Takes of Marine Mammals Incidental to Specified Activities; Taking Marine Mammals Incidental to Oil and Gas Activities in Cook Inlet, Alaska, 53119-53122 [2019-21692]
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Federal Register / Vol. 84, No. 193 / Friday, October 4, 2019 / Notices
Dated: October 1, 2019.
Donna S. Wieting,
Director, Office of Protected Resources,
National Marine Fisheries Service.
[FR Doc. 2019–21666 Filed 10–3–19; 8:45 am]
BILLING CODE 3510–22–P
DEPARTMENT OF COMMERCE
National Oceanic and Atmospheric
Administration
RIN 0648–XR036
Takes of Marine Mammals Incidental to
Specified Activities; Taking Marine
Mammals Incidental to Oil and Gas
Activities in Cook Inlet, Alaska
National Marine Fisheries
Service (NMFS), National Oceanic and
Atmospheric Administration (NOAA),
Commerce.
ACTION: Notice; issuance of modified
Letter of Authorization.
AGENCY:
Pursuant to the Marine
Mammal Protection Act (MMPA), as
amended, and implementing
regulations, NMFS issued a modified
Letter of Authorization to Hilcorp
Alaska LLC (Hilcorp) to take marine
mammals incidental to oil and gas
activities in Cook Inlet, Alaska.
DATES: Effective until July 31, 2020.
FOR FURTHER INFORMATION CONTACT: Sara
Young, Office of Protected Resources,
NMFS, (301) 427–8401.
SUPPLEMENTARY INFORMATION:
SUMMARY:
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Background
Sections 101(a)(5)(A) and (D) of the
MMPA (16 U.S.C. 1361 et seq.) direct
the Secretary of Commerce (as delegated
to NMFS) to allow, upon request, the
incidental, but not intentional, taking of
small numbers of marine mammals by
U.S. citizens who engage in a specified
activity (other than commercial fishing)
within a specified geographical region if
certain findings are made and either
regulations are issued or, if the taking is
limited to harassment, a notice of a
proposed authorization is provided to
the public for review.
An incidental take authorization shall
be granted if NMFS finds that the taking
will have a negligible impact on the
species or stock(s), will not have an
unmitigable adverse impact on the
availability of the species or stock(s) for
subsistence uses (where relevant), and if
the permissible methods of taking and
requirements pertaining to the
mitigation, monitoring and reporting of
such takings are set forth.
NMFS has defined ‘‘negligible
impact’’ in 50 CFR 216.103 as an impact
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resulting from the specified activity that
cannot be reasonably expected to, and is
not reasonably likely to, adversely affect
the species or stock through effects on
annual rates of recruitment or survival.
The MMPA states that the term ‘‘take’’
means to harass, hunt, capture, kill or
attempt to harass, hunt, capture, or kill
any marine mammal.
Except with respect to certain
activities not pertinent here, the MMPA
defines ‘‘harassment’’ as: Any act of
pursuit, torment, or annoyance, which
(i) has the potential to injure a marine
mammal or marine mammal stock in the
wild (Level A harassment); or (ii) has
the potential to disturb a marine
mammal or marine mammal stock in the
wild by causing disruption of behavioral
patterns, including, but not limited to,
migration, breathing, nursing, breeding,
feeding, or sheltering (Level B
harassment).
Summary of Request
NMFS issued regulations governing
the take of eleven species of marine
mammal, by Level A and Level B
harassment, incidental to Hilcorp’s oil
and gas activities on July 31, 2019 (84
FR 37442). These regulations include
mitigation, monitoring, and reporting
requirements for the incidental take of
marine mammals during the specified
activities. As further detailed in the
regulations (50 CFR 217.167), adaptive
management measures allow NMFS to
modify or renew Letters of
Authorization as necessary if doing so
creates a reasonable likelihood of more
effectively accomplishing the goals of
mitigation and monitoring set forth in
those regulations.
Here, NMFS proposes to modify a
mitigation measure pertaining to 3D
seismic surveying during Year 1 of
Hilcorp’s activity. NMFS’ final
regulations contain a mitigation
measure that mistakenly states that the
entire exclusion zone (EZ) must be
visually cleared by protected species
observers (PSOs) before ramp up of
seismic airguns during the 3D seismic
survey may occur. This measure is
correct for operations beginning in
daylight hours, however, requiring
visual clearance of the entirety of the EZ
to ramp up airgun activity at night was
not NMFS’ intent. The intent was that
PSOs should monitor the EZ to the
greatest extent possible for 30 minutes
prior to ramp-up of nighttime
operations, but with the understanding
that it is not possible to observe the
entirety of the EZ at night and that
Hilcorp would still be allowed to
initiate ramp-up as long as no marine
mammals were seen during this time. If
any marine mammal is observed in the
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EZ, during daylight hours or at night,
ramp up would not commence until
either the animal has voluntarily left
and been visually confirmed outside the
EZ or the required amount of time (15
minutes for porpoises and pinnipeds, 30
minutes for cetaceans) has passed
without re-detection of the animal. The
analysis and findings contained in the
final rule were made under the premise
that nighttime ramp up of airguns is
allowable.
Ramping up airgun activity at night is
essential to Hilcorp’s survey design and
minimizes the amount of days that
active acoustic sources are emitting
sound into the marine environment. As
described in Hilcorp’s application,
acquisition of one line of 3D seismic
takes approximately five hours. At the
end of a line while the vessel turns to
prepare for the next line acquisition,
NMFS requires that airguns are turned
off, to reduce the amount of unnecessary
noise emitted into the marine
environment. Turning the source vessel
takes approximately one and a half
hours, during which no noise is emitted
from airguns. By allowing ramp up of
airguns at night, the total number of 3D
seismic survey days is notably reduced,
which reduces both the total duration of
impacts on the acoustic habitat of
marine mammals, as well as the impacts
on (and potentially take of) marine
mammals themselves.
Specifically, while there is a
somewhat higher probability that a
marine mammal might go unseen within
the clearance zone when the airguns are
initiated at night, the likelihood of
injury is still low because of the rampup requirement, which ensures that any
initial injury zone is small and allows
animals time to move away from the
source. In addition, PSOs are on duty
monitoring the exclusion zone to the
degree possible at that time. Further,
any potential slight increase in the
probability of injury (in the form of a
small degree of permanent threshold
shift (PTS), and not considered at all
likely, or authorized, for beluga whales
or other mid-frequency specialists) is
offset by the reduced behavioral
harassment and reduced potential for
more serious energetic effects expected
to result from the significant reduction
in the overall number of days across
which the area will be ensonified by the
airgun operation.
Ramp up of airguns at night is also the
most practicable survey design, which
allows the survey to be completed as
quickly as possible before weather
conditions deteriorate and daylight
decreases in Cook Inlet, and at less cost.
Of important note, this change in
mitigation does not change either the
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predicted take numbers or the negligible
impact analysis, as the predicted Level
A harassment (injury) numbers
conservatively do not include any sort
of an adjustment to account for the
effectiveness of any of the measures. We
did not reduce the estimation of take
based on an assumed level of
effectiveness of the required mitigation
and monitoring. In other words, we
have determined that the level of taking
will be consistent with the findings
made for the total taking allowable
under the specific regulations.
Public Comments and Responses
A notice of NMFS’s proposal to
modify a LOA was published in the
Federal Register on August 16, 2019 (84
FR 41957). That notice described the
necessity of the modification and
affirmed that modifying the mitigation
measure did not change any of our
findings under the MMPA made in the
rulemaking and issuance of the original
LOA. During the 30-day public
comment period, NMFS received
comments from 11,821 individuals, as
well as several groups and societies.
Approximately 11,809 commenters
followed one of two generic template
formats, in which respondents provided
comments that were identical or
substantively the same. Of the two
generic letter forms described above,
one of the templates, used by
approximately 11,638 commenters,
generally referenced oil and gas drilling
by Hilcorp and requested that NMFS
refrain from permitting oil and gas
exploration. As NMFS does not permit
oil and gas exploration activities and
these comments are outside the scope of
our proposed modification (ramp-up of
seismic airguns at night), NMFS did not
address these comments further.
NMFS has reviewed all public
comments received on the proposed
modification of a LOA issued to
Hilcorp. Comments indicating general
support for or opposition to
hydrocarbon exploration but not
containing relevant recommendations or
information are not addressed here.
Similarly, any comments relating to
hydrocarbon development (e.g., leasing,
drilling)—including numerous
comments received that expressed
concern regarding the risks of oil spills
or of potential future industrialization of
Cook Inlet—are not relevant to the
proposed actions and therefore were not
considered and are not addressed here.
We also provide no response to specific
comments that addressed species or
statutes not relevant to our proposed
actions under section 101(a)(5)(A) of the
MMPA (e.g., comments related to sea
otters).
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Comment: The Kachemak Bay
Conservation Society, as well as many
other commenters, commented that if
seismic ramp-up will be allowed at
night, there needs to be ‘‘around the
clock’’ monitoring.
Response: NMFS agrees with this
assertion. The regulations require
constant visual monitoring by PSOs
during seismic activities, as well as the
designated pre- and post-activity
periods. NMFS acknowledges that
visibility of PSOs at night is reduced,
but Hilcorp is still required to use PSOs
to observe to the greatest extent possible
during nighttime hours of seismic
operation.
Comment: The Kachemak Bay
Conservation Society also comments
that NMFS must support their reasoning
that nighttime ramp-up of seismic
airguns will have a lower impact on
marine mammals than refraining from
ramping up at night. The Center for
Biological Diversity (CBD) and Cook
Inletkeeper commented similarly that
NMFS’ argument that nighttime
operations minimize the amount of days
that active acoustic sources are emitting
sound into the marine environment and
thus minimizes exposure is not
supported by anything but conclusory
statements.
Response: The requirement to cease
operations at night is not only
impracticable, it would also likely result
in greater impacts to marine mammals,
as such a measure would require
operations to continue for roughly twice
the time. The window of availability in
which to conduct seismic in Cook Inlet
is particularly limited due to the large
tidal fluctuations. Even under good
conditions, it is important to recognize
the possibility that not all animals will
be observed and cryptic species may not
be observed at all. While visual
observation is a common sense
mitigation measure, its presence should
not be determinative of when survey
effort may occur. Given the lack of
proven efficacy of visual observation in
preventing auditory injury, its absence
should not imply such potentially
detrimental impacts on marine
mammals. We also believe that the
concentration of survey effort in the
shortest duration of time possible will
reduce the number of days on which
marine mammals may be harassed and
ensures that the surrounding marine
environment can return to ambient
noise levels as quickly as possible.
Comment: The Marine Mammal
Commission (MMC) recommended that
NMFS reconsider requiring the use of
towed passive acoustic monitoring
(PAM) and night-vision devices to better
assess whether the exclusion zone is
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clear prior to implementing ramp-up
procedures at night and consult with
other seismic operators regarding the
standard use of these devices in other
regions. The CBD and Cook Inletkeeper
submitted a similar comment suggested
NMFS arbitrarily dismissed the use of
PAM and thermal technologies for
nighttime observations. The MMC also
commented that NMFS should consult
with acousticians at the Alaska
Fisheries Science Center and the
University of St. Andrews regarding
acoustically monitoring for the various
species in Cook Inlet.
Response: NMFS discussed the
reasons that PAM was considered but
not required for Hilcorp’s activities in
our final rule (84 FR 37442; July 31,
2019). These circumstances, including
the physical environmental
characteristics of Cook Inlet and the
practicability of the measure, have not
changed since issuance of the final rule
and LOA. For previous authorizations,
NMFS has worked with the Alaska
Fisheries Science Center to develop a
real-time practicable acoustic
monitoring plan for implementation
during seismic activity. Despite
coordination with the Science Center,
the use of PAM only resulted in two
detections of beluga whales over the
course of the entire survey. The
detections occurred outside of active
seismic activity and therefore did not
result in any shutdowns. When
expanded to all species, the use of PAM
resulted in only 15 acoustic detections
across all nighttime or low visibility
hours, a detection rate of 0.049
detections per hour, as compared to a
sighting rate of 0.135 detections per
hour from visual observations (Kendall
et al., 2015). Therefore, when the
limited effectiveness and value in
decreasing impacts to marine mammals
is considered in combination with the
cost and impracticability of
implementation, NMFS finds that the
measure is not warranted, and PAM will
not be required under this modified
LOA.
However, since the final regulations
were issued and in response to these
comments, Hilcorp has equipped its
source vessel with PV14 night vision
devices and a requirement that they are
used for observations at night or during
other periods of low visibility for 3D
seismic surveying has been added to
this modified LOA. These devices are
only outfitted on the source vessel and
will only be used by PSOs aboard the
source vessel, not the mitigation vessel.
Comment: The Commission
recommended that NMFS require
Hilcorp to limit ramp up at night and
during low-visibility conditions to
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situations in which operational
planning cannot reasonably avoid such
circumstances.
Response: NMFS agrees with this
recommendation and will include it in
the modified LOA.
Comment: The Commission
recommended that NMFS specify the
radial distances of the exclusion and
safety zones, as well as the Level A and
B harassment zones, for all sound
sources and remove all references to
mitigation and monitoring zones in
Hilcorp’s modified and subsequent
LOAs.
Response: NMFS agrees that
including the radial distances of
exclusion and safety zones with the
modified LOA would enhance clarity
regarding the zones and has attached a
chart with the relevant zones to the
modified LOA. These zones may be
modified pending results and review of
sound source verifications as discussed
in the final rule.
Comment: The CBD and Cook
Inletkeeper commented that if NMFS
plans to allow nighttime seismic
surveys without clearing the exclusion
zone, the incidental take regulations and
environmental analyses must be
amended and re-circulated for public
comment. The commenters emphasized
that a nighttime exception to clearing
the full extent of the exclusion zone
does not appear in the incidental take
regulations.
Response: NMFS reminds the
commenters that the incidental take
regulations allowed for the continuation
of operation of seismic airguns at night,
as long as ramp up was conducted
during a period of good visibility and
the exclusion zone was fully cleared.
The alteration to allow ramp up at night
when operationally necessary does not
change the take estimations, any of our
findings under the MMPA in the
rulemaking, or our finding of no
significant impact under the National
Environmental Policy Act (NEPA). PSO
observations are still required from preactivity ramp up through the 30 minute
post-activity monitoring period and now
night vision devices will also be
required for observations conducted at
night or in low visibility conditions.
NMFS used the adaptive management
provision described in the regulations
and sought public comment on the
proposed change to the LOA.
Comment: The CBD and Cook
Inletkeeper commented that NMFS
failed to explain why other measures are
not practicable to minimize take and to
maximize monitoring and enforcement
of take limits.
Response: NMFS discussed in the
notice of proposed modification of the
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LOA why the prohibition of nighttime
ramp up for seismic surveying is not
practicable. Cook Inlet tidal fluctuations
present already limited windows within
which seismic surveying can be done
and some of those limited windows
occur at night. By prohibiting nighttime
ramp up, NMFS would extend the total
duration of the survey, increasing the
number of days that the seismic
surveying equipment is on the water
and increasing the total number of days
during which noise is emitted to the
marine environment. The monitoring
data from previous seismic surveys in
Cook Inlet indicate greatly reduced
detections of marine mammals by PSOs
in the presence of seismic activity and
increase in detections when the airguns
are not in use. This evidence suggests
there is a potential aversion response by
marine mammals to airgun noise and
potential re-entry when the
environment returns to ambient levels.
Allowing ramp up of seismic at night
when operationally necessary ensures
the seismic work is concentrated in the
fewest number of days possible, thereby
reducing the number of days that
marine mammals will exhibit aversion
responses and temporarily abandon
their preferred habitat. Prohibiting
nighttime ramp up because potentially
not all animals in the exclusion zone
will be observed creates a notable
increase in total duration and could
greatly increase the number of separate
occasions on which animals may leave
their preferred habitat and interrupt
typical behavioral patterns. An
increased number of days of overall
survey duration could then extend the
seismic surveying into the cold and dark
months of Cook Inlet creating
increasingly hazardous conditions for
the seismic operators and decreasing the
amount of seismic that can be
completed each day with increasingly
limited daylight hours. Full visibility of
the Level A and Level B harassment
isopleths is not practicable, nor is it
required based on the rationale included
in our comment response below. The
size of the Level B zones for 3D seismic
are prohibitive to monitor at a level
requiring full visibility, which would
increase the number of vessels on the
water and personnel required to be at
sea. To ensure that takes are estimated
as accurately as possible, the
extrapolation detailed below is used by
Hilcorp to address the assumption that
some proportion of takes may occur in
the unmonitored portions of the
isopleths.
Comment: The CBD and Cook
Inletkeeper commented that NMFS has
not provided a sufficient explanation for
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53121
why a greater monitoring area consistent
with the harassment isopleth is not
required nor why other mitigation
measures are not employed to monitor
the full Level A or Level B isopleths.
The commenters also questioned how
take is recorded if the full extent of the
Level A and Level B zones are not
observed and why NMFS does not
believe allowing nighttime ramp-up
would change our estimation of Level B
take.
Response: Through the rulemaking
and Letters of Authorization, NMFS is
authorizing take, by Level A and Level
B harassment, of marine mammals.
Avoiding all take of marine mammals is
not a requirement or the goal of
mitigation and monitoring requirements
laid out in the rulemaking. In order to
issue an LOA under section 101(a)(5)(A)
of the MMPA, NMFS was required to set
forth the permissible methods of taking
pursuant to such activity, and other
means of effecting the least practicable
impact on such species or stock and its
habitat, paying particular attention to
rookeries, mating grounds, and areas of
similar significance, and on the
availability of such species or stock for
taking for certain subsistence uses.
NMFS considered information about the
availability and feasibility (economic
and technological) of equipment,
methods, and manner of conducting
such activity or other means of effecting
the least practicable adverse impact
upon the affected species or stocks and
their habitat (50 CFR 216.104(a)(11)). In
evaluating how mitigation may or may
not be appropriate to ensure the least
practicable adverse impact on species or
stocks and their habitat, as well as
subsistence uses where applicable,
NMFS considered two primary factors:
(1) The manner in which, and the
degree to which, the successful
implementation of the measure(s) is
expected to reduce impacts to marine
mammals, marine mammal species or
stocks, and their habitat, as well as
subsistence uses. This considers the
nature of the potential adverse impact
being mitigated (likelihood, scope,
range). It further considers the
likelihood that the measure will be
effective if implemented (probability of
accomplishing the mitigating result if
implemented as planned), the
likelihood of effective implementation
(probability implemented as planned);
and (2) the practicability of the
measures for applicant implementation,
which may consider such things as cost
and impact on operations. We have
acknowledged that some limited
occurrence of auditory injury is likely,
for low- and high-frequency cetaceans
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as well as some pinniped species.
However, we disagree that a larger
standard exclusion zone is warranted.
As we explained in our rulemaking, our
intent in prescribing standard exclusion
zone distances is to: (1) Encompass
zones for most species within which
auditory injury could occur on the basis
of instantaneous exposure; (2) provide
additional protection from the potential
for more severe behavioral reactions
(e.g., panic, antipredator response) for
marine mammals at relatively close
range to the acoustic source; (3) provide
consistency and ease of implementation
for PSOs, who need to monitor and
implement the exclusion zones; and (4)
to define a distance within which
detection probabilities are reasonably
high for most species under typical
conditions. Our use of 100-m and 500m zones is not based directly on any
quantitative understanding of the range
at which auditory injury would be
entirely precluded or any range
specifically related to disruption of
behavioral patterns. Rather, we believe
it is a reasonable combination of factors.
In summary, a practicable criterion such
as this has the advantage of familiarity
and simplicity while still providing in
most cases a zone larger than relevant
auditory injury zones, given realistic
movement of source and receiver.
Increased shutdowns, without a firm
idea of the outcome the measure seeks
to avoid, simply displace survey activity
in time and increase the total duration
of acoustic influence as well as total
sound energy in the water.
We agree that, when practicable, the
exclusion zone should encompass
distances within which auditory injury
is expected to occur on the basis of
instantaneous exposure. However,
potential auditory injury is based on the
accumulation of energy, and is therefore
not a straightforward consideration. For
example, observation of a whale at the
distance calculated as being the ‘‘Level
A isopleth’’ does not necessarily mean
that the animal has in fact incurred
auditory injury. Rather, the animal
would have to be at the calculated
distance (or closer) as the mobile source
approaches, passes, and recedes from
the exposed animal, being exposed to
and accumulating energy from airgun
pulses the entire time.
When evaluating the nighttime ramp
up of seismic airguns, NMFS
determined the data from previous
seismic monitoring programs did not
suggest that there would be a difference
in the severity of impacts to marine
mammals by not fully clearing the
exclusion zone during nighttime ramp
up that was not addressed through the
number and type of taking authorized
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for Hilcorp’s activities in the
rulemaking. Ramp up would still be
required for use of airguns at night and
the use of ramp up still allows marine
mammals to avoid the area before the
full source level is realized. The
mitigation measure that would be least
effective due to low visibility conditions
at night would be the implementation of
the full extent of the exclusion zone and
as discussed above, it is unlikely that
animals would remain within the
exclusion zone for the duration of the
seismic activity such that injury is
incurred. However, in the event that
injury is incurred, Level A take was
authorized for species more likely to
occur in the survey area or for species
that are difficult to detect. Similarly,
Level B take is authorized incidental to
Hilcorp’s activities. These allowable
takes were not calculated by assuming
some underlying effectiveness of the
mitigation and monitoring. No amount
of Level B take was discounted from the
total amount of take authorized because
of assumptions of effectiveness of
daytime monitoring. The amount of
Level B take that may occur during
seismic activity is unchanged, but the
number of takes likely to be observed
and recorded at night is slightly
lessened by reduced visibility.
Regarding the counting and tracking
of allowable takes, Hilcorp is using a
methodology similar to that used by
many other incidental take
authorization applicants. Hilcorp will
use the number of takes observed by
PSOs within the monitored distance and
will extrapolate those takes to estimate
a number of unseen takes in the
unmonitored area that is the rest of the
relevant isopleth. Hilcorp will include
these estimations in their reports to
NMFS to ensure take is not exceeded
during their activity.
Comment: The CBD and Cook
Inletkeeper commented that NMFS’
estimation of take of Cook Inlet belugas
is flawed because ramp-up is not
considered a take in our analyses.
Response: It is unclear if the
commenters are referencing estimation
of take pre-activity or accounting for
take post-activity. NMFS disagrees with
the commenters. Any animal sighted at
any distance from the vessel during preclearance, ramp-up, seismic surveying,
or post-activity monitoring is recorded
as an observation and this information
will be provided to NMFS in Hilcorp’s
monitoring reports. The sighting is not
necessarily considered a take as the
exclusion zone is derived from the
energy output of the full seismic airgun
array and any sound a marine mammal
would be exposed to during ramp up is
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a lesser amount of energy than the full
airgun array.
Authorization
NMFS has issued a modified LOA
(available at https://
www.fisheries.noaa.gov/action/
incidental-take-authorization-hilcorpalaska-llc-oil-and-gas-activities-cookinlet-alaska) to Hilcorp Alaska LLC for
the potential harassment of small
numbers of four marine mammal
species incidental to oil and gas
activities in Cook Inlet, Alaska,
provided the mitigation, monitoring and
reporting requirements of the
rulemaking are incorporated.
Dated: September 30, 2019.
Donna S. Wieting,
Director, Office of Protected Resources,
National Marine Fisheries Service.
[FR Doc. 2019–21692 Filed 10–3–19; 8:45 am]
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Caribbean Fishery Management
Council; Public Meeting
National Marine Fisheries
Service (NMFS), National Oceanic and
Atmospheric Administration (NOAA),
Commerce.
ACTION: Notice of a public webinar
meeting.
AGENCY:
The Caribbean Fishery
Management Council will hold a
webinar meeting to consider
establishing an advisory panel
concerning Ecosystem-Based Fishery
Management. The items to be discussed
are contained in the agenda included in
the SUPPLEMENTARY INFORMATION.
DATES: The webinar meeting will be
held on October 23, 2019, from 10 a.m.
to 5 p.m.
ADDRESSES: The webinar meeting will
be held through GoToMeeting. You can
join the meeting from your computer,
tablet or smartphone at https://
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765313029. You can also dial in using
your phone. United States: +1 (786)
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joining from a video-conferencing room
or system, depending on your device,
dial: 765313029@67.217.95.2 or
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Rivera Avenue, Suite 401, San Juan,
SUMMARY:
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[Federal Register Volume 84, Number 193 (Friday, October 4, 2019)]
[Notices]
[Pages 53119-53122]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2019-21692]
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DEPARTMENT OF COMMERCE
National Oceanic and Atmospheric Administration
RIN 0648-XR036
Takes of Marine Mammals Incidental to Specified Activities;
Taking Marine Mammals Incidental to Oil and Gas Activities in Cook
Inlet, Alaska
AGENCY: National Marine Fisheries Service (NMFS), National Oceanic and
Atmospheric Administration (NOAA), Commerce.
ACTION: Notice; issuance of modified Letter of Authorization.
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SUMMARY: Pursuant to the Marine Mammal Protection Act (MMPA), as
amended, and implementing regulations, NMFS issued a modified Letter of
Authorization to Hilcorp Alaska LLC (Hilcorp) to take marine mammals
incidental to oil and gas activities in Cook Inlet, Alaska.
DATES: Effective until July 31, 2020.
FOR FURTHER INFORMATION CONTACT: Sara Young, Office of Protected
Resources, NMFS, (301) 427-8401.
SUPPLEMENTARY INFORMATION:
Background
Sections 101(a)(5)(A) and (D) of the MMPA (16 U.S.C. 1361 et seq.)
direct the Secretary of Commerce (as delegated to NMFS) to allow, upon
request, the incidental, but not intentional, taking of small numbers
of marine mammals by U.S. citizens who engage in a specified activity
(other than commercial fishing) within a specified geographical region
if certain findings are made and either regulations are issued or, if
the taking is limited to harassment, a notice of a proposed
authorization is provided to the public for review.
An incidental take authorization shall be granted if NMFS finds
that the taking will have a negligible impact on the species or
stock(s), will not have an unmitigable adverse impact on the
availability of the species or stock(s) for subsistence uses (where
relevant), and if the permissible methods of taking and requirements
pertaining to the mitigation, monitoring and reporting of such takings
are set forth.
NMFS has defined ``negligible impact'' in 50 CFR 216.103 as an
impact resulting from the specified activity that cannot be reasonably
expected to, and is not reasonably likely to, adversely affect the
species or stock through effects on annual rates of recruitment or
survival.
The MMPA states that the term ``take'' means to harass, hunt,
capture, kill or attempt to harass, hunt, capture, or kill any marine
mammal.
Except with respect to certain activities not pertinent here, the
MMPA defines ``harassment'' as: Any act of pursuit, torment, or
annoyance, which (i) has the potential to injure a marine mammal or
marine mammal stock in the wild (Level A harassment); or (ii) has the
potential to disturb a marine mammal or marine mammal stock in the wild
by causing disruption of behavioral patterns, including, but not
limited to, migration, breathing, nursing, breeding, feeding, or
sheltering (Level B harassment).
Summary of Request
NMFS issued regulations governing the take of eleven species of
marine mammal, by Level A and Level B harassment, incidental to
Hilcorp's oil and gas activities on July 31, 2019 (84 FR 37442). These
regulations include mitigation, monitoring, and reporting requirements
for the incidental take of marine mammals during the specified
activities. As further detailed in the regulations (50 CFR 217.167),
adaptive management measures allow NMFS to modify or renew Letters of
Authorization as necessary if doing so creates a reasonable likelihood
of more effectively accomplishing the goals of mitigation and
monitoring set forth in those regulations.
Here, NMFS proposes to modify a mitigation measure pertaining to 3D
seismic surveying during Year 1 of Hilcorp's activity. NMFS' final
regulations contain a mitigation measure that mistakenly states that
the entire exclusion zone (EZ) must be visually cleared by protected
species observers (PSOs) before ramp up of seismic airguns during the
3D seismic survey may occur. This measure is correct for operations
beginning in daylight hours, however, requiring visual clearance of the
entirety of the EZ to ramp up airgun activity at night was not NMFS'
intent. The intent was that PSOs should monitor the EZ to the greatest
extent possible for 30 minutes prior to ramp-up of nighttime
operations, but with the understanding that it is not possible to
observe the entirety of the EZ at night and that Hilcorp would still be
allowed to initiate ramp-up as long as no marine mammals were seen
during this time. If any marine mammal is observed in the EZ, during
daylight hours or at night, ramp up would not commence until either the
animal has voluntarily left and been visually confirmed outside the EZ
or the required amount of time (15 minutes for porpoises and pinnipeds,
30 minutes for cetaceans) has passed without re-detection of the
animal. The analysis and findings contained in the final rule were made
under the premise that nighttime ramp up of airguns is allowable.
Ramping up airgun activity at night is essential to Hilcorp's
survey design and minimizes the amount of days that active acoustic
sources are emitting sound into the marine environment. As described in
Hilcorp's application, acquisition of one line of 3D seismic takes
approximately five hours. At the end of a line while the vessel turns
to prepare for the next line acquisition, NMFS requires that airguns
are turned off, to reduce the amount of unnecessary noise emitted into
the marine environment. Turning the source vessel takes approximately
one and a half hours, during which no noise is emitted from airguns. By
allowing ramp up of airguns at night, the total number of 3D seismic
survey days is notably reduced, which reduces both the total duration
of impacts on the acoustic habitat of marine mammals, as well as the
impacts on (and potentially take of) marine mammals themselves.
Specifically, while there is a somewhat higher probability that a
marine mammal might go unseen within the clearance zone when the
airguns are initiated at night, the likelihood of injury is still low
because of the ramp-up requirement, which ensures that any initial
injury zone is small and allows animals time to move away from the
source. In addition, PSOs are on duty monitoring the exclusion zone to
the degree possible at that time. Further, any potential slight
increase in the probability of injury (in the form of a small degree of
permanent threshold shift (PTS), and not considered at all likely, or
authorized, for beluga whales or other mid-frequency specialists) is
offset by the reduced behavioral harassment and reduced potential for
more serious energetic effects expected to result from the significant
reduction in the overall number of days across which the area will be
ensonified by the airgun operation.
Ramp up of airguns at night is also the most practicable survey
design, which allows the survey to be completed as quickly as possible
before weather conditions deteriorate and daylight decreases in Cook
Inlet, and at less cost.
Of important note, this change in mitigation does not change either
the
[[Page 53120]]
predicted take numbers or the negligible impact analysis, as the
predicted Level A harassment (injury) numbers conservatively do not
include any sort of an adjustment to account for the effectiveness of
any of the measures. We did not reduce the estimation of take based on
an assumed level of effectiveness of the required mitigation and
monitoring. In other words, we have determined that the level of taking
will be consistent with the findings made for the total taking
allowable under the specific regulations.
Public Comments and Responses
A notice of NMFS's proposal to modify a LOA was published in the
Federal Register on August 16, 2019 (84 FR 41957). That notice
described the necessity of the modification and affirmed that modifying
the mitigation measure did not change any of our findings under the
MMPA made in the rulemaking and issuance of the original LOA. During
the 30-day public comment period, NMFS received comments from 11,821
individuals, as well as several groups and societies. Approximately
11,809 commenters followed one of two generic template formats, in
which respondents provided comments that were identical or
substantively the same. Of the two generic letter forms described
above, one of the templates, used by approximately 11,638 commenters,
generally referenced oil and gas drilling by Hilcorp and requested that
NMFS refrain from permitting oil and gas exploration. As NMFS does not
permit oil and gas exploration activities and these comments are
outside the scope of our proposed modification (ramp-up of seismic
airguns at night), NMFS did not address these comments further.
NMFS has reviewed all public comments received on the proposed
modification of a LOA issued to Hilcorp. Comments indicating general
support for or opposition to hydrocarbon exploration but not containing
relevant recommendations or information are not addressed here.
Similarly, any comments relating to hydrocarbon development (e.g.,
leasing, drilling)--including numerous comments received that expressed
concern regarding the risks of oil spills or of potential future
industrialization of Cook Inlet--are not relevant to the proposed
actions and therefore were not considered and are not addressed here.
We also provide no response to specific comments that addressed species
or statutes not relevant to our proposed actions under section
101(a)(5)(A) of the MMPA (e.g., comments related to sea otters).
Comment: The Kachemak Bay Conservation Society, as well as many
other commenters, commented that if seismic ramp-up will be allowed at
night, there needs to be ``around the clock'' monitoring.
Response: NMFS agrees with this assertion. The regulations require
constant visual monitoring by PSOs during seismic activities, as well
as the designated pre- and post-activity periods. NMFS acknowledges
that visibility of PSOs at night is reduced, but Hilcorp is still
required to use PSOs to observe to the greatest extent possible during
nighttime hours of seismic operation.
Comment: The Kachemak Bay Conservation Society also comments that
NMFS must support their reasoning that nighttime ramp-up of seismic
airguns will have a lower impact on marine mammals than refraining from
ramping up at night. The Center for Biological Diversity (CBD) and Cook
Inletkeeper commented similarly that NMFS' argument that nighttime
operations minimize the amount of days that active acoustic sources are
emitting sound into the marine environment and thus minimizes exposure
is not supported by anything but conclusory statements.
Response: The requirement to cease operations at night is not only
impracticable, it would also likely result in greater impacts to marine
mammals, as such a measure would require operations to continue for
roughly twice the time. The window of availability in which to conduct
seismic in Cook Inlet is particularly limited due to the large tidal
fluctuations. Even under good conditions, it is important to recognize
the possibility that not all animals will be observed and cryptic
species may not be observed at all. While visual observation is a
common sense mitigation measure, its presence should not be
determinative of when survey effort may occur. Given the lack of proven
efficacy of visual observation in preventing auditory injury, its
absence should not imply such potentially detrimental impacts on marine
mammals. We also believe that the concentration of survey effort in the
shortest duration of time possible will reduce the number of days on
which marine mammals may be harassed and ensures that the surrounding
marine environment can return to ambient noise levels as quickly as
possible.
Comment: The Marine Mammal Commission (MMC) recommended that NMFS
reconsider requiring the use of towed passive acoustic monitoring (PAM)
and night-vision devices to better assess whether the exclusion zone is
clear prior to implementing ramp-up procedures at night and consult
with other seismic operators regarding the standard use of these
devices in other regions. The CBD and Cook Inletkeeper submitted a
similar comment suggested NMFS arbitrarily dismissed the use of PAM and
thermal technologies for nighttime observations. The MMC also commented
that NMFS should consult with acousticians at the Alaska Fisheries
Science Center and the University of St. Andrews regarding acoustically
monitoring for the various species in Cook Inlet.
Response: NMFS discussed the reasons that PAM was considered but
not required for Hilcorp's activities in our final rule (84 FR 37442;
July 31, 2019). These circumstances, including the physical
environmental characteristics of Cook Inlet and the practicability of
the measure, have not changed since issuance of the final rule and LOA.
For previous authorizations, NMFS has worked with the Alaska Fisheries
Science Center to develop a real-time practicable acoustic monitoring
plan for implementation during seismic activity. Despite coordination
with the Science Center, the use of PAM only resulted in two detections
of beluga whales over the course of the entire survey. The detections
occurred outside of active seismic activity and therefore did not
result in any shutdowns. When expanded to all species, the use of PAM
resulted in only 15 acoustic detections across all nighttime or low
visibility hours, a detection rate of 0.049 detections per hour, as
compared to a sighting rate of 0.135 detections per hour from visual
observations (Kendall et al., 2015). Therefore, when the limited
effectiveness and value in decreasing impacts to marine mammals is
considered in combination with the cost and impracticability of
implementation, NMFS finds that the measure is not warranted, and PAM
will not be required under this modified LOA.
However, since the final regulations were issued and in response to
these comments, Hilcorp has equipped its source vessel with PV14 night
vision devices and a requirement that they are used for observations at
night or during other periods of low visibility for 3D seismic
surveying has been added to this modified LOA. These devices are only
outfitted on the source vessel and will only be used by PSOs aboard the
source vessel, not the mitigation vessel.
Comment: The Commission recommended that NMFS require Hilcorp to
limit ramp up at night and during low-visibility conditions to
[[Page 53121]]
situations in which operational planning cannot reasonably avoid such
circumstances.
Response: NMFS agrees with this recommendation and will include it
in the modified LOA.
Comment: The Commission recommended that NMFS specify the radial
distances of the exclusion and safety zones, as well as the Level A and
B harassment zones, for all sound sources and remove all references to
mitigation and monitoring zones in Hilcorp's modified and subsequent
LOAs.
Response: NMFS agrees that including the radial distances of
exclusion and safety zones with the modified LOA would enhance clarity
regarding the zones and has attached a chart with the relevant zones to
the modified LOA. These zones may be modified pending results and
review of sound source verifications as discussed in the final rule.
Comment: The CBD and Cook Inletkeeper commented that if NMFS plans
to allow nighttime seismic surveys without clearing the exclusion zone,
the incidental take regulations and environmental analyses must be
amended and re-circulated for public comment. The commenters emphasized
that a nighttime exception to clearing the full extent of the exclusion
zone does not appear in the incidental take regulations.
Response: NMFS reminds the commenters that the incidental take
regulations allowed for the continuation of operation of seismic
airguns at night, as long as ramp up was conducted during a period of
good visibility and the exclusion zone was fully cleared. The
alteration to allow ramp up at night when operationally necessary does
not change the take estimations, any of our findings under the MMPA in
the rulemaking, or our finding of no significant impact under the
National Environmental Policy Act (NEPA). PSO observations are still
required from pre-activity ramp up through the 30 minute post-activity
monitoring period and now night vision devices will also be required
for observations conducted at night or in low visibility conditions.
NMFS used the adaptive management provision described in the
regulations and sought public comment on the proposed change to the
LOA.
Comment: The CBD and Cook Inletkeeper commented that NMFS failed to
explain why other measures are not practicable to minimize take and to
maximize monitoring and enforcement of take limits.
Response: NMFS discussed in the notice of proposed modification of
the LOA why the prohibition of nighttime ramp up for seismic surveying
is not practicable. Cook Inlet tidal fluctuations present already
limited windows within which seismic surveying can be done and some of
those limited windows occur at night. By prohibiting nighttime ramp up,
NMFS would extend the total duration of the survey, increasing the
number of days that the seismic surveying equipment is on the water and
increasing the total number of days during which noise is emitted to
the marine environment. The monitoring data from previous seismic
surveys in Cook Inlet indicate greatly reduced detections of marine
mammals by PSOs in the presence of seismic activity and increase in
detections when the airguns are not in use. This evidence suggests
there is a potential aversion response by marine mammals to airgun
noise and potential re-entry when the environment returns to ambient
levels. Allowing ramp up of seismic at night when operationally
necessary ensures the seismic work is concentrated in the fewest number
of days possible, thereby reducing the number of days that marine
mammals will exhibit aversion responses and temporarily abandon their
preferred habitat. Prohibiting nighttime ramp up because potentially
not all animals in the exclusion zone will be observed creates a
notable increase in total duration and could greatly increase the
number of separate occasions on which animals may leave their preferred
habitat and interrupt typical behavioral patterns. An increased number
of days of overall survey duration could then extend the seismic
surveying into the cold and dark months of Cook Inlet creating
increasingly hazardous conditions for the seismic operators and
decreasing the amount of seismic that can be completed each day with
increasingly limited daylight hours. Full visibility of the Level A and
Level B harassment isopleths is not practicable, nor is it required
based on the rationale included in our comment response below. The size
of the Level B zones for 3D seismic are prohibitive to monitor at a
level requiring full visibility, which would increase the number of
vessels on the water and personnel required to be at sea. To ensure
that takes are estimated as accurately as possible, the extrapolation
detailed below is used by Hilcorp to address the assumption that some
proportion of takes may occur in the unmonitored portions of the
isopleths.
Comment: The CBD and Cook Inletkeeper commented that NMFS has not
provided a sufficient explanation for why a greater monitoring area
consistent with the harassment isopleth is not required nor why other
mitigation measures are not employed to monitor the full Level A or
Level B isopleths. The commenters also questioned how take is recorded
if the full extent of the Level A and Level B zones are not observed
and why NMFS does not believe allowing nighttime ramp-up would change
our estimation of Level B take.
Response: Through the rulemaking and Letters of Authorization, NMFS
is authorizing take, by Level A and Level B harassment, of marine
mammals. Avoiding all take of marine mammals is not a requirement or
the goal of mitigation and monitoring requirements laid out in the
rulemaking. In order to issue an LOA under section 101(a)(5)(A) of the
MMPA, NMFS was required to set forth the permissible methods of taking
pursuant to such activity, and other means of effecting the least
practicable impact on such species or stock and its habitat, paying
particular attention to rookeries, mating grounds, and areas of similar
significance, and on the availability of such species or stock for
taking for certain subsistence uses. NMFS considered information about
the availability and feasibility (economic and technological) of
equipment, methods, and manner of conducting such activity or other
means of effecting the least practicable adverse impact upon the
affected species or stocks and their habitat (50 CFR 216.104(a)(11)).
In evaluating how mitigation may or may not be appropriate to ensure
the least practicable adverse impact on species or stocks and their
habitat, as well as subsistence uses where applicable, NMFS considered
two primary factors: (1) The manner in which, and the degree to which,
the successful implementation of the measure(s) is expected to reduce
impacts to marine mammals, marine mammal species or stocks, and their
habitat, as well as subsistence uses. This considers the nature of the
potential adverse impact being mitigated (likelihood, scope, range). It
further considers the likelihood that the measure will be effective if
implemented (probability of accomplishing the mitigating result if
implemented as planned), the likelihood of effective implementation
(probability implemented as planned); and (2) the practicability of the
measures for applicant implementation, which may consider such things
as cost and impact on operations. We have acknowledged that some
limited occurrence of auditory injury is likely, for low- and high-
frequency cetaceans
[[Page 53122]]
as well as some pinniped species. However, we disagree that a larger
standard exclusion zone is warranted. As we explained in our
rulemaking, our intent in prescribing standard exclusion zone distances
is to: (1) Encompass zones for most species within which auditory
injury could occur on the basis of instantaneous exposure; (2) provide
additional protection from the potential for more severe behavioral
reactions (e.g., panic, antipredator response) for marine mammals at
relatively close range to the acoustic source; (3) provide consistency
and ease of implementation for PSOs, who need to monitor and implement
the exclusion zones; and (4) to define a distance within which
detection probabilities are reasonably high for most species under
typical conditions. Our use of 100-m and 500-m zones is not based
directly on any quantitative understanding of the range at which
auditory injury would be entirely precluded or any range specifically
related to disruption of behavioral patterns. Rather, we believe it is
a reasonable combination of factors. In summary, a practicable
criterion such as this has the advantage of familiarity and simplicity
while still providing in most cases a zone larger than relevant
auditory injury zones, given realistic movement of source and receiver.
Increased shutdowns, without a firm idea of the outcome the measure
seeks to avoid, simply displace survey activity in time and increase
the total duration of acoustic influence as well as total sound energy
in the water.
We agree that, when practicable, the exclusion zone should
encompass distances within which auditory injury is expected to occur
on the basis of instantaneous exposure. However, potential auditory
injury is based on the accumulation of energy, and is therefore not a
straightforward consideration. For example, observation of a whale at
the distance calculated as being the ``Level A isopleth'' does not
necessarily mean that the animal has in fact incurred auditory injury.
Rather, the animal would have to be at the calculated distance (or
closer) as the mobile source approaches, passes, and recedes from the
exposed animal, being exposed to and accumulating energy from airgun
pulses the entire time.
When evaluating the nighttime ramp up of seismic airguns, NMFS
determined the data from previous seismic monitoring programs did not
suggest that there would be a difference in the severity of impacts to
marine mammals by not fully clearing the exclusion zone during
nighttime ramp up that was not addressed through the number and type of
taking authorized for Hilcorp's activities in the rulemaking. Ramp up
would still be required for use of airguns at night and the use of ramp
up still allows marine mammals to avoid the area before the full source
level is realized. The mitigation measure that would be least effective
due to low visibility conditions at night would be the implementation
of the full extent of the exclusion zone and as discussed above, it is
unlikely that animals would remain within the exclusion zone for the
duration of the seismic activity such that injury is incurred. However,
in the event that injury is incurred, Level A take was authorized for
species more likely to occur in the survey area or for species that are
difficult to detect. Similarly, Level B take is authorized incidental
to Hilcorp's activities. These allowable takes were not calculated by
assuming some underlying effectiveness of the mitigation and
monitoring. No amount of Level B take was discounted from the total
amount of take authorized because of assumptions of effectiveness of
daytime monitoring. The amount of Level B take that may occur during
seismic activity is unchanged, but the number of takes likely to be
observed and recorded at night is slightly lessened by reduced
visibility.
Regarding the counting and tracking of allowable takes, Hilcorp is
using a methodology similar to that used by many other incidental take
authorization applicants. Hilcorp will use the number of takes observed
by PSOs within the monitored distance and will extrapolate those takes
to estimate a number of unseen takes in the unmonitored area that is
the rest of the relevant isopleth. Hilcorp will include these
estimations in their reports to NMFS to ensure take is not exceeded
during their activity.
Comment: The CBD and Cook Inletkeeper commented that NMFS'
estimation of take of Cook Inlet belugas is flawed because ramp-up is
not considered a take in our analyses.
Response: It is unclear if the commenters are referencing
estimation of take pre-activity or accounting for take post-activity.
NMFS disagrees with the commenters. Any animal sighted at any distance
from the vessel during pre-clearance, ramp-up, seismic surveying, or
post-activity monitoring is recorded as an observation and this
information will be provided to NMFS in Hilcorp's monitoring reports.
The sighting is not necessarily considered a take as the exclusion zone
is derived from the energy output of the full seismic airgun array and
any sound a marine mammal would be exposed to during ramp up is a
lesser amount of energy than the full airgun array.
Authorization
NMFS has issued a modified LOA (available at https://www.fisheries.noaa.gov/action/incidental-take-authorization-hilcorp-alaska-llc-oil-and-gas-activities-cook-inlet-alaska) to Hilcorp Alaska
LLC for the potential harassment of small numbers of four marine mammal
species incidental to oil and gas activities in Cook Inlet, Alaska,
provided the mitigation, monitoring and reporting requirements of the
rulemaking are incorporated.
Dated: September 30, 2019.
Donna S. Wieting,
Director, Office of Protected Resources, National Marine Fisheries
Service.
[FR Doc. 2019-21692 Filed 10-3-19; 8:45 am]
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