme Court Decisions
i. P.U.D. No. 1 of Jefferson County
ii. S.D. Warren
b. Circuit Court Decisions
5. Administrative Law Principles
6. Legal Construct for the Proposed Rule
a. Scope of Certification
i. Water Quality
ii. Activity Versus Discharge
iii. Discharges From Point Sources to Waters of the United
States
b. Timeline for Section 401 Certification Analysis
III. Proposed Rule
A. When Section 401 Certification Is Required
B. Certification Request/Receipt
C. Certification Actions
D. Appropriate Scope for Section 401 Certification Review
E. Timeframe for Certification Analysis and Decision
F. Contents and Effect of a Certification
G. Certification by the Administrator
1. Public Notice Procedure
2. Pre-filing Meeting Procedure
3. Requests for Additional Information
H. Determination of Effect on Neighboring Jurisdictions
I. EPA's Role in Review and Advice
J. Enforcement
K. Modifications
IV. Economic Analysis
V. Statutory and Executive Order Reviews
A. Executive Order 13771: Reducing Regulation and Controlling
Regulatory Costs
B. Executive Order 12866: Regulatory Planning and Review;
Executive Order 13563: Improving Regulation and Regulatory Review
C. Paperwork Reduction Act
D. Regulatory Flexibility Act
E. Unfunded Mandates Reform Act
F. Executive Order 13132: Federalism
G. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments
H. Executive Order 13045: Protection of Children From
Environmental Health and Safety Risks
I. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
J. National Technology Transfer and Advancement Act
K. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
I. General Information
A. How can I get copies of this document and related information?
1. Docket. An official public docket for this action has been
established under Docket ID No. EPA-HQ-OW-2019-0405. The official
public docket consists of the documents specifically referenced in this
action, and other information related to this action. The official
public docket is the collection of materials that is available for
public viewing at the OW Docket, EPA West, Room 3334, 1301 Constitution
Ave. NW, Washington, DC 20004. This Docket Facility is open from 8:30
a.m. to 4:30 p.m., Monday through Friday, excluding legal holidays. The
OW Docket telephone number is 202-566-2426. A reasonable fee will be
charged for copies.
2. Electronic Access. You may access this Federal Register document
electronically under the ``Federal Register'' listings at https://www.regulations.gov. An electronic version of the public docket is
available through EPA's electronic public docket and comment system,
EPA Dockets. You may access EPA Dockets at https://www.regulations.gov
to view public comments as they are submitted and posted, access the
index listing of the contents of the official public docket, and access
those documents in the public docket that are available electronically.
For additional information about EPA's public docket, visit the EPA
Docket Center homepage at https://www.epa.gov/epahome/dockets.htm.
Although not all docket materials may be available electronically, you
may still access any of the publicly available docket materials through
the Docket Facility.
[[Page 44081]]
B. Under what legal authority is this proposed rule issued?
The authority for this action is the Federal Water Pollution
Control Act, 33 U.S.C. 1251 et seq., including section 401 and 501(a).
C. How should I submit comments?
Throughout this document, the EPA solicits comment on a number of
issues related to the proposed rulemaking. Comments on this proposed
rulemaking should be submitted to Docket ID No. EPA-HQ-OW-2019-0405 at
https://www.regulations.gov per the online instructions for submitting
comments and the information provided in ADDRESSES, above.
As discussed in section II.C in this preamble, this proposed rule
is the outgrowth of extensive outreach efforts, including requests for
recommendations, and the EPA has taken recommendations received into
account in developing this proposal. In developing a final rule, the
EPA will be considering comments submitted on this proposal. Persons
who wish to provide views or recommendations on this proposal and have
them considered as part of this rulemaking process must provide
comments to the EPA as part of this comment process. To facilitate the
processing of comments, commenters are encouraged to organize their
comments in a manner that corresponds to the outline of this proposal.
II. Background
A. Executive Summary
Congress enacted section 401 of the CWA to provide states and
authorized tribes with an important tool to help protect water quality
of federally regulated waters within their borders in collaboration
with federal agencies. Under section 401, a Federal agency may not
issue a license or permit to conduct any activity that may result in
any discharge into waters of the United States,\1\ unless the state or
authorized tribe where the discharge would originate either issues a
section 401 water quality certification finding compliance with
existing water quality requirements or waives the certification
requirement. As described in greater detail below, section 401
envisions a robust state and tribal role in the federal licensing or
permitting process where local authority may otherwise be preempted by
federal law, but places limitations on how that role may be implemented
to maintain an efficient process, consistent with the overall
cooperative federalism construct established by the CWA as explained
below in section II.F.1 in this preamble.
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\1\ The CWA, including section 401, uses ``navigable waters'',
defined as ``waters of the United States, including territorial
seas.'' 33 U.S.C. 1362(7). This proposal uses ``waters of the United
States'' throughout. The EPA is currently in the process of revising
the definition of waters of the United States via rulemaking and
expects the final definition of the term to control in all CWA
contexts.
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The plain language of section 401 provides that a state or
authorized tribe must act on a section 401 certification request within
a reasonable period of time, which shall not exceed one year.\2\
Section 401 does not guarantee a state or tribe a full year to act on a
certification request. The statute only grants as much time as is
reasonable, and federal licensing or permitting agencies, in their
discretion, may establish a period of time shorter than one year if the
federal licensing and permitting agencies determine that a shorter
period is ``reasonable.'' 33 U.S.C. 1341(a)(1). The CWA provides that
the timeline for action on a section 401 certification begins ``upon
receipt'' of a certification request. Id. If a state or tribe does not
grant, grant with conditions, deny, or expressly waive the section 401
certification within a reasonable time period as determined by the
federal licensing and permitting agencies, section 401 authorizes the
federal licensing and permitting agencies to find that the state or
tribe waived the section 401 certification requirement and issue the
federal license or permit. Id. at 1341; 40 CFR 121.16(b). If the
certification requirement has been waived and the federal license or
permit is issued, any subsequent action by a state or tribe to grant,
grant with condition, or deny section 401 certification has no legal
force or effect.
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\2\ ``If the State, interstate agency, or Administrator, as the
case may be, fails or refuses to act on a request for certification,
within a reasonable period of time (which shall not exceed one year)
after receipt of such request, the certification requirements of
this subsection shall be waived with respect to such Federal
application.'' 33 U.S.C. 1341(a)(1); see also Hoopa Valley Tribe v.
FERC, 913 F.3d 1099 (D.C. Cir. 2019).
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Section 401 authorizes states and tribes to certify that a
discharge to waters of the United States that may result from a
proposed activity will comply with certain enumerated sections of the
CWA, including the effluent limitations and standards of performance
for new and existing discharge sources (sections 301, 302 and 306 of
the CWA), water quality standards and implementation plans (section
303), and toxic pretreatment effluent standards (section 307). When
granting a section 401 certification, states and tribes are directed by
CWA section 401(d) to include conditions, including ``effluent
limitations \3\ and other limitations, and monitoring requirements''
that are necessary to assure that the applicant for a federal license
or permit will comply with applicable provisions of CWA sections 301,
302, 306 and 307, and with ``any other appropriate requirement of State
law.''
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\3\ This proposal does not interpret ``effluent limitations'' to
be synonymous with ``effluent limitation guidelines'', the pollution
control technology-based limits developed under section 304, 306,
and 307 of the CWA, but also does interpret the term to include, for
example, water quality based effluent limits required under sections
301 and 303.
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As the agency charged with administering the CWA,\4\ the EPA is
responsible for developing a common framework for certifying
authorities to follow when completing section 401 certifications. See
33 U.S.C. 1251(d), 1361(a). In 1971, the EPA promulgated at 40 CFR part
121 a common framework for implementing the certification provisions
pursuant to section 21(b) of the Federal Water Pollution Control Act of
1948 (FWCPA), but the EPA never updated that framework to reflect the
1972 amendments to the FWCPA (commonly known as the Clean Water Act or
CWA), which created section 401. Over the last several years,
litigation over the section 401 certifications for several high-profile
infrastructure projects have highlighted the need for the EPA to update
its regulations to provide a common framework for consistency with CWA
section 401 and to give project proponents, certifying authorities, and
federal licensing and permitting agencies additional clarity and
regulatory certainty.
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\4\ The EPA co-administers section 404 with the Corps.
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In April 2019, the President issued Executive Order 13868 titled
Promoting Energy Infrastructure and Economic Growth, which directed the
EPA to engage with states, tribes, and federal agencies and update the
Agency's outdated guidance and regulations, including the existing
certification framework. Consistent with Executive Order 13868 and the
modern CWA, this proposal provides an updated common framework that is
consistent with the modern CWA and which seeks to increase
predictability and timeliness.
B. Executive Order 13868: Promoting Energy Infrastructure and Economic
Growth
On April 10, 2019, the President issued Executive Order 13868
titled Promoting Energy Infrastructure and Economic Growth. Its purpose
is to encourage greater investment in energy
[[Page 44082]]
infrastructure in the United States by promoting efficient federal
permitting processes and reducing regulatory uncertainty. The Executive
Order identifies the EPA's outdated federal guidance and regulations as
one source of confusion and uncertainty hindering the development of
energy infrastructure. As noted above, the EPA's current certification
regulations (codified at 40 CFR part 121) have not been updated since
they were promulgated in 1971, pursuant to section 21(b) of the FWPCA.
Additionally, at the time the Executive Order was issued, the EPA's
only guidance to the public on section 401 implementation was an
interim handbook titled Clean Water Act Section 401 Water Quality
Certification: A Water Quality Protection Tool for States and Tribes,
which had not been updated since it was released in 2010 and therefore
no longer reflected the current case law interpreting CWA section 401.
The Executive Order directed the EPA to review CWA section 401 and
the EPA's existing certification regulations and interim guidance,
issue new guidance to states, tribes, and federal agencies within 60
days of the Order, and propose new section 401 regulations within 120
days of the Order. The Executive Order also directed the EPA to consult
with states, tribes, and relevant federal agencies while reviewing its
existing guidance and regulations to identify areas that would benefit
from greater clarity.
As part of its review, the Executive Order directed the EPA to take
into account the federalism considerations underlying section 401 and
to focus its attention on the appropriate scope of water quality
reviews and conditions, the scope of information needed to act on a
certification request in reasonable period of time, and expectations
for certification review times. Section 3.a. of Executive Order 13868
Promoting Energy Infrastructure and Economic Growth. Following the
release of the EPA's new guidance document, the Executive Order
directed the EPA to lead an interagency review of all existing federal
regulations and guidance pertaining to section 401 to ensure
consistency with the EPA's new guidance and rulemaking efforts. The
Executive Order directs all federal agencies to update their existing
section 401 guidance within 90 days after publication of the EPA's new
guidance documents. Additionally, the Executive Order directs other
federal agencies to initiate rulemaking, if necessary, within 90 days
of the completion of the EPA's rulemaking, to ensure their own CWA
section 401 regulations are consistent with the EPA's new rules and
with the Executive Order's policy goals. Although the Executive Order
focuses on section 401's impact on the energy sector, section 401
applies broadly to any proposed federally licensed or permitted
activity that may result in any discharge into a water of the United
States. Therefore, updates to the EPA's existing certification
regulations and guidance are relevant to all water quality
certifications.
Additional information on the EPA's state and tribal engagement is
discussed in section II.C in this preamble, and additional information
on the EPA's updated guidance document is discussed in section II.D in
this preamble.
C. Pre-Proposal Stakeholder Engagement
Prior to the release of Executive Order 13868 Promoting Energy
Infrastructure and Economic Growth, the Agency's 2018 Spring Unified
Agenda of Regulatory and Deregulatory Actions announced that the Agency
was considering, as a long-term action, the issuance of a notice
soliciting public comment on whether the section 401 certification
process would benefit from a rulemaking to promote nationwide
consistency and regulatory certainty for states, authorized tribes, and
stakeholders. While the Agency has decided to issue this proposal
instead of the notice, that entry was the first indication to the
public of the Agency's interest in revising its section 401
certification process.
On August 6, 2018, the Agency sent a letter to the Environmental
Council of the States, the Association of Clean Water Administrators,
the Association of State Wetlands Managers, the National Tribal Water
Council, and the National Tribal Caucus indicating the Agency's
interest in engaging on potential clarifications to the section 401
process. The Agency discussed section 401 at several association
meetings and calls in Fall 2018 and Spring 2019 and received
correspondence from several stakeholders between Fall 2018 and Spring
2019. Early stakeholder feedback received prior to the issuance of the
Executive Order, as well as presentations given between Fall 2018 and
Spring 2019, may be found in the pre-proposal recommendations docket
(Docket ID No. EPA-HQ-OW-2018-0855).
Following the release of the Executive Order, the EPA continued its
effort to engage with states and tribes on how to increase clarity in
the section 401 certification process, including creating a new website
to provide information on section 401 and notifying state environmental
commissioners and tribal environmental directors of a two-part webinar
series for states and tribes. See www.epa.gov/cwa-401. The first
webinar was held on April 17, 2019, and discussed the Executive Order,
the EPA's next steps, and solicited feedback from states and tribes
consistent with the Executive Order. Shortly thereafter, the EPA
initiated formal consultation efforts with states and tribes regarding
provisions that require clarification within section 401 of the CWA and
related federal regulations and guidance. Consultation occurred from
April 24, 2019 through May 24, 2019, and the EPA opened a docket for
pre-proposal recommendations during this time period (Docket ID No.
EPA-HQ-OW-2018-0855). On May 7, 2019 and May 15, 2019, the EPA held
tribal informational webinars, and on May 8, 2019, the EPA held an
informational webinar for both states and tribes. See section V in this
preamble for further details on the Agency's federalism and tribal
consultations. Questions and recommendations from the webinar attendees
are available in the pre-proposal docket (Docket ID No. EPA-HQ-OW-2018-
0855).
During the consultation period, the EPA participated in phone calls
and in-person meetings with inter-governmental and tribal associations
including the National Governor's Association and National Tribal Water
Council. The EPA also attended the EPA Region 9 Regional Tribal
Operations Committee meeting on May 22, 2019, to solicit
recommendations for the proposed rule. The EPA engaged with federal
agencies that issue permits or licenses subject to section 401,
including the United States Department of Agriculture, Federal Energy
Regulatory Commission, Army Corps of Engineers, Alcohol and Tobacco Tax
and Trade Bureau, and Nuclear Regulatory Commission through several
meetings and phone calls to gain additional feedback from federal
partners.
At the webinars and meetings, the EPA provided a presentation and
sought input on areas of section 401 that may require updating or
benefit from clarification, including timeframe, scope of certification
review, and coordination among certifying authorities, federal
licensing or permitting agencies, and project proponents. The EPA
requested input on issues and process improvements that the EPA might
consider for a future rule. Participant recommendations from webinars,
[[Page 44083]]
meetings, and the docket represent a diverse range of interests,
positions and suggestions. Several themes emerged throughout this
process, including support for ongoing state and tribal engagement,
support for retention of state and tribal authority, and suggestions
for process improvements for CWA section 401 water quality
certifications.
Tribes provided several specific recommendations regarding the
proposed rulemaking. First, some tribes requested the EPA better
clarify its responsibilities under CWA section 401(a)(2). These tribes
expressed the importance of considering impacts to neighboring
jurisdictions during the section 401 certification process. Tribes also
emphasized that section 401 certification decision-making should not be
prolonged such that section 401 certifications delay implementation of
updated water quality standards. Tribes also requested that any changes
to the section 401 certification process should maintain tribal
authority and sovereignty. Finally, tribes emphasized the importance of
meaningful consultation and engagement throughout the rulemaking
process.
The EPA received several specific recommendations regarding process
improvements for section 401 certifications. First, states, cross-
cutting state organizations, and industry groups expressed support for
pre-application meetings and information-sharing among project
proponents, certifying authorities, and federal licensing and
permitting agencies. Additionally, state officials, tribal officials,
and cross-cutting state organizations cited deficient certification
applications as a primary cause for delays in the certification
decision-making process. Permit applicants suggested the lack of clear
state processes and prolonged information requests contributed
significantly to the delay in the 401 certification process. The Agency
was also made aware of relatively low staffing availability in many
state and tribal 401 certification programs. Stakeholders suggested
that pre-application meetings as well as explicit state processes and
checklists could increase the quality of certification applications.
Additionally, state and tribal officials as well as cross-cutting
state organizations cautioned the Agency against mandating a specific
reasonable period of time (e.g., 60 days) that would apply to all types
of projects. These recommendations encouraged the EPA to maintain the
authority of federal licensing and permitting agencies to determine the
appropriate reasonable period of time.
Finally, the EPA received pre-proposal recommendations covering a
wide variety of viewpoints on the certifying authority's scope of
certification review. The EPA considered all of this information and
stakeholder input, including all 72 recommendations submitted to the
docket during development of this proposed rule, and feedback received
prior to the initiation of and during the formal consultation period.
D. Guidance Document
Pursuant to Executive Order 13868, the Agency released updated
section 401 guidance on June 7, 2019, available at https://www.epa.gov/cwa-401/clean-water-act-section-401-guidance-federal-agencies-states-and-authorized-tribes. Coincident with the release of the new guidance,
EPA rescinded the 2010 document titled Clean Water Act Section 401
Water Quality Certification: A Water Quality Protection Tool for States
and Tribes (``Interim Handbook''). The 2010 Interim Handbook had not
been updated or revised since its release in 2010, and therefore no
longer reflected the current case law interpreting CWA section 401, nor
had it been finalized.
The updated guidance provides information and recommendations for
implementing the substantive and procedural requirements of section
401, consistent with the areas of focus in the Executive Order. More
specifically, the guidance focuses on aspects of the certification
process, including the timeline for review and decision-making and the
appropriate scope of review and conditions. Additionally, the guidance
provides recommendations for how federal licensing and permitting
agencies, states, and tribes can better coordinate to improve the
section 401 certification process. The emphasis on early coordination
and collaboration to increase process efficiency aligns with other
agency directives under Executive Order 13807, Establishing Discipline
and Accountability in the Environmental Review and Permitting Process
for Infrastructure Projects, or simply, the ``One Federal Decision''
policy. For major infrastructure projects, the One Federal Decision
policy directs federal agencies to use a single, coordinated process
for compliance with the National Environmental Policy Act (NEPA), 42
U.S.C. 4321 et seq., and emphasizes advance coordination to streamline
federal permitting actions.
The new guidance is not a regulation, nor does it change or
substitute for any applicable regulations. Therefore, it does not
impose legally binding requirements on the EPA, states, tribes, other
federal agencies, or the regulated community. The EPA expects its final
regulation, once promulgated, will provide the clarity and regulatory
certainty expected by the Executive Order and additional guidance will
not be necessary to implement section 401. The Agency therefore
requests comment on whether it should rescind its June 7, 2019 guidance
upon completion of this rulemaking or whether separate guidance would
be helpful on implementation of the provisions that are finalized in
this proposal.
E. Effect on Existing Federal, State, and Tribal Regulations
Section 3.d. of Executive Order 13868 provides that, within 90 days
after the EPA issues its final section 401 regulations, ``if necessary,
the heads of each 401 implementing Agency shall initiate a rulemaking
to ensure that their respective agencies' regulations are consistent
with'' EPA's final section 401 regulations and ``the policies set forth
in section 2 of [the Executive Order].'' According to the Executive
Order, these subsequent federal agency rulemaking efforts will follow
an EPA-led interagency review and examination of existing federal
guidance and regulations ``for consistency with EPA guidance and
regulations.'' As the EPA understands the Executive Order, the other
federal agencies that issue permits or licenses subject to the
certification requirements of section 401 are expected to ensure that
regulations governing their own processing, disposition, and
enforcement of section 401 certifications are consistent with the EPA's
final regulations and the policies articulated in section 2 of the
Executive Order. The EPA plans to review its own National Pollutant
Discharge Elimination System (NPDES) regulations to ensure its program
certification regulations are also consistent with the Agency's final
regulations under this proposal. The EPA will be working with its
fellow section 401 implementing agencies to accomplish this goal.
The EPA recommends that states and authorized tribes update, as
necessary, their own CWA section 401 regulations to provide procedural
and substantive requirements that are consistent with those the EPA
eventually promulgates. Regulatory consistency across both federal and
state governments with respect to issues like timing, waiver, and scope
of section 401 reviews and conditions will substantially contribute
towards ensuring that section 401 is implemented in an efficient,
effective,
[[Page 44084]]
transparent, and nationally consistent manner and will reduce the
likelihood of protracted litigation over these issues.
The EPA solicits comments from state and tribal governments, and
the public at large regarding the need for, and potential benefits of,
a consistent, national and state regulatory approach to section 401 and
how the EPA may best promote such consistency.
F. Legal Background
This proposal initiates the EPA's first comprehensive effort to
promulgate federal rules governing the implementation of CWA section
401. The Agency's existing certification regulations at 40 CFR part 121
pre-date the 1972 CWA amendments. This proposal therefore provides the
EPA's first holistic analysis of the statutory text, legislative
history, and relevant case law informing the implementation of the CWA
section 401 program by the Agency and our federal, state, and tribal
partners. The proposal, while focused on the relevant statutory
provisions and case law interpreting those provisions, is informed by
policy considerations where necessary to address certain ambiguities in
the statutory text. The following sections describe the basic
operational construct and history of the modern CWA, how section 401
fits within that construct, and certain core administrative legal
principles that guide agency decision-making in this context. This
legal background is intended to inform the public's review of the
proposed regulation by summarizing the legal framework for the
proposal.
1. The Clean Water Act
Congress amended the CWA \5\ in 1972 to address longstanding
concerns regarding the quality of the nation's waters and the federal
government's ability to address those concerns under existing law.
Prior to 1972, the ability to control and redress water pollution in
the nation's waters largely fell to the U.S. Army Corps of Engineers
(Corps) under the Rivers and Harbors Act of 1899 (RHA). While much of
that statute focused on restricting obstructions to navigation on the
nation's major waterways, section 13 of the RHA made it unlawful to
discharge refuse ``into any navigable water of the United States,\6\ or
into any tributary of any navigable water from which the same shall
float or be washed into such navigable water.'' 33 U.S.C. 407. Congress
had also enacted the Water Pollution Control Act of 1948, Pub. L. 80-
845, 62 Stat. 1155 (June 30, 1948), to address interstate water
pollution, and subsequently amended that statute in 1956 (giving the
statute is current formal name), 1961, and 1965. The early versions of
the CWA promoted the development of pollution abatement programs,
required states to develop water quality standards, and authorized the
federal government to bring enforcement actions to abate water
pollution.
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\5\ The FWPCA is commonly referred to as the CWA following the
1977 amendments to the FWPCA. Public Law 95-217, 91 Stat. 1566
(1977). For ease of reference, the Agency will generally refer to
the FWPCA in this notice as the CWA or the Act.
\6\ The term ``navigable water of the United States'' is a term
of art used to refer to waters subject to federal jurisdiction under
the RHA. See, e.g., 33 CFR 329.1. The term is not synonymous with
the phrase ``waters of the United States'' under the CWA, see id.,
and the general term ``navigable waters'' has different meanings
depending on the context of the statute in which it is used. See,
e.g., PPL Montana, LLC v. Montana, 132 S. Ct. 1215, 1228 (2012).
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These earlier statutory frameworks, however, proved challenging for
regulators, who often worked backwards from an overly-polluted waterway
to determine which dischargers and which sources of pollution may be
responsible. See EPA v. State Water Resources Control Bd., 426 U.S.
200, 204 (1976). In fact, Congress determined that they ultimately
proved inadequate to address the decline in the quality of the nation's
waters, see City of Milwaukee v. Illinois, 451 U.S. 304, 310 (1981), so
Congress performed a ``total restructuring'' and ``complete rewriting''
of the existing statutory framework of the Act in 1972. Id. at 317
(quoting legislative history of 1972 amendments). That restructuring
resulted in the enactment of a comprehensive scheme designed to
prevent, reduce, and eliminate pollution in the nation's waters
generally, and to regulate the discharge of pollutants into waters of
the United States specifically. See, e.g., S.D. Warren Co. v. Maine Bd.
of Envtl. Prot., 547 U.S. 370, 385 (2006) (``[T]he Act does not stop at
controlling the `addition of pollutants,' but deals with `pollution'
generally[.]'').
The objective of the new statutory scheme was ``to restore and
maintain the chemical, physical, and biological integrity of the
Nation's waters.'' 33 U.S.C. 1251(a). In order to meet that objective,
Congress declared two national goals: (1) ``that the discharge of
pollutants into the navigable waters be eliminated by 1985;'' and (2)
``that wherever attainable, an interim goal of water quality which
provides for the protection and propagation of fish, shellfish, and
wildlife and provides for recreation in and on the water be achieved by
July 1, 1983 . . . .'' Id. at 1251(a)(1)-(2).
Congress established several key policies that direct the work of
the Agency to effectuate those goals. For example, Congress declared as
a national policy ``that the discharge of toxic pollutants in toxic
amounts be prohibited; . . . that Federal financial assistance be
provided to construct publicly owned waste treatment works; . . . that
areawide waste treatment management planning processes be developed and
implemented to assure adequate control of sources of pollutants in each
State; . . . [and] that programs for the control of nonpoint sources of
pollution be developed and implemented in an expeditious manner so as
to enable the goals of this Act to be met through the control of both
point and nonpoint sources of pollution.'' Id. at 1251(a)(3)-(7).
Congress provided a major role for the states in implementing the
CWA, balancing the traditional power of states to regulate land and
water resources within their borders with the need for a national water
quality regulation. For example, the statute highlighted ``the policy
of the Congress to recognize, preserve, and protect the primary
responsibilities and rights of States to prevent, reduce, and eliminate
pollution'' and ``to plan the development and use . . . of land and
water resources . . . .'' Id. at 1251(b). Congress also declared as a
national policy that States manage the major construction grant program
and implement the core permitting programs authorized by the statute,
among other responsibilities. Id. Congress added that ``[e]xcept as
expressly provided in this Act, nothing in this Act shall . . . be
construed as impairing or in any manner affecting any right or
jurisdiction of the States with respect to the waters (including
boundary waters) of such States.'' Id. at 1370.\7\ Congress also
pledged to provide technical support and financial aid to the States
``in connection with the prevention, reduction, and elimination of
pollution.'' Id. at 1251(b).
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\7\ 33 U.S.C. 1370 also prohibits authorized states from
adopting any limitations, prohibitions, or standards that are less
stringent than required by the CWA.
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To carry out these policies, Congress broadly defined ``pollution''
to mean ``the man-made or man-induced alteration of the chemical,
physical, biological, and radiological integrity of water,'' id. at
1362(19), to parallel the broad objective of the Act ``to restore and
maintain the chemical, physical, and biological integrity of the
Nation's waters.'' Id. at 1251(a). Congress then crafted a non-
regulatory statutory
[[Page 44085]]
framework to provide technical and financial assistance to the states
to prevent, reduce, and eliminate pollution in the nation's waters
generally. See, e.g., id. at 1256(a) (authorizing the EPA to issue
``grants to States and to interstate agencies to assist them in
administering programs for the prevention, reduction, and elimination
of pollution''); see also 84 FR 4154, 4157 (Feb. 14, 2019) (discussing
non-regulatory program provisions); 83 FR 32227, 32232 (July 12, 2018)
(same).
In addition to the Act's non-regulatory measures to control
pollution of the nation's waters, Congress created a federal regulatory
program designed to address the discharge of pollutants into a subset
of those waters identified as ``the waters of the United States.'' See
33 U.S.C. 1362(7). Section 301 contains the key regulatory mechanism:
``Except as in compliance with this section and sections 302, 306, 307,
318, 402, and 404 of this Act, the discharge of any pollutant by any
person shall be unlawful.'' Id. at 1311(a). A ``discharge of a
pollutant'' is defined to include ``any addition of any pollutant to
navigable waters from any point source,'' such as a pipe, ditch or
other ``discernible, confined and discrete conveyance.'' Id. at
1362(12), (14). The term ``pollutant'' means ``dredged spoil, solid
waste, incinerator residue, sewage, garbage, sewage sludge, munitions,
chemical wastes, biological materials, radioactive materials, heat,
wrecked or discarded equipment, rock, sand, cellar dirt and industrial,
municipal, and agricultural waste discharged into water.'' Id. at
1362(6). Thus, it is unlawful to discharge pollutants into waters of
the United States from a point source unless the discharge is in
compliance with certain enumerated sections of the CWA, including
obtaining authorizations pursuant to the section 402 NPDES permit
program or the section 404 dredged or fill material permit program. See
id. at 1342, 1344. Congress therefore hoped to achieve the Act's
objective ``to restore and maintain the chemical, physical, and
biological integrity of the Nation's waters'' by addressing pollution
of all waters via non-regulatory means and federally regulating the
discharge of pollutants to the subset of waters identified as
``navigable waters.'' \8\
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\8\ Fundamental principles of statutory interpretation support
the Agency's recognition of a distinction between ``nation's
waters'' and ``navigable waters.'' As the Supreme Court has
observed, ``[w]e assume that Congress used two terms because it
intended each term to have a particular, nonsuperfluous meaning.''
Bailey v. United States, 516 U.S. 137, 146 (1995) (recognizing the
canon of statutory construction against superfluity). Further, ``the
words of a statute must be read in their context and with a view to
their place in the overall statutory scheme.'' FDA v. Brown &
Williamson Tobacco Corp., 529 U.S. 120, 133 (2000) (internal
quotation marks and citation omitted); see also United Savings Ass'n
v. Timbers of Inwood Forest Associates, 484 U.S. 365, 371
(``Statutory construction . . . is a holistic endeavor. A provision
that may seem ambiguous in isolation is often clarified by the
remainder of the statutory scheme--because the same terminology is
used elsewhere in a context that makes its meaning clear[.]'')
(citation omitted). The non-regulatory sections of the CWA reveal
Congress' intent to restore and maintain the integrity of the
nation's waters using federal assistance to support State and local
partnerships to control pollution in the nation's waters in addition
to a federal regulatory prohibition on the discharge of pollutants
into the navigable waters. For further discussion, see 83 FR at
32232 and 84 FR at 4157.
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Within the regulatory programs established by the Act, two
principal components focus on ``achieving maximum `effluent
limitations' on `point sources,' as well as achieving acceptable water
quality standards,'' and the development of the NPDES permitting
program that imposes specific discharge limitations for regulated
entities. EPA v. State Water Resources Control Bd., 426 U.S. at 204.
Together these components provide a framework for the Agency to focus
on reducing or eliminating discharges while creating accountability for
each entity that discharges into a waterbody, facilitating greater
enforcement and overall achievement of the CWA water quality goals.
Id.; see Oregon Natural Desert Association v. Dombeck, 172 F.3d 1092,
1096 (9th Cir. 1998) (observing that 1972 amendments ``largely
supplanted'' earlier version of CWA ``by replacing water quality
standards with point source effluent limitations'').
Under this statutory scheme, the states \9\ are authorized to
assume program authority for issuing section 402 and 404 permits within
their borders, subject to certain limitations. 33 U.S.C. 1342(b),
1344(g). States are also responsible for developing water quality
standards for ``waters of the United States'' within their borders and
reporting on the condition of those waters to the EPA every two years.
Id. at 1313, 1315. States must develop total maximum daily loads
(TMDLs) for waters that are not meeting established water quality
standards and must submit those TMDLs to the EPA for approval. Id. at
1313(d). And, central to this proposed rule, states under CWA section
401 have authority to grant, grant with conditions, deny, or waive
water quality certifications for every federal license or permit issued
within their borders that may result in a discharge to waters of the
United States. Id. at 1341. These same regulatory authorities can be
assumed by Indian tribes under section 518 of the CWA, which authorizes
the EPA to treat eligible tribes with reservations in a similar manner
to states (referred to as ``treatment as states'' or TAS) for a variety
of purposes, including administering the principal CWA regulatory
programs. Id. at 1377(e). In addition, states and tribes retain
authority to protect and manage the use of those waters that are not
waters of the United States under the CWA. See, e.g., id. at 1251(b),
1251(g), 1370, 1377(a).
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\9\ The CWA defines ``state'' as ``a State, the District of
Columbia, the Commonwealth of Puerto Rico, the Virgin Islands, Guam,
American Samoa, the Commonwealth of the Northern Mariana Islands,
and the Trust Territory of the Pacific Islands.'' 33 U.S.C. 1362(3).
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In enacting section 401, Congress recognized that where states and
tribes do not have direct permitting authority (either under a section
402 or 404 program authorization or where Congress has preempted a
regulatory field, e.g., under the Federal Power Act), they may still
play a valuable role in protecting water quality of federally regulated
waters within their borders in collaboration with federal agencies.
Under section 401, a federal agency may not issue a license or permit
for an activity that may result in a discharge to waters of the United
States, unless the appropriate certification authority provides a
section 401 certification or waives its ability to do so. The authority
to certify a federal license or permit lies with the agency (the
certifying authority) that has jurisdiction over the discharge location
to the receiving waters of the United States. Id. at 1341(a)(1).
Examples of federal licenses or permits potentially subject to section
401 certification include, but are not limited to, CWA section 402
NPDES permits in states where the EPA administers the permitting
program, CWA section 404 permits issued by the Corps, hydropower and
pipeline licenses issued by Federal Energy Regulatory Commission
(FERC), and RHA sections 9 and 10 permits issued by the Corps.
Under section 401, a certifying authority may grant, grant with
conditions, deny, or waive certification in response to a request from
a project proponent. The certifying authority determines whether the
proposed activity will comply with the applicable provisions of
sections 301, 302, 303, 306, and 307 of the CWA and any other
appropriate requirement of state law. Id. Certifying authorities may
also add to a certification ``any effluent limitations and other
limitations, and monitoring requirements'' necessary to assure
compliance. Id at 1341(d). These
[[Page 44086]]
additional provisions must become ``a condition'' of the federal
license or permit should it be issued. Id. A certifying authority may
deny certification if it is unable to determine that the discharge from
the proposed activity will comply with the applicable sections of the
CWA and appropriate requirements of state law. If a certifying
authority denies certification, the federal license or permit may not
issue. Id. at 1341(a)(1). A certifying authority may waive
certification by ``fail[ing] or refus[ing] to act on a request for
certification, within a reasonable period of time . . . after receipt
of such request.'' Id.
Perhaps with the exception of section 401,\10\ the EPA has
developed comprehensive, modern regulatory programs designed to ensure
that the CWA is fully implemented as Congress intended. This includes
pursuing the overall ``objective'' of the CWA to ``restore and maintain
the chemical, physical, and biological integrity of the Nation's
waters,'' id. at 1251(a), while implementing the specific ``policy''
directives from Congress to, among other things, ``recognize, preserve,
and protect the primary responsibilities and rights of States to
prevent, reduce, and eliminate pollution'' and ``to plan the
development and use . . . of land and water resources.'' Id. at
1251(b); see also Webster's II, New Riverside University Dictionary
(1994) (defining ``policy'' as a ``plan or course of action, as of a
government[,] designed to influence and determine decisions and
actions;'' an ``objective'' is ``something worked toward or aspired to:
Goal''). The Agency therefore recognizes a distinction between the
specific word choices of Congress, including the need to develop
regulatory programs that aim to accomplish the goals of the Act while
implementing the specific policy directives of Congress. For further
discussion of these principles, see 83 FR at 32237 and 84 FR at 4168-
69.
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\10\ As noted in section II.F in this preamble, the EPA's
existing certification regulations were promulgated prior to the
1972 CWA Amendments and have not been updated to reflect the current
statutory text.
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Congress' authority to regulate navigable waters, including those
subject to CWA section 401 water quality certification, derives from
its power to regulate the ``channels of interstate commerce'' under the
Commerce Clause. Gibbons v. Ogden, 22 U.S. (9 Wheat.) 1 (1824); see
also United States v. Lopez, 514 U.S. 549, 558-59 (1995) (describing
the ``channels of interstate commerce'' as one of three areas of
congressional authority under the Commerce Clause). The Supreme Court
explained in Solid Waste Agency of Northern Cook County v. U.S. Army
Corps of Engineers (SWANCC) that the term ``navigable'' indicates
``what Congress had in mind as its authority for enacting the Clean
Water Act: Its traditional jurisdiction over waters that were or had
been navigable in fact or which could reasonably be so made.'' 531 U.S.
159, 172 (2001). The Court further explained that nothing in the
legislative history of the Act provides any indication that ``Congress
intended to exert anything more than its commerce power over
navigation.'' Id. at 168 n.3. The Supreme Court, however, has
recognized that Congress intended ``to exercise its powers under the
Commerce Clause to regulate at least some waters that would not be
deemed `navigable' under the classical understanding of that term.''
United States v. Riverside Bayview Homes, 474 U.S. 121, 133 (1985); see
also SWANCC, 531 U.S. at 167.
The classical understanding of the term navigable was first
articulated by the Supreme Court in The Daniel Ball:
Those rivers must be regarded as public navigable rivers in law
which are navigable in fact. And they are navigable in fact when
they are used, or are susceptible of being used, in their ordinary
condition, as highways of commerce, over which trade and travel are
or may be conducted in the customary modes of trade and travel on
water. And they constitute navigable waters of the United States
within the meaning of the Acts of Congress, in contradistinction
from the navigable waters of the States, when they form in their
ordinary condition by themselves, or by uniting with other waters, a
continued highway over which commerce is or may be carried on with
other States or foreign countries in the customary modes in which
such commerce is conducted by water.
77 U.S. (10 Wall.) 557, 563 (1871). Over the years, this traditional
test has been expanded to include waters that had been used in the past
for interstate commerce, see Economy Light & Power Co. v. United
States, 256 U.S. 113, 123 (1921), and waters that are susceptible for
use with reasonable improvement. See United States v. Appalachian Elec.
Power Co., 311 U.S. 377, 407-10 (1940).
By the time the 1972 CWA amendments were enacted, the Supreme Court
had held that Congress' authority over the channels of interstate
commerce was not limited to regulation of the channels themselves but
could extend to activities necessary to protect the channels. See
Oklahoma ex rel. Phillips v. Guy F. Atkinson Co., 313 U.S. 508, 523
(1941) (``Congress may exercise its control over the non-navigable
stretches of a river in order to preserve or promote commerce on the
navigable portions.''). The Supreme Court also had clarified that
Congress could regulate waterways that formed a part of a channel of
interstate commerce, even if they are not themselves navigable or do
not cross state boundaries. See Utah v. United States, 403 U.S. 9, 11
(1971). Congress therefore intended to assert federal regulatory
authority over more than just waters traditionally understood as
navigable and rooted that authority in ``its commerce power over
navigation.'' SWANCC, 531 U.S. at 168 n.3.
The EPA recognizes and respects the primary responsibilities and
rights of states to regulate their land and water resources, as
envisioned by the CWA. See 33 U.S.C. 1251(b), 1370. The oft-quoted
objective of the CWA to ``restore and maintain the chemical, physical,
and biological integrity of the Nation's waters,'' id. at 1251(a), must
be implemented in a manner consistent with Congress' policy directives.
The Supreme Court long ago recognized the distinction between waters
subject to federal authority, traditionally understood as navigable,
and those waters ``subject to the control of the States.'' The Daniel
Ball, 77 U.S. (10 Wall.) 557, 564-65 (1870). Over a century later, the
Supreme Court in SWANCC reaffirmed the state's ``traditional and
primary power over land and water use.'' 531 U.S. at 174. Ensuring that
states retain authority over their land and water resources helps carry
out the overall objective of the CWA and ensures that the agency is
giving full effect and consideration to the entire structure and
function of the Act. See, e.g., Hibbs v. Winn, 542 U.S. 88, 101 (2004)
(``A statute should be construed so that effect is given to all its
provisions, so that no part will be inoperative or superfluous, void or
insignificant.'') (citation omitted); see also Rapanos v. United
States, 547 U.S. 715, 755-56 (2006) (Scalia, J., plurality opinion)
(``[C]lean water is not the only purpose of the statute. So is the
preservation of primary state responsibility for ordinary land-use
decisions. 33 U.S.C. 1251(b).'') (original emphasis).
In summary, Congress relied on its authority under the Commerce
Clause when it enacted the CWA and intended to assert federal authority
over more than just waters traditionally understood as navigable, but
it limited the exercise of that authority to ``its commerce power over
navigation.'' SWANCC, 531 U.S. at 168 n.3. In doing so, Congress
specifically sought to avoid ``federal encroachment upon a traditional
state power.'' Id. at 173. The Court in SWANCC found that ``[r]ather
than expressing a desire to readjust the
[[Page 44087]]
federal-state balance in this manner, Congress chose [in the CWA] to
`recognize, preserve, and protect the primary responsibilities and
rights of States . . . to plan the development and use . . . of land
and water resources . . .'' Id. at 174 (quoting 33 U.S.C. 1251(b)). The
Court found no clear statement from Congress that it had intended to
permit federal encroachment on traditional state power and construed
the CWA to avoid the significant constitutional questions related to
the scope of federal authority authorized therein. Id. That is because
the Supreme Court has instructed that ``[w]here an administrative
interpretation of a statute invokes the outer limits of Congress'
power, we expect a clear indication that Congress intended that
result.'' Id. at 172. The Court has further stated that this is
particularly true ``where the administrative interpretation alters the
federal-state framework by permitting federal encroachment upon a
traditional state power.'' Id. at 173; see also Will v. Michigan Dept.
of State Police, 491 U.S. 58, 65 (1989) (``[I]f Congress intends to
alter the `usual constitutional balance between the States and the
Federal Government,' it must make its intention to do so `unmistakably
clear in the language of the statute.' '') (quoting Atascadero State
Hospital v. Scanlon, 473 U.S. 234, 242 (1985)); Gregory v. Ashcroft,
501 U.S. 452, 461 (1991) (``this plain statement rule . . .
acknowledg[es] that the States retain substantial sovereign powers
under our constitutional scheme, powers with which Congress does not
readily interfere''). This means that that the executive branch's
authority under the CWA, while broad, is not unlimited, and the waters
to which CWA regulatory programs apply must necessarily respect those
limits. For further discussion of these principles, see 84 FR at 4165
and 83 FR at 32234.
In some cases, CWA section 401 denials have been challenged on
grounds that the denial improperly interfered with interstate commerce.
See, e.g., Lighthouse Resources, Inc. v. Inslee, No. 3:18-cv-5005,
Complaint at ]] 206-210; ]] 224-248 (W.D. Wash. Filed Jan. 8, 2018)
(alleging State's denial of section 401 certification violated the
dormant commerce clause and dormant foreign commerce clause). In Lake
Carriers Association v. EPA, 652 F.3d 1 (D.C. Cir. 2011), a court of
appeals found that the section 401 statutory scheme of delegation to
states itself does not create an impermissible burden on interstate
commerce; however actions taken by states pursuant to section 401 are
not insulated from dormant commerce clause challenges. 652 F.3d at 10
(``If [petitioners] believe that the certification conditions imposed
by any particular state pose an inordinate burden on their operations,
they may challenge those conditions in that state's courts. If
[petitioners] believe that a particular state's law imposes an
unconstitutional burden on interstate commerce, they may challenge that
law in federal (or state) court.''). Accordingly, EPA seeks comment on
whether its proposed regulations appropriately balance the scope of
state authority under section 401 with Congress' goal of facilitating
commerce on interstate navigable waters, and whether they define the
scope in a manner that would limit the potential for states to withhold
or condition certifications such that it would place undue burdens on
interstate commerce.
2. The EPA's Role in Implementing Section 401
The EPA, as the federal agency charged with administering the CWA,
is responsible for developing regulations and guidance to ensure
effective implementation of all CWA programs, including section
401.\11\ In addition to administering the statute and promulgating
implementing regulations, the Agency has several other roles under
section 401.
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\11\ See 33 U.S.C. 1251(d), 1361(a); Mayo Found. for Medical
Educ. and Res. v. United States, 562 U.S. 44, 45 (2011); Hoopa
Valley Tribe v. FERC, 913 F.3d 1099, 1104 (D.C. Cir. 2019); Alabama
Rivers Alliance v. FERC, 325 F.3d 290, 296-97 (D.C. Cir. 2003);
California Trout v. FERC, 313 F.3d 1131, 1133 (9th Cir. 2002);
American Rivers, Inc. v. FERC, 129 F. 3d 99, 107 (2d. Cir. 1997).
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The EPA acts as the section 401 certification authority under two
circumstances. First, the EPA will certify on behalf of a state or
tribe where the jurisdiction in which the discharge will originate does
not itself have certification authority. 33 U.S.C. 1341(a)(1). In
practice, this results in the EPA certifying on behalf of the many
tribes that do not have TAS authority for section 401. Second, the EPA
will act as the certifying authority where the discharge would
originate on lands of exclusive federal jurisdiction.\12\
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\12\ The federal government may obtain exclusive federal
jurisdiction over lands in multiple ways, including where the
federal government purchases lands with state consent consistent
with article 1, section 8, clause 17 of the U.S. Constitution, where
a state chooses to cede jurisdiction to the federal government, and
where the federal government reserved jurisdiction upon granting
statehood. See Collins v. Yosemite Park Co., 304 U.S. 518, 529-30
(1938); James v. Dravo Contracting Co., 302 U.S. 134, 141-42 (1937);
Surplus Trading Company v. Cook, 281 U.S. 647, 650-52 (1930); Fort
Leavenworth Railroad Company v. Lowe, 114 U.S. 525, 527 (1895).
Examples of lands of exclusive federal jurisdiction include Denali
National Park.
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The EPA also coordinates the opportunity for neighboring
jurisdictions to raise concerns and recommendations where their water
quality may be affected by a discharge subject to section 401
certification. Id. at 1341(a)(2). Although section 401 certification
authority lies with the jurisdiction where the discharge originates, a
neighboring jurisdiction whose water quality is potentially affected by
the discharge may have an opportunity to raise concerns. Where the EPA
Administrator determines that a discharge subject to section 401 ``may
affect'' the water quality of a neighboring jurisdiction, the EPA is
required to notify that other jurisdiction. Id. If the neighboring
jurisdiction determines that the discharge ``will affect'' the quality
of its waters in violation of any water quality requirement of that
jurisdiction, it may notify the EPA and the federal licensing or
permitting agency of its objection to the license or permit. Id. It may
also request a hearing on its objection with the federal licensing or
permitting agency. At the hearing, the EPA will submit its evaluation
and recommendations. The federal agency will consider the
jurisdiction's and the EPA's recommendations, and any additional
evidence presented at the hearing. The federal agency ``shall condition
such license or permit in such manner as may be necessary to insure
compliance with the applicable water quality requirements'' of the
neighboring jurisdiction. Id. If the conditions cannot ensure
compliance, the federal agency may not issue the license or permit.
The EPA also must provide technical assistance for section 401
certifications upon the request of any federal or state agency, or
project proponent. Id. at 1341(b). Technical assistance might include
provision of any relevant information on applicable effluent
limitations, standards, regulations, requirements, or water quality
criteria.
Finally, the EPA is responsible for developing regulations and
guidance to ensure effective implementation of all CWA programs,
including section 401. The EPA's current water quality certification
regulations were promulgated in 1971,\13\ prior to the 1972
[[Page 44088]]
amendments that enacted CWA section 401.
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\13\ The EPA's existing water quality certification regulations
are found at 40 CFR part 121, 36 FR 22487 (November 25, 1971). The
EPA has also promulgated regulations addressing how 401
certification applies to the CWA section 402 NPDES program, found at
40 CFR 124.53, 124.54, 124.55; 48 FR 14264 (April 1, 1983). This
proposed rule does not address the NPDES regulations, and the Agency
will make any necessary conforming regulatory changes in a
subsequent rulemaking.
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The EPA's 1971 regulations were designed to implement an earlier
version of the certification requirement that was included in the pre-
1972 version of the FWPCA. The legislative history reveals Congress
added the certification requirement to ``recognize[] the responsibility
of Federal agencies to protect water quality whenever their activities
affect public waterways.'' S. Rep. No. 91-351, at 3 (1969). ``In the
past, these [Federal] licenses and permits have been granted without
any assurance that the [water quality] standards will be met or even
considered.'' Id. As an example, the legislative history discusses the
Atomic Energy Commission's failure to consider the impact of thermal
pollution on receiving waters when evaluating ``site selection,
construction, and design or operation of nuclear powerplants.'' Id.
Prior to 1972, the certification provision required states to
certify that ``such activity will be conducted in a manner which will
not violate applicable water quality standards.'' Public Law 91-224,
Sec. 21(b)(1), 84 Stat. 91 (1970) (emphasis added). As described
above, the 1972 amendments restructured the CWA and created a framework
for compliance with effluent limitations that would be established in
discharge permits issued pursuant to the new federal permitting
program.
The 1972 amendments retained the pre-existing water quality
certification requirements but modified the requirements to be
consistent with the overall restructuring of the CWA so that a water
quality certification would assure that the ``discharge will comply''
with effluent limitations and other enumerated regulatory provisions of
the Act, and with ``any other appropriate requirement'' of state or
tribal law. 33 U.S.C. 1341(a), (d) (emphasis added). Because the EPA's
existing certification regulations were promulgated prior to the 1972
CWA amendments, they contain language from the pre-1972 FWCPA that
Congress changed in those amendments. In contrast to the language in
CWA section 401, the EPA's existing certification regulations direct
authorities to certify that there is ``reasonable assurance that the
activity will be conducted in a manner which will not violate
applicable water quality standards.'' 40 CFR 121.2(a)(2)-(3) (emphasis
added). These outdated provisions have caused confusion for states,
tribes, stakeholders, and courts reviewing section 401 certifications,
and a primary goal for this proposal is to update and clarify the
Agency's regulations to ensure that they are consistent with the CWA.
3. The EPA's Existing Certification Regulations
The EPA's existing certification regulations require certifying
authorities to act on a certification request within a ``reasonable
period of time.'' 40 CFR 121.16(b). The regulations provide that the
federal licensing or permitting agency determines what constitutes a
``reasonable period,'' and that the period shall generally be six
months but in any event shall not exceed one year. Id.
The existing certification regulations also provide that certifying
authorities may waive the certification requirement under two
circumstances: First, when the certifying authority sends written
notification expressly waiving its authority to act on a request for
certification; and second, when the federal licensing or permitting
agency sends written notification to the EPA Regional Administrator
that the certifying authority failed to act on a certification request
within a reasonable period of time after receipt of such a request. Id.
at 121.16(a)-(b). Once waiver occurs, certification is not required,
and the federal license or permit may be issued. 33 U.S.C. 1341(a).
When the EPA is the certifying authority, the existing
certification regulations at 40 CFR part 121 establish different
requirements, including specific information to be included in a
certification request and additional procedures. When the EPA is
providing certification, the project proponent must submit to the EPA
Regional Administrator the name and address of the project proponent, a
description of the facility or activity and of any related discharge
into waters of the United States, a description of the function and
operation of wastewater treatment equipment, dates on which the
activity and associated discharge will begin and end, and a description
of the methods to be used to monitor the quality and characteristics of
the discharge. 40 CFR 121.22. Once the request is submitted to the EPA,
the Regional Administrator must provide public notice of the request
and an opportunity to comment, specifically stating that ``all
interested and affected parties will be given reasonable opportunity to
present evidence and testimony at a public hearing on the question
whether to grant or deny certification if the Regional Administrator
determines that such a hearing is necessary or appropriate.'' Id. at
121.23. If, after consideration of relevant information, the Regional
Administrator determines that there is ``reasonable assurance that the
proposed activity will not result in a violation of applicable water
quality standards,'' the Regional Administrator shall issue the
certification.\14\ Id. at 121.24.
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\14\ Use of the terms ``reasonable assurance'' and ``activity''
in this operative provision of the EPA's existing certification
regulation is an artifact of the pre-1972 statutory language and
those terms are not used in the operative provision of CWA section
401. See Public Law 91-224, 21(b)(1), 84 Stat. 91 (1970).
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The existing certification regulations identify a number of
requirements that all certifying authorities must include in a section
401 certification. Id. at 121.2. For example, a section 401
certification shall include the name and address of the project
proponent. Id. at 121.2(a)(2). The certification shall also include a
statement that the certifying authority examined the application made
by the project proponent to the federal licensing or permitting agency
and bases its certification upon an evaluation of the application
materials which are relevant to water quality considerations or that it
examined other information sufficient to permit the certifying
authority to make a statement that there is a ``reasonable assurance
that the activity will be conducted in a manner which will not violate
applicable water quality standards.'' Id. at 121.2(a)(2)-(3). The
certification shall state ``any conditions which the certifying agency
deems necessary or desirable with respect to the discharge of the
activity,'' and other information the certifying authority deems
appropriate.\15\ Id. at 121.2(a)(4)-(5).
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\15\ The term ``desirable'' is also not used in CWA section 401.
---------------------------------------------------------------------------
The existing certification regulations at 40 CFR part 121 also
establish a process for the EPA to provide neighboring jurisdictions
with an opportunity to comment on a certification that is similar to
that provided in the modern CWA section 401(a)(2). Under the existing
certification regulations, the Regional Administrator is required to
review the federal license or permit application, the certification,
and any supplemental information provided to the EPA by the federal
licensing or permitting agency, and if the Regional Administrator
determines there is ``reason to believe that a discharge may affect the
quality of the waters of any State or States other than the State in
which the discharge originates,'' the Regional Administrator is
required to notify each affected state within thirty days of receipt of
the application materials and certification. Id. at 121.13. If the
documents provided are insufficient to make the
[[Page 44089]]
determination, the Regional Administrator may request any supplemental
information ``as may be required to make the determination.'' Id. at
121.12. In cases where the federal licensing or permitting agency holds
a public hearing on the objection raised by a neighboring jurisdiction,
notice of such objection shall be forwarded to the Regional
Administrator by the licensing or permitting agency no later than 30
days prior to the hearing. Id. at 121.15. At the hearing the Regional
Administrator shall submit an evaluation and ``recommendations as to
whether and under what conditions the license or permit should be
issued.'' Id. at 121.15.
The existing certification regulations establish that the Regional
Administrator ``may, and upon request shall'' provide federal licensing
and permitting agencies, certifying authorities, and project proponents
with information regarding water quality standards, status of
compliance by dischargers with the conditions and requirements of
applicable water quality standards. Id. at 121.30.
Finally, the existing certification regulations establish an
oversight role for the EPA when a certifying authority modifies a prior
certification. The regulation provides for a certifying authority to
modify its certification ``in such manner as may be agreed upon by the
certifying agency, the licensing or permitting agency, and the Regional
Administrator.'' Id. at 121.2(b) (emphasis added).
As noted throughout this preamble, the EPA's existing certification
regulations were promulgated prior to the 1972 CWA amendments and they
do not reflect the current statutory language in section 401. In
addition, the EPA's existing certification regulations at 40 CFR part
121 do not address some important procedural and substantive components
of section 401 certification review and action. This proposal is
intended to modernize the EPA's regulations, align them with the
current text and structure of the CWA, and provide additional
regulatory procedures that the Agency believes will help promote
consistent implementation of section 401 and streamline federal license
and permit processes, consistent with the objectives of the Executive
Order.
4. Judicial Interpretations of Section 401
During the 47 years since its passage, the federal courts on
numerous occasions have interpreted key provisions of section 401. The
United States Supreme Court has twice addressed questions related to
the scope and triggering mechanism of section 401, and lower courts
have also addressed certain elements of section 401 certifications.
This section summarizes the U.S. Supreme Court decisions and major
lower court decisions.
a. U.S. Supreme Court Decisions
i. P.U.D. No. 1 of Jefferson County
In 1994, the Supreme Court reviewed a water quality certification
issued by the State of Washington for a new hydroelectric project on
the Dosewallips River. See PUD No. 1 of Jefferson County and City of
Tacoma v. Washington Department of Ecology, 511 U.S. 700 (1994) (PUD
No. 1). This particular decision, though narrow in its holding, has
been read by other courts as well as the EPA and some states and tribes
to significantly broaden the scope of section 401 beyond its plain
language meaning.
The principal dispute adjudicated in PUD No. 1 was whether a state
or tribe may require a minimum stream flow as a condition in a
certification issued under section 401. In this case, the project
proponent identified two potential discharges from its proposed
hydroelectric facility: ``the release of dredged and fill material
during construction of the project, and the discharge of water at the
end of the tailrace after the water has been used to generate
electricity.'' Id at 711. The project proponent argued that the minimum
stream flow condition was unrelated to these discharges and therefore
beyond the scope of the state's authority under section 401. Id.
The Court analyzed sections 401(a) and 401(d); specifically it
analyzed the use of different terms in those sections of the statute to
inform the scope of a section 401 certification. Section 401(a)
requires the certifying authority to certify that the discharge from a
proposed federally licensed or permitted project will comply with
enumerated CWA provisions, and section 401(d) allows the certifying
authority to include conditions to assure that the applicant will
comply with enumerated CWA provisions and ``other appropriate state law
requirements.'' The Court concluded that, consistent with the EPA's
implementing regulations, section 401(d) ``is most reasonably read as
authorizing additional conditions and limitations on the activity as a
whole once the threshold condition, the existence of a discharge, is
satisfied.'' \16\ Id. at 712. The Court cited the EPA's certification
regulations at 40 CFR 121.2(a)(3) with approval and quoted the EPA's
guidance titled Wetlands and 401 Certification, and stated that ``EPA's
conclusion that activities--not merely discharges--must comply with
state water quality standards is a reasonable interpretation of Sec.
401 and is entitled to deference.'' Id. (citing EPA, Wetlands and 401
Certification 23 (April 1989)).
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\16\ The Court apparently failed to identify or understand that
the EPA's regulations were promulgated prior to the 1972 CWA
amendments and that the exact provision the Court was analyzing
contained outdated terminology, including the term ``activity'' from
the pre-1972 versions of the Act.
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The Court was careful to note that a state's authority to condition
a certification ``is not unbounded'' and that states ``can only ensure
that the project complies with `any applicable effluent limitations and
other limitations, under [33 U.S.C. 1311, 1312]' or certain other
provisions of the Act, `and with any other appropriate requirement of
State Law.' '' Id. The Court concluded that ``state water quality
standards adopted pursuant to Sec. 303 are among the `other
limitations' with which a State may ensure compliance through the Sec.
401 certification process'' and noted that its view ``is consistent
with EPA's view of the statute,'' again citing the EPA's regulations
and guidance. Id. at 713.
Although this decision has been interpreted by some to broadly
expand state authority under section 401--beyond assessing water
quality impacts from the discharge and allowing conditions beyond the
enumerated CWA provisions--the Court did not stray from the bedrock
principles that a section 401 certification must address water quality
and that appropriate conditions include those necessary to assure
compliance with the state's water quality standards. Indeed, referring
to the section 401 language allowing certification conditions based on
``any other appropriate requirements of state law,'' the Court
explicitly declined to speculate ``on what additional state laws, if
any, might be incorporated by this language. But at a minimum,
limitations imposed pursuant to state water quality standards adopted
pursuant to Sec. 303 are appropriate requirements of state law.'' Id.
(emphasis added).
On the scope of section 401, the dissenting opinion would have
declined to adopt the interpretation suggested by the EPA's regulations
and guidance and instead analyzed the statutory section as a whole,
attempting to harmonize sections 401(a) and (d). The dissent first
noted that, if the Court's conclusion that states can impose conditions
unrelated
[[Page 44090]]
to discharges is correct, ``Congress' careful focus on discharges in
Sec. 401(a)(1)--the provision that describes the scope and function of
the certification process--was wasted effort,'' and that the Court's
conclusion ``effectively eliminates the constraints of Sec.
401(a)(1).'' Id. at 726. The dissent then ``easily reconciled'' the two
provisions by concluding that, ``it is reasonable to infer that the
conditions a State is permitted to impose on certification must relate
to the very purpose the certification process is designed to serve.
Thus, while section 401(d) permits a State to place conditions on a
certification to ensure compliance of `the applicant,' those conditions
must still be related to discharges.'' Id. at 726-27. The dissent
further noted that each of the CWA provisions enumerated in section 401
``describes discharge-related limitations'' and therefore the plain
language of section 401(d) supports the conclusion that certification
conditions must address water quality concerns from the discharge, not
the proposed activity as a whole. Id. at 727. Finally, the dissent
applied the principle ejusdem generis in its analysis and concluded
that because ``other appropriate requirements of state law'' is
included in a list of more specific discharge-related CWA provisions,
that the ``appropriate'' requirements are ``most reasonably construed
to extend only to provisions that, like the other provisions in the
list, impose discharge-related restrictions.'' Id. at 728.
The dissent also took issue with the Court's reliance, at least in
part, on the EPA's regulations and its application of Chevron deference
in this case without first identifying ambiguity in the statute and,
where the government apparently did not seek deference on an
interpretation of section 401(d). Id. The dissent noted that there was
no EPA interpretation directly addressing the language in sections
401(a) and (d), and that the only existing EPA regulation that
addresses conditions ``speaks exclusively in terms of limiting
discharges.'' \17\ Id. (citing 40 CFR 121.2(a)(4)).
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\17\ The EPA's amicus brief filed in this case did not grapple
with the language in 401(a) and (d) at all, but primarily argued
that the proposed project had two distinct discharges (which were
undisputed) and that ``both discharges could reasonably be said to
cause a violation of the State's water quality standards,''
including the designated uses and antidegradation components. Brief
for the United States as Amicus Curiae Supporting Affirmance, at 12
n. 2 (Dec. 1993) (``It is therefore unnecessary to determine in this
case whether Congress intended by the use of the term ``applicant,''
rather than ``discharge'' in section 401(d) to grant States a
broader power to condition certifications under Section 401(d) than
to deny them under Section 401(a) and, if so, whether there are
limitations on the States' authority to impose such conditions.''
The EPA's amicus brief also did not inform the Court that the
Agency's implementing regulations included language from the prior
version of the Act.
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The PUD No. 1 decision addressed two other scope-related elements
of section 401: Whether certification conditions may be designed to
address impacts to designated uses, and whether conditions related to
minimum stream flows are appropriate under section 401. First, the
Court conducted a plain language analysis of the CWA and concluded
that, ``under the literal terms of the statute, a project that does not
comply with a designated use of the water does not comply with the
applicable water quality standards.'' Id. at 715. This means a section
401 certification may appropriately include conditions to require
compliance with designated uses, which pursuant to the CWA, are a
component of a water quality standard. Id. Second, the Court
acknowledged that the Federal Power Act (FPA) empowers FERC ``to issue
licenses for projects `necessary or convenient . . . for the
development, transmission, and utilization of power across, along,
from, or in any of the streams . . . over which Congress has
jurisdiction,''' and that the FPA ``requires FERC to consider a
project's effect on fish and wildlife.'' Id. at 722. Although the Court
had previously rejected a state's minimum stream flow requirement that
conflicted with a stream flow requirement in a FERC license, the Court
found no similar conflict in this case because FERC had not yet issued
the hydropower license. Id. Given the breadth of federal permits that
CWA section 401 applies to, the Court declined to assert a broad
limitation on stream flow conditions in certifications but concluded
they may be appropriate if necessary to enforce a state's water quality
standard, including designated uses. Id. at 723.
ii. S.D. Warren
In 2006, the Court revisited section 401 in connection with the
State of Maine's water quality certification of FERC license renewals
for five hydroelectric dams on the Presumpscot River. S.D. Warren Co.
v. Maine Board of Environmental Protection et al., 547 U.S. 370 (2006)
(S.D. Warren). The issue presented in S.D. Warren was whether operation
of a dam may result in a ``discharge'' into the waters of the United
States, triggering the need for a section 401 certification, even if
the discharge did not add any pollutants. The Court analyzed the use of
different terms--``discharge'' and ``discharge of pollutants''--within
the CWA, how those terms are defined and how they are used in CWA
sections 401 and 402. The Court noted that section 402 expressly uses
the term ``discharge of pollutants'' and requires permits for such
discharges; and that section 401, by contrast, provides a tool for
states to maintain water quality within their jurisdiction and uses the
term ``discharge'' which is not independently defined in the Act.\18\
Finding no specific definition of the term ``discharge'' in the
statute, the Court turned to its common dictionary meaning: A ``flowing
or issuing out'' and concluded that the term is ``presumably broader''
than ``discharge of a pollutant.'' Id. at 375-76.
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\18\ The Court noted that the Act provides, that ``the term
`discharge' when used without qualification incudes a discharge of a
pollutant, and a discharge of pollutants.'' 547 U.S. at 375 (quoting
33 U.S.C. 1362(16)).
---------------------------------------------------------------------------
The Court held that operating a dam ``does raise the potential for
a discharge'' and, therefore, section 401 is triggered. Id. at 373. In
so holding, the Court observed that, ``[t]he alteration of water
quality as thus defined is a risk inherent in limiting river flow and
releasing water through turbines,'' and such changes in a river ``fall
within a State's legitimate legislative business, and the Clean Water
Act provides for a system that respects the State's concerns.'' Id. at
385-86. The Court concluded by observing that ``[s]tate certifications
under [section] 401 are essential in the scheme to preserve state
authority to address the broad range of pollution.'' Id. at 386. This
sentence when read in isolation could be interpreted as broadening the
scope of section 401 to allow certifying authorities to consider
potential environmental impacts from a proposed federally licensed or
permitted project beyond water quality. However, the Court followed
that sentence with a quote from Senator Muskie's floor statement during
the enactment of section 401:
No polluter will be able to hide behind a Federal license or
permit as an excuse for a violation of water quality standard[s]. No
polluter will be able to make major investments in facilities under
a Federal license or permit without providing assurance that the
facility will comply with water quality standards. No State water
pollution control agency will be confronted with a fait accompli by
an industry that has built a plant without consideration of water
quality requirements.
Id. (emphasis added). The Court then stated, ``These are the very
reasons that Congress provided the States with
[[Page 44091]]
power to enforce `any other appropriate requirement of State law,' by
imposing conditions on federal licenses for activities that may result
in a discharge.'' Id. (emphasis added). Read in context, the Court's
statement about a state's authority to address a ``broad range of
pollution'' under section 401 does not suggest that an ``appropriate
requirement of State law'' means anything other than water quality
requirements or that a state's or tribe's action on a certification
request can be focused on anything other than compliance with
appropriate water quality requirements.
b. Circuit Court Decisions
Over the years, federal appellate courts have also addressed
important aspects of section 401, including the timing for certifying
authorities to act on a request and the scope of authority of federal
agencies other than the EPA to make determinations on section 401
certifications. This section highlights a few of the most significant
issues concerning section 401 and the most often cited decisions but
does not cover the universe of lower federal court or state court case
law. The Agency intends for this proposed rule, if finalized, to
provide consistency and certainty where there may currently be
conflicting or unclear but locally binding legal precedent.
Recent case law has provided insight concerning the timing and
waiver provisions of section 401. In 2018, the Second Circuit addressed
the question of when the statutory review clock begins. N.Y. State
Dep't of Envtl. Conservation v. FERC, 884 F.3d 450, 455-56 (2d Cir.
2018). Considering Millennium Pipeline Company's certification request,
the court disagreed with the State of New York and held that the
statutory time limit is not triggered when a state determines that a
request for certification is ``complete,'' but that the ``plain
language of Section 401 outlines a bright-line rule regarding the
beginning of review,'' and that the clock begins upon ``receipt of such
request'' by the certifying authority. Id. Otherwise, the court noted
that states could ``blur this bright-line into a subjective standard,
dictating that applications are complete only when state agencies
decide that they have all the information they need. The state agencies
could thus theoretically request supplemental information
indefinitely.'' Id. at 456.
The D.C. Circuit has also recently analyzed the statutory timeline
for review of a certification and held that, consistent with the plain
language of CWA section 401(a)(1), ``while a full year is the absolute
maximum, [the statute] does not preclude a finding of waiver prior to
the passage of a full year.'' Hoopa Valley Tribe v. FERC, 913 F.3d
1099, 1104 (D.C. Cir. 2019). The court also noted that the EPA--``the
agency charged with administering the CWA''--has regulations that allow
it to find that a state has waived certification of an NPDES permit
application after only six months. Id.
In Hoopa Valley Tribe, the D.C. Circuit also held that ``the
withdrawal-and-resubmission of water quality certification requests
does not trigger new statutory periods of review.'' Id. at 1101. The
court found that the project proponent and the certifying authorities
(California and Oregon) had improperly entered into an agreement
whereby the ``very same'' request for state certification of its
relicensing application was automatically withdrawn-and resubmitted
every year by operation of ``the same one-page letter,'' submitted to
the states before the statute's one-year waiver deadline. Id. at 1104.
The court observed that ``[d]etermining the effectiveness of such a
withdrawal-and-resubmission scheme is an undemanding inquiry'' because
the statute's text ``is clear'' that failure or refusal to act on a
request for certification within a reasonable period of time, not to
exceed one year, waives the state's ability to certify.\19\ Id. at
1103. The court found that, pursuant to the unlawful withdrawal-and
resubmission ``scheme,'' the states had not yet rendered a
certification decision ``more than a decade'' after the initial request
was submitted to the states. Id. at 1104. The court declined to
``resolve the legitimacy'' of an alternative arrangement whereby an
applicant may actually submit a new request in place of the old one.
Id. Nor did it determine ``how different a request must be to
constitute a `new request' such that it restarts the one-year clock.''
Id. On the facts before it, the court found that ``California's and
Oregon's deliberate and contractual idleness'' defied the statute's
one-year limitation and ``usurp[ed] FERC's control over whether and
when a federal license will issue.'' Id.
---------------------------------------------------------------------------
\19\ Two decisions from the Second Circuit Court of Appeals
recently acknowledged that project proponents have withdrawn and
resubmitted certification requests to extend the reasonable time
period for a state to review. See N.Y. State Dep't of Envtl.
Conservation v. FERC, 884 F.3d at 456; Constitution Pipeline v. N.Y.
State Dep't of Envtl. Conservation, 868 F.3d 87, 94 (2d Cir. 2018).
However, in neither case did the court consider the merits or opine
on the legality of such an arrangement.
---------------------------------------------------------------------------
Another important area of case law deals with the scope of
authority and deference provided to federal agencies other than the EPA
in addressing issues arising under section 401. Many other federal
agencies, including FERC and the Corps, routinely issue licenses and
permits that require section 401 certifications and are responsible for
enforcing state certification conditions that are incorporated into
federal licenses and permits. However, because the EPA has been charged
by Congress with administering the CWA, some courts have concluded that
those other federal agencies are not entitled to deference on their
interpretations of section 401. See Alabama Rivers Alliance v. FERC,
325 F.3d 290, 296-97 (D.C. Cir. 2002); California Trout, Inc. v. FERC,
313 F.3d 1131, 1133-34 (9th Cir. 2002); American Rivers, Inc. v. FERC,
129 F.3d 99, 107 (2d. Cir. 1997). Other courts have concluded that FERC
has an affirmative obligation to determine whether a certifying
authority has complied with requirements related to a section 401
certification. See City of Tacoma v. FERC, 460 F.3d 53, 67-68 (D.C.
Cir. 2006) (FERC had an obligation to ``obtain some minimal
confirmation of such compliance.''); see also Keating v. FERC, 927 F.2d
616, 622-623, 625 (D.C. Cir. 1991) (while federal agency may not
question propriety of state certification before license has issued,
``FERC must at least decide whether the state's assertion of revocation
satisfies section 401(a)(3)'s predicate requirements.'').
In an important determination of procedural authorities, the Second
Circuit affirmed that FERC--as the licensing agency--``may determine
whether the proper state has issued the certification or whether a
state has issued a certification within the prescribed period.'' Am.
Rivers, Inc., 129 F.3d at 110-111. This holding is consistent with and
supported by the implied statutory authority of a federal agency to
establish the ``reasonable period of time (which shall not exceed one
year)'' in the first place. 33 U.S.C. 1341(a)(1).
Case law also highlights the potential enforcement challenges that
federal agencies face with section 401 certification conditions
included in federal licenses and permits. Federal agencies have been
admonished not to ``second guess'' a state's water quality
certification or its conditions, see, e.g., City of Tacoma, 460 F.3d at
67; Am. Rivers Inc., 129 F.3d at 107; U.S. Dept. of Interior v. FERC,
952 F.2d 538, 548 (D.C. Cir. 1992) (``FERC may not alter or reject
conditions imposed by the states through section 401 certificates.''),
even where the federal agency has attempted to impose conditions that
are more
[[Page 44092]]
stringent than the state's condition. See Sierra Club v. U.S. Army
Corps of Engineers, 909 F.3d 635, 648 (4th Cir. 2018) (``the plain
language of the Clean Water Act does not authorize the Corps to replace
a state condition with a meaningfully different alternative condition,
even if the Corps reasonably determines that the alternative condition
is more protective of water quality''); see also Lake Carriers'
Association v. EPA, 652 F.3d 1, 6, 12 (D.C. Cir. 2011) (concluding that
petitioners' request for additional notice and comment procedure on
state certification conditions would have been futile because ``the
petitioners have failed to establish that EPA can alter or reject state
certification conditions. . . .'' But the court also observed,
``[n]otably, the petitioners never argued that the certifications
failed to `compl[y] with the terms of section 401,' . . . by
overstepping traditional bounds of state authority to regulate
interstate commerce'' (citing City of Tacoma, 460 F.3d at 67) and the
court ``therefore need not consider whether EPA has authority to reject
state conditions under such circumstances.'')). But in Snoqualmie
Indian Tribe v. FERC, the Ninth Circuit upheld FERC's inclusion of
minimum flow requirements greater than those specified in the State of
Washington's certification as long as they ``do not conflict with or
weaken the protections provided by the [State] certification.'' 545
F.3d 1207, 1219 (9th Cir. 2008). In that case, FERC had added license
conditions increasing the minimum flows specified in the state's
certification in order to ``produce a great amount of mist'' which it
determined would ``augment the Tribe's religious experience,'' one of
the water's designated uses. Id.; see also cases discussed at section
III.F in this preamble affirming a role for federal agencies to confirm
whether certifications comply with the requirements of section 401.
This proposal is intended to provide clarity to certifying
authorities, federal agencies, and project proponents, as it addresses
comprehensively and for the first time some competing case law and
attempts to clarify the scope of conditions that may be included in a
certification and the federal agencies' role in the certification
process.
5. Administrative Law Principles
To understand the full context and legal basis for this proposal,
it is useful to understand some key governing principles of
administrative law. In general, administrative agencies can only
exercise authority provided by Congress, and courts must enforce
unambiguous terms that clearly express congressional intent. However,
when Congress delegates authority to administrative agencies, it
sometimes enacts ambiguous statutory provisions. To carry out their
congressionally authorized missions, agencies, including the EPA, must
often interpret ambiguous statutory terms. However, they must do so
consistent with congressional intent. In Chevron, U.S.A., Inc. v.
Natural Resources Defense Council, Inc., 467 U.S. 837 (1984) (Chevron),
the Supreme Court concluded that courts have a limited role when
reviewing agency interpretations of ambiguous statutory terms. In such
cases, reviewing courts defer to an agency's interpretation of
ambiguous terms if the agency's interpretation is reasonable. Under
Chevron, federal agencies--not federal courts--are charged in the first
instance with resolving statutory ambiguities to implement delegated
authority from Congress.
The Supreme Court has described the Chevron analysis as a ``two-
step'' process. Encino Motorcars, LLC v. Navarro, 136 S. Ct. 2117, 2124
(2016). At step one, the reviewing court determines whether Congress
has ``directly spoken to the precise question at issue.'' Chevron, 467
U.S. at 842. If so, ``that is the end of the matter; for the court, as
well as the agency, must give effect to the unambiguously expressed
intent of Congress.'' Id. at 842-43. If the statute is silent or
ambiguous, the reviewing court proceeds to the second step, where the
court must defer to the agency's ``reasonable'' interpretation. Id. at
844.
Chevron deference relies on the straightforward principle that,
``when Congress grants an agency the authority to administer a statute
by issuing regulations with the force of law, it presumes the agency
will use that authority to resolve ambiguities in the statutory
scheme.'' Encino Motorcars, 136 S. Ct. at 2125 (citing Chevron, 467
U.S. at 843-44). Indeed, courts have applied Chevron deference to an
agency's statutory interpretation ``when it appears that Congress
delegated authority to the agency generally to make rules carrying the
force of law, and that the agency interpretation claiming deference was
promulgated in the exercise of that authority.'' Mayo Found. for
Medical Educ. and Res. v. United States, 562 U.S. 44, 45 (2011)
(quoting United States v. Mead Corp., 533 U.S. 218, 226-27 (2001)).
In Chevron, the Supreme Court reviewed the EPA's interpretation of
statutory language from the Clean Air Act Amendments of 1977. Congress
amended the Clean Air Act to impose requirements on states that had not
achieved the national air quality standards promulgated by the EPA.
States that had not attained the established air standards had to
implement a permit program that would regulate ``new or modified major
stationary sources'' of air pollution. Clean Air Act Amendments of
1977, Public Law 95-95, 91 Stat. 685 (1977). The EPA promulgated
regulations defining a ``stationary source'' as the entire plant where
pollutant-producing structures may be located. The EPA, therefore,
treated numerous pollution-producing structures collectively as a
single ``stationary source,'' even if those structures were part of the
same larger facility or complex. See 40 CFR 51.18(j)(1)(i)-(ii) (1983).
Under the EPA's regulation, a facility could modify or construct new
pollution-emitting structures as long as the stationary source--the
facility as a whole--did not increase its pollution emissions.
The Natural Resources Defense Council (NRDC) opposed the EPA's
definition of ``stationary source'' and filed a challenge to the
Agency's regulations. The D.C. Circuit agreed with the NRDC and set
aside the EPA's regulations. The D.C. Circuit acknowledged that the
Clean Air Act ``does not explicitly define what Congress envisioned as
a `stationary source,' to which the permit program . . . should apply''
and also concluded that Congress had not clearly addressed the issue in
the legislative history. NRDC v. Gorsuch, 685 F.2d 718, 723 (D.C. Cir.
1982). Without clear text or intent from Congress, the D.C. Circuit
looked to the purposes of the program to guide the court's
interpretation. Id. at 726. According to the court, Congress sought to
improve air quality when it amended the Clean Air Act, and the EPA's
definition of ``stationary source'' merely promoted the maintenance of
current air quality standards.
In a unanimous decision, the Supreme Court reversed, finding that
the D.C. Circuit committed a ``basic legal error'' by adopting ``a
static judicial definition of the term `stationary source' when it had
decided that Congress itself had not commanded that decision.''
Chevron, 467 U.S. at 842. The Court explained that it is not the
judiciary's place to establish a controlling interpretation of a
statute delegating authority to an agency, but, rather, it is the
agency's job to ``fill any gap left, implicitly or explicitly, by
Congress.'' Id. at 843. When Congress expressly delegates to an
administrative agency the authority to interpret a
[[Page 44093]]
statute through regulation, courts cannot substitute their own
interpretation of the statute when the agency has provided a reasonable
construction of the statute. See id. at 843-44.
During the rulemaking process, the EPA had explained that Congress
had not fully addressed the definition of ``source'' in the amendments
to the Clean Air Act or in the legislative history. Id. at 858. The
Supreme Court agreed, concluding that ``the language of [the statute]
simply does not compel any given interpretation of the term `source.'
'' Id. at 860. And the legislative history associated with the
amendments was ``silent on the precise issue.'' Id. at 862.
In its proposed and final rulemaking, the EPA noted that adopting
an individualized equipment definition of ``source'' could
disincentivize the modernization of plants, if industry had to go
through the permitting process to create changes. Id. at 858. The EPA
believed that adopting a plant-wide definition of ``source'' could
result in reduced pollution emissions. Id. Considering the Clean Air
Act's competing objectives of permitting economic growth and reducing
pollution emissions, the Supreme Court stated that ``the plantwide
definition is fully consistent with one of those concerns--the
allowance of reasonable economic growth--and, whether or not we believe
it most effectively implements the other, we must recognize that the
EPA has advanced a reasonable explanation for its conclusion that the
regulations serve the environmental objectives as well.'' Id. at 863.
The Court upheld the EPA's definition of the term ``stationary
source,'' explaining that ``the Administrator's interpretation
represents a reasonable accommodation of manifestly competing interests
and is entitled to deference: The regulatory scheme is technical and
complex, the agency considered the matter in a detailed and reasoned
fashion, and the decision involves reconciling conflicting policies.''
Id. at 865.\20\
---------------------------------------------------------------------------
\20\ For other instructive applications of Chevron's
interpretative principles, see Entergy Corp. v. Riverkeeper, Inc.
556 U.S. 208, 222-223 (2009) (statutory silence interpreted as
``nothing more than a refusal to tie the agency's hands''); Zuni
Pub. School Dist. v. Dep't of Edu. 550 U.S. 81, 89-94 (2007) (court
considered whether agency's interpretation was reasonable in light
of the ``plain language of the statute'' as well as the statute's
``background and basic purposes''); Healthkeepers, Inc. v. Richmond
Ambulance Auth., 642 F.3d 466, 471 (4th Cir. 2011) (``statutory
construction . . . is a holistic endeavor'').
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Even if a court has ruled on the interpretation of a statute, the
``court's prior judicial construction of a statute trumps an agency
construction otherwise entitled to Chevron deference only if the prior
court decision holds that its construction follows from the unambiguous
terms of the statute and thus leaves no room for agency discretion.''
Nat'l Cable & Telecomm. Ass'n v. Brand X Internet Serv., 545 U.S. 967,
982 (2005) (emphasis added). Put another way, Brand X held that ``a
court's choice of one reasonable reading of an ambiguous statute does
not preclude an implementing agency from later adopting a different
reasonable interpretation.'' United States v. Eurodif S.A., 555 U.S.
305, 315 (2009). This principle stems from Chevron itself, which
``established a `presumption that Congress, when it left ambiguity in a
statute meant for implementation by an agency, understood that the
ambiguity would be resolved, first and foremost, by the agency, and
desired the agency (rather than the courts) to possess whatever degree
of discretion the ambiguity allows.' '' Brand X, 545 U.S. at 982
(quoting Smiley v. Citibank, 517 U.S. 735, 740-41 (1996)). Indeed, even
the ``initial agency interpretation is not instantly carved in stone.''
Chevron, 467 U.S. at 863.
In Brand X, the Federal Communications Commission (FCC or
Commission) interpreted the scope of the Communications Act of 1934,
which subjects providers of ``telecommunications service'' to mandatory
common-carrier regulations. Brand X, 545 U.S. at 977-78. Brand X
internet Services challenged the FCC's interpretation, and the Ninth
Circuit concluded that the Commission could not permissibly construe
the Communications Act the way that it did based on the Court's earlier
precedent. Id. at 979-80. The Supreme Court granted certiorari and
reversed. The Supreme Court upheld the FCC's interpretation of the
Communications Act by applying Chevron's two-step analysis. The Court
found that the relevant statutory provisions failed to unambiguously
foreclose the Commission's interpretation, while other provisions were
silent. The FCC had ``discretion to fill the consequent statutory
gap,'' and its construction was reasonable. Id. at 997.
The entire ``point of Chevron is to leave the discretion provided
by the ambiguities of a statute with the implementing agencies.'' Id.
at 981 (quoting Smiley, 517 U.S. at 742). The Supreme Court emphasized
that courts cannot override an agency's interpretation of an ambiguous
statute based on judicial precedent. Id. at 982. Instead, as a ``better
rule,'' a reviewing court only can rely on precedent that interprets a
statute at ``Chevron step one.'' Id. ``Only a judicial precedent
holding that the statute unambiguously forecloses the agency's
interpretation, and therefore contains no gap for the agency to fill,
displaces a conflicting agency construction.'' Id. at 982-83. A
contrary rule produces anomalous results because the controlling
interpretation would then turn on whether a court or the agency
interprets the statutory provision first. See id. at 983. Congress
delegated authority to agencies to interpret statutes and that
authority ``does not depend on the order in which the judicial and
administrative constructions occur.'' Id. Agencies have the authority
to revise ``unwise judicial constructions of ambiguous statutes.'' Id.
6. Legal Construct for the Proposed Rule
As the preceding summary of the statutory, regulatory and judicial
history demonstrates, the most challenging aspects of section 401
concern the scope of review and action on a certification request, and
the amount of time available for a certifying authority to act. The
Agency is proposing a regulation that would clarify these aspects and
provide additional regulatory certainty for states, tribes, federal
agencies, and project proponents. This subsection summarizes some of
the core legal principles that inform this proposal, and the following
section (section III) describes how the Agency is applying those legal
principles to support the proposed regulation.
a. Scope of Certification
The EPA has for the first time conducted a holistic analysis of the
text, structure, and history of CWA section 401. As a result of that
analysis, the EPA proposes to interpret the scope of section 401 as
protecting the quality of waters of the United States from point source
discharges associated with federally licensed or permitted activities
by requiring compliance with the CWA and EPA-approved state and tribal
CWA regulatory program provisions.
Since at least 1973, the EPA has issued memoranda and guidance
documents and filed briefs in various court cases addressing section
401. Only a handful of these documents address the scope of section
401, and they were not the product of a holistic examination of the
statute or its legislative history and, as a result, included little
explanation for the Agency's interpretations. For example, in 1989, the
EPA issued a guidance document asserting that a section 401
certification could broadly address ``all of the potential effects of a
proposed
[[Page 44094]]
activity on water quality--direct and indirect, short and long term,
upstream and downstream, construction and operation. . . .'' EPA,
Wetlands and 401 Certification 23 (April 1989). The EPA's only
explanation for this assertion is a reference to section 401(a)(3),
which provides that a certification for a construction permit may also
be used for an operating permit that requires certification. The
guidance does not provide any analysis to support its assertion that a
certification could address all potential impacts from the ``proposed
activity'' as opposed to the discharge. Several years later, the United
States filed an amicus brief on behalf of the EPA in the PUD No. 1
case. The EPA's brief asserted that petitioners were ``mistaken'' in
their contention that the minimum flow condition is outside the scope
of section 401 because it does not address a discharge, but the brief
provided no analysis to support this position. The EPA's brief also did
not offer an affirmative interpretation to harmonize the different
language in sections 401(a) and 401(d). More than a decade later, the
EPA's amicus brief in the S.D. Warren case simply adopted the Supreme
Court's analysis in PUD No. 1 that once section 401 is triggered by a
discharge, a certification can broadly cover impacts from the entire
activity. Finally, in 2010 the EPA issued its now-rescinded Interim
Handbook which included a number of recommendations on scope, timing,
and other issues, none of which were supported with robust analysis or
interpretation of the Act.
This proposed rulemaking marks the first time that the EPA has
undertaken a holistic review of the text of section 401 in the larger
context of the structure and legislative history of the 1972 Act and
earlier federal water protection statutes and the first time the Agency
has subjected its analysis to public notice and comment. The proposed
regulation is informed by this holistic review and presents a framework
that EPA considers to be most consistent with congressional intent. The
Agency solicits comments on whether the proposed approach appropriately
captures the scope of authority for granting, conditioning, denying,
and waiving a section 401 certification.
i. Water Quality
The EPA proposes to conclude that the scope of a section 401 review
or action must be limited to considerations of water quality. The
Congressional purpose of the CWA is to protect and maintain water
quality, and there is no suggestion in either the plain language or
structure of the statute that Congress envisioned section 401 to
authorize action beyond that which is necessary to address water
quality directly. Indeed, as described in greater detail above, the
1972 amendments to the CWA resulted in the enactment of a comprehensive
scheme designed to prevent, reduce, and eliminate pollution in the
nation's waters generally, and to regulate the discharge of pollutants
into waters of the United States specifically.
The EPA is aware that certifying authorities may have previously
interpreted the scope of section 401 in a way that resulted in the
incorporation of non-water quality related considerations into their
certification review process. For example, certifying authorities have
included conditions not related directly to water quality in section
401 certifications, including requiring construction of biking and
hiking trails, requiring one-time and recurring payments to state
agencies for improvements or enhancements that are unrelated to the
proposed federally licensed or permitted project, and creating public
access for fishing along waters of the United States. Certifying
authorities have also attempted to address all potential impacts from
the operation or subsequent use of products generated by a proposed
federally licensed or permitted project that may be identified in an
environmental impact statement or environmental assessment, prepared
pursuant to the NEPA or a state law equivalent. This includes, for
example, consideration of impacts associated with air emissions and
transportation effects.
The Agency proposes to conclude that expanding the scope of section
401 to include consideration of effects and the imposition of
conditions unrelated to water quality would, at a minimum, invoke the
outer limits of power Congress delegated under the CWA. There is
nothing in the text of the statute or its legislative history that
signals that Congress intended to impose federal regulations on
anything more than water quality-related impacts to waters of the
United States. Indeed, Congress knows how to craft statutes to require
consideration of multi-media effects, see 42 U.S.C. 4321 et seq.
(NEPA), and has enacted specific statutes addressing impacts to air
(Clean Air Act), land (Resource Conservation and Recovery Act),
wildlife (Endangered Species Act), and cultural resources (National
Historic Preservation Act), by way of example.\21\ Subsequent
congressional action directly addressing a particular subject is
relevant to determining whether a previously adopted statute reaches
that subject matter. See FDA v. Brown & Williamson Tobacco Corp., 529
U.S. 120, 155 (2000) (determining that ``actions by Congress over the
past 35 years'' that addressed tobacco directly, when ``taken
together,'' ``preclude[d] an interpretation'' that a previously adopted
statute, the Food, Drug, and Cosmetic Act, ``grant[ed] the FDA
jurisdiction to regulate tobacco products.'').
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\21\ See, e.g., 42 U.S.C. 7401 et seq. (Clean Air Act); 42
U.S.C. 6901 et seq. (Resource Conservation and Recovery Act); 16
U.S.C. 1531 et seq. (Endangered Species Act); and 16 U.S.C. 470 et
seq. (National Historic Preservation Act).
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If Congress intended section 401 of the CWA to authorize
consideration or the imposition of certification conditions based on
air quality concerns, public access to waters, energy policy, or other
multi-media or non-water quality impacts, it would have provided a
clear statement to that effect. Neither the CWA nor section 401 contain
any such clear statement. In fact, Congress specifically contemplated a
broader policy direction in the 1972 amendments that would have
authorized the EPA to address impacts to land, air and water through
implementation of the CWA, but it was rejected.\22\ Agencies must avoid
interpretations of the statutes they implement to avoid pressing the
envelope of constitutional validity absent a clear statement from
Congress to do so. See SWANCC, 531 U.S. at 172-73; Rapanos, 547 U.S. at
738 (Scalia, J., plurality). That includes interpretations of the
statute that would provide states, tribes and the EPA the ability to
regulate interstate commerce beyond the four corners of the CWA. See
discussion supra at section II.F.1 in this preamble. The Agency
proposes to conclude that inclusion of the phrase ``other appropriate
requirements of state law'' in section 401(d) lacks that clear
direction from Congress.\23\
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\22\ As Congress drafted the 1972 CWA amendments, the House bill
(H.R. 11896) included section 101(g) within its ``Declaration of
Goals and Policy'' providing, ``(g) In the implementation of this
Act, agencies responsible therefor shall consider all potential
impacts relating to the water, land, and air to insure that other
significant environmental degradation and damage to the health and
welfare of man does not result.'' H.R. 11896, 92nd Cong. (1971).
Section 101(g) of the House bill was ``eliminated'' at conference,
and the Act was ultimately passed with no federal policy, goal or
directive to address non-water quality impacts through the CWA. S.
Rep. 92-1236, at 100 (1972) (Conf. Rep.).
\23\ The Agency also proposes to conclude that the use of the
term ``applicant'' in 401(d) creates ambiguity in the statute. See
section II.F.6.a.ii in this preamble for discussion on the use of
the term ``applicant'' in section 401(d).
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Pursuant to the plain language of section 401, when a state or
authorized tribe (and in some cases, the EPA) issues
[[Page 44095]]
a certification, it has determined that the discharge to waters of the
United States from a proposed federally licensed or permitted activity
will comply with applicable effluent limitations for new and existing
sources (CWA sections 301, 302 and 306), water quality standards and
implementation plans (section 303), toxic pretreatment effluent
standards (section 307), and other ``appropriate requirements'' of
state or tribal law. 33 U.S.C. 1341(a)(1), (d). The enumerated CWA
provisions identify requirements to ensure that discharges of
pollutants do not degrade water quality,\24\ and specifically
referenced throughout section 401 is the requirement to ensure
compliance with ``applicable effluent limitations'' and ``water quality
requirements,'' underscoring the focused intent of this provision on
the protection of water quality from discharges.\25\ See 33 U.S.C.
1341(a), (b), (d). The legislative history for the Act provides further
support for the EPA's interpretation, as it frequently notes the focus
of the section is on assuring compliance with water quality
requirements and water quality standards and the elimination of any
discharges of pollutants. See e.g., S. Rep. No. 92-414, at 69 (1971).
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\24\ For example, section 306 defines the standard of
performance for new sources of discharges as ``a standard for the
control of the discharge of pollutants which reflects the greatest
degree of effluent reduction which the Administrator determines to
be achievable through application of best available demonstrated
control technology, processes, operating methods, or other
alternatives, including, where practicable, a standard permitting no
discharge of pollutants.'' 33 U.S.C. 1316(a)(1). Section 303 notes
that new or revised state water quality standards ``[s]hall be such
as to protect the public health or welfare, enhance the quality of
water and serve the purposes of this chapter.'' Id. at
1313(c)(2)(A).
\25\ The term ``effluent limit'' is defined as, ``any
restriction established by a State or the Administrator on
quantities, rates, and concentrations of chemical, physical,
biological, and other constituents which are discharged from point
sources into navigable waters, the waters of the contiguous zone, or
the ocean, including schedules of compliance[,]'' 33 U.S.C.
1362(11); and the CWA requires that ``water quality standards''
developed by states and tribes ``consist of the designated uses of
the navigable waters involved and the water quality criteria for
such waters based upon such uses.'' Id. at 1313(c)(2)(A).
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The CWA does not define what is an ``appropriate requirement'' of
state law that should be considered as part of a section 401 review,
and the Agency acknowledges the need to respect the clear policy
direction from Congress to recognize and preserve state authority over
land and water resources within their borders. See 33 U.S.C. 1251(b).
Indeed, the Agency must avoid interpretations of the CWA that infringe
on traditional state land use planning authority. See SWANCC, 531 U.S.
at 172-73; Will, 491 U.S. at 65. One potential interpretation of this
clause in section 401(d) could be to authorize the imposition of
conditions or veto authority over a federal license or permit based on
non-water quality related impacts if those requirements are based on
existing state law. But such an interpretation could authorize the EPA
as a certifying authority to push the constitutional envelope of its
delegated authority into regulatory arenas more appropriately reserved
to the states, ``powers with which Congress does not readily
interfere.'' Gregory, 501 U.S. at 461 (describing the ``plain statement
rule'').
More importantly, the Agency does not believe that Congress
intended the phrase ``any other appropriate requirements of State law''
to be read so broadly. Instead, the principle ejusdem generis helps to
inform the appropriate interpretation of the text. Under this
principle, where general words follow an enumeration of two or more
things, they apply only to things of the same general kind or class
specifically mentioned. See Washington State Dept. of Social and Health
Services v. Keffeler, 537 U.S. 371, 383-85 (2003). Here, the general
term ``appropriate requirement'' follows an enumeration of four
specific sections of the CWA that are all focused on the protection of
water quality from point source discharges to waters of the United
States. Given the text, structure, purpose, and legislative history of
the CWA and section 401, the EPA proposes to interpret ``appropriate
requirements'' for section 401 certification review to include those
provisions of state or tribal law that are EPA-approved CWA regulatory
programs that control discharges, including provisions that are more
stringent than federal law. See S. Rep. No. 92-414, at 69 (1971) (``In
addition, this provision makes clear that any water quality
requirements established under State law, more stringent than those
requirements established under the Act, shall through certification
become conditions on any Federal license or permit.''). In this
respect, the EPA agrees with the logic of Justice Thomas's dissent in
PUD No. 1, wherein he concludes that ``the general reference to
`appropriate' requirements of state law is most reasonably construed to
extend only to provisions that, like other provisions in the list,
impose discharge-related restrictions.'' PUD No. 1, 511 U.S. at 728
(Thomas, J., dissenting). The CWA provisions that regulate point source
discharges to waters of the United States, and those discharge-related
restrictions referenced in Justice Thomas's dissent, are the
``regulatory provisions of the CWA.'' When states or tribes enact CWA
regulatory provisions as part of a state or tribal program, including
those designed to implement the section 402 and 404 permit programs and
those that are more stringent than federal requirements, those
provisions require EPA approval before they become effective for CWA
purposes. Because the EPA interprets ``appropriate requirements'' to
mean the regulatory provisions of the CWA, it follows that those would
necessarily be EPA-approved provisions. The EPA requests comment on
whether this interpretation is a reasonable and appropriate reading of
the statute and related legal authorities.
ii. Activity Versus Discharge
Based on the text, structure, and legislative history of the CWA,
the EPA proposes to conclude that a certifying authority's review and
action under section 401 must be limited to water quality impacts from
the potential discharge associated with a proposed federally licensed
or permitted project. Section 401(a) explicitly provides that the
certifying authority, described as ``the State in which the discharge
originates or will originate,'' must certify that ``any such discharge
will comply with the applicable provisions of sections 301, 302, 303,
306 and 307 of this Act'' (emphasis added). The plain language of
section 401(a) therefore directs authorities to certify that the
discharge resulting from the proposed federally licensed or permitted
project will comply with the CWA. Section 401(d) uses different
language and allows the certifying authority to include conditions ``to
assure that any applicant \26\ for a Federal license or permit will
comply'' (emphasis added) with applicable provisions of the CWA and
other appropriate requirements of state or tribal law. The use of this
different term in section 401(d) creates ambiguity and has been
interpreted as broadening the scope of section 401(a) beyond
consideration of water quality impacts from the ``discharge'' which
triggers the certification requirement, to allow certification
conditions that address water quality impacts from any aspect of the
construction or operation of the activity as a whole. See PUD No. 1,
511 U.S. at 712.
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\26\ As a matter of practice, the Corps seeks state
certification for ``its own discharges of dredged or fill
material'', ``[a]lthough the Corps does not process and issue
permits for its own activities.'' 33 CFR 336.1(a)(1).
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[[Page 44096]]
The ordinary meaning of the word ``applicant'' is ``[o]ne who
applies, as for a job or admission.'' See Webster's II, New Riverside
University Dictionary (1994). In section 401(d), this term is used to
describe the person or entity that applied for the federal license or
permit that requires a certification. The use of this term in section
401(d) is consistent with the text of the CWA, which uses the term
``applicant'' throughout to describe an individual or entity that has
applied for a grant, a permit, or some other authorization.\27\
Importantly, the term is also used in section 401(a) to identify the
person responsible for obtaining the certification: ``Any applicant for
a Federal license or permit to conduct any activity including, but not
limited to, the construction or operation of facilities, which may
result in any discharge into the navigable waters, shall provide the
licensing or permitting agency a certification from the State . . . .''
Broadly interpreting the use of ``applicant'' in section 401(d) to
authorize certification conditions that are unrelated to the discharge
would expand section 401 beyond the scope of federal regulatory
authority integrated throughout the core regulatory provisions of the
modern CWA--the ability to regulate discharges to waters of the United
States. The Agency is not aware of any other instance that the term
``applicant'' (or permittee or owner or operator) as used in the CWA
has been interpreted to significantly expand the jurisdictional scope
or meaning of the statute and believes a better interpretation would be
to align its meaning with its plain language roots.
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\27\ See e.g., 33 U.S.C. 1311 (``An application for an
alternative requirement under this subsection shall not stay the
applicant's obligation to comply with the effluent limitation
guideline or categorical pretreatment standard which is the subject
of the application.''); id. at 1344 (``Not later than the fifteenth
day after the date an applicant submits all the information required
to complete an application for a permit under this subsection, the
Secretary shall publish the notice required by this subsection.'')
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The Agency therefore proposes to interpret the use of the term
``applicant'' in section 401(d), consistent with its use in section
401(a) and other areas of the CWA, as identifying the person or entity
responsible for obtaining and complying with the certification and any
associated conditions. Throughout the CWA, the term ``applicant'' is
used to identify the person or entity responsible for compliance with
the federal regulatory provisions of the CWA, all of which remain
focused on controlling discharges of pollutants to waters of the United
States.\28\ The legislative history of section 401, discussed below,
provides additional support for this interpretation.
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\28\ For example, section 404 provides that after an applicant
requests a permit, the Corps ``may issue [a] permit[ ], after notice
and opportunity for public hearings for the discharge of dredged or
fill material into the navigable waters at specified disposal
sites.'' 33 U.S.C. 1344(a).
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Section 401 was updated as part of the 1972 CWA amendments to
reflect the restructuring of the Act, as described in section II.F.1 in
this preamble. Two important phrases were modified between the 1970 and
the 1972 versions of section 401 that help inform what Congress
intended with the 1972 amendments. First, the 1970 version provided
that an authority must certify ``that such activity . . . will not
violate water quality standards.'' Public Law 91-224 Sec. 21(b)(1)
(emphasis added). The 1972 version was modified to require an authority
to certify ``that any such discharge shall comply with the applicable
provisions of [the CWA].'' 33 U.S.C. 1341(a) (emphasis added). On its
face, this modification makes the 1972 version of section 401
consistent with the overall framework of the amended statutory regime,
which focuses on eliminating discharges and attaining water quality
standards.
Second, the 1972 version included section 401(d) for the first
time, which authorizes conditions to be imposed on a certification ``to
assure that any applicant for a Federal license or permit will comply
with any applicable effluent limitations and other limitations, under
section 301 or 302 of this Act, standard of performance under section
306 of this Act, or prohibition, effluent standard, or pretreatment
standard under section 307 of this Act, and with any other appropriate
requirement of State law set forth in such certification . . . .''Id.
at 1341(d). This new section also requires such conditions to be
included in the federal license or permit.
Together, these provisions: Focus section 401 on discharges that
may affect water quality; enumerate newly-created federal regulatory
programs with which section 401 mandates compliance; and require that
water-quality related certification conditions be included in federal
licenses and permits and thereby become federally enforceable. The
legislative history describing these changes supports a conclusion that
they were made intentionally and with the purpose of making the new
section 401 consistent with the new framework of the Act. Indeed, the
1971 Senate Report provides that section 401 was ``amended to assure
consistency with the bill's changed emphasis from water quality
standards to effluent limitations based on the elimination of any
discharge of pollutants.'' S. Rep. No. 92-414, at 69 (1971).
The EPA previously analyzed the modifications made to section 401
between the 1970 and 1972 Acts. See Memorandum from Catherine A. Winer,
Attorney, EPA Office of General Counsel, to David K. Sabock, North
Carolina Department of Natural Resources (November 12, 1985).\29\ In
its analysis, the EPA characterized the legislative history quoted
above as ``not very explicit,'' and characterized the new section 401
language as ``not altogether clear.'' Id. Based on this analysis, the
EPA found at that time that ``the overall purpose of section 401 is
clearly `to assure that Federal licensing or permitting agencies cannot
override water quality requirements' '' and that ``section 401 may
reasonably be read as retaining its original scope, that is, allowing
state certifications to address any water quality standard violation
resulting from an activity for which a certification is required,
whether or not the violation is directly caused by a `discharge' in the
narrow sense.'' Id. (citing S. Rep. No. 92-414, at 69 (1971)).
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\29\ Available at https://www.epa.gov/sites/production/files/2015-01/documents/standards-marinas-memo.pdf.
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The EPA has now performed a holistic analysis of the text and
structure of the CWA, the language of section 401, and the amendments
made between 1970 and 1972. Based on this review, the EPA now proposes
to adopt the reasonable interpretation that the 1972 version of section
401 made specific changes to ensure that discharges were controlled and
in compliance with the modern CWA regulatory programs, and appropriate
requirements of state law implementing the same. For the reasons noted
above in section II.F.1 in this preamble, identifying and regulating
discharges, as opposed to managing ambient water quality, promotes
accountability and enforcement of the Act in a way that the 1970 and
earlier versions did not. The EPA also observes that, had Congress
intended the 1972 amendments to retain the original scope concerning
the ``activity,'' it could have easily crafted section 401(d) to
authorize certification conditions to assure that ``the activity''
would comply with the specified CWA provisions, but it did not. Instead
Congress used the term ``applicant'' which, based upon its plain
ordinary meaning, identifies the person seeking the certification and
the related federal
[[Page 44097]]
license or permit. When Congress enacted the 1972 CWA amendments, it
used the term ``discharge'' to frame the scope of the certification
requirement under the Act. As a result, the Agency now considers a more
natural interpretation of the 1972 amendments to be that Congress
rejected the idea that the scope of a certifying authority's review or
its conditions should be defined by the term ``activity.'' Congress
specifically did not carry forward the term ``activity'' in the
operative phrase in section 401(a) and did not incorporate it into the
new provision authorizing certification conditions in section 401(d).
Under basic canons of statutory construction, the EPA begins with the
presumption that Congress chose its words intentionally. See, e.g.,
Stone v. INS, 514 U.S. 386, 397 (1995) (``When Congress acts to amend a
statute, we presume it intends its amendment to have real and
substantial effect.''). This is also consistent with the dissent in PUD
No. 1, wherein Justice Thomas concluded that ``[i]t is reasonable to
infer that the conditions a State is permitted to impose on
certification must relate to the very purpose the certification process
is designed to serve. Thus, while Sec. 401(d) permits a State to place
conditions on a certification to ensure compliance of the
`applicant'[,] those conditions must still be related to discharges.''
PUD No. 1, 511 U.S. at 726-27 (Thomas, J., dissenting). The EPA
proposes to conclude that this interpretation is a reasonable and
appropriate reading of the statute and related legal authorities and
seeks public comment on this proposed interpretation.
As described in detail in section II.F.4.a.i in this preamble, the
Supreme Court in PUD No. 1 considered the scope of a state's authority
to condition a section 401 certification and concluded that, once the
401(a) ``discharge to navigable water'' triggers the requirement for
certification, section 401(d) authorizes a certifying authority to
impose conditions on ``the applicant,'' meaning the activity as a whole
and not just the discharge. In its discussion of the CWA, the Supreme
Court relied on its own interpretation of the scope of section 401 and
did not analyze section 401 at ``Chevron step one'' or rely on ``the
unambiguous terms'' of the CWA to support its reading of section 401.
Brand X, 545 U.S. at 982. Instead, the Court ``reasonably read''
section 401(d) ``as authorizing additional conditions and limitations
on the activity as a whole once the threshold condition, the existence
of a discharge, is satisfied.'' PUD No. 1, 511 U.S. at 712 (emphasis
added).
To support what it considered to be a reasonable reading of section
401(d), the Court looked at the EPA's certification regulations at 40
CFR 121.2(a)(3) and related guidance at that time, but did not have
before it the EPA's interpretation of how section 401(a) and 401(d)
could be harmonized. Id. In fact, the Court either was not aware of or
did not mention that the EPA regulations in place at that time predated
the 1972 CWA amendments and therefore contained outdated terminology
implementing what was functionally a different statute. As described
above, the EPA's existing certification regulations are consistent with
the text of the pre-1972 CWA, and they require a state to certify that
the ``activity'' will comply with the Act. The 1972 CWA amendments
changed this language to require a state to certify that the
``discharge'' will comply with the Act.
Based in part on what the EPA now recognizes was infirm footing,
the Court found that ``EPA's conclusion that activities--not merely
discharges--must comply with state water quality standards is a
reasonable interpretation of Sec. 401 and is entitled to deference.''
Id. (emphasis added). As amicus curiae, the federal government did not
seek Chevron ``deference for the EPA's regulation in [the PUD No. 1
case]'' or for EPA's interpretation of section 401. Id. at 729 (Thomas,
J., dissenting). In fact, the EPA's amicus brief did not analyze or
interpret the different language in sections 401(a) and 401(d) and
instead asserted that it was unnecessary to harmonize the provisions to
resolve the dispute. See Brief for the United States as Amicus Curiae
Supporting Affirmance, at 12 n. 2. The EPA's amicus brief asked the
Court to analyze the two undisputed discharges from the proposed
federally licensed project and determine whether they would cause
violations of the state's water quality standards.
Given the circumstances of the PUD No. 1 litigation, and the fact
that the Supreme Court did not analyze section 401 under Chevron Step 1
or rely on unambiguous terms in the CWA to support its own reasonable
reading of the statute, PUD No. 1 does not foreclose the Agency's
proposed interpretation of section 401 in this document. See Brand X,
545 U.S. at 982-83. The Supreme Court's ``choice of one reasonable
reading'' of section 401 does not prevent the EPA ``from later adopting
a different reasonable interpretation.'' \30\ Eurodif S.A., 555 U.S. at
315. An agency may engage in ``a formal adjudication or notice-and-
comment rulemaking'' to articulate its interpretation of an ambiguous
statute. Christensen v. Harris County, 529 U.S. 576, 587 (2000). When
it does, courts apply ``Chevron-style'' deference to the agency's
interpretation. Id. That is exactly what the EPA is doing in this
proposal. EPA has for the first time, holistically interpreted the text
of section 401(a) and (d) to support this proposed update to the EPA's
existing certification regulations while ensuring consistency with the
plain language of the 1972 CWA. The Agency solicits comment on its
proposed interpretation of the CWA and the prevailing case law as
discussed above in section II.F.1 and II.F.4 in this preamble.
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\30\ The EPA is not proposing to modify or alter the Agency's
longstanding interpretation of the Act that was confirmed by the
Court in PUD No. 1 that ``a water quality standard must `consist of
the designated uses of the navigable waters involved and the water
quality criteria for such waters based upon such uses' '' and that
``a project that does not comply with the designated use of the
water does not comply with the applicable water quality standards.''
511 U.S. at 714-15 (emphasis in original).
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The Agency also solicits comment on an alternate interpretation of
the text of section 401(d) suggested by language in the PUD No. 1
majority opinion. At page 712, the Court observes that, ``[a]lthough
401(d) authorizes the State to place restrictions on the activity as a
whole, that authority is not unbounded.'' (emphasis added). The Court
does not define the precise limits of State authority under section
401(d). However, the Court goes on to say that ``[t]he State can only
ensure that the project complies with `any applicable effluent
limitations and other limitations, under [33 U.S.C. 1311, 1312]' or
certain other provisions of the Act, `and with any other appropriate
requirement of State law.' 33 U.S.C. 1341(d).'' In the previous
discussion, we explained why the most reasonable interpretation of the
``bounds'' set by the statutory text is that it limits the imposition
of effluent limitations, limitations, and other certification
conditions to ``the discharge,'' and not ``the activity as a whole.''
However, EPA is also seeking comment on an alternate interpretation of
the text that would allow imposition of effluent limitations and other
similar conditions that address the water quality-related effects of
``the activity as a whole,'' and not just ``the discharge,'' provided
such effluent limitations and other conditions are based on ``water
quality requirements'' as defined in this proposal.
[[Page 44098]]
iii. Discharges From Point Sources to Waters of the United States
Based on the text, structure and purpose of the Act, the history of
the 1972 CWA amendments, and supporting case law, the EPA proposes to
conclude that a certifying authority's review and action under section
401 is limited to water quality impacts to waters of the United States
resulting from a potential point source discharge associated with a
proposed federally licensed or permitted project. The text of section
401(a) clearly specifies that certification is required to ``conduct
any activity . . . which may result in any discharge into the navigable
waters'' (emphasis added). Prior interpretations extending section 401
applicability beyond such waters conflict with and would render
meaningless the plain language of the statute. And although the statute
does not define with specificity the meaning of the unqualified term
discharge, interpreting section 401 to cover all discharges without
qualification would undercut the bedrock structure of the CWA
regulatory programs which are focused on addressing point source
discharges to waters of the United States. CWA section 502(14) defines
point source as ``any discernible, confined and discrete conveyance,
including but not limited to any pipe, ditch, channel, tunnel, conduit,
well, discrete fissure, container, rolling stock, concentrated animal
feeding operation, or vessel or other floating craft, from which
pollutants are or may be discharged.'' \31\
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\31\ In the section 404 context, point source includes
bulldozers, mechanized land clearing equipment, dredging equipment,
and the like. See, e.g., Avoyelles Sportsman's League, Inc. v.
March, 715 F.2d 897, 922 (5th Cir. 1983).
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As described in section II.F.1 in this preamble, the CWA is
structured such that the federal government provides assistance,
technical support, and grant money to assist states in managing all of
the nation's waters. By contrast, the federal regulatory provisions,
including CWA sections 402 and 404, apply only to point source
discharges to waters of the United States. 33 U.S.C. 1362(7). Section
401 is the first section of Title IV of the CWA, titled Permits and
Licenses, and it requires water quality-related certification
conditions to be legally binding and federally enforceable conditions
of federal licenses and permits. Id. at 1341(d). Similar to the section
402 and 404 permit programs, section 401 is a core regulatory provision
of the CWA. Accordingly, the scope of its application is most
appropriately interpreted, consistent with the other federal regulatory
programs, as addressing point source discharges to waters of the United
States.
The EPA is not aware of any court decisions that have directly
addressed the scope of waters covered by section 401; however, in
Oregon Natural Desert Association v. Dombeck, the Ninth Circuit relied
on the text and structure of section 401 to interpret the meaning of
``discharge.'' In that case, a citizen's organization challenged a
decision by the U.S. Forest Service to issue a permit to graze cattle
on federal lands without first obtaining a section 401 certification
from the state of Oregon. 172 F.3d 1092. The government argued that a
certification was not needed because the ``unqualified'' term
``discharge''--as used in CWA section 401--is ``limited to point
sources but includes both polluting and nonpolluting releases.'' Id. at
1096. Finding that the 1972 amendments to the CWA ``overhauled the
regulation of water quality,'' the court said that ``[d]irect federal
regulation [under the CWA] now focuses on reducing the level of
effluent that flows from point sources.'' Id. The court stated that the
word ``discharge'' as used consistently in the CWA refers to the
release of effluent from a point source. Id. at 1098. The court found
that cattle--even if they wade in a stream--are not point sources. Id.
at 1098-99. Accordingly, the court held that certification under
section 401 was not required. Id. at 1099.
The EPA previously suggested that the scope of section 401 may
extend to non-point discharges to non-waters of the United States once
the requirement for the section 401 certification is triggered.
Specifically, in the EPA's now-withdrawn 2010 Interim Handbook the
Agency included the following paragraphs,
The scope of waters of the U.S. protected under the CWA includes
traditionally navigable waters and also extends to include
territorial seas, tributaries to navigable waters, adjacent
wetlands, and other waters. Since Sec. 401 certification only
applies where there may be a discharge into waters of the U.S., how
states or tribes designate their own waters does not determine
whether Sec. 401 certification is required. Note, however, that
once Sec. 401 has been triggered due to a potential discharge into
a water of the U.S., additional waters may become a consideration in
the certification decision if it is an aquatic resource addressed by
``other appropriate provisions of state [or tribal] law.''
* * *
Section 401 applies to any federal permit or license for an
activity that may discharge into a water of the U.S. The Ninth
Circuit Court of Appeals ruled that the discharge must be from a
point source, and agencies in other jurisdictions have generally
adopted the requirement. Once these thresholds are met, the scope of
analysis and potential conditions can be quite broad. As the U.S.
Supreme Court has held, once Sec. 401 is triggered, the certifying
state or tribe may consider and impose conditions on the project
activity in general, and not merely on the discharge, if necessary
to assure compliance with the CWA and with any other appropriate
requirement of state or tribal law.
EPA, Clean Water Act Section 401 Water Quality Certification: A Water
Quality Protection Tool for States and Tribes, 5, 26 (2010) (citations
omitted). To support the first referenced paragraph on the scope of
waters, the Interim Handbook cited to section 401(d), presumably
referring to the use of the term ``applicant'' rather than
``discharge'' used in section 401(a).\32\ To support the second
paragraph on the scope of discharges, the Interim Handbook cited to the
PUD No. 1 and S.D. Warren Co. Supreme Court decisions. It appears that
both paragraphs from the Agency's 2010 Interim Handbook relied on the
PUD No. 1 Court's interpretation of the ambiguity created by the
different language in sections 401(a) and 401(d).\33\
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\32\ Interim Handbook, at 5 n. 23. Tellingly, footnote 23 of the
Interim Handbook also states, ``Note that the Corps may consider a
401 certification as administratively denied where the certification
contains conditions that require the Corps to take an action outside
its statutory authority or are otherwise unacceptable. See, e.g.,
RGL 92-04, `Section 401 Water Quality Certification and Coastal Zone
Management Act Conditions for Nationwide Permits.'' In other words,
in this footnote the EPA was advising states that, while section
401(d) could perhaps be interpreted to expand the scope of federal
regulatory and enforcement authority beyond navigable waters (but
without citation to any case law to support that proposition), the
Army Corps of Engineers may reject a certification in its entirety
that is outside the statutory authority provided by the CWA.
\33\ The S.D. Warren decision did not analyze or adopt the PUD
No. 1 Court's analysis of section 401(a) and 401(d).
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For many of the same reasons that the Agency proposes to avoid
interpreting the word ``applicant'' in section 401(d) as broadening the
scope of certification beyond the discharge itself, the Agency also
proposes to decline to interpret section 401(d) as broadening the scope
of waters and the types of discharges to which the CWA federal
regulatory programs apply. Were the Agency to interpret the use in
section 401(d) of the term ``applicant'' instead of the term
``discharge'' as authorizing the federal government to implement and
enforce CWA conditions on non-waters of the United States, that single
word (``applicant'') would effectively broaden the scope of the federal
regulatory programs enacted by the 1972 CWA
[[Page 44099]]
amendments beyond the limits that Congress intended. Such an
interpretation could permit the application of the CWA's regulatory
programs, including section 401 certification conditions that are
enforced by federal agencies, to land and water resources more
appropriately subject to traditional state land use planning authority.
See, e.g., SWANCC, 531 U.S. at 172-73.
As described in section II.F.4.a.i in this preamble and pursuant to
its authority to reasonably interpret ambiguous statutes to fill gaps
left by Congress, the EPA is proposing to interpret section 401
differently than the Supreme Court did in PUD No. 1. The Court's prior
interpretation of sections 401(a) and 401(d) was not based on the plain
unambiguous text of the statute, but rather was based on the Court's
own reasonable interpretation (see section II.F.4.a.i in this
preamble). The EPA's proposed interpretation is also based on a
reasonable interpretation of the text, structure and legislative
history of section 401 and the Agency's current proposal is not
foreclosed by the Court's prior interpretation. See Brand X, 545 U.S.
at 982.
For the reasons above, the EPA proposes to conclude that section
401 is a regulatory provision that creates federally enforceable
requirements and its application must therefore be limited to point
source discharges to waters of the United States. This proposed
interpretation is consistent with the text and structure of the CWA as
well as the principal purpose of this rulemaking, i.e., to ensure that
the EPA's regulations (including those defining a section 401
certification's scope) are consistent with the current CWA. The Agency
solicits comment on this revised interpretation of the CWA and
associated case law discussed in this section.
b. Timeline for Section 401 Certification Analysis
Based on the language of the CWA and relevant case law, the EPA
proposes to conclude that a certifying authority must act on a section
401 certification within a reasonable period of time, which shall not
exceed one year and that there is no tolling provision to stop the
clock at any time. The Agency requests comment on this plain language
interpretation of the statute.
The text of section 401 expressly states that a certifying
authority must act on a section 401 certification request within a
reasonable period of time, which shall not exceed one year. 33 U.S.C.
1341(a)(1). Importantly, the CWA does not guarantee that a certifying
authority may take a full year to act on a section 401 certification
request. The certifying authority may be subject to a shorter period of
time, provided it is reasonable. See Hoopa Valley Tribe v. FERC, 913
F.3d 1099, 1104 (D.C. Cir. 2019) (``Thus, while a full year is the
absolute maximum, it does not preclude a finding of waiver prior to the
passage of a full year. Indeed, the [EPA]--the agency charged with
administering the CWA--generally finds a state's waiver after only six
months. See 40 CFR 121.16.''). The CWA's legislative history indicates
that inclusion of a maximum period of time was to ``insure that sheer
inactivity by the [certifying agency] will not frustrate the Federal
application.'' H.R. Rep. No. 92-911, at 122 (1972).
The timeline for action on a section 401 certification begins upon
receipt of a certification request. Id. The CWA does not specify any
legal requirements for what constitutes a request or otherwise define
the term. The EPA has long recommended that a project proponent
requiring federal licenses or permits subject to section 401
certification hold early discussions with both the certifying authority
and the federal agency, to better understand the certification process
and potential data needs.
The CWA does not contain provisions for pausing or delaying the
timeline for any reason, including to request or receive additional
information from a project proponent. If the certifying authority has
not acted on a request for certification within the reasonable time
period, the certification requirement will be waived by the federal
licensing and permitting agencies. For further discussion, see section
III.F in this preamble. The proposed revisions to the EPA's regulations
in this proposal are intended to provide greater clarity and certainty
and address some of the delays and confusion associated with the timing
elements of the section 401 certification process.
III. Proposed Rule
This proposed rule is intended to make the Agency's regulations
consistent with the current text of CWA section 401, increase
efficiencies, and clarify aspects of CWA section 401 that have been
unclear or subject to differing legal interpretations in the past. The
Agency proposes these revisions to replace the entirety of the existing
certification regulations at 40 CFR part 121. The following sections
explain the Agency's rationale for the proposed rule and provides
detailed explanation and analysis for the substantive changes that the
Agency is proposing.
The EPA's existing certification regulations were issued almost 50
years ago in 1971, when the Agency was newly formed and the CWA had not
yet been amended to include the material revisions to section 401.\34\
In modernizing 40 CFR part 121, this proposal recognizes and responds
to the changes to the CWA that occurred after the current regulations
were finalized, especially the 1972 and 1977 amendments to the CWA.
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\34\ See 36 FR 22487, Nov. 25, 1971, redesignated at 37 FR
21441, Oct. 11, 1972, further redesignated at 44 FR 32899, June 7,
1979; Reorganization Plan No. 3 of 1970 (creating the EPA), 84 Stat.
2086, effective Dec. 2, 1970.
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Updating the existing certification regulations to clarify
expectations, timelines, and deliverables also increases efficiencies.
Some aspects of the existing regulations have been implemented
differently by different authorities, likely because the scope and
timing of review are not clearly addressed by the EPA's existing
certification regulations. While the EPA recognizes that states and
tribes have broad authority to implement state and tribal law to
protect their water quality, see 33 U.S.C. 1251(b), section 401 is a
federal regulatory program that contains explicit limitations on when
and how states and tribes may exercise this particular authority.
Modernizing and clarifying the EPA's regulations will help states,
tribes, federal agencies, and project proponents know what is required
and what to expect during a section 401 certification process, thereby
reducing regulatory uncertainty. The Agency requests comment on all
aspects of this effort to modernize and clarify its section 401
regulations, including any specific suggestions on how any of the
proposed definitions or other requirements might be modified to
implement Congress' intent in enacting section 401.
The EPA's existing certification regulations at 40 CFR part 121 do
not fully address the public notice requirements called for under CWA
1341(a)(1). The EPA solicits comment on whether the Agency should
include additional procedures in its final regulations to ensure that
the public is appropriately informed of proposed federally licensed or
permitted projects, potential discharges, and related water quality
effects. At a minimum, such procedures could include public notice and
hearing opportunities, but they could also include mechanisms to ensure
that the certifying authority is in a position to appropriately inform
the public, as required by section 401(a)(1). Such mechanisms could
focus on how and when the certifying authority is notified of potential
certification requests and what information may be
[[Page 44100]]
necessary for the certifying authority to act on a request. If the EPA
were to include such additional procedures in its final regulations,
they could be the same as or similar to the procedures currently
proposed to apply when EPA is the certifying authority (see proposed
sections 121.12 and 121.13). The Agency also solicits comment on
whether it would be appropriate or necessary to require certifying
authorities to submit their section 401 procedures and regulations to
the EPA for informational purposes.
A. When Section 401 Certification is Required
The EPA proposes that the requirement for a section 401
certification is triggered based on the potential for any federally
licensed or permitted activity to result in a discharge from a point
source into waters of the United States.\35\ This proposal is
consistent with the Agency's longstanding interpretation and is not
intended to alter the scope of applicability established in the CWA.
Consistent with section 401(a)(1), the EPA is proposing that:
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\35\ State or tribal implementation of a license or permit
program in lieu of the federal program, such as a CWA section 402
permit issued by an authorized state, does not federalize the
resulting permits or licenses and therefore does not trigger section
401 certification. This is supported by the legislative history of
CWA section 401 which noted that ``since permits granted by States
under section 402 are not Federal permits--but State permits--the
certification procedures are not applicable.'' H.R. Rep. No. 92-911,
at 127 (1972). The legislative history of the CWA amendments of
1977, discussing state assumption of section 404, also noted that
``[t]he conferees wish to emphasize that such a State program is one
which is established under State law and which functions in lieu of
the Federal program. It is not a delegation of Federal authority.''
H.R. Rep. No. 95-830, at 104 (1977).
Any applicant for a license or permit to conduct any activity
which may result in a discharge shall provide the Federal agency a
certification from the certifying authority in accordance with this
---------------------------------------------------------------------------
part.
Based on the text of the statute, the EPA proposes that section 401
is triggered by the potential for a discharge to occur, rather than an
actual discharge. This is different from other parts of the Act \36\
and is intended to provide certifying authorities with a broad
opportunity to review proposed federally licensed or permitted projects
that may result in a discharge to waters of the United States within
their borders. This proposal does not identify a process for certifying
authorities or project proponents to determine whether a federally
licensed or permitted project has a potential or actual discharge.
However, the EPA observes that if a certifying authority or project
proponent determines after the certification process is triggered that
there is no actual discharge from the proposed federally licensed or
permitted project and no potential for a discharge, there is no longer
a need to request certification. The EPA requests certifying
authorities and project proponents to submit comment on prior
experiences with undertaking the certification process and later
determining that the proposed federally licensed or permitted project
would not result in an actual discharge. The EPA also requests comment
on whether there are specific procedures that could be helpful in
determining whether a proposed federally licensed or permitted project
will result in an actual discharge. Finally, the EPA requests comment
on how project proponents may establish for regulatory purposes that
there is no potential discharge and therefore no requirement to pursue
a section 401 certification. This request is intended to solicit
mechanisms for project proponents to generate a record for themselves
that no 401 certification was required; this is not intended to propose
a process for project proponents to seek or require concurrence from
the certifying authority.
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\36\ See e.g., National Pork Producers Council v. EPA, 635 F.3d
738, 751 (5th Cir. 2011); Waterkeeper Alliance, Inc. v. EPA, 399
F.3d 486, 505 (2d Cir. 2005) (Interpreting section 402 in the
context of CAFOs, courts said the CWA gives EPA jurisdiction to
require permits for only actual discharges).
---------------------------------------------------------------------------
The EPA also proposes that section 401 is triggered by a potential
discharge into a water of the United States. 33 U.S.C. 1341(a)(1),
1362(7). Potential discharges into state or tribal waters that are not
waters of the United States do not trigger the requirement to obtain
section 401 certification. Id. at 1342(a)(1). This interpretation flows
from the plain text of the statute, is supported by the legislative
history, and is consistent with other CWA regulatory program
requirements that are triggered by discharges into waters of the United
States, not state or tribal waters. Id.; see also H.R. Rep. No. 92-911,
at 124 (1972) (``It should be clearly noted that the certifications
required by section 401 are for activities which may result in any
discharge into navigable waters.'') (emphasis added); see also section
II.F.6.a.iii for discussion on discharges to waters of the United
States.
Unlike other CWA regulatory programs, however, the EPA proposes
that section 401 be triggered by any unqualified discharge, rather than
by a discharge of pollutants. This interpretation is consistent with
the text of the statute and with U.S. Supreme Court precedent. In S.D.
Warren, the Court considered whether discharges from a dam were
sufficient to trigger section 401, even if those discharges did not add
pollutants to waters of the United States. Because section 401 uses the
term discharge but the Act does not specifically define the term,\37\
the Court applied its ordinary dictionary meaning, ``flowing or issuing
out.'' S.D. Warren Co. v. Maine Bd. of Envtl. Prot. et al., 547 U.S.
370, 376 (2006). The Court concluded that Congress intended this term
to be broader than the term discharge of pollutants that is used in
other provisions of the Act, like section 402. See e.g., 33 U.S.C.
1342, 1344; S.D. Warren Co., 547 U.S. at 380-81. For further discussion
on S.D. Warren see section II.F.4.a.ii and for further discussion on
discharges see section II.F.6.a.ii-iii in this preamble. The Court held
that discharges from the dam trigger section 401 because ``reading
Sec. 401 to give `discharge' its common and ordinary meaning preserves
the state authority apparently intended.'' S.D. Warren Co., 547 U.S. at
387. The EPA's interpretation in support of this proposal is therefore
consistent with the Court's conclusion.
---------------------------------------------------------------------------
\37\ The Act provides, ``The term `discharge' when used without
qualification includes a discharge of a pollutant, and a discharge
of pollutants.'' 33 U.S.C. 1362(16)
---------------------------------------------------------------------------
Finally, the EPA proposes that to trigger section 401, a discharge
must be from a point source. This is consistent with case law from the
Ninth Circuit, which concluded that the word ``discharge'' as used
consistently throughout the CWA refers to the release of effluent from
a point source, and that use is also appropriate for section 401.
Oregon Natural Desert Association v. Dombeck, 172 F.3d 1092, 1099.
Because this proposed interpretation is consistent with the structure
of the Act and with the other CWA regulatory programs (see section II.F
above), the EPA adopted the Ninth Circuit's interpretation and has
consistently implemented that interpretation of section 401.\38\
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\38\ See, e.g., Briefs of the United States in ONDA v. Dombeck,
Nos. 97-3506, 97-35112, 97-35115 (9th Cir. 1997) and ONDA v. USFS,
No. 08-35205 (9th Cir. 2008).
---------------------------------------------------------------------------
The CWA does not list specific federal licenses and permits that
are subject to section 401 certification requirements, instead
providing that section 401 applies when any activity that requires a
federal license or permit may result in a discharge into waters of the
United States. The most common examples of licenses or permits that may
be subject to section 401 certification are CWA section 402 NPDES
permits in states where the EPA administers the permitting program, CWA
section 404
[[Page 44101]]
permits for the discharge of dredged or fill material, RHA sections 9
and 10 permits issued by the Corps, and hydropower and interstate
natural gas pipeline licenses issued by FERC. The Agency is not
proposing to further define this list but requests comment identifying
other federal licenses or permits that may trigger the section 401
certification requirement.
B. Certification Request/Receipt
Under this proposal, to initiate an action under section 401, a
project proponent must submit a certification request to a certifying
authority. The statute limits the time for a certifying authority to
act on a request as follows:
If the State, interstate agency, or Administrator, as the case
may be, fails or refuses to act on a request for certification,
within a reasonable period of time (which shall not exceed one year)
after receipt of such request, the certification requirements of
this subsection shall be waived with respect to such Federal
application.
33 U.S.C. 1341(a)(1) (emphasis added). Although the plain language of
the Act requires the reasonable period of time to begin upon receipt of
a certification request, the statute does not define those terms.
Because they are not defined and their precise meaning is ambiguous,
these terms are susceptible to different interpretations, which have
resulted in inefficiencies in the certification process, individual
certification decisions that have extended beyond the statutory
reasonable period of time, and regulatory uncertainty and litigation.
See section II.F in this preamble. Given the number of certification
requests submitted each year \39\ and the statutory requirement that
those requests be acted on within a reasonable period of time not to
exceed one year, it is important that the certifying authorities,
project proponents, and federal agencies have a clear understanding of
what the terms ``request'' and ``receipt'' mean.
---------------------------------------------------------------------------
\39\ See Economic Analysis for the Proposed Clean Water Act
Section 401 Rulemaking at XX.
---------------------------------------------------------------------------
The CWA does not address (and therefore is ambiguous regarding)
whether a certification request must be in writing, must be signed and
dated, or if it must contain specific kinds of information. The EPA's
prior section 401 guidance (the now-withdrawn 2010 Interim Handbook)
indicated that the timeline for action begins upon receipt of a
``complete application,'' as determined by the certifying authority,
even though section 401 does not use the term ``complete application''
or prescribe what an ``application'' would require. The reference by
the EPA to a ``complete application'' without explaining what an
``application'' must include has led to subjective determinations about
the sufficiency of certification request submittals. This in turn has
caused uncertainty about when the statutory reasonable period of time
begins to run. Certification request requirements vary from state to
state (e.g., location maps and topographical maps versus latitude/
longitude or GPS locations). For example, some states have open-ended
and broad submittal requirements (e.g., ``all information concerning
water resource impacts'') which create the potential for certifying
authorities to conclude (sometimes repeatedly) that a submittal is
incomplete. Additionally, if a certifying authority requires additional
information to be submitted before it will review and act on a
certification request, it may be unclear whether the certifying
authority considers the request to be ``complete'' and whether the
statutory clock has started to run. Further, differences in the
contents of a request or required supporting materials can create
special challenges for project proponents and federal agencies working
on large interstate projects that require certification from multiple
states.
The CWA also does not define the term ``receipt,'' which has led to
different states, tribes, and project proponents, as well as different
courts, using different definitions. ``Receipt of the request'' has
been used alternately to mean receipt by the certifying authority of
the request in whatever form it was submitted by the project proponent,
or receipt of a ``complete application'' as determined by the
certifying authority (see section II.F in this preamble). The statute
also does not specify how requests are to be ``received'' by the
certifying authority--whether by mail, by electronic submission, or
some other means.
As the Agency charged with administering the CWA, the EPA is
authorized to interpret through rulemaking undefined terms, including
those associated with CWA section 401 certifications. See Chevron,
U.S.A., Inc. v. Natural Resources Defense Council, Inc., 467 U.S. 837,
844 (1984). To address the particular challenges identified above, the
EPA is proposing to define ``certification request'' and ``receipt,''
which Congress left undefined and ambiguous. By establishing uniform
definitions for ``certification request'' and ``receipt,'' EPA hopes to
eliminate confusion about when the statutory reasonable period of time
begins and ends. See id. at 843.
Consistent with the text of the CWA, the EPA is proposing that the
statutory timeline for certification review starts upon receipt by the
certifying authority of a ``certification request,'' rather than the
receipt of a ``complete application'' or ``complete request'' as
determined by the certifying authority. To increase consistency, the
EPA's proposed definition of ``certification request'' includes an
enumerated list of documents and information that must be included in a
certification request:
Certification request means a written, signed, and dated
communication from a project proponent to the appropriate certifying
authority that:
1. Identifies the project proponent(s) and a point of contact;
2. identifies the proposed project;
3. identifies the applicable federal license or permit;
4. identifies the location and type of any discharge that may
result from the proposed project and the location of receiving
waters;
5. includes a description of any methods and means proposed to
monitor the discharge and the equipment or measures planned to treat
or control the discharge;
6. includes a list of all other federal, interstate, tribal,
state, territorial, or local agency authorizations required for the
proposed project, including all approvals or denials already
received; and
7. contains the following statement: `The project proponent
hereby requests that the certifying authority review and take action
on this CWA section 401 certification request within the applicable
reasonable timeframe.'
The EPA anticipates that a certification request that contains each
of these components will provide the certifying authority with
sufficient notice and information to allow it to begin to evaluate and
act on the request in a timely manner. The EPA solicits comment on
whether this list of documents and information is appropriately
inclusive, whether it is specific enough to inform project proponents
of the submittal requirements, and whether it is clear enough to avoid
subjective determinations by a certifying authority of whether
submittal requirements have been satisfied. The EPA acknowledges that
not all proposed projects may be subject to monitoring or treatment for
a discharge (e.g., section 404 dredge or fill permits rarely allow for
a treatment option). The EPA solicits comment on whether the fourth and
fifth items proposed to be required in a certification request are
sufficiently broad to capture all potential federal licenses or
permits. The EPA also acknowledges that some certifying authorities may
charge a fee to process certification requests. The Agency solicits
comment on whether it should
[[Page 44102]]
include ``any applicable fees'' in the definition of certification
request. Pre-proposal recommendations to the EPA also requested that
the Agency require project proponents to include existing documentation
or reports showing prior contamination at the proposed federally
licensed or permitted project site. The EPA solicits comment on whether
this would be an appropriate requirement for all certification
requests, or whether this information is best requested on a case-by-
case basis by the certifying authority. Additionally, the EPA solicits
comment on whether such documentation or reports would be appropriate
if the permit or license is being reissued or amended, or only for
initial license or permit processes.
The EPA intends that the term ``certification request'' means only
written requests for certification. In addition, EPA intends that any
written request for certification include the specific information
identified in the definition. Providing this new definition is intended
to ensure that the certifying authority and the project proponent
understand what is required to start the statutory reasonable time
period. The proposed requirement that a request include the following
statement--``The project proponent hereby requests that the certifying
authority review and take action on this CWA section 401 certification
request within the applicable reasonable timeframe.''--is intended to
remove any potential ambiguity on the part of the certifying authority
about whether the written request before it is, in fact, a ``request
for certification'' that triggers the statutory timeline. The EPA also
solicits comment on whether the Agency should generate a standard form
that all project proponents can use to submit certification requests. A
standard form could help project proponents provide all necessary
information and help certifying authorities quickly identify all
components of the certification request. If the EPA promulgated a
standard form, it could include all seven items included in the
proposed definition of certification request.
This proposal requires a project proponent to identify the location
of a discharge in the certification request. To meet this requirement,
the EPA recommends that the project proponent provide locational
information about the extent of the project footprint and discharge
locations, as shown on design drawings and plans. Project proponents
should consider, but are not limited to, using the following formats:
(1) ArcGIS File Geodatabase with accompanying Feature Classes
(2) ArcGIS Shapefile
(3) DXF or DWG (CAD files) projected to WGS 84 Decimal Degrees
(4) KMZ/KML (Google Earth)
Alternatively, the project proponent might consider identifying
discharge locations on readable maps. The EPA solicits comment on
whether the location of all potential discharges from proposed
federally licensed or permitted projects can be identified with such
specificity or if other methods may be more appropriate for different
types of activities.
Many states and tribes have established their own requirements for
section 401 certification request submittals, which may be different
from or more extensive than the proposed ``certification request''
requirements listed above. The EPA recommends that, following
establishment of final EPA regulations defining ``certification
request'' and ``receipt,'' certifying authorities update their existing
section 401 certification regulations to ensure consistency with the
EPA's regulations. Additionally, the EPA encourages certifying
authorities to work with neighboring jurisdictions to develop
regulations that are consistent from state to state. This may be
particularly useful for interstate projects, like pipelines and
transmission lines, requiring certification in more than one state.
In some cases, federal agencies may be project proponents for
purposes of section 401, for both individual projects and activities
and for general federal licenses or permits (e.g., Corps general
permits). The Agency requests comment on whether federal agencies
should be subject to the same ``certification request'' submittal
requirements as proposed, or if they require different considerations
and procedures than section 401 certification requests by other non-
federal agency project proponents. Specifically, the Agency requests
comments on an alternative approach for federal agencies that issue
general federal license or permits whereby ``certification request for
a general permit or license'' would mean a written, signed, and dated
communication from a Federal agency to the appropriate certifying
authority that:
(1) Identifies the Federal agency and a point of contact;
(2) identifies the proposed categories of activities to be
authorized by general permit for which general certification is
requested;
(3) includes the proposed general permit;
(4) estimates the number of discharges expected to be authorized by
the proposed general permit or license each year;
(5) includes a general description of the methods and means used or
proposed to monitor the discharge and the equipment or measures
employed or planned for the treatment or control of the discharge;
(6) identifies the reasonable period of time for the certification
request; and
(7) contains the following statement: `The federal agency hereby
requests that the certifying authority review and take action on this
CWA 401 certification request within the applicable reasonable period
of time.'
The statutory reasonable period of time for a certifying authority
to act on a certification request begins upon ``receipt of such
request.'' The EPA is proposing to define the term ``receipt'' as
follows:
Receipt means the date that a certification request is
documented as received by a certifying authority in accordance with
applicable submission procedures.
The EPA understands that some certifying authorities have
established general procedures for project proponents to follow when
seeking state or tribal licenses or permits and encourages the use of
consistent procedures for all submittals, including section 401
certification requests. The proposed requirement that certification
requests be documented as received ``in accordance with applicable
submission procedures'' is intended to recognize that some certifying
authorities may require hard copy paper submittals and some may require
or allow electronic submittals. If the certifying authority accepts
hard copy paper submittals, EPA recommends that the project proponents
submitting a hard copy request send the request via certified mail (or
similar means) to confirm receipt of the section 401 certification
request. If the certifying authority allows for electronic submittals,
EPA recommends that the project proponent set up an electronic process
to confirm receipt of the request. The EPA recommends that project
proponents retain a copy of any written or electronic confirmation of
submission or receipt for their records. The Agency solicits comment on
whether these new definitions will provide sufficient clarity and
regulatory certainty or if additional procedures or requirements may be
necessary, and if so, what those procedures or requirements might be.
C. Certification Actions
Consistent with the text of the CWA, the EPA proposes that a
certifying authority may take four potential
[[Page 44103]]
actions pursuant to its section 401 authority: It may grant
certification, grant with conditions, deny, or waive its opportunity to
provide a certification. These actions are reflected in Sec. 121.5 of
the proposed regulatory text.
Granting a section 401 certification demonstrates that the
authority has concluded that the discharge to waters of the United
States from the proposed activity will be consistent with the listed
CWA provisions and appropriate state or tribal water quality
requirements (as defined at Sec. 121.1(p) of this proposal). Granting
certification allows the federal agency to proceed with processing the
application for the license or permit.
If the certifying authority determines that the discharge from a
proposed activity would be consistent with applicable water quality
requirements only if certain conditions are met, the authority may
include such conditions in its certification. Any conditions must be
necessary to assure compliance with water quality requirements. The EPA
proposes that water quality related conditions that meet the
requirements in this proposed rule and that are placed on a section 401
certification must become conditions of the resulting federal license
or permit if it is issued. 33 U.S.C. 1341(d).
A certifying authority may choose to deny certification if it is
unable to certify that the proposed activity would be consistent with
applicable water quality requirements. If a certification is denied,
the federal agency may not issue a license or permit for the proposed
activity. Id. at 1341(a).
Finally, a certifying authority may waive the requirement for a
certification in two different ways. First, the certifying authority
may waive expressly by issuing a statement that it is waiving the
requirement. Second, the certifying authority may implicitly waive by
failing or refusing to act in accordance with section 401. Id. As
discussed throughout this preamble, a certifying authority has a
reasonable period of time, not to exceed one year, to complete its
section 401 certification analysis. If the authority fails or refuses
to act within that reasonable period, the certification requirement
will be deemed waived by the federal licensing or permitting agency.
Id. Where section 401 certification has been waived--expressly or
implicitly--the federal agency may issue the license or permit. Id.
This proposal is consistent with the Agency's longstanding
interpretation of what actions may be taken in response to a
certification request. The EPA solicits comment on this interpretation
and continued approach in this proposed rule.
D. Appropriate Scope for Section 401 Certification Review
Section 401 of the CWA provides states and tribes with additional
authority to protect water quality within their jurisdictions that
complements the other regulatory programs and the nonregulatory grant
and planning programs established by the CWA. CWA section 401(a) does
so by authorizing states and tribes to certify that a potential
discharge to waters of the United States that may result from a
proposed activity will comply with applicable provisions of certain
enumerated sections of the CWA, including effluent limitations and
standards of performance for new and existing sources (sections 301,
302, and 306 of the CWA), water quality standards and implementation
plans (section 303), and toxic pretreatment effluent standards (section
307). 33 U.S.C. 1341(a)(1). When granting a section 401 certification,
states and tribes are authorized by CWA section 401(d) to include
conditions, including effluent limitations, other limitations and
monitoring requirements that are necessary to assure that the applicant
for a federal license or permit will comply with appropriate provisions
of CWA sections 301, 302, 306, and 307, and with any other appropriate
requirement of state law. Id. at 1341(d). In addition to the specific
enumerated sections of the CWA referenced throughout section 401, the
focus of section 401(a) on the compliance of ``any such discharge,''
and the substance of the enumerated CWA sections in section 401(d),
e.g., to ensure compliance with ``effluent limitations'' under sections
301 and 302 and any ``effluent standard'' under section 307, underscore
that Congress intended this provision to focus on the protection of
water quality.
Although the text, structure, and legislative history of the CWA
(including the name of the statute itself--the Clean Water Act) clearly
demonstrate that section 401 of the CWA is intended to focus on
addressing water quality impacts from discharges from federally
licensed or permitted projects, there continues to be some confusion
and uncertainty over the precise scope of a certifying authority's
review under section 401 and the scope of appropriate conditions that
may be included in a certification (see section II.F in this preamble).
This proposal is intended to provide clarity on these issues.
Section 401 contains several important undefined terms that,
individually and collectively, can be interpreted in varying ways to
place boundaries on the scope of a certifying authority's review and
authority. Discerning the meaning, both individually and in context, of
terms like ``discharge,'' ``activity,'' ``applicant,'' ``other
limitations,'' and ``any other appropriate requirements of State law''
with respect to a state or tribe's certification authority without
clear regulatory guidance, presents a challenge to project proponents,
certifying authorities, federal agencies, and the courts. The challenge
is exacerbated by the fact that nowhere in section 401 did Congress
provide a single, clear, and unambiguous definition of the section's
scope, a gap the Agency is proposing to remedy in this proposal. See
Chevron, 467 U.S. at 843-44.
The phrase ``any other appropriate requirement of State law'' in
section 401(d) is illustrative of this ambiguity. Congress did not
intend that the scope of a certifying entity's authority to impose
conditions to be unbounded. PUD No. 1 of Jefferson County and City of
Tacoma v. Washington Department of Ecology, 511 U.S. 700, 712 (1994).
Presumably, that is why Congress added the modifier ``appropriate'' in
the phrase ``any other appropriate requirements of State law.'' In this
context, the exact meaning of ``appropriate'' and how it modifies the
preceding term ``any other'' or the following phrase ``requirements of
State law'' are important, but undefined by Congress. The Agency, as
the federal entity charged with administering the CWA, has authority
under Chevron and its progeny to address these ambiguities through
notice and comment rulemaking.
To provide needed clarity regarding the scope of a certifying
entity's authority to grant and condition a certification, the EPA is
proposing a clear and concise statement of the scope of certification,
as well as clear regulatory definitions for the terms
``certification,'' ``condition,'' ``discharge,'' and ``water quality
requirement.''
As explained in section II.F.6.a.iii in this preamble, based on the
text and structure of the Act, as well as the history of modifications
between the 1970 version and the 1972 amendments, the EPA has concluded
that section 401 is best interpreted as protecting water quality from
federally licensed or permitted activities with point source discharges
to waters of the United States by requiring compliance with the CWA as
well as EPA-approved state and tribal
[[Page 44104]]
CWA regulatory programs. This proposal includes for the first time a
well-defined scope for section 401 certification that reflects the
EPA's holistic interpretation of the statutory language, which is based
on the text and structure of the Act. As the Agency charged with
administering the CWA, the EPA is authorized to interpret by rulemaking
the appropriate scope for a CWA section 401 certification. 33 U.S.C.
1361(a). The EPA proposes to establish the ``scope of certification''
as follows:
The scope of a Clean Water Act section 401 certification is
limited to assuring that a discharge from a Federally licensed or
permitted activity will comply with water quality requirements.
The proposed scope of certification is consistent with the plain
language of section 401 and is intended to provide clarity to
certifying authorities, federal agencies, and project proponents about
the extent of environmental review that is expected, the type of
information that may reasonably be needed to review a certification
request, and the scope of conditions that are appropriate for inclusion
in a water quality certification.
The proposed scope of certification differs from the EPA's existing
regulations, which require a certification to include a statement that,
``there is a reasonable assurance that the activity will be conducted
in a manner which will not violate applicable water quality
standards.'' See 40 CFR 121.2(a)(3). The ``reasonable assurance''
language in the EPA's existing regulations is an artifact from the pre-
1972 version of the statute which provided that the certifying
authority would certify ``that there is reasonable assurance . . . that
such activity will be conducted in a manner which will not violate
applicable water quality standards.'' Public Law 91-224, 21(b)(1), 84
Stat. 91 (1970). The proposed scope could be considered more stringent
than the EPA's existing certification regulations because, consistent
with the 1972 CWA amendments, it requires certifying authorities to
conclude that a discharge ``will comply'' with water quality
requirements (as defined at Sec. 121.1(p) of this proposal), rather
than providing ``reasonable assurance.''
Section 401 is triggered by a proposed federally licensed or
permitted project that may result in any discharge into waters of the
United States. The term ``discharge'' is not defined in section 401,
and the only definition in the CWA provides that ``the term `discharge'
when used without qualification includes a discharge of a pollutant,
and a discharge of pollutants.'' 33 U.S.C. 1362(16). Consistent with
the analysis above concerning the scope of section 401 and the need to
provide greater clarity, the Agency is proposing to define the term
``discharge'' as follows:
Discharge for purposes of this part means a discharge from a
point source into navigable waters.
The Agency solicits comment on whether this definition is
necessary, whether it provides appropriate clarification, or whether
the EPA's proposed regulations would be sufficiently clear without
including this new definition. The Agency also solicits comment on
whether an alternate definition of ``discharge'' may provide greater
clarity and regulatory certainty.
Section 401(d) requires a certification to ``set forth any effluent
limitations and other limitations, and monitoring requirements
necessary to assure that any applicant for a Federal license or permit
will comply with [enumerated provisions of the CWA], and with any other
appropriate requirement of State law'' and that these requirements
``shall become a condition on any Federal license or permit subject to
the provisions of this section'' (emphasis added). As described in
section II.F.6.a.i in this preamble, the EPA interprets ``appropriate
requirement of state law'' to mean applicable provisions of those EPA-
approved state and tribal CWA regulatory programs (e.g., state water
quality standards, NPDES program provisions). To provide greater
clarity, the EPA proposes to define the term ``water quality
requirements'' as follows:
Water quality requirements means applicable provisions of 301,
302, 303, 306, and 307 of the Clean Water Act and EPA-approved state
or tribal Clean Water Act regulatory program provisions.
The term ``water quality requirements'' appears throughout section
401, but it is not defined in the statute. The EPA's interpretation of
this term and the proposed definition are intended to align section 401
program implementation with the text of the statute, which specifically
identifies those provisions of the Act enumerated in the proposed
definition. The term ``EPA-approved state or tribal CWA regulatory
programs'' in the proposed definition is intended to include those
state or tribal provisions of law that are more stringent than federal
law, as authorized in 33 U.S.C. 1370. The legislative history supports
the interpretation in this proposal. See S. Rep. No. 92-414, at 69
(1971) (``In addition, the provision makes clear that any water quality
requirements established under State law, more stringent than those
requirements established under this Act, also shall through
certification become conditions on any Federal license or permit.'').
The CWA provisions that regulate point source discharges to waters of
the United States are the ``regulatory provisions of the CWA.'' When
states or tribes enact CWA regulatory provisions as part of a state or
tribal program, including those designed to implement the section 402
and 404 permit programs and those that are more stringent than federal
requirements, those provisions require EPA approval before they become
effective for CWA purposes. Because the EPA interprets ``appropriate
requirements'' to mean the ``regulatory provisions of the CWA,'' it
follows that those would necessarily be EPA-approved provisions.
The EPA solicits comment on whether this proposed definition is
clear and specific enough to provide regulatory certainty for
certifying authorities and project proponents. The EPA also solicits
comment on whether additional specificity should be added to the
proposed definition, for example that the term does not include non-
water quality related state or local laws. In an alternate approach,
the EPA may consider defining the term ``appropriate requirement of
State law'' to provide additional clarity concerning the scope of
section 401. Under this alternate approach, the EPA solicits comment on
whether that term should be defined similar to or more broadly or
narrowly than ``EPA-approved state or tribal Clean Water Act regulatory
program provisions'' as proposed in this rulemaking.
The scope of certification established in this proposal also
informs the scope of conditions that may be included in a
certification. The statute does not define ``condition,'' but several
appellate courts have analyzed the plain language of the CWA and
concluded that the Act ``leaves no room for interpretation'' and that
``state conditions must be'' included in the federal license or permit.
Sierra Club v. U.S. Army Corps of Engineers, 909 F.3d 635, 645 (4th
Cir. 2018) (emphasis in original); see also U.S. Dep't of Interior v.
FERC, 952 F.2d 538, 548 (D.C. Cir. 1992); Am. Rivers, Inc. v. FERC, 129
F.3d 99, 107 (2d Cir. 1997) (recognizing the ``unequivocal'' and
``mandatory'' language of section 1341(d)); Snoqualmie Indian Tribe v.
FERC, 545 F.3d 1207, 1218 (9th Cir. 2008) (collecting cases); FERC, 952
F.2d at 548 (``FERC may not alter or reject conditions imposed by the
states through section 401 certificates.''). The EPA is not proposing
to modify this plain language interpretation of the
[[Page 44105]]
CWA concerning the inclusion of certification conditions in federal
licenses and permits. However, the EPA is proposing to define the term
``condition'' to address ambiguity in the statute and provide clarity
and regulatory certainty. See Chevron, 467 U.S. at 843-44.
Although the structure and content of section 401(d) provide
helpful context for what should be included as conditions in a federal
license or permit, the CWA does not define that operative term. Because
this term is not defined in the statute, its meaning has been
susceptible to different interpretations. For example, the EPA
understands some certifying authorities have included conditions in a
certification that have nothing to do with effluent limitations,
monitoring requirements, water quality, or even the CWA. Such
requirements were perhaps based on other non-water quality related
federal statutory or regulatory programs, concerns about environmental
media other than water, or they might have been related to state laws,
policies, or guidance that make decisions or recommendations unrelated
to the regulation of point source discharges to waters of the United
States. As the Agency charged with administering the CWA, the EPA is
authorized to interpret by rulemaking what the term ``condition'' means
in the context of a CWA section 401 certification. Under the Chevron
doctrine, courts presume ``that when an agency-administered statute is
ambiguous with respect to what it prescribes, Congress has empowered
the agency to resolve the ambiguity.'' Utility Air Regulatory Group v.
EPA, 573 U.S. 302, 315 (2014). Congressional silence is read ``as a
delegation of authority to EPA to select from among reasonable
options.'' EPA v. EME Homer City Generation, 572 U.S. 489, 515 (2014).
The EPA recognizes that the majority of certification actions
reflect an appropriately limited interpretation of the purpose and
scope of section 401. However, the Agency is also aware that some
certifications have included conditions that may be unrelated to water
quality, including requirements for biking and hiking trails to be
constructed, one-time and recurring payments to state agencies for
improvements or enhancements that are unrelated to the proposed
federally licensed or permitted project, and public access for fishing
and other activities along waters of the United States. The EPA is also
aware of certification conditions that purport to require project
proponents to address pollutants that are not discharged from the
construction or operation of a federally licensed or permitted project.
Using the certification process to yield facility improvements or
payments from project proponents that are unrelated to water quality
impacts from the proposed federally licensed or permitted project is
inconsistent with the authority provided by Congress. During pre-
proposal stakeholder engagement, the EPA also heard from federal
agencies that, because several court decisions have concluded that they
do not have authority to ``review and reject the substance of a state
certification or the conditions contained therein,'' Am. Rivers, Inc.,
129 F.3d at 106, non-water quality conditions are often included in
federal licenses and permits. Once included in the federal license or
permit, federal agencies have found it challenging to implement and
enforce these non-water quality related conditions. The Agency solicits
comment on other examples of certification conditions that may have
been unrelated to water quality.
This proposal includes three elements designed to address the
issues described above. First, the proposal defines the term
``condition'' as follows:
Condition means a specific requirement included in a
certification that is within the scope of certification.
As described above, the lack of a statutory definition for the term
``condition,'' despite its central use in section 401(d), creates
ambiguity and uncertainty over the types of conditions that may be
included in a certification. See Chevron, 467 U.S. at 843-44. For
example, does section 401(d) authorize certifying authorities to
include any kind of limitation or requirement in a certification? Or it
is more limited, and if so, how limited?
As used in section 401(d), the term is most logically read to refer
to those ``effluent limitations and other limitations, and monitoring
requirements necessary to assure'' compliance with certain enumerated
provisions of the CWA and with ``any other appropriate requirements of
State law.'' The statute mandates that these kinds of limitations and
monitoring requirements ``shall become a condition'' on a federal
license or permit subject to section 401. Thus, based on the plain
language of the statute for these limitations or requirements to become
a license or permit ``condition'' through operation of section 401(d),
they must be of a certain character. That is, they must be necessary to
assure compliance with water quality requirements (as defined at Sec.
121.1(p) of this proposal). That is why EPA's proposed definition of
``condition'' would require that it be a limitation or requirement
within the statute's ``scope of certification.'' If it purports to
require something beyond the appropriate scope of section 401, the
limitation or requirement offered by the certifying authority would not
be a ``condition'' as that term is used in section 401(d).
Providing a clear definition of ``condition'' addresses the
ambiguity in section 401 and provides regulatory certainty to
certifying authorities, project proponents, and federal agencies.
Although this would be a new provision in the EPA's regulations, the
Agency presumes that the majority of certification conditions included
by states and tribes are consistent with the authority granted by
Congress. The EPA expects this proposed definition, however, to provide
much needed clarity to federal agencies and regulatory certainty to
project proponents that have been subjected to delays and project
denials as a result of the lack of regulatory certainty in this area.
Second, to assure that such ``conditions'' are appropriately
tailored to the scope and authorized by law, this proposal would
require the following information be provided for each condition
included in a certification:
1. A statement explaining why the condition is necessary to
assure that the discharge from the proposed project will comply with
water quality requirements;
2. A citation to federal, state, or tribal law that authorizes
the condition; and
3. A statement of whether and to what extent a less stringent
condition could satisfy applicable water quality requirements.
The EPA intends this provision to require citation to specific
state or tribal law or CWA provision that authorizes the condition, and
that citations to CWA section 401 or other general authorization or
policy provisions in federal, state or tribal law would be insufficient
to satisfy the proposed requirement. These proposed requirements are
intended to ensure that any limitation or requirement added to a
certification is within the ``scope of certification'' and is, thus, a
true section 401(d) ``condition.''
These proposed requirements might create new obligations for some
certifying authorities, but the EPA anticipates that the value of
including this information in every certification, in terms of
transparency and regulatory certainty, will far outweigh the minimal
additional administrative burden of including this information in a
certification. Stakeholders in pre-proposal engagement expressed
concern that federal agencies do not enforce the certification
conditions incorporated in
[[Page 44106]]
their federal licenses or permits. Providing a citation to the legal
authority underpinning a federally enforceable permit condition is one
way to address these concerns. In fact, federal agencies during pre-
proposal engagement acknowledged that this information will help them
understand how best to implement and enforce certification conditions.
In addition, including this information in each certification will
provide transparency for the overall certification process and allow
the project proponent to understand the legal authority that the
certifying authority is relying on to require the condition. This
information will help the project proponent assess whether the
condition is within the statute's lawful scope and what recourse it
might have to challenge or appeal it. Overall, the EPA believes that
the benefits of providing this information will significantly outweigh
any additional administrative burden that certifying authorities may
incur because of these new requirements. The Agency solicits comment on
the proposed information needed to support each condition, particularly
on the utility of such information for the certification process. In an
alternate approach, the Agency may define the third requirement as ``a
statement of whether and to what extent a more or less stringent
condition could satisfy applicable water quality requirements,'' or
remove the third requirement altogether. The Agency also requests
comment on these alternate approaches.
Third, this proposal would specifically provide federal agencies
the ability to determine whether certification conditions meet the new
regulatory definition for condition, and whether the state or tribe has
provided the information required for each condition. If a condition
satisfies these requirements, under this proposal it would have to be
included in the federal license or permit; if a condition does not
satisfy these requirements, it may not be included in the federal
license or permit. See section III.J in this preamble for more
discussion on the federal licensing or permitting agency's enforcement
responsibility and discretion. The EPA expects that the proposed
requirements are clear and specific enough that a federal agency would
not need to have water quality expertise to determine if a
certification condition meets the proposed requirements.\40\ The Agency
solicits comment on whether the proposed requirements for conditions
need to be further refined to allow federal agencies other than the EPA
to appropriately determine compliance. Although this review function
may be new to some federal agencies, it is consistent with the EPA's
own longstanding practice under its NPDES regulations implementing
section 401 that allow the EPA to make such determinations under
certain circumstances. See 40 CFR 124.53(e).
---------------------------------------------------------------------------
\40\ Additionally, section 401 provides that federal agencies
may request EPA advice on ``any relevant information on applicable
effluent limitations, or other limitations, standards, regulations,
or requirements, or water quality criteria'' and compliance methods.
33 U.S.C. 1341(b).
---------------------------------------------------------------------------
This proposal would require other federal agencies to review and
determine whether certification conditions are within the ``scope''
articulated in the proposed implementing regulations. This is
consistent with the principle that federal agencies have the authority
to reject certifications or conditions that are inconsistent with the
requirements and limitations of section 401 itself. In City of Tacoma,
Washington v. FERC, the Court of Appeals for the D.C. Circuit noted
that ``[i]f the question regarding the state's section 401
certification is not the application of state water quality standards,
but compliance with the terms of section 401, then [the federal agency]
must address it. This conclusion is evident from the plain language of
section 401: `No license or permit shall be granted until the
certification required by this section has been obtained or has been
waived.' '' 460 F.3d 53, 67-68 (D.C. Cir. 2006) (citing 33 U.S.C.
1341(a)(1)). The court went on to explain that even though the federal
licensing or permitting agency did not need to ``inquire into every
nuance of the state law proceeding . . . it [did] require [the federal
agency] to at least confirm that the state has facially satisfied the
express requirements of section 401.'' Id. at 68. This proposal
provides that, if a federal agency determines that a certifying
authority included a condition in a certification that is beyond the
scope of certification, as defined in the proposed regulation, or that
the state has not provided the specific information necessary to
support each condition, that condition may not be included in the
federal license or permit and it does not become federally enforceable.
As noted above, the EPA is not proposing to modify prior case law
interpreting the plain language of the CWA to require certification
conditions to be included in federal licenses and permits. See, e.g.,
City of Tacoma, 460 F.3d at 67; Am. Rivers Inc., 129 F.3d at 107; FERC,
952 F.2d at 548; Sierra Club, 909 F.3d at 645. The EPA is proposing to
maintain that requirement for conditions that are consistent with
section 401 and necessary to assure compliance with the Act and with
other appropriate requirements of state law. The statute does not
define the term ``condition'' and the EPA proposes to fill the gap left
by Congress and define the term to address ambiguity in the statute and
provide clarity and regulatory certainty. See Chevron, 467 U.S. at 843-
44.
This proposal would also provide federal agencies an opportunity to
allow a certifying authority to remedy a condition that the federal
agency determines exceeds or conflicts with the scope of section 401
authority under certain circumstances. If a federal agency determines
that a condition does not satisfy the proposed requirements for a
condition and the reasonable period of time has not yet expired, this
proposal would allow the federal agency to notify the certifying
authority and provide an opportunity to remedy the defective condition,
either by modifying the condition to conform to the scope of
certification, or by providing the information required in the proposed
regulation. A federal agency would not be required to provide this
opportunity to the certifying authority, but if it does, this proposal
nonetheless would require the certifying authority to provide the
corrected condition or required information within the original
reasonable period of time, which shall not exceed one year from
receipt. Under this proposal, any federal agency determination on
whether to allow a certifying authority to remedy a deficient condition
would have to occur within the original reasonable period of time.
Under this proposal, if the certifying authority fails to remedy the
deficiencies within the reasonable period of time, the condition would
not be included in the federal license or permit. Deficient conditions
do not invalidate the entire certification, nor do they invalidate the
remaining conditions in the certification. The EPA solicits comment on
whether the regulatory text should clarify that deficient conditions do
not invalidate the entire certification or the remaining conditions.
The EPA also solicits comment on whether the proposed opportunity to
remedy deficient conditions would be helpful and an appropriate use of
federal agency resources, whether it should be mandatory for federal
agencies to provide this opportunity, and whether it is within the
scope of EPA authority to establish through regulation. The EPA also
solicits comment on an alternative
[[Page 44107]]
approach where certifying authorities would not have the opportunity to
remedy deficient conditions, even if the reasonable period of time has
not expired.
The proposed regulations clarify the EPA's interpretation that the
appropriate scope of review under section 401(a) is limited to the
potential water quality impacts caused by the point source discharge
from a proposed federally licensed or permitted project to the waters
of the United States. This is consistent with the statutory language in
sections 401(a) and 401(d) and is supported by the legislative history.
See S. Rep. No. 92-414, at 69 (1971) (providing that authorities must
certify that ``any such discharge will comply with [CWA] Sections 301
and 302'' and that section 401 was ``amended to assure consistency with
the bill's changed emphasis from water quality standards to effluent
limitations based on the elimination of any discharge of pollutants''),
41 (describing CWA section 301 as prohibiting the discharge of any
pollutant except as permitted under CWA sections 301, 302, 306, 307 or
402, and identifying point sources of pollution as the regulatory
target), 46 (describing CWA section 302 to authorize water quality
based effluent limits ``for the affected point sources at a level which
can reasonably be expected to contribute to the attainment or
maintenance of such a standard of water quality''). The scope of
certification also extends to the scope of conditions that are
appropriate for inclusion in a certification--specifically, that these
conditions must be necessary to assure that the discharge from a
proposed federally licensed or permitted project will comply with water
quality requirements, as defined at Sec. 121.1(p) of this proposal.
The EPA solicits comments on whether the proposed approach
appropriately captures the scope of authority for granting,
conditioning, denying, and waiving a section 401 certification. The EPA
solicits comment on the extent to which project proponents have
received non-water quality related conditions in certifications. The
EPA also solicits comment on whether this proposal regarding the scope
of certification and conditions is an appropriate and useful way to
ensure that federal licenses will not contain non-water quality related
certification decisions and conditions, or if there are other more
useful and appropriate tools or mechanisms the EPA should consider to
address these concerns. In particular, the EPA solicits comment on what
it means for a certification or its conditions to be ``related to water
quality'' and how direct that relationship to water quality must be to
properly define a certification or condition as within the appropriate
scope of section 401.
In addition, the EPA solicits comment on its interpretation of the
phrase ``any other appropriate requirements of State law'' as limited
to requirements in EPA-approved state and tribal CWA regulatory
programs. In particular, EPA solicits comment on whether EPA should
interpret that phrase more broadly to include any requirement of State
law, any water quality-related requirement of State law (regardless of
whether it is part of an EPA-approved program), or any different
universe of state or tribal requirements (reflecting, or not, CWA
sections or programs) that might be broader or narrower in scope than
this proposal. The EPA also solicits comment on its interpretation of
sections 401(a) and 401(d) as limiting the scope of state and tribal
section 401 review and conditions to impacts from potential
``discharges,'' or whether the state or tribe may also consider a
different and broader universe of impacts, such as impacts from the
licensed project or activity as a whole, or some other universe of
potential impacts to water quality. The EPA also solicits comment on
whether this proposal will facilitate enforcement of certification
conditions by federal agencies, or whether there are other approaches
the Agency should consider beyond requiring a citation to state,
tribal, or federal law or explaining the reason for a condition.
Pre-proposal recommendations identified concerns with certain types
of conditions that have created regulatory uncertainty for project
proponents, including conditions that extend the effective date of a
certification out beyond the reasonable period of time and conditions
that authorize certifications to be re-opened. To better understand
these concerns, the Agency solicits comment on whether, given the
explicit limitations on conditions in this proposal, it may still be
necessary or appropriate to expressly preclude these or other types of
conditions that may create regulatory uncertainty.
The EPA is also soliciting comment on an alternate approach that it
is considering taking whereby the Agency would interpret CWA sections
401(a) and 401(d) as providing two different scopes for action on a
certification request. Specifically, section 401(a) could be read to
authorize review of a section 401 certification only on the basis of
determining whether the discharge would comply with the enumerated
sections of the CWA; and section 401(d) could be read to authorize
consideration of ``any other appropriate requirement of State law''
only for purposes of establishing conditions once the certifying
authority has determined to grant certification. Under this alternate
approach, a certification request could be denied only if the
certifying authority cannot certify that the discharge will comply with
applicable provisions of CWA sections 301, 302, 303, 306 and 307. This
proposal would also define the term ``any other appropriate requirement
of State law'' to mean EPA-approved state or tribal CWA regulatory
program provisions (e.g., state water quality standards, NPDES program
provisions). The EPA solicits comment on this alternate interpretation.
The EPA also solicits comment on whether establishing two different
scopes for action under section 401 would clarify the certification
process or if it could cause further confusion or potential delays in
processing certification requests.
E. Timeframe for Certification Analysis and Decision
The EPA proposes to reaffirm that CWA section 401 requires
certifying authorities to act on a request for certification within a
reasonable period of time, which shall not exceed one year. By
establishing an absolute outer bound of one year following receipt of a
certification request, Congress signaled that certifying authorities
have the expertise and ability to evaluate potential water quality
impacts from even the most complex proposals within a reasonable period
of time after receipt of a request, and in all cases within one year.
The CWA also provides that if a certifying authority fails or refuses
to act within that reasonable period of time, the certification
requirement is waived; however, the CWA does not define the term
``fails or refuses to act.'' This proposal provides additional clarity
on what is a ``reasonable period,'' how the period of time is
established, and for the first time defines the term ``fails or refuses
to act'' to provide additional clarity and regulatory certainty.
Section 401 does not include a tolling provision. Therefore, the
period of time to act on a certification request does not pause or stop
for any reason once the certification request has been received. One
recent court decision held that withdrawing and resubmitting the same
section 401 request for the purpose of circumventing the one-year
statutory deadline does not restart the reasonable period of time.
Hoopa Valley Tribe v. FERC, 913 F.3d 1099 (D.C. Cir. 2019) (Hoopa
Valley). The EPA agrees with
[[Page 44108]]
the Hoopa Valley court that ``Section 401's text is clear'' that one
year is the absolute maximum time permitted for a certification, and
that the statute ``does not preclude a finding of waiver prior to the
passage of a full year.'' Id. at 1103-04. The court noted that, ``[b]y
shelving water quality certifications, the states usurp FERC's control
over whether and when a federal license will issue. Thus, if allowed,
the withdrawal-and-resubmittal scheme could be used to indefinitely
delay federal licensing proceedings and undermine FERC's jurisdiction
to regulate such matters.'' Id. at 1104. The court further observed
that the legislative history supports its interpretation of the
statute's plain language because, ``Congress intended Section 401 to
curb a state's `dalliance or unreasonable delay.' '' Id. at 1104-05
(emphasis in original).
The Hoopa Valley case raised another important issue: Perpetual
delay of relicensing efforts (in that case for more than a decade)
delays the implementation and enforcement of water quality requirements
that have been updated and made more stringent in the years or decades
since the last relicensing process.\41\ See id. at 1101. This concern
was also raised in stakeholder recommendations received during the pre-
proposal outreach period. One stakeholder specifically cited the delays
in the Hoopa Valley case as a ``concrete example of how the Sec. 401
certification process was being manipulated by a state certification
agency to delay implementation of effective water quality controls and
enhancement measures'' and that ``allowing the Sec. 401 certification
process to be used to achieve further delays in the re-licensing
process is in turn an abuse of the certification process.'' Letter from
National Tribal Water Council to David P. Ross, Assistant Administrator
of the Office of Water, EPA (Mar. 1, 2019).
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\41\ This is a concern shared by the EPA. The Agency has
recently taken steps to promote its own compliance with CWA
deadlines, including acting on state and tribal water quality
standard submittals, because prior delays have created a significant
backlog of state submittals awaiting EPA action. Memorandum from
David P. Ross to Regional Administrators (June 3, 2019). These
delays and backlogs prevent states and tribes from timely
implementing and enforcing updated programs and standards that could
otherwise be improving water quality.
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Given the Hoopa Valley court's plain language analysis of the
statute and the potential water quality impacts from allowing
certification decisions to be delayed, and the Agency's agreement with
that analysis, EPA is proposing to amend the Agency's regulations in a
manner consistent with the Hoopa Valley holding as follows:
The certifying authority is not authorized to request the
project proponent to withdraw a certification request or to take any
other action for the purpose of modifying or restarting the
established reasonable period of time.
The Agency proposes this clear statement to reflect the plain
language of section 401, which as described above, is supported by
legislative history. The Agency expects this clarification will reduce
delays and help ensure that section 401 certification requests are
processed within the reasonable period of time established by the
federal agency, and at most, within one year from receipt of the
request. The Agency understands that in cases where the certifying
authority and project proponent are working collaboratively and in good
faith, it may be desirable to allow the certification process to extend
beyond the reasonable period of time and beyond the one-year statutory
deadline. The Agency solicits comment on whether there is any legal
basis to allow a federal agency to extend the reasonable period of time
beyond one year from receipt.
During the pre-proposal recommendation period, stakeholders also
expressed concern about the effect of potentially limited certification
review timeframes on state and tribal resources. The Agency has similar
concerns regarding its own resources. This proposal therefore would
establish a pre-filing meeting process when the EPA is the certifying
authority to ensure that the Agency receives early notification of
anticipated projects and can discuss its information needs with the
project proponent (see section III.G in this preamble). This pre-filing
meeting process is intended to occur before the statutory timeframe
begins. The Agency solicits comment on whether the pre-filing meeting
process would be helpful for other certifying authorities, whether it
is an appropriate mechanism to promote and encourage early coordination
between project proponents and certifying authorities, and if there are
other options that may also be appropriate from a regulatory
perspective. The EPA also solicits comment on whether the Agency has
the authority to propose similar requirements on state and tribal
certifying authorities through this rulemaking. The Agency also heard
concerns from certifying authorities on staffing challenges, agency
priorities, and the need for additional federal funding to support
timely action on certification requests. To better understand these
concerns, the Agency solicits comment from certifying authorities on
the extent to which section 401 programs are funded by states and
tribes and the number of full or part time employees that are assigned
to evaluate and take action on certification requests.
The EPA recognizes that federal agencies are uniquely positioned to
promote pre-application coordination among federal agencies, certifying
authorities, and project proponents to harmonize project planning
activities and promote timely action on certification requests. For
instance, early coordination between the certifying authority and the
federal agency could decrease duplication of materials that need to be
prepared and submitted by the project proponent. The EPA encourages
federal agencies to notify certifying authorities as early as possible
about potential projects that may require a section 401 certification.
Additionally, the EPA encourages federal agencies to respond timely to
requests from certifying authorities for information concerning the
proposed federal license or permit, and to provide technical and
procedural assistance to certifying authorities and project proponents
upon request and to the extent consistent with agency regulations and
procedures. The Agency solicits comment on the responsibilities of
federal agencies, ways to facilitate technical and procedural
information sharing among federal agencies, project proponents, and
certifying authorities, and ways to provide technical and procedural
assistance to project proponents and certifying authorities.
The EPA also proposes to reaffirm that the federal agencies
determine the reasonable period of time for a certifying authority to
act on a certification request. Some existing federal agency
regulations specify a reasonable period of time that applies across all
permit types. For instance, FERC's regulations at 18 CFR 5.23(b)(2)
provide that ``[a] certifying agency is deemed to have waived the
certification requirements of section 401(a)(1) of the Clean Water Act
if the certifying agency has not denied or granted certification by one
year after the date the certifying agency received a written request
for certification.'' Similarly, the Corps regulations at 33 CFR
325.2(b)(1)(ii) state that ``[a] waiver may be explicit, or will be
deemed to occur if the certifying agency fails or refuses to act on a
request for certification within sixty days after receipt of such a
request unless the district engineer determines a shorter or longer
period is reasonable for the state to act.'' Executive Order 13868
directed
[[Page 44109]]
these agencies to update their existing regulations to promote
consistency across the federal government upon completion of the EPA's
current rulemaking to modernize its certification regulations.
In setting the reasonable period of time for a certification--
either on a project-by-project basis or categorically through a
rulemaking--the EPA proposes to require federal agencies to consider:
1. The complexity of the proposed project;
2. The potential for any discharge; and
3. The potential need for additional study or evaluation of
water quality effects from the discharge.
The EPA solicits comment on whether these factors are appropriate
and whether there are other factors that a federal agency should
consider when establishing the reasonable period of time (e.g., permit
type within a federal agency, certifying authority resources and
capacity to review). The EPA also solicits comment on whether the
Agency should establish reasonable periods of time for different
federal permit types on a categorical basis in its final rule. For
example, the EPA could establish that section 401 certifications for
CWA section 404 permits that disturb a certain acreage threshold must
be completed in a prescribed period of time. As another example, the
EPA could establish that for interstate pipelines that will cross a
certain number of states or transport a certain volume of material,
certification must be completed within a specific period of time. The
EPA understands that the federal agencies that implement their own
permitting programs are experts in those areas, however, the Agency
also understands that establishing a clear national framework for
section 401 certifications may help create efficiencies in the process
and therefore provide greater regulatory certainty.
The Agency is also soliciting comment on an alternate approach that
it is considering taking whereby the EPA would retain the language in
its existing certification regulations that specifies a reasonable
period of time ``shall generally be considered to be 6 months, but in
any event shall not exceed 1 year.'' 40 CFR 121.16(b). In the event the
EPA pursues this alternate approach, the Agency requests comment on
whether six months is an appropriate general rule, if a longer or
shorter period of time would be more appropriate as a general rule, and
whether having such a general rule is appropriate. Such alternate
approach would retain the federal agencies ability to determine the
reasonable period of time but would allow for a default reasonable
period of time in the event that a federal agency fails to establish a
reasonable period of time or prefers to rely on the default.
This proposal also intends to clarify the process by which federal
agencies and certifying authorities communicate regarding the
reasonable period of time. A clear understanding of the reasonable
period of time will prevent certifying authorities from inadvertently
waiving their opportunity to certify a request and will provide
regulatory certainty to the project proponent. Under this proposal,
upon submittal of the request for certification, the project proponent
would contact the federal agency to provide notice of the certification
request. Within 15 days of receiving a notice of the certification
request from the project proponent, the federal agency would provide,
in writing, the following information to the certifying authority: The
applicable reasonable period of time to act on the request, the date of
receipt, and the date upon which waiver will occur if the certifying
authority fails to act. The EPA understands that this process may
create additional administrative burdens on federal agencies, given the
number of section 401 certification requests that are submitted each
year. However, the Agency expects that the benefit of clarity and
transparency that this additional process will provide for all parties
involved in a section 401 certification process will outweigh any
potential additional burden. The EPA also expects the federal agencies
will quickly routinize this process, using forms, electronic
notifications or other tools to minimize the potential administrative
burden associated with providing written notice of the reasonable
period of time. The EPA solicits comment on whether the proposed
process is the most efficient way to provide clarity and transparency,
or if there are other procedural or administrative mechanisms that may
be more effective. In an alternate approach the EPA could require
federal agencies to post the reasonable period of time notification on
a public website, instead of requiring it be sent to the certifying
authority. The EPA solicits comment on whether this alternate approach
would provide greater efficiency and transparency in the certification
process, or if there are concerns with this approach.
The EPA also solicits comment on whether, if a federal agency
promulgates reasonable periods of time categorically based on project
type, the notification process in this proposal would still be
necessary. For example, FERC has promulgated regulations for hydropower
projects that require the license or permit applicant to file with FERC
either a copy of the certification, a copy of the request for
certification, including proof of the date that the certifying
authority received the request, or evidence of waiver. 18 CFR
4.34(b)(5)(i). In its permitting processes, FERC allows certifying
authorities to take the full year provided in section 401, and its
regulations clearly state, ``A certifying agency is deemed to have
waived the certification requirements . . . if the certifying agency
has not denied or granted certification by one year after the date the
certifying agency received a written request for certification.'' 18
CFR 4.34(b)(5)(iii). The EPA solicits comment on whether FERC's
hydropower regulations, or other existing federal regulations, provide
clear enough procedure and transparency that the additional notice to
the certifying authority proposed in this rule would be redundant,
unnecessary, or a waste of resources.
The EPA also proposes to clarify that section 401 does not prohibit
a federal agency from modifying an established reasonable period of
time, provided the modified time period is reasonable and does not
exceed one year from receipt. The EPA does not expect periods of time
to be modified frequently, but this proposal is intended to provide
federal agencies with additional flexibility for unique circumstances
that may reasonably require a longer period of time than was originally
established. In such cases, the modified time period would be
communicated in writing to the certifying authority and the project
proponent to ensure all parties are aware of the change. In all cases,
the reasonable period of time would not exceed one year from the
original receipt of the certification request.
To ensure that the section 401 certification process does not
unreasonably delay the federal licensing and permitting processes, the
plain language of section 401(a)(1) provides that the requirement to
obtain a certification is waived when a certifying authority ``fails or
refuses to act'' on a request for certification, within a reasonable
period of time (which shall not exceed one year).'' 33 U.S.C.
1341(a)(1). The Act does not define the term ``fails or refuses to
act.'' This term is ambiguous and the lack of a statutory definition
has resulted in different interpretations of when the period of time
for review expires and inefficiencies in the certification process. It
has also resulted in significant regulatory uncertainty and litigation.
See section II.F in this preamble. As the Agency charged with
[[Page 44110]]
administering the CWA, the EPA is authorized to interpret by rulemaking
what these terms mean in the context of a request for a CWA section 401
certification. See Chevron, 467 U.S. at 843-44.
The phrase ``fails or refuses to act'' lends itself to at least two
interpretations. One interpretation of the ``fails or refuses to act''
language in section 401 is that a certifying authority took no action,
or refused to take any action, on a section 401 certification request
within the reasonable period of time. Such lack of action would be
understood as triggering a waiver. Alternatively, when read in the
larger context of the section, ``fails or refuses to act'' could also
mean that--while the certifying authority took some action in response
to the request--the action it took was outside the statute's
permissible scope and thus the certifying authority failed or refused
to act in a way Congress intended, and that such failure amounts to a
failure or refusal to act, triggering a waiver. To resolve this
ambiguity, under this proposed definition, if a certifying authority
either takes no action at all within the reasonable period of time, or
acts outside the scope of certification, as defined in this proposal,
the federal agency may determine that waiver has occurred and issue the
federal license or permit. Accordingly, this proposal includes the
following definition:
Fail or refuse to act means the certifying authority actually or
constructively fails or refuses to grant or deny certification, or
waive the certification requirement, within the scope of
certification and within the reasonable period of time.
A certifying authority actually fails or refuses to grant or deny
certification when it states its intention unambiguously in writing or
takes no action within the reasonable period of time. A certifying
agency constructively fails or refuses to grant or deny certification
when it acts outside the scope of certification as defined in the
proposed rule.
The EPA expects that for the majority of circumstances where states
and tribes issue section 401 certifications, this new definition will
have little practical implication because they will have acted on
certification requests within the scope of CWA section 401. However,
the EPA is aware of circumstances where some states have denied
certifications on grounds that are unrelated to water quality
requirements and that are beyond the scope of CWA section 401.\42\ The
EPA's existing certification regulations at 40 CFR part 121 are silent
on this point and thus when a certifying authority acts beyond the
scope of authority granted by Congress in section 401, the project
proponent has two options: (1) Walk away from the proposed federally
licensed or permitted project because certification has been denied, or
(2) challenge the certification denial in court. Under this proposal,
the Agency intends to clarify that a denial based on factors outside
the scope of authority under section 401 amounts to a ``fail[ure] or
refus[al] to act.'' The burden is thus placed on the certifying
authority to act within the proper scope of authority granted by
Congress, or otherwise risk having the certification denial being set
aside by the federal agency. If that were to happen, under this
proposal, a certifying authority that disagrees that its action was
outside the scope of section 401 could consider its options for legal
or administrative review against the federal agency for issuing the
license or permit without considering its certification denial. The EPA
intends that this proposed definition of ``fails or refuses to act''
will encourage certifying authorities to act within the scope of
certification and promote timely and CWA-consistent action on
certification requests. As discussed in section III.D in this preamble,
an entire certification is not considered waived if a certifying
authority grants certification with deficient conditions. In those
circumstances, the deficient conditions are addressed by the federal
agency but the remainder of the certification remains in place.
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\42\ See Letter from Thomas Berkman, Deputy Commissioner and
General Counsel, New York State Department of Environmental
Conservation, to Georgia Carter, Vice President and General Counsel,
Millennium Pipeline Company, and John Zimmer, Pipeline/LNG Market
Director, TRC Environmental Corp. (Aug. 30, 2017) (denying 401
certification because ``FERC failed to consider or quantify the
effects of downstream [greenhouse gas emissions] in its
environmental review of the Project'').
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Alternatively, the Agency seeks comment on an approach that would
not define ``fails or refuses to act'' as a separate term. In the event
the Agency pursues that alternate approach, the Agency solicits comment
on other tools or mechanisms to encourage certifying authorities to act
timely and within the scope of certification, consistent with the text
of the CWA as defined in this proposal.
This proposal also includes a process by which, if a certifying
authority denies certification on grounds outside the scope of
certification, and the reasonable period of time has not yet expired,
the federal agency may provide an opportunity for the certifying
authority to remedy the deficient denial, so long as the remedy occurs
within the original reasonable period of time. This process is intended
to promote actions by certifying authorities that are within the scope
of certification and provide an ability to remedy deficient denials so
long as it is does not extend the reasonable period of time, and
therefore does not delay the federal licensing or permitting process.
The Agency solicits comment on whether the opportunity to remedy
deficient certifications or conditions would be helpful and
appropriate, or if it could create additional delays in the federal
licensing or permitting process. The EPA also solicits comment on an
alternative approach where certifying authorities would not have the
opportunity to remedy deficient denials, even if the reasonable period
of time has not expired. The Agency also solicits comment on whether
there are other mechanisms that may also promote timely and appropriate
action on certification requests.
F. Contents and Effect of a Certification
The CWA does not define the term ``certification'' or offer a
definitive list of its contents or elements. Accordingly, the EPA under
section 501(a) may reasonably interpret the statute to add content to
that term. See 33 U.S.C. 1251(d); 33 U.S.C. 1361(a); Chevron, 467 U.S.
at 843-44. While the EPA's existing regulations at 40 CFR 121.2(a)
identify certification requirements that might have made sense in 1971,
in this proposal the EPA seeks to update those requirements and also
address more fully the effects of certification decisions. Among other
things, the EPA is proposing that any action on a certification request
be in writing and clearly state whether the certifying authority has
chosen to grant, grant with conditions, or deny certification. The EPA
is also proposing that any express waiver of the certification
requirement by the certifying authority also be in writing.
In circumstances where certification is granted, with or without
conditions, the EPA is proposing that the written certification include
a statement that the discharge from the proposed federally licensed or
permitted project will comply with applicable water quality
requirements, as defined at Sec. 121.1(p) of this proposal. Where the
certifying authority has granted without conditions, the federal agency
could continue processing the license or permit in accordance with its
implementing regulations. Where the certifying authority is granting
certification with conditions, the federal
[[Page 44111]]
agency could continue processing the license or permit and would
include those conditions as terms in the federal license or permit.
Under the proposal, the certification would include specific supporting
information for each condition that will be included in the
certification, including at a minimum: A statement explaining why the
condition is necessary to assure that the discharge resulting from the
proposed federally licensed or permitted project will comply with
applicable water quality requirements; a citation to federal, state, or
tribal law that authorizes the condition; and a statement of whether
and to what extent a less stringent condition could satisfy applicable
water quality requirements. See section III.D in this preamble for
information about the scope of appropriate conditions and for
information about how conditions could be written to ensure
enforceability by federal agencies.
CWA section 401(a)(1) provides that ``[n]o license or permit shall
be granted if certification has been denied by the State, interstate
agency, or the Administrator, as the case may be.'' 33 U.S.C.
1341(a)(1). In circumstances where certification is denied, the EPA is
proposing that the written notification include the reasons for denial,
including the specific water quality requirements with which the
proposed federally licensed or permitted project will not comply, a
statement explaining why the proposed project will not comply with the
identified water quality requirements, and the specific data,
information, or project modifications, if any, that would be needed for
the certifying authority to determine that the discharge will comply
with water quality requirements. In circumstances where a certifying
authority is unable to certify that a discharge will comply with the
Act, EPA is proposing that the certifying authority may deny
certification or waive the requirement for certification. The EPA notes
that there may be multiple reasons why a certifying authority may be
unable to certify, including a lack of resources for reviewing the
certification request, other more pressing priority work that the
agency must attend to, or because the information provided to the
agency demonstrates that the discharge will not comply with the Act.
Under the former circumstances, waiver may be appropriate and under the
latter circumstance, denial would be appropriate. The statute does not
prevent a project proponent from reapplying for a section 401
certification if the original request is denied, and this proposal
reaffirms the ability of a project proponent to submit a new
certification request. In the event that a denial is issued, the EPA
recommends that the project proponent discuss with the certifying
authority whether project plans could be altered to meet applicable
water quality requirements upon submittal of a new request for
certification.
Where a federal agency determines that a certifying authority's
denial satisfied the requirements of section 401, the EPA proposes that
the federal agency provide written notification to the certifying
authority and the project proponent that the denial was consistent with
section 401 and that the license or permit will not be granted. A
project proponent may explore its options to challenge a denial in
court, or alternatively, it may submit a new request for certification
that addresses the water quality issues identified in the denial in
addition to the other requirements for a request for certification, as
discussed in section III.B in this preamble.
Where a federal agency determines that a certifying authority's
denial failed to meet the requirements of section 401, the EPA proposes
that the federal agency provide written notification to the certifying
authority and the project proponent and indicate which provision(s) of
section 401 the certifying authority failed to meet. If the federal
agency receives the certifying authority's certification decision prior
to the end of the reasonable period of time, the federal agency may
provide the certifying authority an opportunity to remedy the
deficiencies within the remaining period of time. In such
circumstances, if the certifying authority does not provide an updated
certification decision by the end of the reasonable period of time,
under the proposal the federal agency would treat the certification in
a similar manner as waiver. The EPA solicits comment on whether this
opportunity to remedy a deficient denial would be helpful and an
appropriate use of federal agency resources, whether it should be
mandatory for federal agencies to provide this opportunity, and whether
it is within the scope of Agency authority to establish through
regulation.
EPA's proposed regulations at sections 121.6 (Effect of denial of
certification), 121.7 (Waiver), and 121.8 (Incorporation of conditions
in the license or permit) contemplate that the licensing or permitting
agency would review and make appropriate determinations about the
adequacy of certain aspects of a 401 certification. Establishing such a
role for federal licensing or permitting agencies is a reasonable
interpretation of the CWA. In City of Tacoma, Washington v. FERC, the
Court of Appeals for the D.C. Circuit noted that ``[i]f the question
regarding the state's section 401 certification is not the application
of state water quality standards but compliance with the terms of
section 401, then [the federal agency] must address it. This conclusion
is evident from the plain language of section 401: `No license or
permit shall be granted until the certification required by this
section has been obtained or has been waived.' '' 460 F.3d at 67-68
(citing 33 U.S.C. 1341(a)(1)) (emphasis in original). The court went on
to explain that even though the federal agency did not need to
``inquire into every nuance of the state law proceeding . . . it [did]
require [the federal agency] to at least to confirm that the state has
facially satisfied the express requirements of section 401.'' Id. at
68; see also Hoopa Valley Tribe v. FERC, 913 F.3d 1099, 1105 (D.C. Cir.
2019) (``had FERC properly interpreted Section 401 and found waiver
when it first manifested more than a decade ago, decommissioning of the
Project might very well be underway''); Airport Communities Coalition
v. Graves, 280 F. Supp.2d 1207, 1217 (W.D. Wash. 2003) (holding that
the Army Corps had discretion not to incorporate untimely certification
conditions).\43\
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\43\ Cases like Sierra Club, 909 F.3d at 645; Snoqualmie Indian
Tribe, 545 F.3d at 1218; and FERC, 952 F.2d at 548 are not to the
contrary. These cases do not stand for the proposition that
licensing agencies have no role to play in reviewing and
implementing state or tribal certifications. Although the courts'
language is at times strong (e.g., ``FERC may not alter or reject
conditions''), a closer reading shows that these holdings are more
nuanced. In Sierra Club, the court faulted FERC for replacing a
state certification condition with a different, alternative
condition FERC thought was more protective. In Snoqualmie, the court
allowed FERC to require additional license conditions that did not
conflict with or weaken the protections provided by the state's
certificate. In FERC, the court upheld FERC's hydroelectric facility
license, observing that ``we have no reason to doubt that any valid
conditions imposed by West Virginia in its section 401 certificates
must and will be respected by the Commission.'' (Emphasis added).
Even American Rivers, 129 F.3d at 110-111, recognized that FERC
``may determine whether the proper state has issued the
certification or whether a state has issued a certification within
the prescribed period.'' To the extent any of these cases arguably
stand for the proposition that licensing agencies lack the authority
or discretion to make appropriate determinations regarding the
adequacy of certain aspects of a state's or authorized tribe's
certification, EPA disagrees.
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In circumstances where certification is waived, under this
proposal, the federal agency may continue processing the license or
permit in accordance with its implementing regulations. As discussed in
section III.E and section III.F in this preamble, under this
[[Page 44112]]
proposal a certifying authority may waive its opportunity to certify,
either expressly by issuing a statement that it is waiving its
opportunity to certify or by failing or refusing to act within the
reasonable period of time and in accordance with section 401.
The EPA's existing certification regulations recognize the role of
the federal agency to determine whether a waiver has occurred. 40 CFR
121.16(b); see also Millennium Pipeline Company, L.L.C. v. Seggos, 860
F.3d at 700-701 (acknowledging that a project proponent can ask the
federal agency to determine whether a waiver has occurred). As
discussed in section III.E in this preamble, the federal agency also
determines the reasonable period of time for a certifying authority to
act on a request for certification. The EPA proposes to reaffirm that
it is the federal agency that also determines whether a waiver has
occurred.
The EPA is also proposing to clarify the procedures for a federal
agency to notify a certifying authority that a waiver has occurred. If
the certifying authority fails or refuses to act before the date
specified by the federal agency, as explained in section III.E in this
preamble, the federal agency would be required to communicate to the
certifying authority and project proponent in writing that waiver has
occurred. The communication would also include the original
notification from the federal agency to the certifying authority of the
reasonable period of time.
As discussed in section III.E in this preamble, the practice of
withdrawing and resubmitting the same request for certification does
not pause or reset the clock for purposes of determining whether a
waiver has occurred. In Hoopa Valley Tribe, the Court of Appeals for
the D.C. Circuit held that waiver occurred where the applicant and
certifying authority coordinated to repeatedly resubmit the same
certification request for over a decade. 913 F.3d 1099.
This proposal reaffirms the ability of a state to expressly or
affirmatively waive the requirement to obtain a section 401
certification. Although the statute does not explicitly provide for
express or affirmative waiver, such waivers are consistent with the
certification authority's ability to waive through failure or refusal
to act. An express or affirmative decision to waive certification does
not provide the certifying authority's determination of whether or not
the section 401 certification request will comply with the Act.
Instead, an express or affirmative waiver indicates that the certifying
authority has chosen not to act on a certification request. See EDF v.
Alexander, 501 F. Supp. 742, 771 (N.D. Miss. 1980) (``We do not
interpret [the Act] to mean that affirmative waivers are not allowed.
Such a construction would be illogical and inconsistent with the
purpose of this legislation.''). Additionally, express or affirmative
waiver enables the federal agency to proceed with processing an
application where the certifying authority has stated it does not
intend to act, thereby avoiding the need to wait for the reasonable
period of time to lapse.
The Agency solicits comments on whether the proposed approach
appropriately captures the scope of authority for granting,
conditioning, waiving, and denying a section 401 certification, and
whether the proposed approach also effectively addresses those
circumstances where certification is sought for general permits issued
by the federal agencies (e.g., 33 U.S.C. 1344(e)).
G. Certification by the Administrator
Section 401(a)(1) of the CWA provides that ``[i]n any case where a
State or interstate agency has no authority to give such a
certification, such certification shall be from the Administrator.'' 33
U.S.C. 1341(a)(1). Currently, all states have authority to implement
section 401 certification programs. However, there are two scenarios
where the EPA acts as the certifying authority: (1) On behalf of
federally recognized Indian tribes that have not received TAS for
section 401, and (2) on lands of exclusive federal jurisdiction, such
as Denali National Park. As discussed in section II.F.1 in this
preamble, tribes may obtain TAS authorization for purposes of issuing
CWA section 401 certifications. If a tribe does not obtain TAS for
section 401 certifications, the EPA is responsible to act as the
certifying authority for projects proposed on tribal land. The Agency
solicits comment on whether additional information on the TAS process
for section 401 certifications would be helpful and how the Agency
could best communicate that information to the public.
The federal government may obtain exclusive federal jurisdiction in
multiple ways, including where the federal government purchases land
with state consent consistent with article 1, section 8, clause 17 of
the U.S. Constitution; where a state chooses to cede jurisdiction to
the federal government; and where the federal government reserved
jurisdiction upon granting statehood. See Collins v. Yosemite Park Co.,
304 U.S. 518, 529-30 (1938); James v. Dravo Contracting Co., 302 U.S.
134, 141-42 (1937); Surplus Trading Company v. Cook, 281 U.S. 647, 650-
52 (1930); Fort Leavenworth Railroad Company v. Lowe, 114 U.S. 525, 527
(1895). For example, the federal government retained exclusive
jurisdiction over Denali National Park in Alaska's Statehood Act.
Alaska Statehood Act, Public Law 85-508, 72 Stat. 339 (1958).
Considering the potential for jurisdictional overlap between certifying
authorities at certain project sites (e.g., boundary between tribal
land and a state), the Agency encourages project proponents to engage
in pre-application communications with certifying authorities and
federal agencies to ensure project proponents submit a request for
certification to the appropriate certifying authority.
The EPA's existing certification regulations discuss circumstances
where the Administrator certifies instead of a state, tribe, or
interstate authority. The Agency proposes to modernize and clarify
these regulations, and withdraw the text in 40 CFR 121.21 in its
entirety and replace it with the following text:
Certification by the Administrator that the discharge from a
proposed project will comply with water quality requirements will be
required where no state, tribe, or interstate agency has authority
to give such a certification.
In circumstances where the EPA is the certifying authority and the
water body impacted by the proposed discharge does not have any
applicable water quality standards, the EPA's existing regulation
provides the EPA with an advisory role. 40 CFR 121.24. The statute does
not explicitly provide for this advisory role, and therefore this
proposal does not include a similar provision. However, the Agency
believes that this advisory role may not be inconsistent with the
Agency's technical advisory role provided at 33 U.S.C. 1341(b). In an
alternate approach, the Agency may reaffirm the Agency's advisory role
when it certifies for water bodies without water quality requirements.
The Agency solicits comment on its interpretation of the EPA's advisory
role under Section 401 and the utility of maintaining such a role for
the EPA.
This proposal includes three procedural requirements that would
apply when the Administrator is the certifying authority: Clarified
public notice procedures, a pre-filing meeting process, and specific
timelines and requirements for the EPA to request additional
information to support a
[[Page 44113]]
certification request. Each of these is discussed below and would be
contained in proposed sections 121.11 through 121.13.
1. Public Notice Procedure
Section 401 requires a certifying authority to provide procedures
for public notice, and a public hearing where necessary, on a
certification request. The courts have held that this includes a
requirement for public notice itself. City of Tacoma, 460 F.3d at 68.
As discussed above in section III.B in this preamble, the timeframe for
making a certification decision begins upon receipt of request, and not
when the public notice is issued. The existing regulations at 40 CFR
part 121.23 describe the EPA's procedures for public notice after
receiving a request for certification.
The EPA proposes to update these regulations to provide greater
clarity to project proponents, federal agencies, and other interested
parties on the EPA's procedures for public notice when it is acting as
the certifying authority. Under the proposal, the Agency would provide
appropriate public notice within 20 days of receipt of a certification
request to parties known to be interested, such as tribal, state,
county, and municipal authorities, heads of state agencies responsible
for water quality, adjacent property owners, and conservation
organizations. If the EPA in its discretion determines that a public
hearing is appropriate or necessary, the Agency would, to the extent
practicable, give all interested and affected parties the opportunity
to present evidence or testimony at a public hearing.
When acting as a certifying authority, the EPA is subject to the
same timeframes and section 401 certification requirements as other
certifying authorities. The Agency requests comment on whether
providing public notice within 20 days of receipt is appropriate or
whether more or less time would be appropriate.
2. Pre-Filing Meeting Procedure
This proposal also includes for the first time a requirement that
the project proponent request a pre-filing meeting with the EPA when
the Agency is the certifying authority. The Agency solicits comment
regarding whether the term ``request'' as used in the statute is broad
enough to include an implied requirement that, as part of the
submission of a request for certification, a project proponent also
provide the certifying authority with advance notice that a request is
imminent. The fact that the statute requires the certifying authority
to act on a request within a relatively short time (no longer than one
year and possibly much less) or else waive, provides some justification
in this context to interpret the term ``request for certification'' to
also include a pre-filing meeting process.
In order to facilitate early engagement and coordination, and using
its discretion to interpret the term ``request'' as applied to its own
certification procedures, the EPA is proposing a regulatory requirement
for a 30-day pre-filing meeting process. Under this proposal, a project
proponent would be required to request in writing a pre-filing meeting
with EPA as the certifying authority at least 30 days before submitting
a certification request. As proposed, the EPA would be required to
promptly accommodate the meeting request or respond in writing that
such a meeting is not necessary. This proposed pre-filing meeting
process would give the EPA the option to meet with project proponents
before a certification request is received to learn more about a
proposed federally licensed or permitted project. Alternatively, the
EPA would have the option to decline the meeting request. The EPA
expects to take advantage of this proposed pre-filing meeting process
for larger or more complex projects and may choose to decline the
request for more routine and less complex projects.
The EPA is proposing to require this pre-filing meeting process to
trigger early communication with the EPA about important aspects of
section 401 certification requests before the project proponent submits
its certification request. The period prior to submitting a
certification request provides an opportunity for the project proponent
to verify whether a section 401 certification is required and for the
EPA to identify potential information, in addition to the request
requirements proposed in this rule, that may be necessary to evaluate
the certification request. This will be particularly important if the
EPA anticipates requesting additional information from the project
proponent.
Pre-filing meetings could be particularly helpful for complex
projects. In all cases, the EPA recommends that preliminary discussions
between the project proponent and the EPA begin well before submittal
of a certification request. Early engagement and coordination,
including participation in a pre-filing meeting or other pre-filing
procedures, may also help increase the quality of application materials
and reduce the need for the EPA to request additional information
during the CWA section 401 review period. For further discussion, see
section III.E in this preamble.
Many states and tribes have indicated how valuable pre-filing
communication between the project proponent and the certifying
authority can be. The Association of Clean Water Administrators also
reports that many states either require or encourage pre-filing
meetings with project proponents and observes that many states work
with project proponents through early engagement to ensure project
proponents are aware of the state's information needs. During pre-
proposal outreach for this rulemaking, stakeholders identified and
recommended specific opportunities for early coordination among the
project proponent, certifying authority, and relevant federal agencies.
For instance, some stakeholders encouraged pre-filing meetings, and
others encouraged early information sharing between federal agencies
and certifying authorities.
The EPA's existing section 401 certification regulations do not
address pre-filing consultation with the EPA or any other certifying
authority. However, other federal agencies provide for pre-filing
discussions in their regulations. For example, FERC regulations provide
that ``[b]efore it files any application for an original, new, or
subsequent license under this part, a potential applicant must consult
with the relevant Federal, state, and interstate resource agencies. . .
.'' 18 CFR 5.1(d)(1). Additionally, the Corps regulations state ``[t]he
district engineer will establish local procedures and policies
including appropriate publicity programs which will allow potential
applicants to contact the district engineer or the regulatory staff
element to request pre-application consultation.'' 33 CFR 325.1(b).
The Agency encourages states and tribes to engage in early
communications with project proponents and federal agencies, including
participation in pre-filing meetings that federal agencies may require
for their licensing or permitting processes, as these meetings may
provide significant advance notice and additional information about
proposed federally licensed or permitted projects and upcoming or
future certification requests. However, this proposal would only
require a pre-filing meeting process when the EPA is the certifying
authority. The EPA received recommendations from many states and tribes
during the pre-proposal process that additional pre-filing procedures
would be valuable for them as well, and the EPA would like to be
responsive to
[[Page 44114]]
these comments. The EPA seeks comment on the proposed pre-filing
meeting process. The EPA is particularly interested in comments related
to existing state, tribal or federal agency pre-filing notice or
meeting requirements and whether such requirements have favorably
affected the review and disposition of certification requests,
particularly with respect to timely receipt of information relevant for
reaching informed section 401 certification decisions. The EPA also
solicits comment on whether states, tribes and project proponents would
like this pre-filing meeting process to be required for all
certification requests, including those where the EPA is not the
certifying authority, and what legal authority the EPA would have to
impose such requirements on states and tribes through this rulemaking.
The EPA also solicits comment on whether such pre-filing meeting
process, if adopted nationwide, should be mandatory or discretionary.
If such pre-filing meeting process were mandatory, the EPA also
solicits comment on the regulatory effect of a project proponent or
certifying authority failing to participate in this process.
3. Requests for Additional Information
The definition of a certification request in this proposal
identifies the information that project proponents would be required to
provide to certifying authorities when they submit a request for
certification. However, in some cases, the EPA and other certifying
authorities may conclude that additional information is necessary to
determine that the proposed activity will comply with water quality
requirements (as defined at Sec. 121.1(p) of this proposal). Section
401 does not expressly address the issue of whether and under what
conditions a certifying authority may request additional information to
review and act on a certification request. Given the importance of this
issue, it is reasonable and consistent with the CWA's statutory
framework that EPA when acting as a certifying authority be afforded
the opportunity to seek additional information necessary to do its job.
However, consistent with the statute's firm timeline, it is also
reasonable to assume that Congress intended there to be some
appropriate limits placed on the timing and nature of such requests.
This proposal fills the statutory gap and provides a structure for the
EPA as the certifying authority to request additional information and
for project proponents to timely respond. The structure in this
proposal includes procedural processes and timeframes for action and is
intended to provide transparency and regulatory certainty for the EPA
and project proponents.
Certifying authorities like the EPA need relevant information as
early as possible to review and act on section 401 certification
requests within the reasonable period of time. As discussed earlier,
the proposed pre-filing meeting process is intended to ensure that the
EPA has an opportunity to engage with the project proponent early,
learn about the proposed federally licensed or permitted project, and
consider what information might be needed from the project proponent to
act on a certification request. The EPA is also proposing that the
Agency would have 30 days after the receipt of a certification request
to seek additional information from the project proponent. Additional
information may include more detail about the contents of the potential
discharge from the proposed federally licensed or permitted project or
specific information about treatment or waste management plans or,
where the certification will also cover a federal operation permit,
additional details about discharges associated with the operation of
the facility.
The EPA is also proposing that the Agency would only request
additional information that can be collected or generated within the
established reasonable period of time. Under this proposal, in any
request for additional information, the EPA would include a deadline
for the project proponent to respond. The deadline must be required to
allow sufficient time for the Agency to review the additional
information and act on the certification request within the established
reasonable period of time. The EPA is proposing that project proponents
would be required to submit requested information by the EPA's
deadline. If the project proponent fails to submit the requested
information, the EPA may conclude that it does not have sufficient
information to certify that the discharge will comply with applicable
water quality requirements. The EPA may also use its expertise to
evaluate the potential risk associated with the remaining information
or data gap and consider issuing timely certification with conditions
to address those potential risks. The EPA expects these proposed
procedures to provide clarity and regulatory certainty to the EPA and
project proponents.
This proposal is intended to address concerns that the EPA heard
from stakeholders during the pre-proposal period concerning the desire
for pre-filing procedure and additional information requests. The EPA
recognizes the advantages of working cooperatively with project
proponents to secure the information needed to conduct an informed
review of a certification request. This proposal provides additional
procedures to assure the EPA will have an opportunity to request
additional information to make informed and timely decisions on
certification requests.
This proposal is also intended to address other issues that have
caused delays in certifications and project development and that have
resulted in protracted litigation. For example, the Agency is aware
that some certifying authorities have requested ``additional
information'' in the form of multi-year environmental investigations
and studies, including completion of a NEPA review, before the
authority would begin review of the certification
request.44 45 Consistent with the plain language of section
401, under this proposal such requests from the EPA would not be
authorized because they would extend the statutory reasonable period of
time, which is not to exceed one year. This proposal provides clarity
that, while additional information requests may be a necessary part of
the certification process, such requests may not result in extending
the period of time beyond which the CWA requires the EPA to act.
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\44\ See e.g., Exelon Generation Co. v. Grumbles, 2019 WL
1429530 (D.D.C. 2019) (describing how the State of Maryland's
request for a multi-year sediment study resulted in Exelon
withdrawing and resubmitting its certification request multiple
times to prevent waiver while the company completed the study).
\45\ Some stakeholders have suggested that it may be challenging
for a state to act on a certification request without the benefit of
review under NEPA or a similar state authority. See e.g., Cal. Pub.
Res. Code Section 21000 et seq.; Wash. Rev. Code Section 43.21C.150.
Consistent with the EPA's June 7, 2019 guidance, the EPA recommends
that certifying authorities not delay action on a certification
request until a NEPA review is complete. The environmental review
required by NEPA has a broader scope than that required by section
401. For example, the NEPA review evaluates potential impacts to all
environmental media, as well as potential impacts from alternative
proposals that may not be the subject of a federal license or permit
application. By comparison, a section 401 certification review is
far more narrow and is focused on assessing potential water quality
impacts from the proposed federally licensed or permitted project.
Additionally, the NEPA process has historically taken more than one
year to complete and waiting for a NEPA process to conclude may
result in waiver of the certification requirement for failure to act
within a reasonable period of time. To the extent that state or
tribal implementing regulations require a NEPA review to be
completed as part of a section 401 certification review, the EPA
encourages certifying authorities to update those regulations to
incorporate deadlines consistent with the reasonable period of time
established under the CWA, or decouple the NEPA review from the
section 401 process to ensure timely action on section 401
certification requests.
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[[Page 44115]]
The EPA is aware that some states have regulations addressing
timeframes within which states must request additional information
after the receipt of a request for certification. For instance, the
California Code of Regulations states that, ``Upon receipt of an
application, it shall be reviewed by the certifying agency to determine
if it is complete. If the application is incomplete, the applicant
shall be notified in writing no later than 30 days after receipt of the
application, of any additional information or action needed.'' Cal.
Code Regs. tit. 23, 3835(a). The EPA also notes that some state
regulations may require the completion of certain processes, studies or
other regulatory milestones before it will consider a certification
request. Although the CWA does provide flexibility for certifying
authorities to follow their own administrative processes, particularly
for public notice and comment, see 33 U.S.C. 1341(a), these processes
cannot be implemented in such a manner to violate the plain language of
the CWA. The Act requires the timeline for review to begin upon receipt
of a certification request and requires certifications to be processed
within a reasonable period of time, not to exceed one year.
A number of stakeholders submitted recommendations to the pre-
proposal docket that the EPA propose procedural requirements for
certifying authorities' requests for additional information. Some
stakeholders recommended certifying authorities be required to request
additional information within 90 days of receipt, and that project
proponents must be required to respond within 60 days. The EPA
appreciates these recommendations but notes that those timelines would
not be workable if the federal agency establishes the reasonable period
of time as, for example, 60 days from receipt.\46\ The EPA understands
that providing only 30 days from receipt for the EPA to request
additional information may seem short but the proposed pre-filing
meeting process is a way for the Agency to understand more about the
proposed federally licensed or permitted project before the
certification request is submitted. The EPA solicits comment on whether
30 days would be too long in cases with a 60-day reasonable period of
time for a certifying authority to act on a request. The EPA also
solicits comment on other appropriate timelines for requesting
additional information that would be consistent with the reasonable
period of time established by the federal agency.
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\46\ The Army Corps' existing federal regulations require
certifications to be completed within 60 days unless circumstances
require more or less time. 33 CFR 325.2(b)(1)(ii).
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The EPA solicits comment on whether nationally consistent
procedures for requesting and receiving additional information to
support a certification request would provide additional clarity and
regulatory certainty for certifying authorities and project proponents.
The EPA solicits comment on whether the procedures in this proposal
should be encouraged or required for all certifying authorities, not
just the EPA, and under what authority the Agency could require states
and tribes to comply with these procedures.
H. Determination of Effect on Neighboring Jurisdictions
Section 401(a)(2) provides a mechanism for the EPA to coordinate
input from states and authorized tribes where the EPA has determined
the discharge from a proposed federally licensed or permitted project
subject to section 401 may affect the quality of their waters. The
EPA's existing pre-1972 certification regulations establish procedural
requirements for this process but require updating to align with the
modern CWA section 401 and establish additional clarity. Additionally,
pre-proposal stakeholder input identified section 401(a)(2) as an area
of the regulations in need of procedural clarification.
This proposal affirms the EPA's interpretation that section
401(a)(2) establishes a discretionary authority for the Agency to
determine if a water quality certification and related federal license
or permit may impact the water quality in a neighboring jurisdiction.
Where the Agency in its discretion has determined that the certified
license or permit ``may affect'' the quality of water in any other
state or authorized tribal jurisdiction, the Act requires the EPA to
coordinate input from the affected jurisdictions and make
recommendations to the federal agency.
This proposal modifies the EPA's existing certification regulations
to mirror the CWA in describing EPA's procedural duties regarding
neighboring jurisdictions. The statute provides that, following notice
of a section 401 certification, the Administrator shall within 30 days
notify a potentially affected downstream state or authorized tribe
``[w]henever such a discharge may affect, as determined by the
Administrator, the quality of the waters of any other State.'' 33
U.S.C. 1341(a)(2) (emphasis added). Because the EPA's duty to notify is
only triggered when the EPA has made a determination that a discharge
``may affect'' a downstream state or tribe, the section 401(a)(2)
notification requirement is contingent. It is not a duty that applies
to EPA with respect to all certifications and licenses, rather it
applies where--at its discretion--EPA has determined that the discharge
in question ``may affect'' a neighboring jurisdiction's waters. This
proposal provides updated language to increase clarity regarding EPA's
discretionary determination.
The EPA also proposes to clarify the section 401(a)(2) notification
process in this proposal, as such procedures are not described in
sufficient detail in the existing regulations. If the EPA in its
discretion determines that a neighboring jurisdiction may be affected
by a discharge from a federally licensed or permitted project, the EPA
must notify the affected jurisdiction, certifying authority, and
federal agency within 30 days of receiving the notice of the
certification request from the federal agency. If the EPA in its
discretion does not determine that the discharge may affect neighboring
waters, the EPA would not provide section 401(a)(2) notice.
The EPA is proposing that its notification to neighboring
jurisdictions be in writing, dated, and state that the affected
jurisdiction has 60 days to notify the EPA and the federal agency, in
writing, whether or not the discharge will violate any of its water
quality requirements (as defined at Sec. 121.1(p) of this proposal)
and whether the jurisdiction will object to the issuance of the federal
license or permit and request a public hearing from the federal agency.
The EPA is also proposing that, if an affected jurisdiction requests a
hearing, the federal agency forward the hearing notice to the EPA at
least 30 days before the hearing takes place. The EPA would then
provide its recommendations on the federal license or permit at the
hearing. After considering the EPA and affected jurisdiction's input,
the federal agency would under this proposal be required to condition
the license or permit as necessary to assure that the discharge from
the certified project will comply with applicable water quality
requirements. Under this proposal, if additional conditions cannot
assure that the discharge from the certified project will comply with
water quality requirements, the federal agency would not issue the
license or permit. The proposed regulation further clarifies that the
federal agency may not issue the license or permit pending the
conclusion of the determination of effects on a neighboring
jurisdiction. The EPA solicits comments on this approach and whether
additional
[[Page 44116]]
process or clarification is needed to explain the EPA's role in
determining the effects on neighboring jurisdictions.
I. EPA's Role in Review and Advice
This proposal reaffirms the EPA's important role in providing
advice and assistance. Section 40 CFR 121.30 of the existing
regulations specifically highlight the EPA's role in assisting federal
agencies as they assess project compliance with conditions of a license
or permit. Although this proposal aims to provide greater clarity on
section 401 implementation, the Agency recognizes its role in providing
advice and assistance as needed. For example, the EPA proposes to
change the term ``water quality standards''--as currently appearing in
40 CFR 121.30--to ``water quality requirements'' in 121.15(a) to align
its regulations with the scope of review and the scope of conditions
specified in section III.D in this preamble. This change is not
intended to preclude federal agencies from seeking support in
interpreting applicable water quality standards or requirements and
evaluating the appropriate scope of review and conditions for
particular projects and certification.
The EPA also proposes to clarify that federal agencies, certifying
authorities, and project proponents may seek the EPA's technical
expertise at any point during the section 401 water quality
certification process. Additionally, the EPA proposes that a certifying
authority, federal agency, or project proponent may request assistance
from the Administrator to evaluate whether a certification condition is
intended to address potential water quality impacts caused by the
discharge from a proposed federally licensed or permitted project into
waters of the United States. See section III.D in this preamble for
further discussion on the appropriate scope of certification
conditions. The Agency solicits comment on whether this proposal is
tailored for the EPA to provide appropriate technical assistance to
certifying authorities, federal agencies and project proponents, or if
the EPA should offer or provide assistance in other specific or
additional circumstances.
J. Enforcement
The CWA expressly notes that all certification conditions ``shall
become a condition on any Federal license or permit'' subject to
section 401. 33 U.S.C. 1341(d); see also Am. Rivers, 129 F.3d at 111
(``The CWA . . . expressly requir[es] [federal agencies] to incorporate
into its licenses state-imposed-water-quality-conditions.''). However,
the EPA's existing certification regulations do not discuss the federal
agency's responsibility to enforce such conditions after they are
incorporated into the permit. Under this proposal and consistent with
the Act, a federal agency would be responsible for enforcing conditions
included in a certification that are incorporated into a federal
license or permit. The EPA requests comment on these provisions, and
whether additional enforcement procedures may be appropriate to further
define the federal agency's enforcement obligations. In limited
circumstances, the EPA's existing certification regulations require the
Agency to provide notice of a violation and allow six months for a
project proponent to return to compliance before pursuing further
enforcement. See 40 CFR 121.25. The Agency solicits comment on whether
specific procedures such as these would be reasonable to include in
section 401 regulations, or whether the general enforcement provisions
of the CWA provide sufficient notice and procedure.
The Agency notes that section 401 does not provide an independent
regulatory enforcement role for certifying authorities for conditions
included in federal licenses or permits. The role of the certifying
authority is to review the proposed project and either grant
certification, grant with conditions, deny, or waive certification.
Once the certifying authority acts on a certification request, section
401 does not provide an additional or ongoing role for certifying
authorities to enforce certification conditions under federal law;
rather, that role is reserved to the federal agency issuing the federal
license or permit. The Agency solicits comment on this interpretation
and whether clarification on this point may be appropriate to include
in the regulatory text.
Enforcement plays an essential role in maintaining robust
compliance with section 401 certification conditions and a critical
part of any strong enforcement program is the appropriate use of
enforcement discretion. Heckler v. Chaney, 470 U.S. 821, 831 (1985)
(``This Court has recognized on several occasions over many years that
an agency's decision not to prosecute or enforce, whether through civil
or criminal process, is a decision generally committed to an agency's
absolute discretion.''). Enforcement programs exercise discretion and
make careful and informed choices about where to conduct
investigations, identifying the most serious violations and reserving
limited enforcement resources for the cases that can make the most
difference. Sierra Club v. Whitman, 268 F.3d 898 (9th Cir. 2001). It is
important for enforcement programs to retain their enforcement
discretion because federal agencies are in the best position to (1)
determine whether the action is likely to succeed, (2) assess whether
the enforcement action requested fits the agency's policies, and (3)
determine whether they have enough resources to undertake the action.
See Heckler, 470 U.S. at 831. Further, federal agencies' decisions not
to enforce generally are not subject to judicial review, because they
involve balancing several factors. Id. These factors include ``whether
a violation has occurred, . . . whether agency resources are best spent
on this violation or another, whether the agency is likely to succeed
if it acts, whether the particular action requested best fits the
federal agency's overall policies, and, indeed, whether the agency has
enough resources to undertake the action at all.'' Id.
Section 401(a)(4) and the EPA's existing regulations at 40 CFR part
121.26 through 121.28 describe circumstances where the certifying
authority may inspect a facility that has received certification prior
to operation \47\ and notify the federal agency to determine if the
facility will comply with applicable water quality requirements. 33
U.S.C. 1341(a)(4). The Agency proposes to update these regulations to
reflect the scope of certification review under the modern CWA in the
proposed regulations at Sec. 121.9 (see section III.D in this
preamble). Additionally, consistent with section 401, the EPA proposes
to expand this inspection function to all certifying authorities and
clarify the process by which certifying authorities should notify the
federal agency and project proponent of any concerns.
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\47\ The Agency notes that operation may include implementation
of a certified project.
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Consistent with section 401, this proposal provides certifying
authorities the opportunity to inspect the project facility or activity
prior to operations, in order to determine if the discharge from the
certified project will comply with the certification. After an
inspection, the certifying authority would be required to notify the
project proponent and federal agency in writing if the discharge from
the certified project will violate the certification. The certifying
authority would also be required to specify recommendations of measures
that may be necessary to bring the certified project into compliance
with the certification. The Agency solicits comment on whether there
are
[[Page 44117]]
additional procedures or clarifications that would provide greater
regulatory certainty for certifying authorities, federal agencies, and
project proponents.
K. Modifications
Section 401 does not provide an express oversight role for the EPA
with respect to the issuance or modification of individual water
quality certifications by certifying authorities, other than the
requirement that the EPA provide technical assistance under section
401(b) and the limited role the EPA is expected to play for ensuring
the protection of other states' waters under section 401(a)(2).
However, the EPA's existing certification regulations provide the
Agency a unique oversight role in the context of a modification to an
existing water quality certification. 40 CFR 121.2(b). The EPA is
proposing to remove this provision from the regulatory text as it is
inconsistent with the Agency's role for new certifications. In the
alternative, the Agency requests comment on whether it should maintain
the existing oversight provision for certification modifications to
provide a regulatory backstop for ensuring consistency with the CWA,
given the relative infrequency of occurrence and the unique nature the
circumstances giving rise to a modification request.
The Agency also solicits comment on the appropriate scope of the
EPA's general oversight role under section 401, whether the EPA should
play any role in oversight of state or tribal certifications or
modifications, and, if so, what that role should be. The Agency also
requests comment on the legal authority for a more involved oversight
role in individual water quality certifications or modifications. In
addition, in light of the statute's one-year time limit for acting on a
section 401 certification, the EPA solicits comment on whether and to
what extent states or tribes should be able to modify a previously
issued certification, either before or after the time limit expires,
before or after the license or permit is issued, or to correct an
aspect of a certification or its conditions remanded or found unlawful
by a federal or state court or administrative body.
IV. Economic Analysis
Pursuant to Executive Orders 12866 and 13563, the Agency conducted
an economic analysis to better understand the potential effects of this
proposal on certifying authorities and project proponents. While the
economic analysis is informative in the rulemaking context, the EPA is
not relying on the analysis as a basis for this proposed rule. See,
e.g., Nat'l. Assn. of Homebuilders v. EPA, 682 F.3d 1032, 1039-40 (D.C.
Cir. 2012). The analysis is contained and described more fully in the
document Economic Analysis for the Proposed Clean Water Act Section 401
Rulemaking. A copy of this document is available in the docket for this
action.
Section 401 certification decisions have varying effects on
certifying authorities and project proponents. The Economic Analysis
provides a qualitative analysis of the current and proposed section 401
certification process to make the best use of limited information to
assess the potential impacts of this proposed rule on project
proponents and certifying authorities. Using the current practice as
the baseline, the document assesses the potential impacts to certifying
authorities and project proponents from the proposed revisions to the
section 401 certification process. In particular, the Economic Analysis
focuses on the proposed revisions to the time period for review, the
scope of review, and the proposed process requirements applicable when
the EPA is the certifying authority. The Economic Analysis explores
these changes in more detail through four case studies.
This proposal will help certifying authorities, federal agencies,
and project proponents understand what is required and expected during
the section 401 certification process, thereby reducing regulatory
uncertainty. The Economic Analysis concludes that improved clarity on
the scope and reasonable period of time for certification review may
make the certification process more efficient for project proponents
and certifying authorities.
The Agency solicits comments on all aspects of the analysis,
including assumptions made and information used, and requests any data
that may assist the Agency in evaluating and characterizing the
potential impacts of the proposed revisions to the section 401
certification process. The Agency also solicits comment on the utility
of using case studies to inform the Agency's analysis, the utility of
the specific case studies selected, and if there are other examples
that could also serve as informative case studies.
V. Statutory and Executive Order Reviews
Additional information about these statutes and Executive Orders
can be found at https://www.epa.gov/laws-regulations/laws-and-executive-orders.
A. Executive Order 13771: Reducing Regulation and Controlling
Regulatory Costs
Pursuant to Executive Order 13771 (82 FR 9339, February 3, 2017),
this proposed rule is expected to be a deregulatory action. Although
the proposed revisions in certain circumstances may limit the authority
of some states and tribes relative to current practice, the Agency
believes the net effect of the proposal on the certification process
will likely be deregulatory. See Economic Analysis for the Proposed
Clean Water Act Section 401 Rulemaking for further discussion about the
potential effects of this rule.
B. Executive Order 12866: Regulatory Planning and Review; Executive
Order 13563: Improving Regulation and Regulatory Review
This action is a significant regulatory action that was submitted
to the Office of Management and Budget (OMB) for review. Any changes
made in response to OMB recommendations have been documented in the
docket for this action. In addition, the Agency prepared an analysis of
potential costs and benefits associated with this action. This analysis
is contained in the document Economic Analysis for the Proposed Clean
Water Act Section 401 Rulemaking, which is available in the docket and
briefly summarized in section IV in this preamble. Because of the
limitations in data availability and uncertainty in the way in which
certifying authorities and project proponents may respond following a
change in the section 401 certification process, the potential effects
of the proposed rule are discussed qualitatively. While economic
analyses are informative in the rulemaking context, the agencies are
not relying on the economic analysis performed pursuant to Executive
Orders 12866 and 13563 and related procedural requirements as a basis
for this proposed action.
C. Paperwork Reduction Act
The information collection activities in this proposed rule have
been submitted for approval to the Office of Management and Budget
(OMB) under the PRA. The Information Collection Request (ICR) document
that the EPA prepared has been assigned EPA ICR number 2603.02 (OMB
Control No. XXXX).
The information collected under section 401 is used by the
certifying authorities for reviewing proposed projects for potential
water quality impacts from discharges from an
[[Page 44118]]
activity that requires a federal license or permit, and by the EPA to
evaluate potential effects on downstream or neighboring states and
tribes. Except for when the EPA evaluates potential downstream impacts
and acts as a certifying authority, information collected under section
401 is not directly collected by or managed by the EPA. The primary
collection of information is performed by other federal agencies and
states and tribes acting as certifying authorities. Information
collected directly by the EPA under section 401 in support of the
section 402 program is already captured under existing EPA ICR No.
0229.22 (OMB Control No. 2040).
The revisions in the proposed rule clarify the information project
proponents must provide to request a section 401 certification,
introduce a preliminary meeting requirement for project proponents
where the EPA acts as the certifying authority. The proposed revisions
also remove information requirements in the certification modification
and 401(a)(2) contexts and provide additional transparency by
identifying information necessary to support certification actions. The
EPA expects these proposed revisions to provide greater clarity on
section 401 requirements, reduce the overall preparation time spent by
a project proponent on certification requests, and reduce the review
time for certifying authorities. The EPA solicits comment on whether
there are ways it can increase clarity, reduce the burden, or improve
the quality or utility of the collection of information in general.
In the interest of transparency and public understanding, the EPA
has provided here relevant portions of the burden assessment associated
with the EPA's existing certification regulations. The EPA does not
expect any measurable change in information collection burden
associated with the proposed changes.
Respondents/affected entities: Project proponents, state and tribal
reviewers (certifying authorities).
Respondent's obligation to respond: Required to obtain 401
certification.
Estimated number of respondents: 41,000 per year.
Frequency of response: Per federal application.
Total estimated burden: 328,000 hours (per year). Burden is defined
at 5 CFR 1320.3(b).
Total estimated cost: $18,000,000 (per year).
An agency may not conduct or sponsor, and a person is not required
to respond to, a collection of information unless it displays a
currently valid OMB control number. The OMB control numbers for the
EPA's regulations in 40 CFR are listed in 40 CFR part 9.
Submit your comments on the Agency's need for this information, the
accuracy of the provided burden estimates and any suggested methods for
minimizing respondent burden to the EPA using the docket identified at
the beginning of this rule. You may also send your ICR-related comments
to OMB's Office of Information and Regulatory Affairs via email to
[email protected], Attention: Desk Officer for the EPA. Since
OMB is required to make a decision concerning the ICR between 30 and 60
days after receipt, OMB must receive comments no later than September
23, 2019. The EPA will respond to any ICR-related comments in the final
rule.''
D. Regulatory Flexibility Act
The Agency certifies that this action will not have a significant
economic impact on a substantial number of small entities under the
Regulatory Flexibility Act (RFA). In making this determination, the
impact of concern is any significant adverse economic impact on small
entities. An agency may certify that a rule will not have a significant
economic impact on a substantial number of small entities if the rule
relieves regulatory burden, has no net burden or otherwise has a
positive economic effect on the small entities subject to the rule.
Section 401 requires federal license or permit project applicants to
request certification from the certifying authority. This action will
provide project applicants with greater clarity and certainty on the
contents of and procedures for a request for certification.
The Regulatory Flexibility Act (RFA) of 1980, as amended by the
Small Business Regulatory Enforcement Fairness Act (SBREFA) of 1996,
requires Federal agencies to consider the impact of their regulatory
proposals on small entities, to analyze alternatives that minimize
those impacts, and to make their analyses available for public
comments. The RFA addresses three types of small entities: Small
businesses, small nonprofits, and small government jurisdictions.
These entities have the following definitions under the RFA: (1) A
small business that is a small industrial entity as defined in the U.S.
Small Business Administration's size standards (see 13 CFR 121.201);
(2) a small organization that is any not-for-profit enterprise that is
independently owned and operated and is not dominant in its fields; or
(3) a small governmental jurisdiction that is a government of a city,
county, town, school district, or special district with a population of
less than 50,000.
The RFA describes the regulatory flexibility analyses and
procedures that must be completed by federal agencies unless they
certify that this rule, if promulgated, would not have a significant
economic impact on a substantial number of small entities. This
certification must be supported by a statement of factual basis, such
as addressing the number of small entities affected by the proposed
action, expected cost impacts on these entities, and evaluation of the
economic impacts.
These revisions to section 401 do not establish any new
requirements directly applicable to regulated entities. This rule may
impact states and authorized tribes that implement section 401 in the
form of administrative burden and cost. States and tribes are not small
entities under the RFA. As such, this rule will not result in impacts
to small entities.
E. Unfunded Mandates Reform Act
This proposed rule does not contain an unfunded mandate of $100
million or more as described in the Unfunded Mandates Reform Act of
1995 (UMRA), 2 U.S.C. 1531-1538. The action imposes no enforceable duty
on any state, local or tribal governments or the private sector. The
proposed rule does not contain regulatory requirements that
significantly or uniquely affect small governments.
F. Executive Order 13132: Federalism
The Agency consulted with state and local government officials, or
their representative national organizations, during the development of
this action as required under the terms of Executive Order 13132 (64 FR
43255, August 10, 1999). On April 24, 2019, the Agency initiated a 30-
day Federalism consultation period prior to proposing this rule to
allow for meaningful input from state and local governments. The
kickoff Federalism consultation meeting occurred on April 23, 2019;
attendees included intergovernmental associations and other
associations representing state and local governments. Organizations in
attendance included: National Governors' Association, U.S. Conference
of Mayors, National Conference of State Legislatures, the Environmental
Council of States, National League of Cities, Council of State
Governments, National Association of Counties, National Association of
Towns and Townships, Association of Clean Water Administrators, Western
States Water Council, Conference of Western Attorneys' General,
Association of State Wetland Managers, and Western
[[Page 44119]]
Governors Association. Additionally, one in-person meeting was held
with the National Governors' Association on May 7, 2019. The Agency
also held an informational webinar for states and tribes on May 8,
2019. At the webinars and meetings, the EPA provided a presentation and
sought input on areas of section 401 that may require clarification,
including timeframe, scope of certification review, and coordination
among project proponents, certifying authorities, and federal licensing
or permitting agencies. See section II.C in this preamble for more
information on outreach with states prior to federalism consultation.
Letters and webinar attendee feedback received by the agency before and
during Federalism consultation may be found on the pre-proposal
recommendations docket (Docket ID No. EPA-HQ-OW-2018-0855). These
webinars, meetings, and letters provided a wide and diverse range of
interests, positions, and recommendations to the Agency. See section
II.C in this preamble for a summary of recommendations.
This action may change how states administer the section 401
program. Under the technical requirements of Executive Order 13132, the
Agency has determined that this proposed rule may not have federalism
implications, but believe that the requirements of the Executive Order
have been satisfied in any event.
G. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
The Agency consulted with tribal officials during the development
of this action to permit meaningful and timely tribal input, consistent
with the EPA Policy on Consultation and Coordination with Indian
Tribes. The EPA initiated a tribal consultation and coordination
process before proposing this rule by sending a ``Notification of
Consultation and Coordination'' letter dated April 22, 2019, to all 573
Federally recognized tribes. The letter invited tribal leaders and
designated consultation representatives to participate in the tribal
consultation and coordination process. The Agency held two identical
webinars on this action for tribal representatives on May 7 and May 15,
2019. The Agency also presented on this action at the Region 9 Regional
Tribal Operations Committee Spring meeting on May 22, 2019.
Additionally, tribes were invited to two webinars for states, Tribes,
and local governments on April 17, 2019 and May 8, 2019. Tribes and
tribal organizations sent 14 pre-proposal recommendation letters to the
agency as part of the consultation process. All tribal and tribal
organization letters and webinar feedback may be found on the pre-
proposal recommendations docket (Docket ID No. EPA-HQ-OW-2018-0855).
The Agency met with three Tribes at the staff-level. See the section
II.C on ``Pre-proposal engagement'' for a summary of recommendations.
This action may change how tribes with TAS for section 401
administer the section 401 program, but will not have an administrative
impact on tribes for whom EPA certifies on their behalf. The proposal
will not impose substantial direct compliance costs on federally
recognized tribal governments nor preempt tribal law.
H. Executive Order 13045: Protection of Children From Environmental
Health and Safety Risks
This action is not subject to Executive Order 13045 (62 FR 19885,
April 23, 1997) because the environmental health or safety risks
addressed by this action do not present a disproportionate risk to
children.
I. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
This action is not a ``significant energy action'' as defined in
Executive Order 13211 (66 FR 28355, May 22, 2001), because it is not
likely to have a significant adverse effect on the supply,
distribution, or use of energy.
J. National Technology Transfer and Advancement Act
This proposed rule does not involve technical standards.
K. Executive Order 12898: Federal Actions To Address Environmental
Justice in Minority Populations and Low-Income Populations
The human health or environmental risks addressed by this action
will not have potential disproportionately high and adverse human
health or environmental effects on minority populations, low income
populations, and/or indigenous populations, as specified in Executive
Order 12898 (59 FR 7629, February 11, 1994).
List of Subjects in 40 CFR Part 121
Environmental protection, Administrative practice and procedure,
Intergovernmental relations, Water pollution control.
Dated: August 8, 2019.
Andrew R. Wheeler,
Administrator.
0
For the reasons set forth in the preamble, the EPA proposes to revise
40 CFR part 121 as follows:
PART 121--STATE CERTIFICATION OF ACTIVITIES REQUIRING A FEDERAL
LICENSE OR PERMIT
Sec.
Subpart A--General
121.1 Definitions
Subpart B--Certification Procedures
121.2 When certification is required
121.3 Scope of certification
121.4 Establishing the reasonable period of time
121.5 Action on a certification request
121.6 Effect of denial of certification
121.7 Waiver
121.8 Incorporation of conditions into the license or permit
121.9 Enforcement and compliance of certification conditions
Subpart C--Determination of Effect on Other States
121.10 Determination of effects on neighboring jurisdictions
Subpart D--Certification by the Administrator
121.11 When the Administrator certifies
121.12 Pre-request procedures
121.13 Request for additional information
121.14 Notice and hearing
Subpart E--Consultations
121.15 Review and advice
Authority: 33 U.S.C. 1251 et. seq.
Subpart A--General
Sec. 121.1 Definitions.
(a) Administrator means the Administrator of the Environmental
Protection Agency or the appropriate Regional Administrator to whom the
Administrator has delegated Clean Water Act section 401 authority.
(b) Certification means a water quality certification issued in
accordance with Clean Water Act section 401 and this part.
(c) Certification request means a written, signed, and dated
communication from a project proponent to the appropriate certifying
authority that:
(1) Identifies the project proponent(s) and a point of contact;
(2) Identifies the proposed project;
(3) Identifies the applicable federal license or permit;
(4) Identifies the location and type of any discharge that may
result from the proposed project and the location of receiving waters;
[[Page 44120]]
(5) Includes a description of any methods and means proposed to
monitor the discharge and the equipment or measures planned to treat or
control the discharge;
(6) Includes a list of all other federal, interstate, tribal,
state, territorial, or local agency authorizations required for the
proposed project, including all approvals or denials already received;
and
(7) Contains the following statement: `The project proponent hereby
requests that the certifying authority review and take action on this
CWA 401 certification request within the applicable reasonable period
of time.'
(d) Certified project means a proposed project that has received a
Clean Water Act section 401 certification or for which the
certification requirement has been waived.
(e) Certifying authority means the agency designated by law to
certify compliance with applicable water quality requirements in
accordance with Clean Water Act section 401.
(f) Condition means a specific requirement included in a
certification that is within the scope of certification.
(g) Discharge for purposes of this part means a discharge from a
point source into navigable waters.
(h) Fail or refuse to act means the certifying authority actually
or constructively fails or refuses to grant or deny certification, or
waive the certification requirement, within the scope of certification
and within the reasonable period of time.
(i) Federal agency means any agency of the Federal Government to
which application is made for a license or permit that is subject to
Clean Water Act section 401.
(j) License or permit means any license or permit granted by an
agency of the Federal Government to conduct any activity which may
result in a discharge.
(k) Neighboring jurisdictions means any other state or authorized
tribe whose water quality the Administrator determines may be affected
by a discharge for which a certification is granted pursuant to Clean
Water Act section 401 and this part.
(l) Project proponent means the applicant for a license or permit.
(m) Proposed project means the activity or facility for which the
project proponent has applied for a license or permit.
(n) Reasonable period of time means the time period during which a
certifying authority may act on a certification request, established in
accordance with Sec. 121.4.
(o) Receipt means the date that a certification request is
documented as received by a certifying authority in accordance with
applicable submission procedures.
(p) Water quality requirements means applicable provisions of
Sec. Sec. 301, 302, 303, 306, and 307 of the Clean Water Act and EPA-
approved state or tribal Clean Water Act regulatory program provisions.
Subpart B--Certification Procedures
Sec. 121.2 When certification is required.
Any applicant for a license or permit to conduct any activity which
may result in a discharge shall provide the Federal agency a
certification from the certifying authority in accordance with this
part.
Sec. 121.3 Scope of certification.
The scope of a Clean Water Act section 401 certification is limited
to assuring that a discharge from a Federally licensed or permitted
activity will comply with water quality requirements.
Sec. 121.4 Establishing the reasonable period of time.
(a) The Federal agency shall establish the reasonable period of
time categorically or on a case by case basis, which shall not exceed
one year from receipt.
(b) Upon submittal of a certification request, the project
proponent shall contact the Federal agency in writing to provide notice
of the certification request.
(c) Within 15 days of receiving notice of the certification request
from the project proponent, the Federal agency shall provide, in
writing, the following information to the certifying authority:
(1) The applicable reasonable period of time to act on the
certification request;
(2) The date of receipt of the certification request; and
(3) The date upon which waiver will occur if the certifying
authority fails or refuses to act on the certification request.
(d) In establishing the reasonable period of time, Federal agencies
shall consider:
(1) The complexity of the proposed project;
(2) The potential for any discharge; and
(3) The potential need for additional study or evaluation of water
quality effects from the discharge.
(e) The Federal agency may modify an established reasonable period
of time, but in no case shall it exceed one year from receipt.
(1) Any request by a certifying authority or project proponent to
the Federal agency to extend the reasonable period of time shall be in
writing.
(2) If the Federal agency agrees to modify the reasonable period of
time, it shall notify the certifying authority and project proponent in
writing.
(f) The certifying authority is not authorized to request the
project proponent to withdraw a certification request or to take any
other action for the purpose of modifying or restarting the established
reasonable period of time.
Sec. 121.5 Action on a certification request.
(a) Any action to grant, grant with conditions, or deny a
certification request must be within the scope of certification and
completed within the established reasonable period of time.
Alternatively, a certifying authority may expressly waive the
certification requirement.
(b) If the certifying authority determines that the discharge from
a proposed project will comply with water quality requirements it may
issue a certification. If the certifying authority cannot certify that
the discharge from a proposed project will comply with water quality
requirements, it may deny or waive certification.
(c) Any grant of certification shall be in writing and shall
include a statement that the discharge from the proposed project will
comply with water quality requirements.
(d) Any grant of certification with conditions shall be in writing
and shall for each condition include, at a minimum:
(1) A statement explaining why the condition is necessary to assure
that the discharge from the proposed project will comply with water
quality requirements;
(2) A citation to federal, state, or tribal law that authorizes the
condition; and
(3) A statement of whether and to what extent a less stringent
condition could satisfy applicable water quality requirements.
(e) Any denial of certification shall be in writing and shall
include:
(1) The specific water quality requirements with which the proposed
project will not comply;
(2) A statement explaining why the proposed project will not comply
with the identified water quality requirements; and
(3) The specific water quality data or information, if any, that
would be needed to assure that the discharge from the proposed project
complies with water quality requirements.
(f) If the certifying authority determines that no water quality
[[Page 44121]]
requirements are applicable to the waters receiving the discharge from
the proposed project, the certifying authority shall grant or waive
certification.
Sec. 121.6 Effect of denial of certification.
(a) A certification denial shall not preclude a project proponent
from submitting a new certification request, in accordance with the
substantive and procedural requirements of this part.
(b) Where a Federal agency determines that a certifying authority's
denial satisfies the requirements of Clean Water Act section 401 and
Sec. Sec. 121.3 and 121.5(e), the Federal agency must provide written
notice of such determination to the certifying authority and project
proponent, and the license or permit shall not be granted.
(c) Where a Federal agency determines that a certifying authority's
denial did not satisfy the requirements of Clean Water Act section 401
and Sec. Sec. 121.3 and 121.5(e), the Federal agency must provide
written notice of such determination to the certifying authority and
indicate which provision(s) of Clean Water Act section 401 and this
part the certifying authority failed to satisfy.
(1) If the Federal agency receives the certifying authority's
certification decision prior to the end of the reasonable period of
time, the Federal agency may offer the certifying authority the
opportunity to remedy the identified deficiencies in the remaining
period of time.
(2) If the certifying authority does not provide a certification
decision that satisfies the requirements of Clean Water Act section 401
and this part by the end of the reasonable period of time, the Federal
agency shall treat the certification in a similar manner as waiver.
Sec. 121.7 Waiver.
(a) The certification requirement for a license or permit shall be
waived upon:
(1) Written notification from the certifying authority to the
project proponent and the Federal agency that it expressly waives its
authority to act on a certification request; or
(2) The certifying authority's failure or refusal to act on a
certification request.
(b) If the certifying authority fails or refuses to act, the
Federal agency shall provide written notice to the Administrator,
certifying agency, and project proponent that waiver has occurred. This
notice must be in writing and include the notice that the Federal
agency provided to the certifying authority pursuant to Sec. 121.4(c).
(c) A written notice of waiver from the Federal agency shall
satisfy the project proponent's requirement to obtain a certification.
(d) Upon issuance of a written notice of waiver, the Federal agency
may issue the license or permit.
Sec. 121.8 Incorporation of conditions into the license or permit.
(a) All conditions that satisfy the definition of Sec. 121.1(f)
and meet the requirements of Sec. 121.5(d) shall be incorporated into
the license or permit and shall be federally enforceable.
(1) If the Federal agency determines that a condition does not
satisfy the definition of Sec. 121.1(f) and meet the requirements of
Sec. 121.5(d), such condition shall not be incorporated into the
license or permit. The Federal agency must provide written notice of
such determination to the certifying authority and indicate which
conditions are deficient and why they do not satisfy provisions of this
part.
(2) If the Federal agency receives a certification with conditions
that do not satisfy the definition of Sec. 121.1(f) and the
requirements of Sec. 121.5(d) prior to the end of the reasonable
period of time, the Federal agency may notify the certifying authority
and provide an opportunity in the remaining period of time for the
certifying authority to remedy the deficient conditions. If the
certifying authority does not remedy the deficient conditions by the
end of the reasonable period of time, the Federal agency shall not
incorporate them in the license or permit.
(b) The license or permit must clearly identify any conditions that
are based on the certification.
Sec. 121.9 Enforcement and compliance of certification conditions.
(a) The certifying authority, prior to the initial operation of a
certified project, shall be afforded the opportunity to inspect the
proposed discharge location for the purpose of determining if the
discharge from the certified project will comply with the
certification.
(b) If the certifying authority, after an inspection, determines
that the discharge from the certified project will violate the
certification, the certifying authority shall notify the project
proponent and the Federal agency in writing, and recommend remedial
measures necessary to bring the certified project into compliance with
the certification.
(c) The Federal agency shall be responsible for enforcing
certification conditions that are incorporated into a federal license
or permit.
Subpart C--Determination of Effect on Other States
Sec. 121.10 Determination of effects on neighboring jurisdictions.
(a) Upon receipt of a federal license or permit application and the
related certification, the Federal agency shall notify the
Administrator.
(b) Within 30 days of receipt of the notice provided by the Federal
agency, the Administrator at his or her discretion may determine that
the discharge from the certified project may affect water quality in a
neighboring jurisdiction. In making this determination and in
accordance with applicable law, the Administrator may request copies of
the certification and the federal license or permit application.
(c) If the Administrator determines that the discharge from the
certified project may affect water quality in a neighboring
jurisdiction, the Administrator shall notify the affected neighboring
jurisdiction, the certifying authority, the Federal agency, and the
project proponent, and the federal license or permit may not be issued
pending the conclusion of the processes in this paragraph and paragraph
(d) of this section.
(1) Notification from the Administrator shall be in writing, dated,
identify the materials provided by the Federal agency, and inform the
affected neighboring jurisdiction that it has 60 days to notify the
Administrator and the Federal agency, in writing, whether it has
determined that the discharge will violate any of its water quality
requirements, object to the issuance of the federal license or permit,
and request a public hearing from the Federal agency.
(2) Notification of objection from the neighboring jurisdiction
shall be in writing, shall identify the receiving waters it determined
will be affected by the discharge and the specific water quality
requirements it determines will be violated by the certified project,
and state whether the neighboring jurisdiction requests a hearing.
(d) If the affected neighboring jurisdiction requests a hearing in
accordance with this paragraph, the Federal agency shall hold a public
hearing on the affected neighboring jurisdiction's objection to the
license or permit.
(1) The Federal agency shall provide the hearing notice to the
Administrator at least 30 days before the hearing takes place.
(2) At the hearing, the Administrator shall submit to the Federal
agency its
[[Page 44122]]
evaluation and recommendation(s) concerning the objection.
(3) The Federal agency shall consider recommendations from the
neighboring jurisdiction and the Administrator, and any additional
evidence presented to the Federal agency at the hearing and determine
if additional conditions are necessary to assure that the discharge
from the certified project will comply with water quality requirements.
(4) If additional conditions cannot assure that the discharge from
the certified project will comply with water quality requirements, the
Federal agency shall not issue the license or permit.
Subpart D--Certification by the Administrator
Sec. 121.11 When the Administrator certifies.
(a) Certification by the Administrator that the discharge from a
proposed project will comply with water quality requirements will be
required where no state, tribe, or interstate agency has authority to
give such a certification.
(b) In taking action pursuant to this paragraph, the Administrator
shall comply with the requirements of the Clean Water Act section 401
and this part.
(c) For purposes of this subpart, the certifying authority is the
Administrator.
Sec. 121.12 Pre-request procedures.
(a) At least 30 days prior to submitting a certification request,
the project proponent shall request a pre-filing meeting with the
certifying authority.
(b) The certifying authority shall timely grant the pre-filing
meeting request or provide written notice to the project proponent that
a pre-filing meeting is not necessary.
(c) At the pre-filing meeting, the project proponent and the
certifying authority shall discuss the nature of the proposed project
and potential water quality effects. The project proponent shall
provide a list of applicable state and federal licenses and permits and
describe the anticipated timeline for construction and operation.
(d) After the pre-filing meeting, the certifying authority shall
contact the Federal agency and identify points of contact at each
agency to facilitate information sharing throughout the certification
process.
Sec. 121.13 Request for additional information.
(a) The certifying authority shall have 30 days from receipt to
request additional information from the project proponent.
(b) The certifying authority shall only request additional
information that is within the scope of certification and directly
related to the discharge from the proposed project and its potential
effect on the receiving waters.
(c) The certifying authority shall only request information that
can be collected or generated within the established reasonable period
of time.
(d) In any request for additional information, a certifying
authority shall include a deadline for the project proponent to
respond.
(1) Project proponents shall comply with deadlines established by
the certifying authority.
(2) The deadline must allow sufficient time for the certifying
authority to review the additional information and act on the
certification request within the established reasonable period of time.
(e) Failure of a project proponent to timely provide the certifying
authority with additional information does not modify the established
reasonable period of time.
Sec. 121.14 Notice and hearing.
(a) Within 20 days of receipt of a certification request, the
Administrator shall provide appropriate public notice of receipt of
such request, including to parties known to be interested in the
proposed project or the receiving waters into which the discharge may
occur, such as tribal, state, county, and municipal authorities, heads
of state agencies responsible for water quality, adjacent property
owners, and conservation organizations.
(b) If the Administrator in his or her discretion determines that a
public hearing is appropriate or necessary, the agency shall schedule
such hearing at an appropriate time and place and, to the extent
practicable, give all interested and affected parties the opportunity
to present evidence or testimony in person or by other means at a
public hearing.
Subpart E--Consultations
Sec. 121.15 Review and advice.
(a) The Administrator may, and upon request shall, provide federal
agencies, certifying authorities, and project proponents with
assistance regarding determinations, definitions and interpretations
with respect to the meaning and content of water quality requirements,
as well as assistance with respect to the application of water quality
requirements in particular cases and in specific circumstances
concerning a discharge from a proposed project or a certified project.
(b) A certifying authority, Federal agency, or project proponent
may request assistance from the Administrator to evaluate whether a
condition is intended to address water quality effects from the
discharge.
[FR Doc. 2019-17555 Filed 8-21-19; 8:45 a.m.]
BILLING CODE 6560-50-P