Oil and Natural Gas Sector: Emission Standards for New, Reconstructed, and Modified Sources Review, 50244-50286 [2019-19876]
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Federal Register / Vol. 84, No. 185 / Tuesday, September 24, 2019 / Proposed Rules
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 60
[EPA–HQ–OAR–2017–0757; FRL–9999–50–
OAR]
RIN 2060–AT90
Oil and Natural Gas Sector: Emission
Standards for New, Reconstructed,
and Modified Sources Review
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
This action proposes
reconsideration amendments to the new
source performance standards (NSPS).
These amendments, if finalized, would
remove sources in the transmission and
storage segment from the source
category, rescind the NSPS (including
both the volatile organic compounds
(VOC) and methane requirements)
applicable to those sources, and rescind
the methane-specific requirements (the
‘‘methane requirements’’) of the NSPS
applicable to sources in the production
and processing segments. The U.S.
Environmental Protection Agency (EPA)
is also proposing, as an alternative, to
rescind the methane requirements of the
NSPS applicable to all oil and natural
gas sources, without removing any
sources from the source category.
Furthermore, the EPA is taking
comment on alternative interpretations
of its statutory authority to regulate
pollutants under the Clean Air Act
(CAA), and associated record and policy
questions.
DATES: Comments. Comments must be
received on or before November 25,
2019. Under the Paperwork Reduction
Act (PRA), comments on the
information collection provisions are
best assured of consideration if the
Office of Management and Budget
(OMB) receives a copy of your
comments on or before October 24,
2019.
SUMMARY:
You may send comments,
identified by Docket ID No. EPA–HQ–
OAR–2017–0757, at https://
www.regulations.gov/, by any of the
following methods:
• Federal eRulemaking Portal:
https://www.regulations.gov/ (our
preferred method). Follow the online
instructions for submitting comments.
• Email: a-and-r-docket@epa.gov.
Include Docket ID No. EPA–HQ–OAR–
2017–0757 in the subject line of the
message.
• Fax: (202) 566–9744. Attention
Docket ID No. EPA–HQ–OAR–2017–
0757.
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ADDRESSES:
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• Mail: U.S. Environmental
Protection Agency, EPA Docket Center,
Docket ID No. EPA–HQ–OAR–2017–
0757, Mail Code 28221T, 1200
Pennsylvania Avenue NW, Washington,
DC 20460.
• Hand/Courier Delivery: EPA Docket
Center, WJC West Building, Room 3334,
1301 Constitution Avenue NW,
Washington, DC 20004. The Docket
Center’s hours of operation are 8:30
a.m.–4:30 p.m., Monday–Friday (except
federal holidays).
Instructions: All submissions received
must include the Docket ID No. for this
rulemaking. Comments received may be
posted without change to https://
www.regulations.gov/, including any
personal information provided. For
detailed instructions on sending
comments and additional information
on the rulemaking process, see the
SUPPLEMENTAL INFORMATION section of
this document.
FOR FURTHER INFORMATION CONTACT: For
questions about this proposed action,
contact Ms. Amy Hambrick, Sector
Policies and Programs Division (E143–
05), Office of Air Quality Planning and
Standards, U.S. Environmental
Protection Agency, Research Triangle
Park, North Carolina 27711; telephone
number: (919) 541–0964; fax number:
(919) 541–0516; and email address:
hambrick.amy@epa.gov. For
information about the applicability of
the NSPS to a particular entity, contact
Ms. Marcia Mia, Office of Enforcement
and Compliance Assurance, U.S.
Environmental Protection Agency, WJC
South Building (Mail Code 2227A),
1200 Pennsylvania Avenue NW,
Washington, DC 20460; telephone
number: (202) 564–7042; and email
address: mia.marcia@epa.gov.
SUPPLEMENTARY INFORMATION:
Public hearing. The EPA will hold a
public hearing on the proposal. Details
will be announced in a separate Federal
Register document.
Docket. The EPA has established a
docket for this rulemaking under Docket
ID No. EPA–HQ–OAR–2017–0757. All
documents in the docket are listed in
Regulations.gov. Although listed, some
information is not publicly available,
e.g., Confidential Business Information
(CBI) or other information whose
disclosure is restricted by statute.
Certain other material, such as
copyrighted material, is not placed on
the internet and will be publicly
available only in hard copy. Publicly
available docket materials are available
either electronically in Regulations.gov
or in hard copy at the EPA Docket
Center, Room 3334, EPA WJC West
Building, 1301 Constitution Avenue
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NW, Washington, DC. The Public
Reading Room is open from 8:30 a.m. to
4:30 p.m., Monday through Friday,
excluding legal holidays. The telephone
number for the Public Reading Room is
(202) 566–1744, and the telephone
number for the EPA Docket Center is
(202) 566–1742.
Instructions. Direct your comments to
Docket ID No. EPA–HQ–OAR–2017–
0757. The EPA’s policy is that all
comments received will be included in
the public docket without change and
may be made available online at https://
www.regulations.gov/, including any
personal information provided, unless
the comment includes information
claimed to be CBI or other information
whose disclosure is restricted by statute.
Do not submit information that you
consider to be CBI or otherwise
protected through https://
www.regulations.gov/ or email. This
type of information should be submitted
by mail as discussed below.
The EPA may publish any comment
received to its public docket.
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.
The https://www.regulations.gov/
website allows you to submit your
comment anonymously, which means
the EPA will not know your identity or
contact information unless you provide
it in the body of your comment. If you
send an email comment directly to the
EPA without going through https://
www.regulations.gov/, your email
address will be automatically captured
and included as part of the comment
that is placed in the public docket and
made available on the internet. If you
submit an electronic comment, the EPA
recommends that you include your
name and other contact information in
the body of your comment and with any
digital storage media you submit. If the
EPA cannot read your comment due to
technical difficulties and cannot contact
you for clarification, the EPA may not
be able to consider your comment.
Electronic files should not include
special characters or any form of
encryption and be free of any defects or
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viruses. For additional information
about the EPA’s public docket, visit the
EPA Docket Center homepage at https://
www.epa.gov/dockets.
Submitting CBI. Do not submit
information containing CBI to the EPA
through https://www.regulations.gov/ or
email. Clearly mark the part or all of the
information that you claim to be CBI.
For CBI information on any digital
storage media that you mail to the EPA,
mark the outside of the digital storage
media as CBI and then identify
electronically within the digital storage
media the specific information that is
claimed as CBI. In addition to one
complete version of the comments that
includes information claimed as CBI,
you must submit a copy of the
comments that does not contain the
information claimed as CBI directly to
the public docket through the
procedures outlined in Instructions
above. If you submit any digital storage
media that does not contain CBI, mark
the outside of the digital storage media
clearly that it does not contain CBI.
Information not marked as CBI will be
included in the public docket and the
EPA’s electronic public docket without
prior notice. Information marked as CBI
will not be disclosed except in
accordance with procedures set forth in
40 CFR part 2. Send or deliver
information identified as CBI only to the
following address: OAQPS Document
Control Officer (C404–02), OAQPS, U.S.
Environmental Protection Agency,
Research Triangle Park, North Carolina
27711, Attention Docket ID No. EPA–
HQ–OAR–2017–0757.
Preamble acronyms and
abbreviations. We use multiple
acronyms and terms in this preamble.
While this list may not be exhaustive, to
ease the reading of this preamble and for
reference purposes, the EPA defines the
following terms and acronyms here:
AEO Annual Energy Outlook
BLM Bureau of Land Management
BSER best system of emission reduction
CAA Clean Air Act
CAIT Climate Analysis Indicators Tool
CBI Confidential Business Information
CCAC Climate and Clean Air Coalition
CFR Code of Federal Regulations
CH4 methane
CO carbon monoxide
CO2 carbon dioxide
CO2 Eq. carbon dioxide equivalent
CVS closed vent system
EAV equivalent annualized value
EGU Electricity Generating Units
EIA Energy Information Administration
EPA Environmental Protection Agency
ESRL Earth System Research Laboratory
GAO Government Accountability Office
GHG greenhouse gases
GHGI greenhouse gas inventory
GHGRP Greenhouse Gas Reporting Program
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HAP hazardous air pollutant(s)
H2S hydrogen sulfide
ICR Information Collection Request
IR infrared
kt kilotons
MMT Million Metric Tons
NAAQS National Ambient Air Quality
Standards
NAICS North American Industry
Classification System
NEI National Emissions Inventory
NEMS National Energy Modeling System
NGL natural gas liquids
NOAA National Oceanic and Atmospheric
Administration
NODA Notice of Data Availability
NOX nitrogen oxides
NSPS new source performance standards
NTTAA National Technology Transfer and
Advancement Act
OGI optical gas imaging
OMB Office of Management and Budget
PE professional engineer
PHMSA Pipeline and Hazardous Materials
Safety Administration
PM particulate matter
PM2.5 PM with a diameter of 2.5
micrometers or less
PM10 PM with a diameter of 10 micrometers
or less
PRA Paperwork Reduction Act
PV present value
REC reduced emissions completion
RFA Regulatory Flexibility Act
RIA Regulatory Impact Analysis
SC–CH4 social cost of methane
SCF significant contribution finding
SIP state implementation plan
SO2 sulfur dioxide
tpy tons per year
TSD technical support document
UMRA Unfunded Mandates Reform Act
UNFCCC United Nations Framework
Convention on Climate Change
U.S. United States
VOC volatile organic compounds
WRI World Resources Institute
Organization of this document. The
information presented in this preamble
is organized as follows:
I. Executive Summary
A. Purpose and Summary of the Regulatory
Action
B. Costs and Benefits
II. General Information
A. Does this action apply to me?
B. What should I consider as I prepare my
comments to the EPA?
C. How do I obtain a copy of this document
and other related information?
III. Background
A. Oil and Natural Gas Industry and Its
Emissions
B. Statutory Background
C. What is the regulatory history and
litigation background regarding
performance standards for the oil and
natural gas industry?
D. Other Notable Events
E. Related State and Federal Regulatory
Actions
IV. Summary and Rationale of Proposed
Actions
A. Revision of the Source Category To
Remove Transmission and Storage
Segment
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B. Rescission of the NSPS for Sources in
Transmission and Storage Segment
C. Status of Sources in Transmission and
Storage Segment
D. Rescission of the Applicability to
Methane of the NSPS for Production and
Processing Segments
V. Rationale for Alternative Proposal To
Rescind the Methane Standards for All
Sources in the Oil and Gas Source
Category Without Revising the Source
Category
A. Alternative Proposed Action To Rescind
the Methane Standards
B. Rationale for Rescinding the Methane
Standards
VI. Solicitation of Comment on Significant
Contribution Finding for Methane
A. Requirement for Pollutant-Specific
Significant Contribution Finding
B. Significant Contribution Finding in 2016
NSPS OOOOa Rule
C. Criteria for Making a Significant
Contribution Finding Under CAA
Section 111
VII. Implications for Regulation of Existing
Sources
A. Existing Source Regulation Under CAA
Section 111(d)
B. Limited Impact of Lack of Regulation of
Existing Oil and Gas Sources Under CAA
Section 111(d)
VIII. Impacts of This Proposed Rule
A. What are the air impacts?
B. What are the energy impacts?
C. What are the compliance costs?
D. What are the economic and employment
impacts?
E. What are the benefits of the proposed
standards?
IX. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
B. Executive Order 13771: Reducing
Regulations and Controlling Regulatory
Costs
C. Paperwork Reduction Act (PRA)
D. Regulatory Flexibility Act (RFA)
E. Unfunded Mandates Reform Act
(UMRA)
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
Risks 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 (NTTAA)
K. Executive Order 12898: Federal Actions
to Address Environmental Justice in
Minority Populations and Low-Income
Populations
I. Executive Summary
A. Purpose and Summary of the
Regulatory Action
Since the inception of the CAA, with
its aim to promote the ‘‘public health
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and welfare and the productive
capacity’’ of the nation’s population, the
EPA has focused on air emissions from
the oil and natural gas industry.1 2 For
nearly 40 years, the EPA has issued
regulations under CAA section 111 to
limit emissions from the oil and natural
gas industry, while accounting for costs
and other factors as instructed by
Congress in the statute.3 In this action,
the EPA is recognizing its
responsibilities under that section,
performed in accordance with the
statute and with national policy
objectives. As such, the EPA here is
proposing to amend its 2012 and 2016
rules affecting the industry, titled,
respectively, ‘‘Oil and Natural Gas
Sector: New Source Performance
Standards and National Emission
Standards for Hazardous Air Pollutants
Reviews; Final Rule’’ (‘‘2012 NSPS
OOOO’’) 4 and ‘‘Oil and Natural Gas
Sector: Emission Standards for New,
Reconstructed, and Modified Sources;
Final Rule’’ (‘‘2016 NSPS OOOOa’’).5
Those rules established NSPS for VOC
emissions from the oil and natural gas
industry, and the 2016 rule also
established NSPS for greenhouse gases
(GHGs), in the form of limitations on
methane, for that industry.6 The
amendments that the EPA is proposing
are intended to continue existing
protections from emission sources
within the regulated source category,
while removing regulatory duplication.
As directed by the President in March
2017, the EPA has reviewed the 2012
NSPS OOOO and 2016 NSPS OOOOa
with attention to whether the rules
‘‘unduly burden the development of
domestic energy resources beyond the
degree necessary to protect the public
interest,’’ and if so, appropriately
‘‘suspend, revise, or rescind’’ regulatory
requirements.7 8 From this review, the
EPA is now proposing to determine that
some of the requirements under those
rules are inappropriate because they
affect sources that are not appropriately
identified as part of the regulated source
1 42
U.S.C. 7401(b)(1).
FR 49222 (August 21, 1979) (listing ‘‘Crude
Oil and Natural Gas Production’’ under CAA
section 111 as a source category subject to standards
of performance).
3 50 FR 26122 (June 24, 1985) (promulgating
NSPS that address certain VOC emissions); 50 FR
40158 (October 1, 1985) (promulgating NSPS that
address certain sulfur dioxide (SO2) emissions).
4 77 FR 49490 (August 16, 2012).
5 81 FR 35824 (June 3, 2016).
6 Docket ID No. EPA–HQ–OAR–2010–0505.
7 Executive Order 13783, ‘‘Promoting Energy
Independence and Economic Growth,’’ section 1(c)
(March 28, 2017).
8 82 FR 16331 (April 4, 2017) (notice of review
of 2016 NSPS OOOOa pursuant to Executive Order
13783, signed by the EPA Administrator).
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category, and some of the requirements
under the 2016 NSPS OOOOa are
unnecessary insofar as they impose
redundant requirements. Accordingly,
the EPA is acting to rescind those
requirements while maintaining health
and environmental protections from
appropriately identified emission
sources within the regulated source
category.9
Specifically, the EPA is co-proposing
two potential actions: a primary
proposal and an alternative proposal.
The primary proposal contains two
steps. In the first step, the EPA is
proposing to revisit its 2012 and 2016
interpretations of, and its 2016 revision
to, the regulated source category to
cover sources in the transmission and
storage segment, and to rescind the
NSPS requirements applicable to those
sources. Having reexamined the
transmission and storage segment, the
EPA has determined that the purported
revision in 2016 of the pre-existing
source category (which the EPA now
proposes to conclude was originally
intended to include only the production
and processing segments) was not
appropriate. Because the transmission
and storage segment constitutes a
separate source category from the
production and processing segments,
the EPA could have listed it for
regulation under CAA section 111(b)
only by making a significant
contribution and endangerment finding
as required by the statue, which the EPA
never did. Accordingly, under the first
step of the primary proposal, the EPA
proposes to rescind the standards
applicable to sources in the
transmission and storage segment of the
oil and gas industry.
As the second step, the EPA is
proposing to rescind the methane
requirements of the NSPS applicable to
sources in the production and
processing segments. The EPA proposed
to conclude that those methane
requirements are entirely redundant
with the existing NSPS for VOC and,
thus, establish no additional health
protections. Indeed, due to the identical
emission source control technologies for
methane and VOC, the EPA, when
establishing the 2016 NSPS OOOOa,
found no need for any changes to the
existing NSPS requirements for VOC
when that rule explicitly examined
regulation of methane emissions.
9 We note that the EPA is addressing certain
specific reconsideration issues—fugitive emissions
requirements at well sites and compressor stations,
well site pneumatic pump standards, and the
requirements for certification of closed vent systems
(CVS) by a professional engineer (PE)—in a separate
proposal. See Docket ID Item No. EPA–HQ–OAR–
2010–0505–7730 and 82 FR 25730.
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Rescinding the applicability to methane
emissions of the 2016 NSPS OOOOa
requirements, while leaving the
applicability to VOC emissions in place,
will not affect the amount of methane
emission reductions that those
requirements will achieve.
Under the alternative proposal, the
EPA is proposing to rescind the
methane requirements of the NSPS
applicable to all oil and natural gas
sources in the source category as it is
currently constituted, without undoing
the 2012 and 2016 interpretations or
expansion of the source category to
include sources in the transmission and
storage segment. The rationale for
rescinding the methane requirements
under this alternative proposal is the
same as noted immediately above, that
is, that they are entirely redundant with
the existing NSPS for VOC.
Both the primary and alternative
proposal rely on the EPA’s previous
interpretation of the requirement in
CAA section 111(b)(1)(A) under which
the EPA needs to make a finding that a
source category ‘‘causes, or contributes
significantly to, air pollution which may
reasonably be anticipated to endanger
public health or welfare’’ when it lists
the source category, but that thereafter,
when it regulates pollutants emitted
from the source category, it needs only
a rational basis to do so. The EPA
proposes to retain that interpretation of
this statutory provision. However, in
section VI.A of this preamble, the EPA
takes comment on an alternative
interpretation, under which the Agency
is required to make the significantcontribution finding each time that it
regulates a pollutant from the source
category. In section VI.B of this
preamble, the EPA takes comment on
whether, under this alternative
interpretation, it made a valid finding in
the 2016 NSPS OOOOa that methane
emissions from the Crude Oil and
Natural Gas Production source category
met this statutory standard. In section
VI.C of this preamble, the EPA takes
comment on its proposed identification
of certain factors which would inform
its judgment, should it make a new
determination whether methane
emissions from the source category meet
this statutory standard.
The EPA solicits public comment on
all aspects of this proposal.
B. Costs and Benefits
The EPA has projected the cost
savings, emissions increases, and
forgone benefits that may result from
rescinding requirements from sources in
the transmission and storage segment
(i.e., the primary proposal). The
projected cost savings and forgone
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benefits are presented in the regulatory
impact analysis (RIA) supporting this
proposal. The primary proposal action
also rescinds methane requirements
from sources in the production and
processing segments and leaves the VOC
regulations in place. As the methane
control options are redundant with VOC
control options, there are no expected
cost or emissions effects from removing
the methane requirements in the
production and processing segments
with respect to these sources. Similarly,
there are no expected cost or emissions
impacts under the alternative proposed
option of rescinding the methane
requirements for all affected sources for
the same reason: Methane control
options on all sources are redundant
with VOC control options. The RIA
estimates impacts for the analysis years
2019 through 2025. All monetized
impacts of these amendments are
presented in 2016 dollars. All sources in
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the transmission and storage segment
that are affected by the 2016 NSPS
OOOOa, starting at the promulgation of
the 2016 NSPS OOOOa, are sources that
are affected by this action.
II. General Information
A. Does this action apply to me?
Categories and entities potentially
affected by this action include:
TABLE 1—INDUSTRIAL SOURCE CATEGORIES AFFECTED BY THIS ACTION
Category
NAICS code 1
Industry ...........................................................................................................
211120
211130
221210
486110
486210
........................
........................
Federal government ........................................................................................
State/local/tribal government ..........................................................................
1
Crude Petroleum Extraction.
Natural Gas Extraction.
Natural Gas Distribution.
Pipeline Distribution of Crude Oil.
Pipeline Transportation of Natural Gas.
Not affected.
Not affected.
North American Industry Classification System (NAICS).
This table is not intended to be
exhaustive, but rather provides a guide
for readers regarding entities likely to be
regulated by this action. This table lists
the types of entities that the EPA is now
aware could potentially be affected by
this action. Other types of entities not
listed in the table could also be affected
by this action. To determine whether
your entity is affected by this action,
you should carefully examine the
applicability criteria found in the final
rule. If you have questions regarding the
applicability of this action to a
particular entity, consult the person
listed in the FOR FURTHER INFORMATION
CONTACT section, your air permitting
authority, or your EPA Regional
representative listed in 40 CFR 60.4
(General Provisions).
B. What should I consider as I prepare
my comments to the EPA?
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Examples of regulated entities
This action proposes to revise certain
aspects of the 2012 NSPS OOOO and
2016 NSPS OOOOa rule. In this
proposed action, we seek comment on
only the specific proposals or comment
solicitations in this proposed action. We
do not seek comment on and we are not
opening for reconsideration and review
any other aspects of the NSPS in 40 CFR
part 60, subparts OOOO and OOOOa
and related rulemakings at this time.
C. How do I obtain a copy of this
document and other related
information?
In addition to being available in the
docket, an electronic copy of the
proposed action is available on the
internet. Following signature by the
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Administrator, the EPA will post a copy
of this proposed action at https://
www.epa.gov/controlling-air-pollutionoil-and-natural-gas-industry. Following
publication in the Federal Register, the
EPA will post the Federal Register
version of the proposal and key
technical documents at this same
website. A redline version of the
regulatory language that incorporates
the proposed changes in this action is
available in the docket for this action
(Docket ID No. EPA–HQ–OAR–2017–
0757).
III. Background
A. Oil and Natural Gas Industry and Its
Emissions
This section generally describes the
structure of the oil and natural gas
industry, the production, processing, as
well as transmission and storage
segments, and types of sources in each
segment and the industry’s emissions.
This information is part of the basis of
the regulatory approach that the EPA
proposes here, which more accurately
reflects the industry’s differing segments
and eliminates redundant and
unnecessary regulatory burden, while
maintaining protection for human
health and the environment.
1. Oil and Natural Gas Industry—
Structure
For purposes of developing 40 CFR
part 60, subparts OOOO and OOOOa,
the EPA characterized the oil and
natural gas industry operations as being
generally composed of four so-called
segments: (1) Extraction and production
of crude oil and natural gas (‘‘oil and
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natural gas production’’), (2) natural gas
processing, (3) natural gas transmission
and storage, and (4) natural gas
distribution.10 11 It should be noted that
the EPA regulates oil refineries as a
separate source category; accordingly,
for purposes of this proposed
rulemaking, for crude oil, the EPA’s
focus is on operations from the well to
the point of custody transfer at a
petroleum refinery, while for natural
gas, the focus is on all operations from
the well to the customer.
The oil and natural gas production
segment include the wells and all
related processes used in the extraction,
production, recovery, lifting,
stabilization, and separation or
treatment of oil and/or natural gas
(including condensate). There are two
basic types of wells, both of which are
located on well ‘‘pads’’: Oil wells and
natural gas wells. Oil wells comprise
two types, oil wells that produce crude
oil only and oil wells that produce both
crude oil and natural gas (commonly
referred to as ‘‘associated’’ gas).
Production components located on the
well pad may include, but are not
limited to, wells and related casing
heads; tubing heads; and ‘‘Christmas
tree’’ piping, pumps, compressors,
10 The EPA previously described an overview of
the sector in section 2.0 of the 2011 Background
Technical Support Document to 40 CFR part 60,
subpart OOOO, located at Docket ID Item No. EPA–
HQ–OAR–2010–0505–0045, and section 2.0 of the
2016 Background Technical Support Document to
40 CFR part 60, subpart OOOOa, located at Docket
ID Item No. EPA–HQ–OAR–2010–0505–7631.
11 While generally oil and natural gas production
includes both onshore and offshore operations, 40
CFR part 60, subpart OOOOa addresses onshore
operations.
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heater treaters, separators, storage
vessels, pneumatic devices, and
dehydrators. Production operations
include well drilling, completion, and
recompletion processes, including all
the portable non-self-propelled
apparatuses associated with those
operations.12
Other sites that are part of the
production segment include
‘‘centralized tank batteries,’’ stand-alone
sites where oil, condensate, produced
water, and natural gas from several
wells may be separated, stored, or
treated. The production segment also
includes the low pressure, small
diameter, gathering pipelines and
related components that collect and
transport the oil, natural gas, and other
materials and wastes from the wells to
the refineries or natural gas processing
plants.
Of these products, crude oil and
natural gas undergo successive, separate
processing. Crude oil is separated from
water and other impurities and
transported to a refinery via truck,
railcar, or pipeline. As noted above, the
EPA treats oil refineries as a separate
source category, accordingly, for present
purposes, the oil component of the
production segment ends at the point of
custody transfer at the refinery.13
The separated, unprocessed natural
gas is commonly referred to as field gas
and is composed of methane, natural gas
liquids (NGL), and other impurities,
such as water vapor, hydrogen sulfide
(H2S), carbon dioxide (CO2), helium,
and nitrogen. Ethane, propane, butane,
isobutane, and pentane are all
considered NGL and often are sold
separately for a variety of different uses.
Natural gas with high methane content
is referred to as ‘‘dry gas,’’ while natural
gas with significant amounts of ethane,
propane, or butane is referred to as ‘‘wet
gas.’’ Natural gas typically is sent to gas
processing plants to separate NGLs for
use as feedstock for petrochemical
plants, burned for space heating and
cooking, or blended into vehicle fuel.
The composition of field gas varies
across basins in the U.S.14 For example,
the Appalachian region is
12 The 2016 NSPS OOOOa rule defines reduced
emissions completion (REC) to be a well completion
following fracturing or refracturing where gas
flowback that is otherwise vented is captured,
cleaned, and routed to the gas flow line or
collection system, re-injected into the well or
another well, used as an on-site fuel source, or used
for other useful purpose that a purchased fuel or
raw material would serve, with no direct release to
the atmosphere.
13 See 40 CFR part 60, subparts J and Ja and 40
CFR part 63, subparts CC and UUU.
14 Memorandum to U.S. EPA from Eastern
Research Group. ‘‘Natural Gas Composition.’’
November 13, 2018. Docket ID No. EPA–HQ–OAR–
2017–0757.
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predominately dry gas and northern
mid-continent (North Dakota) region is
primarily wet gas.
The natural gas processing segment
consists of separating certain
hydrocarbons (HC) and fluids from the
natural gas to produce ‘‘pipeline
quality’’ dry natural gas. The degree and
location of processing is dependent on
factors such as the type of natural gas
(e.g., wet or dry gas), market conditions,
and company contract specifications.
Typically, processing of natural gas
begins in the field and continues as the
gas is moved from the field through
gathering and boosting stations to
natural gas processing plants, where the
complete processing of natural gas takes
place. Natural gas processing operations
separate and recover NGL or other nonmethane gases and liquids from field gas
through one or more of the following
processes: Oil and condensate
separation, water removal, separation of
NGL, sulfur and CO2 removal,
fractionation of NGL, and other
processes, such as the capture of CO2
separated from natural gas streams for
delivery outside the facility. In some
‘‘dry gas’’ areas, the field gas, with
naturally higher methane content, may
go from the well site directly into the
transmission and storage segment
without processing in a gas processing
plant. However, there is still the need to
remove liquids that naturally condense
as the gas moves through the pipeline.
Also, depending on the economics of
NGLs as a product, there may be some
amount of separation or extraction that
occurs in transmission and storage using
a ‘‘dew point skid’’ or what is
commonly referred to as a ‘‘straddle
plant’’ to meet specifications for the
receiving pipeline. The EPA solicits
comment on how commonly this type of
processing occurs in the transmission
and storage segment and whether we
should—and how we might—
differentiate a facility in which this type
of processing occurs from a ‘‘natural gas
processing plant,’’ as that term is
currently defined in NSPS OOOOa. For
example, the rule defines a ‘‘natural gas
processing plant’’ to include a facility
that extracts NGLs from field gas, where
field gas is feedstock gas entering the
natural gas processing plant. 40 CFR
60.5430a. If the field gas moves directly
from the production segment into
transmission and storage facilities,
without passing through a natural gas
processing plant, it would continue to
be considered ‘‘field gas,’’ and if
extraction of NGLs from such gas
subsequently occurs in a transmission
or storage facility, that facility would be
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considered a ‘‘natural gas processing
plant.’’
Once natural gas processing is
complete, which the EPA understands
generally to occur at natural gas
processing plants, the resulting product
is the pipeline quality natural gas that
is ready for end use. The pipeline
quality natural gas, which is comprised
of 95 to 98 percent methane,15 does not
undergo any more phase changes after
processing is complete; instead, this
final product leaves processing
operations and is transmitted to storage
and/or distribution to the end user.
Pipelines in the natural gas
transmission and storage segment can be
interstate pipelines, which carry natural
gas across state boundaries or intrastate
pipelines, which transport the gas
within a single state. Basic components
of the two types of pipelines are the
same, though interstate pipelines may
be of a larger diameter and operated at
a higher pressure. To ensure that the
natural gas continues to flow through
the pipeline, the natural gas must
periodically be compressed, by
increasing its pressure. Compressor
stations perform this function and are
usually placed at 40- to 100-mile
intervals along the pipeline. At a
compressor station, the natural gas
enters the station, where it is
compressed by reciprocating or
centrifugal compressors.
Another part of the transmission and
storage segment are aboveground and
underground natural gas storage
facilities. Storage facilities hold natural
gas for use during peak seasons. The
main difference between underground
and aboveground storage sites is that
storage takes place in storage vessels
constructed of non-earthen materials in
aboveground storage. Underground
storage of natural gas typically occurs in
depleted natural gas or oil reservoirs
and salt dome caverns. One purpose of
this storage is for load balancing
(equalizing the receipt and delivery of
natural gas). At an underground storage
site, typically other processes occur,
including compression, dehydration,
and flow measurement.
The distribution segment is the final
step in delivering natural gas to
customers.16 The natural gas enters the
distribution segment from delivery
points located on interstate and
intrastate transmission pipelines to
business and household customers. The
delivery point where the natural gas
leaves the transmission and storage
15 https://www.epa.gov/natural-gas-star-program/
overview-oil-and-natural-gas-industry.
16 The distribution segment is not regulated under
40 CFR part 60, subpart OOOOa.
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segment and enters the distribution
segment is a local distribution
company’s custody transfer station,
commonly referred to as the ‘‘citygate.’’
Natural gas distribution systems consist
of thousands of miles of piping,
including mains and service pipelines
to the customers. If the distribution
network is large, compressor stations
may be necessary to maintain flow;
however, these stations are typically
smaller than transmission compressor
stations. Distribution systems include
metering stations, which allow
distribution companies to monitor the
natural gas as it flows through the
system.
2. Oil & Natural Gas Industry—
Emissions
The oil and natural gas industry emit,
in varying concentrations and amounts,
a wide range of pollutants, including
VOC, SO2, nitrogen oxides (NOX), H2S,
carbon disulfide, and carbonyl sulfide.
The oil and natural gas industry also
emit GHG, such as methane and CO2.
Emissions can occur in all segments of
the natural gas industry. As natural gas
moves through the system, emissions
primarily result from intentional
venting through normal operations,
routine maintenance, unintentional
fugitive emissions, and system upsets.
Venting can occur through equipment
design or operational practices, such as
the continuous bleed of gas from
pneumatic controllers (that control gas
flows, levels, temperatures, and
pressures in the equipment) or venting
from well completions during
production. In addition to vented
emissions, emissions can occur from
leaking equipment (also referred to as
fugitive emissions) in all parts of the
infrastructure, including major
production and processing equipment
(e.g., separators or storage vessels) and
individual components (e.g., valves or
connectors). Emissions from the crude
oil portion of the industry result
primarily from field production
operations, such as venting of associated
gas from oil wells, oil storage vessels,
and production-related equipment such
as gas dehydrators, pig traps, and
pneumatic devices.
Emissions of both methane and VOC
occur through the same emission points
and processes. The technologies
available to capture and/or control both
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pollutants from these emission sources
are the same, and in their function,
those technologies do not select
between VOC and methane emissions.
The industry has profit incentives to
capture and sell emissions of natural gas
(and methane), and multiple states have
programs in place to control assorted
emissions from the industry.
The next section provides estimated
emissions of methane, VOC, and SO2
from oil and natural gas industry
operation sources.
a. Methane emissions in the U.S. and
from the oil and natural gas industry.
Official U.S. estimates of national level
GHG emissions and sinks are developed
by the EPA for the U.S. GHG Inventory
(GHGI) to comply with commitments
under the United Nations Framework
Convention on Climate Change. The
U.S. GHGI, which includes recent
trends, is organized by industrial
sectors. The oil and natural gas
production, and natural gas processing
and transmission sectors emit 29
percent of U.S. anthropogenic methane.
Table 2 below presents total U.S.
anthropogenic methane emissions for
the years 1990, 2008, and 2017.
TABLE 2—U.S. METHANE EMISSIONS BY SECTOR
[Million metric ton carbon dioxide equivalent (MMT CO2 Eq.)]
Sector
1990
2008
2017
Oil and Natural Gas Production, and Natural Gas Processing and Transmission and Storage
Oil and Natural Gas Production, and Natural Gas Processing ...........................................
Oil and Natural Gas Transmission and Storage ..................................................................
Landfills ........................................................................................................................................
Enteric Fermentation ...................................................................................................................
Coal Mining ..................................................................................................................................
Manure Management ...................................................................................................................
Other Oil and Gas Sources .........................................................................................................
Wastewater Treatment ................................................................................................................
Other Methane Sources 17 ...........................................................................................................
191
134
57
180
164
96
37
44
15
57
195
163
32
125
174
76
58
18
15
52
190
158
32
108
175
56
62
13
14
47
Total Methane Emissions .....................................................................................................
785
712
665
Emissions from the Inventory of United States Greenhouse Gas Emissions and Sinks: 1990–2017 (published April 11, 2019), calculated using
global warming potential (GWP) of 25.
Note: Totals may not sum due to rounding.
Table 3 below presents total methane
emissions from natural gas production
through transmission and storage and
petroleum production, for years 1990,
2008, and 2017, in MMT CO2 Eq. (or
million metric tonnes carbon dioxide
equivalent) of methane.
TABLE 3—U.S. METHANE EMISSIONS FROM NATURAL GAS AND PETROLEUM SYSTEMS
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[MMMT CO2 Eq.]
Sector
Oil and
Natural
Natural
Natural
1990
Natural Gas Production and Natural Gas Processing and Transmission (Total) ..........
Gas Production ...............................................................................................................
Gas Processing ...............................................................................................................
Gas Transmission and Storage ......................................................................................
17 Other sources include rice cultivation, forest
land, stationary combustion, abandoned oil and gas
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wells, abandoned coal mines, mobile combustion,
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2008
191
71
21
57
2017
195
114
11
32
190
110
12
32
composting, and several sources emitting less than
1 MMT CO2 Eq. in 2017.
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TABLE 3—U.S. METHANE EMISSIONS FROM NATURAL GAS AND PETROLEUM SYSTEMS—Continued
[MMMT CO2 Eq.]
Sector
1990
Petroleum Production ..................................................................................................................
2008
41
2017
38
37
Emissions from the Inventory of United States Greenhouse Gas Emissions and Sinks: 1990–2017 (published April 11, 2019), calculated using
GWP of 25.
Note: Totals may not sum due to rounding.
b. VOC and SO2 emissions in the U.S.
and from the oil and natural gas
industry. Official U.S. estimates of
national level VOC and SO2 emissions
are developed by the EPA for the
National Emissions Inventory (NEI), for
which states are required to submit
information under 40 CFR part 51,
subpart A. Data in the NEI may be
organized by various data points,
including sector, NAICS code, and
Source Classification Code. The oil and
natural gas sources emit 5.7 and 1.8
percent of U.S. VOC and SO2,
respectively. Tables 4 and 5 below
present total U.S. VOC and SO2
emissions by sector, respectively, for the
year 2014, in kilotons (kt) (or thousand
metric tons).
TABLE 4—U.S. VOC EMISSIONS BY SECTOR
[kt]
Sector
2014
Biogenics—Vegetation and Soil ..........................................................................................................................................................
Oil and Natural Gas Production, and Natural Gas Processing and Transmission .............................................................................
Fires—Wildfires ....................................................................................................................................................................................
Fires—Prescribed Fires .......................................................................................................................................................................
Mobile—On-Road non-Diesel Light Duty Vehicles .............................................................................................................................
Solvent—Consumer & Commercial Solvent Use ................................................................................................................................
Mobile—Non-Road Equipment—Gasoline ..........................................................................................................................................
Other VOC Sources 18 .........................................................................................................................................................................
38,672
3,172
2,466
1,980
1,965
1,621
1,536
4,238
Total VOC Emissions ...................................................................................................................................................................
55,651
Emissions from the 2014 NEI, Version 2 (released February 2018).
Note: Totals may not sum due to rounding.
TABLE 5—U.S. SO2 EMISSIONS BY SECTOR
[kt]
Sector
2014
Fuel Comb—Electric Generation—Coal ..............................................................................................................................................
Fuel Comb—Industrial Boilers, Internal Combustion Engines—Coal .................................................................................................
Mobile—Commercial Marine Vessels ..................................................................................................................................................
Industrial Processes—Not Elsewhere Classified ................................................................................................................................
Industrial Processes—Chemical Manufacturing ..................................................................................................................................
Oil and Natural Gas Production, and Natural Gas Processing and Transmission .............................................................................
Other SO2 Sources19 ...........................................................................................................................................................................
3,155
335
175
137
133
84
787
Total SO2 Emissions ............................................................................................................................................................................
4,805
Emissions from the 2014 NEI, Version 2 (released February 2018).
Note: Totals may not sum due to rounding.
Table 6 below presents total VOC and
SO2 emissions from oil and natural gas
production through transmission and
storage, for the year 2014, in kt (or
thousand metric tons).
TABLE 6—U.S. VOC AND SO2 EMISSIONS FROM NATURAL GAS AND PETROLEUM SYSTEMS
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[kt]
Sector
VOC
Oil and Natural Gas Production and Natural Gas Processing and Transmission (Total) ......................................
Oil and Natural Gas Production ..............................................................................................................................
Natural Gas Processing ...........................................................................................................................................
18 Other sources include remaining sources
emitting less than 1,000 kt VOC in 2014.
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19 Other sources include remaining sources
emitting less than 100 kt SO2 in 2014.
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3,143
14
SO2
84
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TABLE 6—U.S. VOC AND SO2 EMISSIONS FROM NATURAL GAS AND PETROLEUM SYSTEMS—Continued
[kt]
Sector
VOC
Natural Gas Transmission and Storage ..................................................................................................................
SO2
16
1
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Emissions from the 2014 NEI, Version 2 (published February 2018), in kt (or thousand metric tons).
Note: Totals may not sum due to rounding.
B. Statutory Background
CAA section 111 authorizes and
directs the EPA to prescribe NSPS
applicable to certain new stationary
sources (which are defined by the statue
to include newly constructed sources)
and also existing sources that undergo
‘‘modification’’ within the meaning of
CAA section 111(a)(4)).20 As the first
step to regulation, the CAA initially
directed the EPA to publish by March
31, 1971, and ‘‘from time to time
thereafter [to] revise,’’ a list of categories
of stationary sources and to include on
that list each category of stationary
sources for which the Administrator has
made a ‘‘judgment’’ that the emission of
air pollutants from sources within such
category ‘‘causes, or contributes
significantly to, air pollution which may
reasonably be anticipated to endanger
public health or welfare.’’ 21 The EPA
has listed and regulated more than 60
stationary source categories under CAA
section 111.22 The EPA listed the source
category at issue here, ‘‘Crude Oil and
Natural Gas Production’’ in 1979.23
Once the EPA has listed a source
category, the EPA proposes and then
promulgates ‘‘standards of
performance’’ for new sources in the
category, which includes sources that
have yet to be constructed and those
existing sources that undergo
‘‘modification.’’ 24 In addition, the
EPA’s regulations provide that new
sources also include an existing source
that undertakes a reconstruction.
Under CAA section 111(b), the EPA
must promulgate a ‘‘standard of
performance’’ that new, modified, and
reconstructed sources are to meet. CAA
section 111(a)(1) defines a ‘‘standard of
performance’’ as ‘‘a standard for
emissions of air pollutants which
reflects the degree of emission
limitation achievable through the
application of the best system of
emission reduction (BSER) which
(taking into account [cost and other
factors]) the Administrator determines
has been adequately demonstrated.’’
20 CAA
section 111(b)(1)(A).
21 Id.
22 See generally, 40 CFR part 60, subparts D–
MMMM.
23 44 FR 49222 (August 21, 1979).
24 CAA section 111(b)(1)(B).
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This definition makes clear that the
standard of performance must be based
on ‘‘the best system of emission
reduction . . . adequately
demonstrated’’ (BSER).
The U.S. Court of Appeals for the
District of Columbia Circuit (D.C.
Circuit) has had occasion over the years
to speak to the definition of ‘‘standard
of performance’’ and its component
terms.25 By its terms, the definition of
‘‘standard of performance’’ under CAA
section 111(a)(1) provides that the
emission limits that the EPA
promulgates must be ‘‘achievable’’ by
application of a ‘‘system of emission
reduction’’ that the EPA determines to
be the ‘‘best’’ that is ‘‘adequately
demonstrated,’’ ‘‘taking into account
. . . cost . . . nonair quality health and
environmental impact and energy
requirements.’’
With respect to the cost factor, the
D.C. Circuit has stated that the EPA may
not adopt a standard the cost of which
would be ‘‘unreasonable.’’ 26 The D.C.
Circuit has indicated that the EPA has
substantial discretion in its
consideration of cost under CAA section
111(a). Moreover, CAA section 111(a)
does not provide specific direction
regarding what metric or metrics to use
in considering costs, again affording the
EPA considerable discretion in choosing
a means of cost consideration.27
25 See 80 FR 64537 (discussing legislative
history); Portland Cement Ass’n v. Ruckelshaus,
486 F.2d 375 (D.C. Cir. 1973); Essex Chemical Corp.
v. Ruckelshaus, 486 F.2d 427, (D.C. Cir. 1973);
Portland Cement Ass’n v. EPA, 665 F.3d 177 (D.C.
Cir. 2011). See also Delaware v. EPA, 785 F.3d 1
(D.C. Cir. 2015).
26 Sierra Club v. Costle, 657 F.2d 298, 343 (D.C.
Cir. 1981). See ‘‘Emission Guidelines for
Greenhouse Gas Emissions From Existing Electric
Utility Generating Units; Revisions to Emission
Guideline Implementing Regulations; Revisions to
New Source Review Program,’’ Proposed Rule, 83
FR 44746, 44758 (August 31, 2018) (discussing D.C.
Circuit caselaw).
27 See, e.g., Husqvarna AB v. EPA, 254 F.3d 195,
200 (D.C. Cir. 2001) (where CAA section 213 does
not mandate a specific method of cost analysis, the
EPA may make a reasoned choice as to how to
analyze costs).
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C. What is the regulatory history and
litigation background regarding
performance standards for the oil and
natural gas industry?
1. 1979 Listing of Source Category
Subsequent to the enactment of the
CAA of 1970, the EPA took action to
develop standards of performance for
new stationary sources as directed by
Congress in CAA section 111. By 1977,
the EPA had promulgated NSPS for a
total of 27 source categories, while
NSPS for an additional 25 source
categories were then under
development.28 However, in amending
the CAA that year, Congress expressed
dissatisfaction that the EPA’s pace was
too slow. Accordingly, the 1977 CAA
Amendments included a new
subsection (f) in section 111, which
specified a schedule for the EPA to list
additional source categories under CAA
section 111(b)(1)(A) and prioritize them
for regulation under CAA section
111(b)(1)(B).
In 1979, as required by CAA section
111(f), the EPA published a list of
source categories, which included
‘‘Crude Oil and Natural Gas
Production,’’ for which the EPA would
promulgate standards of performance
under CAA section 111(b). See Priority
List and Additions to the List of
Categories of Stationary Sources, 44 FR
49222 (August 21, 1979) (‘‘1979 Priority
List’’). That list included, in the order of
priority for promulgating standards,
source categories that the EPA
Administrator had determined,
pursuant to CAA section 111(b)(1)(A),
contribute significantly to air pollution
that may reasonably be anticipated to
endanger public health or welfare. See
44 FR 49223 (August 21, 1979); see also
49 FR 2636–37 (January 20, 1984).
2. 1985 NSPS for VOC and SO2
Emissions From Natural Gas Processing
Units
On June 24, 1985 (50 FR 26122), the
EPA promulgated NSPS for the source
category that addressed VOC emissions
from equipment leaks at onshore natural
gas processing plants (40 CFR part 60,
subpart KKK). On October 1, 1985 (50
FR 40158), the EPA promulgated NSPS
28 See
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for the source category to regulate SO2
emissions from onshore natural gas
processing plants (40 CFR part 60,
subpart LLL).
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3. 2012 NSPS OOOO Rule and Related
NSPS Rules
a. Regulatory action. In 2012,
pursuant to its duty under CAA section
111(b)(1)(B) to review and, if
appropriate, revise NSPS, the EPA
published the final rule, ‘‘Standards of
Performance for Crude Oil and Natural
Gas Production, Transmission and
Distribution,’’ 77 FR 49490 (August 16,
2012) (40 CFR part 60, subpart OOOO)
(‘‘2012 NSPS OOOO’’). This rule
updated the SO2 standards for
sweetening units and VOC standards for
equipment leaks at onshore natural gas
processing plants. In addition, it
established VOC standards for several
oil and natural gas-related operations
emission sources not covered by 40 CFR
part 60, subparts KKK and LLL,
including natural gas well completions,
centrifugal and reciprocating
compressors, natural gas operated
pneumatic controllers, and storage
vessels. Using information available at
the time, the EPA also evaluated
methane emissions and reductions
during the 2012 NSPS OOOO
rulemaking as a potential co-benefit of
regulating VOC emissions.
In 2013, 2014, and 2015 the EPA
amended the 2012 NSPS OOOO rule in
order to address implementation of the
standards. ‘‘Oil and Natural Gas Sector:
Reconsideration of Certain Provisions of
New Source Performance Standards,’’
78 FR 58416 (September 23, 2013) (2013
NSPS OOOO) (concerning storage vessel
implementation); ‘‘Oil and Natural Gas
Sector: Reconsideration of Additional
Provisions of New Source Performance
Standards,’’ 79 FR 79018 (December 31,
2014) (‘‘2014 NSPS OOOO’’)
(concerning well completion); ‘‘Oil and
Natural Gas Sector: Definitions of Low
Pressure Gas Well and Storage Vessel,’’
80 FR 48262 (August 12, 2015) (‘‘2015
NSPS OOOO’’) (concerning low
pressure gas wells and storage vessels).
The EPA received petitions for both
judicial review and administrative
reconsiderations for the 2012, 2013, and
2014 NSPS OOOO rules. The EPA
denied reconsideration for some issues,
see ‘‘Reconsideration of the Oil and
Natural Gas Sector: New Source
Performance Standards; Final Action,’’
81 FR 52778 (August 10, 2016), and, as
noted below, granted reconsideration for
other issues. All related litigation is
currently stayed pending the
reconsideration process.
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4. 2016 NSPS OOOOa Rule and Related
Amendments
a. Regulatory action. On June 3, 2016,
the EPA published a final rule titled
‘‘Oil and Natural Gas Sector: Emission
Standards for New, Reconstructed, and
Modified Sources; Final Rule,’’ at 81 FR
35824 (40 CFR part 60, subpart OOOOa)
(‘‘2016 NSPS OOOOa’’).29 30 The 2016
NSPS OOOOa rule established NSPS for
sources of GHG and VOC emissions for
certain equipment, processes, and
operations across the oil and natural gas
industry. The 2016 NSPS OOOOa
addresses the following emission
sources:
• Sources that were unregulated
under the 2012 NSPS OOOO
(hydraulically fractured oil well
completions, pneumatic pumps, and
fugitive emissions from well sites and
compressor stations);
• Sources that were regulated under
the 2012 NSPS OOOO for VOC
emissions, but not for GHG emissions
(hydraulically fractured gas well
completions and equipment leaks at
natural gas processing plants); and
• Certain equipment that is used
across the source category, for which the
2012 NSPS OOOO regulates emissions
of VOC from only a subset (pneumatic
controllers, centrifugal compressors,
and reciprocating compressors), with
the exception of compressors located at
well sites.
On March 12, 2018, the EPA finalized
amendments of certain aspects of the
2016 NSPS OOOOa requirements for the
collection of fugitive emission
components at well sites and
compressor stations, specifically (1) the
requirement that components on a delay
of repair must conduct repairs during
unscheduled or emergency vent
blowdowns, and (2) the monitoring
survey requirements for well sites
located on the Alaska North Slope.
For further information on the 2016
NSPS OOOOa rule, see 81 FR 35824
(June 3, 2016) and for further
information on the 2018 NSPS OOOOa
amendments, see 83 FR 10628 (March
12, 2018). The associated public docket
for both actions is Docket ID No. EPA–
HQ–OAR–2010–0505.
29 While the June 3, 2016, rulemaking also
included final amendments to 40 CFR part 60,
subpart OOOO, we are not proposing at this time
to amend 40 CFR part 60, subpart OOOO.
30 The 2016 NSPS OOOOa rule resulted from a
series of directives from then President Obama
targeted at reducing GHG, including methane: The
President’s Climate Action Plan (June 2013); the
President’s Climate Action Plan: Strategy to Reduce
Methane Emissions (‘‘Methane Strategy’’) (March
2014); and the President’s directive to address, and
if appropriate, propose and set standards for
methane and ozone-forming emissions from new
and modified sources in the sector (January 2015).
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b. Petitions to reconsider. Following
promulgation of the 2016 NSPS OOOOa
rule, the Administrator received five
petitions for reconsideration of several
provisions. Copies of the petitions are
provided in Docket ID No. EPA–HQ–
OAR–2010–0505.31 As noted below, the
EPA has granted reconsideration of
several issues in the 2016 NSPS OOOOa
rule, proposed revisions to the final rule
based on the reconsideration and
addressed broad implementation issues
that stakeholders had brought to the
EPA’s attention.
c. Litigation. Several states and
industry associations challenged the
2016 NSPS OOOOa rule in the D.C.
Circuit, alleging, among other things,
that the EPA acted arbitrarily and
capriciously and in excess of statutory
authority. See, e.g., West Virginia v.
EPA, 16–1264, State Petitioners’
Nonbinding Statement of the Issues to
be Raised. These cases were
consolidated. In addition, on January 4,
2017, the challenges to the 2016 NSPS
OOOOa rule were consolidated with the
challenges to the 2012 NSPS OOOO rule
(as amended by the 2013 NSPS OOOO
and 2014 NSPS OOOO rules), under
American Petroleum Institute v. EPA,
case No. 13–1108 (D.C. Cir.). ECF Dkt
#1654072. On May 18, 2017, the D.C.
Circuit issued an order granting a
motion by the EPA to hold in abeyance
the consolidated litigation over the 2012
NSPS OOOO rule (as amended by the
2013 NSPS OOOO and 2014 NSPS
OOOO rules) and the 2016 NSPS
OOOOa rule, and requiring the EPA to
file status reports every 60 days
informing the Court and parties
regarding what action it has or will be
taking regarding those rules. Id., ECF
Dkt. #1675813.
D. Other Notable Events
On March 28, 2017, newly elected
President Donald Trump issued
Executive Order 13783 titled
‘‘Promoting Energy Independence and
Economic Growth’’ (hereinafter
‘‘Executive Order’’). The purpose of the
Executive Order is to facilitate the
development of domestic energy
resources—including oil and gas—and
to reduce unnecessary regulatory
burdens associated with the
development of those resources.
Specifically, the Executive Order
establishes the policy of the U.S. that
executive departments and agencies
‘‘immediately review existing
regulations that potentially burden the
31 See Docket ID Item Nos.: EPA–HQ–OAR–2010–
0505–7682, EPA–HQ–OAR–2010–0505–7683, EPA–
HQ–OAR–2010–0505–7684, EPA–HQ–OAR–2010–
0505–7685, EPA–HQ–OAR–2010–0505–7686.
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development or use of domestically
produced energy resources and
appropriately suspend, revise, or
rescind those that unduly burden the
development of domestic energy
resources beyond the degree necessary
to protect the public interest or
otherwise comply with the law.’’ Id.,
Section 1(c). The Executive Order
specifically instructs the EPA, among
other things, to ‘‘review’’ the 2016 NSPS
OOOOa rule as well as ‘‘any rules and
guidance issued pursuant to it, for
consistency with th[is] policy . . . .’’
Id., Section 7. The Executive Order
further provides that ‘‘if appropriate,
[the Agency] shall, as soon as
practicable, suspend, revise, or rescind
the guidance, or publish for notice and
comment proposed rules suspending,
revising, or rescinding those rules.’’ Id.
In accordance with the Executive
Order, also on March 28, 2017, the EPA
Administrator signed a Federal Register
document announcing that the Agency
is ‘‘reviewing the 2016 Oil and Gas New
Source Performance Standards (Rule),
81 FR 35824 (June 3, 2016), and, if
appropriate, will initiate proceedings to
suspend, revise, or rescind it.’’ The EPA
further explained that: ‘‘If the EPA’s
review concludes that suspension,
revision, or rescission of this Rule may
be appropriate, the EPA’s review will be
followed by a rulemaking process that
will be transparent, follow proper
administrative procedures, include
appropriate engagement with the public,
employ sound science, and be firmly
grounded in the law.’’ Id., page 3. This
notice was published in 82 FR 16331
(April 4, 2017).
On April 18, 2017, the EPA issued a
letter granting reconsideration of the
fugitive emissions requirements at well
sites and compressor stations. On June
5, 2017, the EPA issued a notice
granting reconsideration of additional
issues, specifically the well site
pneumatic pumps standards and the
requirements for certification by a PE.
See ‘‘Oil and Natural Gas Sector:
Emission Standards for New,
Reconstructed, and Modified Sources;
Grant of Reconsideration and Partial
Stay,’’ 82 FR 25730 (June 5, 2017).
In addition, in the same June 5, 2017,
document of action in which it granted
reconsideration of additional issues, the
EPA also issued, under CAA section
307(d)(7)(B), a 90-day partial stay of the
2016 NSPS OOOOa rule, pending the
reconsiderations. Specifically, the EPA
stayed the provisions for fugitive
emissions requirements, well site
pneumatic pump standards, and
certification of CVS by a PE (40 CFR
sections 60.5393a(b) through (c),
60.5397a, 60.5410a(e)(2) through (5) and
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(j), 60.5411a(d), 60.5415a(h),
60.5420a(b)(7), (8), and (12), and (c)(15)
through (17)). 82 FR 25730.
Environmental groups challenged this
stay, and on July 3, 2017, the D.C.
Circuit vacated the stay on grounds that
it did not meet the CAA section
307(d)(7)(B) criteria. See Clean Air
Council v. EPA, 862 F.3d 1 (D.C. Cir.
2017).
On June 16, 2017, the EPA published
a proposed stay of the same three
requirements of the 2016 NSPS OOOOa
rule for 2 years. ‘‘Oil and Natural Gas
Sector: Emission Standards for New,
Reconstructed, and Modified Sources:
Stay of Certain Requirements,’’ 82 FR
27645 (June 16, 2017).
On November 8, 2017, the EPA issued
a Notice of Data Availability (NODA) for
the proposed 2-year stay of the 2016
NSPS OOOOa rule. In this NODA, the
EPA provided, among other things,
additional information on several topics
raised by stakeholders and solicited
comment on the information presented,
including the legal authority to issue a
stay and the technological, resource,
and economic challenges with
implementing the fugitive emissions
requirements, well site pneumatic pump
standards, and the requirements for
certification of CVS by a PE. ‘‘Oil and
Natural Gas Sector: Emission Standards
for New, Reconstructed, and Modified
Sources: Stay of Certain Requirements,’’
82 FR 51788 (November 8, 2017). The
EPA also solicited comment on other
avenues to address these issues other
than issuing a stay.
As previously discussed, on March
12, 2018, the EPA finalized amendments
of certain aspects of the requirements
for the collection of fugitive emission
components at well sites and
compressor stations, specifically (1) the
requirement that components on a delay
of repair must conduct repairs during
unscheduled or emergency vent
blowdowns and (2) the monitoring
survey requirements for well sites
located on the Alaska North Slope. 83
FR 10628. These narrow amendments to
the 2016 NSPS OOOOa rule were in
response to comments the EPA received
on the proposed stays and NODA and
address significant and immediate
compliance concerns.
On October 15, 2018, the EPA granted
reconsideration of additional issues in
the 2016 NSPS OOOOa rule, proposed
revisions to that rule based on the
reconsideration, and addressed broad
implementation issues that stakeholders
had brought to the EPA’s attention. 83
FR 52056.
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E. Related State and Federal Regulatory
Actions
Several states and federal agencies
currently regulate the oil and natural gas
industry. The scope of state
requirements ranges from general
reporting requirements to quantitative
emissions limits and restrictions on
venting and flaring. For example,
Colorado requires that dehydrators,
liquids unloading operations, and
pneumatic controllers achieve specific
emission reductions, in addition to
regular monitoring of storage vessels
and fugitive emissions. In Texas, well
site requirements vary based on specific
site-wide VOC emissions, but standard
requirements exist for storage vessels,
pneumatic controllers, and fugitive
emissions. North Dakota has restrictions
on venting and flaring. Ohio has general
permit programs for well sites and
compressor stations; the state also
regulates dehydrators, engines, flares,
fugitive emissions, and storage vessels
at both well sites and compressor
stations, in addition to requirements for
compressors, truck loading, and pigging
operations. Pennsylvania has a general
permit program for compressor stations
and a permit exemption program for
well sites. The compressor station
permit includes requirements for
engines, compressors, storage vessels,
fugitive emissions, and dehydrators.
The permit exemption program includes
requirements for well completions,
engines, fugitive emissions, storage
vessels, and flares. The EPA describes
state fugitive emissions program
requirements in the memorandum titled
‘‘Equivalency of State Fugitive
Emissions Programs for Well Sites and
Compressor Stations to Proposed
Standards at 40 CFR part 60, subpart
OOOOa,’’ located at Docket ID No. EPA–
HQ–OAR–2017–0483. Additional
information can be found in a
memorandum 32 written by the Bureau
of Land Management (BLM) in support
of the ‘‘Waste Prevention, Production
Subject to Royalties, and Resource
Conservation; Rescission or Revision of
Certain Requirements,’’ see 83 FR 7924.
In addition to states, certain federal
agencies regulate the oil and natural gas
industry. For example, on November 18,
2016, the BLM promulgated new
regulations to reduce waste of natural
gas from venting, flaring, and leaks
during oil and natural gas production on
onshore federal and Indian (other than
Osage Tribe) leases.33 On September 28,
2018, the BLM finalized amendments to
their 2016 rule in order to reduce
32 See
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compliance burden and maintain
consistency with BLM’s existing
statutory authorities.34 The BLM’s
revised 2018 rule discourages excessive
venting and flaring by placing volume
and time limits on royalty-free venting
and flaring during production testing,
emergencies, and downhole well
maintenance and liquids unloading.
Additionally, BLM’s rule incentivizes
the beneficial use of gas by making gas
used for operations and production
purposes royalty free. More detailed
information can be found at BLM’s
website: https://www.blm.gov/
programs/energy-and-minerals/oil-andgas/operations-and-production/
methane-and-waste-prevention-rule.
The Pipeline and Hazardous Materials
Safety Administration (PHMSA) is
responsible for regulating and ensuring
the safe and secure movement of
materials to industry and consumers by
all modes of transportation, including
pipelines. While PHMSA’s regulations
are focused on safety, there is likely a
corresponding environmental co-benefit
from their rules. For example, the
PHMSA’s Office of Pipeline Safety
ensures safety in the design,
construction, operation, maintenance,
and incident response of the U.S.’
approximately 2.6 million miles of
natural gas and hazardous liquid
transportation pipelines. When
pipelines are maintained, the likelihood
of environmental releases like leaks are
reduced.35 More detailed information
can be found at the PHMSA’s website:
https://www.phmsa.dot.gov/.
IV. Summary and Rationale of
Proposed Actions
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As directed by the President, the EPA
has reviewed the 2012 NSPS OOOO and
2016 NSPS OOOOa with attention to
whether the rules ‘‘unduly burden the
development of domestic energy
resources beyond the degree necessary
to protect the public interest’’ and, if so,
whether it is appropriate to ‘‘suspend,
revise, or rescind’’ regulatory
requirements.36 37 This proposal follows
that review, and the EPA is proposing
revisions to those requirements while
maintaining health and environmental
34 83
FR 49184.
Final Report on Leak Detection Study to
PHMSA. December 10, 2012. https://
www.phmsa.dot.gov/sites/phmsa.dot.gov/files/
docs/technical-resources/pipeline/16691/leakdetection-study.pdf.
36 Executive Order 13783, ‘‘Promoting Energy
Independence and Economic Growth,’’ section 1(c)
(March 28, 2017).
37 82 FR 16331 (April 4, 2017) (Notice of review
of 2016 NSPS OOOOa pursuant to Executive Order
13783, signed by the EPA Administrator).
35 See
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protections for emission sources within
the regulated source category.38
Specifically, the EPA is proposing to
revise the source category to remove the
transmission and storage segment
entirely and rescind the NSPS
requirements applicable to sources
within the transmission and storage
segment. This proposed action is based
on the EPA’s proposed determination
that its 2012 and 2016 rulemakings that
interpreted or expanded the source
category to includes sources in the
transmission and storage segment were
improper in that regard. Further, the
EPA is proposing to rescind the
methane requirements of the NSPS
applicable to sources within the
production and processing segments
because they are entirely redundant of
the existing NSPS for VOC.39 Those
requirements, thus, provide no
additional health protections and are
unnecessary. Indeed, due to the
identical emissions profiles and source
control technologies for methane and
VOC, the EPA, when establishing the
2016 NSPS OOOOa to regulate methane,
found no need for any changes to the
existing NSPS requirements for VOC.
Rescinding the requirements of the 2016
NSPS OOOOa applicable to methane
emissions, while leaving in place the
requirements applicable to VOC
emissions, will not affect the amount of
methane reductions that are achieved in
the production and processing
segments, but it will provide for greater
clarity by simplifying the rule.
Rescission of the requirements
applicable to methane emissions will
also obviate the need for the
development of emission guidelines
under CAA section 111(d) and 40 CFR
part 60, subpart B to address methane
emissions from existing sources within
the crude oil and natural gas production
industry.
As an alternative to this first set of
proposed actions, the EPA is proposing
to rescind the methane requirements of
the 2016 NSPS OOOOa applicable to all
oil and natural gas sources without
removing any sources from the source
category.
38 We note that the EPA is addressing certain
specific reconsideration issues—fugitive emissions
requirements at well sites and compressor stations,
well site pneumatic pump standards, and the
requirements for certification of CVS by a PE—in
a separate proposal. See Docket ID Item No. EPA–
HQ–OAR–2010–0505–7730 and 82 FR 25730.
39 Section VI of this preamble takes comment on
alternative questions of statutory interpretation and
associated potential record determinations which, if
the EPA were to adopt them, might provide an
additional or alternative basis for both the primary
and the alternative proposal.
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A. Revision of the Source Category To
Remove Transmission and Storage
Segment
Under CAA section 111(b)(1)(A), the
EPA must ‘‘publish . . . a list of
categories of stationary sources,
emissions from which, in the judgment
of the Administrator, cause[ ], or
contribute[ ] significantly to, air
pollution which may reasonably be
anticipated to endanger public health or
welfare.’’ Further, CAA section
111(b)(1)(A) directs that ‘‘from time to
time thereafter’’ the EPA ‘‘shall revise’’
this ‘‘list’’ of categories of stationary
sources. Following the ‘‘inclusion of a
category of stationary sources in a list,’’
the EPA then proposes and promulgates
‘‘standards of performance for new
sources within such category.’’ CAA
section 111(b)(1)(A). Thereafter, the EPA
‘‘shall . . . review and, if appropriate,
revise such standards.’’ CAA section
111(a)(1)(B).
CAA section 111(b)(1)(A) does not
include any specific criteria for
determining the reasonable scope of a
given ‘‘category’’ of ‘‘stationary sources’’
beyond the requirement that the
Administrator make a finding that, in
his or her ‘‘judgment,’’ emissions from
the ‘‘category of sources . . . cause[ ], or
contribute[ ]significantly to, air
pollution which may reasonably be
anticipated to endanger public health or
welfare.’’ Accordingly, the EPA is
afforded some measure of discretion in
determining at the outset the scope of a
source category.
In 1978, the EPA published ‘‘Priorities
for New Source Performance Standards
Under the Clean Air Act Amendments
of 1977.’’ 40 The purpose of this
document was to implement the
requirements of CAA section 111(f) to
develop and apply a methodology for
identifying, establishing, and
prioritizing the source categories that
should be considered first for in-depth
analysis prior to NSPS promulgation
under CAA section 111. For purposes of
the 1978 analysis, the EPA aggregated
emissions from ‘‘oil and gas production
fields’’ and ‘‘natural gas processing’’ as
part of the ‘‘Crude Oil and Natural Gas
Production Plant’’ source category. The
EPA identified this aggregated source
category as a source of HC and SO2
emissions. When the EPA finalized the
priority list in 1979, it slightly revised
the name of the source category as
‘‘Crude Oil and Natural Gas
Production.’’ 49 FR 49222 (August 21,
1979).
40 Priorities for New Source Performance
Standards Under the Clean Air Act Amendments of
1977. April 1978. EPA–450/3–78–019.
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In 1985, the EPA promulgated two
rulemakings establishing NSPS for the
Crude Oil and Natural Gas Production
source category. These were 40 CFR part
60, subpart KKK—Standards of
Performance for Equipment Leaks of
VOC from Onshore Natural Gas
Processing Plants (50 FR 26124, June 23,
1985); and subpart LLL—Standards of
Performance for SO2 Emissions from
Onshore Natural Gas Processing (50 FR
40160, October 1, 1985). When it first
proposed 40 CFR part 60, subpart KKK,
the EPA noted that the ‘‘category ‘Crude
Oil and Natural Gas Production’ ranks
29th on the list of 59 source categories,’’
and that the ‘‘crude oil and natural gas
production industry encompasses the
operations of exploring for crude oil and
natural gas products, removing them
from beneath the earth’s surface, and
processing these products for
distribution to petroleum refineries and
gas pipelines.’’ 41 The EPA repeated that
description of the identified source
category when it first proposed 40 CFR
part 60, subpart LLL, explaining that the
‘‘crude oil and natural gas production
industry encompasses not only
processing of the natural gas (associated
or not associated with crude oil) but
operations of exploration, drilling, and
subsequent removal of the gas from
porous geologic formations beneath the
earth’s surface.’’ 42
In 2012, the EPA reviewed the VOC
and SO2 standards and at the same time
established new requirements for
stationary sources of VOC emissions
that had not been regulated in the 1985
rulemaking (e.g., well completions,
pneumatic controllers, storage vessels,
and compressors). 40 CFR part 60,
subpart OOOO—Standards of
Performance for Crude Oil and Natural
Gas Production, Transmission and
Distribution for which Construction,
Modification or Reconstruction
Commenced After August 23, 2011, and
on or Before September 18, 2015, (77 FR
49542, August 16, 2012). In the
preamble of the 2011 proposal for that
2012 NSPS OOOO final rule, the EPA
interpreted the 1979 listing as indicating
that ‘‘the currently listed Oil and
Natural Gas source category covers all
operations in this industry (i.e.,
production, processing, transmission,
storage and distribution).’’ 76 FR 52738,
52745 (August 23, 2011). Further, the
EPA stated that ‘‘[t]o the extent there are
oil and gas operations not covered by
the currently listed Oil and Natural Gas
source category. . . ., we hereby
modify the category list to include all
operations in the oil and natural gas
41 49
42 49
FR 2637 (January 20, 1984).
FR 2658 (January 20, 1984).
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sector.’’ Id. at 52745. The stated basis for
that proposed decision was that
‘‘[s]ection 111(b) of the CAA gives the
EPA the broad authority and discretion
to list and establish NSPS for a category
that, in the Administrator’s judgment,
causes or contributes significantly to air
pollution which may reasonably be
anticipated to endanger public health or
welfare.’’ Id. at 52745. No additional
discussion of this listing position was
provided in the 2011 proposal.
In the 2012 final rulemaking, the EPA
promulgated NSPS for emission sources
in the production, processing, and
transmission and storage segments, 77
FR 49490, 49492 (August 16, 2012), and
stated that ‘‘[t]he listed Crude Oil and
Natural Gas Production source category
covers, at a minimum, those operations
for which we are establishing standards
in this final rule.’’ Id. at 49496. In
responding to comments, the EPA took
the position that it was not actually
revising the source category to include
emission sources in the transmission
and storage segment, but rather, was
interpreting the 1979 listing to be
‘‘broad,’’ and interpreting the 1985
rulemaking as ‘‘view[ing] this source
category listing very broadly,’’ Id. at
49514, so that, in the EPA’s view, the
source category was already sufficiently
broad to include that segment.43
In 2016, the EPA promulgated new
NSPS (40 CFR part 60, subpart OOOOa)
for the Crude Oil and Natural Gas
Production source category (81 FR
35824, June 3, 2016). As the EPA did in
the 2012 NSPS OOOO rule, the EPA
took the position that the 1979 listing
was broad enough to encompass the
transmission and storage segment and
that the 1985 rulemakings confirmed
that broad listing. The EPA stated that
the inclusion of the transmission and
storage segment into the original 1979
source category was warranted because
equipment and operations at
production, processing, transmission
and storage facilities are a sequence of
functions that are interrelated and
necessary for getting the recovered gas
ready for distribution. Nevertheless, the
EPA recognized that the scope of the
prior listing may have had some
43 In the 2012 NSPS OOOO rulemaking, the EPA
referred to the distribution segment of the oil and
natural gas industry, which entails transporting
natural gas to the end user, 76 FR 52738, 52745
(August 23, 2011) (proposed rule); 49514, 77 FR
49493 (Table 2) (August 16, 2012) (final rule).
However, in the 2016 NSPS OOOOa rule, the EPA
clarified that the scope of the Oil and Natural Gas
Production and Processing source category includes
the transmission and storage segment, but not the
distribution segment. In addition, the, EPA has
never treated any sources in the distribution
segment as subject to the requirements of NSPS
OOOO or OOOOa.
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ambiguity. Accordingly, ‘‘as an
alternative,’’ the EPA finalized a
revision of the category to broaden it, so
that ‘‘[a]s revised, the listed oil and
natural gas source category includes oil
and natural gas production, processing,
transmission, and storage.’’ (81 FR
35840).
The EPA has reviewed the original
1979 listing of the Crude Oil and
Natural Gas Production source category
and the associated background materials
and now proposes to find that its 2012
and 2016 interpretation of the 1979
listing—i.e., that the 1979 listing
included natural gas transmission and
storage—was erroneous. The preamble
accompanying the 1979 listing, which
identified the source category as ‘‘Crude
Oil and Natural Gas Production,’’ gave
no indication that a source category
ostensibly focused on ‘‘production’’ also
included those sources associated with
post-production operations such as
transmission and storage. As explained
in greater detail below, to the extent
there was ambiguity, the issue was
resolved in 1984, when the EPA, in
proposing the first standards of
performance for sources within the
Crude Oil and Natural Gas Production
source category (i.e., 40 CFR part 60,
subpart KKK), described the category as
‘‘encompass[ing] the operations of
exploring for crude oil and natural gas
products, removing them from beneath
the earth’s surface and processing these
products for distribution to petroleum
refineries and gas pipelines.’’ 44 This
description, by its express terms,
establishes that sources in the
transmission and storage segment were
not included in the Crude Oil and
Natural Gas Production source category
as listed in 1979. Therefore, the EPA is
proposing to disavow its erroneous
interpretation from 2012 and 2016, and
instead propose that the source category
does not include natural gas
transmission and storage. Following are
details of our rationale for this action.
As noted above, the 1978 ‘‘Priorities
for New Source Performance Standards
Under the Clean Air Act Amendments
of 1977’’ analysis aggregated the
emissions from ‘‘oil and gas production
fields’’ and ‘‘natural gas processing’’ as
part of what was then labeled as the
‘‘Crude Oil and Natural Gas Production
Plants’’ source category. This aggregated
source category was identified as a
source of HC and SO2 emissions. The
EPA listed the ‘‘Stationary Pipeline
Compressor Engines’’ source category
separately, which included emissions
specific to engines used at compressor
stations (i.e., NOX, SO2 and carbon
44 49
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monoxide (CO)). EPA–450/3–78–019
(April 1978).
The revised priority list that the EPA
promulgated in 1979 and its associated
support document, ‘‘Revised Prioritized
List of Source Categories for
Promulgation,’’ 45 included the
aggregated ‘‘Crude Oil and Natural Gas
Production Plants’’ source category. The
support document also included a
separate study of ‘‘stationary pipeline
compressor engines’’ emissions. The
record makes clear that, at the time, the
EPA was distinguishing between oil and
natural gas production plants and
natural gas processing on the one hand,
and stationary pipeline compressor
engines on the other, and that it
intended to promulgate separate
standards for HC and SO2 emissions
from those two source categories. EPA–
450/3–79–023 (March 1979). The record
for the 1979 action indicates that, at the
time, the EPA clearly considered the
‘‘Crude Oil and Natural Gas Production’’
source category to include but be
limited to production and processing
operations. In addition, the record
makes clear that the EPA also
considered stationary pipeline
compressor engines to be part of a
separate source category.46 Other parts
of the record indicate that the EPA
intended to promulgate standards
separately for HC and SO2 emissions
from those two sets of sources. EPA–
450/3–79–023 (March 1979). In contrast,
the record does not specifically address
the transmission and storage segment.
As has already been noted, in 1984–
85, the EPA developed the first two
NSPS for the source category (40 CFR
part 60, subparts KKK and LLL) by
establishing standards to address VOC
and SO2 emissions for sources in the
production and processing segments
alone, and in so doing, indicated that it
considered the scope of the source
category to be limited to those segments.
Specifically, the EPA promulgated
standards at 40 CFR part 60, subpart
KKK for onshore natural gas processing
plants in 1985, which were the first
standards promulgated for the source
category. In the 1984 proposal preamble,
45 U.S. EPA. ‘‘Revised Prioritized List of Source
Categories for NSPS Promulgation.’’ March 1979.
EPA–450/3–79–023.
46 The EPA promulgated NSPS for stationary
spark ignition internal compressor engines under
the ‘‘Standards of Performance for Stationary Spark
Ignition Internal Combustion Engines and National
Emission Standards for Hazardous Air Pollutants
for Reciprocating Internal Combustion Engines.’’
(40 CFR part 60, subpart JJJJ; 73 FR 3568, 3569,
January 18, 2008). These standards applied to
engines located at compressor stations at natural gas
transmission and storage facilities, as well as
engines located in other industry sectors.
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the EPA clarified the scope of the source
category as follows:
The crude oil and natural gas production
industry encompasses the operations of
exploring for crude oil and natural gas
products, drilling for these products,
removing them from beneath the earth’s
surface, and processing these products from
oil and gas fields for distribution to
petroleum refineries and gas pipelines.
49 FR 2636.
Thus, in the sentence just quoted, the
EPA explicitly defined the source
category as encompassing the natural
gas operations up to the point of
distribution to gas pipelines, that is, up
to the storage and transmission segment,
and in that manner, indicated that this
segment was not included in the source
category. (Similarly, in the same
sentence, the EPA defined the scope of
the source category as encompassing oil
operations up to the point of
distribution to petroleum refineries,
which are a separate source category.) In
this manner, the EPA indicated that the
Crude Oil and Natural Gas Production
source category includes operations
from well sites (exploration, drilling,
and removal) and natural gas processing
plants (processing). While gathering and
boosting compressor stations were not
specified, it is reasonable to conclude
that they are also included because they
are located between two covered sites,
the well site and the processing plant.
However, to reiterate, subsequent
operations, such as transmission,
storage, and distribution were not
included. Thus, the EPA is now
proposing to find that its earlier view
that the original listing in 1979 of the
Crude Oil and Natural Gas Production
source category already included the
transmission and storage segment was
in error, as the record of the 1979 listing
action, and subsequent rulemaking
actions by the EPA, described above,
make clear.
As noted above, we had stated in the
2016 NSPS OOOOa rule our view that
the ‘‘1979 listing of [the Crude Oil and
Natural Gas Production] source category
provides sufficient authority for this
action,’’ but we then added that, ‘‘to the
extent that there is ambiguity in the
prior listing, the EPA hereby finalizes,
as an alternative, its proposed revision
of the category listing to broadly include
the oil and natural gas industry.’’ 47 ‘‘As
revised,’’ we went on to say, ‘‘the listed
oil and natural gas category includes oil
and natural gas production, processing,
transmission, and storage.’’ 48 As
discussed next, the EPA is further
proposing to find that this ‘‘alternative’’
47 81
48 Id.
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FR 35833.
(footnote omitted).
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approach—i.e., ‘‘revising’’ the
previously-established Crude Oil and
Natural Gas Production source category
to include sources within the storage
and transmission segment—was in
error.
While CAA section 111(b)(1)(A) and
(B), respectively direct the EPA to
‘‘revise,’’ where warranted, both the
‘‘list of source categories’’ and the
‘‘standards of performance’’ that the
EPA has promulgated, nothing in CAA
section 111 expressly authorizes or
directs the EPA to ‘‘revise’’ a ‘‘source
category,’’ by altering its scope, once the
EPA has listed that source category.
However, the EPA has inherent
authority to reconsider, repeal, or revise
past decisions to the extent permitted by
law so long as the Agency provides a
reasoned explanation. See Motor
Vehicle Manufacturers Association of
the United States v. State Farm Mutual
Automobile Insurance Co., 463 US 29,
56–57 (1983) (‘‘an agency changing its
course must supply a reasoned
analysis,’’ quoting Greater Boston
Television Corp. v. FCC, 143 F.2d 841,
842 (D.C. Cir.)). The CAA complements
the EPA’s inherent authority to
reconsider prior rulemakings by
providing the Agency with broad
authority to prescribe regulations as
necessary. See 42 U.S.C. 7601(a). See
Clean Air Council v. Pruitt, 862 F.3d 1,
8–9 (D.C. Cir. 2017) (‘‘[a]gencies
obviously have broad discretion to
reconsider a regulation at any time’’).
Even so, the EPA proposes that the
authority to revise the scope of a source
category must be exercised only within
reasonable boundaries and cannot be
employed in such a way as to result in
an unreasonable expansion of an
existing source category, i.e., one that
purports to expand a source category to
cover a new set of sources that are
sufficiently unrelated to the sources in
the pre-existing category that they
constitute a separate source category for
which the EPA is required to make a
new contribute-significantly-andendangerment finding as a prerequisite
to regulating them. Otherwise,
expanding the source category by
including new sources could be used to
circumvent that requirement. The EPA
proposes to conclude that the 2016
expansion of the source category to
include sources in the transmission and
storage segment did, in fact, exceed the
reasonable boundaries of its authority to
revise source categories.
In the 2016 NSPS OOOOa rule, the
EPA purported to ‘‘support’’ its
‘‘revision’’ of the source category by
making the ‘‘requisite finding under
section 111(b)(1) that, in the
Administrator’s judgment, this source
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category, as defined above, contributes
significantly to air pollution which may
reasonably be anticipated to endanger
public health or welfare.’’ 49 The EPA is
now proposing to find that this
approach was erroneous.
Specifically, we are proposing that the
EPA was required to make a finding that
the transmission and storage segment in
and of itself ‘‘contributes significantly to
air pollution which may reasonably be
anticipated to endanger public health or
welfare,’’ not simply that the source
category, ‘‘as defined above’’—i.e.,
defined to include ‘‘oil and natural gas
production, processing, transmission,
and storage’’ 50—‘‘contributes
significantly.’’ Nowhere in the course of
promulgating the 2016 NSPS OOOOa
rule did the EPA make a finding that
sources in the transmission and storage
segment, in themselves, ‘‘contribute[ ]
significantly to air pollution which may
reasonably be anticipated to endanger
public health or welfare.’’ The EPA
avoided making such a finding by
purporting to have ‘‘revised’’ the source
category by including that transmission
and storage segment and then
proceeding to find that the expanded
source category ‘‘contributes
significantly.’’ 51
This approach, the EPA now proposes
to find, was not appropriate. Had the
EPA chosen to revise the source
category list to include the
‘‘transmission and storage’’ segment as a
separate source category, it could have
done so only after making a finding that
emissions from sources within that
source category ‘‘cause[ ], or contribute
significantly to air pollution which may
reasonably be anticipated to endanger
public health or welfare.’’ Thus, if
transmission and storage sources are
sufficiently distinct from production
and processing sources such that it
would not be appropriate to include
them in the Crude Oil and Natural Gas
source category via revising of that
source category, then the EPA could
promulgate NSPS for them only if it first
listed them as a separate source
category, a step that the EPA has not
taken.52
49 81
FR 35833 (emphasis added).
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50 Id.
51 See 80 FR 35837–35840 (explaining ‘‘how
GHG, VOC and SO2 emissions’’ from the source
category as revised to include the oil and natural
gas production, processing, transmission, and
storage segments, and not the transmission and
storage segment itself, ‘‘are ‘air pollution’ that may
reasonably be anticipated to endanger public health
and welfare.’’).
52 In prior actions to expand a previously listed
source category to include additional sources when
the Agency considers the newly added sources to
be logically connected to the sources already in the
source category, the EPA has taken different
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The EPA proposes to determine that
transmission and storage sources are, in
fact, sufficiently distinct from
production and processing sources that
the EPA erred when, in the 2016 NSPS
OOOOa rule, it purported to revise the
source category to include sources in
the transmission and storage segment.
Specifically, the EPA proposes to
determine that its determination in the
2016 NSPS OOOOa rule that equipment
and operations at production,
processing, and transmission and
storage facilities are a sequence of
approaches, ranging from making a significant
contribution finding for the newly added sources,
making such a finding for the newly expanded
source category, and not making such a finding at
all. Compare ‘‘Standards of Performance for New
Stationary Sources; Priority List—Final Rule,’’ 47
FR 31875, 31876 (July 23, 1982), ‘‘Standards of
Performance for New Stationary Sources; Priority
List—Proposed Amendment,’’ 45 FR 76427, 26427–
28 (November 18, 1980) (expanding the ‘‘asphalt
roofing source category’’ to include ‘‘asphalt
blowing stills and storage tanks at asphalt
processing facilities and petroleum refineries;’’
explaining that ‘‘[i]t is . . . reasonable to treat the
asphalt processing and roofing manufacture
industry as a single category of sources’’ because
the processing and refinery sources are sites for
‘‘initial steps in the preparation of asphalt for
roofing manufacture’’ and ‘‘[t]he emissions,
processes, and applicable controls for blowing stills
and asphalt storage tanks at oil refineries and
asphalt processing plants are the same as those at
asphalt roofing plants;’’ determining that the added
sources ‘‘contribute significantly to air pollution
which may reasonably be anticipated to endanger
public health or welfare’’) with ‘‘Standards of
Performance for New Stationary Sources; IndustrialCommercial-Institutional Steam Generating Units—
Final Rule,’’ 51 FR 42794, 42794–95 (November 25,
1986) (expanding the source category of ‘‘industrial
fossil fuel-fired steam generators’’ to ‘‘cover all
steam generators, including both fossil and
nonfossil fuel-fired steam generators, as well as
steam generators used in industrial, commercial,
and institutional applications;’’ explaining that
‘‘fossil and nonfossil fuel-fired industrial,
commercial, and institutional steam generating
units should be classified together as one source
category . . . [because they] emit similar pollutants,
fire the same fuels, and may employ the same
emission control techniques [and] [t]heir impacts
on human health are similar;’’ determining that the
source category as expanded ‘‘is a significant
contributor and an appropriate source category for
regulation;’’ and adding that ‘‘[t]here is no
requirement that each subcategory of a listed
category . . . also be significant contributors’’) and
‘‘Standards of Performance for New Stationary
Sources, Volatile Organic Liquid Storage Vessels
(Including Petroleum Liquid Storage Vessels)
Constructed After July 23, 1984—Proposed Rule,’’
49 FR 29698, 29700 (July 23, 1984), ‘‘Standards of
Performance for New Stationary Sources: Volatile
Organic Liquid Storage Vessels (Including
Petroleum Liquid Storage Vessels)—Final Rule,’’ 52
FR 11420, 11420 (April 8, 1987) (expanding the
‘‘synthetic organic chemical manufacturing
industry’’ (SOCMI) source category to include
‘‘storage vessels emitting VOC’s located at plants
other than SOCMI plants, such as liquid bulk
storage terminals;’’ explaining that those facilities
‘‘store the same or similar liquids as those at SOCMI
plants and . . . can be controlled with the same
effectiveness, the same costs . . . and the same
control technology as storage vessels located at
SOCMI plants;’’ not making any determination
concerning significant contribution).
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50257
functions that are interrelated and
necessary for getting the recovered gas
ready for distribution, was
unreasonable. We now propose that the
transmission and storage operations are
distinct from production and processing
operations because the natural gas that
enters the transmission and storage
segment has different composition and
characteristics than the natural gas that
enters the production and processing
segments.
The primary operations of the
production and processing segments are
the exploration of crude oil and natural
gas products beneath the earth’s surface,
drilling wells that are used to extract
these products, and processing the
crude oil and field gas for distribution
to petroleum refineries and gas
pipelines. As stated previously in this
section, the EPA described this source
category’s operations similarly when
proposing 40 CFR part 60, subpart KKK
in 1984. 49 FR 2637. The primary
purpose of these segments is to remove
impurities from the extracted product.
At a well site (production segment),
crude oil and natural gas are extracted
from the ground. Some processing can
take place at the well site, such as the
physical separation of gas, production
fluids, and condensate. The separated
gas (‘‘field gas’’) is then sent through
gathering pipelines to the natural gas
processing plant (processing segment).
At the processing plant, the field gas is
converted to sales gas or pipeline
quality gas. This involves several steps
including the extraction of natural gas
liquids (e.g., a mixture of propane,
butane, pentane) from the field gas, the
fractionation of these natural gas liquids
into individual products (e.g., liquid
propane), or both extraction and
fractionation. The final natural gas that
exits the processing plant is sales gas,
which is predominantly methane, as
discussed above. In these segments, the
field gas has physically changed such
that it is a usable product.
Analysis of the composition of gas on
a nationwide basis in the various
industry segments confirms the different
character of the segments. In 2011 and
subsequently in 2018, the EPA
conducted an analysis of the
composition, expressed in percent
volume, of natural gas based on the
methane, VOC, and hazardous air
pollutant (HAP) content across the
various industry segments.53 54 For
53 Memorandum to Bruce Moore, U.S. EPA from
Heather Brown, EC/R. ‘‘Composition of Natural Gas
for use in the Oil and Natural Gas Sector
Rulemaking.’’ July 2011. Docket ID Item No. EPA–
HQ–OAR–2010–0505–0084.
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example, in 2011, the nationwide
composition for the production
segment, which included wells and
unprocessed natural gas, consisted of
approximately 83 percent methane, 4
percent VOC, and less than 1 percent
HAP. In contrast, the transmission
segment, which included pipeline and
sales gas (i.e., post processing),
consisted of approximately 93 percent
methane, 1 percent VOC, and less than
0.01 percent HAP. In 2018, the EPA
reviewed new studies available and
found similar results. The nationwide
composition for the production segment
consisted of approximately 88 percent
methane and 4 percent VOC. In
addition, the EPA determined the data
was insufficient to include HAP in the
final analysis. Limited updated natural
gas composition data were available for
the transmission and storage segment.
These differences in the gas
composition demonstrate that the
emissions profile is different following
gas processing; however, the EPA
recognizes that these numbers are
nationwide and that variations can
occur from basin-to-basin within each
segment. The fact that the original
listing was specific to VOC and SO2
emissions and that emissions of these
pollutants are lower downstream of the
natural gas processing plant further
support our interpretation that the 1979
listing included only the production
and processing segments.
The operations of the transmission
and storage segment differ from
production and processing because in
the former, the natural gas does not
undergo changes in composition, except
for some limited removal of liquids that
condensed during the temperature and
pressure changes as the gas moves
through the pipeline. Therefore, the
natural gas that enters the transmission
and storage segment has approximately
the same composition and
characteristics as the natural gas that
leaves the segment for distribution. The
segment includes natural gas
transmission compressor stations,
whose primary operation is to move the
natural gas through transmission
pipelines by increasing the pressure.
Dehydration, which can also occur at
compressor stations, is a secondary
operation used when the natural gas has
collected water during transmission. At
storage facilities, natural gas is injected
into underground storage for use during
peak seasons.55 When demand
54 Memorandum to U.S. EPA from Eastern
Research Group. ‘‘Natural Gas Composition.’’
November 13, 2018. Docket ID No. EPA–HQ–OAR–
2017–0757.
55 Storage can also take place in above ground
storage vessels; however, it is our understanding
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increases, the natural gas is extracted
from the underground storage,
dehydrated to remove water that has
entered during storage, compressed, and
moved through distribution pipelines. It
is the EPA’s understanding that
processing of field gas generally occurs
within the production and processing
segments. Operators within the
transmission and storage segment
typically do not operate within the
production and processing segments
and vice-versa.
These distinct differences in the
operations, the physical transformation
of the field gas to sales gas, and the
physical movement of sales gas through
pipelines establish that two separate
categories are necessary. This
distinction is similar to the distinction
the EPA has made between other source
categories with segments that handle the
production and processing of a material
and subsequent transport of the product.
One example is the petroleum industry.
In that industry, crude oil is produced
through the extraction of material at
well sites from beneath the earth’s
surface. Crude oil is then transferred to
refineries where it undergoes chemical
and physical changes that result in
various formulations of gasoline. The
refined gasoline is transmitted by
pipeline, ship, barge, or rail to bulk
gasoline terminals that store the product
in large above ground tanks until it is
loaded for transport to distribution
networks. The segments of the
petroleum industry are also demarcated
by product composition, the physical,
and in the case of the petroleum
industry, chemical transformation of
crude oil to refined gasoline products
such as gasoline, jet aircraft fuels, diesel
fuel, motor oil, kerosene, asphalt, and
sulfur. Production facilities,56
refineries,57 and bulk gasoline
terminals 58 all have operational
differences, and the EPA placed them in
three different source categories. Those
operational differences are similar to the
operational differences between the
production and processing segments
and the transmission and storage
segment at issue in this proposal.
It should be noted that in the 2016
NSPS OOOOa rule, the EPA justified
including the transmission and storage
segment in the Crude Oil and Natural
that these are more commonly used after the city
gate, which has not been included in the source
category at any point.
56 U.S. EPA. ‘‘Revised Prioritized List of Source
Categories for NSPS Promulgation.’’ March 1979.
EPA–450/3–79–023.
57 38 FR 15406 (May 4, 1973); 39 FR 9315 (March
8, 1974).
58 45 FR 83126 (December 12, 1980); 48 FR 37578
(August 18, 1983).
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Gas source category partly because some
similar equipment (e.g., storage vessels,
pneumatic pumps, compressors) is used
across the industry. While that is true,
the differences in the operations of, and
the emission profiles of, the different
segments are more significant and
support our proposal to exclude the
transmission and storage segment from
the source category. A review of 2016
NSPS OOOOa compliance reports from
sources in the EPA Regions (3, 6, 8, 9,
and 10) with the greatest oil and natural
gas activity indicates that there were no
storage vessels emitting more than 6
tons per year (tpy) VOC reported in the
transmission and storage segment.59
This supports our understanding that
VOC emissions are lower in the
transmission and storage segment and
supports our understanding that any gas
processing that occurs in the
transmission and storage segment
generally is limited to removing liquids
that condensed during the temperature
and pressure changes as the gas moves
through the pipeline.
In summary, the EPA has not
identified information from the original
source category listing that indicates the
transmission and storage segment was
included in the Crude Oil and Natural
Gas Production source category. In fact,
in 1985, the date of the first standards
that the EPA promulgated for the source
category, the EPA clearly indicated that
the source category was limited (and
should be limited) to the production
and processing segments. Further, there
are distinct differences in operations
and differences in the emissions profiles
between the production and processing
segments and the transmission and
storage segment. We are, therefore,
proposing to exclude transmission and
storage sources from the Crude Oil and
Natural Gas Production source category.
B. Rescission of the NSPS for Sources in
Transmission and Storage Segment
A prerequisite for the EPA to
promulgate an NSPS applicable to new
sources is that the new sources must be
in a source category that the EPA has
listed under CAA section 111(b)(1). For
the reasons stated in section IV.A
immediately above, the EPA is
proposing to rescind as improper the
2012 and 2016 rules’ interpretations or
extension of the source category to
encompass sources in the transmission
and storage segment. Under the
proposed rescission, transmission and
storage sources would not be contained
59 These reports have since been made available
for public viewing at https://www.foiaonline.gov/
foiaonline/action/public/submissionDetails?
trackingNumber=EPA-HQ-2018001886&type=request.
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within a listed source category.
Accordingly, the promulgation of NSPS
for transmission and storage sources
was contrary to law, and as a result, the
EPA is also proposing to rescind the
NSPS in OOOO and OOOOa for
emission sources in the transmission
and storage segment. Specifically, we
are proposing to rescind the
requirements for compressor affected
facilities located downstream of the
natural gas processing plant; pneumatic
controllers located downstream of the
natural gas processing plant; storage
vessel affected facilities located
downstream of the natural gas
processing plant; and the affected
facility that is the collection of fugitive
emission components located at a
compressor station.
C. Status of Sources in Transmission
and Storage Segment
If this proposal is finalized, the
transmission and storage segment will
revert to the status of a segment of the
oil and natural gas industry not listed as
a source category under CAA section
111(b)(1)(A) and, thus, will not be
subject to regulation under CAA section
111(b) (for new sources) or CAA section
111(d) (for existing sources that emit
certain air pollutants). The emission
sources in the transmission and storage
segment will be in the same position as
emissions sources in other industries
that the EPA has not listed as a source
category under CAA section
111(b)(1)(A).
In the future, the EPA may evaluate
these emissions more closely and
determine whether the transmission and
storage segment should be listed as a
source category under CAA section
111(b)(1)(A).60
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D. Rescission of the Applicability to
Methane of the NSPS for Production
and Processing Segments
As the second of the two steps of its
primary proposal, the EPA also is
proposing to rescind the methane
requirements of the NSPS applicable to
60 Methane emissions from the transmission and
storage segment are 32 MMT CO2 Eq. (1,295 kt
methane) per the Inventory of United States
Greenhouse Gas Emissions and Sinks: 1990–2017
(published April 11, 2019), which amounts to 5
percent of United States methane emissions and 0.5
percent of total U.S. GHG emissions on a CO2
equivalent basis (using a GWP of 25 for methane).
With respect to VOC emissions, the transmission
and storage segment emitted 16,252 tons in 2014,
which amounts to just 0.51 percent of national VOC
emissions from that year. With respect to SO2
emissions, there were 663 tons emitted from the
transmission and storage segment in 2014, or just
0.79 percent of national SO2 emissions. For HAP
emissions, the transmission and storage segment
emitted 1,143 tons in 2014, or just 0.01 percent of
national HAP emissions for that year.
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sources in the production and
processing segments. The EPA is
proposing to find that, in the specific
circumstances presented here, the EPA
lacked a rational basis to establish
standards of performance for methane
emissions from the production and
processing segments because those
requirements are entirely redundant
with the existing NSPS for VOC,
establish no additional health
protections, and are, thus, unnecessary.
Rescinding the applicability to methane
emissions of the 2016 NSPS OOOOa
requirements, while leaving the
applicability to VOC emissions in place,
will not affect the amount of methane
reductions that those requirements will
achieve, given the 2016 NSPS OOOOa
compliance monitoring assurances,
including technologies and frequency of
monitoring.
It is rational for the EPA to determine
that requirements that are redundant to
other requirements are not necessary
because they do not result in emission
reductions beyond what would
otherwise occur. For example, in its
1977 proposed NSPS for Lime
Manufacturing Plants, the EPA
proposed (and later promulgated) NSPS
for particulate matter (PM) from lime
plants, but not SO2, and explained that
the particulate controls would have the
effect of adequately controlling SO2. 42
FR 22506, 22507 (May 3, 1977). See
National Lime Assoc. v. EPA, 627 F.2d
416, 426 n.27 (D.C. Cir. 1980) (quoting
statements in the EPA’s proposal). In
effect, the EPA recognized that SO2
requirements would be redundant to PM
requirements, and, for that reason,
declined to impose SO2 requirements.61
The current NSPS requirements as
applied to methane are redundant with
the NSPS requirements as applied to
VOC. Indeed, for each emission source
in the source category subject to the
NSPS, the requirements overlap
completely. To understand this, it is
important to recognize the emissions
profile and control technology for these
emission sources. Each emission source
in the source category emits methane
and VOC as co-pollutants through the
same emission points and processes.
The requirements of the NSPS,
including the emission limits, required
controls or changes in operations,
monitoring, recordkeeping, reporting,
61 Similarly, the EPA declined to propose NSPS
for (i) nitrogen oxides because they are emitted in
low concentrations or (ii) carbon dioxide because,
among other things, regulation would produce little
environmental benefit, 42 FR 22507. These
rationales for not proposing controls for air
pollutants are similar to the redundancy rationale—
in all cases, the essential point is that any controls
would not result in meaningful emission
reductions.
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50259
and all other requirements, apply to
each emission source’s emission points
and processes and, therefore, to each
emission source’s methane and VOC
emissions, in precisely the same way.
The capture and control devices that the
emission sources use to meet the NSPS
requirements are the same for these copollutants and are not selective with
respect to either VOC or methane
emissions (though the concentration of
VOC and methane in the gas emitted
from any particular source will vary
across types of affected facilities and
geographic basins).62
As a result, rescinding the
applicability of the NSPS requirements
to methane emissions will have no
impact on the amount of methane
emissions. Each affected facility in the
production and processing segments
will remain subject to the same NSPS
requirements for VOC to which it was
subject prior to the rescission, and those
requirements will have the same impact
in reducing the emission source’s
methane emissions as before the
rescission of the methane requirements.
For example, the requirements for the
collection of fugitive emissions
components located at a well site
include the periodic monitoring for
fugitive emissions using an optical gas
imaging (OGI) instrument. This
instrument provides real-time visual
images of HC gas emissions by using
spectral wavelength filtering and an
array of infrared (IR) detectors to
visualize the IR absorption of HC and
other gaseous compounds. As the gas
absorbs radiant energy at the same
waveband that the filter transmits to the
detector, the motion of the gas is
imaged. Since VOC and methane
emissions can be imaged within the
same waveband, the OGI instrument
does not allow differentiation or
speciation of the content of the
emissions. Once a fugitive emission is
identified with OGI, it must be repaired.
Therefore, the same components are
monitored and repaired, regardless of
the content of the emissions from the
affected facility. Thus, the proposed
rescission of the applicability to
methane will not change the
applicability of the fugitive emissions
requirements. The same is true for the
other NSPS requirements.
Other examples include the
requirements for pneumatic controllers,
pneumatic pumps, and compressors.
62 Similarly, the capture and control technologies
used to reduce VOC and methane emissions are also
effective in reducing each source’s emissions of
volatile HAP. Please note that while co-control is
a favorable result, 40 CFR part 60, subpart OOOOa
does not apply to HAP emissions from the source
category.
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Pneumatic controllers are automated
instruments used for maintaining a
process condition such as liquid level,
pressure, pressure differential, and
temperature. Pneumatic controllers
make use of the available high-pressure
natural gas to operate or control a valve.
Natural gas may be released from these
‘‘gas-driven’’ pneumatic controllers with
every valve movement and continuously
from the valve control pilot. Continuous
bleed pneumatic controllers can be
classified into two types based on their
emissions rates: (1) High-bleed
controllers and (2) low-bleed
controllers. Replacing high-bleed
controllers with low-bleed controllers
(or no-bleed and non-gas-driven
controllers) non-selectively reduces
methane and VOC emissions. Pneumatic
pumps are devices that use gas pressure
to drive a fluid by raising or reducing
the pressure of the fluid by means of a
positive displacement, a piston or a set
of rotating impellers. Gas powered
pneumatic pumps are generally used at
oil and natural gas production sites
where electricity is not readily available
(Gas Research Institute/EPA, 1996) and
can be a significant source of methane
and VOC emissions. Routing pneumatic
pump emissions to a pre-existing on-site
control device, which combusts the gas,
reduces methane and VOC emissions
non-selectively. Emissions from
compressors occur when natural gas
leaks around moving parts in the
compressor. In a reciprocating
compressor, emissions occur when
natural gas leaks around the piston rod
when pressurized natural gas is in the
cylinder. Over time, during operation of
the compressor, the rod packing system
becomes worn and will need to be
replaced to prevent excessive leaking
from the compression cylinder.
Replacement of the compressor rod
packing, replacement of the piston rod,
and the refitting or realignment of the
piston rod reduces methane and VOC
emissions non-selectively. Emissions
from centrifugal compressors depend on
the type of seal used: Either ‘‘wet,’’
which uses oil circulated at high
pressure, or ‘‘dry,’’ which uses a thin
gap of high-pressure gas. The use of dry
gas seals substantially reduces
emissions. Routing emissions to the
combustion device is also an option for
reducing emissions from centrifugal
compressors. In either case, the use of
dry seals or combustion device reduces
methane and VOC non-selectively. The
proposed rescission of applicability to
methane will not change the
applicability of these requirements or
that methane will be reduced as a coreduction of VOC.
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Furthermore, any fugitive detection
and measurement approach currently
approved or approved under the
Alternative Means of Emissions
Limitations that speciates emissions,
would still identify fugitive emissions
as defined by any visible emissions
observed using OGI and require repair.
That is, the NSPS requirements as
applied to VOC will reduce methane in
the same amounts as those
requirements, as applied to methane,
would as long as OGI with current
levels of sensitivity to methane continue
to be used. The EPA is aware that
several new technologies are under
development that would detect
speciated fugitive emissions from oil
and natural gas operations. We solicit
comment on these new technologies and
the need to evaluate the current fugitive
emission detection technology
specifications to determine that the
level of control remains as protective.
As the EPA noted in the proposal for
the 2016 NSPS OOOOa rule, the EPA
has discretion to determine which
pollutants emitted from a listed source
category warrant regulation. The EPA
has historically considered, among other
things, the amount of the pollutant and
‘‘ha[s] ‘historically declined to propose
standards for a pollutant [that] is
emit[ted] in low amounts. . . .’ ’’ 80 FR
56599 (quoting 75 FR 54970, 54997
(September 9, 2010).63 In the case of the
Oil and Natural Gas source category,
there are no methane emissions from the
sources subject to the NSPS beyond
those emissions already subject to
control by the provisions to control VOC
in the NSPS. Accordingly, there is no
need to add NSPS requirements
applicable to methane.64 65
63 This
discussion assumes that the EPA will
retain the statutory interpretation set forth in the
2016 NSPS OOOOa rule of its authority under CAA
section 111 to add new regulations to previouslyregulated source categories, and that it will not
adopt the alternative statutory interpretation on
which it solicits comment in section VI.A below.
64 In the 2016 NSPS OOOOa final rule, the EPA
stated: While the controls used to meet the VOC
standards in the 2012 NSPS also reduce methane
emissions incidentally, in light of the current and
projected future GHG emissions from the oil and
natural gas industry, reducing GHG emissions from
this source category should not be treated simply
as an incidental benefit to VOC reduction; rather,
it is something that should be directly addressed
through GHG standards in the form of limits on
methane emissions under CAA section 111(b) based
on direct evaluation of the extent and impact of
GHG emissions from this source category and the
emission reductions that can be achieved through
the best system for their reduction. The standards
detailed in this final action will achieve meaningful
GHG reductions and will be an important step
towards mitigating the impact of GHG emissions on
climate change. 81 FR 35841.
After further consideration, the EPA proposes to
come to a different conclusion about the need for
methane requirements, for the reasons discussed in
this section and below.
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The EPA recognizes that in proposing
to rescind one set of standards in part
for its redundancy with another set, the
EPA is choosing to rescind the
applicability of those standards to
methane emissions and not VOC
emissions, rather than vice-versa.
Rescinding the methane-specific
standards is reasonable because the
requirements for VOC and
correspondingly, sources’ compliance
with those requirements, are longer
established than those for methane. As
described earlier, the EPA regulated
VOC first, beginning in 1985 and
continuing in 2012, and then added
regulation of methane for some sources
in 2016.
Additionally, redundancy is not
uniform across affected facilities in the
sector. Some sources, such as storage
vessels, are subject only to VOC
requirements and not methane
requirements. For those sources, it
cannot be said that regulation of VOC is
redundant to regulation of methane
because the EPA has not regulated
methane from them. For these reasons,
in choosing between the two
requirements, the EPA considers it
appropriate and less disruptive to
rescind the methane standards.
V. Rationale for Alternative Proposal
To Rescind the Methane Standards for
All Sources in the Oil and Gas Source
Category Without Revising the Source
Category
A. Alternative Proposed Action To
Rescind the Methane Standards
In this action, the EPA is proposing in
the alternative to rescind the methane
65 The EPA notes that removing the applicability
of the NSPS to methane emissions does not alter the
basis for the applicability of the NSPS to VOC
emissions for affected sources in the source
category, which for some affected sources have been
regulated since the 2012 NSPS OOOO rule. To
determine BSER, the EPA assesses a set of factors,
which include the amount of emissions reduction,
costs, energy requirements, non-air quality impacts,
and the advancement of particular types of
technology or other means of reducing emissions,
and retains discretion to weight the factors
differently in any case. In the 2016 NSPS OOOOa,
the EPA gave primary weight to the amount of
emission reductions and cost. The EPA describes
this analysis in depth in the 2015 NSPS OOOOa
proposal at 80 FR 56618–56620 and 80 FR 56625–
56627. For the source types in the production and
processing segments, the NSPS requirements,
considered on a VOC-only basis, are cost effective
(relatively low cost and relatively high emissions
reductions). See memorandum titled ‘‘Draft Control
Cost and Emission Changes under the Proposed
Amendments to 40 CFR part 60, subpart OOOOa
Under Executive Order 13783,’’ in the public docket
for this action. The EPA provides this information
for the benefit of the public and is not reopening
the above-described determination in the 2016
NSPS OOOOa that the VOC-only requirements for
sources in the production and processing segments
meet the requirements of CAA section 111.’’
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requirements in the 2016 NSPS OOOOa
without any action that would address
the scope of the industry segments
covered by these requirements or to
alter the VOC requirements applicable
to those industry segments. In contrast
to the proposal discussed above in
section IV, this alternative proposal
does not affect the scope of the source
category, including the types of sources
included in the source category. Thus,
this alternative proposal would not
eliminate sources in the transmission
and storage segment from the source
category. This alternative proposal is
based on the rationale described below.
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B. Rationale for Rescinding the Methane
Standards
Under this alternative proposal, the
EPA’s basis for proposing to rescind the
applicability to methane of the NSPS for
all sources in the source category is
essentially the same as the EPA’s basis
for proposing the same action for
sources in the production and
processing segments, described in
section IV above. Briefly, the EPA is
proposing to rescind the methane
requirements applicable to the source
category because they are wholly
redundant with the existing VOC
requirements.66 67 Section VI of this
66 As noted above, in the 2015 proposal for the
2016 NSPS OOOOa rule, we justified regulating
methane emissions on grounds that ‘‘reducing
methane emissions from this source category cannot
be treated simply as an incidental benefit to VOC
reduction,’’ 80 FR 56599, but our current view is
that what is important is that the VOC requirements
will assure that the methane emissions reductions
occur. In addition, as noted above, the cost
effectiveness of the VOC requirements for sources
in the production and processing segments supports
retaining those requirements for those sources, and
we are not reopening our determination in the 2016
OOOOa NSPS that, on a VOC-only basis, the
requirements for sources in the production and
processing segments meet CAA section 111
requirements. The same is true for the sources in
the transmission and storage segment under this
alternative proposal. We consider VOC emissions
regulation alone to qualify as NSPS based on the
BSER. As we noted with respect to sources in the
production and processing segments, removing the
applicability of the NSPS to methane emissions
does not alter the basis for the applicability of the
NSPS to VOC emissions for affected sources in the
source category, which for some affected sources
have been regulated since the 2012 NSPS OOOO
rule. To determine BSER, the EPA assesses a set of
factors, which include the amount of emissions
reduction, costs, energy requirements, non-air
quality impacts, and the advancement of particular
types of technology or other means of reducing
emissions; this assessment requires the EPA to
exercise discretion in weighing these factors against
each other. In the 2016 NSPS OOOOa, the EPA gave
primary weight to the amount of emission
reductions and cost. The EPA describes this
analysis in depth in the 2015 proposal at 80 FR
56616 to 56645. The EPA provides this information
for the benefit of the public and is not reopening
the above-described VOC-only BSER determination
for the production, processing, transmission, and
storage segments made in the 2016 NSPS OOOOa.
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preamble takes comment on alternative
questions of statutory interpretation and
associated potential record
determinations which, if the EPA were
to adopt them, might provide an
additional or alternative basis for both
the primary and the alternative
proposal.
VI. Solicitation of Comment on
Significant Contribution Finding for
Methane
As noted above, the primary and
alternative proposals set forth in this
notice rely on the EPA’s previous
position, which it took in the 2016
NSPS OOOOa rule, that (1) CAA section
111 does not require the Agency to
make a pollutant-specific determination
that the Crude Oil and Natural Gas
Production source category’s emissions
of methane cause or contribute
significantly to air pollution that may
reasonably be anticipated to endanger
public health or welfare, as a
prerequisite to promulgating an NSPS
for methane; and (2) in the alternative,
if CAA section 111 were interpreted to
require such a determination for the
2016 NSPS OOOOa rule, the source
category’s emissions do cause or
contribute significantly to air pollution
that may reasonably be expected to
endanger public health or welfare.68
Although the determination that CAA
section 111(b)(1)(A) requires is
commonly referred to as an
‘‘endangerment finding,’’ it entails two
separate elements: (1) A finding that
certain air pollution may reasonably be
anticipated to endanger public health or
welfare, and (2) a finding that the source
category’s emissions of air pollutants
cause or contribute significantly to that
air pollution. This section focuses on
67 80 FR 56616 to 56645, 83 FR 52056, and
memorandum titled ‘‘Draft Control Cost and
Emission Changes under the Proposed
Amendments to 40 CFR part 60, subpart OOOOa
Under Executive Order 13783,’’ in the public docket
for this action.
68 In the 2016 NSPS OOOOa rule, the EPA stated:
Some commenters have argued that the EPA is
required to make a new endangerment finding
before it may set limitations for methane from the
oil and natural gas source category. We
disagree. . . . Moreover, even if CAA section 111
required the EPA to make an endangerment finding
as a prerequisite for this rulemaking, then, the
information and conclusions described above . . .
should be considered to constitute the requisite
finding (which includes a finding of endangerment
as well as a cause-or-contribute significantly
finding). More specifically, . . . [t]he facts [that the
EPA marshaled in support of the 2009
Endangerment Finding] have only grown stronger
and the potential adverse consequences of GHG to
public health and the environment more dire [since
2009]. The facts also demonstrate that the current
methane emissions from oil and natural gas
production sources and natural gas processing and
transmission sources contribute substantially to
nationwide GHG emissions. 81 FR at 35843.
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the latter element, which we refer to as
the ‘‘significant contribution finding’’
(SCF). It should also be noted that in
prior contexts in which the EPA has
made these findings with regard to
GHG, including the 2016 NSPS OOOOa
rule, the EPA has considered the ‘‘air
pollution’’ that may reasonably be
anticipated to endanger public health or
welfare to be the elevated concentration
in the atmosphere of six well-mixed
gases (of which, CO2 and methane are
emitted in the largest quantities); and
the EPA has considered the ‘‘air
pollutants’’ that may cause or contribute
to that air pollution to be the same six
GHG. See 81 FR 35843. In the 2016
NSPS OOOOa rule, for convenience, the
EPA sometimes referred to the ‘‘air
pollutants’’ as methane, in recognition
of the fact that methane is the largest
quantity of GHG emitted by the Oil and
Natural Gas source category. We take
the same approach and use the same
terminology in this rulemaking.
In this proposal, the EPA proposes to
retain its current interpretation that it is
not required to make a pollutantspecific SCF, for the same reasons that
it noted in the 2016 NSPS OOOOa rule.
81 FR at 35841–43. However, the EPA
solicits comment on whether it should
revise its positions in the 2016 NSPS
OOOOa rule concerning the
requirement to make a pollutant-specific
SCF under CAA section 111(b), as well
as, in light of the statutory term
‘‘significantly contributes to,’’ the level
of contribution that methane from oil
and natural gas sources makes to GHG
air pollution. In particular, in
subsections A, B, and C of this section,
the EPA solicits comment on (A)
whether CAA section 111 requires the
EPA to make a pollutant-specific SCF
for GHG emissions (again, primarily
methane) from the source category as a
prerequisite to regulating those
emissions; (B) if so, whether the SCF for
methane emissions from the source
category that the EPA made in the
alternative in the 2016 NSPS OOOOa
rule properly satisfied that requirement;
and (C) what criteria are appropriate for
the EPA to consider in making a SCF,
both as a general matter and with
particular reference to GHG emissions
generally and to methane emissions
from this source category most
particularly. Further, the EPA solicits
comment on whether, should we
determine (1) that it was necessary as a
matter of law for the EPA to have made
a pollutant-specific SCF finding for
GHG emissions (or, if the statute does
not compel that interpretation, whether
that is a reasonable interpretation); and
(2) that the SCF for methane emissions
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from the source category that the EPA
made in the alternative in the 2016
NSPS OOOOa rule did not properly
satisfy that requirement, those
determinations, in and of themselves,
would either compel us or authorize us
to repeal the 2016 NSPS OOOOa rule.
A. Requirement for Pollutant-Specific
Significant Contribution Finding
As noted earlier, CAA section
111(b)(1) sets out a multi-step process
for the EPA to promulgate NSPS. First,
the EPA is required to list a source
category if ‘‘in [the Administrator’s]
judgment it causes, or contributes
significantly to, air pollution which may
reasonably be anticipated to endanger
public health or welfare.’’ CAA section
111(b)(1)(A). Then, the EPA is required
to propose and then promulgate
‘‘standards of performance for new
sources within such category.’’ CAA
section 111(b)(1)(B). A ‘‘standard of
performance’’ is defined as ‘‘a standard
for emissions of air pollutants’’ that the
EPA is required to calculate through a
particular methodology. CAA section
111(a)(1). The EPA has interpreted these
provisions to require that it make a SCF
for the combined air pollutant
emissions, taken as a whole, from the
source category in order to list the
source category, and then to require it
to promulgate standards of performance
for the emissions once it has listed the
source category, but not require it to
make pollutant-specific SCFs as another
prerequisite to promulgating those
standards of performance. 80 FR 64529–
31 (Electricity Generating Units (EGU)
CO2 NSPS rule), 81 FR 35841–42 (2016
NSPS OOOOa rule).
The EPA articulated this
interpretation of CAA section
111(b)(1)(A) during the course of two
rulemakings to promulgate NSPS for
GHG, completed in 2015–2016, but
commenters called it into question. In
those rulemakings, the EPA
promulgated, for the first time, NSPS for
GHG, primarily CO2, from fossil-fuel
fired EGUs (including steam-generating
boilers and combustion turbines),
‘‘Standards of Performance for
Greenhouse Gas Emissions from New,
Modified, and Reconstructed Stationary
Sources: Electric Utility Generating
Units—Final Rule,’’ 80 FR 64510, 64530
(October 23, 2015) (EGU CO2 NSPS
rule),69 and methane from the Crude Oil
and Natural Gas Production source
category, 81 FR 35843 (the 2016 NSPS
69 In the EGU CO NSPS rule, the EPA considered
2
the ‘‘air pollutants’’ relevant for the SCF to be
GHGs, but because CO2 was the GHG emitted in the
greatest quantity by EGUs, the EPA often described
that finding as referring to CO2. 80 FR 64531 and
n.110; 64537.
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OOOOa rule). In the proposal for the
EGU CO2 NSPS rule, the EPA took the
position that it was not required to make
a pollutant-specific SCF for CO2
emissions from EGUs in order to
promulgate an NSPS regulating those
emissions. 79 FR 1430, 1452–55
(January 8, 2014). Commenters stated
that under the EPA’s interpretation, the
EPA would have the authority to
promulgate an NSPS for a air pollutant
that a source category emits in relatively
small amounts (or, with respect to the
endangerment finding, that is relatively
benign in its effect on public health or
welfare). This is because, under the
EPA’s interpretation, once the Agency
lists a source category, it proceeds to
regulate a particular air pollutant
emitted from the category without being
required to make a SCF for the source
category’s emissions of that air
pollutant. See generally 81 FR 35843; 80
FR 64530. These concerns about the two
GHG NSPS rulemakings are highlighted
by the fact that when the EPA listed the
source categories—EGU SteamGenerating Boilers in 1971, Combustion
Turbines in 1977, and Crude Oil and
Natural Gas Production in 1979—and
first began to regulate them, the EPA did
not mention GHG. Rather, the SCFs for
the source categories did not identify
the air pollutants, and the initial
regulations—which were largely
contemporaneous with the listing
notices—concerned emissions of other
air pollutants. See 36 FR 5931 (March
31, 1971), 36 FR 24876 (December 23,
1971) (EGU Steam-Generating Boilers;
(PM, SO2, NOX); 42 FR 53657, 42 FR
53782 (October 3, 1977), (EGU
Combustion Turbines; SO2, NOX); 44 FR
49222 (August 21, 1979) (Crude Oil and
Natural Gas Production; HC and SO2).
Thus, there is no indication that the
EPA considered GHG in listing the
source categories.
In both the EGU CO2 NSPS rule and
the 2016 NSPS OOOOa rule, the EPA
asserted that CAA section 111
authorizes it to regulate a source
category’s emissions of an air pollutant
without a pollutant-specific SCF as long
as the EPA has a ‘‘rational basis’’ for
doing so. The EPA based this view on
previous rulemakings, in which the EPA
had declined to promulgate NSPS for
certain air pollutants from various
source categories on grounds that the
amounts of emissions of those air
pollutants were so small that regulating
them would not be rational, and on D.C.
Circuit caselaw.70 In the EGU CO2 NSPS
70 Specifically, in the 2016 NSPS OOOOa rule,
the EPA stated that in National Lime Assoc. v. EPA,
627 F.2d 416 (D.C. Cir. 1980), the Court had
‘‘discussed, but did not review, the EPA’s reasons
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rule and the 2016 NSPS OOOOa rule,
the EPA went on to determine that it did
have a rational basis for regulating CO2
and methane, respectively, which
consisted of assessing the amount of
emissions of the GHG from the source
category in the light of various metrics,
coupled with the fact that the EPA had
previously determined, in the 2009
Endangerment Finding, that six wellmixed gases constitute GHG air
pollution that may reasonably be
anticipated to endanger public health
and welfare under section 202(a) of the
CAA. ‘‘Endangerment and Cause or
Contribute Findings for Greenhouse
Gases Under Section 202(a) of the Clean
Air Act—Final rule,’’ 74 FR 66496
(December 15, 2009) (2009
Endangerment Finding). It should be
noted that in both the EGU CO2 NSPS
rule and the 2016 NSPS OOOOa rule,
the EPA also stated that, in the
alternative, if it were required to make
a pollutant-specific SCF for GHG (with
a focus on CO2 and methane,
respectively), it was making that
finding, citing the same information that
it relied on for the rational basis
determinations. See 80 FR 64529–31
(EGU CO2 NSPS rule), 81 FR 35841–43
(2016 NSPS OOOOa rule) (both citing
the 2009 Endangerment Finding).
In this action, we solicit comment on
whether the interpretation of CAA
section 111(b)(1)(A) that the EPA set
forth in the 2016 NSPS OOOOa rule is
correct, or instead whether that
provision should be interpreted to
require that the EPA make a SCF on a
pollutant-specific basis for a source
category as a prerequisite for regulating
emissions of that pollutant from the
for not promulgating standards for NOX, SO2, and
CO from lime plants.’’ See 81 FR 35842; see also
80 FR 64530. The discussion in National Lime
Assoc. consisted of the Court’s observation, in
setting forth the procedural history of the
rulemaking at issue, that ‘‘[a]lthough lime plants
were determined to be sources of nitrogen oxides,
carbon monoxide and sulfur dioxide as well as
particulates,’’ standards ‘‘were proposed and
ultimately promulgated only with respect to
particulate matter.’’ 627 F.2d at 426. In a footnote,
the Court then quoted at length from a portion of
the preamble to the proposed NSPS in which the
EPA had ‘‘explained its decision not to propose
standards’’ for those three pollutants. Id. at 426
n.27. The only place the phrase ‘‘rational basis’’
appears in National Lime Assoc. is located in a
passage in which the Court rejects industry’s claim
that the EPA had erred in its ‘‘determination that
lime manufacturing plants ‘may contribute
significantly to air pollution which causes or
contributes to the endangerment of public health or
welfare.’ ’’ Id. at 431 n.48. Said the Court: ‘‘We think
the danger of particulate emissions’ effect on health
has been sufficiently supported in the Agency’s
. . . previous determinations to provide a rational
basis for the Administrator’s finding in this case.’’
Id. (emphases added). ‘‘Moreover,’’ the Court
continued, ‘‘whatever its impact on public health,
we cannot say that a dust ‘nuisance’ has no impact
on public welfare.’’ Id. (emphasis added).
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source category. The EPA also solicits
comment on whether (1) either its
current interpretation or the alternative
interpretation discussed in this
subsection is the only permissible
interpretation of the SCF provision, or
(2) that provision is ambiguous and
leaves room for the exercise of policy
discretion on the EPA’s part as to which
circumstances call for a pollutantspecific SCF as a predicate for
regulating an additional pollutant
emitted from an already-listed source
category, and, if the latter, whether GHG
emissions in general or methane
emissions from the oil and natural gas
sector in particular present specific
circumstances making a pollutantspecific SCF appropriate or required for
this source category. If the provision is
ambiguous, the benefits of assuring that
only pollutants for which the EPA
makes a SCF become subject to NSPS,
as opposed to pollutants that, for
example, may be emitted in relatively
minor amounts, support interpreting the
provision to require a pollutant-specific
SCF.
The provisions in CAA section
111(b)(1)(A) that require the
Administrator to ‘‘include a category of
sources in such list if in his judgment
it causes, or contributes significantly to,
air pollution which may reasonably be
anticipated to endanger public health or
welfare,’’ when read in isolation and
when compared to analogous text in
other provisions of similar import
elsewhere in the CAA, e.g., section
202(a)(1) and other provisions noted
below, does appear to contemplate that
the EPA is required to make a SCF for
the source category only when it is first
added to the list. This was the basis for
the EPA’s position in the EGU CO2
NSPS rule and the 2016 NSPS OOOOa
rule that the Agency is not required to
make a pollutant-specific SCF in order
to regulate an additional pollutant from
an already-listed source category.
However, even if the wording of the
SCF does suggest that the EPA is
required to make that finding only when
listing a source category, the EPA is
mindful that an Agency ‘‘[may] avoid a
literal interpretation at Chevron step
one . . . [by] show[ing] either that, as a
matter of historical fact, Congress did
not mean what it appears to have said,
or that, as a matter of logic and statutory
structure, it almost surely could not
have meant it.’’ Engine Mfrs. Ass’n v.
EPA, 88 F.3d 1075, 1089 (D.C. Cir.
1996).71 We solicit comment on whether
71 See, e.g., Logan v. U.S., 552 U.S. 23, 36–37
(2007) (‘‘[s]tatutory terms, we have held, may be
interpreted against their literal meaning where the
words ‘could not conceivably have been intended
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the discussion below provides either
reasons that Congress ‘‘almost surely
could not have meant’’ the SCF
provision to mean what the EPA read it
to mean in the 2016 NSPS OOOOa rule,
evidence that ‘‘as a matter of historical
fact Congress did not mean’’ that, or
both—and, if so, whether the EPA is
required to, or whether it would be
reasonable for the EPA to, adopt an
alternative interpretation of CAA
section 111(b)(1)(A) under which the
EPA is required to make a pollutantspecific SCF in order to regulate a
particular pollutant emitted by a source
category.
There are several reasons why this
approach to interpreting CAA section
111(b)(1)(A) might be reasonable. The
first is the potentially anomalous results
that could occur under the EPA’s
current interpretation that CAA section
111(b)(1)(A) does not require a
pollutant-specific SCF. For example,
under the EPA’s current interpretation,
the EPA could list a source category on
grounds that it emits numerous air
pollutants that, taken together,
significantly contribute to air pollution
that may reasonably be anticipated to
endanger public health or welfare, and
proceed to regulate each of those
pollutants, without ever finding that
each (or any) of those air pollutants by
itself causes or contributes significantly
to—or, in terms of the text of other
provisions, causes or contributes to—air
pollution that may reasonably be
anticipated to endanger public health or
welfare. It is clear that CAA section
111(b) requires the EPA, and CAA
section 111(d) requires the states, to
regulate on a pollutant-by-pollutant
basis—CAA section 111(b)(1)(B) and
(d)(1) require the EPA and the states,
respectively, to promulgate for the
affected sources ‘‘standards of
performance,’’ which, as noted above,
are defined in relevant part as
‘‘standard[s] for emissions of air
pollutants’’—as a result, it seems
potentially anomalous not to require
that the EPA make a SCF for those
pollutants as a prerequisite for
promulgating the standards of
performance.
to apply’ to the case at hand [citation omitted]’’;
U.S. v. Ron Pair Enterprises, 489 U.S. 235, 242
(1989) (literal meaning of a statutory provision is
not conclusive ‘‘in the ‘rare cases [in which] the
literal application of a statute will produce a result
demonstrably at odds with the intentions of the
drafters’. . . [in which case] the intention of the
drafters, rather than the strict language, controls’’
[citation omitted]); Watt v. Alaska, 451 U.S. 259,
266 (1981) (‘‘[t]he circumstances of the enactment
of particular legislation may persuade a court that
Congress did not intend words of common meaning
to have their literal effect’’).
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Second, although the EPA’s current
interpretation that only a ‘‘rational
basis’’ is needed to justify regulating
emissions of an additional pollutant
from an already-listed source category
offers some protection against arbitrary
or capricious decisions by the EPA, that
type of determination appears to be
largely undefined. CAA section
111(b)(1)(A) does not provide or suggest
any criteria to define it. In the EGU CO2
NSPS and 2016 NSPS OOOOa rules, the
EPA did not describe any criteria for
applying that approach, and in
instances before then in which the EPA
has relied on the ‘‘rational basis’’
approach, the EPA has done so to justify
not setting standards for a given
pollutant, rather than to justify setting a
standard for a pollutant. 80 FR 64530.
The EPA solicits comment on whether
it is rational to interpret the SCF
provision as setting a specific finding
that needs to be made only one time (at
the stage of source category listing),
with the standard for the subsequent
regulation of some other pollutant
emitted from that source category
defaulting to rational basis, a standard
which applies to any action the EPA or,
in fact, any agency, takes, see 5 U.S.C.
706(2)(A) (under the Administrative
Procedure Act, agency decisions may be
set aside if they are ‘‘arbitrary,
capricious, an abuse of discretion, or
otherwise not in accordance with law’’),
or whether instead Congress ‘‘almost
surely could not have meant’’ that.
Third, the other sections of the CAA,
cited below, under which the EPA
makes an endangerment and cause or
contribute finding as a prerequisite for
regulating emissions, do generally
contemplate that the cause or contribute
finding will be made on a pollutantspecific basis. The fact that Congress
saw fit to frame the cause or contribute
requirement on a pollutant-specific
basis for other CAA provisions might
reasonably be viewed as heightening the
anomaly of interpreting CAA section
111(b)(1)(A) not to impose the same
requirement. The EPA solicits comment
on whether its current interpretation of
the CAA section 111 SCF provision, as
set forth in the 2016 NSPS OOOOa rule,
correctly determined that this apparent
anomaly is, in fact, a deliberate and
significant variation on Congress’s part,
or whether instead Congress ‘‘almost
surely could not have meant’’ that.
In addition, the legislative history of
CAA section 111(b)(1)(A) contains
several items that might be read to
indicate that Congress did ‘‘as matter of
historical fact’’ intend to require that the
EPA make a pollutant-specific SCF as a
prerequisite for regulating any particular
pollutant emitted by a source category.
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Congress added CAA section 111 when
it amended the CAA in 1970. At that
time, Congress drafted CAA section
111(b)(1) in much the same form as it
appears today, explicitly requiring the
endangerment finding, including the
SCF, on the basis of the source category,
although it phrased the finding
somewhat differently: ‘‘[The
Administrator] shall include a category
of sources in such list if he determines
it may contribute significantly to air
pollution which causes or contributes to
the endangerment of public health or
welfare.’’ 42 U.S.C. 1857c–6(b)(1)(A)
(1970). At the same time, Congress
added several other provisions that
contemplated that the EPA would make
endangerment or cause or contribute
findings, and although Congress used
somewhat different phrasing in some of
those provisions, in each one, Congress
framed the relevant finding on a
pollutant-specific basis. See CAA
section 108(a)(1)(A)–(B), 42 U.S.C.
1857c–3(a)(1)(A)–(B) (1970)
(Administrator is required to publish a
list ‘‘which includes each air pollutant
which in his judgment has an adverse
effect on public health or welfare’’ and
‘‘the presence of which in the ambient
air results from numerous or diverse
mobile or stationary sources’’); 72 CAA
section 115(a), 42 U.S.C. 1857d(a) (1970)
(Administrator is authorized to take
action to address ‘‘pollution of the air in
any State or States which endangers the
health or welfare of any persons’’); CAA
section 202(a)(1), 42 U.S.C. 1857f–
1(a)(1) (1970) (Administrator is required
to regulate ‘‘the emission of any air
pollutant from any class or classes of
new motor vehicles or new motor
vehicle engines, which in his judgment
causes or contributes to, or is likely to
cause or to contribute to, air pollution
which endangers the public health or
welfare’’); 73 CAA section 211(c)(1), 42
72 This provision is similar to section 3(c)(2) of
the CAA of 1963, Public Law 88–206 (December 17,
1963): Whenever [the Secretary of the Department
of Health, Education, and Welfare] determines that
there is a particular air pollution agent (or
combination of agents), present in the air in certain
quantities, producing effects harmful to the health
or welfare of persons, the Secretary shall compile
and publish criteria reflecting accurately the latest
scientific knowledge useful in indicating the kind
and extent of such effects which may be expected
from the presence of such air pollution agent (or
combination of agents) in the air in varying
quantities.
73 This provision is similar to section 202(a) of the
CAA, as adopted in the Motor Vehicle Air Pollution
Control Act of 1965, Pubic Law 89–271 (October 19,
1965): The Secretary shall by regulation, giving
appropriate consideration to technological
feasibility and economic costs, prescribe as soon as
practicable standards, applicable to the emission of
any kind of substance, from any class or classes of
new motor vehicles or new motor vehicle engines,
which in his judgment cause or contribute to, or are
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U.S.C. 1857f–6(c)(1) (1970)
(Administrator is authorized to regulate
‘‘any fuel or fuel additive for use in a
motor vehicle or motor vehicle engine if
any emission products of such fuel or
fuel additive will endanger the public
health or welfare’’); CAA section
231(a)(2), 42 U.S.C. 1857f–9(a)(2) (1970)
(Administrator is required to regulate
‘‘emissions of any air pollutant from any
class or classes of aircraft or aircraft
engines which in his judgment cause or
contribute to or are likely to cause or
contribute to air pollution which
endangers the public health or
welfare’’).
In the 1970 CAA Amendments,
Congress did not explain why it used
language in CAA section 111 that
suggested a SCF for the source category
under CAA section 111 while using
pollutant-specific language in the other
provisions, but the reason appears to be
that under CAA section 111, Congress
tasked the EPA with determining,
among the large numbers of highly
diverse stationary sources in the U.S.,
which ones, grouped into which source
categories, should be listed and subject
to regulation. It was logical for Congress
to constrain the EPA’s discretion by
requiring that the EPA make a SCF for
each source category that it sought to
list. While it is true that in drafting CAA
section 111(b)(1)(A), Congress did not
explicitly require the EPA to make an
additional, pollutant-specific SCF, it
seems reasonable to think that Congress
may have intended pollutant-specific
SCF findings but conflated them with
the required source-category SCF
finding. Support for this interpretation
may be found in the fact that under
CAA section 111, a source category can
cause or significantly contribute to air
pollution only through emissions of its
air pollutants, CAA section 111(b)(1)(B)
requires the EPA to promulgate
‘‘standards of performance’’ for air
pollutants, and CAA section 111(a)(1)
defines a ‘‘standard of performance’’ as
a ‘‘standard of emissions for air
pollutants’’ (emphasis added). The EPA
solicits comment on whether these
provisions, read together with CAA
section 111(b)(1)(A), are evidence that
Congress intended the latter to require
what is required in the other CAA
provisions discussed here: A pollutantspecific finding. Certainly, interpreting
CAA section 111(b)(1)(A) to require
such a pollutant-specific finding would
make it consistent with those other CAA
provisions.
likely to cause or to contribute to, air pollution
which endangers the health or welfare of any
persons. . . .
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In the 1977 CAA Amendments,
Congress rephrased the text in each of
the above-noted provisions to read as
they do at present, which is generally
the same phrasing as in CAA section
111(b)(1)(A) in relevant part, except that
for the other provisions, Congress did
not require the contribution component
of the findings to be based on a
‘‘significant’’ contribution and, with the
possible exception of CAA section
202(a), discussed below, Congress
continued to focus the cause or
contribute findings on air pollutants.
The legislative history generally
describes Congress’s purpose as
providing, across all the relevant
provisions, and consistent with the D.C.
Circuit’s decision in Ethyl Corp. v. EPA,
541 F.2d 1 (D.C. Cir.) (en banc), cert.
den. 426 U.S. 941 (1976), a uniform
standard of proof that allows the
Administrator to regulate pollutants
based on the need to prevent harm
before it occurs, rather than require the
Administrator to delay regulating until
after actual harm has been proven to
have occurred. H.R. Rep. No. 94–1175 at
32–33 (1976).
Importantly, the legislative history of
the 1977 SCF provisions can also be
read as evidence that Congress
understood at that time that the EPA
was to make a pollutant-specific SCF
under CAA section 111. The SCF
provisions originated in the House bill,
did not have a counterpart in the Senate
bill, and were adopted by the
Conference Committee as they appeared
in the House bill. The Conference
Report summarized the House bill as
follows, in relevant part:
House bill
Provides a uniform standard of proof for
EPA regulation of air pollutants which
applies to the setting of . . . criteria for
national ambient air quality standards under
Section 108; . . . new stationary source
performance standards under Section 111;
. . . new auto emission standards under
Section 202; . . . regulations of fuels and fuel
additives under Section 211; aircraft
emission standards under Section 231.
In all future rulemaking in these areas, the
Administrator could regulate any air
pollutant from those sources, the emissions
of which ‘‘in his judgment cause or
contribute to air pollution which may
reasonably be anticipated to endanger public
health or welfare.’’
H.R. Rep. No. 95–564, at 183–84 (1977)
(emphasis added). The emphasized
language may be evidence that
Congress, in fact, intended to require the
EPA (or, indeed, understood that the
EPA had always been required), in
promulgating a pollutant-specific NSPS
under CAA section 111, to make a
pollutant-specific finding, as it does
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under the other provisions mentioned in
the Conference Report.
The House Committee Report
included a similar statement in
describing one of its purposes for
rephrasing the various endangerment
finding provisions: ‘‘To provide the
same standard of proof for regulation of
any air pollutant, whether that pollutant
comes from stationary or mobile
sources, or both, and to make the
vehicle and fuel industries equally
responsible for cleaning up vehicle
exhaust emissions.’’ H.R. Rep. No. 94–
1175, at 33 (1976) (emphasis added).
The emphasized phrase could suggest
that the House Committee drafters
understood the SCF provision in CAA
section 111(b)(1)(A) to concern the
particular air pollutant subject to
regulation (i.e., the NSPS), like, at least
for the most part, the other analogous
provisions.74
74 It should be noted that in the 1970 and 1977
CAA Amendments, Congress added or amended
several other provisions that included findings
similar to the findings in CAA sections 108(a)(1)(A),
111(b)(1)(A), 115, 202(a), 211(c)(1), and
231(a)(2)(A). These provisions include the
following, (as they read after the 1977 CAA
Amendments and before any changes in the 1990
CAA Amendments): (1) CAA section 112 (added in
1970 CAA Amendments and revised in 1977 CAA
Amendments; ‘‘hazardous air pollutant’’ is defined
as, in relevant part, ‘‘an air pollutant . . . which in
the judgment of the Administrator causes, or
contributes to, air pollution which may reasonably
be anticipated to result in an increase in mortality
or an increase in serious irreversible, or
incapacitating reversible, illness;’’ this definition
was substantially revised in 1990 CAA
Amendments); and (2) CAA section 211(c)(1)(A)
(added in 1970 CAA Amendments and revised in
1977 CAA Amendments; the Administrator is
authorized to regulate any fuel or fuel additive ‘‘if
in the judgment of the Administrator any emission
product of such fuel or fuel additive causes, or
contributes, to air pollution which may reasonably
be anticipated to endanger the public health or
welfare’’). In addition, in the 1990 CAA
Amendments, Congress added several additional
provisions that require findings that bear some
similarity to the findings discussed above. See (1)
CAA section 129(e) (Administrator or state is
required to ‘‘require the owner or operator of any
unit to comply with emission limitations or
implement any other measures, if the Administrator
or the state determines that emissions in the
absence of such limitations or measures may
reasonably be anticipated to endanger public health
or the environment’’); (2) CAA section 183(f)(1)(A)
(Administrator is required to promulgate standards
for VOC and any other air pollutant from loading
and unloading of tank vessels ‘‘which the
Administrator finds causes, or contributes to, air
pollution that may be reasonably anticipated to
endanger public health or welfare’’); (3) CAA
section 213(a)(1)–(3) (Administrator is required to
(i) conduct a study to determine if emissions from
nonroad engines and nonroad vehicles ‘‘cause, or
significantly contribute to, air pollution which may
reasonably be anticipated to endanger public health
or welfare;’’ (ii) determine whether emissions of
certain pollutants from new and existing nonroad
engines and vehicles ‘‘are significant contributors to
ozone or carbon monoxide concentrations in more
than 1 area which has failed to attain the national
ambient air quality standards (NAAQS) for ozone or
carbon monoxide;’’ and if so, (iii) promulgate
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Other provisions Congress added into
CAA section 111 during the 1977 CAA
Amendments might also shed light on
the meaning of the SCF provision.
Congress was dissatisfied at what it
perceived to be the slow pace of the
EPA’s regulation under CAA section
111, and as a result, added provisions
(which have continued in effect) that
required the EPA to include on the list
required under CAA section
111(b)(1)(A) the categories of major
stationary sources not already on the
list, and promulgate standards of
performance for those categories on a
specified schedule. CAA section
111(f)(1). Congress further directed the
EPA to determine priorities for
promulgating standards for the listed
categories by considering, among other
things, ‘‘the quantity of air pollutant
emissions which each such category
will emit, or will be designed to emit,’’
and ‘‘the extent to which each such
pollutant may reasonably be anticipated
to endanger public health or welfare.’’
CAA section 111(f)(2)(A)–(B) (emphasis
added).75 The emphasized text could be
interpreted to indicate that Congress
recognized the EPA’s ability to consider,
under CAA section 111, the impacts of
specific pollutants on public health or
welfare. Further, the fact that the
emphasized text is phrased in terms of
‘‘the extent to which each such
pollutant’’ is determined by the EPA to
‘‘endanger public health or welfare,’’
rather than simply ‘‘whether each such
pollutant may reasonably be anticipated
to endanger public health or welfare,’’
might be reasonably construed as
indicating that Congress presupposed
that, in taking account of the ‘‘air
pollutant emissions which each such
category will emit, or will be designed
to emit’’ for the purpose of prioritizing
the establishment of standards of
regulations containing standards applicable to such
emissions from those classes or categories of new
nonroad engines and new nonroad vehicles ‘‘which
in the Administrator’s judgment cause, or
contribute to, such air pollution’’) (CAA section
213(a)(4), which concerns different pollutants than
under CAA section 213(a)(2)–(3), has requirements
similar to the requirements of those provisions); (4)
CAA section 615 (Administrator is required to
regulate ‘‘[i]f, in the Administrator’s judgment, any
substance, practice, process, or activity may
reasonably be anticipated to affect the stratosphere,
especially ozone in the stratosphere, and such effect
may reasonably be anticipated to endanger public
health or welfare’’). For the most part, these
provisions contemplate endangerment or cause or
contribute findings, or similar determinations, for a
pollutant, emissions, or substance, and for that
reason, could support interpreting CAA section
111(b)(1)(A) to require a pollutant-specific SCF.
75 In the 1990 CAA Amendments, Congress
revised the provisions of CAA section 111(f)(1)
directing the EPA to promulgate standards for listed
categories and retained the provisions of CAA
section 111(f)(2) for prioritizing.
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performance for sources within each
category, the EPA would only be
establishing standards of ‘‘air pollutant
emissions’’ that ‘‘may reasonably be
anticipated to endanger.’’ 76
CAA section 122(a), also added in the
1977 CAA Amendments (and still in
effect), could also shed light on the
meaning of the SCF provision of CAA
section 111(b)(1)(A). Section 122(a) of
the CAA requires the Administrator ‘‘to
determine whether or not emissions of
radioactive pollutants . . ., cadmium,
arsenic and polycyclic organic matter
into the ambient air will cause, or
contribute to, air pollution which may
reasonably be anticipated to endanger
public health.’’ Further, ‘‘[i]f the
Administrator makes an affirmative
determination with respect to any such
substance,’’ the Administrator is
required, depending on the substance,
to include it on the list published under
CAA section 108 or 112, ‘‘or shall
include each category of stationary
sources emitting such substance in
significant amounts in the list published
under section 111(b)(1)(A). . . .’’ CAA
section 122(a) (emphasis added). Here,
too, the emphasized provisions could be
interpreted to indicate that Congress
expected the EPA to make pollutantspecific determinations under CAA
section 111(b).
In addition, the EPA’s interpretation
of the cause or contribute finding
required under CAA section 202(a)
could serve as a precedent for
interpreting CAA section 111(b)(1)(A) as
requiring a pollutant-specific SCF. CAA
section 202(a)(1), as revised by the 1977
CAA Amendments, provides, in
relevant part: ‘‘The Administrator shall
by regulation prescribe . . . standards
applicable to the emission of any air
pollutant from any class or classes of
new motor vehicles or new motor
vehicle engines, which in his judgment
cause, or contribute to, air pollution
which may reasonably be anticipated to
endanger public health or welfare’’)
(emphasis added). 42 U.S.C. 7521(a)(1)
(1977). The emphasized term, ‘‘cause, or
contribute,’’ is plural, which could
suggest that it refers to ‘‘any class or
classes of new motor vehicles or new
motor vehicle engines,’’ and thereby
contemplates that the cause or
contribute finding would be made based
on the emissions, considered all
76 It is perhaps significant, too, that Congress in
CAA section 111(f)(2) tied the finding of
‘‘endangerment’’ not to ‘‘air pollution’’ that
endangers, as is the case with respect to every
section of the CAA where the concept of ‘‘cause or
contribute to’’ is employed but, rather, to ‘‘each
such pollutant.’’ This particular formulation is used
nowhere else in the CAA and arguably suggests that
Congress had a pollutant-specific SCF in mind.
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together, from the source category, not
on the basis of individual pollutants.
However, the EPA has interpreted this
provision to instruct the Administrator
to make the cause or contribute finding
on a pollutant-specific basis. See 74 FR
66496, 66506 (2009 Endangerment
Finding). The EPA’s interpretation of
CAA section 202(a) to contemplate a
pollutant-specific finding could support
the reasonableness of interpreting CAA
section 111(b)(1)(A) to contemplate the
same thing.
In fact, it appears to be the case that
the EPA in the past did so interpret
CAA section 111(b)(1)(A) to require a
pollutant-specific SCF as a prerequisite
for regulating that pollutant. In the first
guideline document the EPA issued
under CAA section 111(d) (i.e., for
emissions from existing phosphate
fertilizer plants), the EPA summarized
CAA section 111(b)(1)(A) (as it read
prior to revision in the 1977 CAA
Amendments) as follows:
The Administrator first considers potential
health and welfare effects of a designated
pollutant in connection with the
establishment of standards of performance
for new sources of that pollutant under
section 111(b) of the Act. Before such
standards may be established, the
Administrator must find that the pollutant in
question ‘‘may contribute significantly to air
pollution which causes or contributes to the
endangerment of public health or welfare’’
[see section 111(b)(1)(A)]. Because this
finding is, in effect, a prerequisite to the same
pollutant being identified as a designated
pollutant under section 111(d), all designated
pollutants will have been found to have
potential adverse effects on public health,
public welfare, or both.
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‘‘Final Guideline Document: Control of
Fluoride Emissions from Existing
Phosphate Fertilizer Plants,’’ U.S.
Environmental Protection Agency, EPA–
450/2–77–005 (March 1977) at 2–1
(emphasis added). The emphasized
statements reflect a straight-forward
interpretation of CAA section 111(b) as
requiring a pollutant-specific SCF as a
pre-requisite to promulgating an NSPS
for that pollutant. This very same
language appears in each of the three
guideline documents that the EPA
subsequently issued pursuant to CAA
section 111(d).77 Although these
77 See ‘‘Final Guideline Document: Control of
Sulfuric Acid Mist from Existing Sulfuric Acid
Production Units,’’ U.S. Environmental Protection
Agency, EPA–450/2–77–0019 (September 1977) at
5–1; ‘‘Control of TRS Emissions from Existing
Mills,’’ U.S. EPA, EPA–450/2–78–003b (March
1979) at 2–1; ‘‘Primary Aluminum: Guidelines for
Control of Flouride Emissions from Existing
Primary Aluminum Plants,’’ U.S. EPA, EPA–450/2–
78–049b (December 1979) at 2–1. Similarly, in its
rulemaking establishing the regulatory process for
emissions from existing sources under CAA section
111(d), which preceded the development of these
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statements from the EPA stand in
contrast to later EPA statements that
characterize CAA section 111(b) as
requiring that the SCF be made on the
basis of the source category, they
suggest uncertainty as to whether CAA
section 111(b)(1)(A) should not be read
to require a SCF for specific
pollutants.78
In light of the considerations
described above, the EPA solicits
comment on whether CAA section
111(b)(1)(A) should be interpreted to
require it to make a pollutant-specific
SCF as a prerequisite for promulgating
an NSPS for that pollutant. CAA section
111(b)(1)(A)’s SCF provision, when read
in isolation, may appear to require a
SCF for the source category as a
prerequisite for listing the source
category. However, should the EPA
instead conclude that Congress could
not have intended that the EPA
promulgate NSPS without a pollutantspecific SCF in light of, among other
considerations, (1) the fact that Congress
adopted at the same time and
subsequently amended at the same time
similarly phrased CAA provisions that
do contemplate a pollutant-specific
finding prior to regulation, (2) the
inherent vagueness of the rational basis
approach, and (3) the indications in the
legislative history that Congress did
intend that the EPA make a pollutantspecific SCF under CAA section 111?
It should be noted that requiring a
pollutant-specific SCF need not result in
duplicative SCFs (or duplicative
associated endangerment findings), that
is, the EPA would not need to make
separate SCFs (and associated
endangerment findings) for both the
guideline documents, the EPA had stated: [S]ection
111(d) requires control of existing sources of a
pollutant if a standard of performance is established
for new sources under section 111(b) and the
pollutant is not controlled under sections 108–110
or 112. In general, this means that control under
section 111(d) is appropriate when the pollutant
may cause or contribute to endangerment of public
health or welfare but is not known to be
‘‘hazardous’’ within the meaning of section 112 and
is not controlled under sections 108–110. . . .
‘‘State Plans for the Control of Certain Pollutants
from Existing Facilities,’’ 40 FR 53340 (November
17, 1975) (emphasis added).
78 In another EPA document issued some 18
months after promulgation of the first set of
standards of performance (for five source categories)
in December 1971, the EPA provided a summary of
the second group of standards (for a further seven
source categories) for which rulemaking had then
been initiated. In providing at the outset of that
document what it called a ‘‘synopsis’’ of CAA
section 111, the EPA stated that the ‘‘Section
provides that, for purposes of establishing such
standards, the Administrator may distinguish
between types, sizes, and classes of sources; and
that standards can be established for any pollutant
that contributes to the endangerment of health and
welfare.’’ See Group II New Source Performance
Standards, EPA Doc. 450S7001 (January 1973)
(emphasis added).
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source category and each pollutant
emitted by the source category that the
EPA seeks to regulate. Rather, in
beginning to regulate pollutants from a
previously unlisted source category, the
EPA could identify any pollutant it
seeks to regulate and, if appropriate,
make a SCF (and associated
endangerment finding) for that pollutant
as emitted by that source category. Such
a SCF would serve as the ‘‘cause[ ], or
contribute[ ] significantly to’’ finding
both for listing the source category and
for promulgating an NSPS for the
pollutant.
The EPA recognizes it has proceeded
under the implicit assumption that CAA
section 111(b)(1)(A) does not require a
pollutant-specific SCF through many
NSPS rulemakings over a lengthy
period. The EPA solicits comment on
what the implications would be to the
CAA section 111 program, including the
current NSPS and CAA section 111(d)
guideline documents and state plans, of
interpreting CAA section 111(b)(1)(A) to
require a pollutant-specific SCF. In this
regard, the EPA notes that, for the most
part, its past practice has been to list a
source category and to propose NSPS for
pollutants from the source category at
the same time as, or shortly after the
listing, and to finalize the NSPS shortly
after that. It seems evident that those
NSPS concerned pollutants that the EPA
considered in listing the source
category. The EPA solicits comment on
whether, under those circumstances, the
EPA could be considered to have made
SCFs and endangerment findings for
those pollutants, so that it would not be
necessary to make those findings now.
However, in some cases, the EPA
promulgated NSPS for air pollutants
that the EPA did not address in listing
the source category or in the initial set
of regulations promulgated at the same
time, or shortly after, the EPA listed the
source category. For example, the EGU
CO2 NSPS and the 2016 NSPS OOOOa
rules addressed GHG pollutants that the
EPA had not identified in the initial
SCF it made for those source categories
or in the rulemakings promulgating the
initial NSPS for those source categories.
The EPA solicits comment specifically
on whether the considerations noted
above indicate that CAA section
111(b)(1)(A) should be interpreted to
require a pollutant-specific SCF as a
prerequisite for promulgating an NSPS
for a pollutant that the EPA did not
identify when it made the initial sourcecategory SCF or promulgated the initial
regulations for the source category. In
addition, the EPA solicits comment on
whether, if CAA section 111(b)(1)(A) is
interpreted to be ambiguous as to
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whether it requires a pollutant-specific
SCF, the EPA could decide that it needs
to make the SCF and associated
endangerment findings for pollutants
that, like GHG, it did not address when
it listed the source category or shortly
thereafter, but that it does not need to
make those findings for pollutants that
it did address at that time. Furthermore,
the EPA solicits comment on whether,
in light of the fact that CAA section
111(b)(1)(A) explicitly phrases the
requisite finding in terms of ‘‘causes, or
contributes significantly to, air pollution
[that meets the endangerment criteria]’’
(emphasis added), there is any basis for
interpreting the provision to require the
EPA to make only a ‘‘cause or
contribute’’ finding, of the type required
under, for example, CAA section 202(a).
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B. Significant Contribution Finding in
2016 NSPS OOOOa Rule
The EPA also solicits comment on
whether, assuming it is required to
make a SCF for methane emissions from
the Oil and Natural Gas source category
as a prerequisite to promulgating an
NSPS for methane, the SCF it made in
the 2016 NSPS OOOOa rule was an
appropriate methane-specific finding.79
At the outset, it should be noted that
that SCF concerned emissions from the
production, processing, transmission,
and storage segments of the oil and
natural gas industry. 81 FR 35841–43. In
this proposed rulemaking, the EPA
proposes to eliminate the transmission
and storage segment from the source
category. Accordingly, the appropriate
SCF for methane from this source
category would be limited to methane
emissions from production and
processing sources. The EPA solicits
comment on whether the SCF in the
2016 NSPS OOOOa rule can be
considered appropriate in light of the
fact that it was based on a greater
amount of emissions than are in the
source category as proposed in this
rulemaking.
In addition, we solicit comment on
the question whether the SCF in the
2016 NSPS OOOOa rule can be
considered appropriate given that
nowhere in the course of developing
and promulgating that rule did the EPA
set forth the standard by which the
‘‘significance’’ of the contribution of the
methane emissions from the source
category (as revised) was to be
79 As noted in section VI.A. above, in the 2016
NSPS OOOOa rule, the air pollutant for which the
EPA made the SCF was GHG, but because methane
constitutes most of the GHG emitted from the Oil
and Natural Gas source category, the EPA generally
refers to methane as the subject of the SCF.
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assessed.80 Specifically, we ask for
comment on whether, as a matter of law,
under CAA section 111, the EPA is
obligated to identify the standard by
which it determines whether a source
category’s emissions ‘‘contribute
significantly,’’ and whether, if not so
obligated, the EPA nevertheless fails to
engaged in reasoned decision-making by
not identifying that standard. Cf. Motor
Vehicle Mfrs. Assn. of United States,
Inc. v. State Farm Mut. Automobile Ins.
Co., 463 U. S. 29, 43 (1983) (‘‘Normally,
an agency rule would be arbitrary and
capricious if the agency has . . .
entirely failed to consider an important
aspect of the problem.’’).
C. Criteria for Making a Significant
Contribution Finding Under CAA
Section 111
The EPA also solicits comments on
the appropriate criteria for it to use
when determining whether a pollutant
emitted from a source category
significantly contributes to air pollution
which may reasonably be anticipated to
endanger in the context of CAA section
111. The EPA does not intend for these
comments to inform the finalization of
this rule, but rather to inform the EPA’s
actions in future rules. Furthermore, the
EPA is not asking for comment on the
factors the Agency should consider in
determining whether air pollution may
reasonably be anticipated to endanger
public health or welfare, but rather the
factors that should be considered when
determining under CAA section 111
whether a pollutant from a source
category significantly contributes to that
air pollution.
In subsection 1 of this section, the
EPA discusses other contexts under the
CAA in which it has interpreted and
applied similar language to that
governing the SCF determinations under
CAA section 111(b)(1)(A). In subsection
2, the EPA identifies and solicits
comment on specific elements of criteria
that might govern SCF determinations.
In subsection 3 of this section, the EPA
provides background information
concerning methane and GHG emissions
that may be relevant for application of
those criteria to those particular
pollutants.
80 In the 2016 NSPS OOOOa rule, the EPA
averred that the ‘‘collective GHG emissions from the
oil and natural gas source category are significant,
whether the comparison is domestic . . . global
. . . , or when both the domestic and global GHG
emissions comparisons are viewed in
combination,’’ basing its position on data showing
that the source category accounts for 32 percent of
United States methane emissions, 3.4 percent of
total United States GHG emissions, and 0.5 percent
of all global GHG emissions.’’ See 81 FR 35840.
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1. Legal Background for Selection of
Criteria for Significant Contribution
Finding
The phrase ‘‘contributes significantly’’
and the included terms ‘‘contributes’’
and ‘‘significantly’’ are not defined in
any provision of the CAA or in EPA
regulations. Accordingly, the EPA has
substantial discretion in interpreting
these terms and should receive
deference for a reasonable interpretation
of the provision. The U.S. Supreme
Court, in EPA v. EME Homer City
Generation, L.P., 572 U.S. 489 (2014),
recognized that a similar provision in
CAA section 110(a)(2)(D)(i), often
termed the ‘‘good neighbor’’ provision,
is ambiguous and approved the EPA’s
interpretation.81
The good neighbor provision requires
states to prohibit emissions ‘‘in amounts
which will contribute significantly to
nonattainment’’ of the NAAQS in any
other state. For regional pollutants like
ozone and fine PM, where downwind
air quality problems are caused by the
collective contribution of numerous
upwind sources across multiple states,
the EPA has considered a variety of
factors when determining whether
sources in a particular state will
‘‘contribute significantly’’ under this
statutory provision. The EPA has
typically first used an air quality
threshold to identify upwind states that
contribute to and are, therefore,
‘‘linked’’ to a downwind air quality
problem. See, e.g., Cross-State Air
Pollution Rule (CSAPR), 76 FR 48208,
48236 (August 8, 2011) (upwind states
with impacts in a downwind area that
meet or exceed 1 percent of the 1997
ozone, 1997 p.m. with a diameter of 2.5
micrometers or less (PM2.5), and 2006
PM2.5 NAAQS are considered linked to
downwind air quality problems);
CSAPR Update, 81 FR 74504, 74518
(October 26, 2016) (applying threshold
equivalent to 1 percent of the 2008
ozone NAAQS). The EPA has then used
a multi-factor test considering both cost
and air-quality factors to determine
what portion of a linked state’s
contribution to an air quality problem,
81 In an earlier case concerning the good neighbor
provision, the D.C. Circuit noted that the term
‘‘significant’’ is ambiguous and may be subject to
different meanings in different contexts. Michigan
v. EPA, 213 F.3d 663, 677 (D.C. Cir. 2000). The D.C.
Circuit has also observed that the term ‘‘contribute’’
is ambiguous. Catawba County, N.C. v. EPA, 571
F3d 20, 38–39 (D.C. Cir. 2009). There, the Court
interpreted the requirement under CAA section
107(d) that the EPA designate an area
nonattainment if it does not meet the NAAQS or
‘‘contributes to ambient air quality in a nearby area
that does not meet’’ the NAAQS. The Court
concluded that the EPA has discretion in devising
criteria or factors in determining the amount of
emissions that it considers ‘‘contribute.’’
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if any, is considered ‘‘significant’’ and,
thus should be prohibited under the
good neighbor provision. See CSAPR, 76
FR 48248–249; CSAPR Update, 81 FR
74519. In EME Homer City Generation,
the Supreme Court affirmed the EPA’s
approach of apportioning emission
reduction responsibility based on which
states can eliminate emissions most
cost-effectively. 572 U.S. at 519
(explaining that ‘‘[e]liminating those
amounts that can cost-effectively be
reduced is an efficient and equitable
solution to the allocation problem the
Good Neighbor Provision compels the
Agency to address.’’).82
The EPA has also considered the
meaning of ‘‘contributes significantly’’
as it appears in CAA section 189(e).
This provision requires that the control
requirements applicable to major
stationary sources of PM with a
diameter of 10 micrometers or less
(PM10) also apply to major stationary
sources of PM10 precursors, ‘‘except
where the Administrator determines
that such sources [of precursors] do not
contribute significantly to PM10 levels
which exceed the standard in the area.’’
Consistent with the D.C. Circuit’s
decision in NRDC v. EPA, 706 F.3d 428
(D.C. Cir. 2013), this provision also
applies to the regulation of sources of
PM2.5 precursors in designated PM2.5
nonattainment areas.
The EPA has interpreted and applied
CAA section 189(e) in its recent PM2.5state implementation plan (SIP)
regulations, ‘‘Fine Particulate Matter
National Ambient Air Quality
Standards: State Implementation Plan
Requirements; Final Rule,’’ 81 FR 58010
(August 24, 2016) (PM2.5 SIP
Requirements Rule); and provided
additional information in a recent draft
guidance document. U.S. EPA, Office of
Air Quality Planning and Standards,
‘‘PM2.5 Precursor Demonstration
Guidance,’’ EPA–454/R–19–004 (May
2019) (PM2.5 Precursor Guidance). The
EPA noted that, although the phrase
‘‘contribute significantly’’ and its
included terms, ‘‘contribute’’ and
‘‘significantly,’’ are ambiguous,
Congress has provided some direction
regarding the degree of contribution
required by modifying the term
‘‘contribute’’ with the term
82 The good neighbor provision also instructs
states to prohibit emissions which will ‘‘interfere
with maintenance’’ of the NAAQS in downwind
states, and the Supreme Court affirmed that this
provision ‘‘entails a delegation of administrative
authority of the same character as’’ the ‘‘contribute
significantly’’ clause. EME Homer City Generation,
572 U.S. at 515 n.18. The EPA has, therefore, used
the same two-step approach to identifying and
apportioning emission reduction responsibility
among upwind states linked to downwind areas
that struggle to maintain the NAAQS.
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‘‘significantly.’’ This indicates that
Congress intended that, in order to be
subject to regulation, the emissions
must have a greater impact than a
simple contribution not characterized as
‘‘significant[ ].’’ However, Congress did
not quantify how much greater.
Therefore, the EPA developed criteria
for identifying whether the impact of a
particular precursor would ‘‘contribute
significantly’’ to a NAAQS exceedance.
Id. at 10–13. First, the EPA identified
concentration values, based on the
amount of observed variability of
ambient air quality levels, which would
be used to determine whether a
precursor ‘‘contributes’’ in a state’s
analysis. The EPA specified numerical
thresholds for the annual PM2.5 NAAQS
(0.2 microgram per cubic meter (mg/m3))
and 24-hour PM2.5 NAAQS (1.5 mg/m3),
so that any impact less than those
amounts is considered insignificant. Id.
at 17.
However, the EPA added that if the
estimated air quality impact of
precursor emissions exceeds the
applicable threshold, that does not
necessarily mean that the precursors’
contribution to those levels is
‘‘significant[ ].’’ Rather, ‘‘the significance
of a precursor’s contribution is to be
determined ‘based on the facts and
circumstances of the area.’’’ Id. at 18,
(quotation is found in 40 CFR 51.1006(a)
(various provisions) (the PM2.5 SIP
Requirements Rule). The guidance goes
on to list factors that may be relevant,
including among others, the amount by
which a precursor’s impact exceeds the
recommended contribution threshold,
the sources of PM2.5, trends in precursor
emissions, and the extent of the PM2.5
air pollution problem in a particular
area. PM2.5 Precursor Guidance at 18.
In addition, we note that the EPA has
previously made significance
determinations in the context of section
213 of the CAA, related to certain stages
of decisions regarding regulation of new
nonroad engines and vehicles. CAA
section 213 is the only provision of the
CAA, apart from CAA section 111(b)(1),
where Congress employed the modifier
‘‘significantly’’ in connection with
language directing the Administrator to
determine if air pollutant emissions
from new and existing (in the case of
emissions of CO, NOX, and VOCs)
nonroad engines and vehicles in the
aggregate ‘‘contribute’’ to ‘‘air pollution
which may reasonably be anticipated to
endanger public health or welfare,’’ in
CAA sections 213(a)(1), (2) and (4),
before then directing and authorizing
the EPA to promulgate standards
applicable to classes and categories of
just new nonroad engines and vehicles
that emit pollutants contributing
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(without employing a ‘‘significance’’
modifier) to such air pollution under
CAA sections 213(a)(3) and (4). When
the EPA first undertook rulemaking as
directed by CAA section 213, it noted
that ‘‘[s]ection 213(a) . . . provides no
guidance as to what constitutes a
‘significant’ contribution.’’ See 58 FR
28811 (May 17, 1993). Thus, the EPA
looked to ‘‘the legislative history and
the scope of the [1990 CAA
Amendments], the emission
contribution of nonroad engines and
vehicles, and a comparison of nonroad
emissions to emissions from other
regulated sources’’ in proposing to find
that emissions from nonroad sources
were indeed ‘‘significant.’’ Id.
In taking final action to promulgate
the initial set of new nonroad engine
and vehicle standards, the EPA
responded to commenters who had
‘‘argued that EPA cannot make a
significance determination without first
defining a standard upon which to base
that determination.’’ See 59 FR 31308
(June 17, 1994). The EPA did not
disavow the need to justify a finding
that contributions were significant, but
it did object to the commenters’
apparent assertion that a ‘‘specific
numerical standard for significance
must be determined prior to considering
whether nonroad emissions are
significant.’’ Id. (emphasis added). The
EPA noted that Congress in CAA section
213 ‘‘gave EPA wide discretion to
determine whether the emissions of
NOX, VOC, and CO from nonroad
engines and vehicles are significant
contributors to ozone or CO
concentrations,’’ and then pointed to the
qualitative assessment the EPA had
made based on the criteria it had
identified in the proposed rule. Id.
Based on the reasoning of the caselaw
described above and consistent with the
EPA’s approach for similar CAA
provisions, the EPA believes that
‘‘contributes significantly’’ under CAA
section 111(b)(1)(A) is ambiguous, but
that Congress has made clear that in
order to be subject to regulation, the
emissions must have a greater impact
than a simple contribution. It is within
the Agency’s discretion to identify
additional qualitative or quantitative
criteria or factors—ones that are related
to the nature of the air pollutant, the
source category, and the air pollution
problem at issue—to determine whether
a contribution is ‘‘significant,’’ as long
as the Agency provides a reasoned basis
to justify using such additional criteria
or factors.83 The EPA solicits comment
on whether the examples discussed
above, in which the EPA has construed
83 See
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and applied statutory language similar
to the term ‘‘contributes significantly’’
in CAA section 111(b)(1)(A), 84 suggest
factors that it may be appropriate for the
EPA to consider when construing and
applying that term in the context of
CAA section 111, including, but not
limited to, whether the consideration of
cost-effectiveness in the interstate
transport context may suggest that the
EPA should or has discretion to
consider whether CAA section 111(b)
provides a cost-effective basis to assess
a source category’s contribution to a
particular air-pollution problem as part
of the EPA’s determination whether that
source category significantly contributes
to that air pollution problem.
2. Elements of Criteria for Significant
Contribution Finding Under CAA
Section 111
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First, the EPA solicits comment on
what information the Agency should
consider when quantifying the
emissions of the pollutant in question
from the source category. In section
VI.C.3, we detail the historical, current,
and projected methane emissions from
various source categories. To what
extent should the SCF rely primarily on
the most recent emission inventories,
and to what extent should historical
trends and future projections inform the
Administrator’s finding? For example,
consider the case of minimal current
day emissions, but projections of rapid
emission growth; or, conversely,
substantial current emissions, but
projections of a rapid decline in
emissions even in the absence of new
rulemakings. In turn, should the SCF
evaluate the significant contribution of
new sources potentially subject to
regulation under CAA section 111(b) as
well as existing sources potentially
subject to subsequent regulation under
CAA section 111(d)? 85 Similarly, for a
source category in which new sources
are not expected in the future, should
the Administrator independently
evaluate significant contribution from
existing sources? Finally, in the case of
the 2016 NSPS OOOOa rule, should the
EPA consider only methane emissions
or also account for CO2 emissions and
any other GHG that may be emitted from
the source category?
84 In this solicitation of comment, the EPA is not
soliciting comment on, or re-opening, any aspect of
the rulemakings that contained those examples.
85 To date, the EPA has evaluated the emissions
from the source category, which includes existing
sources, in making the SCF determination, and the
D.C. Circuit has upheld that industry-wide
approach. See Nat’l Lime Ass’n v. EPA, 627 F.2d
416, 433 n.48 (D.C. Cir. 1980); Nat’l Asphalt
Pavement Ass’n v. Train, 539 F.2d 775, 779–82
(D.C. Cir. 1976).
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Second, the EPA is soliciting
comment on the total universe of
emissions to which the emission of the
pollutant in question from the source
category in question should be
compared. If the source category emits
primarily a single gas (e.g., methane),
should the emissions from that source
category be compared against methane
emissions (see Table 7, column 3 of this
preamble) or against all GHG emissions
(see Table 7, column 4 of this
preamble)? How should natural
emissions be considered in this
comparison (see VI.C.3.a.i of this
preamble)? Should the comparison be to
domestic emissions (see Table 7 of this
preamble) or to global emissions (see
Table 8 of this preamble)? Or should
multiple comparisons be made, as in
VI.C.3 of this preamble? In making a
SCF, should the Administrator evaluate
the efficacy of regulation for new and/
or existing sources? The EPA also
welcomes comment on appropriate and
well-vetted sources to use for domestic,
global, and natural emissions.
Third, the EPA is soliciting comment
on whether the Administrator should
determine a threshold for significant
contribution under CAA section
111(b)(1)(A) (above which, the
emissions of the pollutant from the
source category would be determined to
significantly contribute, and below
which, they would not), and which
factors the Administrator should
consider in determining that threshold.
Is there a simple percentage criterion
that holds across pollutants and source
categories (i.e., a source category
responsible for X percent of any
pollutant is deemed to ‘‘significantly
contribute’’ to the air pollution caused
by that pollutant), or would it depend
on, for example, the number of source
categories that emit that pollutant (and
the relative emissions from the source
category whose emissions are the
subject of the SCF determination in
question, as compared to emissions
from those other source categories); the
nature of the pollutant; and/or the
nature of the air pollution to which that
pollutant may contribute (i.e., should
the EPA address the question whether
emissions of criteria and other
traditional air pollutants, which cause
air pollution primarily due to direct
exposure, ambient regional
concentration, and/or intermediaterange transport, ‘‘significantly
contribute’’ to air pollution in a
different manner than it should address
the question whether emissions of GHG
‘‘significantly contribute’’ to climate
change)?
Finally, the EPA is soliciting
comment on the implications of the fact
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that methane in the atmosphere serves
as a precursor to tropospheric ozone, as
noted in previous EPA rules (see 81 FR
35837). Are there legal implications
resulting from this contribution of
methane to a criteria pollutant? For
example, as discussed above, the EPA is
proposing that the regulation of VOC
from new sources under CAA section
111(a) does not trigger the application of
CAA section 111(d) to existing sources
in the same source category because
VOC are a precursor to tropospheric
ozone.86 Does the fact that methane is
also a precursor to ozone indicate that
regulation of methane from new sources
under CAA section 111(b) would not
trigger the application of CAA section
111(d) to existing sources in the same
source category for the same reason? If
EPA is precluded from regulating
existing sources of a pollutant under
CAA section 111(d), should that factor
be evaluated in a SCF? What
considerations are relevant for
pollutants that contribute to multiple
different kinds of pollution (methane as
both a GHG and an ozone precursor,
CO2 as both a GHG and a contributor to
ocean acidification, NOX as a precursor
to both PM2.5 and ozone)? In this regard,
the EPA notes that the definition of ‘‘air
pollutant’’ at CAA section 302(g)
provides that the term ‘‘includes any
precursors to the formation of any air
pollutant, to the extent the
Administrator has identified such
precursor or precursors for the
particular purpose for which the term
‘air pollutant’ is used.’’
The Agency welcomes comments on
any and all aspects of these questions.
3. Background Concerning Methane and
GHG Emissions
a. Methane Emissions
i. Natural and anthropogenic
emissions of methane. Methane is
emitted from a variety of natural and
anthropogenic sources and activities.
Globally, it is estimated that around 60
percent of methane emissions are from
anthropogenic activities, and 40 percent
are from natural activities (Saunois et
al., 2016). Anthropogenic sources
include natural gas and petroleum
systems, enteric fermentation, solid
waste disposal, coal mining, and other
sources. Natural sources include
wetlands, natural biomass burning,
geologic seepage, termites, oceans, and
permafrost.
In a 2018 report, the National
Academy of Sciences noted a number of
complex factors related to methane that
86 It is worth noting that while EPA has excluded
methane and some related pollutants from the
definition of VOC, methane is chemically a VOC.
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may be relevant to a pollutant-specific
SCF for domestic oil and natural gas
production, processing, transmission, or
storage:
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Methane comes from numerous
anthropogenic activities and natural
processes (Figure 1.3), and notably, there is
no single dominant source, but rather many
significant sources. This configuration of
sources forces a broader view of emissions
for this gas, as opposed to many other
significant GHGs whose anthropogenic
sources tend to be dominated by a single
source type such as from the combustion of
fossil fuel.
The U.S. methane budget (emissions and
removal processes) cannot be considered in
isolation from the global methane budget
because U.S. emissions account for only
about one-tenth of global emissions.
Consequently, atmospheric methane
abundance over the United States is
significantly influenced by sources located
outside of the United States, even though
there may be large responses due to strong
local emissions. The atmospheric residence
time for methane is about a decade; hence
emitted methane is redistributed globally,
and methane emissions from the United
States influence global concentrations.
Oil and natural gas production
segment trends are impacted by
decreases in oil and natural gas
exploration emissions (91 percent from
2008 to 2017), primarily due to
About 60 percent of total global methane
emissions are thought to be from
anthropogenic sources and about 40 percent
from natural sources (Saunois et al., 2016).
Anthropogenic sources encompass a wide
range of human activities, including food and
energy production and waste disposal.
Livestock (through fermentation processes in
their digestive system that generate methane
and manure management), rice cultivation,
landfills, and sewage account for 55–57
percent of global anthropogenic emissions.
Emissions from production of fossil fuels,
including petroleum, natural gas, and coal,
are estimated to account for 32–34 percent
(Saunois et al., 2016), with the remainder
from biomass, biofuel burning, and minor
industrial processes.87
Global atmospheric methane
concentrations have increased by about
164 percent since 1750, from a preindustrial value of about 700 parts per
billion (ppb) to 1,849 ppb in 2017
(National Oceanic and Atmospheric
Administration (NOAA)/Earth System
Research Laboratory (ESRL), 2018).
In section III.A.2.a, Table 2 presents
total U.S. anthropogenic methane
emissions for the years 1990, 2008, and
2017. In the U.S., the largest
anthropogenic sources of methane are
natural gas and petroleum systems,
enteric fermentation, and landfills.
Methane emissions are 10 percent of
total U.S. GHG emissions in CO2
equivelent. Methane emissions have
decreased by 15 percent since 1990, and
by 7 percent since 2008. Table 3 above
presents total methane emissions from
natural gas and petroleum systems, and
the associated segments of the sector, for
years 1990, 2008, and 2017, in MMT
CO2 Eq.
ii. Trends. As seen in Figure 1,
methane emissions from the oil and
natural gas production, natural gas
processing, and natural gas transmission
and storage segments together decreased
by 2 percent between 2008 and 2017.
Methane emissions from the production
and processing segments together
decreased by 3 percent over the same
time period, while methane emissions
from transmission and storage increased
by 1 percent. These trends also took
place during periods of substantial
increases in oil and natural gas
production.
decreases in hydraulically fractured
well completions without RECs and a
decrease in the number of well
completions. Production emissions
outside of the exploration subcategory
increased by 8 percent over the time
frame, primarily due to increased
emissions from gathering and boosting
stations. In the processing segment,
emissions increased by 9 percent over
87 Improving Characterization of Anthropogenic
Methane Emissions in the United States (2018),
https://www.nap.edu/read/24987/chapter/3#26.
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the time period, due primarily to an
increase in emissions from compressor
engine exhaust, caused by an increase in
engine capacity per plant. Over the
same time frame, oil production
increased 35 percent and natural gas
production increased 87 percent.
The increase in methane emissions in
the transmission and storage segment
from 2008–2017 was driven by an
increase in emissions from compressor
engine exhaust and station venting.
Over the same time frame, natural gas
consumption increased by 16 percent.
iii. Projections. According to the latest
Energy Information Administration
(EIA) Annual Energy Outlook report,88
from 2017 to 2050, dry natural gas and
crude oil and lease condensate
production (which impact the
production and processing segments
emissions) are projected to increase by
60 percent and 26 percent, respectively,
while natural gas consumption (which
impacts transmission and storage
emissions) is projected to grow by 29
percent.
b. U.S. oil and natural gas production
and natural gas processing and
transmission and storage GHG
emissions relative to total U.S. GHG
50271
emissions.89 Relying on data from the
U.S. GHGI, we compared U.S.: (1) Oil
and natural gas production and natural
gas processing and transmission GHG
emissions, (2) oil and natural gas
processing GHG emissions; and (3)
transmission and storage GHG
emissions to total U.S. GHG emissions
as an indication of the role these
segments play in the total domestic
contribution to the air pollution that is
causing climate change. In 2017, total
U.S. GHG emissions from all sources
were 6,472 MMT CO2 Eq.
TABLE 7—COMPARISONS OF U.S. OIL AND NATURAL GAS EMISSIONS TO TOTAL UNITED STATES GHG EMISSIONS
2017 CH4
emissions
(MMT CO2 eq)
U.S. Oil & Gas Production and Natural Gas Processing & Transmission and Storage .........................................................................................................................
U.S. Oil & Gas Production and Natural Gas Processing ..........................................
U.S. Gas Transmission and Storage .........................................................................
Share of total
U.S. GHG
(%)
Share of total
U.S. CH4
(%)
190
158
32
29
24
5
3
2
1
Emissions from the Inventory of U.S. Greenhouse Gas Emissions and Sinks: 1990–2017 (published April 11, 2019), calculated using methane
(CH4) GWP of 25.
c. U.S. oil and natural gas production
and natural gas processing and
transmission and storage GHG
emissions relative to total global GHG
emissions. For additional background
information and context, we used 2014
emissions data from the World
Resources Institute (WRI) to make
comparisons between U.S. oil and
natural gas production and natural gas
processing and transmission and storage
(and subsets thereof) emissions and the
emissions inventories of entire countries
and regions.
TABLE 8—COMPARISONS OF UNITED STATES OIL AND NATURAL GAS EMISSIONS TO TOTAL GLOBAL GHG EMISSIONS
2014 CH4
emissions (MMT
CO2 eq)
U.S. Oil & Gas Production and Natural Gas Processing & Transmission and Storage .........................................................................................................................
U.S. Oil & Gas Production and Natural Gas Processing ..........................................
U.S. Gas Transmission and Storage .........................................................................
Share of global
CH4
(%)
194
162
32
2.1
1.8
0.4
Share of global
GHG
(%)
0.4
0.3
0.1
Emissions from the Inventory of U.S. Greenhouse Gas Emissions and Sinks: 1990–2017 (published April 11, 2019), calculated using CH4GWP
of 25.
Note: Totals may not sum due to rounding.
The EPA recognizes that by
rescinding the applicability of the
NSPS, issued under CAA section 111(b),
to methane emissions for the sources in
the Crude Oil and Natural Gas
Production source category that are
currently covered by the NSPS, existing
sources of the same type in the source
category will not be subject to regulation
under CAA section 111(d). The EPA
discusses the implications of this and
other relevant issues below. In
subsection A below, we explain our
legal interpretation of CAA section
111(d)(1) and propose that promulgating
an NSPS for VOC emissions from new
sources in the Crude Oil and Natural
Gas Production source category under
CAA section 111(b) does not trigger the
application of CAA section 111(d)
existing sources in the source category.
In subsection B below, we explain why
the lack of regulation of existing sources
under CAA section 111(d) will not mean
a substantial amount of lost emission
reductions. That is because we expect
that many existing sources will retire or
become subject to regulation under CAA
section 111(b) because they will
undertake modification or
reconstruction. In addition, existing
sources already have market incentives
to reduce methane emissions,
participate in voluntary programs to do
so, and in many cases are subject to
state requirements to do so.
88 https://www.eia.gov/outlooks/aeo/data/
browser/#/?id=1-AEO2019&cases=ref2019&
sourcekey=0. Reference scenario. Accessed April
12, 2019.
89 The U.S. and global figures in this subsection
refer to anthropogenic emissions.
Recent trends in global GHG
emissions suggest that the proportion of
U.S. methane emissions, including
emissions from oil and natural gas
production, processing, transmission,
and storage, is likely to represent a
smaller share in the future.
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VII. Implications for Regulation of
Existing Sources
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A. Existing Source Regulation Under
CAA Section 111(d)
CAA section 111(d) authorizes the
regulation of existing sources in a
source category for particular air
pollutants to which a standard of
performance would apply if those
existing sources were new sources. By
legal operation of the terms of CAA
section 111(d), certain existing sources
in the Crude Oil and Natural Gas
Production source category will no
longer be subject to regulation under
CAA section 111(d) as a result of this
proposed rule. Under CAA section
111(d)(1)(A), CAA section 111(d)
applies only to air pollutants for which
air quality criteria have not been issued,
which are not on the EPA’s list of air
pollutants issued under CAA section
108(a) (generally, the list of air
pollutants subject to the NAAQS, and
which are not HAP emitted from a
source category regulated under CAA
section 112. See 42 U.S.C. 7411(d)(1)(A)
(CAA section 111(d) applies to ‘‘any air
pollutant (i) for which air quality
criteria have not been issued or which
is not included on a list published
under section 7408(a) of this title or
emitted from a source category which is
regulated under section 7412 of this
title’’). As noted above, sources in the
Crude Oil and Natural Gas Production
source category emit VOC, methane, and
HAP. The CAA section 112 exclusion in
CAA section 111(d)(1)(A) eliminates
HAP from the type of air pollutant that,
if subjected to a standard of
performance for new sources, would
trigger the application of CAA section
111(d). In addition, as discussed below,
the EPA proposes that VOC do not
qualify as the type of air pollutant that,
if subjected to a standard of
performance for new sources, would
trigger the application of CAA section
111(d). On the other hand, the EPA has,
to date, assumed that methane, if
subjected to a standard of performance
for new sources, would trigger the
application of CAA section 111(d).
Accordingly, given this assumption, the
EPA recognizes that rescinding the
applicability of the NSPS to methane
emissions for the sources in the Crude
Oil and Natural Gas Production source
category that are currently covered by
the NSPS will mean that existing
sources of the same type in the source
category will not be subject to regulation
under CAA section 111(d). This is a
legal consequence that results from the
application of the CAA section 111
requirements.
Further, VOC do not qualify as the
type of air pollutant that, if subjected to
a standard of performance for new
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sources, would trigger the application of
CAA section 111(d). As noted above, the
pollutants excluded from regulation
under CAA section 111(d) include
pollutants which have been included on
the EPA’s CAA section 108(a) list. VOC
are not expressly listed on the EPA’s
section CAA section 108(a) list, but they
are precursors to ozone and PM, both of
which are listed CAA section 108(a)
pollutants. The definition of ‘‘air
pollutant’’ in CAA section 302(g)
expressly provides that the term ‘‘air
pollutant’’ includes precursors to the
formation of an air pollutant ‘‘to the
extent that the Administrator has
identified such precursor or precursors
for the particular purpose for which the
term ‘air pollutant’ is used.’’ Based on
this ‘‘particular purpose’’ phrasing, it is
appropriate to identify VOC as a listed
CAA section 108(a) pollutant for the
particular purpose of applying the CAA
section 108(a) exclusion in CAA section
111(d) for the following reasons: first,
VOC are regulated under the CAA’s
NAAQS/SIP program as a result of the
listing of ozone and PM on the CAA
section 108(a) list, because VOC are
precursors to those two listed
pollutants. Indeed, ozone levels in the
ambient air are the result of
photochemical reactions of precursors
(VOC and NOX), as opposed to being
directly emitted from sources.
Accordingly, the statutory provisions
directed at attaining the NAAQS for
ozone explicitly direct the control of
VOC and emissions controls that result
from the listing of ozone under CAA
section 108(a) apply to the precursors of
ozone, such a VOC. See, e.g., CAA
sections 182(b)(1), 182(b)(2),
182(c)(2)(B). Similarly, the EPA has
recognized that ‘‘[i]n most areas of the
country, PM2.5 precursors are major
contributors to ambient PM2.5
concentrations.’’ 73 FR 28321, 28325/2
(May 16, 2008). In such areas of the
country, VOC are, thus, controlled for
purposes of reducing ambient PM2.5
concentrations. See, e.g., U.S. EPA,
Office of Air Quality Planing and
Standards, ‘‘Guidance on Significant
Impact Levels for Ozone and Fine
Particles in the Prevention of Significant
Deterioration Permitting Program,’’
April 17, 2018.
Second, excluding VOC from
regulation under CAA section 111(d)
makes sense within the CAA’s threepart structure for addressing emissions
from stationary sources. As the EPA has
discussed in past rulemakings, the
CAA—sets out a comprehensive scheme
for air pollution control, addressing
three general categories of pollutants
emitted from stationary sources: (1)
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Criteria pollutants (which are addressed
in CAA sections 108–110); (2)
hazardous pollutants (which are
addressed under CAA section 112); and
(3) ‘‘pollutants that are (or may be)
harmful to public health or welfare but
are not or cannot be controlled under
sections 108–110 or 112.’’ ‘‘Carbon
Pollution Emission Guidelines for
Existing Stationary Sources: Electric
Utility Generating Units: Final Rule,’’ 80
FR 64661, 64711 (October 23, 2015)
(quoting 40 FR 53340 (November 17,
1975)). Within this three-part structure,
CAA section 111(d) is properly
understood as a ‘‘gap-filling’’ measure to
address pollutants that are not
addressed under either the NAAQS/SIP
provisions in CAA sections 108–110 or
the HAP provisions in CAA section 112.
Because VOC are regulated as
precursors to ozone and PM2.5 under
CAA sections 108–110, they are
properly excluded from regulation
under CAA section 111(d) because the
‘‘gap-filling’’ function of CAA section
111(d) is not needed.
Third, reading the phrase ‘‘included
on a list published under [CAA section
108(a)]’’ as including precursors is
consistent with the provision in CAA
section 112(b)(2) that restricts what
pollutants may be listed as CAA section
112 HAP. CAA section 112(b)(2)
provides, in pertinent part:
No air pollutant which is listed under
section 7408(a) of this title may be added to
the list under this section, except that the
prohibition of this sentence shall not apply
to any pollutant which independently meets
the listing criteria of this paragraph and is a
precursor to a pollutant which is listed under
section 7408(a) of this title or to any
pollutant which is in a class of pollutants
listed under such section.
The ‘‘except’’ phrasing of this sentence
suggests that air pollutants which are
‘‘listed under section 7408(a)’’ can be
read to include precursors to the
pollutant that is listed under CAA
section 108(a). Otherwise, pollutants
that are described in the second part of
the sentence (pollutants that meet the
listing criteria and are precursors to a
CAA section 108(a) pollutant) would
not be an exception to the prohibition
in the first part of the sentence.
Finally, the fact that precursors are
not always treated as CAA section
108(a) listed pollutants under all
contexts across the CAA does not
undermine the conclusion that they
should be excluded under the CAA
section 108(a) exclusion in CAA section
111(d). As the CAA section 302(g)
definition expressly states, the scope of
‘‘air pollutant’’ is considered based on
the ‘‘particular purpose’’ for which the
term ‘‘air pollutant’’ is used. The EPA
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has long recognized that the ‘‘particular
purpose’’ clause in CAA section 302(g)
‘‘indicates that the Administrator has
discretion to identify which pollutants
should be classified as precursors for
particular regulatory purposes.’’ 73 FR
28326/1 (May 16, 2008) (‘‘Thus, we do
not necessarily construe the Act to
require that the EPA identify a
particular precursor as an air pollutant
for all regulatory purposes where it can
be demonstrated that various programs
under the Act address different aspects
of the air pollutant problem. Likewise,
we do not interpret the Act to require
that the EPA treat all precursors of a
particular pollutant the same under any
one program when there is a basis to
distinguish between such precursors
within that program.’’).
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B. Limited Impact of Lack of Regulation
of Existing Oil and Gas Sources Under
CAA Section 111(d)
In this subsection, we explain the
several reasons why the lack of
regulation of existing sources under
CAA section 111(d) will have limited
environment impact.
1. Potential Applicability of 40 CFR Part
60, Subpart OOOOa to Current Existing
Sources
The EPA notes that the 2016 NSPS
OOOOa rule includes a definition and
approach to determining new source
applicability that is very broad, and in
the specific context of the oil and
natural gas production industry, can be
anticipated to result in wide
applicability of the NSPS to existing
sources due to the frequency with
which such sources can be reasonably
expected to engage in ‘‘modification’’
activity. One consequence is the
expected reduction of methane
emissions from existing sources
notwithstanding the proposed
alternative actions set forth here.
Further, the EPA believes that it is
reasonable to expect that the number of
existing sources may decline over time
due to obsolescence or to shut down
and removal actions, which would
mitigate the environmental impacts of
lack of direct existing source regulation
under CAA section 111(d), and as noted
below, the EPA is soliciting comment to
determine the rate at which this decline
can be expected to occur.
The EPA is in the process of
examining the rate of turnover of
existing facilities, including the rate at
which existing facilities are replaced
with new facilities, are modified, or
shut down. The EPA has reviewed
indirect turnover information from three
different sources. First, the EPA
assessed the GHGI to identify the
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activity counts for pneumatic
controllers, compressors, tank
throughput, and well completions.90
Second, the EPA reviewed activity
counts from DrillingInfo for well
completions.91 Third, the EPA reviewed
a number of compliance reports for the
approximate first reported compliance
year since the promulgation of the 2016
NSPS OOOOa rule. The EPA
determined that the available
information may be indicative of trends
for some sources whereas, for other
sources, no conclusions can yet be
drawn. The following section presents
the information available to the EPA
from which it appears possible to
identify trends. We solicit information
and data to help evaluate the rate at
which existing sources decline over
time, through modification,
obsolescence, shutdown, replacement to
new source status or otherwise.
Specifically, we are requesting
information regarding affected facility
useful life in hours or years (i.e.,
expected years of operation before
replacement) and affected facilities that
commenced new construction,
modification, or reconstruction over a
time period (e.g., 2016, 2017, and 2018).
The following paragraphs present the
information currently available to the
EPA by source.
a. Pneumatic controllers. The count of
high-bleed pneumatic controllers in the
oil and natural gas production segment
declined 74 percent from 2011 to 2017.
The count of low-bleed pneumatic
controllers also declined (by 41
percent), while intermittent-bleed
increased (by 52 percent). Over the same
period, the overall count of pneumatic
controllers in this segment decreased by
3 percent. This indicates that high-bleed
and low-bleed controllers have been
replaced by intermittent bleed
controllers. The rapid pace at which
high- and low-bleed controllers
90 The GHGI includes national estimates of
various types of activity data, some of which
correspond approximately to the 2016 NSPS
OOOOa facility categories. The EPA looked at the
change in facilities between 2011 and 2017 in order
to isolate the effect of the 2012 NSPS OOOO rule
to understand turnover of affected facilities. The
EPA recognizes uncertainty in this use of data from
the GHGI and the EPA will need additional
information to assess the identified data gaps for
purposes of identifying trends.
91 The DrillingInfo database includes information
on oil and natural gas wells, production, well
completions, and associated data. This is relevant
to potential turnover for purposes of well
completion and fugitive emissions requirements.
DrillingInfo records show the extent to which
currently producing wells have had a completion in
recent years, or the ratio of completions to total
producing wells. The EPA recognizes uncertainty in
data from this source and will need additional
information to assess the identified data gaps for
purposes of identifying trends.
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declined while intermittent-bleed
controllers increased suggests that
pneumatic controllers had a high rate of
turnover or were replaced before the
end of their useful life. This data shows
a relatively small number of remaining
existing high-bleed pneumatic
controllers relative to a few years ago.
The EPA solicits data and information
on the turnover rate of pneumatic
controllers.
b. Compressors. The count of wet seal
centrifugal compressors at processing
plants was 343 in both 2011 and 2017.92
The EPA expects the dry seal control
option to be the most common control
strategy due to its low cost. For
comparison, the number of dry seal
compressors at processing plants
changed from 281 to 339 (or 21 percent),
an increase of 58. At the same time the
number of processing plants increased
by 61. The EPA solicits data and
information on the turnover rate of wet
seal centrifugal compressors.
c. Storage vessels. Natural gas
production throughput at large
condensate storage vessels without
controls decreased by 33 percent from
2011 to 2017. The growth is slower than
the growth in natural gas production
throughput of all other types of
condensate storage vessels (large tanks
with flares and vapor recovery units
(VRU), and small tanks with and
without flares), which was 41 percent.
Oil production throughput at large
storage vessels without controls
increased by 18 percent from 2011 to
2017. The growth is slower than the
growth in oil production throughput of
all other types of storage vessels (large
tanks with flares and VRUs, and small
tanks with and without flares), which
was 92 percent. In general, if many
existing storage vessels were being
replaced, becoming subject to 2016
NSPS OOOOa and then installing
controls, we may expect production
throughput at large uncontrolled storage
tanks to decline, with corresponding
increases at controlled tanks. The EPA
solicits data and information on storage
vessel production throughput and the
turnover rate of affected facilities.
d. Well completions. Based on the
GHGI, the ratio of natural gas well
completions to total producing natural
gas wells from 2011 to 2017 has
decreased, from 2.4 to 1.1 percent. The
ratio of oil well completions to total
producing oil wells has remained at
approximately 3 percent from 2011 to
2017. If wells had a relatively short
92 New or modified wet seal centrifugal
compressors are subject to control requirement
under NSPS OOOO and OOOOa while dry seal
centrifugal compressors are not.
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production lifetime, we would expect a
high ratio of completions to total
producing wells. The 2 percent ratio
indicates that a relatively small number
of wells are completed each year. Based
on a preliminary analysis of the
DrillingInfo database, approximately
one-third of total producing oil and gas
wells in 2014 had a completion in the
prior 10 years, while two-thirds of
producing oil and gas wells had no
completion records for at least 10 years.
If the EPA assumes that future
completion activity follows these
trends, then after 2016 NSPS OOOOa
well site fugitive requirements have
been in place for 10 years (2016 through
2025), we might expect completions at
about one-third of wells (from the
perspective of having had a completion
after the effective date of the 2016 NSPS
OOOOa). The EPA solicits data and
information regarding the proportion of
wells that have undergone a completion
during a shorter time period (e.g., less
than 10 years) and that would imply
that most well sites are subject to 2016
NSPS OOOOa. The EPA solicits
comment on how we should
characterize wells sharing well sites
(e.g., if only half of wells have had a
recent completion, it would be possible
for half the wells to not be subject to
2016 NSPS OOOOa, or potentially all
wells could be subject to 2016 NSPS
OOOOa, if wells without a recent
completion always share a well site
with newer wells).
e. Compliance reports. The EPA
reviewed all NSPS OOOOa compliance
reports that had been submitted to the
Agency through November 21, 2017, in
order to identify information to use to
develop a rate at which existing
facilities become new or modified.93
Information in these compliance reports
indicates the number of various types of
facilities subject to the NSPS during the
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93 These reports have since been made available
for public viewing at https://www.foiaonline.gov/
foiaonline/action/public/submissionDetails?
trackingNumber=EPA-HQ-2018001886&type=request.
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given time range. The reports included
2,991 well sites, encompassing 697
storage vessels, five pneumatic
controllers, 663 pneumatic pumps, and
2,091 instances of fugitive emissions
monitoring. 130 compressor stations
were included in the reports,
encompassing 148 reciprocating
compressors and 94 instances of fugitive
emissions monitoring. In addition, 38
natural gas processing plants were
included, encompassing one pneumatic
controller and 32 reciprocating
compressors. The reports included both
new and existing facilities, which we
can disaggregate in part by subtracting
our previous estimates of the number of
‘‘new’’ facilities from these counts
which include both new and modified.
A high rate of turnover (e.g., a high rate
of facilities performing modification(s)
which caused them to become subject to
the 2016 NSPS OOOOa) would imply
that a large number of facilities should
be submitting compliance reports. Thus,
the general proportions of the number of
facilities in the compliance reports
versus the total population indicates
how quickly facilities became subject to
the NSPS during this period. Due to
various uncertainties, we are unable to
develop a rate at which existing sources
become subject to the NSPS OOOOa.
The EPA solicits comment on ways to
use this information to predict turnover
trends.
The EPA has also considered multiple
factors unrelated to federal regulatory
requirements that achieve methane
emissions reductions. First, market
incentives exist for the oil and natural
gas industry to capture as much of its
primary product as is cost effective, and
that capture reduces methane emissions.
Second, firms in the oil and natural gas
industry participate in several voluntary
programs to reduce emissions. Third,
many of the top oil and natural gasproducing states have developed or are
developing regulations that require
emissions reductions. We believe these
factors also should be considered for the
universe of existing facilities and that
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they point away from any need to
regulate existing sources under CAA
section 111(d). The EPA presents below
background information and data on
each of these factors.
2. Market Incentives
As methane is the primary constituent
of natural gas, an important commodity,
operators have market incentives to
reduce emissions and the loss of
valuable product to the atmosphere.
Absent regulation, the incentive to
maximize the capture of natural gas is
the market price obtained by the
operator producing the natural gas.
Assuming financially rational-acting
producers, standard economic theory
suggests that oil and natural gas
operators will incorporate all costeffective production improvements of
which they are aware without
government intervention. Depending on
the future trajectories of natural gas
prices and the costs of natural gas
capture, these market incentives speak
to the question of whether, even in the
absence of specific regulatory
requirements applicable to methane
emissions from existing sources,
meaningful emission decreases can
nevertheless be projected to occur.
As shown in Figure 2 below, as
technology, expertise, infrastructure,
and regulation in the oil and natural gas
industry has improved, less natural gas
has been lost to unproductive uses such
as venting and flaring. Figure 2 shows
how the gross withdrawals 94 of natural
gas has generally increased in the U.S.
over the past 80 years while the fraction
of this withdrawn natural gas lost to
venting and flaring has generally been
decreasing over the same time frame.
94 U.S. EIA defines gross withdrawals of natural
gas as ‘‘[f]ull well-stream volume, including allnatural gas plant liquids and all nonhydrocarbon
gases, but excluding lease condensate. Also
includes amounts delivered as royalty payments or
consumed in field operations.’’ Available at: https://
www.eia.gov/dnav/ng/TblDefs/ng_sum_sndm_
tbldef2.asp. Accessed October 30, 2018.
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95 U.S. EIA data on natural gas gross withdrawals
available at: https://www.eia.gov/dnav/ng/ng_prod_
sum_a_EPG0_FGW_mmcf_a.htm. Accessed October
30, 2018. U.S. EIA data on vented and flared natural
gas available at: https://www.eia.gov/dnav/ng/ng_
prod_sum_a_EPG0_VGV_mmcf_a.htm. Accessed
October 30, 2018.
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reported.96 With that caveat in mind,
while this figure does not depict a
precise relationship between natural gas
production and methane emissions, the
figure highlights the point that the
productive inefficiency of losing natural
gas to venting and flaring has been
reduced greatly over this long period of
time, likely the product of operators
learning to improve returns on costly
drilling and production investments by
capturing more of the product coming
96 Available at: https://www.gao.gov/assets/250/
243433.pdf. Accessed October 30, 2018.
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out of the ground, as well as to improve
the health, safety, and environmental
performance of their operations.
Regarding the relationship of methane
emissions and natural gas production,
while overall natural gas gross
withdrawals have increased about 50
percent from 1990 to 2016, aggregate
methane emissions from the NSPS
OOOOa-relevant industry segments
have stayed relatively flat (Figure 3).
This trend indicates decreasing
aggregate methane emissions intensity
for these segments over this period
(Figure 3).
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In 2004, the Government
Accountability Office (GAO) noted that
the venting and flaring data collected by
the U.S. EIA was limited in several
ways, including that the data is
voluntarily and inconsistently
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The EPA solicits comment on whether
sufficient market incentives exist to
offset the costs of emissions capture
such that total methane emissions will
trend downward under these incentives.
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3. Voluntary Programs
Separate from regulatory
requirements, owners and operators of
facilities in the oil and natural gas
industry participate in voluntary
programs that reduce their methane
emissions. Specifically, many owners
and operators of facilities participate in
the EPA partnership programs Natural
Gas STAR Program and the Methane
Challenge Program. Owners and
operators also participate in voluntary
programs unaffiliated with the EPA
voluntary programs, such as the
Environmental Partnership 98 and the
Climate and Clean Air Coalition (CCAC)
Oil & Gas Methane Partnership. Firms
might participate in voluntary
environmental programs for a variety of
reasons, including attracting customers,
employees, and investors who value
more environmental-responsible goods
and services; finding approaches to
97 Methane emissions from Table 3.5–2
(Petroleum Systems) and Table 3.6–1 (Natural Gas
Systems) in U.S. EPA. 2018. Inventory of U.S.
Greenhouse Gas Emissions and Sinks: 1990–2016.
EPA 430–R–18–003. Available at: https://
www.epa.gov/ghgemissions/inventory-usgreenhouse-gas-emissions-and-sinks-1990-2016.
Accessed October 31, 2018. U.S. EIA data on
natural gas gross withdrawals available at: https://
www.eia.gov/dnav/ng/ng_prod_sum_a_EPG0_FGW_
mmcf_a.htm. Accessed October 31, 2018.
98 https://theenvironmentalpartnership.org/.
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improve efficiency and reduce costs;
and reducing pressures for potential
new regulations or helping shape future
regulations.99 100
The Natural Gas STAR Program
started in 1993 and seeks to achieve
methane emission reductions through
cost-effective best practices and
technologies. Partner companies
document their voluntary emission
reduction activities and report their
accomplishments to the EPA annually.
Natural Gas STAR includes over 100
partners across the natural gas value
chain and has eliminated nearly 1.39
trillion cubic feet of methane emissions
since 1993.
The Methane Challenge Program,
started in 2016 and designed for
companies that want to adopt more
ambitious actions for methane
reductions, expands the Natural Gas
STAR Program through specific,
ambitious commitments; transparent
reporting; and company-level
recognition of commitments and
progress. This program includes more
than 50 companies from all segments of
the industry—production, gathering and
99 Borck, J.C. and C. Coglianese (2009).
‘‘Voluntary Environmental Programs: Assessing
Their Effectiveness.’’ Annual Review of
Environment and Resources 34(1): 305–324.
100 Brouhle, K., C. Griffiths, and A. Wolverton.
(2009). ‘‘Evaluating the role of EPA policy levers:
An examination of a voluntary program and
regulatory threat in the metal-finishing industry.’’
Journal of Environmental Economics and
Management. 57(2): 166–181.
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boosting, transmission and storage, and
distribution.
The Environmental Partnership is
comprised of various companies of
different sizes and includes
commitments to replace all high-bleed
pneumatic controllers with low-bleed
controllers (i.e., controllers with a bleed
rate less than 6 standard cubic feet per
hour) within 5 years, require operators
to be on-site or nearby when conducting
liquids unloading and require initial
monitoring for fugitive emissions at all
sites within 5 years, with repairs
completed within 60 days of fugitive
emissions detection.
The CCAC Oil and Gas Methane
Partnership is a technical partnership
between oil and natural gas companies,
the Environmental Defense Fund, the
EPA Natural Gas STAR Program, and
the Global Methane Initiative that
provides technical documents on a wide
variety of opportunities for reducing
methane emissions and requires annual
progress reports from its participants.
Yearly data on the progress being made
by participants is available on the CCAC
website.101
While the GHGI already accounts for
these voluntary reductions, the adoption
of control technologies and emission
reduction practices of participating
companies reporting to the EPA’s
programs, the EPA understands it takes
time for newly launched voluntary
efforts to demonstrate reductions. The
101 https://ccacoalition.org/en/content/oil-and-gasmethane-partnership-reporting.
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EPA also understands that not all
sources participate in voluntary
programs, although participation may
increase over time. The EPA solicits
data and information that the EPA can
use to evaluate the aggregate present
impact and potential future impact of
oil and natural gas industry
participation in voluntary programs.
4. State Regulatory Programs
Several major oil and natural gas
producing states have established
regulations on oil and natural gas sector
emissions. These states include
California (CA), Colorado (CO), Montana
(MT), New Mexico (NM), North Dakota
(ND), Ohio (OH), Pennsylvania (PA),
Texas (TX), Utah (UT), and Wyoming
(WY).102 In 2018 within the U.S., these
states contributed about 71 percent of
crude oil production 103 and 69 percent
of natural gas production.104 A
comparison of sources covered by state
rules, regulated pollutants, and the
regulatory status of the transmission and
storage segment, is presented in Table 9.
TABLE 9—COMPARISON OF STATE OIL AND NATURAL GAS REGULATIONS
CA
CO
MT
ND
NM
OH
Yes ...
No .....
No .....
No .....
No .....
No .....
Yes ...
No .....
No .....
No .....
Yes ...
No .....
No .....
No .....
No .....
No .....
Yes ...
No .....
No .....
No .....
Yes ...
Yes ...
Yes ...
Yes ...
Yes ...
No .....
Yes ...
Yes ...
No .....
Yes ...
PA
TX
UT
Yes ...
No .....
No .....
No .....
No .....
Yes ...
Yes ...
No .....
No .....
No .....
Yes ...
No .....
No .....
Yes ...
No .....
No .....
Yes ...
No .....
No .....
No .....
WY
Source
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Storage Vessels ...........................................................
Reciprocating Compressors .........................................
Centrifugal Compressors .............................................
Pneumatic Controllers ..................................................
Pneumatic Pumps ........................................................
Equipment Leaks at Natural Gas Processing Plants ..
Fugitive Emissions at Well Sites ..................................
Fugitive Emissions at Compressor Stations ................
Methane Standards ......................................................
Transmission and Storage Segment ...........................
While not all of these states cover all
emission sources covered by the NSPS
OOOO and OOOOa, all have
requirements for storage vessels and
fugitive emissions at well sites, two of
the largest emission sources within the
oil and natural gas industry. Select
aspects of the fugitive emissions
programs for these states were evaluated
as potential alternative standards to
changes to 2016 NSPS OOOOa that the
EPA proposed by notice dated October
15, 2018, 83 FR 52056. The states with
programs proposed to be included as
alternative fugitive standards include
CA, CO, OH, and PA for both well sites
and compressor stations, and TX and
UT for well sites only.105 Alaska,
Oklahoma, and West Virginia
incorporate NSPS OOOO and OOOOa
by reference into state rules.
Three states, including CA, CO, and
PA, regulate methane emissions
explicitly.106 California requires
emissions from storage vessels emitting
more than 10 tpy of methane to be
routed to a vapor control system. In
addition, CA does not allow for
pneumatic pumps to vent methane
emissions to the atmosphere. Colorado
requires certain HC destruction
efficiencies for storage vessels, as well
as general requirements to design
operations so that HC emissions are
minimized. Pennsylvania’s General
Permits 5 and 5A require various
102 This list does not differentiate which states are
covering existing and/or new sources. We note that
states may define existing and new sources
differently than the EPA.
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Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
...
...
...
...
...
...
...
...
...
...
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
...
...
...
...
...
...
...
...
...
...
Yes ...
No .....
No .....
No .....
No .....
No .....
Yes ...
No .....
No .....
No .....
emission sources emitting over 200 tpy
of methane to control their emissions by
95 percent. These emission sources
include dehydrators, storage vessels,
pigging operations, and tanker truck
load-out operations. In addition, the
definition of ‘‘fugitive emission
component’’ within these permits
explicitly includes those components
that have the potential to emit methane.
The permits require quarterly
instrument monitoring for compressor
stations and unconventional well sites.
While other states only regulate VOC,
measures that reduce VOC will also
reduce methane. The EPA solicits
comment describing what other states
are doing to reduce methane emissions
from the oil and natural gas industry,
and, more broadly, whether there are
enough consistent state requirements in
place that will meaningfully reduce
emissions should the primary proposal
be finalized. Additionally, the EPA does
not current have the capability to
produce state-level projections of
sources in transmission and storage that
are potentially affected by this action.
Because of this, we are unable to
perform any quantitative analysis of
state programs with similar
requirements. As a result, the EPA also
solicits information that will help the
Agency project potentially-affected
facilities in the transmission and storage
segment at the state level.
103 https://www.eia.gov/state/rankings/#/series/
46.
104 https://www.eia.gov/state/rankings/#/series/
47.
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Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
...
...
...
...
...
...
...
...
...
...
Yes.
No.
No.
Yes.
Yes.
No.
Yes.
Yes.
No.
Yes.
VIII. Impacts of This Proposed Rule
A. What are the air impacts?
The EPA estimated the change in
emissions that will occur due to the
implementation of the primary and
alternative options in this proposal for
the analysis years of 2019 through 2025.
The EPA estimates impacts beginning in
2019 to reflect the year implementation
of this proposal. The EPA estimates
impacts through 2025 to illustrate the
accumulating effect of this rule, if
finalized as proposed, over a longer
period. The EPA does not estimate
impacts after 2025 for reasons including
limited information, as explained in the
RIA. The RIA estimates for 2025 include
sources newly affected in 2025 as well
as the accumulation of affected sources
from 2016 to 2024 that are also assumed
to be in continued operation in 2025,
thus, incurring compliance costs and
emission reductions in 2025.
The RIA presents results relative to
two alternative baselines for this action.
The first baseline includes the March
12, 2018 Amendments final package and
the October 15, 2018 proposed revisions
and is referred to as the ‘‘2018 Proposed
Regulatory’’ baseline. The second
baseline includes the March 12, 2018
Amendments final package but excludes
the potential impacts of the October 15,
2018 proposed revisions and is referred
to as the ‘‘Current Regulatory’’ baseline.
105 https://www.epa.gov/controlling-air-pollutionoil-and-natural-gas-industry/proposedimprovements-2016-new-source.
106 Colorado includes requirements on methane
emissions in the form of HC.
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A more detailed description of the
alternative baselines is presented in
Section 1.2 of the RIA.
The EPA estimated that over the 2019
to 2025 time frame, relative to the 2018
Proposed Regulatory baseline, the
primary proposal would increase
methane emissions by about 350,000
short tons, VOC emissions by about
9,700 tons, and 290 tons of HAP from
facilities affected by this review. Under
the Current Regulatory baseline, the
EPA estimated that over the 2019 to
2025 time frame, the primary proposal
would increase methane emissions by
about 370,000 short tons VOC emissions
by about 10,000 tons, and 300 tons of
HAP from facilities affected by this
review.
Under the alternative proposal,
because the methane control options are
redundant with VOC control options,
there are no expected emission impacts
from rescinding the methane
requirement, relative to either of the
2018 Proposed Regulatory or the
Current Regulatory baselines.
The EPA solicits comment on the
assumptions used in the memorandum
titled ‘‘Draft Control Cost and Emission
Changes under the Proposed
Amendments to 40 CFR part 60, subpart
OOOOa Under Executive Order 13783.
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B. What are the energy impacts?
Energy impacts in this section are
those energy requirements associated
with the operation of emissions control
devices. Potential impacts on the
national energy economy from the rule
are discussed in the economic impacts
section. Under the primary proposal,
there would be little change in the
national energy demand from the
operation of any of the environmental
controls proposed in this action. The
alternative proposal would lead to no
changes in compliance activities and, as
a result, would not produce any energy
impacts. This conclusion is
independent of the choice of baseline
used in the analysis supporting this
action.
C. What are the compliance costs?
Under the 2018 Proposed Regulatory
baseline, the EPA estimates the present
value (PV) of compliance cost savings of
the primary proposal over 2019–2025,
discounted back to 2016, will be $104
million (in 2016 dollars) using a 7
percent discount rate and $133 million
using a 3 percent discount rate, not
including the forgone producer
revenues associated with the decrease in
the recovery of saleable natural gas. The
equivalent annualized value (EAV) of
these cost savings are $18 million per
year using a 7 percent discount rate and
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$21 million per year using a 3 percent
discount rate. In this analysis, the EPA
uses the 2018 Annual Energy Outlook
(AEO) projection of natural gas prices to
estimate the value of the change in the
recovered gas at the wellhead. After
accounting for the change in these
revenues, the estimate of the PV of
compliance cost savings of the proposed
review over 2019–2025, discounted
back to 2016, are estimated to be $81
million using a 7 percent discount rate,
and $103 million using a 3 percent
discount rate; the corresponding
estimates of the EAV of cost savings
after accounting for the forgone
revenues are $14 million per year using
a 7 percent discount rate, and $16
million per year using a 3 percent
discount rate.
Under the Current Regulatory
baseline, the EPA estimates the present
value (PV) of compliance cost savings of
the primary proposal over 2019–2025,
discounted back to 2016, will be $122
million (in 2016 dollars) using a 7
percent discount rate and $155 million
using a 3 percent discount rate, not
including the forgone producer
revenues associated with the decrease in
the recovery of saleable natural gas. The
equivalent annualized value (EAV) of
these cost savings are $21 million per
year using a 7 percent discount rate and
$24 million per year using a 3 percent
discount rate. After accounting for the
change in these revenues, the estimate
of the PV of compliance cost savings of
the proposed review over 2019–2025,
discounted back to 2016, are estimated
to be $97 million using a 7 percent
discount rate, and $123 million using a
3 percent discount rate; the
corresponding estimates of the EAV of
cost savings after accounting for the
forgone revenues are $17 million per
year using a 7 percent discount rate, and
$19 million per year using a 3 percent
discount rate.
Under the alternative proposal,
because the methane control options are
redundant with VOC control options,
there are no expected changes in the
cost or emissions from rescinding the
methane requirements relative to either
baseline used in the analysis supporting
this action.
Under the alternative proposal,
because the methane control options are
redundant with VOC control options,
there are no expected changes in the
cost or emissions from rescinding the
methane requirements relative to either
baseline used in the analysis supporting
this action.
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D. What are the economic and
employment impacts?
The EPA used the National Energy
Modeling System (NEMS) to estimate
the impacts of the 2016 NSPS OOOOa
on the U.S. energy system. The NEMS
is a publicly-available model of the U.S.
energy economy developed and
maintained by the U.S. EIA and is used
to produce the AEO, a reference
publication that provides detailed
projections of the U.S. energy economy.
The EPA estimated small impacts on
crude oil and natural gas markets of the
2016 NSPS OOOOa rule over the 2020
to 2025 period. If finalized, the primary
proposal would result in a decrease in
total compliance costs. Therefore, the
EPA expects that the primary proposal
would partially reduce the impacts
estimated for the 2016 NSPS OOOOa in
the 2016 NSPS OOOOa RIA. The
alternative proposal, if finalized, would
lead to no cost impacts and no changes
in the estimated impacts of the 2016
NSPS OOOOa rule. This conclusion is
independent of the choice of baseline
used in the analysis supporting this
action.
Executive Order 13563 directs federal
agencies to consider the effect of
regulations on job creation and
employment. According to the
Executive Order, ‘‘our regulatory system
must protect public health, welfare,
safety, and our environment while
promoting economic growth,
innovation, competitiveness, and job
creation. It must be based on the best
available science.’’ (Executive Order
13563, 2011). While a standalone
analysis of employment impacts is not
included in a standard benefit-cost
analysis, such an analysis is of concern
in the current economic climate given
continued interest in the employment
impact of regulations such as this
proposed rule.
The EPA estimated the labor impacts
due to the installation, operation, and
maintenance of control equipment,
control activities, and labor associated
with new reporting and recordkeeping
requirements in the 2016 NSPS OOOOa
RIA. Under the primary proposal, the
EPA expects there will be slight
reductions in the labor required for
compliance-related activities associated
with the 2016 NSPS OOOOa
requirements relating to the rescission
of requirements in the transmission and
storage segment of the oil and natural
gas industry. Under the alternative
proposal, the EPA expects no changes in
labor-related compliance requirements
associated with the 2016 NSPS OOOOa
rule. These conclusions are independent
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of the choice of baseline used in the
analysis supporting this action.
E. What are the benefits of the proposed
standards?
The EPA expects forgone climate and
health benefits due to the increase in
emissions resulting from the primary
proposal which would remove
requirements in the transmission and
storage segment. Under the alternative
proposal, because the methane control
options are redundant with VOC control
options, there are no expected emissions
impacts from rescinding the methane
requirement; hence, there would be no
forgone climate and health benefits
resulting from the alternative option.
These conclusions are independent of
the choice of baseline used in the
analysis supporting this action.
The EPA estimated the forgone
domestic climate benefits from the
increase in methane emissions
associated with the action using an
interim measure of the domestic social
cost of methane (SC-CH4). The SC-CH4
estimates used here were developed
under Executive Order 13783 for use in
regulatory analyses until an improved
estimate of the impacts of climate
change to the U.S. can be developed
based on the best available science and
economics. Executive Order 13783
directed agencies to ensure that
estimates of the social cost of GHG used
in regulatory analyses ‘‘are based on the
best available science and economics’’
and are consistent with the guidance
contained in OMB Circular A–4,
‘‘including with respect to the
consideration of domestic versus
international impacts and the
consideration of appropriate discount
rates’’ (Executive Order 13783, Section
5(c)). In addition, Executive Order
13783 withdrew the technical support
documents (TSDs) and the August 2016
Addendum to these TSDs describing the
global social cost of GHG estimates
developed under the prior
Administration as no longer
representative of government policy.
The withdrawn TSDs and Addendum
were developed by an interagency
working group that included the EPA
and other executive branch entities and
were used in the 2016 NSPS OOOOa
RIA.
Under the primary proposal, the EPA
expects that the forgone VOC emission
reductions will degrade air quality and
are likely to adversely affect health and
welfare associated with exposure to
ozone, PM2.5, and HAP, but we are
unable to quantify these effects at this
time. This omission should not imply
that these forgone benefits do not exist,
and to the extent that EPA were to
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quantify these ozone and PM impacts, it
would estimate the number and value of
avoided premature deaths and illnesses
using an approach detailed in the
Particulate Matter NAAQS and Ozone
NAAQS Regulatory Impact Analyses
(U.S. EPA, 2012; U.S. EPA, 2015).
When quantifying the incidence and
economic value of the human health
impacts of air quality changes, the
Agency often relies upon reduced-form
techniques; these are often reported as
‘‘benefit-per-ton’’ values that relate air
pollution impacts to changes in air
pollutant precursor emissions (U.S.
EPA, 2018). A small but growing
literature characterizes the air quality
and health impacts from the oil and
natural gas industry, but does not yet
supply the information needed to derive
a VOC benefit per ton value suitable for
a regulatory analysis (Fann, et al., 2018;
Litovitz, et al., 2013; Loomis, et al.,
2017).107 Moreover, the Agency is
currently comparing various reducedform techniques, including benefit per
ton approaches that quantify air quality
benefits. Over the last year and a half,
the EPA systematically compared the
changes in benefits, and concentrations
where available, from its benefit-per-ton
technique and other reduced-form
techniques to the changes in benefits
and concentration derived from fullform photochemical model
representation of a few different specific
emissions scenarios.108 The Agency’s
goal was to better understand the
suitability of alternative reduced-form
air quality modeling techniques for
estimating the health impacts of criteria
pollutant emissions changes in the
EPA’s benefit-cost analysis, including
the extent to which reduced form
models may over- or under-estimate
benefits (compared to full-scale
modeling) under different scenarios and
air quality concentrations. The scenariospecific emission inputs developed for
this project are currently available
107 Fann, N., et al. (2018). ‘‘Assessing Human
Health PM2.5 and Ozone Impacts from U.S. Oil and
Natural Gas Sector Emissions in 2025.’’
Environmental Science & Technology 52(15): 8095–
8103.
Litovitz, A., et al. (2013). ‘‘Estimation of regional
air-quality damages from Marcellus Shale natural
gas extraction in Pennsylvania.’’ Environmental
Research Letters 8(1): 014017.
Loomis, J. and M. Haefele (2017). ‘‘Quantifying
Market and Non-market Benefits and Costs of
Hydraulic Fracturing in the United States: A
Summary of the Literature.’’ Ecological Economics
138: 160–167.
108 This analysis compared the benefits estimated
using full-form photochemical air quality modeling
simulations (CMAQ and CAMx) against four
reduced-form tools, including: InMAP; AP2/3;
EASIUR and the EPA’s benefit-per-ton.
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50279
online.109 The study design and
methodology will be thoroughly
described in the final report
summarizing the results of the project,
which is planned to be completed by
the end of 2019.
Relative to the 2018 Proposed
Regulatory baseline, the PV of the
estimated forgone domestic climate
benefits over 2019–2025, discounted
back to 2016, is $13 million using a 7
percent discount rate and $49 million
using a 3 percent discount rate. The
EAV of these estimated forgone climate
benefits is $2.2 million per year using 7
percent discount rate and $7.7 million
per year using a 3 percent discount rate.
Under the Current Regulatory baseline,
the PV of the estimated forgone
domestic climate benefits over 2019–
2025, discounted back to 2016, will be
$13 million using a 7 percent discount
rate and $52 million using a 3 percent
discount rate. The EAV of these
estimated forgone climate benefits is
$2.3 million per year using 7 percent
discount rate and $8.1 million per year
using a 3 percent discount rate. These
values represent only a partial
accounting of domestic climate impacts
from methane emissions and do not
account for health effects of ozone
exposure from the increase in methane
emissions.
IX. 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.
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
This action is a significant regulatory
action that was submitted to OMB for
review because it raises novel legal or
policy issues. Any changes made in
response to OMB recommendations
have been documented in the docket. In
addition, the EPA prepared an RIA of
the potential costs associated with the
primary and alternative proposals in
this action. The RIA available in the
docket describes in detail the empirical
basis for the EPA’s assumptions and
characterizes the various sources of
uncertainties affecting the estimates
below.
109 The scenario-specific emission inputs
developed for this project are currently available
online at: https://github.com/epa-kpc/RFMEVAL.
Upon completion and publication of the final
report, the final report and all associated
documentation will be online and available at this
URL.
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The RIA presents results relative to
two alternative baselines for this action.
The first baseline includes the March
12, 2018 Amendments final package and
the October 15, 2018 proposed revisions
and is referred to as the ‘‘2018 Proposed
Regulatory’’ baseline. The second
baseline includes the March 2018
Amendments final package but excludes
the potential impacts of the October 15,
2018 proposed revisions and is referred
to as the ‘‘Current Regulatory’’ baseline.
A more detailed description of the
alternative baselines is presented in
Section 1.2.2 of the RIA.
Table 10 shows the present value and
equivalent annualized value results of
the cost and benefits analysis for the
primary proposal for 2019 through 2025
relative to the 2018 Proposed Regulatory
baseline discounted back to 2016 using
a discount rate of 7 percent. The table
also shows the total increase in
emissions from 2019 through 2025 from
the primary proposal relative to the
2018 Proposed Regulatory baseline.
When discussing net benefits, we
modify the relevant terminology to be
more consistent with traditional net
benefits analysis. In the following table,
we refer to the cost savings as presented
in section 2 of the RIA, and in section
VII.C above, as the ‘‘benefits’’ of this
proposed action and the forgone
benefits as presented in section 3 of the
RIA, and in section VIII.E above, as the
‘‘costs’’ of this proposed action. Total
cost savings are cost savings less the
forgone value of product recovery. The
net benefits are the benefits (total cost
savings) minus the costs (forgone
domestic climate benefits).
Table 10 shows the present value and
equivalent annualized value results of
the cost and benefits analysis for the
primary proposal for 2019 through 2025
relative to the 2018 Proposed Regulatory
baseline discounted back to 2016 using
a discount rate of 7 percent. The table
also shows the total increase in
emissions from 2019 through 2025 from
the primary proposal relative to the
2018 Proposed Regulatory baseline.
When discussing net benefits, we
modify the relevant terminology to be
more consistent with traditional net
benefits analysis. In the following table,
we refer to the cost savings as presented
in Section 2 of the RIA, and in section
VII.C above, as the ‘‘benefits’’ of this
proposed action and the forgone
benefits as presented in Section 3 of the
RIA, and in section VIII.E above, as the
‘‘costs’’ of this proposed action. Total
cost savings are cost savings less the
forgone value of product recovery. The
net benefits are the benefits (total cost
savings) minus the costs (forgone
domestic climate benefits).
TABLE 10—SUMMARY OF THE PRESENT VALUE AND EQUIVALENT ANNUALIZED VALUE OF THE MONETIZED FORGONE BENEFITS, COST SAVINGS, AND NET BENEFITS OF THE PRIMARY PROPOSAL FROM 2019 THROUGH 2025 RELATIVE TO
THE 2018 PROPOSED REGULATORY BASELINE
[Millions of 2016$]
Present value
Benefits (Total Cost Savings) ......................................................................................................................
Cost Savings ........................................................................................................................................
Forgone Value of Product Recovery ....................................................................................................
Costs (Forgone Domestic Climate Benefits) ...............................................................................................
Net Benefits .................................................................................................................................................
Non-monetized Forgone Benefits ................................................................................................................
$81
104
23
13
69
Equivalent
annualized value
$14
18
4.0
2.2
12
Non-monetized climate impacts from
increases in methane emissions.
Health effects of PM2.5 and ozone
exposure from an increase of 9,700
tons of VOC from 2019 through 2025.
Health effects of HAP exposure from
an increase of 290 tons of HAP from
2019 through 2025.
Health effects of ozone exposure from
an increase of 350,000 short tons of
methane from 2019 through 2025.
Visibility impairment.
Vegetation effects.
Estimates may not sum due to independent rounding.
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Table 11 shows the present value and
equivalent annualized value results of
the cost and benefits analysis for the
primary proposal for 2019 through 2025
relative to the Current Regulatory
baseline, discounted back to 2016 using
a discount rate of 7 percent. The table
also shows the total increase in
emissions from 2019 through 2025 from
the primary proposal relative to the
Current Regulatory baseline.
TABLE 11—SUMMARY OF THE PRESENT VALUE AND EQUIVALENT ANNUALIZED VALUE OF THE MONETIZED FORGONE BENEFITS, COST SAVINGS, AND NET BENEFITS OF THE PRIMARY PROPOSAL FROM 2019 THROUGH 2025 RELATIVE TO
THE CURRENT REGULATORY BASELINE
[Millions of 2016$]
Present value
Benefits (Total Cost Savings) ......................................................................................................................
Cost Savings ........................................................................................................................................
Forgone Value of Product Recovery ....................................................................................................
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122
25
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annualized value
$17
21
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TABLE 11—SUMMARY OF THE PRESENT VALUE AND EQUIVALENT ANNUALIZED VALUE OF THE MONETIZED FORGONE BENEFITS, COST SAVINGS, AND NET BENEFITS OF THE PRIMARY PROPOSAL FROM 2019 THROUGH 2025 RELATIVE TO
THE CURRENT REGULATORY BASELINE—Continued
[Millions of 2016$]
Equivalent
annualized value
Present value
Costs (Forgone Domestic Climate Benefits) ...............................................................................................
Net Benefits .................................................................................................................................................
Non-monetized Forgone Benefits ................................................................................................................
13
83
2.3
14
Non-monetized climate impacts from
increases in methane emissions.
Health effects of PM2.5 and ozone
exposure from an increase of 10,000
tons of VOC from 2019 through 2025.
Health effects of HAP exposure from
an increase of 300 tons of HAP from
2019 through 2025.
Health effects of ozone exposure from
an increase of 370,000 short tons of
methane from 2019 through 2025.
Visibility impairment.
Vegetation effects.
Estimates may not sum due to independent rounding.
Under the alternative proposal,
because the methane control options are
redundant with VOC control options,
there are no expected cost or emissions
impacts from rescinding the methane
requirement. As a result, Table 12
depicts this ‘‘no-change’’ in impacts
result relative to the 2018 Proposed
Regulatory baseline. The no-change in
impacts result also applies relative to
the Current Regulatory baseline, as
shown in Table 13.
TABLE 12—SUMMARY OF THE PRESENT VALUE AND EQUIVALENT ANNUALIZED VALUE OF THE MONETIZED FORGONE BENEFITS, COST SAVINGS, AND NET BENEFITS OF THE ALTERNATIVE PROPOSAL FROM 2019 THROUGH 2025 RELATIVE
TO THE 2018 PROPOSED REGULATORY BASELINE
[Millions of 2016$]
Equivalent
annualized value
Present value
Benefits (Total Cost Savings) ......................................................................................................................
Costs (Forgone Domestic Climate Benefits) ...............................................................................................
Net Benefits .................................................................................................................................................
$0
0
0
Non-monetized Forgone Benefits ................................................................................................................
$0
0
0
No change
Estimates may not sum due to independent rounding.
TABLE 13—SUMMARY OF THE PRESENT VALUE AND EQUIVALENT ANNUALIZED VALUE OF THE MONETIZED FORGONE BENEFITS, COST SAVINGS, AND NET BENEFITS OF THE ALTERNATIVE PROPOSAL FROM 2019 THROUGH 2025 RELATIVE
TO THE CURRENT REGULATORY BASELINE
[Millions of 2016$]
Equivalent
annualized value
Present value
Benefits (Total Cost Savings) ......................................................................................................................
Costs (Forgone Domestic Climate Benefits) ...............................................................................................
Net Benefits .................................................................................................................................................
$0
0
0
Non-monetized Forgone Benefits ................................................................................................................
$0
0
0
No change
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Estimates may not sum due to independent rounding.
B. Executive Order 13771: Reducing
Regulations and Controlling Regulatory
Costs
found in the EPA’s analysis of the
potential costs and benefits associated
with this action.
This action is expected to be an
Executive Order 13771 deregulatory
action. Details on the estimated cost
savings of this proposed rule can be
C. Paperwork Reduction Act (PRA)
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The information collection
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submitted for approval to the Office of
Management and Budget (OMB) under
the Paperwork Reduction Act, 44 U.S.C.
3501 et seq. The Information Collection
Request (ICR) document prepared by the
EPA has been assigned the EPA ICR
number 2604.01 and OMB Control
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Number 2060–NEW. The information
collection requirements are not
enforceable until OMB approves them.
A summary of the information
collection activities previously
submitted to the OMB for the final
action titled ‘‘Standards of Performance
for Crude Oil and Natural Gas Facilities
for Construction, Modification, or
Reconstruction’’ (2016 NSPS OOOOa)
under the PRA, and assigned OMB
Control Number 2060–0721, can be
found at 81 FR 35890. You can find a
copy of the information collection
request (ICR) in the 2016 NSPS OOOOa
docket (EPA–HQ–OAR–2010–0505–
7626). The EPA subsequently proposed
reconsideration (October 15, 2018, 83
FR 52056.) to revise the information
collection activities of 2016 NSPS
OOOOa (EPA ICR number 2523.02). You
can find a copy of the revised ICR (EPA
ICR number 2523.02) in the 2018 NSPS
OOOOa docket (EPA–HQ–OAR–2017–
0483). In this rule, the EPA is proposing
to further revise the October 15, 2018,
NSPS OOOOa reconsideration proposal
ICR based on those proposed
amendments as a result of the EPA’s
review under Executive Order 13783
(EPA ICR number 2523.04). These
proposed changes (2019 NSPS OOOOa
E.O. 13783 Review Proposal) would
reduce the burden on the regulated
industry associated with reporting and
recordkeeping requirements of the
rescinded requirements.
Burden associated with this rule
(2019 NSPS OOOOa E.O. 13783 Review
Proposal):
Respondents/affected entities: Oil and
natural gas operators and owners.
Respondent’s obligation to respond:
Mandatory.
Estimated number of respondents:
3,648.
Frequency of response: Varies
depending on affected facility.110
Total estimated annual burden:
230,285 hours. Burden is defined at 5
CFR 1320.3(b).
Total estimated annual cost:
$14,177,438 (2016$) includes $0 in
annualized capital or operation &
maintenance costs.
This represents a burden reduction of
2 percent compared to the burden
estimated for the 2016 NSPS OOOOa.
This represents a burden reduction of 16
percent compared to the 2018 NSPS
OOOOa Reconsideration Proposal
amendments. Submit your comments on
the Agency’s need for this information,
the accuracy of the provided revised
110 The specific frequency for each information
collection activity within this request is shown in
Tables 1a–1d of the Supporting Statement in the
public docket.
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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_submissions@
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 October
24, 2019. The EPA will respond to any
ICR-related comments in the final rule.
D. Regulatory Flexibility Act (RFA)
I certify that this action will not have
a significant economic impact on a
substantial number of small entities
under the 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. This is a
deregulatory action, and the burden on
all entities affected by this proposed
rule, including small entities, is the
same or reduced compared to the 2016
NSPS OOOOa. See the discussion in
section VIII of this preamble and the
RIA for details. The EPA has, therefore,
concluded that this action will not
increase regulatory burden for all
directly regulated small entities.
E. Unfunded Mandates Reform Act
(UMRA)
This action does not contain any
unfunded mandate as described in
UMRA, 2 U.S.C. 1531–1538, and does
not significantly or uniquely affect small
governments. The action imposes no
enforceable duty on any state, local, or
tribal governments or the private sector.
F. Executive Order 13132: Federalism
This action does not have federalism
implications. It will not have substantial
direct effects on the states, on the
relationship between the national
government and the states, or on the
distribution of power and
responsibilities among the various
levels of government.
G. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This action does not have tribal
implications, as specified in Executive
Order 13175. It will not have substantial
direct effects on tribal governments, on
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the relationship between the federal
government and Indian tribes, or on the
distribution of power and
responsibilities between the federal
government and Indian tribes, as
specified in Executive Order 13175.
Thus, Executive Order 13175 does not
apply to this action.
H. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
This action is not subject to Executive
Order 13045 because it is not
economically significant as defined in
Executive Order 12866. The 2016 NSPS
OOOOa, as discussed in the RIA,111 was
anticipated to reduce emissions of
methane, VOC, and HAP, and some of
the benefits of reducing these pollutants
would have accrued to children. The
primary proposal is expected to
decrease the impact of the emissions
reductions estimated from the 2016
NSPS OOOOa on these benefits, as
discussed in Chapter 1 of the RIA.
Under the alternative proposal, because
the methane control options are
redundant with VOC control options,
there are no changes in the level of
environmental protection produced by
the 2016 NSPS OOOOa emissions
impacts from rescinding the methane
requirement.
The proposed action does not affect
the level of public health and
environmental protection already being
provided by existing NAAQS and other
mechanisms in the CAA. This proposed
action does not affect applicable local,
state, or federal permitting or air quality
management programs that will
continue to address areas with degraded
air quality and maintain the air quality
in areas meeting current standards.
Areas that need to reduce criteria air
pollution to meet the NAAQS will still
need to rely on control strategies to
reduce emissions. The EPA does not
believe the decrease in emission
reductions projected under the primary
proposal of this action will have a
disproportionate adverse effect on
children’s health.
I. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
This action is not a ‘‘significant
energy action’’ because it is not likely to
have a significant adverse effect on the
supply, distribution, or use of energy.
The basis for this determination can be
found in the 2016 NSPS OOOOa (81 FR
35894).
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List of Subjects in 40 CFR Part 60
J. National Technology Transfer and
Advancement Act (NTTAA)
Environmental protection,
Administrative practice and procedure,
Air pollution control, Reporting and
recordkeeping requirements.
This rulemaking does not involve
technical standards.
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K. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
Dated: August 28, 2019.
Andrew R. Wheeler,
Administrator.
The EPA believes that this proposed
action is unlikely to have
disproportionately high and adverse
human health or environmental effects
on minority populations, low-income
populations, and/or indigenous peoples,
as specified in Executive Order 12898
(59 FR 7629, February 16, 1994). The
2016 NSPS OOOOa was anticipated to
reduce emissions of methane, VOC, and
HAP, and some of the benefits of
reducing these pollutants would have
accrued to minority populations, lowincome populations, and/or indigenous
peoples. The primary proposal is
expected to decrease the impact of the
emission reductions estimated from the
2016 NSPS OOOOa on these benefits.
These communities may experience
forgone benefits as a result of this
action, as discussed in Chapter 1 of the
RIA. Under the alternative proposal,
because the methane control options are
redundant with VOC control options,
there are no changes in the level of
environmental protection produced by
the 2016 NSPS OOOOa emissions
impacts from rescinding the methane
requirement.
The proposed action does not affect
the level of public health and
environmental protection already being
provided by existing NAAQS and other
mechanisms in the CAA. This proposed
action does not affect applicable local,
state, or federal permitting or air quality
management programs that will
continue to address areas with degraded
air quality and maintain the air quality
in areas meeting current standards.
Areas that need to reduce criteria air
pollution to meet the NAAQS will still
need to rely on control strategies to
reduce emissions.
The EPA believes that this proposed
action is unlikely to have
disproportionately high and adverse
human health or environmental effects
on minority populations, low-income
populations, and/or indigenous peoples.
The EPA notes that the potential
impacts of the primary proposal are not
expected to be experienced uniformly,
and the distribution of avoided
compliance costs associated with this
action depends on the degree to which
costs would have been passed through
to consumers.
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For the reasons set out in the
preamble, EPA proposes to amend 40
CFR part 60 as follows:
PART 60—STANDARDS OF
PERFORMANCE FOR NEW
STATIONARY SOURCES
1. The authority citation for part 60
continues to read as follows:
■
Authority: 42 U.S.C. 7401, et seq.
Subpart OOOO—Standards of
Performance for Crude Oil and Natural
Gas Facilities for Which Construction,
Modification or Reconstruction
Commenced After August 23, 2011,
and on or Before September 18, 2015
2. Revise the heading of subpart
OOOO to read as set forth above.
■ 3. Section 60.5365 is amended by
revising paragraph (e) to read as follows:
■
§ 60.5365
Am I subject to this subpart?
*
*
*
*
*
(e) Each storage vessel affected
facility, which is a single storage vessel
located between the wellhead and the
point of custody transfer to the natural
gas transmission and storage segment,
and has the potential for VOC emissions
equal to or greater than 6 tpy as
determined according to this section by
October 15, 2013 for Group 1 storage
vessels and by April 15, 2014, or 30
days after startup (whichever is later) for
Group 2 storage vessels, except as
provided in paragraphs (e)(1) through
(4) of this section. The potential for VOC
emissions must be calculated using a
generally accepted model or calculation
methodology, based on the maximum
average daily throughput determined for
a 30-day period of production prior to
the applicable emission determination
deadline specified in this section. The
determination may take into account
requirements under a legally and
practically enforceable limit in an
operating permit or other requirement
established under a Federal, State, local
or tribal authority.
*
*
*
*
*
■ 4. Section 60.5420 is amended by
revising paragraph (c)(5)(iv) to read as
follows:
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§ 60.5420 What are my notification,
reporting, and recordkeeping
requirements?
*
*
*
*
*
(c) * * *
(5) * * *
(iv) For storage vessels that are skidmounted or permanently attached to
something that is mobile (such as
trucks, railcars, barges or ships), records
indicating the number of consecutive
days that the vessel is located a between
the wellhead and the point of custody
transfer to the natural gas transmission
and storage segment. If a storage vessel
is removed from a site and, within 30
days, is either returned to or replaced by
another storage vessel at the site to serve
the same or similar function, then the
entire period since the original storage
vessel was first located at the site,
including the days when the storage
vessel was removed, will be added to
the count towards the number of
consecutive days.
*
*
*
*
*
Subpart OOOOa—Standards of
Performance for Crude Oil and Natural
Gas Facilities for Which Construction,
Modification or Reconstruction
Commenced After September 18, 2015
5. Revise § 60.5360a to read as
follows:
■
§ 60.5360a
subpart?
What is the purpose of this
(a) This subpart establishes emission
standards and compliance schedules for
the control of volatile organic
compounds (VOC) and sulfur dioxide
(SO2) emissions from affected facilities
in the crude oil and natural gas source
category that commence construction,
modification or reconstruction after
September 18, 2015. The effective date
of the rule is August 2, 2016.
(b) [Reserved]
■ 6. Section 60.5365a is amended by
revising paragraphs (b) through (d), the
introductory text of paragraph (e) and
paragraph (j) to read as follows:
§ 60.5365a
Am I subject to this subpart?
*
*
*
*
*
(b) Each centrifugal compressor
affected facility, which is a single
centrifugal compressor using wet seals
that is located between the wellhead
and the point of custody transfer to the
natural gas transmission and storage
segment. A centrifugal compressor
located at a well site, or an adjacent well
site and servicing more than one well
site, is not an affected facility under this
subpart.
(c) Each reciprocating compressor
affected facility, which is a single
reciprocating compressor that is located
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between the wellhead and the point of
custody transfer to the natural gas
transmission and storage segment. A
reciprocating compressor located at a
well site, or an adjacent well site and
servicing more than one well site, is not
an affected facility under this subpart.
(d)(1) For the oil production segment
(between the wellhead and the point of
custody transfer to an oil pipeline), each
pneumatic controller affected facility,
which is a single continuous bleed
natural gas-driven pneumatic controller
operating at a natural gas bleed rate
greater than 6 scfh.
(2) For the natural gas production
segment (between the wellhead and the
point of custody transfer to the natural
gas transmission and storage segment
and not including natural gas processing
plants), each pneumatic controller
affected facility, which is a single
continuous bleed natural gas-driven
pneumatic controller operating at a
natural gas bleed rate greater than 6
scfh.
(3) For natural gas processing plants,
each pneumatic controller affected
facility, which is a single continuous
bleed natural gas-driven pneumatic
controller.
(e) Each storage vessel affected
facility, which is a single storage vessel
that is located between the wellhead
and the point of custody transfer to the
natural gas transmission and storage
segment, and has the potential for VOC
emissions equal to or greater than 6 tpy
as determined according to this section.
The potential for VOC emissions must
be calculated using a generally accepted
model or calculation methodology,
based on the maximum average daily
throughput, as defined in § 60.5430a,
determined for a 30-day period of
production prior to the applicable
emission determination deadline
specified in this subsection. The
determination may take into account
requirements under a legally and
practically enforceable limit in an
operating permit or other requirement
established under a Federal, state, local
or tribal authority.
*
*
*
*
*
(j) The collection of fugitive emissions
components at a compressor station as
defined in § 60.5430a, that is located
between the wellhead and the point of
custody transfer to the natural gas
transmission and storage segment, is an
affected facility. For purposes of
§ 60.5397a, a ‘‘modification’’ to a
compressor station occurs when:
(1) An additional compressor is
installed at a compressor station; or
(2) One or more compressors at a
compressor station is replaced by one or
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more compressors of greater total
horsepower than the compressor(s)
being replaced. When one or more
compressors is replaced by one or more
compressors of an equal or smaller total
horsepower than the compressor(s)
being replaced, installation of the
replacement compressor(s) does not
trigger a modification of the compressor
station for purposes of § 60.5397a.
■ 7. Section 60.5375a is amended by
revising the section heading and the
introductory text to read as follows:
§ 60.5375a What VOC standards apply to
well affected facilities?
If you are the owner or operator of a
well affected facility as described in
§ 60.5365a(a) that also meets the criteria
for a well affected facility in
§ 60.5365(a) of subpart OOOO of this
part, you must reduce VOC emissions
by complying with paragraphs (a)
through (g) of this section. If you own
or operate a well affected facility as
described in § 60.5365a(a) that does not
meet the criteria for a well affected
facility in § 60.5365(a) of subpart OOOO
of this part, you must reduce VOC
emissions by complying with
paragraphs (f)(3), (f)(4) or (g) of this
section for each well completion
operation with hydraulic fracturing
prior to November 30, 2016, and you
must comply with paragraphs (a)
through (g) of this section for each well
completion operation with hydraulic
fracturing on or after November 30,
2016.
*
*
*
*
*
■ 8. Section 60.5380a is amended by
revising the section heading, the
introductory text and paragraph (a)(1) to
read as follows:
§ 60.5380a What VOC standards apply to
centrifugal compressor affected facilities?
You must comply with the VOC
standards in paragraphs (a) through (d)
of this section for each centrifugal
compressor affected facility.
(a)(1) You must reduce VOC
emissions from each centrifugal
compressor wet seal fluid degassing
system by 95.0 percent.
*
*
*
*
*
■ 9. Section 60.5385a is amended by
revising the section heading, the
introductory text and paragraph (a)(3) to
read as follows:
§ 60.5385a What VOC standards apply to
reciprocating compressor affected
facilities?
You must reduce VOC emissions by
complying with the standards in
paragraphs (a) through (d) of this section
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for each reciprocating compressor
affected facility.
(a) * * *
(3) Collect the VOC emissions from
the rod packing using a rod packing
emissions collection system that
operates under negative pressure and
route the rod packing emissions to a
process through a closed vent system
that meets the requirements of
§ 60.5411a(a) and (d).
*
*
*
*
*
10. Section 60.5390a is amended by
revising the section heading and the
introductory text to read as follows:
■
§ 60.5390a What VOC standards apply to
pneumatic controller affected facilities?
For each pneumatic controller
affected facility you must comply with
the VOC standards, based on natural gas
as a surrogate for VOC, in either
paragraph (b)(1) or (c)(1) of this section,
as applicable. Pneumatic controllers
meeting the conditions in paragraph (a)
of this section are exempt from this
requirement.
*
*
*
*
*
11. Section 60.5393a is amended by
revising the section heading and the
introductory text to read as follows:
■
§ 60.5393a What VOC standards apply to
pneumatic pump affected facilities?
For each pneumatic pump affected
facility you must comply with the VOC
standards, based on natural gas as a
surrogate for VOC, in either paragraph
(a) or (b) of this section, as applicable,
on or after November 30, 2016.
*
*
*
*
*
12. Section 60.5397a is amended by
revising the section heading and the
introductory text to read as follows:
■
§ 60.5397a What fugitive emissions VOC
standards apply to the affected facility
which is the collection of fugitive emissions
components at a well site and the affected
facility which is the collection of fugitive
emissions components at a compressor
station?
For each affected facility under
§ 60.5365a(i) and (j), you must reduce
VOC emissions by complying with the
requirements of paragraphs (a) through
(j) of this section. These requirements
are independent of the closed vent
system and cover requirements in
§ 60.5411a.
*
*
*
*
*
13. Section 60.5398a is amended by
revising the section heading, paragraph
(a) and paragraph (d)(1)(xii) to read as
follows:
■
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§ 60.5398a What are the alternative means
of emission limitations for VOC from well
completions, reciprocating compressors,
the collection of fugitive emissions
components at a well site and the collection
of fugitive emissions components at a
compressor station?
(a) If, in the Administrator’s
judgment, an alternative means of
emission limitation will achieve a
reduction in VOC emissions at least
equivalent to the reduction in VOC
emissions achieved under § 60.5375a,
§ 60.5385a, and § 60.5397a, the
Administrator will publish, in the
Federal Register, a notice permitting the
use of that alternative means for the
purpose of compliance with § 60.5375a,
§ 60.5385a, and § 60.5397a. The notice
may condition permission on
requirements related to the operation
and maintenance of the alternative
means.
*
*
*
*
*
(d) * * *
(1) * * *
(xii) Operation and maintenance
procedures and other provisions
necessary to ensure reduction in VOC
emissions at least equivalent to the
reduction in VOC emissions achieved
under § 60.5397a.
*
*
*
*
*
■ 14. Amend § 60.5399a by revising
paragraph (c) to read as follows:
§ 60.5399a What alternative fugitive
emissions standards apply to the affected
facility which is the collection of fugitive
emissions components at a well site and
the affected facility which is the collection
of fugitive emissions components at a
compressor station: Equivalency with state,
local, and tribal programs?
*
*
*
*
(c) After notice and opportunity for
public comment, the Administrator will
determine whether the requested
alternative fugitive emissions standard
will achieve at least equivalent emission
reduction(s) in VOC emissions as the
reduction(s) achieved under the
applicable requirement(s) for which an
alternative is being requested, and will
publish the determination in the
Federal Register.
*
*
*
*
*
■ 15. Section 60.5400a is amended by
revising the section heading and
paragraph (c) to read as follows:
khammond on DSKJM1Z7X2PROD with PROPOSALS5
*
§ 60.5400a What equipment leak VOC
standards apply to affected facilities at an
onshore natural gas processing plant?
*
*
*
*
*
(c) You may apply to the
Administrator for permission to use an
alternative means of emission limitation
that achieves a reduction in emissions
of VOC at least equivalent to that
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20:24 Sep 23, 2019
Jkt 247001
achieved by the controls required in this
subpart according to the requirements of
§ 60.5402a.
*
*
*
*
*
■ 16. Section 60.5401a is amended by
revising the section heading to read as
follows:
§ 60.5401a What are the exceptions to the
equipment leak VOC standards for affected
facilities at onshore natural gas processing
plants?
*
*
*
*
*
17. Section 60.5402a is amended by
revising the section heading, paragraph
(a), and paragraph (d)(2) introductory
text to read as follows:
■
§ 60.5402a What are the alternative means
of emission limitations for VOC equipment
leaks from onshore natural gas processing
plants?
(a) If, in the Administrator’s
judgment, an alternative means of
emission limitation will achieve a
reduction in VOC emissions at least
equivalent to the reduction in VOC
emissions achieved under any design,
equipment, work practice or operational
standard, the Administrator will
publish, in the Federal Register, a
notice permitting the use of that
alternative means for the purpose of
compliance with that standard. The
notice may condition permission on
requirements related to the operation
and maintenance of the alternative
means.
*
*
*
*
*
(d) * * *
(2) The application must include
operation, maintenance and other
provisions necessary to assure reduction
in VOC emissions at least equivalent to
the reduction in VOC emissions
achieved under the design, equipment,
work practice or operational standard in
paragraph (a) of this section by
including the information specified in
paragraphs (d)(1)(i) through (x) of this
section.
*
*
*
*
*
■ 18. Section 60.5410a is amended by
revising paragraph (a) introductory text,
paragraph (b)(1), paragraph (d)
introductory text, and paragraph (f) to
read as follows:
§ 60.5410a How do I demonstrate initial
compliance with the standards for my well,
centrifugal compressor, reciprocating
compressor, pneumatic controller,
pneumatic pump, storage vessel, collection
of fugitive emissions components at a well
site, collection of fugitive emissions
components at a compressor station, and
equipment leaks and sweetening unit
affected facilities at onshore natural gas
processing plants?
*
PO 00000
*
*
Frm 00043
*
Fmt 4701
*
Sfmt 4702
50285
(a) To achieve initial compliance with
the VOC standards for each well
completion operation conducted at your
well affected facility you must comply
with paragraphs (a)(1) through (4) of this
section.
*
*
*
*
*
(b)(1) To achieve initial compliance
with standards for your centrifugal
compressor affected facility you must
reduce VOC emissions from each
centrifugal compressor wet seal fluid
degassing system by 95.0 percent or
greater as required by § 60.5380a(a) and
as demonstrated by the requirements of
§ 60.5413a.
*
*
*
*
*
(d) To achieve initial compliance with
VOC emission standards for your
pneumatic controller affected facility
you must comply with the requirements
specified in paragraphs (d)(1) through
(6) of this section, as applicable.
*
*
*
*
*
(f) For affected facilities at onshore
natural gas processing plants, initial
compliance with the VOC standards is
demonstrated if you are in compliance
with the requirements of § 60.5400a.
*
*
*
*
*
■ 19. Section 60.5412a is amended by
paragraph (a)(1)(i) and paragraph (a)(2)
to read as follows:
§ 60.5412a What additional requirements
must I meet for determining initial
compliance with control devices used to
comply with the emission standards for my
centrifugal compressor, and storage vessel
affected facilities?
*
*
*
*
*
(a) * * *
(1) * * *
(i) You must reduce the mass content
of VOC in the gases vented to the device
by 95.0 percent by weight or greater as
determined in accordance with the
requirements of § 60.5413a(b), with the
exceptions noted in § 60.5413a(a).
*
*
*
*
*
(2) Each vapor recovery device (e.g.,
carbon adsorption system or condenser)
or other non-destructive control device
must be designed and operated to
reduce the mass content of VOC in the
gases vented to the device by 95.0
percent by weight or greater as
determined in accordance with the
requirements of § 60.5413a(b). As an
alternative to the performance testing
requirements, you may demonstrate
initial compliance by conducting a
design analysis for vapor recovery
devices according to the requirements of
§ 60.5413a(c).
*
*
*
*
*
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20. Section 60.5413a is amended by
revising paragraph (d)(11)(iii) to read as
follows:
■
§ 60.5413a What are the performance
testing procedures for control devices used
to demonstrate compliance at my
centrifugal compressor and storage vessel
affected facilities?
*
*
*
*
*
(d) * * *
(11) * * *
(iii) A manufacturer must demonstrate
a destruction efficiency of at least 95
percent for THC, as propane. A control
device model that demonstrates a
destruction efficiency of 95 percent for
THC, as propane, will meet the control
requirement for 95 percent destruction
of VOC (if applicable) required under
this subpart.
*
*
*
*
*
■ 21. Section 60.5415a is amended by
revising paragraph (b)(1) and paragraph
(f) to read as follows:
§ 60.5415a How do I demonstrate
continuous compliance with the standards
for my well, centrifugal compressor,
reciprocating compressor, pneumatic
controller, pneumatic pump, storage vessel,
collection of fugitive emissions
components at a well site, and collection of
fugitive emissions components at a
compressor station affected facilities, and
affected facilities at onshore natural gas
processing plants?
*
*
*
*
*
(b) * * *
(1) You must reduce VOC emissions
from the wet seal fluid degassing system
by 95.0 percent or greater.
*
*
*
*
*
(f) For affected facilities at onshore
natural gas processing plants,
continuous compliance with VOC
requirements is demonstrated if you are
in compliance with the requirements of
§ 60.5400a.
*
*
*
*
*
■ 22. Section 60.5420a is amended by
revising paragraph (c)(5)(iv) to read as
follows:
§ 60.5420a What are my notification,
reporting, and recordkeeping
requirements?
khammond on DSKJM1Z7X2PROD with PROPOSALS5
*
*
*
*
*
(c) * * *
(5) * * *
(iv) For storage vessels that are skidmounted or permanently attached to
something that is mobile (such as
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20:24 Sep 23, 2019
Jkt 247001
trucks, railcars, barges or ships), records
indicating the number of consecutive
days that the vessel is located at a site
in the oil and natural gas production
segment or natural gas processing
segment. If a storage vessel is removed
from a site and, within 30 days, is either
returned to the site or replaced by
another storage vessel at the site to serve
the same or similar function, then the
entire period since the original storage
vessel was first located at the site,
including the days when the storage
vessel was removed, will be added to
the count towards the number of
consecutive days.
*
*
*
*
*
■ 23. Section 60.5421a is amended by
revising the section heading to read as
follows:
§ 60.5421a What are my additional
recordkeeping requirements for my affected
facility subject to VOC requirements for
onshore natural gas processing plants?
*
*
*
*
*
24. Section 60.5422a is amended by
revising the section heading to read as
follows:
■
§ 60.5422a What are my additional
reporting requirements for my affected
facility subject to VOC requirements for
onshore natural gas processing plants?
*
*
*
*
*
25. Section 60.5430a is amended by:
a. Revising the definitions for
Compressor station, Crude oil and
natural gas source category, Equipment,
and Fugitive emissions component; and
■ b. Adding the definition for First
attempt at repair.
The revisions and addition read as
follows:
*
*
*
*
*
Compressor station means any
permanent combination of one or more
compressors that move natural gas at
increased pressure through gathering
pipelines. This includes, but is not
limited to, gathering and boosting
stations. The combination of one or
more compressors located at a well site,
or located at an onshore natural gas
processing plant, is not a compressor
station for purposes of § 60.5397a.
*
*
*
*
*
Crude oil and natural gas source
category mean:
(1) Crude oil production, which
includes the well and extends to the
point of custody transfer to the crude oil
■
■
PO 00000
Frm 00044
Fmt 4701
Sfmt 9990
transmission pipeline or any other
forms of transportation; and
(2) Natural gas production and
processing, which includes the well and
extends to, but does not include, the
point of custody transfer to the natural
gas transmission and storage segment.
*
*
*
*
*
Equipment, as used in the standards
and requirements in this subpart
relative to the equipment leaks of VOC
from onshore natural gas processing
plants, means each pump, pressure
relief device, open-ended valve or line,
valve, and flange or other connector that
is in VOC service or in wet gas service,
and any device or system required by
those same standards and requirements
in this subpart.
*
*
*
*
*
First attempt at repair means, for the
purposes of fugitive emissions
components, an action taken for the
purpose of stopping or reducing fugitive
emissions of VOC to the atmosphere.
First attempts at repair include, but are
not limited to, the following practices
where practicable and appropriate:
Tightening bonnet bolts; replacing
bonnet bolts; tightening packing gland
nuts; or injecting lubricant into
lubricated packing.
*
*
*
*
*
Fugitive emissions component means
any component that has the potential to
emit fugitive emissions of VOC at a well
site or compressor station, including
valves, connectors, pressure relief
devices, open-ended lines, flanges,
covers and closed vent systems not
subject to §§ 60.5411 or 60.5411a, thief
hatches or other openings on a
controlled storage vessel not subject to
§§ 60.5395 or 60.5395a, compressors,
instruments, and meters. Devices that
vent as part of normal operations, such
as natural gas-driven pneumatic
controllers or natural gas-driven pumps,
are not fugitive emissions components,
insofar as the natural gas discharged
from the device’s vent is not considered
a fugitive emission. Emissions
originating from other than the device’s
vent, such as the thief hatch on a
controlled storage vessel, would be
considered fugitive emissions.
*
*
*
*
*
[FR Doc. 2019–19876 Filed 9–23–19; 8:45 am]
BILLING CODE 6560–50–P
E:\FR\FM\24SEP5.SGM
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Agencies
[Federal Register Volume 84, Number 185 (Tuesday, September 24, 2019)]
[Proposed Rules]
[Pages 50244-50286]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2019-19876]
[[Page 50243]]
Vol. 84
Tuesday,
No. 185
September 24, 2019
Part VI
Environmental Protection Agency
-----------------------------------------------------------------------
40 CFR Part 60
Oil and Natural Gas Sector: Emission Standards for New, Reconstructed,
and Modified Sources Review; Proposed rule
Federal Register / Vol. 84 , No. 185 / Tuesday, September 24, 2019 /
Proposed Rules
[[Page 50244]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 60
[EPA-HQ-OAR-2017-0757; FRL-9999-50-OAR]
RIN 2060-AT90
Oil and Natural Gas Sector: Emission Standards for New,
Reconstructed, and Modified Sources Review
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: This action proposes reconsideration amendments to the new
source performance standards (NSPS). These amendments, if finalized,
would remove sources in the transmission and storage segment from the
source category, rescind the NSPS (including both the volatile organic
compounds (VOC) and methane requirements) applicable to those sources,
and rescind the methane-specific requirements (the ``methane
requirements'') of the NSPS applicable to sources in the production and
processing segments. The U.S. Environmental Protection Agency (EPA) is
also proposing, as an alternative, to rescind the methane requirements
of the NSPS applicable to all oil and natural gas sources, without
removing any sources from the source category. Furthermore, the EPA is
taking comment on alternative interpretations of its statutory
authority to regulate pollutants under the Clean Air Act (CAA), and
associated record and policy questions.
DATES: Comments. Comments must be received on or before November 25,
2019. Under the Paperwork Reduction Act (PRA), comments on the
information collection provisions are best assured of consideration if
the Office of Management and Budget (OMB) receives a copy of your
comments on or before October 24, 2019.
ADDRESSES: You may send comments, identified by Docket ID No. EPA-HQ-
OAR-2017-0757, at https://www.regulations.gov/, by any of the following
methods:
Federal eRulemaking Portal: https://www.regulations.gov/
(our preferred method). Follow the online instructions for submitting
comments.
Email: [email protected]. Include Docket ID No. EPA-
HQ-OAR-2017-0757 in the subject line of the message.
Fax: (202) 566-9744. Attention Docket ID No. EPA-HQ-OAR-
2017-0757.
Mail: U.S. Environmental Protection Agency, EPA Docket
Center, Docket ID No. EPA-HQ-OAR-2017-0757, Mail Code 28221T, 1200
Pennsylvania Avenue NW, Washington, DC 20460.
Hand/Courier Delivery: EPA Docket Center, WJC West
Building, Room 3334, 1301 Constitution Avenue NW, Washington, DC 20004.
The Docket Center's hours of operation are 8:30 a.m.-4:30 p.m., Monday-
Friday (except federal holidays).
Instructions: All submissions received must include the Docket ID
No. for this rulemaking. Comments received may be posted without change
to https://www.regulations.gov/, including any personal information
provided. For detailed instructions on sending comments and additional
information on the rulemaking process, see the SUPPLEMENTAL INFORMATION
section of this document.
FOR FURTHER INFORMATION CONTACT: For questions about this proposed
action, contact Ms. Amy Hambrick, Sector Policies and Programs Division
(E143-05), Office of Air Quality Planning and Standards, U.S.
Environmental Protection Agency, Research Triangle Park, North Carolina
27711; telephone number: (919) 541-0964; fax number: (919) 541-0516;
and email address: [email protected]. For information about the
applicability of the NSPS to a particular entity, contact Ms. Marcia
Mia, Office of Enforcement and Compliance Assurance, U.S. Environmental
Protection Agency, WJC South Building (Mail Code 2227A), 1200
Pennsylvania Avenue NW, Washington, DC 20460; telephone number: (202)
564-7042; and email address: [email protected].
SUPPLEMENTARY INFORMATION:
Public hearing. The EPA will hold a public hearing on the proposal.
Details will be announced in a separate Federal Register document.
Docket. The EPA has established a docket for this rulemaking under
Docket ID No. EPA-HQ-OAR-2017-0757. All documents in the docket are
listed in Regulations.gov. Although listed, some information is not
publicly available, e.g., Confidential Business Information (CBI) or
other information whose disclosure is restricted by statute. Certain
other material, such as copyrighted material, is not placed on the
internet and will be publicly available only in hard copy. Publicly
available docket materials are available either electronically in
Regulations.gov or in hard copy at the EPA Docket Center, Room 3334,
EPA WJC West Building, 1301 Constitution Avenue NW, Washington, DC. The
Public Reading Room is open from 8:30 a.m. to 4:30 p.m., Monday through
Friday, excluding legal holidays. The telephone number for the Public
Reading Room is (202) 566-1744, and the telephone number for the EPA
Docket Center is (202) 566-1742.
Instructions. Direct your comments to Docket ID No. EPA-HQ-OAR-
2017-0757. The EPA's policy is that all comments received will be
included in the public docket without change and may be made available
online at https://www.regulations.gov/, including any personal
information provided, unless the comment includes information claimed
to be CBI or other information whose disclosure is restricted by
statute. Do not submit information that you consider to be CBI or
otherwise protected through https://www.regulations.gov/ or email. This
type of information should be submitted by mail as discussed below.
The EPA may publish any comment received to its public docket.
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.
The https://www.regulations.gov/ website allows you to submit your
comment anonymously, which means the EPA will not know your identity or
contact information unless you provide it in the body of your comment.
If you send an email comment directly to the EPA without going through
https://www.regulations.gov/, your email address will be automatically
captured and included as part of the comment that is placed in the
public docket and made available on the internet. If you submit an
electronic comment, the EPA recommends that you include your name and
other contact information in the body of your comment and with any
digital storage media you submit. If the EPA cannot read your comment
due to technical difficulties and cannot contact you for clarification,
the EPA may not be able to consider your comment. Electronic files
should not include special characters or any form of encryption and be
free of any defects or
[[Page 50245]]
viruses. For additional information about the EPA's public docket,
visit the EPA Docket Center homepage at https://www.epa.gov/dockets.
Submitting CBI. Do not submit information containing CBI to the EPA
through https://www.regulations.gov/ or email. Clearly mark the part or
all of the information that you claim to be CBI. For CBI information on
any digital storage media that you mail to the EPA, mark the outside of
the digital storage media as CBI and then identify electronically
within the digital storage media the specific information that is
claimed as CBI. In addition to one complete version of the comments
that includes information claimed as CBI, you must submit a copy of the
comments that does not contain the information claimed as CBI directly
to the public docket through the procedures outlined in Instructions
above. If you submit any digital storage media that does not contain
CBI, mark the outside of the digital storage media clearly that it does
not contain CBI. Information not marked as CBI will be included in the
public docket and the EPA's electronic public docket without prior
notice. Information marked as CBI will not be disclosed except in
accordance with procedures set forth in 40 CFR part 2. Send or deliver
information identified as CBI only to the following address: OAQPS
Document Control Officer (C404-02), OAQPS, U.S. Environmental
Protection Agency, Research Triangle Park, North Carolina 27711,
Attention Docket ID No. EPA-HQ-OAR-2017-0757.
Preamble acronyms and abbreviations. We use multiple acronyms and
terms in this preamble. While this list may not be exhaustive, to ease
the reading of this preamble and for reference purposes, the EPA
defines the following terms and acronyms here:
AEO Annual Energy Outlook
BLM Bureau of Land Management
BSER best system of emission reduction
CAA Clean Air Act
CAIT Climate Analysis Indicators Tool
CBI Confidential Business Information
CCAC Climate and Clean Air Coalition
CFR Code of Federal Regulations
CH4 methane
CO carbon monoxide
CO2 carbon dioxide
CO2 Eq. carbon dioxide equivalent
CVS closed vent system
EAV equivalent annualized value
EGU Electricity Generating Units
EIA Energy Information Administration
EPA Environmental Protection Agency
ESRL Earth System Research Laboratory
GAO Government Accountability Office
GHG greenhouse gases
GHGI greenhouse gas inventory
GHGRP Greenhouse Gas Reporting Program
HAP hazardous air pollutant(s)
H2S hydrogen sulfide
ICR Information Collection Request
IR infrared
kt kilotons
MMT Million Metric Tons
NAAQS National Ambient Air Quality Standards
NAICS North American Industry Classification System
NEI National Emissions Inventory
NEMS National Energy Modeling System
NGL natural gas liquids
NOAA National Oceanic and Atmospheric Administration
NODA Notice of Data Availability
NOX nitrogen oxides
NSPS new source performance standards
NTTAA National Technology Transfer and Advancement Act
OGI optical gas imaging
OMB Office of Management and Budget
PE professional engineer
PHMSA Pipeline and Hazardous Materials Safety Administration
PM particulate matter
PM2.5 PM with a diameter of 2.5 micrometers or less
PM10 PM with a diameter of 10 micrometers or less
PRA Paperwork Reduction Act
PV present value
REC reduced emissions completion
RFA Regulatory Flexibility Act
RIA Regulatory Impact Analysis
SC-CH4 social cost of methane
SCF significant contribution finding
SIP state implementation plan
SO2 sulfur dioxide
tpy tons per year
TSD technical support document
UMRA Unfunded Mandates Reform Act
UNFCCC United Nations Framework Convention on Climate Change
U.S. United States
VOC volatile organic compounds
WRI World Resources Institute
Organization of this document. The information presented in this
preamble is organized as follows:
I. Executive Summary
A. Purpose and Summary of the Regulatory Action
B. Costs and Benefits
II. General Information
A. Does this action apply to me?
B. What should I consider as I prepare my comments to the EPA?
C. How do I obtain a copy of this document and other related
information?
III. Background
A. Oil and Natural Gas Industry and Its Emissions
B. Statutory Background
C. What is the regulatory history and litigation background
regarding performance standards for the oil and natural gas
industry?
D. Other Notable Events
E. Related State and Federal Regulatory Actions
IV. Summary and Rationale of Proposed Actions
A. Revision of the Source Category To Remove Transmission and
Storage Segment
B. Rescission of the NSPS for Sources in Transmission and
Storage Segment
C. Status of Sources in Transmission and Storage Segment
D. Rescission of the Applicability to Methane of the NSPS for
Production and Processing Segments
V. Rationale for Alternative Proposal To Rescind the Methane
Standards for All Sources in the Oil and Gas Source Category Without
Revising the Source Category
A. Alternative Proposed Action To Rescind the Methane Standards
B. Rationale for Rescinding the Methane Standards
VI. Solicitation of Comment on Significant Contribution Finding for
Methane
A. Requirement for Pollutant-Specific Significant Contribution
Finding
B. Significant Contribution Finding in 2016 NSPS OOOOa Rule
C. Criteria for Making a Significant Contribution Finding Under
CAA Section 111
VII. Implications for Regulation of Existing Sources
A. Existing Source Regulation Under CAA Section 111(d)
B. Limited Impact of Lack of Regulation of Existing Oil and Gas
Sources Under CAA Section 111(d)
VIII. Impacts of This Proposed Rule
A. What are the air impacts?
B. What are the energy impacts?
C. What are the compliance costs?
D. What are the economic and employment impacts?
E. What are the benefits of the proposed standards?
IX. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review and
Executive Order 13563: Improving Regulation and Regulatory Review
B. Executive Order 13771: Reducing Regulations and Controlling
Regulatory Costs
C. Paperwork Reduction Act (PRA)
D. Regulatory Flexibility Act (RFA)
E. Unfunded Mandates Reform Act (UMRA)
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 Risks 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 (NTTAA)
K. Executive Order 12898: Federal Actions to Address
Environmental Justice in Minority Populations and Low-Income
Populations
I. Executive Summary
A. Purpose and Summary of the Regulatory Action
Since the inception of the CAA, with its aim to promote the
``public health
[[Page 50246]]
and welfare and the productive capacity'' of the nation's population,
the EPA has focused on air emissions from the oil and natural gas
industry.1 2 For nearly 40 years, the EPA has issued
regulations under CAA section 111 to limit emissions from the oil and
natural gas industry, while accounting for costs and other factors as
instructed by Congress in the statute.\3\ In this action, the EPA is
recognizing its responsibilities under that section, performed in
accordance with the statute and with national policy objectives. As
such, the EPA here is proposing to amend its 2012 and 2016 rules
affecting the industry, titled, respectively, ``Oil and Natural Gas
Sector: New Source Performance Standards and National Emission
Standards for Hazardous Air Pollutants Reviews; Final Rule'' (``2012
NSPS OOOO'') \4\ and ``Oil and Natural Gas Sector: Emission Standards
for New, Reconstructed, and Modified Sources; Final Rule'' (``2016 NSPS
OOOOa'').\5\ Those rules established NSPS for VOC emissions from the
oil and natural gas industry, and the 2016 rule also established NSPS
for greenhouse gases (GHGs), in the form of limitations on methane, for
that industry.\6\ The amendments that the EPA is proposing are intended
to continue existing protections from emission sources within the
regulated source category, while removing regulatory duplication.
---------------------------------------------------------------------------
\1\ 42 U.S.C. 7401(b)(1).
\2\ 44 FR 49222 (August 21, 1979) (listing ``Crude Oil and
Natural Gas Production'' under CAA section 111 as a source category
subject to standards of performance).
\3\ 50 FR 26122 (June 24, 1985) (promulgating NSPS that address
certain VOC emissions); 50 FR 40158 (October 1, 1985) (promulgating
NSPS that address certain sulfur dioxide (SO2)
emissions).
\4\ 77 FR 49490 (August 16, 2012).
\5\ 81 FR 35824 (June 3, 2016).
\6\ Docket ID No. EPA-HQ-OAR-2010-0505.
---------------------------------------------------------------------------
As directed by the President in March 2017, the EPA has reviewed
the 2012 NSPS OOOO and 2016 NSPS OOOOa with attention to whether the
rules ``unduly burden the development of domestic energy resources
beyond the degree necessary to protect the public interest,'' and if
so, appropriately ``suspend, revise, or rescind'' regulatory
requirements.7 8 From this review, the EPA is now proposing
to determine that some of the requirements under those rules are
inappropriate because they affect sources that are not appropriately
identified as part of the regulated source category, and some of the
requirements under the 2016 NSPS OOOOa are unnecessary insofar as they
impose redundant requirements. Accordingly, the EPA is acting to
rescind those requirements while maintaining health and environmental
protections from appropriately identified emission sources within the
regulated source category.\9\
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\7\ Executive Order 13783, ``Promoting Energy Independence and
Economic Growth,'' section 1(c) (March 28, 2017).
\8\ 82 FR 16331 (April 4, 2017) (notice of review of 2016 NSPS
OOOOa pursuant to Executive Order 13783, signed by the EPA
Administrator).
\9\ We note that the EPA is addressing certain specific
reconsideration issues--fugitive emissions requirements at well
sites and compressor stations, well site pneumatic pump standards,
and the requirements for certification of closed vent systems (CVS)
by a professional engineer (PE)--in a separate proposal. See Docket
ID Item No. EPA-HQ-OAR-2010-0505-7730 and 82 FR 25730.
---------------------------------------------------------------------------
Specifically, the EPA is co-proposing two potential actions: a
primary proposal and an alternative proposal. The primary proposal
contains two steps. In the first step, the EPA is proposing to revisit
its 2012 and 2016 interpretations of, and its 2016 revision to, the
regulated source category to cover sources in the transmission and
storage segment, and to rescind the NSPS requirements applicable to
those sources. Having reexamined the transmission and storage segment,
the EPA has determined that the purported revision in 2016 of the pre-
existing source category (which the EPA now proposes to conclude was
originally intended to include only the production and processing
segments) was not appropriate. Because the transmission and storage
segment constitutes a separate source category from the production and
processing segments, the EPA could have listed it for regulation under
CAA section 111(b) only by making a significant contribution and
endangerment finding as required by the statue, which the EPA never
did. Accordingly, under the first step of the primary proposal, the EPA
proposes to rescind the standards applicable to sources in the
transmission and storage segment of the oil and gas industry.
As the second step, the EPA is proposing to rescind the methane
requirements of the NSPS applicable to sources in the production and
processing segments. The EPA proposed to conclude that those methane
requirements are entirely redundant with the existing NSPS for VOC and,
thus, establish no additional health protections. Indeed, due to the
identical emission source control technologies for methane and VOC, the
EPA, when establishing the 2016 NSPS OOOOa, found no need for any
changes to the existing NSPS requirements for VOC when that rule
explicitly examined regulation of methane emissions. Rescinding the
applicability to methane emissions of the 2016 NSPS OOOOa requirements,
while leaving the applicability to VOC emissions in place, will not
affect the amount of methane emission reductions that those
requirements will achieve.
Under the alternative proposal, the EPA is proposing to rescind the
methane requirements of the NSPS applicable to all oil and natural gas
sources in the source category as it is currently constituted, without
undoing the 2012 and 2016 interpretations or expansion of the source
category to include sources in the transmission and storage segment.
The rationale for rescinding the methane requirements under this
alternative proposal is the same as noted immediately above, that is,
that they are entirely redundant with the existing NSPS for VOC.
Both the primary and alternative proposal rely on the EPA's
previous interpretation of the requirement in CAA section 111(b)(1)(A)
under which the EPA needs to make a finding that a source category
``causes, or contributes significantly to, air pollution which may
reasonably be anticipated to endanger public health or welfare'' when
it lists the source category, but that thereafter, when it regulates
pollutants emitted from the source category, it needs only a rational
basis to do so. The EPA proposes to retain that interpretation of this
statutory provision. However, in section VI.A of this preamble, the EPA
takes comment on an alternative interpretation, under which the Agency
is required to make the significant-contribution finding each time that
it regulates a pollutant from the source category. In section VI.B of
this preamble, the EPA takes comment on whether, under this alternative
interpretation, it made a valid finding in the 2016 NSPS OOOOa that
methane emissions from the Crude Oil and Natural Gas Production source
category met this statutory standard. In section VI.C of this preamble,
the EPA takes comment on its proposed identification of certain factors
which would inform its judgment, should it make a new determination
whether methane emissions from the source category meet this statutory
standard.
The EPA solicits public comment on all aspects of this proposal.
B. Costs and Benefits
The EPA has projected the cost savings, emissions increases, and
forgone benefits that may result from rescinding requirements from
sources in the transmission and storage segment (i.e., the primary
proposal). The projected cost savings and forgone
[[Page 50247]]
benefits are presented in the regulatory impact analysis (RIA)
supporting this proposal. The primary proposal action also rescinds
methane requirements from sources in the production and processing
segments and leaves the VOC regulations in place. As the methane
control options are redundant with VOC control options, there are no
expected cost or emissions effects from removing the methane
requirements in the production and processing segments with respect to
these sources. Similarly, there are no expected cost or emissions
impacts under the alternative proposed option of rescinding the methane
requirements for all affected sources for the same reason: Methane
control options on all sources are redundant with VOC control options.
The RIA estimates impacts for the analysis years 2019 through 2025. All
monetized impacts of these amendments are presented in 2016 dollars.
All sources in the transmission and storage segment that are affected
by the 2016 NSPS OOOOa, starting at the promulgation of the 2016 NSPS
OOOOa, are sources that are affected by this action.
II. General Information
A. Does this action apply to me?
Categories and entities potentially affected by this action
include:
Table 1--Industrial Source Categories Affected by This Action
----------------------------------------------------------------------------------------------------------------
Category NAICS code \1\ Examples of regulated entities
----------------------------------------------------------------------------------------------------------------
Industry....................... 211120 Crude Petroleum Extraction.
211130 Natural Gas Extraction.
221210 Natural Gas Distribution.
486110 Pipeline Distribution of Crude Oil.
486210 Pipeline Transportation of Natural Gas.
Federal government............. ............... Not affected.
State/local/tribal government.. ............... Not affected.
----------------------------------------------------------------------------------------------------------------
\1\ North American Industry Classification System (NAICS).
This table is not intended to be exhaustive, but rather provides a
guide for readers regarding entities likely to be regulated by this
action. This table lists the types of entities that the EPA is now
aware could potentially be affected by this action. Other types of
entities not listed in the table could also be affected by this action.
To determine whether your entity is affected by this action, you should
carefully examine the applicability criteria found in the final rule.
If you have questions regarding the applicability of this action to a
particular entity, consult the person listed in the FOR FURTHER
INFORMATION CONTACT section, your air permitting authority, or your EPA
Regional representative listed in 40 CFR 60.4 (General Provisions).
B. What should I consider as I prepare my comments to the EPA?
This action proposes to revise certain aspects of the 2012 NSPS
OOOO and 2016 NSPS OOOOa rule. In this proposed action, we seek comment
on only the specific proposals or comment solicitations in this
proposed action. We do not seek comment on and we are not opening for
reconsideration and review any other aspects of the NSPS in 40 CFR part
60, subparts OOOO and OOOOa and related rulemakings at this time.
C. How do I obtain a copy of this document and other related
information?
In addition to being available in the docket, an electronic copy of
the proposed action is available on the internet. Following signature
by the Administrator, the EPA will post a copy of this proposed action
at https://www.epa.gov/controlling-air-pollution-oil-and-natural-gas-industry. Following publication in the Federal Register, the EPA will
post the Federal Register version of the proposal and key technical
documents at this same website. A redline version of the regulatory
language that incorporates the proposed changes in this action is
available in the docket for this action (Docket ID No. EPA-HQ-OAR-2017-
0757).
III. Background
A. Oil and Natural Gas Industry and Its Emissions
This section generally describes the structure of the oil and
natural gas industry, the production, processing, as well as
transmission and storage segments, and types of sources in each segment
and the industry's emissions. This information is part of the basis of
the regulatory approach that the EPA proposes here, which more
accurately reflects the industry's differing segments and eliminates
redundant and unnecessary regulatory burden, while maintaining
protection for human health and the environment.
1. Oil and Natural Gas Industry--Structure
For purposes of developing 40 CFR part 60, subparts OOOO and OOOOa,
the EPA characterized the oil and natural gas industry operations as
being generally composed of four so-called segments: (1) Extraction and
production of crude oil and natural gas (``oil and natural gas
production''), (2) natural gas processing, (3) natural gas transmission
and storage, and (4) natural gas distribution.10 11 It
should be noted that the EPA regulates oil refineries as a separate
source category; accordingly, for purposes of this proposed rulemaking,
for crude oil, the EPA's focus is on operations from the well to the
point of custody transfer at a petroleum refinery, while for natural
gas, the focus is on all operations from the well to the customer.
---------------------------------------------------------------------------
\10\ The EPA previously described an overview of the sector in
section 2.0 of the 2011 Background Technical Support Document to 40
CFR part 60, subpart OOOO, located at Docket ID Item No. EPA-HQ-OAR-
2010-0505-0045, and section 2.0 of the 2016 Background Technical
Support Document to 40 CFR part 60, subpart OOOOa, located at Docket
ID Item No. EPA-HQ-OAR-2010-0505-7631.
\11\ While generally oil and natural gas production includes
both onshore and offshore operations, 40 CFR part 60, subpart OOOOa
addresses onshore operations.
---------------------------------------------------------------------------
The oil and natural gas production segment include the wells and
all related processes used in the extraction, production, recovery,
lifting, stabilization, and separation or treatment of oil and/or
natural gas (including condensate). There are two basic types of wells,
both of which are located on well ``pads'': Oil wells and natural gas
wells. Oil wells comprise two types, oil wells that produce crude oil
only and oil wells that produce both crude oil and natural gas
(commonly referred to as ``associated'' gas). Production components
located on the well pad may include, but are not limited to, wells and
related casing heads; tubing heads; and ``Christmas tree'' piping,
pumps, compressors,
[[Page 50248]]
heater treaters, separators, storage vessels, pneumatic devices, and
dehydrators. Production operations include well drilling, completion,
and recompletion processes, including all the portable non-self-
propelled apparatuses associated with those operations.\12\
---------------------------------------------------------------------------
\12\ The 2016 NSPS OOOOa rule defines reduced emissions
completion (REC) to be a well completion following fracturing or
refracturing where gas flowback that is otherwise vented is
captured, cleaned, and routed to the gas flow line or collection
system, re-injected into the well or another well, used as an on-
site fuel source, or used for other useful purpose that a purchased
fuel or raw material would serve, with no direct release to the
atmosphere.
---------------------------------------------------------------------------
Other sites that are part of the production segment include
``centralized tank batteries,'' stand-alone sites where oil,
condensate, produced water, and natural gas from several wells may be
separated, stored, or treated. The production segment also includes the
low pressure, small diameter, gathering pipelines and related
components that collect and transport the oil, natural gas, and other
materials and wastes from the wells to the refineries or natural gas
processing plants.
Of these products, crude oil and natural gas undergo successive,
separate processing. Crude oil is separated from water and other
impurities and transported to a refinery via truck, railcar, or
pipeline. As noted above, the EPA treats oil refineries as a separate
source category, accordingly, for present purposes, the oil component
of the production segment ends at the point of custody transfer at the
refinery.\13\
---------------------------------------------------------------------------
\13\ See 40 CFR part 60, subparts J and Ja and 40 CFR part 63,
subparts CC and UUU.
---------------------------------------------------------------------------
The separated, unprocessed natural gas is commonly referred to as
field gas and is composed of methane, natural gas liquids (NGL), and
other impurities, such as water vapor, hydrogen sulfide
(H2S), carbon dioxide (CO2), helium, and
nitrogen. Ethane, propane, butane, isobutane, and pentane are all
considered NGL and often are sold separately for a variety of different
uses. Natural gas with high methane content is referred to as ``dry
gas,'' while natural gas with significant amounts of ethane, propane,
or butane is referred to as ``wet gas.'' Natural gas typically is sent
to gas processing plants to separate NGLs for use as feedstock for
petrochemical plants, burned for space heating and cooking, or blended
into vehicle fuel. The composition of field gas varies across basins in
the U.S.\14\ For example, the Appalachian region is predominately dry
gas and northern mid-continent (North Dakota) region is primarily wet
gas.
---------------------------------------------------------------------------
\14\ Memorandum to U.S. EPA from Eastern Research Group.
``Natural Gas Composition.'' November 13, 2018. Docket ID No. EPA-
HQ-OAR-2017-0757.
---------------------------------------------------------------------------
The natural gas processing segment consists of separating certain
hydrocarbons (HC) and fluids from the natural gas to produce ``pipeline
quality'' dry natural gas. The degree and location of processing is
dependent on factors such as the type of natural gas (e.g., wet or dry
gas), market conditions, and company contract specifications.
Typically, processing of natural gas begins in the field and continues
as the gas is moved from the field through gathering and boosting
stations to natural gas processing plants, where the complete
processing of natural gas takes place. Natural gas processing
operations separate and recover NGL or other non-methane gases and
liquids from field gas through one or more of the following processes:
Oil and condensate separation, water removal, separation of NGL, sulfur
and CO2 removal, fractionation of NGL, and other processes,
such as the capture of CO2 separated from natural gas
streams for delivery outside the facility. In some ``dry gas'' areas,
the field gas, with naturally higher methane content, may go from the
well site directly into the transmission and storage segment without
processing in a gas processing plant. However, there is still the need
to remove liquids that naturally condense as the gas moves through the
pipeline. Also, depending on the economics of NGLs as a product, there
may be some amount of separation or extraction that occurs in
transmission and storage using a ``dew point skid'' or what is commonly
referred to as a ``straddle plant'' to meet specifications for the
receiving pipeline. The EPA solicits comment on how commonly this type
of processing occurs in the transmission and storage segment and
whether we should--and how we might--differentiate a facility in which
this type of processing occurs from a ``natural gas processing plant,''
as that term is currently defined in NSPS OOOOa. For example, the rule
defines a ``natural gas processing plant'' to include a facility that
extracts NGLs from field gas, where field gas is feedstock gas entering
the natural gas processing plant. 40 CFR 60.5430a. If the field gas
moves directly from the production segment into transmission and
storage facilities, without passing through a natural gas processing
plant, it would continue to be considered ``field gas,'' and if
extraction of NGLs from such gas subsequently occurs in a transmission
or storage facility, that facility would be considered a ``natural gas
processing plant.''
Once natural gas processing is complete, which the EPA understands
generally to occur at natural gas processing plants, the resulting
product is the pipeline quality natural gas that is ready for end use.
The pipeline quality natural gas, which is comprised of 95 to 98
percent methane,\15\ does not undergo any more phase changes after
processing is complete; instead, this final product leaves processing
operations and is transmitted to storage and/or distribution to the end
user.
---------------------------------------------------------------------------
\15\ https://www.epa.gov/natural-gas-star-program/overview-oil-and-natural-gas-industry.
---------------------------------------------------------------------------
Pipelines in the natural gas transmission and storage segment can
be interstate pipelines, which carry natural gas across state
boundaries or intrastate pipelines, which transport the gas within a
single state. Basic components of the two types of pipelines are the
same, though interstate pipelines may be of a larger diameter and
operated at a higher pressure. To ensure that the natural gas continues
to flow through the pipeline, the natural gas must periodically be
compressed, by increasing its pressure. Compressor stations perform
this function and are usually placed at 40- to 100-mile intervals along
the pipeline. At a compressor station, the natural gas enters the
station, where it is compressed by reciprocating or centrifugal
compressors.
Another part of the transmission and storage segment are
aboveground and underground natural gas storage facilities. Storage
facilities hold natural gas for use during peak seasons. The main
difference between underground and aboveground storage sites is that
storage takes place in storage vessels constructed of non-earthen
materials in aboveground storage. Underground storage of natural gas
typically occurs in depleted natural gas or oil reservoirs and salt
dome caverns. One purpose of this storage is for load balancing
(equalizing the receipt and delivery of natural gas). At an underground
storage site, typically other processes occur, including compression,
dehydration, and flow measurement.
The distribution segment is the final step in delivering natural
gas to customers.\16\ The natural gas enters the distribution segment
from delivery points located on interstate and intrastate transmission
pipelines to business and household customers. The delivery point where
the natural gas leaves the transmission and storage
[[Page 50249]]
segment and enters the distribution segment is a local distribution
company's custody transfer station, commonly referred to as the
``citygate.'' Natural gas distribution systems consist of thousands of
miles of piping, including mains and service pipelines to the
customers. If the distribution network is large, compressor stations
may be necessary to maintain flow; however, these stations are
typically smaller than transmission compressor stations. Distribution
systems include metering stations, which allow distribution companies
to monitor the natural gas as it flows through the system.
---------------------------------------------------------------------------
\16\ The distribution segment is not regulated under 40 CFR part
60, subpart OOOOa.
---------------------------------------------------------------------------
2. Oil & Natural Gas Industry--Emissions
The oil and natural gas industry emit, in varying concentrations
and amounts, a wide range of pollutants, including VOC, SO2,
nitrogen oxides (NOX), H2S, carbon disulfide, and
carbonyl sulfide. The oil and natural gas industry also emit GHG, such
as methane and CO2. Emissions can occur in all segments of
the natural gas industry. As natural gas moves through the system,
emissions primarily result from intentional venting through normal
operations, routine maintenance, unintentional fugitive emissions, and
system upsets. Venting can occur through equipment design or
operational practices, such as the continuous bleed of gas from
pneumatic controllers (that control gas flows, levels, temperatures,
and pressures in the equipment) or venting from well completions during
production. In addition to vented emissions, emissions can occur from
leaking equipment (also referred to as fugitive emissions) in all parts
of the infrastructure, including major production and processing
equipment (e.g., separators or storage vessels) and individual
components (e.g., valves or connectors). Emissions from the crude oil
portion of the industry result primarily from field production
operations, such as venting of associated gas from oil wells, oil
storage vessels, and production-related equipment such as gas
dehydrators, pig traps, and pneumatic devices.
Emissions of both methane and VOC occur through the same emission
points and processes. The technologies available to capture and/or
control both pollutants from these emission sources are the same, and
in their function, those technologies do not select between VOC and
methane emissions. The industry has profit incentives to capture and
sell emissions of natural gas (and methane), and multiple states have
programs in place to control assorted emissions from the industry.
The next section provides estimated emissions of methane, VOC, and
SO2 from oil and natural gas industry operation sources.
a. Methane emissions in the U.S. and from the oil and natural gas
industry. Official U.S. estimates of national level GHG emissions and
sinks are developed by the EPA for the U.S. GHG Inventory (GHGI) to
comply with commitments under the United Nations Framework Convention
on Climate Change. The U.S. GHGI, which includes recent trends, is
organized by industrial sectors. The oil and natural gas production,
and natural gas processing and transmission sectors emit 29 percent of
U.S. anthropogenic methane. Table 2 below presents total U.S.
anthropogenic methane emissions for the years 1990, 2008, and 2017.
---------------------------------------------------------------------------
\17\ Other sources include rice cultivation, forest land,
stationary combustion, abandoned oil and gas wells, abandoned coal
mines, mobile combustion, composting, and several sources emitting
less than 1 MMT CO2 Eq. in 2017.
Table 2--U.S. Methane Emissions by Sector
[Million metric ton carbon dioxide equivalent (MMT CO2 Eq.)]
----------------------------------------------------------------------------------------------------------------
Sector 1990 2008 2017
----------------------------------------------------------------------------------------------------------------
Oil and Natural Gas Production, and Natural Gas Processing and 191 195 190
Transmission and Storage.......................................
Oil and Natural Gas Production, and Natural Gas Processing.. 134 163 158
Oil and Natural Gas Transmission and Storage................ 57 32 32
Landfills....................................................... 180 125 108
Enteric Fermentation............................................ 164 174 175
Coal Mining..................................................... 96 76 56
Manure Management............................................... 37 58 62
Other Oil and Gas Sources....................................... 44 18 13
Wastewater Treatment............................................ 15 15 14
Other Methane Sources \17\...................................... 57 52 47
-----------------------------------------------
Total Methane Emissions..................................... 785 712 665
----------------------------------------------------------------------------------------------------------------
Emissions from the Inventory of United States Greenhouse Gas Emissions and Sinks: 1990-2017 (published April 11,
2019), calculated using global warming potential (GWP) of 25.
Note: Totals may not sum due to rounding.
Table 3 below presents total methane emissions from natural gas
production through transmission and storage and petroleum production,
for years 1990, 2008, and 2017, in MMT CO2 Eq. (or million
metric tonnes carbon dioxide equivalent) of methane.
Table 3--U.S. Methane Emissions From Natural Gas and Petroleum Systems
[MMMT CO2 Eq.]
----------------------------------------------------------------------------------------------------------------
Sector 1990 2008 2017
----------------------------------------------------------------------------------------------------------------
Oil and Natural Gas Production and Natural Gas Processing and 191 195 190
Transmission (Total)...........................................
Natural Gas Production.......................................... 71 114 110
Natural Gas Processing.......................................... 21 11 12
Natural Gas Transmission and Storage............................ 57 32 32
[[Page 50250]]
Petroleum Production............................................ 41 38 37
----------------------------------------------------------------------------------------------------------------
Emissions from the Inventory of United States Greenhouse Gas Emissions and Sinks: 1990-2017 (published April 11,
2019), calculated using GWP of 25.
Note: Totals may not sum due to rounding.
b. VOC and SO2 emissions in the U.S. and from the oil and natural
gas industry. Official U.S. estimates of national level VOC and
SO2 emissions are developed by the EPA for the National
Emissions Inventory (NEI), for which states are required to submit
information under 40 CFR part 51, subpart A. Data in the NEI may be
organized by various data points, including sector, NAICS code, and
Source Classification Code. The oil and natural gas sources emit 5.7
and 1.8 percent of U.S. VOC and SO2, respectively. Tables 4
and 5 below present total U.S. VOC and SO2 emissions by
sector, respectively, for the year 2014, in kilotons (kt) (or thousand
metric tons).
Table 4--U.S. VOC Emissions by Sector
[kt]
------------------------------------------------------------------------
Sector 2014
------------------------------------------------------------------------
Biogenics--Vegetation and Soil.......................... 38,672
Oil and Natural Gas Production, and Natural Gas 3,172
Processing and Transmission............................
Fires--Wildfires........................................ 2,466
Fires--Prescribed Fires................................. 1,980
Mobile--On-Road non-Diesel Light Duty Vehicles.......... 1,965
Solvent--Consumer & Commercial Solvent Use.............. 1,621
Mobile--Non-Road Equipment--Gasoline.................... 1,536
Other VOC Sources \18\.................................. 4,238
---------------
Total VOC Emissions................................. 55,651
------------------------------------------------------------------------
Emissions from the 2014 NEI, Version 2 (released February 2018).
Note: Totals may not sum due to rounding.
Table 5--U.S. SO2 Emissions by Sector
[kt]
------------------------------------------------------------------------
Sector 2014
------------------------------------------------------------------------
Fuel Comb--Electric Generation--Coal.................... 3,155
Fuel Comb--Industrial Boilers, Internal Combustion 335
Engines--Coal..........................................
Mobile--Commercial Marine Vessels....................... 175
Industrial Processes--Not Elsewhere Classified.......... 137
Industrial Processes--Chemical Manufacturing............ 133
Oil and Natural Gas Production, and Natural Gas 84
Processing and Transmission............................
Other SO2 Sources\19\................................... 787
---------------
Total SO2 Emissions..................................... 4,805
------------------------------------------------------------------------
Emissions from the 2014 NEI, Version 2 (released February 2018).
Note: Totals may not sum due to rounding.
Table 6 below presents total VOC and SO2 emissions from
oil and natural gas production through transmission and storage, for
the year 2014, in kt (or thousand metric tons).
---------------------------------------------------------------------------
\18\ Other sources include remaining sources emitting less than
1,000 kt VOC in 2014.
\19\ Other sources include remaining sources emitting less than
100 kt SO2 in 2014.
Table 6--U.S. VOC and SO2 Emissions From Natural Gas and Petroleum
Systems
[kt]
------------------------------------------------------------------------
Sector VOC SO2
------------------------------------------------------------------------
Oil and Natural Gas Production and 3,172 84
Natural Gas Processing and Transmission
(Total)................................
Oil and Natural Gas Production.......... 3,143 48
Natural Gas Processing.................. 14 36
[[Page 50251]]
Natural Gas Transmission and Storage.... 16 1
------------------------------------------------------------------------
Emissions from the 2014 NEI, Version 2 (published February 2018), in kt
(or thousand metric tons).
Note: Totals may not sum due to rounding.
B. Statutory Background
CAA section 111 authorizes and directs the EPA to prescribe NSPS
applicable to certain new stationary sources (which are defined by the
statue to include newly constructed sources) and also existing sources
that undergo ``modification'' within the meaning of CAA section
111(a)(4)).\20\ As the first step to regulation, the CAA initially
directed the EPA to publish by March 31, 1971, and ``from time to time
thereafter [to] revise,'' a list of categories of stationary sources
and to include on that list each category of stationary sources for
which the Administrator has made a ``judgment'' that the emission of
air pollutants from sources within such category ``causes, or
contributes significantly to, air pollution which may reasonably be
anticipated to endanger public health or welfare.'' \21\ The EPA has
listed and regulated more than 60 stationary source categories under
CAA section 111.\22\ The EPA listed the source category at issue here,
``Crude Oil and Natural Gas Production'' in 1979.\23\
---------------------------------------------------------------------------
\20\ CAA section 111(b)(1)(A).
\21\ Id.
\22\ See generally, 40 CFR part 60, subparts D-MMMM.
\23\ 44 FR 49222 (August 21, 1979).
---------------------------------------------------------------------------
Once the EPA has listed a source category, the EPA proposes and
then promulgates ``standards of performance'' for new sources in the
category, which includes sources that have yet to be constructed and
those existing sources that undergo ``modification.'' \24\ In addition,
the EPA's regulations provide that new sources also include an existing
source that undertakes a reconstruction.
---------------------------------------------------------------------------
\24\ CAA section 111(b)(1)(B).
---------------------------------------------------------------------------
Under CAA section 111(b), the EPA must promulgate a ``standard of
performance'' that new, modified, and reconstructed sources are to
meet. CAA section 111(a)(1) defines a ``standard of performance'' as
``a standard for emissions of air pollutants which reflects the degree
of emission limitation achievable through the application of the best
system of emission reduction (BSER) which (taking into account [cost
and other factors]) the Administrator determines has been adequately
demonstrated.'' This definition makes clear that the standard of
performance must be based on ``the best system of emission reduction .
. . adequately demonstrated'' (BSER).
The U.S. Court of Appeals for the District of Columbia Circuit
(D.C. Circuit) has had occasion over the years to speak to the
definition of ``standard of performance'' and its component terms.\25\
By its terms, the definition of ``standard of performance'' under CAA
section 111(a)(1) provides that the emission limits that the EPA
promulgates must be ``achievable'' by application of a ``system of
emission reduction'' that the EPA determines to be the ``best'' that is
``adequately demonstrated,'' ``taking into account . . . cost . . .
nonair quality health and environmental impact and energy
requirements.''
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\25\ See 80 FR 64537 (discussing legislative history); Portland
Cement Ass'n v. Ruckelshaus, 486 F.2d 375 (D.C. Cir. 1973); Essex
Chemical Corp. v. Ruckelshaus, 486 F.2d 427, (D.C. Cir. 1973);
Portland Cement Ass'n v. EPA, 665 F.3d 177 (D.C. Cir. 2011). See
also Delaware v. EPA, 785 F.3d 1 (D.C. Cir. 2015).
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With respect to the cost factor, the D.C. Circuit has stated that
the EPA may not adopt a standard the cost of which would be
``unreasonable.'' \26\ The D.C. Circuit has indicated that the EPA has
substantial discretion in its consideration of cost under CAA section
111(a). Moreover, CAA section 111(a) does not provide specific
direction regarding what metric or metrics to use in considering costs,
again affording the EPA considerable discretion in choosing a means of
cost consideration.\27\
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\26\ Sierra Club v. Costle, 657 F.2d 298, 343 (D.C. Cir. 1981).
See ``Emission Guidelines for Greenhouse Gas Emissions From Existing
Electric Utility Generating Units; Revisions to Emission Guideline
Implementing Regulations; Revisions to New Source Review Program,''
Proposed Rule, 83 FR 44746, 44758 (August 31, 2018) (discussing D.C.
Circuit caselaw).
\27\ See, e.g., Husqvarna AB v. EPA, 254 F.3d 195, 200 (D.C.
Cir. 2001) (where CAA section 213 does not mandate a specific method
of cost analysis, the EPA may make a reasoned choice as to how to
analyze costs).
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C. What is the regulatory history and litigation background regarding
performance standards for the oil and natural gas industry?
1. 1979 Listing of Source Category
Subsequent to the enactment of the CAA of 1970, the EPA took action
to develop standards of performance for new stationary sources as
directed by Congress in CAA section 111. By 1977, the EPA had
promulgated NSPS for a total of 27 source categories, while NSPS for an
additional 25 source categories were then under development.\28\
However, in amending the CAA that year, Congress expressed
dissatisfaction that the EPA's pace was too slow. Accordingly, the 1977
CAA Amendments included a new subsection (f) in section 111, which
specified a schedule for the EPA to list additional source categories
under CAA section 111(b)(1)(A) and prioritize them for regulation under
CAA section 111(b)(1)(B).
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\28\ See 44 FR 49222 (August 21, 1979).
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In 1979, as required by CAA section 111(f), the EPA published a
list of source categories, which included ``Crude Oil and Natural Gas
Production,'' for which the EPA would promulgate standards of
performance under CAA section 111(b). See Priority List and Additions
to the List of Categories of Stationary Sources, 44 FR 49222 (August
21, 1979) (``1979 Priority List''). That list included, in the order of
priority for promulgating standards, source categories that the EPA
Administrator had determined, pursuant to CAA section 111(b)(1)(A),
contribute significantly to air pollution that may reasonably be
anticipated to endanger public health or welfare. See 44 FR 49223
(August 21, 1979); see also 49 FR 2636-37 (January 20, 1984).
2. 1985 NSPS for VOC and SO2 Emissions From Natural Gas
Processing Units
On June 24, 1985 (50 FR 26122), the EPA promulgated NSPS for the
source category that addressed VOC emissions from equipment leaks at
onshore natural gas processing plants (40 CFR part 60, subpart KKK). On
October 1, 1985 (50 FR 40158), the EPA promulgated NSPS
[[Page 50252]]
for the source category to regulate SO2 emissions from
onshore natural gas processing plants (40 CFR part 60, subpart LLL).
3. 2012 NSPS OOOO Rule and Related NSPS Rules
a. Regulatory action. In 2012, pursuant to its duty under CAA
section 111(b)(1)(B) to review and, if appropriate, revise NSPS, the
EPA published the final rule, ``Standards of Performance for Crude Oil
and Natural Gas Production, Transmission and Distribution,'' 77 FR
49490 (August 16, 2012) (40 CFR part 60, subpart OOOO) (``2012 NSPS
OOOO''). This rule updated the SO2 standards for sweetening
units and VOC standards for equipment leaks at onshore natural gas
processing plants. In addition, it established VOC standards for
several oil and natural gas-related operations emission sources not
covered by 40 CFR part 60, subparts KKK and LLL, including natural gas
well completions, centrifugal and reciprocating compressors, natural
gas operated pneumatic controllers, and storage vessels. Using
information available at the time, the EPA also evaluated methane
emissions and reductions during the 2012 NSPS OOOO rulemaking as a
potential co-benefit of regulating VOC emissions.
In 2013, 2014, and 2015 the EPA amended the 2012 NSPS OOOO rule in
order to address implementation of the standards. ``Oil and Natural Gas
Sector: Reconsideration of Certain Provisions of New Source Performance
Standards,'' 78 FR 58416 (September 23, 2013) (2013 NSPS OOOO)
(concerning storage vessel implementation); ``Oil and Natural Gas
Sector: Reconsideration of Additional Provisions of New Source
Performance Standards,'' 79 FR 79018 (December 31, 2014) (``2014 NSPS
OOOO'') (concerning well completion); ``Oil and Natural Gas Sector:
Definitions of Low Pressure Gas Well and Storage Vessel,'' 80 FR 48262
(August 12, 2015) (``2015 NSPS OOOO'') (concerning low pressure gas
wells and storage vessels).
The EPA received petitions for both judicial review and
administrative reconsiderations for the 2012, 2013, and 2014 NSPS OOOO
rules. The EPA denied reconsideration for some issues, see
``Reconsideration of the Oil and Natural Gas Sector: New Source
Performance Standards; Final Action,'' 81 FR 52778 (August 10, 2016),
and, as noted below, granted reconsideration for other issues. All
related litigation is currently stayed pending the reconsideration
process.
4. 2016 NSPS OOOOa Rule and Related Amendments
a. Regulatory action. On June 3, 2016, the EPA published a final
rule titled ``Oil and Natural Gas Sector: Emission Standards for New,
Reconstructed, and Modified Sources; Final Rule,'' at 81 FR 35824 (40
CFR part 60, subpart OOOOa) (``2016 NSPS OOOOa'').29 30 The
2016 NSPS OOOOa rule established NSPS for sources of GHG and VOC
emissions for certain equipment, processes, and operations across the
oil and natural gas industry. The 2016 NSPS OOOOa addresses the
following emission sources:
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\29\ While the June 3, 2016, rulemaking also included final
amendments to 40 CFR part 60, subpart OOOO, we are not proposing at
this time to amend 40 CFR part 60, subpart OOOO.
\30\ The 2016 NSPS OOOOa rule resulted from a series of
directives from then President Obama targeted at reducing GHG,
including methane: The President's Climate Action Plan (June 2013);
the President's Climate Action Plan: Strategy to Reduce Methane
Emissions (``Methane Strategy'') (March 2014); and the President's
directive to address, and if appropriate, propose and set standards
for methane and ozone-forming emissions from new and modified
sources in the sector (January 2015).
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Sources that were unregulated under the 2012 NSPS OOOO
(hydraulically fractured oil well completions, pneumatic pumps, and
fugitive emissions from well sites and compressor stations);
Sources that were regulated under the 2012 NSPS OOOO for
VOC emissions, but not for GHG emissions (hydraulically fractured gas
well completions and equipment leaks at natural gas processing plants);
and
Certain equipment that is used across the source category,
for which the 2012 NSPS OOOO regulates emissions of VOC from only a
subset (pneumatic controllers, centrifugal compressors, and
reciprocating compressors), with the exception of compressors located
at well sites.
On March 12, 2018, the EPA finalized amendments of certain aspects
of the 2016 NSPS OOOOa requirements for the collection of fugitive
emission components at well sites and compressor stations, specifically
(1) the requirement that components on a delay of repair must conduct
repairs during unscheduled or emergency vent blowdowns, and (2) the
monitoring survey requirements for well sites located on the Alaska
North Slope.
For further information on the 2016 NSPS OOOOa rule, see 81 FR
35824 (June 3, 2016) and for further information on the 2018 NSPS OOOOa
amendments, see 83 FR 10628 (March 12, 2018). The associated public
docket for both actions is Docket ID No. EPA-HQ-OAR-2010-0505.
b. Petitions to reconsider. Following promulgation of the 2016 NSPS
OOOOa rule, the Administrator received five petitions for
reconsideration of several provisions. Copies of the petitions are
provided in Docket ID No. EPA-HQ-OAR-2010-0505.\31\ As noted below, the
EPA has granted reconsideration of several issues in the 2016 NSPS
OOOOa rule, proposed revisions to the final rule based on the
reconsideration and addressed broad implementation issues that
stakeholders had brought to the EPA's attention.
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\31\ See Docket ID Item Nos.: EPA-HQ-OAR-2010-0505-7682, EPA-HQ-
OAR-2010-0505-7683, EPA-HQ-OAR-2010-0505-7684, EPA-HQ-OAR-2010-0505-
7685, EPA-HQ-OAR-2010-0505-7686.
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c. Litigation. Several states and industry associations challenged
the 2016 NSPS OOOOa rule in the D.C. Circuit, alleging, among other
things, that the EPA acted arbitrarily and capriciously and in excess
of statutory authority. See, e.g., West Virginia v. EPA, 16-1264, State
Petitioners' Nonbinding Statement of the Issues to be Raised. These
cases were consolidated. In addition, on January 4, 2017, the
challenges to the 2016 NSPS OOOOa rule were consolidated with the
challenges to the 2012 NSPS OOOO rule (as amended by the 2013 NSPS OOOO
and 2014 NSPS OOOO rules), under American Petroleum Institute v. EPA,
case No. 13-1108 (D.C. Cir.). ECF Dkt #1654072. On May 18, 2017, the
D.C. Circuit issued an order granting a motion by the EPA to hold in
abeyance the consolidated litigation over the 2012 NSPS OOOO rule (as
amended by the 2013 NSPS OOOO and 2014 NSPS OOOO rules) and the 2016
NSPS OOOOa rule, and requiring the EPA to file status reports every 60
days informing the Court and parties regarding what action it has or
will be taking regarding those rules. Id., ECF Dkt. #1675813.
D. Other Notable Events
On March 28, 2017, newly elected President Donald Trump issued
Executive Order 13783 titled ``Promoting Energy Independence and
Economic Growth'' (hereinafter ``Executive Order''). The purpose of the
Executive Order is to facilitate the development of domestic energy
resources--including oil and gas--and to reduce unnecessary regulatory
burdens associated with the development of those resources.
Specifically, the Executive Order establishes the policy of the U.S.
that executive departments and agencies ``immediately review existing
regulations that potentially burden the
[[Page 50253]]
development or use of domestically produced energy resources and
appropriately suspend, revise, or rescind those that unduly burden the
development of domestic energy resources beyond the degree necessary to
protect the public interest or otherwise comply with the law.'' Id.,
Section 1(c). The Executive Order specifically instructs the EPA, among
other things, to ``review'' the 2016 NSPS OOOOa rule as well as ``any
rules and guidance issued pursuant to it, for consistency with th[is]
policy . . . .'' Id., Section 7. The Executive Order further provides
that ``if appropriate, [the Agency] shall, as soon as practicable,
suspend, revise, or rescind the guidance, or publish for notice and
comment proposed rules suspending, revising, or rescinding those
rules.'' Id.
In accordance with the Executive Order, also on March 28, 2017, the
EPA Administrator signed a Federal Register document announcing that
the Agency is ``reviewing the 2016 Oil and Gas New Source Performance
Standards (Rule), 81 FR 35824 (June 3, 2016), and, if appropriate, will
initiate proceedings to suspend, revise, or rescind it.'' The EPA
further explained that: ``If the EPA's review concludes that
suspension, revision, or rescission of this Rule may be appropriate,
the EPA's review will be followed by a rulemaking process that will be
transparent, follow proper administrative procedures, include
appropriate engagement with the public, employ sound science, and be
firmly grounded in the law.'' Id., page 3. This notice was published in
82 FR 16331 (April 4, 2017).
On April 18, 2017, the EPA issued a letter granting reconsideration
of the fugitive emissions requirements at well sites and compressor
stations. On June 5, 2017, the EPA issued a notice granting
reconsideration of additional issues, specifically the well site
pneumatic pumps standards and the requirements for certification by a
PE. See ``Oil and Natural Gas Sector: Emission Standards for New,
Reconstructed, and Modified Sources; Grant of Reconsideration and
Partial Stay,'' 82 FR 25730 (June 5, 2017).
In addition, in the same June 5, 2017, document of action in which
it granted reconsideration of additional issues, the EPA also issued,
under CAA section 307(d)(7)(B), a 90-day partial stay of the 2016 NSPS
OOOOa rule, pending the reconsiderations. Specifically, the EPA stayed
the provisions for fugitive emissions requirements, well site pneumatic
pump standards, and certification of CVS by a PE (40 CFR sections
60.5393a(b) through (c), 60.5397a, 60.5410a(e)(2) through (5) and (j),
60.5411a(d), 60.5415a(h), 60.5420a(b)(7), (8), and (12), and (c)(15)
through (17)). 82 FR 25730. Environmental groups challenged this stay,
and on July 3, 2017, the D.C. Circuit vacated the stay on grounds that
it did not meet the CAA section 307(d)(7)(B) criteria. See Clean Air
Council v. EPA, 862 F.3d 1 (D.C. Cir. 2017).
On June 16, 2017, the EPA published a proposed stay of the same
three requirements of the 2016 NSPS OOOOa rule for 2 years. ``Oil and
Natural Gas Sector: Emission Standards for New, Reconstructed, and
Modified Sources: Stay of Certain Requirements,'' 82 FR 27645 (June 16,
2017).
On November 8, 2017, the EPA issued a Notice of Data Availability
(NODA) for the proposed 2-year stay of the 2016 NSPS OOOOa rule. In
this NODA, the EPA provided, among other things, additional information
on several topics raised by stakeholders and solicited comment on the
information presented, including the legal authority to issue a stay
and the technological, resource, and economic challenges with
implementing the fugitive emissions requirements, well site pneumatic
pump standards, and the requirements for certification of CVS by a PE.
``Oil and Natural Gas Sector: Emission Standards for New,
Reconstructed, and Modified Sources: Stay of Certain Requirements,'' 82
FR 51788 (November 8, 2017). The EPA also solicited comment on other
avenues to address these issues other than issuing a stay.
As previously discussed, on March 12, 2018, the EPA finalized
amendments of certain aspects of the requirements for the collection of
fugitive emission components at well sites and compressor stations,
specifically (1) the requirement that components on a delay of repair
must conduct repairs during unscheduled or emergency vent blowdowns and
(2) the monitoring survey requirements for well sites located on the
Alaska North Slope. 83 FR 10628. These narrow amendments to the 2016
NSPS OOOOa rule were in response to comments the EPA received on the
proposed stays and NODA and address significant and immediate
compliance concerns.
On October 15, 2018, the EPA granted reconsideration of additional
issues in the 2016 NSPS OOOOa rule, proposed revisions to that rule
based on the reconsideration, and addressed broad implementation issues
that stakeholders had brought to the EPA's attention. 83 FR 52056.
E. Related State and Federal Regulatory Actions
Several states and federal agencies currently regulate the oil and
natural gas industry. The scope of state requirements ranges from
general reporting requirements to quantitative emissions limits and
restrictions on venting and flaring. For example, Colorado requires
that dehydrators, liquids unloading operations, and pneumatic
controllers achieve specific emission reductions, in addition to
regular monitoring of storage vessels and fugitive emissions. In Texas,
well site requirements vary based on specific site-wide VOC emissions,
but standard requirements exist for storage vessels, pneumatic
controllers, and fugitive emissions. North Dakota has restrictions on
venting and flaring. Ohio has general permit programs for well sites
and compressor stations; the state also regulates dehydrators, engines,
flares, fugitive emissions, and storage vessels at both well sites and
compressor stations, in addition to requirements for compressors, truck
loading, and pigging operations. Pennsylvania has a general permit
program for compressor stations and a permit exemption program for well
sites. The compressor station permit includes requirements for engines,
compressors, storage vessels, fugitive emissions, and dehydrators. The
permit exemption program includes requirements for well completions,
engines, fugitive emissions, storage vessels, and flares. The EPA
describes state fugitive emissions program requirements in the
memorandum titled ``Equivalency of State Fugitive Emissions Programs
for Well Sites and Compressor Stations to Proposed Standards at 40 CFR
part 60, subpart OOOOa,'' located at Docket ID No. EPA-HQ-OAR-2017-
0483. Additional information can be found in a memorandum \32\ written
by the Bureau of Land Management (BLM) in support of the ``Waste
Prevention, Production Subject to Royalties, and Resource Conservation;
Rescission or Revision of Certain Requirements,'' see 83 FR 7924.
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\32\ See Docket ID Item No. BLM-2018-0001-0004.
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In addition to states, certain federal agencies regulate the oil
and natural gas industry. For example, on November 18, 2016, the BLM
promulgated new regulations to reduce waste of natural gas from
venting, flaring, and leaks during oil and natural gas production on
onshore federal and Indian (other than Osage Tribe) leases.\33\ On
September 28, 2018, the BLM finalized amendments to their 2016 rule in
order to reduce
[[Page 50254]]
compliance burden and maintain consistency with BLM's existing
statutory authorities.\34\ The BLM's revised 2018 rule discourages
excessive venting and flaring by placing volume and time limits on
royalty-free venting and flaring during production testing,
emergencies, and downhole well maintenance and liquids unloading.
Additionally, BLM's rule incentivizes the beneficial use of gas by
making gas used for operations and production purposes royalty free.
More detailed information can be found at BLM's website: https://www.blm.gov/programs/energy-and-minerals/oil-and-gas/operations-and-production/methane-and-waste-prevention-rule.
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\33\ 81 FR 83008 (November 18, 2016).
\34\ 83 FR 49184.
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The Pipeline and Hazardous Materials Safety Administration (PHMSA)
is responsible for regulating and ensuring the safe and secure movement
of materials to industry and consumers by all modes of transportation,
including pipelines. While PHMSA's regulations are focused on safety,
there is likely a corresponding environmental co-benefit from their
rules. For example, the PHMSA's Office of Pipeline Safety ensures
safety in the design, construction, operation, maintenance, and
incident response of the U.S.' approximately 2.6 million miles of
natural gas and hazardous liquid transportation pipelines. When
pipelines are maintained, the likelihood of environmental releases like
leaks are reduced.\35\ More detailed information can be found at the
PHMSA's website: https://www.phmsa.dot.gov/.
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\35\ See Final Report on Leak Detection Study to PHMSA. December
10, 2012. https://www.phmsa.dot.gov/sites/phmsa.dot.gov/files/docs/technical-resources/pipeline/16691/leak-detection-study.pdf.
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IV. Summary and Rationale of Proposed Actions
As directed by the President, the EPA has reviewed the 2012 NSPS
OOOO and 2016 NSPS OOOOa with attention to whether the rules ``unduly
burden the development of domestic energy resources beyond the degree
necessary to protect the public interest'' and, if so, whether it is
appropriate to ``suspend, revise, or rescind'' regulatory
requirements.36 37 This proposal follows that review, and
the EPA is proposing revisions to those requirements while maintaining
health and environmental protections for emission sources within the
regulated source category.\38\
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\36\ Executive Order 13783, ``Promoting Energy Independence and
Economic Growth,'' section 1(c) (March 28, 2017).
\37\ 82 FR 16331 (April 4, 2017) (Notice of review of 2016 NSPS
OOOOa pursuant to Executive Order 13783, signed by the EPA
Administrator).
\38\ We note that the EPA is addressing certain specific
reconsideration issues--fugitive emissions requirements at well
sites and compressor stations, well site pneumatic pump standards,
and the requirements for certification of CVS by a PE--in a separate
proposal. See Docket ID Item No. EPA-HQ-OAR-2010-0505-7730 and 82 FR
25730.
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Specifically, the EPA is proposing to revise the source category to
remove the transmission and storage segment entirely and rescind the
NSPS requirements applicable to sources within the transmission and
storage segment. This proposed action is based on the EPA's proposed
determination that its 2012 and 2016 rulemakings that interpreted or
expanded the source category to includes sources in the transmission
and storage segment were improper in that regard. Further, the EPA is
proposing to rescind the methane requirements of the NSPS applicable to
sources within the production and processing segments because they are
entirely redundant of the existing NSPS for VOC.\39\ Those
requirements, thus, provide no additional health protections and are
unnecessary. Indeed, due to the identical emissions profiles and source
control technologies for methane and VOC, the EPA, when establishing
the 2016 NSPS OOOOa to regulate methane, found no need for any changes
to the existing NSPS requirements for VOC. Rescinding the requirements
of the 2016 NSPS OOOOa applicable to methane emissions, while leaving
in place the requirements applicable to VOC emissions, will not affect
the amount of methane reductions that are achieved in the production
and processing segments, but it will provide for greater clarity by
simplifying the rule. Rescission of the requirements applicable to
methane emissions will also obviate the need for the development of
emission guidelines under CAA section 111(d) and 40 CFR part 60,
subpart B to address methane emissions from existing sources within the
crude oil and natural gas production industry.
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\39\ Section VI of this preamble takes comment on alternative
questions of statutory interpretation and associated potential
record determinations which, if the EPA were to adopt them, might
provide an additional or alternative basis for both the primary and
the alternative proposal.
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As an alternative to this first set of proposed actions, the EPA is
proposing to rescind the methane requirements of the 2016 NSPS OOOOa
applicable to all oil and natural gas sources without removing any
sources from the source category.
A. Revision of the Source Category To Remove Transmission and Storage
Segment
Under CAA section 111(b)(1)(A), the EPA must ``publish . . . a list
of categories of stationary sources, emissions from which, in the
judgment of the Administrator, cause[ ], or contribute[ ] significantly
to, air pollution which may reasonably be anticipated to endanger
public health or welfare.'' Further, CAA section 111(b)(1)(A) directs
that ``from time to time thereafter'' the EPA ``shall revise'' this
``list'' of categories of stationary sources. Following the ``inclusion
of a category of stationary sources in a list,'' the EPA then proposes
and promulgates ``standards of performance for new sources within such
category.'' CAA section 111(b)(1)(A). Thereafter, the EPA ``shall . . .
review and, if appropriate, revise such standards.'' CAA section
111(a)(1)(B).
CAA section 111(b)(1)(A) does not include any specific criteria for
determining the reasonable scope of a given ``category'' of
``stationary sources'' beyond the requirement that the Administrator
make a finding that, in his or her ``judgment,'' emissions from the
``category of sources . . . cause[ ], or contribute[ ]significantly to,
air pollution which may reasonably be anticipated to endanger public
health or welfare.'' Accordingly, the EPA is afforded some measure of
discretion in determining at the outset the scope of a source category.
In 1978, the EPA published ``Priorities for New Source Performance
Standards Under the Clean Air Act Amendments of 1977.'' \40\ The
purpose of this document was to implement the requirements of CAA
section 111(f) to develop and apply a methodology for identifying,
establishing, and prioritizing the source categories that should be
considered first for in-depth analysis prior to NSPS promulgation under
CAA section 111. For purposes of the 1978 analysis, the EPA aggregated
emissions from ``oil and gas production fields'' and ``natural gas
processing'' as part of the ``Crude Oil and Natural Gas Production
Plant'' source category. The EPA identified this aggregated source
category as a source of HC and SO2 emissions. When the EPA
finalized the priority list in 1979, it slightly revised the name of
the source category as ``Crude Oil and Natural Gas Production.'' 49 FR
49222 (August 21, 1979).
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\40\ Priorities for New Source Performance Standards Under the
Clean Air Act Amendments of 1977. April 1978. EPA-450/3-78-019.
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[[Page 50255]]
In 1985, the EPA promulgated two rulemakings establishing NSPS for
the Crude Oil and Natural Gas Production source category. These were 40
CFR part 60, subpart KKK--Standards of Performance for Equipment Leaks
of VOC from Onshore Natural Gas Processing Plants (50 FR 26124, June
23, 1985); and subpart LLL--Standards of Performance for SO2
Emissions from Onshore Natural Gas Processing (50 FR 40160, October 1,
1985). When it first proposed 40 CFR part 60, subpart KKK, the EPA
noted that the ``category `Crude Oil and Natural Gas Production' ranks
29th on the list of 59 source categories,'' and that the ``crude oil
and natural gas production industry encompasses the operations of
exploring for crude oil and natural gas products, removing them from
beneath the earth's surface, and processing these products for
distribution to petroleum refineries and gas pipelines.'' \41\ The EPA
repeated that description of the identified source category when it
first proposed 40 CFR part 60, subpart LLL, explaining that the ``crude
oil and natural gas production industry encompasses not only processing
of the natural gas (associated or not associated with crude oil) but
operations of exploration, drilling, and subsequent removal of the gas
from porous geologic formations beneath the earth's surface.'' \42\
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\41\ 49 FR 2637 (January 20, 1984).
\42\ 49 FR 2658 (January 20, 1984).
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In 2012, the EPA reviewed the VOC and SO2 standards and
at the same time established new requirements for stationary sources of
VOC emissions that had not been regulated in the 1985 rulemaking (e.g.,
well completions, pneumatic controllers, storage vessels, and
compressors). 40 CFR part 60, subpart OOOO--Standards of Performance
for Crude Oil and Natural Gas Production, Transmission and Distribution
for which Construction, Modification or Reconstruction Commenced After
August 23, 2011, and on or Before September 18, 2015, (77 FR 49542,
August 16, 2012). In the preamble of the 2011 proposal for that 2012
NSPS OOOO final rule, the EPA interpreted the 1979 listing as
indicating that ``the currently listed Oil and Natural Gas source
category covers all operations in this industry (i.e., production,
processing, transmission, storage and distribution).'' 76 FR 52738,
52745 (August 23, 2011). Further, the EPA stated that ``[t]o the extent
there are oil and gas operations not covered by the currently listed
Oil and Natural Gas source category. . . ., we hereby modify the
category list to include all operations in the oil and natural gas
sector.'' Id. at 52745. The stated basis for that proposed decision was
that ``[s]ection 111(b) of the CAA gives the EPA the broad authority
and discretion to list and establish NSPS for a category that, in the
Administrator's judgment, causes or contributes significantly to air
pollution which may reasonably be anticipated to endanger public health
or welfare.'' Id. at 52745. No additional discussion of this listing
position was provided in the 2011 proposal.
In the 2012 final rulemaking, the EPA promulgated NSPS for emission
sources in the production, processing, and transmission and storage
segments, 77 FR 49490, 49492 (August 16, 2012), and stated that ``[t]he
listed Crude Oil and Natural Gas Production source category covers, at
a minimum, those operations for which we are establishing standards in
this final rule.'' Id. at 49496. In responding to comments, the EPA
took the position that it was not actually revising the source category
to include emission sources in the transmission and storage segment,
but rather, was interpreting the 1979 listing to be ``broad,'' and
interpreting the 1985 rulemaking as ``view[ing] this source category
listing very broadly,'' Id. at 49514, so that, in the EPA's view, the
source category was already sufficiently broad to include that
segment.\43\
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\43\ In the 2012 NSPS OOOO rulemaking, the EPA referred to the
distribution segment of the oil and natural gas industry, which
entails transporting natural gas to the end user, 76 FR 52738, 52745
(August 23, 2011) (proposed rule); 49514, 77 FR 49493 (Table 2)
(August 16, 2012) (final rule). However, in the 2016 NSPS OOOOa
rule, the EPA clarified that the scope of the Oil and Natural Gas
Production and Processing source category includes the transmission
and storage segment, but not the distribution segment. In addition,
the, EPA has never treated any sources in the distribution segment
as subject to the requirements of NSPS OOOO or OOOOa.
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In 2016, the EPA promulgated new NSPS (40 CFR part 60, subpart
OOOOa) for the Crude Oil and Natural Gas Production source category (81
FR 35824, June 3, 2016). As the EPA did in the 2012 NSPS OOOO rule, the
EPA took the position that the 1979 listing was broad enough to
encompass the transmission and storage segment and that the 1985
rulemakings confirmed that broad listing. The EPA stated that the
inclusion of the transmission and storage segment into the original
1979 source category was warranted because equipment and operations at
production, processing, transmission and storage facilities are a
sequence of functions that are interrelated and necessary for getting
the recovered gas ready for distribution. Nevertheless, the EPA
recognized that the scope of the prior listing may have had some
ambiguity. Accordingly, ``as an alternative,'' the EPA finalized a
revision of the category to broaden it, so that ``[a]s revised, the
listed oil and natural gas source category includes oil and natural gas
production, processing, transmission, and storage.'' (81 FR 35840).
The EPA has reviewed the original 1979 listing of the Crude Oil and
Natural Gas Production source category and the associated background
materials and now proposes to find that its 2012 and 2016
interpretation of the 1979 listing--i.e., that the 1979 listing
included natural gas transmission and storage--was erroneous. The
preamble accompanying the 1979 listing, which identified the source
category as ``Crude Oil and Natural Gas Production,'' gave no
indication that a source category ostensibly focused on ``production''
also included those sources associated with post-production operations
such as transmission and storage. As explained in greater detail below,
to the extent there was ambiguity, the issue was resolved in 1984, when
the EPA, in proposing the first standards of performance for sources
within the Crude Oil and Natural Gas Production source category (i.e.,
40 CFR part 60, subpart KKK), described the category as
``encompass[ing] the operations of exploring for crude oil and natural
gas products, removing them from beneath the earth's surface and
processing these products for distribution to petroleum refineries and
gas pipelines.'' \44\ This description, by its express terms,
establishes that sources in the transmission and storage segment were
not included in the Crude Oil and Natural Gas Production source
category as listed in 1979. Therefore, the EPA is proposing to disavow
its erroneous interpretation from 2012 and 2016, and instead propose
that the source category does not include natural gas transmission and
storage. Following are details of our rationale for this action.
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\44\ 49 FR 2637; see also 49 FR 2658.
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As noted above, the 1978 ``Priorities for New Source Performance
Standards Under the Clean Air Act Amendments of 1977'' analysis
aggregated the emissions from ``oil and gas production fields'' and
``natural gas processing'' as part of what was then labeled as the
``Crude Oil and Natural Gas Production Plants'' source category. This
aggregated source category was identified as a source of HC and
SO2 emissions. The EPA listed the ``Stationary Pipeline
Compressor Engines'' source category separately, which included
emissions specific to engines used at compressor stations (i.e.,
NOX, SO2 and carbon
[[Page 50256]]
monoxide (CO)). EPA-450/3-78-019 (April 1978).
The revised priority list that the EPA promulgated in 1979 and its
associated support document, ``Revised Prioritized List of Source
Categories for Promulgation,'' \45\ included the aggregated ``Crude Oil
and Natural Gas Production Plants'' source category. The support
document also included a separate study of ``stationary pipeline
compressor engines'' emissions. The record makes clear that, at the
time, the EPA was distinguishing between oil and natural gas production
plants and natural gas processing on the one hand, and stationary
pipeline compressor engines on the other, and that it intended to
promulgate separate standards for HC and SO2 emissions from
those two source categories. EPA-450/3-79-023 (March 1979). The record
for the 1979 action indicates that, at the time, the EPA clearly
considered the ``Crude Oil and Natural Gas Production'' source category
to include but be limited to production and processing operations. In
addition, the record makes clear that the EPA also considered
stationary pipeline compressor engines to be part of a separate source
category.\46\ Other parts of the record indicate that the EPA intended
to promulgate standards separately for HC and SO2 emissions
from those two sets of sources. EPA-450/3-79-023 (March 1979). In
contrast, the record does not specifically address the transmission and
storage segment.
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\45\ U.S. EPA. ``Revised Prioritized List of Source Categories
for NSPS Promulgation.'' March 1979. EPA-450/3-79-023.
\46\ The EPA promulgated NSPS for stationary spark ignition
internal compressor engines under the ``Standards of Performance for
Stationary Spark Ignition Internal Combustion Engines and National
Emission Standards for Hazardous Air Pollutants for Reciprocating
Internal Combustion Engines.'' (40 CFR part 60, subpart JJJJ; 73 FR
3568, 3569, January 18, 2008). These standards applied to engines
located at compressor stations at natural gas transmission and
storage facilities, as well as engines located in other industry
sectors.
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As has already been noted, in 1984-85, the EPA developed the first
two NSPS for the source category (40 CFR part 60, subparts KKK and LLL)
by establishing standards to address VOC and SO2 emissions
for sources in the production and processing segments alone, and in so
doing, indicated that it considered the scope of the source category to
be limited to those segments. Specifically, the EPA promulgated
standards at 40 CFR part 60, subpart KKK for onshore natural gas
processing plants in 1985, which were the first standards promulgated
for the source category. In the 1984 proposal preamble, the EPA
clarified the scope of the source category as follows:
The crude oil and natural gas production industry encompasses
the operations of exploring for crude oil and natural gas products,
drilling for these products, removing them from beneath the earth's
surface, and processing these products from oil and gas fields for
distribution to petroleum refineries and gas pipelines.
49 FR 2636.
Thus, in the sentence just quoted, the EPA explicitly defined the
source category as encompassing the natural gas operations up to the
point of distribution to gas pipelines, that is, up to the storage and
transmission segment, and in that manner, indicated that this segment
was not included in the source category. (Similarly, in the same
sentence, the EPA defined the scope of the source category as
encompassing oil operations up to the point of distribution to
petroleum refineries, which are a separate source category.) In this
manner, the EPA indicated that the Crude Oil and Natural Gas Production
source category includes operations from well sites (exploration,
drilling, and removal) and natural gas processing plants (processing).
While gathering and boosting compressor stations were not specified, it
is reasonable to conclude that they are also included because they are
located between two covered sites, the well site and the processing
plant. However, to reiterate, subsequent operations, such as
transmission, storage, and distribution were not included. Thus, the
EPA is now proposing to find that its earlier view that the original
listing in 1979 of the Crude Oil and Natural Gas Production source
category already included the transmission and storage segment was in
error, as the record of the 1979 listing action, and subsequent
rulemaking actions by the EPA, described above, make clear.
As noted above, we had stated in the 2016 NSPS OOOOa rule our view
that the ``1979 listing of [the Crude Oil and Natural Gas Production]
source category provides sufficient authority for this action,'' but we
then added that, ``to the extent that there is ambiguity in the prior
listing, the EPA hereby finalizes, as an alternative, its proposed
revision of the category listing to broadly include the oil and natural
gas industry.'' \47\ ``As revised,'' we went on to say, ``the listed
oil and natural gas category includes oil and natural gas production,
processing, transmission, and storage.'' \48\ As discussed next, the
EPA is further proposing to find that this ``alternative'' approach--
i.e., ``revising'' the previously-established Crude Oil and Natural Gas
Production source category to include sources within the storage and
transmission segment--was in error.
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\47\ 81 FR 35833.
\48\ Id. (footnote omitted).
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While CAA section 111(b)(1)(A) and (B), respectively direct the EPA
to ``revise,'' where warranted, both the ``list of source categories''
and the ``standards of performance'' that the EPA has promulgated,
nothing in CAA section 111 expressly authorizes or directs the EPA to
``revise'' a ``source category,'' by altering its scope, once the EPA
has listed that source category. However, the EPA has inherent
authority to reconsider, repeal, or revise past decisions to the extent
permitted by law so long as the Agency provides a reasoned explanation.
See Motor Vehicle Manufacturers Association of the United States v.
State Farm Mutual Automobile Insurance Co., 463 US 29, 56-57 (1983)
(``an agency changing its course must supply a reasoned analysis,''
quoting Greater Boston Television Corp. v. FCC, 143 F.2d 841, 842 (D.C.
Cir.)). The CAA complements the EPA's inherent authority to reconsider
prior rulemakings by providing the Agency with broad authority to
prescribe regulations as necessary. See 42 U.S.C. 7601(a). See Clean
Air Council v. Pruitt, 862 F.3d 1, 8-9 (D.C. Cir. 2017) (``[a]gencies
obviously have broad discretion to reconsider a regulation at any
time''). Even so, the EPA proposes that the authority to revise the
scope of a source category must be exercised only within reasonable
boundaries and cannot be employed in such a way as to result in an
unreasonable expansion of an existing source category, i.e., one that
purports to expand a source category to cover a new set of sources that
are sufficiently unrelated to the sources in the pre-existing category
that they constitute a separate source category for which the EPA is
required to make a new contribute-significantly-and-endangerment
finding as a prerequisite to regulating them. Otherwise, expanding the
source category by including new sources could be used to circumvent
that requirement. The EPA proposes to conclude that the 2016 expansion
of the source category to include sources in the transmission and
storage segment did, in fact, exceed the reasonable boundaries of its
authority to revise source categories.
In the 2016 NSPS OOOOa rule, the EPA purported to ``support'' its
``revision'' of the source category by making the ``requisite finding
under section 111(b)(1) that, in the Administrator's judgment, this
source
[[Page 50257]]
category, as defined above, contributes significantly to air pollution
which may reasonably be anticipated to endanger public health or
welfare.'' \49\ The EPA is now proposing to find that this approach was
erroneous.
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\49\ 81 FR 35833 (emphasis added).
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Specifically, we are proposing that the EPA was required to make a
finding that the transmission and storage segment in and of itself
``contributes significantly to air pollution which may reasonably be
anticipated to endanger public health or welfare,'' not simply that the
source category, ``as defined above''--i.e., defined to include ``oil
and natural gas production, processing, transmission, and storage''
\50\--``contributes significantly.'' Nowhere in the course of
promulgating the 2016 NSPS OOOOa rule did the EPA make a finding that
sources in the transmission and storage segment, in themselves,
``contribute[ ] significantly to air pollution which may reasonably be
anticipated to endanger public health or welfare.'' The EPA avoided
making such a finding by purporting to have ``revised'' the source
category by including that transmission and storage segment and then
proceeding to find that the expanded source category ``contributes
significantly.'' \51\
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\50\ Id.
\51\ See 80 FR 35837-35840 (explaining ``how GHG, VOC and
SO2 emissions'' from the source category as revised to
include the oil and natural gas production, processing,
transmission, and storage segments, and not the transmission and
storage segment itself, ``are `air pollution' that may reasonably be
anticipated to endanger public health and welfare.'').
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This approach, the EPA now proposes to find, was not appropriate.
Had the EPA chosen to revise the source category list to include the
``transmission and storage'' segment as a separate source category, it
could have done so only after making a finding that emissions from
sources within that source category ``cause[ ], or contribute
significantly to air pollution which may reasonably be anticipated to
endanger public health or welfare.'' Thus, if transmission and storage
sources are sufficiently distinct from production and processing
sources such that it would not be appropriate to include them in the
Crude Oil and Natural Gas source category via revising of that source
category, then the EPA could promulgate NSPS for them only if it first
listed them as a separate source category, a step that the EPA has not
taken.\52\
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\52\ In prior actions to expand a previously listed source
category to include additional sources when the Agency considers the
newly added sources to be logically connected to the sources already
in the source category, the EPA has taken different approaches,
ranging from making a significant contribution finding for the newly
added sources, making such a finding for the newly expanded source
category, and not making such a finding at all. Compare ``Standards
of Performance for New Stationary Sources; Priority List--Final
Rule,'' 47 FR 31875, 31876 (July 23, 1982), ``Standards of
Performance for New Stationary Sources; Priority List--Proposed
Amendment,'' 45 FR 76427, 26427-28 (November 18, 1980) (expanding
the ``asphalt roofing source category'' to include ``asphalt blowing
stills and storage tanks at asphalt processing facilities and
petroleum refineries;'' explaining that ``[i]t is . . . reasonable
to treat the asphalt processing and roofing manufacture industry as
a single category of sources'' because the processing and refinery
sources are sites for ``initial steps in the preparation of asphalt
for roofing manufacture'' and ``[t]he emissions, processes, and
applicable controls for blowing stills and asphalt storage tanks at
oil refineries and asphalt processing plants are the same as those
at asphalt roofing plants;'' determining that the added sources
``contribute significantly to air pollution which may reasonably be
anticipated to endanger public health or welfare'') with ``Standards
of Performance for New Stationary Sources; Industrial-Commercial-
Institutional Steam Generating Units--Final Rule,'' 51 FR 42794,
42794-95 (November 25, 1986) (expanding the source category of
``industrial fossil fuel-fired steam generators'' to ``cover all
steam generators, including both fossil and nonfossil fuel-fired
steam generators, as well as steam generators used in industrial,
commercial, and institutional applications;'' explaining that
``fossil and nonfossil fuel-fired industrial, commercial, and
institutional steam generating units should be classified together
as one source category . . . [because they] emit similar pollutants,
fire the same fuels, and may employ the same emission control
techniques [and] [t]heir impacts on human health are similar;''
determining that the source category as expanded ``is a significant
contributor and an appropriate source category for regulation;'' and
adding that ``[t]here is no requirement that each subcategory of a
listed category . . . also be significant contributors'') and
``Standards of Performance for New Stationary Sources, Volatile
Organic Liquid Storage Vessels (Including Petroleum Liquid Storage
Vessels) Constructed After July 23, 1984--Proposed Rule,'' 49 FR
29698, 29700 (July 23, 1984), ``Standards of Performance for New
Stationary Sources: Volatile Organic Liquid Storage Vessels
(Including Petroleum Liquid Storage Vessels)--Final Rule,'' 52 FR
11420, 11420 (April 8, 1987) (expanding the ``synthetic organic
chemical manufacturing industry'' (SOCMI) source category to include
``storage vessels emitting VOC's located at plants other than SOCMI
plants, such as liquid bulk storage terminals;'' explaining that
those facilities ``store the same or similar liquids as those at
SOCMI plants and . . . can be controlled with the same
effectiveness, the same costs . . . and the same control technology
as storage vessels located at SOCMI plants;'' not making any
determination concerning significant contribution).
---------------------------------------------------------------------------
The EPA proposes to determine that transmission and storage sources
are, in fact, sufficiently distinct from production and processing
sources that the EPA erred when, in the 2016 NSPS OOOOa rule, it
purported to revise the source category to include sources in the
transmission and storage segment. Specifically, the EPA proposes to
determine that its determination in the 2016 NSPS OOOOa rule that
equipment and operations at production, processing, and transmission
and storage facilities are a sequence of functions that are
interrelated and necessary for getting the recovered gas ready for
distribution, was unreasonable. We now propose that the transmission
and storage operations are distinct from production and processing
operations because the natural gas that enters the transmission and
storage segment has different composition and characteristics than the
natural gas that enters the production and processing segments.
The primary operations of the production and processing segments
are the exploration of crude oil and natural gas products beneath the
earth's surface, drilling wells that are used to extract these
products, and processing the crude oil and field gas for distribution
to petroleum refineries and gas pipelines. As stated previously in this
section, the EPA described this source category's operations similarly
when proposing 40 CFR part 60, subpart KKK in 1984. 49 FR 2637. The
primary purpose of these segments is to remove impurities from the
extracted product. At a well site (production segment), crude oil and
natural gas are extracted from the ground. Some processing can take
place at the well site, such as the physical separation of gas,
production fluids, and condensate. The separated gas (``field gas'') is
then sent through gathering pipelines to the natural gas processing
plant (processing segment). At the processing plant, the field gas is
converted to sales gas or pipeline quality gas. This involves several
steps including the extraction of natural gas liquids (e.g., a mixture
of propane, butane, pentane) from the field gas, the fractionation of
these natural gas liquids into individual products (e.g., liquid
propane), or both extraction and fractionation. The final natural gas
that exits the processing plant is sales gas, which is predominantly
methane, as discussed above. In these segments, the field gas has
physically changed such that it is a usable product.
Analysis of the composition of gas on a nationwide basis in the
various industry segments confirms the different character of the
segments. In 2011 and subsequently in 2018, the EPA conducted an
analysis of the composition, expressed in percent volume, of natural
gas based on the methane, VOC, and hazardous air pollutant (HAP)
content across the various industry segments.53 54 For
[[Page 50258]]
example, in 2011, the nationwide composition for the production
segment, which included wells and unprocessed natural gas, consisted of
approximately 83 percent methane, 4 percent VOC, and less than 1
percent HAP. In contrast, the transmission segment, which included
pipeline and sales gas (i.e., post processing), consisted of
approximately 93 percent methane, 1 percent VOC, and less than 0.01
percent HAP. In 2018, the EPA reviewed new studies available and found
similar results. The nationwide composition for the production segment
consisted of approximately 88 percent methane and 4 percent VOC. In
addition, the EPA determined the data was insufficient to include HAP
in the final analysis. Limited updated natural gas composition data
were available for the transmission and storage segment. These
differences in the gas composition demonstrate that the emissions
profile is different following gas processing; however, the EPA
recognizes that these numbers are nationwide and that variations can
occur from basin-to-basin within each segment. The fact that the
original listing was specific to VOC and SO2 emissions and
that emissions of these pollutants are lower downstream of the natural
gas processing plant further support our interpretation that the 1979
listing included only the production and processing segments.
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\53\ Memorandum to Bruce Moore, U.S. EPA from Heather Brown, EC/
R. ``Composition of Natural Gas for use in the Oil and Natural Gas
Sector Rulemaking.'' July 2011. Docket ID Item No. EPA-HQ-OAR-2010-
0505-0084.
\54\ Memorandum to U.S. EPA from Eastern Research Group.
``Natural Gas Composition.'' November 13, 2018. Docket ID No. EPA-
HQ-OAR-2017-0757.
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The operations of the transmission and storage segment differ from
production and processing because in the former, the natural gas does
not undergo changes in composition, except for some limited removal of
liquids that condensed during the temperature and pressure changes as
the gas moves through the pipeline. Therefore, the natural gas that
enters the transmission and storage segment has approximately the same
composition and characteristics as the natural gas that leaves the
segment for distribution. The segment includes natural gas transmission
compressor stations, whose primary operation is to move the natural gas
through transmission pipelines by increasing the pressure. Dehydration,
which can also occur at compressor stations, is a secondary operation
used when the natural gas has collected water during transmission. At
storage facilities, natural gas is injected into underground storage
for use during peak seasons.\55\ When demand increases, the natural gas
is extracted from the underground storage, dehydrated to remove water
that has entered during storage, compressed, and moved through
distribution pipelines. It is the EPA's understanding that processing
of field gas generally occurs within the production and processing
segments. Operators within the transmission and storage segment
typically do not operate within the production and processing segments
and vice-versa.
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\55\ Storage can also take place in above ground storage
vessels; however, it is our understanding that these are more
commonly used after the city gate, which has not been included in
the source category at any point.
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These distinct differences in the operations, the physical
transformation of the field gas to sales gas, and the physical movement
of sales gas through pipelines establish that two separate categories
are necessary. This distinction is similar to the distinction the EPA
has made between other source categories with segments that handle the
production and processing of a material and subsequent transport of the
product. One example is the petroleum industry. In that industry, crude
oil is produced through the extraction of material at well sites from
beneath the earth's surface. Crude oil is then transferred to
refineries where it undergoes chemical and physical changes that result
in various formulations of gasoline. The refined gasoline is
transmitted by pipeline, ship, barge, or rail to bulk gasoline
terminals that store the product in large above ground tanks until it
is loaded for transport to distribution networks. The segments of the
petroleum industry are also demarcated by product composition, the
physical, and in the case of the petroleum industry, chemical
transformation of crude oil to refined gasoline products such as
gasoline, jet aircraft fuels, diesel fuel, motor oil, kerosene,
asphalt, and sulfur. Production facilities,\56\ refineries,\57\ and
bulk gasoline terminals \58\ all have operational differences, and the
EPA placed them in three different source categories. Those operational
differences are similar to the operational differences between the
production and processing segments and the transmission and storage
segment at issue in this proposal.
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\56\ U.S. EPA. ``Revised Prioritized List of Source Categories
for NSPS Promulgation.'' March 1979. EPA-450/3-79-023.
\57\ 38 FR 15406 (May 4, 1973); 39 FR 9315 (March 8, 1974).
\58\ 45 FR 83126 (December 12, 1980); 48 FR 37578 (August 18,
1983).
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It should be noted that in the 2016 NSPS OOOOa rule, the EPA
justified including the transmission and storage segment in the Crude
Oil and Natural Gas source category partly because some similar
equipment (e.g., storage vessels, pneumatic pumps, compressors) is used
across the industry. While that is true, the differences in the
operations of, and the emission profiles of, the different segments are
more significant and support our proposal to exclude the transmission
and storage segment from the source category. A review of 2016 NSPS
OOOOa compliance reports from sources in the EPA Regions (3, 6, 8, 9,
and 10) with the greatest oil and natural gas activity indicates that
there were no storage vessels emitting more than 6 tons per year (tpy)
VOC reported in the transmission and storage segment.\59\ This supports
our understanding that VOC emissions are lower in the transmission and
storage segment and supports our understanding that any gas processing
that occurs in the transmission and storage segment generally is
limited to removing liquids that condensed during the temperature and
pressure changes as the gas moves through the pipeline.
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\59\ These reports have since been made available for public
viewing at https://www.foiaonline.gov/foiaonline/action/public/submissionDetails?trackingNumber=EPA-HQ-2018-001886&type=request.
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In summary, the EPA has not identified information from the
original source category listing that indicates the transmission and
storage segment was included in the Crude Oil and Natural Gas
Production source category. In fact, in 1985, the date of the first
standards that the EPA promulgated for the source category, the EPA
clearly indicated that the source category was limited (and should be
limited) to the production and processing segments. Further, there are
distinct differences in operations and differences in the emissions
profiles between the production and processing segments and the
transmission and storage segment. We are, therefore, proposing to
exclude transmission and storage sources from the Crude Oil and Natural
Gas Production source category.
B. Rescission of the NSPS for Sources in Transmission and Storage
Segment
A prerequisite for the EPA to promulgate an NSPS applicable to new
sources is that the new sources must be in a source category that the
EPA has listed under CAA section 111(b)(1). For the reasons stated in
section IV.A immediately above, the EPA is proposing to rescind as
improper the 2012 and 2016 rules' interpretations or extension of the
source category to encompass sources in the transmission and storage
segment. Under the proposed rescission, transmission and storage
sources would not be contained
[[Page 50259]]
within a listed source category. Accordingly, the promulgation of NSPS
for transmission and storage sources was contrary to law, and as a
result, the EPA is also proposing to rescind the NSPS in OOOO and OOOOa
for emission sources in the transmission and storage segment.
Specifically, we are proposing to rescind the requirements for
compressor affected facilities located downstream of the natural gas
processing plant; pneumatic controllers located downstream of the
natural gas processing plant; storage vessel affected facilities
located downstream of the natural gas processing plant; and the
affected facility that is the collection of fugitive emission
components located at a compressor station.
C. Status of Sources in Transmission and Storage Segment
If this proposal is finalized, the transmission and storage segment
will revert to the status of a segment of the oil and natural gas
industry not listed as a source category under CAA section 111(b)(1)(A)
and, thus, will not be subject to regulation under CAA section 111(b)
(for new sources) or CAA section 111(d) (for existing sources that emit
certain air pollutants). The emission sources in the transmission and
storage segment will be in the same position as emissions sources in
other industries that the EPA has not listed as a source category under
CAA section 111(b)(1)(A).
In the future, the EPA may evaluate these emissions more closely
and determine whether the transmission and storage segment should be
listed as a source category under CAA section 111(b)(1)(A).\60\
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\60\ Methane emissions from the transmission and storage segment
are 32 MMT CO2 Eq. (1,295 kt methane) per the Inventory
of United States Greenhouse Gas Emissions and Sinks: 1990-2017
(published April 11, 2019), which amounts to 5 percent of United
States methane emissions and 0.5 percent of total U.S. GHG emissions
on a CO2 equivalent basis (using a GWP of 25 for
methane). With respect to VOC emissions, the transmission and
storage segment emitted 16,252 tons in 2014, which amounts to just
0.51 percent of national VOC emissions from that year. With respect
to SO2 emissions, there were 663 tons emitted from the
transmission and storage segment in 2014, or just 0.79 percent of
national SO2 emissions. For HAP emissions, the
transmission and storage segment emitted 1,143 tons in 2014, or just
0.01 percent of national HAP emissions for that year.
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D. Rescission of the Applicability to Methane of the NSPS for
Production and Processing Segments
As the second of the two steps of its primary proposal, the EPA
also is proposing to rescind the methane requirements of the NSPS
applicable to sources in the production and processing segments. The
EPA is proposing to find that, in the specific circumstances presented
here, the EPA lacked a rational basis to establish standards of
performance for methane emissions from the production and processing
segments because those requirements are entirely redundant with the
existing NSPS for VOC, establish no additional health protections, and
are, thus, unnecessary. Rescinding the applicability to methane
emissions of the 2016 NSPS OOOOa requirements, while leaving the
applicability to VOC emissions in place, will not affect the amount of
methane reductions that those requirements will achieve, given the 2016
NSPS OOOOa compliance monitoring assurances, including technologies and
frequency of monitoring.
It is rational for the EPA to determine that requirements that are
redundant to other requirements are not necessary because they do not
result in emission reductions beyond what would otherwise occur. For
example, in its 1977 proposed NSPS for Lime Manufacturing Plants, the
EPA proposed (and later promulgated) NSPS for particulate matter (PM)
from lime plants, but not SO2, and explained that the
particulate controls would have the effect of adequately controlling
SO2. 42 FR 22506, 22507 (May 3, 1977). See National Lime
Assoc. v. EPA, 627 F.2d 416, 426 n.27 (D.C. Cir. 1980) (quoting
statements in the EPA's proposal). In effect, the EPA recognized that
SO2 requirements would be redundant to PM requirements, and,
for that reason, declined to impose SO2 requirements.\61\
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\61\ Similarly, the EPA declined to propose NSPS for (i)
nitrogen oxides because they are emitted in low concentrations or
(ii) carbon dioxide because, among other things, regulation would
produce little environmental benefit, 42 FR 22507. These rationales
for not proposing controls for air pollutants are similar to the
redundancy rationale--in all cases, the essential point is that any
controls would not result in meaningful emission reductions.
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The current NSPS requirements as applied to methane are redundant
with the NSPS requirements as applied to VOC. Indeed, for each emission
source in the source category subject to the NSPS, the requirements
overlap completely. To understand this, it is important to recognize
the emissions profile and control technology for these emission
sources. Each emission source in the source category emits methane and
VOC as co-pollutants through the same emission points and processes.
The requirements of the NSPS, including the emission limits, required
controls or changes in operations, monitoring, recordkeeping,
reporting, and all other requirements, apply to each emission source's
emission points and processes and, therefore, to each emission source's
methane and VOC emissions, in precisely the same way. The capture and
control devices that the emission sources use to meet the NSPS
requirements are the same for these co-pollutants and are not selective
with respect to either VOC or methane emissions (though the
concentration of VOC and methane in the gas emitted from any particular
source will vary across types of affected facilities and geographic
basins).\62\
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\62\ Similarly, the capture and control technologies used to
reduce VOC and methane emissions are also effective in reducing each
source's emissions of volatile HAP. Please note that while co-
control is a favorable result, 40 CFR part 60, subpart OOOOa does
not apply to HAP emissions from the source category.
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As a result, rescinding the applicability of the NSPS requirements
to methane emissions will have no impact on the amount of methane
emissions. Each affected facility in the production and processing
segments will remain subject to the same NSPS requirements for VOC to
which it was subject prior to the rescission, and those requirements
will have the same impact in reducing the emission source's methane
emissions as before the rescission of the methane requirements.
For example, the requirements for the collection of fugitive
emissions components located at a well site include the periodic
monitoring for fugitive emissions using an optical gas imaging (OGI)
instrument. This instrument provides real-time visual images of HC gas
emissions by using spectral wavelength filtering and an array of
infrared (IR) detectors to visualize the IR absorption of HC and other
gaseous compounds. As the gas absorbs radiant energy at the same
waveband that the filter transmits to the detector, the motion of the
gas is imaged. Since VOC and methane emissions can be imaged within the
same waveband, the OGI instrument does not allow differentiation or
speciation of the content of the emissions. Once a fugitive emission is
identified with OGI, it must be repaired. Therefore, the same
components are monitored and repaired, regardless of the content of the
emissions from the affected facility. Thus, the proposed rescission of
the applicability to methane will not change the applicability of the
fugitive emissions requirements. The same is true for the other NSPS
requirements.
Other examples include the requirements for pneumatic controllers,
pneumatic pumps, and compressors.
[[Page 50260]]
Pneumatic controllers are automated instruments used for maintaining a
process condition such as liquid level, pressure, pressure
differential, and temperature. Pneumatic controllers make use of the
available high-pressure natural gas to operate or control a valve.
Natural gas may be released from these ``gas-driven'' pneumatic
controllers with every valve movement and continuously from the valve
control pilot. Continuous bleed pneumatic controllers can be classified
into two types based on their emissions rates: (1) High-bleed
controllers and (2) low-bleed controllers. Replacing high-bleed
controllers with low-bleed controllers (or no-bleed and non-gas-driven
controllers) non-selectively reduces methane and VOC emissions.
Pneumatic pumps are devices that use gas pressure to drive a fluid by
raising or reducing the pressure of the fluid by means of a positive
displacement, a piston or a set of rotating impellers. Gas powered
pneumatic pumps are generally used at oil and natural gas production
sites where electricity is not readily available (Gas Research
Institute/EPA, 1996) and can be a significant source of methane and VOC
emissions. Routing pneumatic pump emissions to a pre-existing on-site
control device, which combusts the gas, reduces methane and VOC
emissions non-selectively. Emissions from compressors occur when
natural gas leaks around moving parts in the compressor. In a
reciprocating compressor, emissions occur when natural gas leaks around
the piston rod when pressurized natural gas is in the cylinder. Over
time, during operation of the compressor, the rod packing system
becomes worn and will need to be replaced to prevent excessive leaking
from the compression cylinder. Replacement of the compressor rod
packing, replacement of the piston rod, and the refitting or
realignment of the piston rod reduces methane and VOC emissions non-
selectively. Emissions from centrifugal compressors depend on the type
of seal used: Either ``wet,'' which uses oil circulated at high
pressure, or ``dry,'' which uses a thin gap of high-pressure gas. The
use of dry gas seals substantially reduces emissions. Routing emissions
to the combustion device is also an option for reducing emissions from
centrifugal compressors. In either case, the use of dry seals or
combustion device reduces methane and VOC non-selectively. The proposed
rescission of applicability to methane will not change the
applicability of these requirements or that methane will be reduced as
a co-reduction of VOC.
Furthermore, any fugitive detection and measurement approach
currently approved or approved under the Alternative Means of Emissions
Limitations that speciates emissions, would still identify fugitive
emissions as defined by any visible emissions observed using OGI and
require repair. That is, the NSPS requirements as applied to VOC will
reduce methane in the same amounts as those requirements, as applied to
methane, would as long as OGI with current levels of sensitivity to
methane continue to be used. The EPA is aware that several new
technologies are under development that would detect speciated fugitive
emissions from oil and natural gas operations. We solicit comment on
these new technologies and the need to evaluate the current fugitive
emission detection technology specifications to determine that the
level of control remains as protective.
As the EPA noted in the proposal for the 2016 NSPS OOOOa rule, the
EPA has discretion to determine which pollutants emitted from a listed
source category warrant regulation. The EPA has historically
considered, among other things, the amount of the pollutant and ``ha[s]
`historically declined to propose standards for a pollutant [that] is
emit[ted] in low amounts. . . .' '' 80 FR 56599 (quoting 75 FR 54970,
54997 (September 9, 2010).\63\ In the case of the Oil and Natural Gas
source category, there are no methane emissions from the sources
subject to the NSPS beyond those emissions already subject to control
by the provisions to control VOC in the NSPS. Accordingly, there is no
need to add NSPS requirements applicable to methane.64 65
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\63\ This discussion assumes that the EPA will retain the
statutory interpretation set forth in the 2016 NSPS OOOOa rule of
its authority under CAA section 111 to add new regulations to
previously-regulated source categories, and that it will not adopt
the alternative statutory interpretation on which it solicits
comment in section VI.A below.
\64\ In the 2016 NSPS OOOOa final rule, the EPA stated: While
the controls used to meet the VOC standards in the 2012 NSPS also
reduce methane emissions incidentally, in light of the current and
projected future GHG emissions from the oil and natural gas
industry, reducing GHG emissions from this source category should
not be treated simply as an incidental benefit to VOC reduction;
rather, it is something that should be directly addressed through
GHG standards in the form of limits on methane emissions under CAA
section 111(b) based on direct evaluation of the extent and impact
of GHG emissions from this source category and the emission
reductions that can be achieved through the best system for their
reduction. The standards detailed in this final action will achieve
meaningful GHG reductions and will be an important step towards
mitigating the impact of GHG emissions on climate change. 81 FR
35841.
After further consideration, the EPA proposes to come to a
different conclusion about the need for methane requirements, for
the reasons discussed in this section and below.
\65\ The EPA notes that removing the applicability of the NSPS
to methane emissions does not alter the basis for the applicability
of the NSPS to VOC emissions for affected sources in the source
category, which for some affected sources have been regulated since
the 2012 NSPS OOOO rule. To determine BSER, the EPA assesses a set
of factors, which include the amount of emissions reduction, costs,
energy requirements, non-air quality impacts, and the advancement of
particular types of technology or other means of reducing emissions,
and retains discretion to weight the factors differently in any
case. In the 2016 NSPS OOOOa, the EPA gave primary weight to the
amount of emission reductions and cost. The EPA describes this
analysis in depth in the 2015 NSPS OOOOa proposal at 80 FR 56618-
56620 and 80 FR 56625-56627. For the source types in the production
and processing segments, the NSPS requirements, considered on a VOC-
only basis, are cost effective (relatively low cost and relatively
high emissions reductions). See memorandum titled ``Draft Control
Cost and Emission Changes under the Proposed Amendments to 40 CFR
part 60, subpart OOOOa Under Executive Order 13783,'' in the public
docket for this action. The EPA provides this information for the
benefit of the public and is not reopening the above-described
determination in the 2016 NSPS OOOOa that the VOC-only requirements
for sources in the production and processing segments meet the
requirements of CAA section 111.''
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The EPA recognizes that in proposing to rescind one set of
standards in part for its redundancy with another set, the EPA is
choosing to rescind the applicability of those standards to methane
emissions and not VOC emissions, rather than vice-versa. Rescinding the
methane-specific standards is reasonable because the requirements for
VOC and correspondingly, sources' compliance with those requirements,
are longer established than those for methane. As described earlier,
the EPA regulated VOC first, beginning in 1985 and continuing in 2012,
and then added regulation of methane for some sources in 2016.
Additionally, redundancy is not uniform across affected facilities
in the sector. Some sources, such as storage vessels, are subject only
to VOC requirements and not methane requirements. For those sources, it
cannot be said that regulation of VOC is redundant to regulation of
methane because the EPA has not regulated methane from them. For these
reasons, in choosing between the two requirements, the EPA considers it
appropriate and less disruptive to rescind the methane standards.
V. Rationale for Alternative Proposal To Rescind the Methane Standards
for All Sources in the Oil and Gas Source Category Without Revising the
Source Category
A. Alternative Proposed Action To Rescind the Methane Standards
In this action, the EPA is proposing in the alternative to rescind
the methane
[[Page 50261]]
requirements in the 2016 NSPS OOOOa without any action that would
address the scope of the industry segments covered by these
requirements or to alter the VOC requirements applicable to those
industry segments. In contrast to the proposal discussed above in
section IV, this alternative proposal does not affect the scope of the
source category, including the types of sources included in the source
category. Thus, this alternative proposal would not eliminate sources
in the transmission and storage segment from the source category. This
alternative proposal is based on the rationale described below.
B. Rationale for Rescinding the Methane Standards
Under this alternative proposal, the EPA's basis for proposing to
rescind the applicability to methane of the NSPS for all sources in the
source category is essentially the same as the EPA's basis for
proposing the same action for sources in the production and processing
segments, described in section IV above. Briefly, the EPA is proposing
to rescind the methane requirements applicable to the source category
because they are wholly redundant with the existing VOC
requirements.66 67 Section VI of this preamble takes comment
on alternative questions of statutory interpretation and associated
potential record determinations which, if the EPA were to adopt them,
might provide an additional or alternative basis for both the primary
and the alternative proposal.
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\66\ As noted above, in the 2015 proposal for the 2016 NSPS
OOOOa rule, we justified regulating methane emissions on grounds
that ``reducing methane emissions from this source category cannot
be treated simply as an incidental benefit to VOC reduction,'' 80 FR
56599, but our current view is that what is important is that the
VOC requirements will assure that the methane emissions reductions
occur. In addition, as noted above, the cost effectiveness of the
VOC requirements for sources in the production and processing
segments supports retaining those requirements for those sources,
and we are not reopening our determination in the 2016 OOOOa NSPS
that, on a VOC-only basis, the requirements for sources in the
production and processing segments meet CAA section 111
requirements. The same is true for the sources in the transmission
and storage segment under this alternative proposal. We consider VOC
emissions regulation alone to qualify as NSPS based on the BSER. As
we noted with respect to sources in the production and processing
segments, removing the applicability of the NSPS to methane
emissions does not alter the basis for the applicability of the NSPS
to VOC emissions for affected sources in the source category, which
for some affected sources have been regulated since the 2012 NSPS
OOOO rule. To determine BSER, the EPA assesses a set of factors,
which include the amount of emissions reduction, costs, energy
requirements, non-air quality impacts, and the advancement of
particular types of technology or other means of reducing emissions;
this assessment requires the EPA to exercise discretion in weighing
these factors against each other. In the 2016 NSPS OOOOa, the EPA
gave primary weight to the amount of emission reductions and cost.
The EPA describes this analysis in depth in the 2015 proposal at 80
FR 56616 to 56645. The EPA provides this information for the benefit
of the public and is not reopening the above-described VOC-only BSER
determination for the production, processing, transmission, and
storage segments made in the 2016 NSPS OOOOa.
\67\ 80 FR 56616 to 56645, 83 FR 52056, and memorandum titled
``Draft Control Cost and Emission Changes under the Proposed
Amendments to 40 CFR part 60, subpart OOOOa Under Executive Order
13783,'' in the public docket for this action.
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VI. Solicitation of Comment on Significant Contribution Finding for
Methane
As noted above, the primary and alternative proposals set forth in
this notice rely on the EPA's previous position, which it took in the
2016 NSPS OOOOa rule, that (1) CAA section 111 does not require the
Agency to make a pollutant-specific determination that the Crude Oil
and Natural Gas Production source category's emissions of methane cause
or contribute significantly to air pollution that may reasonably be
anticipated to endanger public health or welfare, as a prerequisite to
promulgating an NSPS for methane; and (2) in the alternative, if CAA
section 111 were interpreted to require such a determination for the
2016 NSPS OOOOa rule, the source category's emissions do cause or
contribute significantly to air pollution that may reasonably be
expected to endanger public health or welfare.\68\ Although the
determination that CAA section 111(b)(1)(A) requires is commonly
referred to as an ``endangerment finding,'' it entails two separate
elements: (1) A finding that certain air pollution may reasonably be
anticipated to endanger public health or welfare, and (2) a finding
that the source category's emissions of air pollutants cause or
contribute significantly to that air pollution. This section focuses on
the latter element, which we refer to as the ``significant contribution
finding'' (SCF). It should also be noted that in prior contexts in
which the EPA has made these findings with regard to GHG, including the
2016 NSPS OOOOa rule, the EPA has considered the ``air pollution'' that
may reasonably be anticipated to endanger public health or welfare to
be the elevated concentration in the atmosphere of six well-mixed gases
(of which, CO2 and methane are emitted in the largest
quantities); and the EPA has considered the ``air pollutants'' that may
cause or contribute to that air pollution to be the same six GHG. See
81 FR 35843. In the 2016 NSPS OOOOa rule, for convenience, the EPA
sometimes referred to the ``air pollutants'' as methane, in recognition
of the fact that methane is the largest quantity of GHG emitted by the
Oil and Natural Gas source category. We take the same approach and use
the same terminology in this rulemaking.
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\68\ In the 2016 NSPS OOOOa rule, the EPA stated: Some
commenters have argued that the EPA is required to make a new
endangerment finding before it may set limitations for methane from
the oil and natural gas source category. We disagree. . . .
Moreover, even if CAA section 111 required the EPA to make an
endangerment finding as a prerequisite for this rulemaking, then,
the information and conclusions described above . . . should be
considered to constitute the requisite finding (which includes a
finding of endangerment as well as a cause-or-contribute
significantly finding). More specifically, . . . [t]he facts [that
the EPA marshaled in support of the 2009 Endangerment Finding] have
only grown stronger and the potential adverse consequences of GHG to
public health and the environment more dire [since 2009]. The facts
also demonstrate that the current methane emissions from oil and
natural gas production sources and natural gas processing and
transmission sources contribute substantially to nationwide GHG
emissions. 81 FR at 35843.
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In this proposal, the EPA proposes to retain its current
interpretation that it is not required to make a pollutant-specific
SCF, for the same reasons that it noted in the 2016 NSPS OOOOa rule. 81
FR at 35841-43. However, the EPA solicits comment on whether it should
revise its positions in the 2016 NSPS OOOOa rule concerning the
requirement to make a pollutant-specific SCF under CAA section 111(b),
as well as, in light of the statutory term ``significantly contributes
to,'' the level of contribution that methane from oil and natural gas
sources makes to GHG air pollution. In particular, in subsections A, B,
and C of this section, the EPA solicits comment on (A) whether CAA
section 111 requires the EPA to make a pollutant-specific SCF for GHG
emissions (again, primarily methane) from the source category as a
prerequisite to regulating those emissions; (B) if so, whether the SCF
for methane emissions from the source category that the EPA made in the
alternative in the 2016 NSPS OOOOa rule properly satisfied that
requirement; and (C) what criteria are appropriate for the EPA to
consider in making a SCF, both as a general matter and with particular
reference to GHG emissions generally and to methane emissions from this
source category most particularly. Further, the EPA solicits comment on
whether, should we determine (1) that it was necessary as a matter of
law for the EPA to have made a pollutant-specific SCF finding for GHG
emissions (or, if the statute does not compel that interpretation,
whether that is a reasonable interpretation); and (2) that the SCF for
methane emissions
[[Page 50262]]
from the source category that the EPA made in the alternative in the
2016 NSPS OOOOa rule did not properly satisfy that requirement, those
determinations, in and of themselves, would either compel us or
authorize us to repeal the 2016 NSPS OOOOa rule.
A. Requirement for Pollutant-Specific Significant Contribution Finding
As noted earlier, CAA section 111(b)(1) sets out a multi-step
process for the EPA to promulgate NSPS. First, the EPA is required to
list a source category if ``in [the Administrator's] judgment it
causes, or contributes significantly to, air pollution which may
reasonably be anticipated to endanger public health or welfare.'' CAA
section 111(b)(1)(A). Then, the EPA is required to propose and then
promulgate ``standards of performance for new sources within such
category.'' CAA section 111(b)(1)(B). A ``standard of performance'' is
defined as ``a standard for emissions of air pollutants'' that the EPA
is required to calculate through a particular methodology. CAA section
111(a)(1). The EPA has interpreted these provisions to require that it
make a SCF for the combined air pollutant emissions, taken as a whole,
from the source category in order to list the source category, and then
to require it to promulgate standards of performance for the emissions
once it has listed the source category, but not require it to make
pollutant-specific SCFs as another prerequisite to promulgating those
standards of performance. 80 FR 64529-31 (Electricity Generating Units
(EGU) CO2 NSPS rule), 81 FR 35841-42 (2016 NSPS OOOOa rule).
The EPA articulated this interpretation of CAA section 111(b)(1)(A)
during the course of two rulemakings to promulgate NSPS for GHG,
completed in 2015-2016, but commenters called it into question. In
those rulemakings, the EPA promulgated, for the first time, NSPS for
GHG, primarily CO2, from fossil-fuel fired EGUs (including
steam-generating boilers and combustion turbines), ``Standards of
Performance for Greenhouse Gas Emissions from New, Modified, and
Reconstructed Stationary Sources: Electric Utility Generating Units--
Final Rule,'' 80 FR 64510, 64530 (October 23, 2015) (EGU CO2
NSPS rule),\69\ and methane from the Crude Oil and Natural Gas
Production source category, 81 FR 35843 (the 2016 NSPS OOOOa rule). In
the proposal for the EGU CO2 NSPS rule, the EPA took the
position that it was not required to make a pollutant-specific SCF for
CO2 emissions from EGUs in order to promulgate an NSPS
regulating those emissions. 79 FR 1430, 1452-55 (January 8, 2014).
Commenters stated that under the EPA's interpretation, the EPA would
have the authority to promulgate an NSPS for a air pollutant that a
source category emits in relatively small amounts (or, with respect to
the endangerment finding, that is relatively benign in its effect on
public health or welfare). This is because, under the EPA's
interpretation, once the Agency lists a source category, it proceeds to
regulate a particular air pollutant emitted from the category without
being required to make a SCF for the source category's emissions of
that air pollutant. See generally 81 FR 35843; 80 FR 64530. These
concerns about the two GHG NSPS rulemakings are highlighted by the fact
that when the EPA listed the source categories--EGU Steam-Generating
Boilers in 1971, Combustion Turbines in 1977, and Crude Oil and Natural
Gas Production in 1979--and first began to regulate them, the EPA did
not mention GHG. Rather, the SCFs for the source categories did not
identify the air pollutants, and the initial regulations--which were
largely contemporaneous with the listing notices--concerned emissions
of other air pollutants. See 36 FR 5931 (March 31, 1971), 36 FR 24876
(December 23, 1971) (EGU Steam-Generating Boilers; (PM, SO2,
NOX); 42 FR 53657, 42 FR 53782 (October 3, 1977), (EGU
Combustion Turbines; SO2, NOX); 44 FR 49222
(August 21, 1979) (Crude Oil and Natural Gas Production; HC and
SO2). Thus, there is no indication that the EPA considered
GHG in listing the source categories.
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\69\ In the EGU CO2 NSPS rule, the EPA considered the
``air pollutants'' relevant for the SCF to be GHGs, but because
CO2 was the GHG emitted in the greatest quantity by EGUs,
the EPA often described that finding as referring to CO2.
80 FR 64531 and n.110; 64537.
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In both the EGU CO2 NSPS rule and the 2016 NSPS OOOOa
rule, the EPA asserted that CAA section 111 authorizes it to regulate a
source category's emissions of an air pollutant without a pollutant-
specific SCF as long as the EPA has a ``rational basis'' for doing so.
The EPA based this view on previous rulemakings, in which the EPA had
declined to promulgate NSPS for certain air pollutants from various
source categories on grounds that the amounts of emissions of those air
pollutants were so small that regulating them would not be rational,
and on D.C. Circuit caselaw.\70\ In the EGU CO2 NSPS rule
and the 2016 NSPS OOOOa rule, the EPA went on to determine that it did
have a rational basis for regulating CO2 and methane,
respectively, which consisted of assessing the amount of emissions of
the GHG from the source category in the light of various metrics,
coupled with the fact that the EPA had previously determined, in the
2009 Endangerment Finding, that six well-mixed gases constitute GHG air
pollution that may reasonably be anticipated to endanger public health
and welfare under section 202(a) of the CAA. ``Endangerment and Cause
or Contribute Findings for Greenhouse Gases Under Section 202(a) of the
Clean Air Act--Final rule,'' 74 FR 66496 (December 15, 2009) (2009
Endangerment Finding). It should be noted that in both the EGU
CO2 NSPS rule and the 2016 NSPS OOOOa rule, the EPA also
stated that, in the alternative, if it were required to make a
pollutant-specific SCF for GHG (with a focus on CO2 and
methane, respectively), it was making that finding, citing the same
information that it relied on for the rational basis determinations.
See 80 FR 64529-31 (EGU CO2 NSPS rule), 81 FR 35841-43 (2016
NSPS OOOOa rule) (both citing the 2009 Endangerment Finding).
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\70\ Specifically, in the 2016 NSPS OOOOa rule, the EPA stated
that in National Lime Assoc. v. EPA, 627 F.2d 416 (D.C. Cir. 1980),
the Court had ``discussed, but did not review, the EPA's reasons for
not promulgating standards for NOX, SO2, and
CO from lime plants.'' See 81 FR 35842; see also 80 FR 64530. The
discussion in National Lime Assoc. consisted of the Court's
observation, in setting forth the procedural history of the
rulemaking at issue, that ``[a]lthough lime plants were determined
to be sources of nitrogen oxides, carbon monoxide and sulfur dioxide
as well as particulates,'' standards ``were proposed and ultimately
promulgated only with respect to particulate matter.'' 627 F.2d at
426. In a footnote, the Court then quoted at length from a portion
of the preamble to the proposed NSPS in which the EPA had
``explained its decision not to propose standards'' for those three
pollutants. Id. at 426 n.27. The only place the phrase ``rational
basis'' appears in National Lime Assoc. is located in a passage in
which the Court rejects industry's claim that the EPA had erred in
its ``determination that lime manufacturing plants `may contribute
significantly to air pollution which causes or contributes to the
endangerment of public health or welfare.' '' Id. at 431 n.48. Said
the Court: ``We think the danger of particulate emissions' effect on
health has been sufficiently supported in the Agency's . . .
previous determinations to provide a rational basis for the
Administrator's finding in this case.'' Id. (emphases added).
``Moreover,'' the Court continued, ``whatever its impact on public
health, we cannot say that a dust `nuisance' has no impact on public
welfare.'' Id. (emphasis added).
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In this action, we solicit comment on whether the interpretation of
CAA section 111(b)(1)(A) that the EPA set forth in the 2016 NSPS OOOOa
rule is correct, or instead whether that provision should be
interpreted to require that the EPA make a SCF on a pollutant-specific
basis for a source category as a prerequisite for regulating emissions
of that pollutant from the
[[Page 50263]]
source category. The EPA also solicits comment on whether (1) either
its current interpretation or the alternative interpretation discussed
in this subsection is the only permissible interpretation of the SCF
provision, or (2) that provision is ambiguous and leaves room for the
exercise of policy discretion on the EPA's part as to which
circumstances call for a pollutant-specific SCF as a predicate for
regulating an additional pollutant emitted from an already-listed
source category, and, if the latter, whether GHG emissions in general
or methane emissions from the oil and natural gas sector in particular
present specific circumstances making a pollutant-specific SCF
appropriate or required for this source category. If the provision is
ambiguous, the benefits of assuring that only pollutants for which the
EPA makes a SCF become subject to NSPS, as opposed to pollutants that,
for example, may be emitted in relatively minor amounts, support
interpreting the provision to require a pollutant-specific SCF.
The provisions in CAA section 111(b)(1)(A) that require the
Administrator to ``include a category of sources in such list if in his
judgment it causes, or contributes significantly to, air pollution
which may reasonably be anticipated to endanger public health or
welfare,'' when read in isolation and when compared to analogous text
in other provisions of similar import elsewhere in the CAA, e.g.,
section 202(a)(1) and other provisions noted below, does appear to
contemplate that the EPA is required to make a SCF for the source
category only when it is first added to the list. This was the basis
for the EPA's position in the EGU CO2 NSPS rule and the 2016
NSPS OOOOa rule that the Agency is not required to make a pollutant-
specific SCF in order to regulate an additional pollutant from an
already-listed source category.
However, even if the wording of the SCF does suggest that the EPA
is required to make that finding only when listing a source category,
the EPA is mindful that an Agency ``[may] avoid a literal
interpretation at Chevron step one . . . [by] show[ing] either that, as
a matter of historical fact, Congress did not mean what it appears to
have said, or that, as a matter of logic and statutory structure, it
almost surely could not have meant it.'' Engine Mfrs. Ass'n v. EPA, 88
F.3d 1075, 1089 (D.C. Cir. 1996).\71\ We solicit comment on whether the
discussion below provides either reasons that Congress ``almost surely
could not have meant'' the SCF provision to mean what the EPA read it
to mean in the 2016 NSPS OOOOa rule, evidence that ``as a matter of
historical fact Congress did not mean'' that, or both--and, if so,
whether the EPA is required to, or whether it would be reasonable for
the EPA to, adopt an alternative interpretation of CAA section
111(b)(1)(A) under which the EPA is required to make a pollutant-
specific SCF in order to regulate a particular pollutant emitted by a
source category.
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\71\ See, e.g., Logan v. U.S., 552 U.S. 23, 36-37 (2007)
(``[s]tatutory terms, we have held, may be interpreted against their
literal meaning where the words `could not conceivably have been
intended to apply' to the case at hand [citation omitted]''; U.S. v.
Ron Pair Enterprises, 489 U.S. 235, 242 (1989) (literal meaning of a
statutory provision is not conclusive ``in the `rare cases [in
which] the literal application of a statute will produce a result
demonstrably at odds with the intentions of the drafters'. . . [in
which case] the intention of the drafters, rather than the strict
language, controls'' [citation omitted]); Watt v. Alaska, 451 U.S.
259, 266 (1981) (``[t]he circumstances of the enactment of
particular legislation may persuade a court that Congress did not
intend words of common meaning to have their literal effect'').
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There are several reasons why this approach to interpreting CAA
section 111(b)(1)(A) might be reasonable. The first is the potentially
anomalous results that could occur under the EPA's current
interpretation that CAA section 111(b)(1)(A) does not require a
pollutant-specific SCF. For example, under the EPA's current
interpretation, the EPA could list a source category on grounds that it
emits numerous air pollutants that, taken together, significantly
contribute to air pollution that may reasonably be anticipated to
endanger public health or welfare, and proceed to regulate each of
those pollutants, without ever finding that each (or any) of those air
pollutants by itself causes or contributes significantly to--or, in
terms of the text of other provisions, causes or contributes to--air
pollution that may reasonably be anticipated to endanger public health
or welfare. It is clear that CAA section 111(b) requires the EPA, and
CAA section 111(d) requires the states, to regulate on a pollutant-by-
pollutant basis--CAA section 111(b)(1)(B) and (d)(1) require the EPA
and the states, respectively, to promulgate for the affected sources
``standards of performance,'' which, as noted above, are defined in
relevant part as ``standard[s] for emissions of air pollutants''--as a
result, it seems potentially anomalous not to require that the EPA make
a SCF for those pollutants as a prerequisite for promulgating the
standards of performance.
Second, although the EPA's current interpretation that only a
``rational basis'' is needed to justify regulating emissions of an
additional pollutant from an already-listed source category offers some
protection against arbitrary or capricious decisions by the EPA, that
type of determination appears to be largely undefined. CAA section
111(b)(1)(A) does not provide or suggest any criteria to define it. In
the EGU CO2 NSPS and 2016 NSPS OOOOa rules, the EPA did not
describe any criteria for applying that approach, and in instances
before then in which the EPA has relied on the ``rational basis''
approach, the EPA has done so to justify not setting standards for a
given pollutant, rather than to justify setting a standard for a
pollutant. 80 FR 64530. The EPA solicits comment on whether it is
rational to interpret the SCF provision as setting a specific finding
that needs to be made only one time (at the stage of source category
listing), with the standard for the subsequent regulation of some other
pollutant emitted from that source category defaulting to rational
basis, a standard which applies to any action the EPA or, in fact, any
agency, takes, see 5 U.S.C. 706(2)(A) (under the Administrative
Procedure Act, agency decisions may be set aside if they are
``arbitrary, capricious, an abuse of discretion, or otherwise not in
accordance with law''), or whether instead Congress ``almost surely
could not have meant'' that.
Third, the other sections of the CAA, cited below, under which the
EPA makes an endangerment and cause or contribute finding as a
prerequisite for regulating emissions, do generally contemplate that
the cause or contribute finding will be made on a pollutant-specific
basis. The fact that Congress saw fit to frame the cause or contribute
requirement on a pollutant-specific basis for other CAA provisions
might reasonably be viewed as heightening the anomaly of interpreting
CAA section 111(b)(1)(A) not to impose the same requirement. The EPA
solicits comment on whether its current interpretation of the CAA
section 111 SCF provision, as set forth in the 2016 NSPS OOOOa rule,
correctly determined that this apparent anomaly is, in fact, a
deliberate and significant variation on Congress's part, or whether
instead Congress ``almost surely could not have meant'' that.
In addition, the legislative history of CAA section 111(b)(1)(A)
contains several items that might be read to indicate that Congress did
``as matter of historical fact'' intend to require that the EPA make a
pollutant-specific SCF as a prerequisite for regulating any particular
pollutant emitted by a source category.
[[Page 50264]]
Congress added CAA section 111 when it amended the CAA in 1970. At that
time, Congress drafted CAA section 111(b)(1) in much the same form as
it appears today, explicitly requiring the endangerment finding,
including the SCF, on the basis of the source category, although it
phrased the finding somewhat differently: ``[The Administrator] shall
include a category of sources in such list if he determines it may
contribute significantly to air pollution which causes or contributes
to the endangerment of public health or welfare.'' 42 U.S.C. 1857c-
6(b)(1)(A) (1970). At the same time, Congress added several other
provisions that contemplated that the EPA would make endangerment or
cause or contribute findings, and although Congress used somewhat
different phrasing in some of those provisions, in each one, Congress
framed the relevant finding on a pollutant-specific basis. See CAA
section 108(a)(1)(A)-(B), 42 U.S.C. 1857c-3(a)(1)(A)-(B) (1970)
(Administrator is required to publish a list ``which includes each air
pollutant which in his judgment has an adverse effect on public health
or welfare'' and ``the presence of which in the ambient air results
from numerous or diverse mobile or stationary sources''); \72\ CAA
section 115(a), 42 U.S.C. 1857d(a) (1970) (Administrator is authorized
to take action to address ``pollution of the air in any State or States
which endangers the health or welfare of any persons''); CAA section
202(a)(1), 42 U.S.C. 1857f-1(a)(1) (1970) (Administrator is required to
regulate ``the emission of any air pollutant from any class or classes
of new motor vehicles or new motor vehicle engines, which in his
judgment causes or contributes to, or is likely to cause or to
contribute to, air pollution which endangers the public health or
welfare''); \73\ CAA section 211(c)(1), 42 U.S.C. 1857f-6(c)(1) (1970)
(Administrator is authorized to regulate ``any fuel or fuel additive
for use in a motor vehicle or motor vehicle engine if any emission
products of such fuel or fuel additive will endanger the public health
or welfare''); CAA section 231(a)(2), 42 U.S.C. 1857f-9(a)(2) (1970)
(Administrator is required to regulate ``emissions of any air pollutant
from any class or classes of aircraft or aircraft engines which in his
judgment cause or contribute to or are likely to cause or contribute to
air pollution which endangers the public health or welfare'').
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\72\ This provision is similar to section 3(c)(2) of the CAA of
1963, Public Law 88-206 (December 17, 1963): Whenever [the Secretary
of the Department of Health, Education, and Welfare] determines that
there is a particular air pollution agent (or combination of
agents), present in the air in certain quantities, producing effects
harmful to the health or welfare of persons, the Secretary shall
compile and publish criteria reflecting accurately the latest
scientific knowledge useful in indicating the kind and extent of
such effects which may be expected from the presence of such air
pollution agent (or combination of agents) in the air in varying
quantities.
\73\ This provision is similar to section 202(a) of the CAA, as
adopted in the Motor Vehicle Air Pollution Control Act of 1965,
Pubic Law 89-271 (October 19, 1965): The Secretary shall by
regulation, giving appropriate consideration to technological
feasibility and economic costs, prescribe as soon as practicable
standards, applicable to the emission of any kind of substance, from
any class or classes of new motor vehicles or new motor vehicle
engines, which in his judgment cause or contribute to, or are likely
to cause or to contribute to, air pollution which endangers the
health or welfare of any persons. . . .
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In the 1970 CAA Amendments, Congress did not explain why it used
language in CAA section 111 that suggested a SCF for the source
category under CAA section 111 while using pollutant-specific language
in the other provisions, but the reason appears to be that under CAA
section 111, Congress tasked the EPA with determining, among the large
numbers of highly diverse stationary sources in the U.S., which ones,
grouped into which source categories, should be listed and subject to
regulation. It was logical for Congress to constrain the EPA's
discretion by requiring that the EPA make a SCF for each source
category that it sought to list. While it is true that in drafting CAA
section 111(b)(1)(A), Congress did not explicitly require the EPA to
make an additional, pollutant-specific SCF, it seems reasonable to
think that Congress may have intended pollutant-specific SCF findings
but conflated them with the required source-category SCF finding.
Support for this interpretation may be found in the fact that under CAA
section 111, a source category can cause or significantly contribute to
air pollution only through emissions of its air pollutants, CAA section
111(b)(1)(B) requires the EPA to promulgate ``standards of
performance'' for air pollutants, and CAA section 111(a)(1) defines a
``standard of performance'' as a ``standard of emissions for air
pollutants'' (emphasis added). The EPA solicits comment on whether
these provisions, read together with CAA section 111(b)(1)(A), are
evidence that Congress intended the latter to require what is required
in the other CAA provisions discussed here: A pollutant-specific
finding. Certainly, interpreting CAA section 111(b)(1)(A) to require
such a pollutant-specific finding would make it consistent with those
other CAA provisions.
In the 1977 CAA Amendments, Congress rephrased the text in each of
the above-noted provisions to read as they do at present, which is
generally the same phrasing as in CAA section 111(b)(1)(A) in relevant
part, except that for the other provisions, Congress did not require
the contribution component of the findings to be based on a
``significant'' contribution and, with the possible exception of CAA
section 202(a), discussed below, Congress continued to focus the cause
or contribute findings on air pollutants. The legislative history
generally describes Congress's purpose as providing, across all the
relevant provisions, and consistent with the D.C. Circuit's decision in
Ethyl Corp. v. EPA, 541 F.2d 1 (D.C. Cir.) (en banc), cert. den. 426
U.S. 941 (1976), a uniform standard of proof that allows the
Administrator to regulate pollutants based on the need to prevent harm
before it occurs, rather than require the Administrator to delay
regulating until after actual harm has been proven to have occurred.
H.R. Rep. No. 94-1175 at 32-33 (1976).
Importantly, the legislative history of the 1977 SCF provisions can
also be read as evidence that Congress understood at that time that the
EPA was to make a pollutant-specific SCF under CAA section 111. The SCF
provisions originated in the House bill, did not have a counterpart in
the Senate bill, and were adopted by the Conference Committee as they
appeared in the House bill. The Conference Report summarized the House
bill as follows, in relevant part:
House bill
Provides a uniform standard of proof for EPA regulation of air
pollutants which applies to the setting of . . . criteria for
national ambient air quality standards under Section 108; . . . new
stationary source performance standards under Section 111; . . . new
auto emission standards under Section 202; . . . regulations of
fuels and fuel additives under Section 211; aircraft emission
standards under Section 231.
In all future rulemaking in these areas, the Administrator could
regulate any air pollutant from those sources, the emissions of
which ``in his judgment cause or contribute to air pollution which
may reasonably be anticipated to endanger public health or
welfare.''
H.R. Rep. No. 95-564, at 183-84 (1977) (emphasis added). The emphasized
language may be evidence that Congress, in fact, intended to require
the EPA (or, indeed, understood that the EPA had always been required),
in promulgating a pollutant-specific NSPS under CAA section 111, to
make a pollutant-specific finding, as it does
[[Page 50265]]
under the other provisions mentioned in the Conference Report.
The House Committee Report included a similar statement in
describing one of its purposes for rephrasing the various endangerment
finding provisions: ``To provide the same standard of proof for
regulation of any air pollutant, whether that pollutant comes from
stationary or mobile sources, or both, and to make the vehicle and fuel
industries equally responsible for cleaning up vehicle exhaust
emissions.'' H.R. Rep. No. 94-1175, at 33 (1976) (emphasis added). The
emphasized phrase could suggest that the House Committee drafters
understood the SCF provision in CAA section 111(b)(1)(A) to concern the
particular air pollutant subject to regulation (i.e., the NSPS), like,
at least for the most part, the other analogous provisions.\74\
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\74\ It should be noted that in the 1970 and 1977 CAA
Amendments, Congress added or amended several other provisions that
included findings similar to the findings in CAA sections
108(a)(1)(A), 111(b)(1)(A), 115, 202(a), 211(c)(1), and
231(a)(2)(A). These provisions include the following, (as they read
after the 1977 CAA Amendments and before any changes in the 1990 CAA
Amendments): (1) CAA section 112 (added in 1970 CAA Amendments and
revised in 1977 CAA Amendments; ``hazardous air pollutant'' is
defined as, in relevant part, ``an air pollutant . . . which in the
judgment of the Administrator causes, or contributes to, air
pollution which may reasonably be anticipated to result in an
increase in mortality or an increase in serious irreversible, or
incapacitating reversible, illness;'' this definition was
substantially revised in 1990 CAA Amendments); and (2) CAA section
211(c)(1)(A) (added in 1970 CAA Amendments and revised in 1977 CAA
Amendments; the Administrator is authorized to regulate any fuel or
fuel additive ``if in the judgment of the Administrator any emission
product of such fuel or fuel additive causes, or contributes, to air
pollution which may reasonably be anticipated to endanger the public
health or welfare''). In addition, in the 1990 CAA Amendments,
Congress added several additional provisions that require findings
that bear some similarity to the findings discussed above. See (1)
CAA section 129(e) (Administrator or state is required to ``require
the owner or operator of any unit to comply with emission
limitations or implement any other measures, if the Administrator or
the state determines that emissions in the absence of such
limitations or measures may reasonably be anticipated to endanger
public health or the environment''); (2) CAA section 183(f)(1)(A)
(Administrator is required to promulgate standards for VOC and any
other air pollutant from loading and unloading of tank vessels
``which the Administrator finds causes, or contributes to, air
pollution that may be reasonably anticipated to endanger public
health or welfare''); (3) CAA section 213(a)(1)-(3) (Administrator
is required to (i) conduct a study to determine if emissions from
nonroad engines and nonroad vehicles ``cause, or significantly
contribute to, air pollution which may reasonably be anticipated to
endanger public health or welfare;'' (ii) determine whether
emissions of certain pollutants from new and existing nonroad
engines and vehicles ``are significant contributors to ozone or
carbon monoxide concentrations in more than 1 area which has failed
to attain the national ambient air quality standards (NAAQS) for
ozone or carbon monoxide;'' and if so, (iii) promulgate regulations
containing standards applicable to such emissions from those classes
or categories of new nonroad engines and new nonroad vehicles
``which in the Administrator's judgment cause, or contribute to,
such air pollution'') (CAA section 213(a)(4), which concerns
different pollutants than under CAA section 213(a)(2)-(3), has
requirements similar to the requirements of those provisions); (4)
CAA section 615 (Administrator is required to regulate ``[i]f, in
the Administrator's judgment, any substance, practice, process, or
activity may reasonably be anticipated to affect the stratosphere,
especially ozone in the stratosphere, and such effect may reasonably
be anticipated to endanger public health or welfare''). For the most
part, these provisions contemplate endangerment or cause or
contribute findings, or similar determinations, for a pollutant,
emissions, or substance, and for that reason, could support
interpreting CAA section 111(b)(1)(A) to require a pollutant-
specific SCF.
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Other provisions Congress added into CAA section 111 during the
1977 CAA Amendments might also shed light on the meaning of the SCF
provision. Congress was dissatisfied at what it perceived to be the
slow pace of the EPA's regulation under CAA section 111, and as a
result, added provisions (which have continued in effect) that required
the EPA to include on the list required under CAA section 111(b)(1)(A)
the categories of major stationary sources not already on the list, and
promulgate standards of performance for those categories on a specified
schedule. CAA section 111(f)(1). Congress further directed the EPA to
determine priorities for promulgating standards for the listed
categories by considering, among other things, ``the quantity of air
pollutant emissions which each such category will emit, or will be
designed to emit,'' and ``the extent to which each such pollutant may
reasonably be anticipated to endanger public health or welfare.'' CAA
section 111(f)(2)(A)-(B) (emphasis added).\75\ The emphasized text
could be interpreted to indicate that Congress recognized the EPA's
ability to consider, under CAA section 111, the impacts of specific
pollutants on public health or welfare. Further, the fact that the
emphasized text is phrased in terms of ``the extent to which each such
pollutant'' is determined by the EPA to ``endanger public health or
welfare,'' rather than simply ``whether each such pollutant may
reasonably be anticipated to endanger public health or welfare,'' might
be reasonably construed as indicating that Congress presupposed that,
in taking account of the ``air pollutant emissions which each such
category will emit, or will be designed to emit'' for the purpose of
prioritizing the establishment of standards of performance for sources
within each category, the EPA would only be establishing standards of
``air pollutant emissions'' that ``may reasonably be anticipated to
endanger.'' \76\
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\75\ In the 1990 CAA Amendments, Congress revised the provisions
of CAA section 111(f)(1) directing the EPA to promulgate standards
for listed categories and retained the provisions of CAA section
111(f)(2) for prioritizing.
\76\ It is perhaps significant, too, that Congress in CAA
section 111(f)(2) tied the finding of ``endangerment'' not to ``air
pollution'' that endangers, as is the case with respect to every
section of the CAA where the concept of ``cause or contribute to''
is employed but, rather, to ``each such pollutant.'' This particular
formulation is used nowhere else in the CAA and arguably suggests
that Congress had a pollutant-specific SCF in mind.
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CAA section 122(a), also added in the 1977 CAA Amendments (and
still in effect), could also shed light on the meaning of the SCF
provision of CAA section 111(b)(1)(A). Section 122(a) of the CAA
requires the Administrator ``to determine whether or not emissions of
radioactive pollutants . . ., cadmium, arsenic and polycyclic organic
matter into the ambient air will cause, or contribute to, air pollution
which may reasonably be anticipated to endanger public health.''
Further, ``[i]f the Administrator makes an affirmative determination
with respect to any such substance,'' the Administrator is required,
depending on the substance, to include it on the list published under
CAA section 108 or 112, ``or shall include each category of stationary
sources emitting such substance in significant amounts in the list
published under section 111(b)(1)(A). . . .'' CAA section 122(a)
(emphasis added). Here, too, the emphasized provisions could be
interpreted to indicate that Congress expected the EPA to make
pollutant-specific determinations under CAA section 111(b).
In addition, the EPA's interpretation of the cause or contribute
finding required under CAA section 202(a) could serve as a precedent
for interpreting CAA section 111(b)(1)(A) as requiring a pollutant-
specific SCF. CAA section 202(a)(1), as revised by the 1977 CAA
Amendments, provides, in relevant part: ``The Administrator shall by
regulation prescribe . . . standards applicable to the emission of any
air pollutant from any class or classes of new motor vehicles or new
motor vehicle engines, which in his judgment cause, or contribute to,
air pollution which may reasonably be anticipated to endanger public
health or welfare'') (emphasis added). 42 U.S.C. 7521(a)(1) (1977). The
emphasized term, ``cause, or contribute,'' is plural, which could
suggest that it refers to ``any class or classes of new motor vehicles
or new motor vehicle engines,'' and thereby contemplates that the cause
or contribute finding would be made based on the emissions, considered
all
[[Page 50266]]
together, from the source category, not on the basis of individual
pollutants. However, the EPA has interpreted this provision to instruct
the Administrator to make the cause or contribute finding on a
pollutant-specific basis. See 74 FR 66496, 66506 (2009 Endangerment
Finding). The EPA's interpretation of CAA section 202(a) to contemplate
a pollutant-specific finding could support the reasonableness of
interpreting CAA section 111(b)(1)(A) to contemplate the same thing.
In fact, it appears to be the case that the EPA in the past did so
interpret CAA section 111(b)(1)(A) to require a pollutant-specific SCF
as a prerequisite for regulating that pollutant. In the first guideline
document the EPA issued under CAA section 111(d) (i.e., for emissions
from existing phosphate fertilizer plants), the EPA summarized CAA
section 111(b)(1)(A) (as it read prior to revision in the 1977 CAA
Amendments) as follows:
The Administrator first considers potential health and welfare
effects of a designated pollutant in connection with the
establishment of standards of performance for new sources of that
pollutant under section 111(b) of the Act. Before such standards may
be established, the Administrator must find that the pollutant in
question ``may contribute significantly to air pollution which
causes or contributes to the endangerment of public health or
welfare'' [see section 111(b)(1)(A)]. Because this finding is, in
effect, a prerequisite to the same pollutant being identified as a
designated pollutant under section 111(d), all designated pollutants
will have been found to have potential adverse effects on public
health, public welfare, or both.
``Final Guideline Document: Control of Fluoride Emissions from Existing
Phosphate Fertilizer Plants,'' U.S. Environmental Protection Agency,
EPA-450/2-77-005 (March 1977) at 2-1 (emphasis added). The emphasized
statements reflect a straight-forward interpretation of CAA section
111(b) as requiring a pollutant-specific SCF as a pre-requisite to
promulgating an NSPS for that pollutant. This very same language
appears in each of the three guideline documents that the EPA
subsequently issued pursuant to CAA section 111(d).\77\ Although these
statements from the EPA stand in contrast to later EPA statements that
characterize CAA section 111(b) as requiring that the SCF be made on
the basis of the source category, they suggest uncertainty as to
whether CAA section 111(b)(1)(A) should not be read to require a SCF
for specific pollutants.\78\
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\77\ See ``Final Guideline Document: Control of Sulfuric Acid
Mist from Existing Sulfuric Acid Production Units,'' U.S.
Environmental Protection Agency, EPA-450/2-77-0019 (September 1977)
at 5-1; ``Control of TRS Emissions from Existing Mills,'' U.S. EPA,
EPA-450/2-78-003b (March 1979) at 2-1; ``Primary Aluminum:
Guidelines for Control of Flouride Emissions from Existing Primary
Aluminum Plants,'' U.S. EPA, EPA-450/2-78-049b (December 1979) at 2-
1. Similarly, in its rulemaking establishing the regulatory process
for emissions from existing sources under CAA section 111(d), which
preceded the development of these guideline documents, the EPA had
stated: [S]ection 111(d) requires control of existing sources of a
pollutant if a standard of performance is established for new
sources under section 111(b) and the pollutant is not controlled
under sections 108-110 or 112. In general, this means that control
under section 111(d) is appropriate when the pollutant may cause or
contribute to endangerment of public health or welfare but is not
known to be ``hazardous'' within the meaning of section 112 and is
not controlled under sections 108-110. . . .
``State Plans for the Control of Certain Pollutants from
Existing Facilities,'' 40 FR 53340 (November 17, 1975) (emphasis
added).
\78\ In another EPA document issued some 18 months after
promulgation of the first set of standards of performance (for five
source categories) in December 1971, the EPA provided a summary of
the second group of standards (for a further seven source
categories) for which rulemaking had then been initiated. In
providing at the outset of that document what it called a
``synopsis'' of CAA section 111, the EPA stated that the ``Section
provides that, for purposes of establishing such standards, the
Administrator may distinguish between types, sizes, and classes of
sources; and that standards can be established for any pollutant
that contributes to the endangerment of health and welfare.'' See
Group II New Source Performance Standards, EPA Doc. 450S7001
(January 1973) (emphasis added).
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In light of the considerations described above, the EPA solicits
comment on whether CAA section 111(b)(1)(A) should be interpreted to
require it to make a pollutant-specific SCF as a prerequisite for
promulgating an NSPS for that pollutant. CAA section 111(b)(1)(A)'s SCF
provision, when read in isolation, may appear to require a SCF for the
source category as a prerequisite for listing the source category.
However, should the EPA instead conclude that Congress could not have
intended that the EPA promulgate NSPS without a pollutant-specific SCF
in light of, among other considerations, (1) the fact that Congress
adopted at the same time and subsequently amended at the same time
similarly phrased CAA provisions that do contemplate a pollutant-
specific finding prior to regulation, (2) the inherent vagueness of the
rational basis approach, and (3) the indications in the legislative
history that Congress did intend that the EPA make a pollutant-specific
SCF under CAA section 111?
It should be noted that requiring a pollutant-specific SCF need not
result in duplicative SCFs (or duplicative associated endangerment
findings), that is, the EPA would not need to make separate SCFs (and
associated endangerment findings) for both the source category and each
pollutant emitted by the source category that the EPA seeks to
regulate. Rather, in beginning to regulate pollutants from a previously
unlisted source category, the EPA could identify any pollutant it seeks
to regulate and, if appropriate, make a SCF (and associated
endangerment finding) for that pollutant as emitted by that source
category. Such a SCF would serve as the ``cause[ ], or contribute[ ]
significantly to'' finding both for listing the source category and for
promulgating an NSPS for the pollutant.
The EPA recognizes it has proceeded under the implicit assumption
that CAA section 111(b)(1)(A) does not require a pollutant-specific SCF
through many NSPS rulemakings over a lengthy period. The EPA solicits
comment on what the implications would be to the CAA section 111
program, including the current NSPS and CAA section 111(d) guideline
documents and state plans, of interpreting CAA section 111(b)(1)(A) to
require a pollutant-specific SCF. In this regard, the EPA notes that,
for the most part, its past practice has been to list a source category
and to propose NSPS for pollutants from the source category at the same
time as, or shortly after the listing, and to finalize the NSPS shortly
after that. It seems evident that those NSPS concerned pollutants that
the EPA considered in listing the source category. The EPA solicits
comment on whether, under those circumstances, the EPA could be
considered to have made SCFs and endangerment findings for those
pollutants, so that it would not be necessary to make those findings
now. However, in some cases, the EPA promulgated NSPS for air
pollutants that the EPA did not address in listing the source category
or in the initial set of regulations promulgated at the same time, or
shortly after, the EPA listed the source category. For example, the EGU
CO2 NSPS and the 2016 NSPS OOOOa rules addressed GHG
pollutants that the EPA had not identified in the initial SCF it made
for those source categories or in the rulemakings promulgating the
initial NSPS for those source categories. The EPA solicits comment
specifically on whether the considerations noted above indicate that
CAA section 111(b)(1)(A) should be interpreted to require a pollutant-
specific SCF as a prerequisite for promulgating an NSPS for a pollutant
that the EPA did not identify when it made the initial source-category
SCF or promulgated the initial regulations for the source category. In
addition, the EPA solicits comment on whether, if CAA section
111(b)(1)(A) is interpreted to be ambiguous as to
[[Page 50267]]
whether it requires a pollutant-specific SCF, the EPA could decide that
it needs to make the SCF and associated endangerment findings for
pollutants that, like GHG, it did not address when it listed the source
category or shortly thereafter, but that it does not need to make those
findings for pollutants that it did address at that time. Furthermore,
the EPA solicits comment on whether, in light of the fact that CAA
section 111(b)(1)(A) explicitly phrases the requisite finding in terms
of ``causes, or contributes significantly to, air pollution [that meets
the endangerment criteria]'' (emphasis added), there is any basis for
interpreting the provision to require the EPA to make only a ``cause or
contribute'' finding, of the type required under, for example, CAA
section 202(a).
B. Significant Contribution Finding in 2016 NSPS OOOOa Rule
The EPA also solicits comment on whether, assuming it is required
to make a SCF for methane emissions from the Oil and Natural Gas source
category as a prerequisite to promulgating an NSPS for methane, the SCF
it made in the 2016 NSPS OOOOa rule was an appropriate methane-specific
finding.\79\ At the outset, it should be noted that that SCF concerned
emissions from the production, processing, transmission, and storage
segments of the oil and natural gas industry. 81 FR 35841-43. In this
proposed rulemaking, the EPA proposes to eliminate the transmission and
storage segment from the source category. Accordingly, the appropriate
SCF for methane from this source category would be limited to methane
emissions from production and processing sources. The EPA solicits
comment on whether the SCF in the 2016 NSPS OOOOa rule can be
considered appropriate in light of the fact that it was based on a
greater amount of emissions than are in the source category as proposed
in this rulemaking.
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\79\ As noted in section VI.A. above, in the 2016 NSPS OOOOa
rule, the air pollutant for which the EPA made the SCF was GHG, but
because methane constitutes most of the GHG emitted from the Oil and
Natural Gas source category, the EPA generally refers to methane as
the subject of the SCF.
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In addition, we solicit comment on the question whether the SCF in
the 2016 NSPS OOOOa rule can be considered appropriate given that
nowhere in the course of developing and promulgating that rule did the
EPA set forth the standard by which the ``significance'' of the
contribution of the methane emissions from the source category (as
revised) was to be assessed.\80\ Specifically, we ask for comment on
whether, as a matter of law, under CAA section 111, the EPA is
obligated to identify the standard by which it determines whether a
source category's emissions ``contribute significantly,'' and whether,
if not so obligated, the EPA nevertheless fails to engaged in reasoned
decision-making by not identifying that standard. Cf. Motor Vehicle
Mfrs. Assn. of United States, Inc. v. State Farm Mut. Automobile Ins.
Co., 463 U. S. 29, 43 (1983) (``Normally, an agency rule would be
arbitrary and capricious if the agency has . . . entirely failed to
consider an important aspect of the problem.'').
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\80\ In the 2016 NSPS OOOOa rule, the EPA averred that the
``collective GHG emissions from the oil and natural gas source
category are significant, whether the comparison is domestic . . .
global . . . , or when both the domestic and global GHG emissions
comparisons are viewed in combination,'' basing its position on data
showing that the source category accounts for 32 percent of United
States methane emissions, 3.4 percent of total United States GHG
emissions, and 0.5 percent of all global GHG emissions.'' See 81 FR
35840.
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C. Criteria for Making a Significant Contribution Finding Under CAA
Section 111
The EPA also solicits comments on the appropriate criteria for it
to use when determining whether a pollutant emitted from a source
category significantly contributes to air pollution which may
reasonably be anticipated to endanger in the context of CAA section
111. The EPA does not intend for these comments to inform the
finalization of this rule, but rather to inform the EPA's actions in
future rules. Furthermore, the EPA is not asking for comment on the
factors the Agency should consider in determining whether air pollution
may reasonably be anticipated to endanger public health or welfare, but
rather the factors that should be considered when determining under CAA
section 111 whether a pollutant from a source category significantly
contributes to that air pollution.
In subsection 1 of this section, the EPA discusses other contexts
under the CAA in which it has interpreted and applied similar language
to that governing the SCF determinations under CAA section
111(b)(1)(A). In subsection 2, the EPA identifies and solicits comment
on specific elements of criteria that might govern SCF determinations.
In subsection 3 of this section, the EPA provides background
information concerning methane and GHG emissions that may be relevant
for application of those criteria to those particular pollutants.
1. Legal Background for Selection of Criteria for Significant
Contribution Finding
The phrase ``contributes significantly'' and the included terms
``contributes'' and ``significantly'' are not defined in any provision
of the CAA or in EPA regulations. Accordingly, the EPA has substantial
discretion in interpreting these terms and should receive deference for
a reasonable interpretation of the provision. The U.S. Supreme Court,
in EPA v. EME Homer City Generation, L.P., 572 U.S. 489 (2014),
recognized that a similar provision in CAA section 110(a)(2)(D)(i),
often termed the ``good neighbor'' provision, is ambiguous and approved
the EPA's interpretation.\81\
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\81\ In an earlier case concerning the good neighbor provision,
the D.C. Circuit noted that the term ``significant'' is ambiguous
and may be subject to different meanings in different contexts.
Michigan v. EPA, 213 F.3d 663, 677 (D.C. Cir. 2000). The D.C.
Circuit has also observed that the term ``contribute'' is ambiguous.
Catawba County, N.C. v. EPA, 571 F3d 20, 38-39 (D.C. Cir. 2009).
There, the Court interpreted the requirement under CAA section
107(d) that the EPA designate an area nonattainment if it does not
meet the NAAQS or ``contributes to ambient air quality in a nearby
area that does not meet'' the NAAQS. The Court concluded that the
EPA has discretion in devising criteria or factors in determining
the amount of emissions that it considers ``contribute.''
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The good neighbor provision requires states to prohibit emissions
``in amounts which will contribute significantly to nonattainment'' of
the NAAQS in any other state. For regional pollutants like ozone and
fine PM, where downwind air quality problems are caused by the
collective contribution of numerous upwind sources across multiple
states, the EPA has considered a variety of factors when determining
whether sources in a particular state will ``contribute significantly''
under this statutory provision. The EPA has typically first used an air
quality threshold to identify upwind states that contribute to and are,
therefore, ``linked'' to a downwind air quality problem. See, e.g.,
Cross-State Air Pollution Rule (CSAPR), 76 FR 48208, 48236 (August 8,
2011) (upwind states with impacts in a downwind area that meet or
exceed 1 percent of the 1997 ozone, 1997 p.m. with a diameter of 2.5
micrometers or less (PM2.5), and 2006 PM2.5 NAAQS
are considered linked to downwind air quality problems); CSAPR Update,
81 FR 74504, 74518 (October 26, 2016) (applying threshold equivalent to
1 percent of the 2008 ozone NAAQS). The EPA has then used a multi-
factor test considering both cost and air-quality factors to determine
what portion of a linked state's contribution to an air quality
problem,
[[Page 50268]]
if any, is considered ``significant'' and, thus should be prohibited
under the good neighbor provision. See CSAPR, 76 FR 48248-249; CSAPR
Update, 81 FR 74519. In EME Homer City Generation, the Supreme Court
affirmed the EPA's approach of apportioning emission reduction
responsibility based on which states can eliminate emissions most cost-
effectively. 572 U.S. at 519 (explaining that ``[e]liminating those
amounts that can cost-effectively be reduced is an efficient and
equitable solution to the allocation problem the Good Neighbor
Provision compels the Agency to address.'').\82\
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\82\ The good neighbor provision also instructs states to
prohibit emissions which will ``interfere with maintenance'' of the
NAAQS in downwind states, and the Supreme Court affirmed that this
provision ``entails a delegation of administrative authority of the
same character as'' the ``contribute significantly'' clause. EME
Homer City Generation, 572 U.S. at 515 n.18. The EPA has, therefore,
used the same two-step approach to identifying and apportioning
emission reduction responsibility among upwind states linked to
downwind areas that struggle to maintain the NAAQS.
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The EPA has also considered the meaning of ``contributes
significantly'' as it appears in CAA section 189(e). This provision
requires that the control requirements applicable to major stationary
sources of PM with a diameter of 10 micrometers or less
(PM10) also apply to major stationary sources of
PM10 precursors, ``except where the Administrator determines
that such sources [of precursors] do not contribute significantly to
PM10 levels which exceed the standard in the area.''
Consistent with the D.C. Circuit's decision in NRDC v. EPA, 706 F.3d
428 (D.C. Cir. 2013), this provision also applies to the regulation of
sources of PM2.5 precursors in designated PM2.5
nonattainment areas.
The EPA has interpreted and applied CAA section 189(e) in its
recent PM2.5-state implementation plan (SIP) regulations,
``Fine Particulate Matter National Ambient Air Quality Standards: State
Implementation Plan Requirements; Final Rule,'' 81 FR 58010 (August 24,
2016) (PM2.5 SIP Requirements Rule); and provided additional
information in a recent draft guidance document. U.S. EPA, Office of
Air Quality Planning and Standards, ``PM2.5 Precursor
Demonstration Guidance,'' EPA-454/R-19-004 (May 2019) (PM2.5
Precursor Guidance). The EPA noted that, although the phrase
``contribute significantly'' and its included terms, ``contribute'' and
``significantly,'' are ambiguous, Congress has provided some direction
regarding the degree of contribution required by modifying the term
``contribute'' with the term ``significantly.'' This indicates that
Congress intended that, in order to be subject to regulation, the
emissions must have a greater impact than a simple contribution not
characterized as ``significant[ ].'' However, Congress did not quantify
how much greater. Therefore, the EPA developed criteria for identifying
whether the impact of a particular precursor would ``contribute
significantly'' to a NAAQS exceedance. Id. at 10-13. First, the EPA
identified concentration values, based on the amount of observed
variability of ambient air quality levels, which would be used to
determine whether a precursor ``contributes'' in a state's analysis.
The EPA specified numerical thresholds for the annual PM2.5
NAAQS (0.2 microgram per cubic meter ([micro]g/m\3\)) and 24-hour
PM2.5 NAAQS (1.5 [micro]g/m\3\), so that any impact less
than those amounts is considered insignificant. Id. at 17.
However, the EPA added that if the estimated air quality impact of
precursor emissions exceeds the applicable threshold, that does not
necessarily mean that the precursors' contribution to those levels is
``significant[ ].'' Rather, ``the significance of a precursor's
contribution is to be determined `based on the facts and circumstances
of the area.''' Id. at 18, (quotation is found in 40 CFR 51.1006(a)
(various provisions) (the PM2.5 SIP Requirements Rule). The
guidance goes on to list factors that may be relevant, including among
others, the amount by which a precursor's impact exceeds the
recommended contribution threshold, the sources of PM2.5,
trends in precursor emissions, and the extent of the PM2.5
air pollution problem in a particular area. PM2.5 Precursor
Guidance at 18.
In addition, we note that the EPA has previously made significance
determinations in the context of section 213 of the CAA, related to
certain stages of decisions regarding regulation of new nonroad engines
and vehicles. CAA section 213 is the only provision of the CAA, apart
from CAA section 111(b)(1), where Congress employed the modifier
``significantly'' in connection with language directing the
Administrator to determine if air pollutant emissions from new and
existing (in the case of emissions of CO, NOX, and VOCs)
nonroad engines and vehicles in the aggregate ``contribute'' to ``air
pollution which may reasonably be anticipated to endanger public health
or welfare,'' in CAA sections 213(a)(1), (2) and (4), before then
directing and authorizing the EPA to promulgate standards applicable to
classes and categories of just new nonroad engines and vehicles that
emit pollutants contributing (without employing a ``significance''
modifier) to such air pollution under CAA sections 213(a)(3) and (4).
When the EPA first undertook rulemaking as directed by CAA section 213,
it noted that ``[s]ection 213(a) . . . provides no guidance as to what
constitutes a `significant' contribution.'' See 58 FR 28811 (May 17,
1993). Thus, the EPA looked to ``the legislative history and the scope
of the [1990 CAA Amendments], the emission contribution of nonroad
engines and vehicles, and a comparison of nonroad emissions to
emissions from other regulated sources'' in proposing to find that
emissions from nonroad sources were indeed ``significant.'' Id.
In taking final action to promulgate the initial set of new nonroad
engine and vehicle standards, the EPA responded to commenters who had
``argued that EPA cannot make a significance determination without
first defining a standard upon which to base that determination.'' See
59 FR 31308 (June 17, 1994). The EPA did not disavow the need to
justify a finding that contributions were significant, but it did
object to the commenters' apparent assertion that a ``specific
numerical standard for significance must be determined prior to
considering whether nonroad emissions are significant.'' Id. (emphasis
added). The EPA noted that Congress in CAA section 213 ``gave EPA wide
discretion to determine whether the emissions of NOX, VOC,
and CO from nonroad engines and vehicles are significant contributors
to ozone or CO concentrations,'' and then pointed to the qualitative
assessment the EPA had made based on the criteria it had identified in
the proposed rule. Id.
Based on the reasoning of the caselaw described above and
consistent with the EPA's approach for similar CAA provisions, the EPA
believes that ``contributes significantly'' under CAA section
111(b)(1)(A) is ambiguous, but that Congress has made clear that in
order to be subject to regulation, the emissions must have a greater
impact than a simple contribution. It is within the Agency's discretion
to identify additional qualitative or quantitative criteria or
factors--ones that are related to the nature of the air pollutant, the
source category, and the air pollution problem at issue--to determine
whether a contribution is ``significant,'' as long as the Agency
provides a reasoned basis to justify using such additional criteria or
factors.\83\ The EPA solicits comment on whether the examples discussed
above, in which the EPA has construed
[[Page 50269]]
and applied statutory language similar to the term ``contributes
significantly'' in CAA section 111(b)(1)(A), \84\ suggest factors that
it may be appropriate for the EPA to consider when construing and
applying that term in the context of CAA section 111, including, but
not limited to, whether the consideration of cost-effectiveness in the
interstate transport context may suggest that the EPA should or has
discretion to consider whether CAA section 111(b) provides a cost-
effective basis to assess a source category's contribution to a
particular air-pollution problem as part of the EPA's determination
whether that source category significantly contributes to that air
pollution problem.
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\83\ See PM2.5 Precursor Guidance at 12.
\84\ In this solicitation of comment, the EPA is not soliciting
comment on, or re-opening, any aspect of the rulemakings that
contained those examples.
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2. Elements of Criteria for Significant Contribution Finding Under CAA
Section 111
First, the EPA solicits comment on what information the Agency
should consider when quantifying the emissions of the pollutant in
question from the source category. In section VI.C.3, we detail the
historical, current, and projected methane emissions from various
source categories. To what extent should the SCF rely primarily on the
most recent emission inventories, and to what extent should historical
trends and future projections inform the Administrator's finding? For
example, consider the case of minimal current day emissions, but
projections of rapid emission growth; or, conversely, substantial
current emissions, but projections of a rapid decline in emissions even
in the absence of new rulemakings. In turn, should the SCF evaluate the
significant contribution of new sources potentially subject to
regulation under CAA section 111(b) as well as existing sources
potentially subject to subsequent regulation under CAA section 111(d)?
\85\ Similarly, for a source category in which new sources are not
expected in the future, should the Administrator independently evaluate
significant contribution from existing sources? Finally, in the case of
the 2016 NSPS OOOOa rule, should the EPA consider only methane
emissions or also account for CO2 emissions and any other
GHG that may be emitted from the source category?
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\85\ To date, the EPA has evaluated the emissions from the
source category, which includes existing sources, in making the SCF
determination, and the D.C. Circuit has upheld that industry-wide
approach. See Nat'l Lime Ass'n v. EPA, 627 F.2d 416, 433 n.48 (D.C.
Cir. 1980); Nat'l Asphalt Pavement Ass'n v. Train, 539 F.2d 775,
779-82 (D.C. Cir. 1976).
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Second, the EPA is soliciting comment on the total universe of
emissions to which the emission of the pollutant in question from the
source category in question should be compared. If the source category
emits primarily a single gas (e.g., methane), should the emissions from
that source category be compared against methane emissions (see Table
7, column 3 of this preamble) or against all GHG emissions (see Table
7, column 4 of this preamble)? How should natural emissions be
considered in this comparison (see VI.C.3.a.i of this preamble)? Should
the comparison be to domestic emissions (see Table 7 of this preamble)
or to global emissions (see Table 8 of this preamble)? Or should
multiple comparisons be made, as in VI.C.3 of this preamble? In making
a SCF, should the Administrator evaluate the efficacy of regulation for
new and/or existing sources? The EPA also welcomes comment on
appropriate and well-vetted sources to use for domestic, global, and
natural emissions.
Third, the EPA is soliciting comment on whether the Administrator
should determine a threshold for significant contribution under CAA
section 111(b)(1)(A) (above which, the emissions of the pollutant from
the source category would be determined to significantly contribute,
and below which, they would not), and which factors the Administrator
should consider in determining that threshold. Is there a simple
percentage criterion that holds across pollutants and source categories
(i.e., a source category responsible for X percent of any pollutant is
deemed to ``significantly contribute'' to the air pollution caused by
that pollutant), or would it depend on, for example, the number of
source categories that emit that pollutant (and the relative emissions
from the source category whose emissions are the subject of the SCF
determination in question, as compared to emissions from those other
source categories); the nature of the pollutant; and/or the nature of
the air pollution to which that pollutant may contribute (i.e., should
the EPA address the question whether emissions of criteria and other
traditional air pollutants, which cause air pollution primarily due to
direct exposure, ambient regional concentration, and/or intermediate-
range transport, ``significantly contribute'' to air pollution in a
different manner than it should address the question whether emissions
of GHG ``significantly contribute'' to climate change)?
Finally, the EPA is soliciting comment on the implications of the
fact that methane in the atmosphere serves as a precursor to
tropospheric ozone, as noted in previous EPA rules (see 81 FR 35837).
Are there legal implications resulting from this contribution of
methane to a criteria pollutant? For example, as discussed above, the
EPA is proposing that the regulation of VOC from new sources under CAA
section 111(a) does not trigger the application of CAA section 111(d)
to existing sources in the same source category because VOC are a
precursor to tropospheric ozone.\86\ Does the fact that methane is also
a precursor to ozone indicate that regulation of methane from new
sources under CAA section 111(b) would not trigger the application of
CAA section 111(d) to existing sources in the same source category for
the same reason? If EPA is precluded from regulating existing sources
of a pollutant under CAA section 111(d), should that factor be
evaluated in a SCF? What considerations are relevant for pollutants
that contribute to multiple different kinds of pollution (methane as
both a GHG and an ozone precursor, CO2 as both a GHG and a
contributor to ocean acidification, NOX as a precursor to
both PM2.5 and ozone)? In this regard, the EPA notes that
the definition of ``air pollutant'' at CAA section 302(g) provides that
the term ``includes any precursors to the formation of any air
pollutant, to the extent the Administrator has identified such
precursor or precursors for the particular purpose for which the term
`air pollutant' is used.''
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\86\ It is worth noting that while EPA has excluded methane and
some related pollutants from the definition of VOC, methane is
chemically a VOC.
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The Agency welcomes comments on any and all aspects of these
questions.
3. Background Concerning Methane and GHG Emissions
a. Methane Emissions
i. Natural and anthropogenic emissions of methane. Methane is
emitted from a variety of natural and anthropogenic sources and
activities. Globally, it is estimated that around 60 percent of methane
emissions are from anthropogenic activities, and 40 percent are from
natural activities (Saunois et al., 2016). Anthropogenic sources
include natural gas and petroleum systems, enteric fermentation, solid
waste disposal, coal mining, and other sources. Natural sources include
wetlands, natural biomass burning, geologic seepage, termites, oceans,
and permafrost.
In a 2018 report, the National Academy of Sciences noted a number
of complex factors related to methane that
[[Page 50270]]
may be relevant to a pollutant-specific SCF for domestic oil and
natural gas production, processing, transmission, or storage:
Methane comes from numerous anthropogenic activities and natural
processes (Figure 1.3), and notably, there is no single dominant
source, but rather many significant sources. This configuration of
sources forces a broader view of emissions for this gas, as opposed
to many other significant GHGs whose anthropogenic sources tend to
be dominated by a single source type such as from the combustion of
fossil fuel.
The U.S. methane budget (emissions and removal processes) cannot
be considered in isolation from the global methane budget because
U.S. emissions account for only about one-tenth of global emissions.
Consequently, atmospheric methane abundance over the United States
is significantly influenced by sources located outside of the United
States, even though there may be large responses due to strong local
emissions. The atmospheric residence time for methane is about a
decade; hence emitted methane is redistributed globally, and methane
emissions from the United States influence global concentrations.
About 60 percent of total global methane emissions are thought
to be from anthropogenic sources and about 40 percent from natural
sources (Saunois et al., 2016). Anthropogenic sources encompass a
wide range of human activities, including food and energy production
and waste disposal. Livestock (through fermentation processes in
their digestive system that generate methane and manure management),
rice cultivation, landfills, and sewage account for 55-57 percent of
global anthropogenic emissions. Emissions from production of fossil
fuels, including petroleum, natural gas, and coal, are estimated to
account for 32-34 percent (Saunois et al., 2016), with the remainder
from biomass, biofuel burning, and minor industrial processes.\87\
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\87\ Improving Characterization of Anthropogenic Methane
Emissions in the United States (2018), https://www.nap.edu/read/24987/chapter/3#26.
Global atmospheric methane concentrations have increased by about
164 percent since 1750, from a pre-industrial value of about 700 parts
per billion (ppb) to 1,849 ppb in 2017 (National Oceanic and
Atmospheric Administration (NOAA)/Earth System Research Laboratory
(ESRL), 2018).
In section III.A.2.a, Table 2 presents total U.S. anthropogenic
methane emissions for the years 1990, 2008, and 2017. In the U.S., the
largest anthropogenic sources of methane are natural gas and petroleum
systems, enteric fermentation, and landfills. Methane emissions are 10
percent of total U.S. GHG emissions in CO2 equivelent.
Methane emissions have decreased by 15 percent since 1990, and by 7
percent since 2008. Table 3 above presents total methane emissions from
natural gas and petroleum systems, and the associated segments of the
sector, for years 1990, 2008, and 2017, in MMT CO2 Eq.
ii. Trends. As seen in Figure 1, methane emissions from the oil and
natural gas production, natural gas processing, and natural gas
transmission and storage segments together decreased by 2 percent
between 2008 and 2017. Methane emissions from the production and
processing segments together decreased by 3 percent over the same time
period, while methane emissions from transmission and storage increased
by 1 percent. These trends also took place during periods of
substantial increases in oil and natural gas production.
[GRAPHIC] [TIFF OMITTED] TP24SE19.000
Oil and natural gas production segment trends are impacted by
decreases in oil and natural gas exploration emissions (91 percent from
2008 to 2017), primarily due to decreases in hydraulically fractured
well completions without RECs and a decrease in the number of well
completions. Production emissions outside of the exploration
subcategory increased by 8 percent over the time frame, primarily due
to increased emissions from gathering and boosting stations. In the
processing segment, emissions increased by 9 percent over
[[Page 50271]]
the time period, due primarily to an increase in emissions from
compressor engine exhaust, caused by an increase in engine capacity per
plant. Over the same time frame, oil production increased 35 percent
and natural gas production increased 87 percent.
The increase in methane emissions in the transmission and storage
segment from 2008-2017 was driven by an increase in emissions from
compressor engine exhaust and station venting. Over the same time
frame, natural gas consumption increased by 16 percent.
iii. Projections. According to the latest Energy Information
Administration (EIA) Annual Energy Outlook report,\88\ from 2017 to
2050, dry natural gas and crude oil and lease condensate production
(which impact the production and processing segments emissions) are
projected to increase by 60 percent and 26 percent, respectively, while
natural gas consumption (which impacts transmission and storage
emissions) is projected to grow by 29 percent.
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\88\ https://www.eia.gov/outlooks/aeo/data/browser/#/?id=1-AEO2019&cases=ref2019&sourcekey=0. Reference scenario. Accessed
April 12, 2019.
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b. U.S. oil and natural gas production and natural gas processing
and transmission and storage GHG emissions relative to total U.S. GHG
emissions.\89\ Relying on data from the U.S. GHGI, we compared U.S.:
(1) Oil and natural gas production and natural gas processing and
transmission GHG emissions, (2) oil and natural gas processing GHG
emissions; and (3) transmission and storage GHG emissions to total U.S.
GHG emissions as an indication of the role these segments play in the
total domestic contribution to the air pollution that is causing
climate change. In 2017, total U.S. GHG emissions from all sources were
6,472 MMT CO2 Eq.
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\89\ The U.S. and global figures in this subsection refer to
anthropogenic emissions.
Table 7--Comparisons of U.S. Oil and Natural Gas Emissions to Total United States GHG Emissions
----------------------------------------------------------------------------------------------------------------
2017 CH4
emissions (MMT Share of total Share of total
CO2 eq) U.S. CH4 (%) U.S. GHG (%)
----------------------------------------------------------------------------------------------------------------
U.S. Oil & Gas Production and Natural Gas Processing & 190 29 3
Transmission and Storage..............................
U.S. Oil & Gas Production and Natural Gas Processing... 158 24 2
U.S. Gas Transmission and Storage...................... 32 5 1
----------------------------------------------------------------------------------------------------------------
Emissions from the Inventory of U.S. Greenhouse Gas Emissions and Sinks: 1990-2017 (published April 11, 2019),
calculated using methane (CH4) GWP of 25.
c. U.S. oil and natural gas production and natural gas processing
and transmission and storage GHG emissions relative to total global GHG
emissions. For additional background information and context, we used
2014 emissions data from the World Resources Institute (WRI) to make
comparisons between U.S. oil and natural gas production and natural gas
processing and transmission and storage (and subsets thereof) emissions
and the emissions inventories of entire countries and regions.
Table 8--Comparisons of United States Oil and Natural Gas Emissions to Total Global GHG Emissions
----------------------------------------------------------------------------------------------------------------
2014 CH4
emissions (MMT Share of global Share of global
CO2 eq) CH4 (%) GHG (%)
----------------------------------------------------------------------------------------------------------------
U.S. Oil & Gas Production and Natural Gas Processing & 194 2.1 0.4
Transmission and Storage..............................
U.S. Oil & Gas Production and Natural Gas Processing... 162 1.8 0.3
U.S. Gas Transmission and Storage...................... 32 0.4 0.1
----------------------------------------------------------------------------------------------------------------
Emissions from the Inventory of U.S. Greenhouse Gas Emissions and Sinks: 1990-2017 (published April 11, 2019),
calculated using CH4GWP of 25.
Note: Totals may not sum due to rounding.
Recent trends in global GHG emissions suggest that the proportion
of U.S. methane emissions, including emissions from oil and natural gas
production, processing, transmission, and storage, is likely to
represent a smaller share in the future.
VII. Implications for Regulation of Existing Sources
The EPA recognizes that by rescinding the applicability of the
NSPS, issued under CAA section 111(b), to methane emissions for the
sources in the Crude Oil and Natural Gas Production source category
that are currently covered by the NSPS, existing sources of the same
type in the source category will not be subject to regulation under CAA
section 111(d). The EPA discusses the implications of this and other
relevant issues below. In subsection A below, we explain our legal
interpretation of CAA section 111(d)(1) and propose that promulgating
an NSPS for VOC emissions from new sources in the Crude Oil and Natural
Gas Production source category under CAA section 111(b) does not
trigger the application of CAA section 111(d) existing sources in the
source category. In subsection B below, we explain why the lack of
regulation of existing sources under CAA section 111(d) will not mean a
substantial amount of lost emission reductions. That is because we
expect that many existing sources will retire or become subject to
regulation under CAA section 111(b) because they will undertake
modification or reconstruction. In addition, existing sources already
have market incentives to reduce methane emissions, participate in
voluntary programs to do so, and in many cases are subject to state
requirements to do so.
[[Page 50272]]
A. Existing Source Regulation Under CAA Section 111(d)
CAA section 111(d) authorizes the regulation of existing sources in
a source category for particular air pollutants to which a standard of
performance would apply if those existing sources were new sources. By
legal operation of the terms of CAA section 111(d), certain existing
sources in the Crude Oil and Natural Gas Production source category
will no longer be subject to regulation under CAA section 111(d) as a
result of this proposed rule. Under CAA section 111(d)(1)(A), CAA
section 111(d) applies only to air pollutants for which air quality
criteria have not been issued, which are not on the EPA's list of air
pollutants issued under CAA section 108(a) (generally, the list of air
pollutants subject to the NAAQS, and which are not HAP emitted from a
source category regulated under CAA section 112. See 42 U.S.C.
7411(d)(1)(A) (CAA section 111(d) applies to ``any air pollutant (i)
for which air quality criteria have not been issued or which is not
included on a list published under section 7408(a) of this title or
emitted from a source category which is regulated under section 7412 of
this title''). As noted above, sources in the Crude Oil and Natural Gas
Production source category emit VOC, methane, and HAP. The CAA section
112 exclusion in CAA section 111(d)(1)(A) eliminates HAP from the type
of air pollutant that, if subjected to a standard of performance for
new sources, would trigger the application of CAA section 111(d). In
addition, as discussed below, the EPA proposes that VOC do not qualify
as the type of air pollutant that, if subjected to a standard of
performance for new sources, would trigger the application of CAA
section 111(d). On the other hand, the EPA has, to date, assumed that
methane, if subjected to a standard of performance for new sources,
would trigger the application of CAA section 111(d). Accordingly, given
this assumption, the EPA recognizes that rescinding the applicability
of the NSPS to methane emissions for the sources in the Crude Oil and
Natural Gas Production source category that are currently covered by
the NSPS will mean that existing sources of the same type in the source
category will not be subject to regulation under CAA section 111(d).
This is a legal consequence that results from the application of the
CAA section 111 requirements.
Further, VOC do not qualify as the type of air pollutant that, if
subjected to a standard of performance for new sources, would trigger
the application of CAA section 111(d). As noted above, the pollutants
excluded from regulation under CAA section 111(d) include pollutants
which have been included on the EPA's CAA section 108(a) list. VOC are
not expressly listed on the EPA's section CAA section 108(a) list, but
they are precursors to ozone and PM, both of which are listed CAA
section 108(a) pollutants. The definition of ``air pollutant'' in CAA
section 302(g) expressly provides that the term ``air pollutant''
includes precursors to the formation of an air pollutant ``to the
extent that the Administrator has identified such precursor or
precursors for the particular purpose for which the term `air
pollutant' is used.'' Based on this ``particular purpose'' phrasing, it
is appropriate to identify VOC as a listed CAA section 108(a) pollutant
for the particular purpose of applying the CAA section 108(a) exclusion
in CAA section 111(d) for the following reasons: first, VOC are
regulated under the CAA's NAAQS/SIP program as a result of the listing
of ozone and PM on the CAA section 108(a) list, because VOC are
precursors to those two listed pollutants. Indeed, ozone levels in the
ambient air are the result of photochemical reactions of precursors
(VOC and NOX), as opposed to being directly emitted from sources.
Accordingly, the statutory provisions directed at attaining the NAAQS
for ozone explicitly direct the control of VOC and emissions controls
that result from the listing of ozone under CAA section 108(a) apply to
the precursors of ozone, such a VOC. See, e.g., CAA sections 182(b)(1),
182(b)(2), 182(c)(2)(B). Similarly, the EPA has recognized that ``[i]n
most areas of the country, PM2.5 precursors are major
contributors to ambient PM2.5 concentrations.'' 73 FR 28321,
28325/2 (May 16, 2008). In such areas of the country, VOC are, thus,
controlled for purposes of reducing ambient PM2.5
concentrations. See, e.g., U.S. EPA, Office of Air Quality Planing and
Standards, ``Guidance on Significant Impact Levels for Ozone and Fine
Particles in the Prevention of Significant Deterioration Permitting
Program,'' April 17, 2018.
Second, excluding VOC from regulation under CAA section 111(d)
makes sense within the CAA's three-part structure for addressing
emissions from stationary sources. As the EPA has discussed in past
rulemakings, the CAA--sets out a comprehensive scheme for air pollution
control, addressing three general categories of pollutants emitted from
stationary sources: (1) Criteria pollutants (which are addressed in CAA
sections 108-110); (2) hazardous pollutants (which are addressed under
CAA section 112); and (3) ``pollutants that are (or may be) harmful to
public health or welfare but are not or cannot be controlled under
sections 108-110 or 112.'' ``Carbon Pollution Emission Guidelines for
Existing Stationary Sources: Electric Utility Generating Units: Final
Rule,'' 80 FR 64661, 64711 (October 23, 2015) (quoting 40 FR 53340
(November 17, 1975)). Within this three-part structure, CAA section
111(d) is properly understood as a ``gap-filling'' measure to address
pollutants that are not addressed under either the NAAQS/SIP provisions
in CAA sections 108-110 or the HAP provisions in CAA section 112.
Because VOC are regulated as precursors to ozone and PM2.5
under CAA sections 108-110, they are properly excluded from regulation
under CAA section 111(d) because the ``gap-filling'' function of CAA
section 111(d) is not needed.
Third, reading the phrase ``included on a list published under [CAA
section 108(a)]'' as including precursors is consistent with the
provision in CAA section 112(b)(2) that restricts what pollutants may
be listed as CAA section 112 HAP. CAA section 112(b)(2) provides, in
pertinent part:
No air pollutant which is listed under section 7408(a) of this
title may be added to the list under this section, except that the
prohibition of this sentence shall not apply to any pollutant which
independently meets the listing criteria of this paragraph and is a
precursor to a pollutant which is listed under section 7408(a) of
this title or to any pollutant which is in a class of pollutants
listed under such section.
The ``except'' phrasing of this sentence suggests that air pollutants
which are ``listed under section 7408(a)'' can be read to include
precursors to the pollutant that is listed under CAA section 108(a).
Otherwise, pollutants that are described in the second part of the
sentence (pollutants that meet the listing criteria and are precursors
to a CAA section 108(a) pollutant) would not be an exception to the
prohibition in the first part of the sentence.
Finally, the fact that precursors are not always treated as CAA
section 108(a) listed pollutants under all contexts across the CAA does
not undermine the conclusion that they should be excluded under the CAA
section 108(a) exclusion in CAA section 111(d). As the CAA section
302(g) definition expressly states, the scope of ``air pollutant'' is
considered based on the ``particular purpose'' for which the term ``air
pollutant'' is used. The EPA
[[Page 50273]]
has long recognized that the ``particular purpose'' clause in CAA
section 302(g) ``indicates that the Administrator has discretion to
identify which pollutants should be classified as precursors for
particular regulatory purposes.'' 73 FR 28326/1 (May 16, 2008) (``Thus,
we do not necessarily construe the Act to require that the EPA identify
a particular precursor as an air pollutant for all regulatory purposes
where it can be demonstrated that various programs under the Act
address different aspects of the air pollutant problem. Likewise, we do
not interpret the Act to require that the EPA treat all precursors of a
particular pollutant the same under any one program when there is a
basis to distinguish between such precursors within that program.'').
B. Limited Impact of Lack of Regulation of Existing Oil and Gas Sources
Under CAA Section 111(d)
In this subsection, we explain the several reasons why the lack of
regulation of existing sources under CAA section 111(d) will have
limited environment impact.
1. Potential Applicability of 40 CFR Part 60, Subpart OOOOa to Current
Existing Sources
The EPA notes that the 2016 NSPS OOOOa rule includes a definition
and approach to determining new source applicability that is very
broad, and in the specific context of the oil and natural gas
production industry, can be anticipated to result in wide applicability
of the NSPS to existing sources due to the frequency with which such
sources can be reasonably expected to engage in ``modification''
activity. One consequence is the expected reduction of methane
emissions from existing sources notwithstanding the proposed
alternative actions set forth here. Further, the EPA believes that it
is reasonable to expect that the number of existing sources may decline
over time due to obsolescence or to shut down and removal actions,
which would mitigate the environmental impacts of lack of direct
existing source regulation under CAA section 111(d), and as noted
below, the EPA is soliciting comment to determine the rate at which
this decline can be expected to occur.
The EPA is in the process of examining the rate of turnover of
existing facilities, including the rate at which existing facilities
are replaced with new facilities, are modified, or shut down. The EPA
has reviewed indirect turnover information from three different
sources. First, the EPA assessed the GHGI to identify the activity
counts for pneumatic controllers, compressors, tank throughput, and
well completions.\90\ Second, the EPA reviewed activity counts from
DrillingInfo for well completions.\91\ Third, the EPA reviewed a number
of compliance reports for the approximate first reported compliance
year since the promulgation of the 2016 NSPS OOOOa rule. The EPA
determined that the available information may be indicative of trends
for some sources whereas, for other sources, no conclusions can yet be
drawn. The following section presents the information available to the
EPA from which it appears possible to identify trends. We solicit
information and data to help evaluate the rate at which existing
sources decline over time, through modification, obsolescence,
shutdown, replacement to new source status or otherwise. Specifically,
we are requesting information regarding affected facility useful life
in hours or years (i.e., expected years of operation before
replacement) and affected facilities that commenced new construction,
modification, or reconstruction over a time period (e.g., 2016, 2017,
and 2018). The following paragraphs present the information currently
available to the EPA by source.
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\90\ The GHGI includes national estimates of various types of
activity data, some of which correspond approximately to the 2016
NSPS OOOOa facility categories. The EPA looked at the change in
facilities between 2011 and 2017 in order to isolate the effect of
the 2012 NSPS OOOO rule to understand turnover of affected
facilities. The EPA recognizes uncertainty in this use of data from
the GHGI and the EPA will need additional information to assess the
identified data gaps for purposes of identifying trends.
\91\ The DrillingInfo database includes information on oil and
natural gas wells, production, well completions, and associated
data. This is relevant to potential turnover for purposes of well
completion and fugitive emissions requirements. DrillingInfo records
show the extent to which currently producing wells have had a
completion in recent years, or the ratio of completions to total
producing wells. The EPA recognizes uncertainty in data from this
source and will need additional information to assess the identified
data gaps for purposes of identifying trends.
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a. Pneumatic controllers. The count of high-bleed pneumatic
controllers in the oil and natural gas production segment declined 74
percent from 2011 to 2017. The count of low-bleed pneumatic controllers
also declined (by 41 percent), while intermittent-bleed increased (by
52 percent). Over the same period, the overall count of pneumatic
controllers in this segment decreased by 3 percent. This indicates that
high-bleed and low-bleed controllers have been replaced by intermittent
bleed controllers. The rapid pace at which high- and low-bleed
controllers declined while intermittent-bleed controllers increased
suggests that pneumatic controllers had a high rate of turnover or were
replaced before the end of their useful life. This data shows a
relatively small number of remaining existing high-bleed pneumatic
controllers relative to a few years ago. The EPA solicits data and
information on the turnover rate of pneumatic controllers.
b. Compressors. The count of wet seal centrifugal compressors at
processing plants was 343 in both 2011 and 2017.\92\ The EPA expects
the dry seal control option to be the most common control strategy due
to its low cost. For comparison, the number of dry seal compressors at
processing plants changed from 281 to 339 (or 21 percent), an increase
of 58. At the same time the number of processing plants increased by
61. The EPA solicits data and information on the turnover rate of wet
seal centrifugal compressors.
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\92\ New or modified wet seal centrifugal compressors are
subject to control requirement under NSPS OOOO and OOOOa while dry
seal centrifugal compressors are not.
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c. Storage vessels. Natural gas production throughput at large
condensate storage vessels without controls decreased by 33 percent
from 2011 to 2017. The growth is slower than the growth in natural gas
production throughput of all other types of condensate storage vessels
(large tanks with flares and vapor recovery units (VRU), and small
tanks with and without flares), which was 41 percent. Oil production
throughput at large storage vessels without controls increased by 18
percent from 2011 to 2017. The growth is slower than the growth in oil
production throughput of all other types of storage vessels (large
tanks with flares and VRUs, and small tanks with and without flares),
which was 92 percent. In general, if many existing storage vessels were
being replaced, becoming subject to 2016 NSPS OOOOa and then installing
controls, we may expect production throughput at large uncontrolled
storage tanks to decline, with corresponding increases at controlled
tanks. The EPA solicits data and information on storage vessel
production throughput and the turnover rate of affected facilities.
d. Well completions. Based on the GHGI, the ratio of natural gas
well completions to total producing natural gas wells from 2011 to 2017
has decreased, from 2.4 to 1.1 percent. The ratio of oil well
completions to total producing oil wells has remained at approximately
3 percent from 2011 to 2017. If wells had a relatively short
[[Page 50274]]
production lifetime, we would expect a high ratio of completions to
total producing wells. The 2 percent ratio indicates that a relatively
small number of wells are completed each year. Based on a preliminary
analysis of the DrillingInfo database, approximately one-third of total
producing oil and gas wells in 2014 had a completion in the prior 10
years, while two-thirds of producing oil and gas wells had no
completion records for at least 10 years. If the EPA assumes that
future completion activity follows these trends, then after 2016 NSPS
OOOOa well site fugitive requirements have been in place for 10 years
(2016 through 2025), we might expect completions at about one-third of
wells (from the perspective of having had a completion after the
effective date of the 2016 NSPS OOOOa). The EPA solicits data and
information regarding the proportion of wells that have undergone a
completion during a shorter time period (e.g., less than 10 years) and
that would imply that most well sites are subject to 2016 NSPS OOOOa.
The EPA solicits comment on how we should characterize wells sharing
well sites (e.g., if only half of wells have had a recent completion,
it would be possible for half the wells to not be subject to 2016 NSPS
OOOOa, or potentially all wells could be subject to 2016 NSPS OOOOa, if
wells without a recent completion always share a well site with newer
wells).
e. Compliance reports. The EPA reviewed all NSPS OOOOa compliance
reports that had been submitted to the Agency through November 21,
2017, in order to identify information to use to develop a rate at
which existing facilities become new or modified.\93\ Information in
these compliance reports indicates the number of various types of
facilities subject to the NSPS during the given time range. The reports
included 2,991 well sites, encompassing 697 storage vessels, five
pneumatic controllers, 663 pneumatic pumps, and 2,091 instances of
fugitive emissions monitoring. 130 compressor stations were included in
the reports, encompassing 148 reciprocating compressors and 94
instances of fugitive emissions monitoring. In addition, 38 natural gas
processing plants were included, encompassing one pneumatic controller
and 32 reciprocating compressors. The reports included both new and
existing facilities, which we can disaggregate in part by subtracting
our previous estimates of the number of ``new'' facilities from these
counts which include both new and modified. A high rate of turnover
(e.g., a high rate of facilities performing modification(s) which
caused them to become subject to the 2016 NSPS OOOOa) would imply that
a large number of facilities should be submitting compliance reports.
Thus, the general proportions of the number of facilities in the
compliance reports versus the total population indicates how quickly
facilities became subject to the NSPS during this period. Due to
various uncertainties, we are unable to develop a rate at which
existing sources become subject to the NSPS OOOOa. The EPA solicits
comment on ways to use this information to predict turnover trends.
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\93\ These reports have since been made available for public
viewing at https://www.foiaonline.gov/foiaonline/action/public/submissionDetails?trackingNumber=EPA-HQ-2018-001886&type=request.
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The EPA has also considered multiple factors unrelated to federal
regulatory requirements that achieve methane emissions reductions.
First, market incentives exist for the oil and natural gas industry to
capture as much of its primary product as is cost effective, and that
capture reduces methane emissions. Second, firms in the oil and natural
gas industry participate in several voluntary programs to reduce
emissions. Third, many of the top oil and natural gas-producing states
have developed or are developing regulations that require emissions
reductions. We believe these factors also should be considered for the
universe of existing facilities and that they point away from any need
to regulate existing sources under CAA section 111(d). The EPA presents
below background information and data on each of these factors.
2. Market Incentives
As methane is the primary constituent of natural gas, an important
commodity, operators have market incentives to reduce emissions and the
loss of valuable product to the atmosphere. Absent regulation, the
incentive to maximize the capture of natural gas is the market price
obtained by the operator producing the natural gas. Assuming
financially rational-acting producers, standard economic theory
suggests that oil and natural gas operators will incorporate all cost-
effective production improvements of which they are aware without
government intervention. Depending on the future trajectories of
natural gas prices and the costs of natural gas capture, these market
incentives speak to the question of whether, even in the absence of
specific regulatory requirements applicable to methane emissions from
existing sources, meaningful emission decreases can nevertheless be
projected to occur.
As shown in Figure 2 below, as technology, expertise,
infrastructure, and regulation in the oil and natural gas industry has
improved, less natural gas has been lost to unproductive uses such as
venting and flaring. Figure 2 shows how the gross withdrawals \94\ of
natural gas has generally increased in the U.S. over the past 80 years
while the fraction of this withdrawn natural gas lost to venting and
flaring has generally been decreasing over the same time frame.
---------------------------------------------------------------------------
\94\ U.S. EIA defines gross withdrawals of natural gas as
``[f]ull well-stream volume, including all-natural gas plant liquids
and all nonhydrocarbon gases, but excluding lease condensate. Also
includes amounts delivered as royalty payments or consumed in field
operations.'' Available at: https://www.eia.gov/dnav/ng/TblDefs/ng_sum_sndm_tbldef2.asp. Accessed October 30, 2018.
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[[Page 50275]]
[GRAPHIC] [TIFF OMITTED] TP24SE19.001
In 2004, the Government Accountability Office (GAO) noted that the
venting and flaring data collected by the U.S. EIA was limited in
several ways, including that the data is voluntarily and inconsistently
reported.\96\ With that caveat in mind, while this figure does not
depict a precise relationship between natural gas production and
methane emissions, the figure highlights the point that the productive
inefficiency of losing natural gas to venting and flaring has been
reduced greatly over this long period of time, likely the product of
operators learning to improve returns on costly drilling and production
investments by capturing more of the product coming out of the ground,
as well as to improve the health, safety, and environmental performance
of their operations.
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\95\ U.S. EIA data on natural gas gross withdrawals available
at: https://www.eia.gov/dnav/ng/ng_prod_sum_a_EPG0_FGW_mmcf_a.htm.
Accessed October 30, 2018. U.S. EIA data on vented and flared
natural gas available at: https://www.eia.gov/dnav/ng/ng_prod_sum_a_EPG0_VGV_mmcf_a.htm. Accessed October 30, 2018.
\96\ Available at: https://www.gao.gov/assets/250/243433.pdf.
Accessed October 30, 2018.
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Regarding the relationship of methane emissions and natural gas
production, while overall natural gas gross withdrawals have increased
about 50 percent from 1990 to 2016, aggregate methane emissions from
the NSPS OOOOa-relevant industry segments have stayed relatively flat
(Figure 3). This trend indicates decreasing aggregate methane emissions
intensity for these segments over this period (Figure 3).
[[Page 50276]]
[GRAPHIC] [TIFF OMITTED] TP24SE19.002
The EPA solicits comment on whether sufficient market incentives
exist to offset the costs of emissions capture such that total methane
emissions will trend downward under these incentives.
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\97\ Methane emissions from Table 3.5-2 (Petroleum Systems) and
Table 3.6-1 (Natural Gas Systems) in U.S. EPA. 2018. Inventory of
U.S. Greenhouse Gas Emissions and Sinks: 1990-2016. EPA 430-R-18-
003. Available at: https://www.epa.gov/ghgemissions/inventory-us-greenhouse-gas-emissions-and-sinks-1990-2016. Accessed October 31,
2018. U.S. EIA data on natural gas gross withdrawals available at:
https://www.eia.gov/dnav/ng/ng_prod_sum_a_EPG0_FGW_mmcf_a.htm.
Accessed October 31, 2018.
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3. Voluntary Programs
Separate from regulatory requirements, owners and operators of
facilities in the oil and natural gas industry participate in voluntary
programs that reduce their methane emissions. Specifically, many owners
and operators of facilities participate in the EPA partnership programs
Natural Gas STAR Program and the Methane Challenge Program. Owners and
operators also participate in voluntary programs unaffiliated with the
EPA voluntary programs, such as the Environmental Partnership \98\ and
the Climate and Clean Air Coalition (CCAC) Oil & Gas Methane
Partnership. Firms might participate in voluntary environmental
programs for a variety of reasons, including attracting customers,
employees, and investors who value more environmental-responsible goods
and services; finding approaches to improve efficiency and reduce
costs; and reducing pressures for potential new regulations or helping
shape future regulations.99 100
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\98\ https://theenvironmentalpartnership.org/.
\99\ Borck, J.C. and C. Coglianese (2009). ``Voluntary
Environmental Programs: Assessing Their Effectiveness.'' Annual
Review of Environment and Resources 34(1): 305-324.
\100\ Brouhle, K., C. Griffiths, and A. Wolverton. (2009).
``Evaluating the role of EPA policy levers: An examination of a
voluntary program and regulatory threat in the metal-finishing
industry.'' Journal of Environmental Economics and Management.
57(2): 166-181.
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The Natural Gas STAR Program started in 1993 and seeks to achieve
methane emission reductions through cost-effective best practices and
technologies. Partner companies document their voluntary emission
reduction activities and report their accomplishments to the EPA
annually. Natural Gas STAR includes over 100 partners across the
natural gas value chain and has eliminated nearly 1.39 trillion cubic
feet of methane emissions since 1993.
The Methane Challenge Program, started in 2016 and designed for
companies that want to adopt more ambitious actions for methane
reductions, expands the Natural Gas STAR Program through specific,
ambitious commitments; transparent reporting; and company-level
recognition of commitments and progress. This program includes more
than 50 companies from all segments of the industry--production,
gathering and boosting, transmission and storage, and distribution.
The Environmental Partnership is comprised of various companies of
different sizes and includes commitments to replace all high-bleed
pneumatic controllers with low-bleed controllers (i.e., controllers
with a bleed rate less than 6 standard cubic feet per hour) within 5
years, require operators to be on-site or nearby when conducting
liquids unloading and require initial monitoring for fugitive emissions
at all sites within 5 years, with repairs completed within 60 days of
fugitive emissions detection.
The CCAC Oil and Gas Methane Partnership is a technical partnership
between oil and natural gas companies, the Environmental Defense Fund,
the EPA Natural Gas STAR Program, and the Global Methane Initiative
that provides technical documents on a wide variety of opportunities
for reducing methane emissions and requires annual progress reports
from its participants. Yearly data on the progress being made by
participants is available on the CCAC website.\101\
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\101\ https://ccacoalition.org/en/content/oil-and-gas-methane-partnership-reporting.
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While the GHGI already accounts for these voluntary reductions, the
adoption of control technologies and emission reduction practices of
participating companies reporting to the EPA's programs, the EPA
understands it takes time for newly launched voluntary efforts to
demonstrate reductions. The
[[Page 50277]]
EPA also understands that not all sources participate in voluntary
programs, although participation may increase over time. The EPA
solicits data and information that the EPA can use to evaluate the
aggregate present impact and potential future impact of oil and natural
gas industry participation in voluntary programs.
4. State Regulatory Programs
Several major oil and natural gas producing states have established
regulations on oil and natural gas sector emissions. These states
include California (CA), Colorado (CO), Montana (MT), New Mexico (NM),
North Dakota (ND), Ohio (OH), Pennsylvania (PA), Texas (TX), Utah (UT),
and Wyoming (WY).\102\ In 2018 within the U.S., these states
contributed about 71 percent of crude oil production \103\ and 69
percent of natural gas production.\104\ A comparison of sources covered
by state rules, regulated pollutants, and the regulatory status of the
transmission and storage segment, is presented in Table 9.
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\102\ This list does not differentiate which states are covering
existing and/or new sources. We note that states may define existing
and new sources differently than the EPA.
\103\ https://www.eia.gov/state/rankings/#/series/46.
\104\ https://www.eia.gov/state/rankings/#/series/47.
Table 9--Comparison of State Oil and Natural Gas Regulations
--------------------------------------------------------------------------------------------------------------------------------------------------------
CA CO MT ND NM OH PA TX UT WY
--------------------------------------------------------------------------------------------------------------------------------------------------------
Source
--------------------------------------------------------------------------------------------------------------------------------------------------------
Storage Vessels................ Yes........ Yes....... Yes....... Yes....... Yes....... Yes....... Yes....... Yes....... Yes....... Yes.
Reciprocating Compressors...... Yes........ Yes....... No........ No........ No........ Yes....... Yes....... No........ No........ No.
Centrifugal Compressors........ Yes........ Yes....... No........ No........ No........ Yes....... Yes....... No........ No........ No.
Pneumatic Controllers.......... Yes........ Yes....... No........ No........ No........ Yes....... Yes....... No........ Yes....... Yes.
Pneumatic Pumps................ Yes........ Yes....... No........ No........ No........ Yes....... Yes....... No........ No........ Yes.
Equipment Leaks at Natural Gas Yes........ Yes....... No........ No........ No........ No........ Yes....... Yes....... No........ No.
Processing Plants.
Fugitive Emissions at Well Yes........ Yes....... Yes....... Yes....... Yes....... Yes....... Yes....... Yes....... Yes....... Yes.
Sites.
Fugitive Emissions at Yes........ Yes....... No........ No........ No........ Yes....... Yes....... No........ No........ Yes.
Compressor Stations.
Methane Standards.............. Yes........ Yes....... No........ No........ No........ No........ Yes....... No........ No........ No.
Transmission and Storage Yes........ Yes....... No........ No........ No........ Yes....... Yes....... No........ No........ Yes.
Segment.
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While not all of these states cover all emission sources covered by
the NSPS OOOO and OOOOa, all have requirements for storage vessels and
fugitive emissions at well sites, two of the largest emission sources
within the oil and natural gas industry. Select aspects of the fugitive
emissions programs for these states were evaluated as potential
alternative standards to changes to 2016 NSPS OOOOa that the EPA
proposed by notice dated October 15, 2018, 83 FR 52056. The states with
programs proposed to be included as alternative fugitive standards
include CA, CO, OH, and PA for both well sites and compressor stations,
and TX and UT for well sites only.\105\ Alaska, Oklahoma, and West
Virginia incorporate NSPS OOOO and OOOOa by reference into state rules.
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\105\ https://www.epa.gov/controlling-air-pollution-oil-and-natural-gas-industry/proposed-improvements-2016-new-source.
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Three states, including CA, CO, and PA, regulate methane emissions
explicitly.\106\ California requires emissions from storage vessels
emitting more than 10 tpy of methane to be routed to a vapor control
system. In addition, CA does not allow for pneumatic pumps to vent
methane emissions to the atmosphere. Colorado requires certain HC
destruction efficiencies for storage vessels, as well as general
requirements to design operations so that HC emissions are minimized.
Pennsylvania's General Permits 5 and 5A require various emission
sources emitting over 200 tpy of methane to control their emissions by
95 percent. These emission sources include dehydrators, storage
vessels, pigging operations, and tanker truck load-out operations. In
addition, the definition of ``fugitive emission component'' within
these permits explicitly includes those components that have the
potential to emit methane. The permits require quarterly instrument
monitoring for compressor stations and unconventional well sites. While
other states only regulate VOC, measures that reduce VOC will also
reduce methane. The EPA solicits comment describing what other states
are doing to reduce methane emissions from the oil and natural gas
industry, and, more broadly, whether there are enough consistent state
requirements in place that will meaningfully reduce emissions should
the primary proposal be finalized. Additionally, the EPA does not
current have the capability to produce state-level projections of
sources in transmission and storage that are potentially affected by
this action. Because of this, we are unable to perform any quantitative
analysis of state programs with similar requirements. As a result, the
EPA also solicits information that will help the Agency project
potentially-affected facilities in the transmission and storage segment
at the state level.
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\106\ Colorado includes requirements on methane emissions in the
form of HC.
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VIII. Impacts of This Proposed Rule
A. What are the air impacts?
The EPA estimated the change in emissions that will occur due to
the implementation of the primary and alternative options in this
proposal for the analysis years of 2019 through 2025. The EPA estimates
impacts beginning in 2019 to reflect the year implementation of this
proposal. The EPA estimates impacts through 2025 to illustrate the
accumulating effect of this rule, if finalized as proposed, over a
longer period. The EPA does not estimate impacts after 2025 for reasons
including limited information, as explained in the RIA. The RIA
estimates for 2025 include sources newly affected in 2025 as well as
the accumulation of affected sources from 2016 to 2024 that are also
assumed to be in continued operation in 2025, thus, incurring
compliance costs and emission reductions in 2025.
The RIA presents results relative to two alternative baselines for
this action. The first baseline includes the March 12, 2018 Amendments
final package and the October 15, 2018 proposed revisions and is
referred to as the ``2018 Proposed Regulatory'' baseline. The second
baseline includes the March 12, 2018 Amendments final package but
excludes the potential impacts of the October 15, 2018 proposed
revisions and is referred to as the ``Current Regulatory'' baseline.
[[Page 50278]]
A more detailed description of the alternative baselines is presented
in Section 1.2 of the RIA.
The EPA estimated that over the 2019 to 2025 time frame, relative
to the 2018 Proposed Regulatory baseline, the primary proposal would
increase methane emissions by about 350,000 short tons, VOC emissions
by about 9,700 tons, and 290 tons of HAP from facilities affected by
this review. Under the Current Regulatory baseline, the EPA estimated
that over the 2019 to 2025 time frame, the primary proposal would
increase methane emissions by about 370,000 short tons VOC emissions by
about 10,000 tons, and 300 tons of HAP from facilities affected by this
review.
Under the alternative proposal, because the methane control options
are redundant with VOC control options, there are no expected emission
impacts from rescinding the methane requirement, relative to either of
the 2018 Proposed Regulatory or the Current Regulatory baselines.
The EPA solicits comment on the assumptions used in the memorandum
titled ``Draft Control Cost and Emission Changes under the Proposed
Amendments to 40 CFR part 60, subpart OOOOa Under Executive Order
13783.
B. What are the energy impacts?
Energy impacts in this section are those energy requirements
associated with the operation of emissions control devices. Potential
impacts on the national energy economy from the rule are discussed in
the economic impacts section. Under the primary proposal, there would
be little change in the national energy demand from the operation of
any of the environmental controls proposed in this action. The
alternative proposal would lead to no changes in compliance activities
and, as a result, would not produce any energy impacts. This conclusion
is independent of the choice of baseline used in the analysis
supporting this action.
C. What are the compliance costs?
Under the 2018 Proposed Regulatory baseline, the EPA estimates the
present value (PV) of compliance cost savings of the primary proposal
over 2019-2025, discounted back to 2016, will be $104 million (in 2016
dollars) using a 7 percent discount rate and $133 million using a 3
percent discount rate, not including the forgone producer revenues
associated with the decrease in the recovery of saleable natural gas.
The equivalent annualized value (EAV) of these cost savings are $18
million per year using a 7 percent discount rate and $21 million per
year using a 3 percent discount rate. In this analysis, the EPA uses
the 2018 Annual Energy Outlook (AEO) projection of natural gas prices
to estimate the value of the change in the recovered gas at the
wellhead. After accounting for the change in these revenues, the
estimate of the PV of compliance cost savings of the proposed review
over 2019-2025, discounted back to 2016, are estimated to be $81
million using a 7 percent discount rate, and $103 million using a 3
percent discount rate; the corresponding estimates of the EAV of cost
savings after accounting for the forgone revenues are $14 million per
year using a 7 percent discount rate, and $16 million per year using a
3 percent discount rate.
Under the Current Regulatory baseline, the EPA estimates the
present value (PV) of compliance cost savings of the primary proposal
over 2019-2025, discounted back to 2016, will be $122 million (in 2016
dollars) using a 7 percent discount rate and $155 million using a 3
percent discount rate, not including the forgone producer revenues
associated with the decrease in the recovery of saleable natural gas.
The equivalent annualized value (EAV) of these cost savings are $21
million per year using a 7 percent discount rate and $24 million per
year using a 3 percent discount rate. After accounting for the change
in these revenues, the estimate of the PV of compliance cost savings of
the proposed review over 2019-2025, discounted back to 2016, are
estimated to be $97 million using a 7 percent discount rate, and $123
million using a 3 percent discount rate; the corresponding estimates of
the EAV of cost savings after accounting for the forgone revenues are
$17 million per year using a 7 percent discount rate, and $19 million
per year using a 3 percent discount rate.
Under the alternative proposal, because the methane control options
are redundant with VOC control options, there are no expected changes
in the cost or emissions from rescinding the methane requirements
relative to either baseline used in the analysis supporting this
action.
Under the alternative proposal, because the methane control options
are redundant with VOC control options, there are no expected changes
in the cost or emissions from rescinding the methane requirements
relative to either baseline used in the analysis supporting this
action.
D. What are the economic and employment impacts?
The EPA used the National Energy Modeling System (NEMS) to estimate
the impacts of the 2016 NSPS OOOOa on the U.S. energy system. The NEMS
is a publicly-available model of the U.S. energy economy developed and
maintained by the U.S. EIA and is used to produce the AEO, a reference
publication that provides detailed projections of the U.S. energy
economy.
The EPA estimated small impacts on crude oil and natural gas
markets of the 2016 NSPS OOOOa rule over the 2020 to 2025 period. If
finalized, the primary proposal would result in a decrease in total
compliance costs. Therefore, the EPA expects that the primary proposal
would partially reduce the impacts estimated for the 2016 NSPS OOOOa in
the 2016 NSPS OOOOa RIA. The alternative proposal, if finalized, would
lead to no cost impacts and no changes in the estimated impacts of the
2016 NSPS OOOOa rule. This conclusion is independent of the choice of
baseline used in the analysis supporting this action.
Executive Order 13563 directs federal agencies to consider the
effect of regulations on job creation and employment. According to the
Executive Order, ``our regulatory system must protect public health,
welfare, safety, and our environment while promoting economic growth,
innovation, competitiveness, and job creation. It must be based on the
best available science.'' (Executive Order 13563, 2011). While a
standalone analysis of employment impacts is not included in a standard
benefit-cost analysis, such an analysis is of concern in the current
economic climate given continued interest in the employment impact of
regulations such as this proposed rule.
The EPA estimated the labor impacts due to the installation,
operation, and maintenance of control equipment, control activities,
and labor associated with new reporting and recordkeeping requirements
in the 2016 NSPS OOOOa RIA. Under the primary proposal, the EPA expects
there will be slight reductions in the labor required for compliance-
related activities associated with the 2016 NSPS OOOOa requirements
relating to the rescission of requirements in the transmission and
storage segment of the oil and natural gas industry. Under the
alternative proposal, the EPA expects no changes in labor-related
compliance requirements associated with the 2016 NSPS OOOOa rule. These
conclusions are independent
[[Page 50279]]
of the choice of baseline used in the analysis supporting this action.
E. What are the benefits of the proposed standards?
The EPA expects forgone climate and health benefits due to the
increase in emissions resulting from the primary proposal which would
remove requirements in the transmission and storage segment. Under the
alternative proposal, because the methane control options are redundant
with VOC control options, there are no expected emissions impacts from
rescinding the methane requirement; hence, there would be no forgone
climate and health benefits resulting from the alternative option.
These conclusions are independent of the choice of baseline used in the
analysis supporting this action.
The EPA estimated the forgone domestic climate benefits from the
increase in methane emissions associated with the action using an
interim measure of the domestic social cost of methane (SC-
CH4). The SC-CH4 estimates used here were
developed under Executive Order 13783 for use in regulatory analyses
until an improved estimate of the impacts of climate change to the U.S.
can be developed based on the best available science and economics.
Executive Order 13783 directed agencies to ensure that estimates of the
social cost of GHG used in regulatory analyses ``are based on the best
available science and economics'' and are consistent with the guidance
contained in OMB Circular A-4, ``including with respect to the
consideration of domestic versus international impacts and the
consideration of appropriate discount rates'' (Executive Order 13783,
Section 5(c)). In addition, Executive Order 13783 withdrew the
technical support documents (TSDs) and the August 2016 Addendum to
these TSDs describing the global social cost of GHG estimates developed
under the prior Administration as no longer representative of
government policy. The withdrawn TSDs and Addendum were developed by an
interagency working group that included the EPA and other executive
branch entities and were used in the 2016 NSPS OOOOa RIA.
Under the primary proposal, the EPA expects that the forgone VOC
emission reductions will degrade air quality and are likely to
adversely affect health and welfare associated with exposure to ozone,
PM2.5, and HAP, but we are unable to quantify these effects
at this time. This omission should not imply that these forgone
benefits do not exist, and to the extent that EPA were to quantify
these ozone and PM impacts, it would estimate the number and value of
avoided premature deaths and illnesses using an approach detailed in
the Particulate Matter NAAQS and Ozone NAAQS Regulatory Impact Analyses
(U.S. EPA, 2012; U.S. EPA, 2015).
When quantifying the incidence and economic value of the human
health impacts of air quality changes, the Agency often relies upon
reduced-form techniques; these are often reported as ``benefit-per-
ton'' values that relate air pollution impacts to changes in air
pollutant precursor emissions (U.S. EPA, 2018). A small but growing
literature characterizes the air quality and health impacts from the
oil and natural gas industry, but does not yet supply the information
needed to derive a VOC benefit per ton value suitable for a regulatory
analysis (Fann, et al., 2018; Litovitz, et al., 2013; Loomis, et al.,
2017).\107\ Moreover, the Agency is currently comparing various
reduced-form techniques, including benefit per ton approaches that
quantify air quality benefits. Over the last year and a half, the EPA
systematically compared the changes in benefits, and concentrations
where available, from its benefit-per-ton technique and other reduced-
form techniques to the changes in benefits and concentration derived
from full-form photochemical model representation of a few different
specific emissions scenarios.\108\ The Agency's goal was to better
understand the suitability of alternative reduced-form air quality
modeling techniques for estimating the health impacts of criteria
pollutant emissions changes in the EPA's benefit-cost analysis,
including the extent to which reduced form models may over- or under-
estimate benefits (compared to full-scale modeling) under different
scenarios and air quality concentrations. The scenario-specific
emission inputs developed for this project are currently available
online.\109\ The study design and methodology will be thoroughly
described in the final report summarizing the results of the project,
which is planned to be completed by the end of 2019.
---------------------------------------------------------------------------
\107\ Fann, N., et al. (2018). ``Assessing Human Health
PM2.5 and Ozone Impacts from U.S. Oil and Natural Gas
Sector Emissions in 2025.'' Environmental Science & Technology
52(15): 8095-8103.
Litovitz, A., et al. (2013). ``Estimation of regional air-
quality damages from Marcellus Shale natural gas extraction in
Pennsylvania.'' Environmental Research Letters 8(1): 014017.
Loomis, J. and M. Haefele (2017). ``Quantifying Market and Non-
market Benefits and Costs of Hydraulic Fracturing in the United
States: A Summary of the Literature.'' Ecological Economics 138:
160-167.
\108\ This analysis compared the benefits estimated using full-
form photochemical air quality modeling simulations (CMAQ and CAMx)
against four reduced-form tools, including: InMAP; AP2/3; EASIUR and
the EPA's benefit-per-ton.
\109\ The scenario-specific emission inputs developed for this
project are currently available online at: https://github.com/epa-kpc/RFMEVAL. Upon completion and publication of the final report,
the final report and all associated documentation will be online and
available at this URL.
---------------------------------------------------------------------------
Relative to the 2018 Proposed Regulatory baseline, the PV of the
estimated forgone domestic climate benefits over 2019-2025, discounted
back to 2016, is $13 million using a 7 percent discount rate and $49
million using a 3 percent discount rate. The EAV of these estimated
forgone climate benefits is $2.2 million per year using 7 percent
discount rate and $7.7 million per year using a 3 percent discount
rate. Under the Current Regulatory baseline, the PV of the estimated
forgone domestic climate benefits over 2019-2025, discounted back to
2016, will be $13 million using a 7 percent discount rate and $52
million using a 3 percent discount rate. The EAV of these estimated
forgone climate benefits is $2.3 million per year using 7 percent
discount rate and $8.1 million per year using a 3 percent discount
rate. These values represent only a partial accounting of domestic
climate impacts from methane emissions and do not account for health
effects of ozone exposure from the increase in methane emissions.
IX. 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 12866: Regulatory Planning and Review and Executive
Order 13563: Improving Regulation and Regulatory Review
This action is a significant regulatory action that was submitted
to OMB for review because it raises novel legal or policy issues. Any
changes made in response to OMB recommendations have been documented in
the docket. In addition, the EPA prepared an RIA of the potential costs
associated with the primary and alternative proposals in this action.
The RIA available in the docket describes in detail the empirical basis
for the EPA's assumptions and characterizes the various sources of
uncertainties affecting the estimates below.
[[Page 50280]]
The RIA presents results relative to two alternative baselines for
this action. The first baseline includes the March 12, 2018 Amendments
final package and the October 15, 2018 proposed revisions and is
referred to as the ``2018 Proposed Regulatory'' baseline. The second
baseline includes the March 2018 Amendments final package but excludes
the potential impacts of the October 15, 2018 proposed revisions and is
referred to as the ``Current Regulatory'' baseline. A more detailed
description of the alternative baselines is presented in Section 1.2.2
of the RIA.
Table 10 shows the present value and equivalent annualized value
results of the cost and benefits analysis for the primary proposal for
2019 through 2025 relative to the 2018 Proposed Regulatory baseline
discounted back to 2016 using a discount rate of 7 percent. The table
also shows the total increase in emissions from 2019 through 2025 from
the primary proposal relative to the 2018 Proposed Regulatory baseline.
When discussing net benefits, we modify the relevant terminology to be
more consistent with traditional net benefits analysis. In the
following table, we refer to the cost savings as presented in section 2
of the RIA, and in section VII.C above, as the ``benefits'' of this
proposed action and the forgone benefits as presented in section 3 of
the RIA, and in section VIII.E above, as the ``costs'' of this proposed
action. Total cost savings are cost savings less the forgone value of
product recovery. The net benefits are the benefits (total cost
savings) minus the costs (forgone domestic climate benefits).
Table 10 shows the present value and equivalent annualized value
results of the cost and benefits analysis for the primary proposal for
2019 through 2025 relative to the 2018 Proposed Regulatory baseline
discounted back to 2016 using a discount rate of 7 percent. The table
also shows the total increase in emissions from 2019 through 2025 from
the primary proposal relative to the 2018 Proposed Regulatory baseline.
When discussing net benefits, we modify the relevant terminology to be
more consistent with traditional net benefits analysis. In the
following table, we refer to the cost savings as presented in Section 2
of the RIA, and in section VII.C above, as the ``benefits'' of this
proposed action and the forgone benefits as presented in Section 3 of
the RIA, and in section VIII.E above, as the ``costs'' of this proposed
action. Total cost savings are cost savings less the forgone value of
product recovery. The net benefits are the benefits (total cost
savings) minus the costs (forgone domestic climate benefits).
Table 10--Summary of the Present Value and Equivalent Annualized Value of the Monetized Forgone Benefits, Cost
Savings, and Net Benefits of the Primary Proposal From 2019 Through 2025 Relative to the 2018 Proposed
Regulatory Baseline
[Millions of 2016$]
----------------------------------------------------------------------------------------------------------------
Equivalent
Present value annualized value
----------------------------------------------------------------------------------------------------------------
Benefits (Total Cost Savings)............................................. $81 $14
Cost Savings.......................................................... 104 18
Forgone Value of Product Recovery..................................... 23 4.0
Costs (Forgone Domestic Climate Benefits)................................. 13 2.2
Net Benefits.............................................................. 69 12
-------------------------------------
Non-monetized Forgone Benefits............................................ Non-monetized climate impacts from
increases in methane emissions.
Health effects of PM2.5 and ozone
exposure from an increase of 9,700
tons of VOC from 2019 through 2025.
Health effects of HAP exposure from
an increase of 290 tons of HAP from
2019 through 2025.
Health effects of ozone exposure
from an increase of 350,000 short
tons of methane from 2019 through
2025.
Visibility impairment.
Vegetation effects.
----------------------------------------------------------------------------------------------------------------
Estimates may not sum due to independent rounding.
Table 11 shows the present value and equivalent annualized value
results of the cost and benefits analysis for the primary proposal for
2019 through 2025 relative to the Current Regulatory baseline,
discounted back to 2016 using a discount rate of 7 percent. The table
also shows the total increase in emissions from 2019 through 2025 from
the primary proposal relative to the Current Regulatory baseline.
Table 11--Summary of the Present Value and Equivalent Annualized Value of the Monetized Forgone Benefits, Cost
Savings, and Net Benefits of the Primary Proposal From 2019 Through 2025 Relative to the Current Regulatory
Baseline
[Millions of 2016$]
----------------------------------------------------------------------------------------------------------------
Equivalent
Present value annualized value
----------------------------------------------------------------------------------------------------------------
Benefits (Total Cost Savings)............................................. $97 $17
Cost Savings.......................................................... 122 21
Forgone Value of Product Recovery..................................... 25 4.4
[[Page 50281]]
Costs (Forgone Domestic Climate Benefits)................................. 13 2.3
Net Benefits.............................................................. 83 14
-------------------------------------
Non-monetized Forgone Benefits............................................ Non-monetized climate impacts from
increases in methane emissions.
Health effects of PM2.5 and ozone
exposure from an increase of 10,000
tons of VOC from 2019 through 2025.
Health effects of HAP exposure from
an increase of 300 tons of HAP from
2019 through 2025.
Health effects of ozone exposure
from an increase of 370,000 short
tons of methane from 2019 through
2025.
Visibility impairment.
Vegetation effects.
----------------------------------------------------------------------------------------------------------------
Estimates may not sum due to independent rounding.
Under the alternative proposal, because the methane control options
are redundant with VOC control options, there are no expected cost or
emissions impacts from rescinding the methane requirement. As a result,
Table 12 depicts this ``no-change'' in impacts result relative to the
2018 Proposed Regulatory baseline. The no-change in impacts result also
applies relative to the Current Regulatory baseline, as shown in Table
13.
Table 12--Summary of the Present Value and Equivalent Annualized Value of the Monetized Forgone Benefits, Cost
Savings, and Net Benefits of the Alternative Proposal From 2019 Through 2025 Relative to the 2018 Proposed
Regulatory Baseline
[Millions of 2016$]
----------------------------------------------------------------------------------------------------------------
Equivalent
Present value annualized value
----------------------------------------------------------------------------------------------------------------
Benefits (Total Cost Savings)............................................. $0 $0
Costs (Forgone Domestic Climate Benefits)................................. 0 0
Net Benefits.............................................................. 0 0
-------------------------------------
Non-monetized Forgone Benefits............................................ No change
----------------------------------------------------------------------------------------------------------------
Estimates may not sum due to independent rounding.
Table 13--Summary of the Present Value and Equivalent Annualized Value of the Monetized Forgone Benefits, Cost
Savings, and Net Benefits of the Alternative Proposal From 2019 Through 2025 Relative to the Current Regulatory
Baseline
[Millions of 2016$]
----------------------------------------------------------------------------------------------------------------
Equivalent
Present value annualized value
----------------------------------------------------------------------------------------------------------------
Benefits (Total Cost Savings)............................................. $0 $0
Costs (Forgone Domestic Climate Benefits)................................. 0 0
Net Benefits.............................................................. 0 0
-------------------------------------
Non-monetized Forgone Benefits............................................ No change
----------------------------------------------------------------------------------------------------------------
Estimates may not sum due to independent rounding.
B. Executive Order 13771: Reducing Regulations and Controlling
Regulatory Costs
This action is expected to be an Executive Order 13771 deregulatory
action. Details on the estimated cost savings of this proposed rule can
be found in the EPA's analysis of the potential costs and benefits
associated with this action.
C. Paperwork Reduction Act (PRA)
The information collection requirements in this rule have been
submitted for approval to the Office of Management and Budget (OMB)
under the Paperwork Reduction Act, 44 U.S.C. 3501 et seq. The
Information Collection Request (ICR) document prepared by the EPA has
been assigned the EPA ICR number 2604.01 and OMB Control
[[Page 50282]]
Number 2060-NEW. The information collection requirements are not
enforceable until OMB approves them.
A summary of the information collection activities previously
submitted to the OMB for the final action titled ``Standards of
Performance for Crude Oil and Natural Gas Facilities for Construction,
Modification, or Reconstruction'' (2016 NSPS OOOOa) under the PRA, and
assigned OMB Control Number 2060-0721, can be found at 81 FR 35890. You
can find a copy of the information collection request (ICR) in the 2016
NSPS OOOOa docket (EPA-HQ-OAR-2010-0505-7626). The EPA subsequently
proposed reconsideration (October 15, 2018, 83 FR 52056.) to revise the
information collection activities of 2016 NSPS OOOOa (EPA ICR number
2523.02). You can find a copy of the revised ICR (EPA ICR number
2523.02) in the 2018 NSPS OOOOa docket (EPA-HQ-OAR-2017-0483). In this
rule, the EPA is proposing to further revise the October 15, 2018, NSPS
OOOOa reconsideration proposal ICR based on those proposed amendments
as a result of the EPA's review under Executive Order 13783 (EPA ICR
number 2523.04). These proposed changes (2019 NSPS OOOOa E.O. 13783
Review Proposal) would reduce the burden on the regulated industry
associated with reporting and recordkeeping requirements of the
rescinded requirements.
Burden associated with this rule (2019 NSPS OOOOa E.O. 13783 Review
Proposal):
Respondents/affected entities: Oil and natural gas operators and
owners.
Respondent's obligation to respond: Mandatory.
Estimated number of respondents: 3,648.
Frequency of response: Varies depending on affected facility.\110\
---------------------------------------------------------------------------
\110\ The specific frequency for each information collection
activity within this request is shown in Tables 1a-1d of the
Supporting Statement in the public docket.
---------------------------------------------------------------------------
Total estimated annual burden: 230,285 hours. Burden is defined at
5 CFR 1320.3(b).
Total estimated annual cost: $14,177,438 (2016$) includes $0 in
annualized capital or operation & maintenance costs.
This represents a burden reduction of 2 percent compared to the
burden estimated for the 2016 NSPS OOOOa. This represents a burden
reduction of 16 percent compared to the 2018 NSPS OOOOa Reconsideration
Proposal amendments. Submit your comments on the Agency's need for this
information, the accuracy of the provided revised 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 October 24, 2019. The EPA will respond
to any ICR-related comments in the final rule.
D. Regulatory Flexibility Act (RFA)
I certify that this action will not have a significant economic
impact on a substantial number of small entities under the 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. This is a deregulatory action, and the
burden on all entities affected by this proposed rule, including small
entities, is the same or reduced compared to the 2016 NSPS OOOOa. See
the discussion in section VIII of this preamble and the RIA for
details. The EPA has, therefore, concluded that this action will not
increase regulatory burden for all directly regulated small entities.
E. Unfunded Mandates Reform Act (UMRA)
This action does not contain any unfunded mandate as described in
UMRA, 2 U.S.C. 1531-1538, and does not significantly or uniquely affect
small governments. The action imposes no enforceable duty on any state,
local, or tribal governments or the private sector.
F. Executive Order 13132: Federalism
This action does not have federalism implications. It will not have
substantial direct effects on the states, on the relationship between
the national government and the states, or on the distribution of power
and responsibilities among the various levels of government.
G. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
This action does not have tribal implications, as specified in
Executive Order 13175. It will not have substantial direct effects on
tribal governments, on the relationship between the federal government
and Indian tribes, or on the distribution of power and responsibilities
between the federal government and Indian tribes, as specified in
Executive Order 13175. Thus, Executive Order 13175 does not apply to
this action.
H. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
This action is not subject to Executive Order 13045 because it is
not economically significant as defined in Executive Order 12866. The
2016 NSPS OOOOa, as discussed in the RIA,\111\ was anticipated to
reduce emissions of methane, VOC, and HAP, and some of the benefits of
reducing these pollutants would have accrued to children. The primary
proposal is expected to decrease the impact of the emissions reductions
estimated from the 2016 NSPS OOOOa on these benefits, as discussed in
Chapter 1 of the RIA. Under the alternative proposal, because the
methane control options are redundant with VOC control options, there
are no changes in the level of environmental protection produced by the
2016 NSPS OOOOa emissions impacts from rescinding the methane
requirement.
The proposed action does not affect the level of public health and
environmental protection already being provided by existing NAAQS and
other mechanisms in the CAA. This proposed action does not affect
applicable local, state, or federal permitting or air quality
management programs that will continue to address areas with degraded
air quality and maintain the air quality in areas meeting current
standards. Areas that need to reduce criteria air pollution to meet the
NAAQS will still need to rely on control strategies to reduce
emissions. The EPA does not believe the decrease in emission reductions
projected under the primary proposal of this action will have a
disproportionate adverse effect on children's health.
I. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
This action is not a ``significant energy action'' because it is
not likely to have a significant adverse effect on the supply,
distribution, or use of energy. The basis for this determination can be
found in the 2016 NSPS OOOOa (81 FR 35894).
[[Page 50283]]
J. National Technology Transfer and Advancement Act (NTTAA)
This rulemaking does not involve technical standards.
K. Executive Order 12898: Federal Actions To Address Environmental
Justice in Minority Populations and Low-Income Populations
The EPA believes that this proposed action is unlikely to have
disproportionately high and adverse human health or environmental
effects on minority populations, low-income populations, and/or
indigenous peoples, as specified in Executive Order 12898 (59 FR 7629,
February 16, 1994). The 2016 NSPS OOOOa was anticipated to reduce
emissions of methane, VOC, and HAP, and some of the benefits of
reducing these pollutants would have accrued to minority populations,
low-income populations, and/or indigenous peoples. The primary proposal
is expected to decrease the impact of the emission reductions estimated
from the 2016 NSPS OOOOa on these benefits. These communities may
experience forgone benefits as a result of this action, as discussed in
Chapter 1 of the RIA. Under the alternative proposal, because the
methane control options are redundant with VOC control options, there
are no changes in the level of environmental protection produced by the
2016 NSPS OOOOa emissions impacts from rescinding the methane
requirement.
The proposed action does not affect the level of public health and
environmental protection already being provided by existing NAAQS and
other mechanisms in the CAA. This proposed action does not affect
applicable local, state, or federal permitting or air quality
management programs that will continue to address areas with degraded
air quality and maintain the air quality in areas meeting current
standards. Areas that need to reduce criteria air pollution to meet the
NAAQS will still need to rely on control strategies to reduce
emissions.
The EPA believes that this proposed action is unlikely to have
disproportionately high and adverse human health or environmental
effects on minority populations, low-income populations, and/or
indigenous peoples. The EPA notes that the potential impacts of the
primary proposal are not expected to be experienced uniformly, and the
distribution of avoided compliance costs associated with this action
depends on the degree to which costs would have been passed through to
consumers.
List of Subjects in 40 CFR Part 60
Environmental protection, Administrative practice and procedure,
Air pollution control, Reporting and recordkeeping requirements.
Dated: August 28, 2019.
Andrew R. Wheeler,
Administrator.
For the reasons set out in the preamble, EPA proposes to amend 40
CFR part 60 as follows:
PART 60--STANDARDS OF PERFORMANCE FOR NEW STATIONARY SOURCES
0
1. The authority citation for part 60 continues to read as follows:
Authority: 42 U.S.C. 7401, et seq.
Subpart OOOO--Standards of Performance for Crude Oil and Natural
Gas Facilities for Which Construction, Modification or
Reconstruction Commenced After August 23, 2011, and on or Before
September 18, 2015
0
2. Revise the heading of subpart OOOO to read as set forth above.
0
3. Section 60.5365 is amended by revising paragraph (e) to read as
follows:
Sec. 60.5365 Am I subject to this subpart?
* * * * *
(e) Each storage vessel affected facility, which is a single
storage vessel located between the wellhead and the point of custody
transfer to the natural gas transmission and storage segment, and has
the potential for VOC emissions equal to or greater than 6 tpy as
determined according to this section by October 15, 2013 for Group 1
storage vessels and by April 15, 2014, or 30 days after startup
(whichever is later) for Group 2 storage vessels, except as provided in
paragraphs (e)(1) through (4) of this section. The potential for VOC
emissions must be calculated using a generally accepted model or
calculation methodology, based on the maximum average daily throughput
determined for a 30-day period of production prior to the applicable
emission determination deadline specified in this section. The
determination may take into account requirements under a legally and
practically enforceable limit in an operating permit or other
requirement established under a Federal, State, local or tribal
authority.
* * * * *
0
4. Section 60.5420 is amended by revising paragraph (c)(5)(iv) to read
as follows:
Sec. 60.5420 What are my notification, reporting, and recordkeeping
requirements?
* * * * *
(c) * * *
(5) * * *
(iv) For storage vessels that are skid-mounted or permanently
attached to something that is mobile (such as trucks, railcars, barges
or ships), records indicating the number of consecutive days that the
vessel is located a between the wellhead and the point of custody
transfer to the natural gas transmission and storage segment. If a
storage vessel is removed from a site and, within 30 days, is either
returned to or replaced by another storage vessel at the site to serve
the same or similar function, then the entire period since the original
storage vessel was first located at the site, including the days when
the storage vessel was removed, will be added to the count towards the
number of consecutive days.
* * * * *
Subpart OOOOa--Standards of Performance for Crude Oil and Natural
Gas Facilities for Which Construction, Modification or
Reconstruction Commenced After September 18, 2015
0
5. Revise Sec. 60.5360a to read as follows:
Sec. 60.5360a What is the purpose of this subpart?
(a) This subpart establishes emission standards and compliance
schedules for the control of volatile organic compounds (VOC) and
sulfur dioxide (SO2) emissions from affected facilities in
the crude oil and natural gas source category that commence
construction, modification or reconstruction after September 18, 2015.
The effective date of the rule is August 2, 2016.
(b) [Reserved]
0
6. Section 60.5365a is amended by revising paragraphs (b) through (d),
the introductory text of paragraph (e) and paragraph (j) to read as
follows:
Sec. 60.5365a Am I subject to this subpart?
* * * * *
(b) Each centrifugal compressor affected facility, which is a
single centrifugal compressor using wet seals that is located between
the wellhead and the point of custody transfer to the natural gas
transmission and storage segment. A centrifugal compressor located at a
well site, or an adjacent well site and servicing more than one well
site, is not an affected facility under this subpart.
(c) Each reciprocating compressor affected facility, which is a
single reciprocating compressor that is located
[[Page 50284]]
between the wellhead and the point of custody transfer to the natural
gas transmission and storage segment. A reciprocating compressor
located at a well site, or an adjacent well site and servicing more
than one well site, is not an affected facility under this subpart.
(d)(1) For the oil production segment (between the wellhead and the
point of custody transfer to an oil pipeline), each pneumatic
controller affected facility, which is a single continuous bleed
natural gas-driven pneumatic controller operating at a natural gas
bleed rate greater than 6 scfh.
(2) For the natural gas production segment (between the wellhead
and the point of custody transfer to the natural gas transmission and
storage segment and not including natural gas processing plants), each
pneumatic controller affected facility, which is a single continuous
bleed natural gas-driven pneumatic controller operating at a natural
gas bleed rate greater than 6 scfh.
(3) For natural gas processing plants, each pneumatic controller
affected facility, which is a single continuous bleed natural gas-
driven pneumatic controller.
(e) Each storage vessel affected facility, which is a single
storage vessel that is located between the wellhead and the point of
custody transfer to the natural gas transmission and storage segment,
and has the potential for VOC emissions equal to or greater than 6 tpy
as determined according to this section. The potential for VOC
emissions must be calculated using a generally accepted model or
calculation methodology, based on the maximum average daily throughput,
as defined in Sec. 60.5430a, determined for a 30-day period of
production prior to the applicable emission determination deadline
specified in this subsection. The determination may take into account
requirements under a legally and practically enforceable limit in an
operating permit or other requirement established under a Federal,
state, local or tribal authority.
* * * * *
(j) The collection of fugitive emissions components at a compressor
station as defined in Sec. 60.5430a, that is located between the
wellhead and the point of custody transfer to the natural gas
transmission and storage segment, is an affected facility. For purposes
of Sec. 60.5397a, a ``modification'' to a compressor station occurs
when:
(1) An additional compressor is installed at a compressor station;
or
(2) One or more compressors at a compressor station is replaced by
one or more compressors of greater total horsepower than the
compressor(s) being replaced. When one or more compressors is replaced
by one or more compressors of an equal or smaller total horsepower than
the compressor(s) being replaced, installation of the replacement
compressor(s) does not trigger a modification of the compressor station
for purposes of Sec. 60.5397a.
0
7. Section 60.5375a is amended by revising the section heading and the
introductory text to read as follows:
Sec. 60.5375a What VOC standards apply to well affected facilities?
If you are the owner or operator of a well affected facility as
described in Sec. 60.5365a(a) that also meets the criteria for a well
affected facility in Sec. 60.5365(a) of subpart OOOO of this part, you
must reduce VOC emissions by complying with paragraphs (a) through (g)
of this section. If you own or operate a well affected facility as
described in Sec. 60.5365a(a) that does not meet the criteria for a
well affected facility in Sec. 60.5365(a) of subpart OOOO of this
part, you must reduce VOC emissions by complying with paragraphs
(f)(3), (f)(4) or (g) of this section for each well completion
operation with hydraulic fracturing prior to November 30, 2016, and you
must comply with paragraphs (a) through (g) of this section for each
well completion operation with hydraulic fracturing on or after
November 30, 2016.
* * * * *
0
8. Section 60.5380a is amended by revising the section heading, the
introductory text and paragraph (a)(1) to read as follows:
Sec. 60.5380a What VOC standards apply to centrifugal compressor
affected facilities?
You must comply with the VOC standards in paragraphs (a) through
(d) of this section for each centrifugal compressor affected facility.
(a)(1) You must reduce VOC emissions from each centrifugal
compressor wet seal fluid degassing system by 95.0 percent.
* * * * *
0
9. Section 60.5385a is amended by revising the section heading, the
introductory text and paragraph (a)(3) to read as follows:
Sec. 60.5385a What VOC standards apply to reciprocating compressor
affected facilities?
You must reduce VOC emissions by complying with the standards in
paragraphs (a) through (d) of this section for each reciprocating
compressor affected facility.
(a) * * *
(3) Collect the VOC emissions from the rod packing using a rod
packing emissions collection system that operates under negative
pressure and route the rod packing emissions to a process through a
closed vent system that meets the requirements of Sec. 60.5411a(a) and
(d).
* * * * *
0
10. Section 60.5390a is amended by revising the section heading and the
introductory text to read as follows:
Sec. 60.5390a What VOC standards apply to pneumatic controller
affected facilities?
For each pneumatic controller affected facility you must comply
with the VOC standards, based on natural gas as a surrogate for VOC, in
either paragraph (b)(1) or (c)(1) of this section, as applicable.
Pneumatic controllers meeting the conditions in paragraph (a) of this
section are exempt from this requirement.
* * * * *
0
11. Section 60.5393a is amended by revising the section heading and the
introductory text to read as follows:
Sec. 60.5393a What VOC standards apply to pneumatic pump affected
facilities?
For each pneumatic pump affected facility you must comply with the
VOC standards, based on natural gas as a surrogate for VOC, in either
paragraph (a) or (b) of this section, as applicable, on or after
November 30, 2016.
* * * * *
0
12. Section 60.5397a is amended by revising the section heading and the
introductory text to read as follows:
Sec. 60.5397a What fugitive emissions VOC standards apply to the
affected facility which is the collection of fugitive emissions
components at a well site and the affected facility which is the
collection of fugitive emissions components at a compressor station?
For each affected facility under Sec. 60.5365a(i) and (j), you
must reduce VOC emissions by complying with the requirements of
paragraphs (a) through (j) of this section. These requirements are
independent of the closed vent system and cover requirements in Sec.
60.5411a.
* * * * *
0
13. Section 60.5398a is amended by revising the section heading,
paragraph (a) and paragraph (d)(1)(xii) to read as follows:
[[Page 50285]]
Sec. 60.5398a What are the alternative means of emission limitations
for VOC from well completions, reciprocating compressors, the
collection of fugitive emissions components at a well site and the
collection of fugitive emissions components at a compressor station?
(a) If, in the Administrator's judgment, an alternative means of
emission limitation will achieve a reduction in VOC emissions at least
equivalent to the reduction in VOC emissions achieved under Sec.
60.5375a, Sec. 60.5385a, and Sec. 60.5397a, the Administrator will
publish, in the Federal Register, a notice permitting the use of that
alternative means for the purpose of compliance with Sec. 60.5375a,
Sec. 60.5385a, and Sec. 60.5397a. The notice may condition permission
on requirements related to the operation and maintenance of the
alternative means.
* * * * *
(d) * * *
(1) * * *
(xii) Operation and maintenance procedures and other provisions
necessary to ensure reduction in VOC emissions at least equivalent to
the reduction in VOC emissions achieved under Sec. 60.5397a.
* * * * *
0
14. Amend Sec. 60.5399a by revising paragraph (c) to read as follows:
Sec. 60.5399a What alternative fugitive emissions standards apply to
the affected facility which is the collection of fugitive emissions
components at a well site and the affected facility which is the
collection of fugitive emissions components at a compressor station:
Equivalency with state, local, and tribal programs?
* * * * *
(c) After notice and opportunity for public comment, the
Administrator will determine whether the requested alternative fugitive
emissions standard will achieve at least equivalent emission
reduction(s) in VOC emissions as the reduction(s) achieved under the
applicable requirement(s) for which an alternative is being requested,
and will publish the determination in the Federal Register.
* * * * *
0
15. Section 60.5400a is amended by revising the section heading and
paragraph (c) to read as follows:
Sec. 60.5400a What equipment leak VOC standards apply to affected
facilities at an onshore natural gas processing plant?
* * * * *
(c) You may apply to the Administrator for permission to use an
alternative means of emission limitation that achieves a reduction in
emissions of VOC at least equivalent to that achieved by the controls
required in this subpart according to the requirements of Sec.
60.5402a.
* * * * *
0
16. Section 60.5401a is amended by revising the section heading to read
as follows:
Sec. 60.5401a What are the exceptions to the equipment leak VOC
standards for affected facilities at onshore natural gas processing
plants?
* * * * *
0
17. Section 60.5402a is amended by revising the section heading,
paragraph (a), and paragraph (d)(2) introductory text to read as
follows:
Sec. 60.5402a What are the alternative means of emission limitations
for VOC equipment leaks from onshore natural gas processing plants?
(a) If, in the Administrator's judgment, an alternative means of
emission limitation will achieve a reduction in VOC emissions at least
equivalent to the reduction in VOC emissions achieved under any design,
equipment, work practice or operational standard, the Administrator
will publish, in the Federal Register, a notice permitting the use of
that alternative means for the purpose of compliance with that
standard. The notice may condition permission on requirements related
to the operation and maintenance of the alternative means.
* * * * *
(d) * * *
(2) The application must include operation, maintenance and other
provisions necessary to assure reduction in VOC emissions at least
equivalent to the reduction in VOC emissions achieved under the design,
equipment, work practice or operational standard in paragraph (a) of
this section by including the information specified in paragraphs
(d)(1)(i) through (x) of this section.
* * * * *
0
18. Section 60.5410a is amended by revising paragraph (a) introductory
text, paragraph (b)(1), paragraph (d) introductory text, and paragraph
(f) to read as follows:
Sec. 60.5410a How do I demonstrate initial compliance with the
standards for my well, centrifugal compressor, reciprocating
compressor, pneumatic controller, pneumatic pump, storage vessel,
collection of fugitive emissions components at a well site, collection
of fugitive emissions components at a compressor station, and equipment
leaks and sweetening unit affected facilities at onshore natural gas
processing plants?
* * * * *
(a) To achieve initial compliance with the VOC standards for each
well completion operation conducted at your well affected facility you
must comply with paragraphs (a)(1) through (4) of this section.
* * * * *
(b)(1) To achieve initial compliance with standards for your
centrifugal compressor affected facility you must reduce VOC emissions
from each centrifugal compressor wet seal fluid degassing system by
95.0 percent or greater as required by Sec. 60.5380a(a) and as
demonstrated by the requirements of Sec. 60.5413a.
* * * * *
(d) To achieve initial compliance with VOC emission standards for
your pneumatic controller affected facility you must comply with the
requirements specified in paragraphs (d)(1) through (6) of this
section, as applicable.
* * * * *
(f) For affected facilities at onshore natural gas processing
plants, initial compliance with the VOC standards is demonstrated if
you are in compliance with the requirements of Sec. 60.5400a.
* * * * *
0
19. Section 60.5412a is amended by paragraph (a)(1)(i) and paragraph
(a)(2) to read as follows:
Sec. 60.5412a What additional requirements must I meet for
determining initial compliance with control devices used to comply with
the emission standards for my centrifugal compressor, and storage
vessel affected facilities?
* * * * *
(a) * * *
(1) * * *
(i) You must reduce the mass content of VOC in the gases vented to
the device by 95.0 percent by weight or greater as determined in
accordance with the requirements of Sec. 60.5413a(b), with the
exceptions noted in Sec. 60.5413a(a).
* * * * *
(2) Each vapor recovery device (e.g., carbon adsorption system or
condenser) or other non-destructive control device must be designed and
operated to reduce the mass content of VOC in the gases vented to the
device by 95.0 percent by weight or greater as determined in accordance
with the requirements of Sec. 60.5413a(b). As an alternative to the
performance testing requirements, you may demonstrate initial
compliance by conducting a design analysis for vapor recovery devices
according to the requirements of Sec. 60.5413a(c).
* * * * *
[[Page 50286]]
0
20. Section 60.5413a is amended by revising paragraph (d)(11)(iii) to
read as follows:
Sec. 60.5413a What are the performance testing procedures for control
devices used to demonstrate compliance at my centrifugal compressor and
storage vessel affected facilities?
* * * * *
(d) * * *
(11) * * *
(iii) A manufacturer must demonstrate a destruction efficiency of
at least 95 percent for THC, as propane. A control device model that
demonstrates a destruction efficiency of 95 percent for THC, as
propane, will meet the control requirement for 95 percent destruction
of VOC (if applicable) required under this subpart.
* * * * *
0
21. Section 60.5415a is amended by revising paragraph (b)(1) and
paragraph (f) to read as follows:
Sec. 60.5415a How do I demonstrate continuous compliance with the
standards for my well, centrifugal compressor, reciprocating
compressor, pneumatic controller, pneumatic pump, storage vessel,
collection of fugitive emissions components at a well site, and
collection of fugitive emissions components at a compressor station
affected facilities, and affected facilities at onshore natural gas
processing plants?
* * * * *
(b) * * *
(1) You must reduce VOC emissions from the wet seal fluid degassing
system by 95.0 percent or greater.
* * * * *
(f) For affected facilities at onshore natural gas processing
plants, continuous compliance with VOC requirements is demonstrated if
you are in compliance with the requirements of Sec. 60.5400a.
* * * * *
0
22. Section 60.5420a is amended by revising paragraph (c)(5)(iv) to
read as follows:
Sec. 60.5420a What are my notification, reporting, and recordkeeping
requirements?
* * * * *
(c) * * *
(5) * * *
(iv) For storage vessels that are skid-mounted or permanently
attached to something that is mobile (such as trucks, railcars, barges
or ships), records indicating the number of consecutive days that the
vessel is located at a site in the oil and natural gas production
segment or natural gas processing segment. If a storage vessel is
removed from a site and, within 30 days, is either returned to the site
or replaced by another storage vessel at the site to serve the same or
similar function, then the entire period since the original storage
vessel was first located at the site, including the days when the
storage vessel was removed, will be added to the count towards the
number of consecutive days.
* * * * *
0
23. Section 60.5421a is amended by revising the section heading to read
as follows:
Sec. 60.5421a What are my additional recordkeeping requirements for
my affected facility subject to VOC requirements for onshore natural
gas processing plants?
* * * * *
0
24. Section 60.5422a is amended by revising the section heading to read
as follows:
Sec. 60.5422a What are my additional reporting requirements for my
affected facility subject to VOC requirements for onshore natural gas
processing plants?
* * * * *
0
25. Section 60.5430a is amended by:
0
a. Revising the definitions for Compressor station, Crude oil and
natural gas source category, Equipment, and Fugitive emissions
component; and
0
b. Adding the definition for First attempt at repair.
The revisions and addition read as follows:
* * * * *
Compressor station means any permanent combination of one or more
compressors that move natural gas at increased pressure through
gathering pipelines. This includes, but is not limited to, gathering
and boosting stations. The combination of one or more compressors
located at a well site, or located at an onshore natural gas processing
plant, is not a compressor station for purposes of Sec. 60.5397a.
* * * * *
Crude oil and natural gas source category mean:
(1) Crude oil production, which includes the well and extends to
the point of custody transfer to the crude oil transmission pipeline or
any other forms of transportation; and
(2) Natural gas production and processing, which includes the well
and extends to, but does not include, the point of custody transfer to
the natural gas transmission and storage segment.
* * * * *
Equipment, as used in the standards and requirements in this
subpart relative to the equipment leaks of VOC from onshore natural gas
processing plants, means each pump, pressure relief device, open-ended
valve or line, valve, and flange or other connector that is in VOC
service or in wet gas service, and any device or system required by
those same standards and requirements in this subpart.
* * * * *
First attempt at repair means, for the purposes of fugitive
emissions components, an action taken for the purpose of stopping or
reducing fugitive emissions of VOC to the atmosphere. First attempts at
repair include, but are not limited to, the following practices where
practicable and appropriate: Tightening bonnet bolts; replacing bonnet
bolts; tightening packing gland nuts; or injecting lubricant into
lubricated packing.
* * * * *
Fugitive emissions component means any component that has the
potential to emit fugitive emissions of VOC at a well site or
compressor station, including valves, connectors, pressure relief
devices, open-ended lines, flanges, covers and closed vent systems not
subject to Sec. Sec. 60.5411 or 60.5411a, thief hatches or other
openings on a controlled storage vessel not subject to Sec. Sec.
60.5395 or 60.5395a, compressors, instruments, and meters. Devices that
vent as part of normal operations, such as natural gas-driven pneumatic
controllers or natural gas-driven pumps, are not fugitive emissions
components, insofar as the natural gas discharged from the device's
vent is not considered a fugitive emission. Emissions originating from
other than the device's vent, such as the thief hatch on a controlled
storage vessel, would be considered fugitive emissions.
* * * * *
[FR Doc. 2019-19876 Filed 9-23-19; 8:45 am]
BILLING CODE 6560-50-P