Update to the Regulations Implementing the Procedural Provisions of the National Environmental Policy Act, 1684-1730 [2019-28106]
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Federal Register / Vol. 85, No. 7 / Friday, January 10, 2020 / Proposed Rules
COUNCIL ON ENVIRONMENTAL
QUALITY
40 CFR Parts 1500, 1501, 1502, 1503,
1504, 1505, 1507, and 1508
[CEQ–2019–0003]
RIN 0331–AA03
Update to the Regulations
Implementing the Procedural
Provisions of the National
Environmental Policy Act
Council on Environmental
Quality.
ACTION: Notice of proposed rulemaking.
AGENCY:
In this action, the Council on
Environmental Quality (CEQ) is
proposing to update its regulations for
implementing the procedural provisions
of the National Environmental Policy
Act (NEPA). CEQ has not
comprehensively updated its
regulations since their promulgation in
1978, more than four decades ago. This
proposed rule would modernize and
clarify the regulations to facilitate more
efficient, effective, and timely NEPA
reviews by Federal agencies in
connection with proposals for agency
action. The proposed amendments
would advance the original goals of the
CEQ regulations to reduce paperwork
and delays, and promote better
decisions consistent with the national
environmental policy set forth in
section 101 of NEPA. If finalized, the
proposed rule would comprehensively
update and substantially revise the 1978
regulations. CEQ invites comments on
the proposed revisions.
DATES: CEQ must receive comments by
March 10, 2020. CEQ will hold public
hearings on the following dates:
1. February 11, 2020, U.S.
Environmental Protection Agency
Region 8, 1595 Wynkoop Street, Denver,
CO.
2. February 25, 2020, U.S. Department
of the Interior, Yates Auditorium, 1849
C Street NW, Washington, DC.
All attendees or speakers must
register in advance. Details concerning
the hearings and information on
additional outreach may be found at
www.nepa.gov and
www.whitehouse.gov/ceq.
ADDRESSES: You may submit comments,
identified by docket number CEQ–
2019–0003, by any of the following
methods:
D Federal eRulemaking Portal:
https://www.regulations.gov. Follow the
instructions for submitting comments.
D Fax: 202–456–6546.
D Mail: Council on Environmental
Quality, 730 Jackson Place NW,
Washington, DC 20503.
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SUMMARY:
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Instructions: All submissions received
must include the agency name and
docket number for this rulemaking. All
comments received will be posted
without change to https://
www.regulations.gov, including any
personal information provided. Do not
submit electronically any information
you consider to be private, Confidential
Business Information (CBI), or other
information whose disclosure is
restricted by statute.
Docket: For access to the docket to
read background documents or
comments received, go to https://
www.regulations.gov.
FOR FURTHER INFORMATION CONTACT:
Edward A. Boling, Associate Director for
the National Environmental Policy Act,
or Viktoria Z. Seale, Chief of Staff and
General Counsel, 202–395–5750, NEPAUpdate@ceq.eop.gov.
SUPPLEMENTARY INFORMATION:
Table of Contents
I. Background
A. National Environmental Policy Act
(NEPA)
B. Council on Environmental Quality
(CEQ) Regulations, Guidance, and
Reports
1. Regulatory History
2. CEQ Guidance and Reports
3. Environmental Impact Statement (EIS)
Timelines and Page Count Reports
C. Judicial Review of Agency NEPA
Compliance
D. Statutory Developments
E. Presidential Directives
F. 2018 Advance Notice of Proposed
Rulemaking Requesting Public Comment
on CEQ’s NEPA Regulations
II. Summary of Proposed Rule
A. Proposed Changes Throughout Parts
1500–1508
B. Proposed Revisions To Update the
Purpose, Policy, and Mandate (Part 1500)
C. Proposed Revisions to NEPA and
Agency Planning (Part 1501)
1. NEPA Threshold Applicability Analysis
(§ 1501.1)
2. Apply NEPA Early in the Process
(§ 1501.2)
3. Determine the Appropriate Level of
NEPA Review (§ 1501.3)
4. Categorical Exclusions (CEs) (§ 1501.4)
5. Environmental Assessments (EAs)
(§ 1501.5)
6. Findings of No Significant Impact
(FONSIs) (§ 1501.6)
7. Lead and Cooperating Agencies
(§§ 1501.7 and 1501.8)
8. Scoping (§ 1501.9)
9. Time Limits (§ 1501.10)
10. Tiering and Incorporation by Reference
(§§ 1501.11 and 1501.12)
D. Proposed Revisions to Environmental
Impact Statements (EISs) (Part 1502)
1. Page Limits (§ 1502.7)
2. Draft, Final and Supplemental
Statements (§ 1502.9)
3. EIS Format (§§ 1502.10 and 1502.11)
4. Purpose and Need (§ 1502.13)
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5. Alternatives (§ 1502.14)
6. Affected Environment and
Environmental Consequences
(§§ 1502.15 and 1502.16)
7. Submitted Alternatives, Information,
and Analyses (§§ 1502.17 and 1502.18)
8. Other Proposed Changes to Part 1502
E. Proposed Revisions To Commenting on
Environmental Impact Statements (Part
1503)
F. Proposed Revisions to Pre-Decisional
Referrals to the Council of Proposed
Federal Actions Determined To Be
Environmentally Unsatisfactory (Part
1504)
G. Proposed Revisions to NEPA and
Agency Decision Making (Part 1505)
H. Proposed Revisions to Other
Requirements of NEPA (Part 1506)
I. Proposed Revisions to Agency
Compliance (Part 1507)
J. Proposed Revisions to Definitions (Part
1508)
K. CEQ Guidance Documents
L. Additional Issues on Which CEQ Invites
Comment
III. Rulemaking Analyses and Notices
A. Executive Order 12866, Regulatory
Planning and Review; Executive Order
13563, Improving Regulation and
Regulatory Review; and Executive Order
13771, Reducing Regulation and
Controlling Regulatory Costs
B. Regulatory Flexibility Act and Executive
Order 13272, Proper Consideration of
Small Entities in Agency Rulemaking
C. National Environmental Policy Act
D. Executive Order 13132, Federalism
E. Executive Order 13175, Consultation
and Coordination With Indian Tribal
Governments
F. Executive Order 12898, Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
G. Executive Order 13211, Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
H. Executive Order 12988, Civil Justice
Reform
I. Unfunded Mandate Reform Act
J. Paperwork Reduction Act
I. Background
The National Environmental Policy
Act of 1969, 42 U.S.C. 4321 et seq.,
(NEPA) was signed into law by
President Nixon on January 1, 1970. The
Council on Environmental Quality
(CEQ) initially issued guidelines for
implementing NEPA in 1970, revised
those guidelines in 1973, and
subsequently promulgated its NEPA
implementing regulations in 1978. The
original goals of those regulations were
to reduce paperwork and delays, and
promote better decisions consistent with
the national environmental policy
established by the Act.
Since their promulgation, however,
there has been a need for clarification of
the regulations, and CEQ has issued
over 30 guidance documents to assist
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Federal agencies in complying with
NEPA and the CEQ regulations. Courts
also have issued numerous decisions
addressing appropriate implementation
and interpretation of NEPA and the CEQ
regulations, resulting in a large body of
case law. Additionally, Presidential
directives have been issued and
legislation has been enacted to reduce
delays and expedite the implementation
of NEPA and the CEQ regulations,
including for certain types of
infrastructure projects. Notwithstanding
the issuance of guidance, Presidential
directives, and legislation,
implementation of NEPA and the CEQ
regulations can be challenging, and the
process can be lengthy, costly, and
complex. In some cases, the NEPA
process and related litigation has
slowed or prevented the development of
new infrastructure and other projects
that required Federal permits or
approvals.
The background section below
summarizes NEPA, the CEQ regulations,
and developments since CEQ issued
those regulations. Specifically, section
I.A provides a brief summary of the
NEPA statute. Section I.B describes the
history of CEQ’s regulations
implementing NEPA and provides an
overview of CEQ’s numerous guidance
documents and reports issued
subsequent to the regulations. Section
I.C discusses the role of the courts in
interpreting NEPA. Section I.D provides
a brief overview of Congress’s efforts,
and section I.E describes the initiatives
of multiple administrations to reduce
delays and improve implementation of
NEPA. Finally, section I.F provides the
background on this rulemaking,
including the advance notice of
proposed rulemaking (ANPRM).
In section II, CEQ provides a summary
of the proposed rule, which, if finalized,
would comprehensively update and
substantially revise CEQ’s current
regulations. This proposed rule would
modernize and clarify the CEQ
regulations to facilitate more efficient,
effective, and timely NEPA reviews by
Federal agencies by simplifying
regulatory requirements, codifying
certain guidance and case law relevant
to these proposed regulations, revising
the regulations to reflect current
technologies and agency practices,
eliminating obsolete provisions, and
improving the format and readability of
the regulations. CEQ’s proposed
revisions include provisions intended to
promote timely submission of relevant
information to ensure consideration of
such information by agencies. CEQ’s
proposed revisions also are intended to
provide greater clarity for Federal
agencies, States, Tribes, localities, and
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the public, and to advance the original
goals of the CEQ regulations to reduce
paperwork and delays and to promote
better decisions consistent with the
national environmental policy set forth
in section 101 of NEPA.
A. National Environmental Policy Act
(NEPA)
Congress enacted NEPA to establish a
national policy for the environment,
provide for the establishment of CEQ,
and for other purposes. Section 101 of
NEPA sets forth a national policy ‘‘to
use all practicable means and measures,
including financial and technical
assistance, in a manner calculated to
foster and promote the general welfare,
to create and maintain conditions under
which man and nature can exist in
productive harmony, and fulfill the
social, economic, and other
requirements of present and future
generations of Americans.’’ 42 U.S.C.
4331(a). Section 102 of NEPA
establishes procedural requirements,
applying that national policy to
proposals for major Federal actions
significantly affecting the quality of the
human environment by requiring
Federal agencies to prepare a detailed
statement on: (1) The environmental
impact of the proposed action; (2) any
adverse effects that cannot be avoided;
(3) alternatives to the proposed action;
(4) the relationship between local shortterm uses of man’s environment and the
maintenance and enhancement of longterm productivity; and (5) any
irreversible and irretrievable
commitments of resources that would be
involved in the proposed action. 42
U.S.C. 4332(2)(C). NEPA also
established CEQ as an agency within the
Executive Office of the President to
administer Federal agency
implementation of NEPA. 42 U.S.C.
4342, 4344; see also Dep’t of Transp. v.
Pub. Citizen, 541 U.S. 752, 757 (2004).
NEPA does not mandate particular
results or substantive outcomes. Rather,
NEPA requires Federal agencies to
consider environmental impacts of
proposed actions as part of agencies’
decision-making processes.
Additionally, NEPA does not include a
private right of action and specifies no
remedies. Challenges to agency action
alleging non-compliance with NEPA
procedures are brought under the
Administrative Procedure Act (APA). 5
U.S.C. 551 et seq. Accordingly, NEPA
cases proceed as APA cases.
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B. Council on Environmental Quality
(CEQ) Regulations, Guidance, and
Reports
1. Regulatory History
In 1970, President Nixon issued
Executive Order (E.O.) 11514, titled
‘‘Protection and Enhancement of
Environmental Quality,’’ which directed
CEQ to ‘‘[i]ssue guidelines to Federal
agencies for the preparation of detailed
statements on proposals for legislation
and other Federal actions affecting the
environment, as required by section
102(2)(C) of the Act.’’ 1 CEQ issued these
guidelines in April of 1970 and revised
them in 1973.2
In 1977, President Carter issued E.O.
11991, titled ‘‘Relating to Protection and
Enhancement of Environmental
Quality.’’ 3 E.O. 11991 amended section
3(h) of E.O. 11514, directing CEQ to
‘‘[i]ssue regulations to Federal agencies
for the implementation of the
procedural provisions of [NEPA] . . . to
make the environmental impact
statement process more useful to
decision[ ]makers and the public; and to
reduce paperwork and the accumulation
of extraneous background data, in order
to emphasize the need to focus on real
environmental issues and alternatives,’’
and to ‘‘require [environmental] impact
statements to be concise, clear, and to
the point, and supported by evidence
that agencies have made the necessary
environmental analyses.’’ E.O. 11991
also amended section 2 of E.O. 11514,
requiring agency compliance with the
regulations issued by CEQ.
In 1978, CEQ promulgated its
‘‘Regulations for Implementing the
Procedural Provisions of the National
Environmental Policy Act,’’ 40 CFR
parts 1500–1508 (‘‘CEQ regulations’’ or
‘‘NEPA regulations’’), ‘‘[t]o reduce
paperwork, to reduce delays, and at the
same time to produce better decisions
[that] further the national policy to
protect and enhance the quality of the
human environment.’’ 4 The Supreme
Court has afforded the CEQ regulations
‘‘substantial deference.’’ Robertson v.
Methow Valley Citizens Council, 490
U.S. 332, 374 (1989) (citing Andrus v.
Sierra Club, 442 U.S. 347, 358 (1979));
see also Pub. Citizen, 541 U.S. at 757
(‘‘The [CEQ], established by NEPA with
authority to issue regulations
1 35
FR 4247 (Mar. 7, 1970), § 3(h).
35 FR 7391 (May 12, 1970) (interim
guidelines); 36 FR 7724 (Apr. 23, 1971) (final
guidelines); 38 FR 10856 (May 2, 1973) (proposed
revisions to guidelines); 38 FR 20550 (Aug. 1, 1973)
(revised guidelines).
3 42 FR 26967 (May 25, 1977).
4 43 FR 55978 (Nov. 29, 1978); see also 44 FR 873
(Jan. 3, 1979) (technical corrections), and 43 FR
25230 (June 9, 1978) (proposed rule).
2 See
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interpreting it, has promulgated
regulations to guide [F]ederal agencies
in determining what actions are subject
to that statutory requirement.’’ (citing 40
CFR 1500.3)); United States v. Mead
Corp., 533 U.S. 218, 227–30 (2001)
(properly promulgated agency
interpretative regulations addressing
ambiguities or gaps in a statute qualify
for Chevron deference); Nat’l Cable &
Telecomm. Ass’n v. Brand X Internet
Servs., 545 U.S. 967, 980–81 (2005)
(applying Chevron deference to Federal
Communications Commission
regulations).
The Supreme Court has held that
NEPA is a procedural statute that serves
the twin aims of ensuring that agencies
consider the significant environmental
consequences of their proposed actions
and inform the public about their
decision making. Balt. Gas & Elec. Co.
v. Nat. Res. Def. Council, Inc., 462 U.S.
87, 97 (1983) (citing Vt. Yankee Nuclear
Power Corp. v. Nat. Res. Def. Council,
Inc., 435 U.S. 519, 553 (1978);
Weinberger v. Catholic Action of Haw./
Peace Educ. Project, 454 U.S. 139, 143
(1981)). Furthermore, in describing the
role of NEPA in agencies’ decisionmaking processes, the Supreme Court
has stated, ‘‘Congress in enacting NEPA,
however, did not require agencies to
elevate environmental concerns over
other appropriate considerations.’’ 5 Balt.
Gas & Elec. Co., 462 U.S. at 97 (citing
Strycker’s Bay Neighborhood Council v.
Karlen, 444 U.S. 223, 227 (1980) (per
curiam)). Instead, NEPA requires
agencies to analyze the environmental
consequences before taking a major
Federal action. Id. (citing Kleppe v.
Sierra Club, 427 U.S. 390, 410 n.21
(1976)). The Supreme Court has
recognized that agencies have limited
time and resources and that ‘‘[t]he scope
of the agency’s inquiries must remain
manageable if NEPA’s goal of ‘[insuring]
a fully informed and well-considered
decision,’ . . . is to be accomplished.’’
Metro. Edison Co. v. People Against
Nuclear Energy, 460 U.S. 766, 776
(1983) (quoting Vt. Yankee, 435 U.S. at
558).
CEQ has substantively amended its
NEPA regulations only once, at 40 CFR
1502.22, to replace the ‘‘worst case’’
analysis requirement with a provision
for the consideration of incomplete or
unavailable information regarding
reasonably foreseeable significant
5 Section 101 of NEPA provides that it is the
Federal Government’s policy ‘‘to use all practicable
means and measures . . . to create and maintain
conditions under which man and natures can exist
in productive harmony, and fulfill the social,
economic, and other requirements of present and
future generations of Americans.’’ 42 U.S.C. 4331(a)
(emphasis added).
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adverse effects.6 CEQ found that the
new 40 CFR 1502.22 ‘‘will generate
information and discussion on those
consequences of greatest concern to the
public and of greatest relevance to the
agency’s decision,’’ 7 rather than
distorting the decision-making process
by overemphasizing highly speculative
harms.8 The Supreme Court found this
reasoning to be a well-considered basis
for the change, and that the new
regulation was entitled to substantial
deference. Methow Valley, 490 U.S. at
356.
The CEQ regulations direct Federal
agencies to adopt their own
implementing procedures to
supplement the NEPA regulations. 40
CFR 1507.3. Under this regulation,
agencies across the Federal Government
have developed such procedures.9
2. CEQ Guidance and Reports
Over the past four decades, numerous
questions have been raised regarding
appropriate implementation of NEPA
and the CEQ regulations. Soon after the
issuance of the CEQ regulations and in
response to CEQ’s review of NEPA
implementation and feedback from
Federal, State, and local officials,
including NEPA practitioners, CEQ
issued the ‘‘Forty Most Asked Questions
Concerning CEQ’s National
Environmental Policy Act
Regulations’’ 10 in 1981 (‘‘Forty
Questions’’). This guidance covered a
wide range of topics including
alternatives, coordination among
applicants, lead and cooperating
agencies, and integration of NEPA
documents with analysis for other
environmental statutes. In addition,
CEQ has periodically examined the
effectiveness of the NEPA process and
issued a number of reports on NEPA
implementation. In some instances,
these reports led to additional guidance.
These documents have been intended to
provide guidance and clarifications with
respect to various aspects of the
implementation of NEPA and the
definitions in the CEQ regulations, and
to increase the efficiency and
effectiveness of the environmental
review process.11
In January 1997, CEQ issued ‘‘The
National Environmental Policy Act: A
6 51
FR 15618 (Apr. 25, 1986).
FR 32234, 32237 (Aug. 9, 1985).
8 51 FR 15618, 15620 (Apr. 25, 1986).
9 A list of agency NEPA procedures is available
at https://ceq.doe.gov/laws-regulations/agency_
implementing_procedures.html.
10 46 FR 18026 (Mar. 23, 1981), https://
www.energy.gov/nepa/downloads/forty-most-askedquestions-concerning-ceqs-national-environmentalpolicy-act.
11 See https://ceq.doe.gov/guidance/
guidance.html.
7 50
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Study of Its Effectiveness After Twentyfive Years.’’ 12 In that report, CEQ
acknowledged that NEPA has ensured
that agencies adequately analyze the
potential environmental consequences
of their actions and bring the public into
the decision-making processes of
Federal agencies. However, CEQ also
identified matters of concern to
participants in the study, including
concerns with overly lengthy
documents that may not enhance or
improve decision making,13 and
concerns that agencies may seek to
‘‘ ‘litigation-proof’ documents,
increasing costs and time but not
necessarily quality.’’ 14 The report
further stated that ‘‘[o]ther matters of
concern to participants in the Study
were the length of NEPA processes, the
extensive detail of NEPA analyses, and
the sometimes confusing overlay of
other laws and regulations.’’ 15 The
participants in the study identified five
elements of the NEPA process’
collaborative framework (strategic
planning, public information and input,
interagency coordination,
interdisciplinary place-based decision
making, and science-based flexible
management) as critical to effective and
efficient NEPA implementation.
In 2002, the Chairman of CEQ
established a NEPA task force,
composed of Federal agency officials, to
examine NEPA implementation by
focusing on (1) technology and
information management and security;
(2) Federal and intergovernmental
collaboration; (3) programmatic analyses
and tiering; (4) adaptive management
and monitoring; (5) categorical
exclusions (CEs); and (6) environmental
assessments (EAs). In 2003, the task
force issued a report 16 recommending
actions to improve and modernize the
12 https://ceq.doe.gov/docs/ceq-publications/
nepa25fn.pdf.
13 Id. at iii.
14 Id.
15 Id. In the 50 years since the passage of NEPA,
Congress has amended or enacted a number of other
environmental laws that may also apply to
proposed Federal agency actions, such as the
Endangered Species Act, the Clean Water Act, the
Clean Air Act, and other substantive statutes. See
discussion infra section I.D. Consistent with 40 CFR
1502.25, longstanding agency practice has been to
use the NEPA process as the umbrella procedural
statute, integrating compliance with these laws into
the NEPA review and discussing them in the NEPA
document. However, this practice sometimes leads
to confusion as to whether analysis is done to
comply with NEPA or another, potentially
substantive, environmental law.
16 See The NEPA Task Force Report to the
Council on Environmental Quality, Modernizing
NEPA Implementation (Sept. 2003) (‘‘NEPA Task
Force Report’’), https://ceq.doe.gov/docs/ceqpublications/report/finalreport.pdf.
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NEPA process, leading to additional
guidance documents and handbooks.
Over the past 4 decades, CEQ has
issued over 30 documents to provide
guidance and clarifications to assist
Federal agencies to more efficiently and
effectively implement NEPA. CEQ has
issued guidance on such topics as CEs,17
EAs, mitigation, and findings of no
significant impact (FONSIs),18
emergencies,19 programmatic NEPA
reviews,20 timely environmental
reviews,21 collaboration and conflict
resolution,22 purpose and need,23
effects,24 lead and cooperating agencies,
17 See Council on Environmental Quality, Final
Guidance for Federal Departments and Agencies on
Establishing, Applying, and Revising Categorical
Exclusions under the National Environmental
Policy Act, 75 FR 75628 (Dec. 6, 2010) (‘‘CE
Guidance’’), https://ceq.doe.gov/docs/ceqregulations-and-guidance/NEPA_CE_Guidance_
Nov232010.pdf (clarifies the rules for establishing,
applying, and revising CEs, including methods for
substantiating CEs and the process to establish new
CEs in agency NEPA procedures).
18 See Final Guidance for Federal Departments
and Agencies on the Appropriate Use of Mitigation
and Monitoring and Clarifying Appropriate Use of
Mitigated Findings of No Significant Impact, 76 FR
3843 (Jan. 21, 2011) (‘‘Mitigation Guidance’’),
https://ceq.doe.gov/docs/ceq-regulations-andguidance/Mitigation_and_Monitoring_Guidance_
14Jan2011.pdf (explains the requirements of NEPA
and the NEPA regulations on establishing,
implementing, and monitoring mitigation
commitments identified and analyzed in EAs,
environmental impact statements (EISs), and
adopted in decision documents).
19 See Emergencies and the National
Environmental Policy Act (‘‘Emergencies
Guidance’’), https://ceq.doe.gov/docs/nepapractice/Emergencies_and_NEPA.pdf.
20 See Effective Use of Programmatic NEPA
Reviews (Dec. 18, 2014) (‘‘Programmatics
Guidance’’), https://ceq.doe.gov/docs/ceqregulations-and-guidance/Effective_Use_of_
Programmatic_NEPA_Reviews_Final_Dec2014_
searchable.pdf.
21 See Final Guidance on Improving the Process
for Preparing Efficient and Timely Environmental
Reviews Under the National Environmental Policy
Act, 77 FR 14473 (Mar. 12, 2012) (‘‘Timely
Environmental Reviews Guidance’’), https://
ceq.doe.gov/docs/ceq-regulations-and-guidance/
Improving_NEPA_Efficiencies_06Mar2012.pdf
(clarifies and emphasizes tools in the NEPA
regulations for preparing efficient and timely
environmental reviews for both EAs and EISs).
22 See Memorandum on Environmental Conflict
Resolution (Nov. 28, 2005), as expanded by
Memorandum on Environmental Collaboration and
Conflict Resolution (Sept. 7, 2012), https://
ceq.doe.gov/nepa-practice/environmentalcollaboration-and-conflict-resolution.html
(supports constructive and timely approaches to
resolve conflicts over the use, conservation, and
restoration of the environment, natural resources,
and public lands, including under NEPA).
23 See Letter from the Hon. James L.
Connaughton, Chairman, Council on Environmental
Quality, to the Hon. Norman Y. Mineta, Secretary,
Department of Transportation (May 12, 2003)
(‘‘Connaughton Letter’’), https://ceq.doe.gov/docs/
ceq-regulations-and-guidance/CEQ–DOT_
PurposeNeed_May-2013.pdf.
24 See Considering Cumulative Effects Under the
National Environmental Policy Act (Jan. 1997),
https://ceq.doe.gov/publications/cumulative_
effects.html.
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environmental justice,25 and other
topics.26
Despite CEQ guidance and regulations
providing for concise, timely
documents, the documentation and
timelines for completing environmental
reviews can be very lengthy, and the
process can be complex and costly. In
2018, CEQ and the Office of
Management and Budget (OMB) issued
a memorandum titled ‘‘One Federal
Decision Framework for the
Environmental Review and
Authorization Process for Major
Infrastructure Projects under E.O.
13807’’ (‘‘OFD Framework
Guidance’’).27 CEQ and OMB issued this
guidance pursuant to E.O. 13807, titled
‘‘Establishing Discipline and
Accountability in the Environmental
Review and Permitting Process for
Infrastructure Projects,’’ 28 to improve
agency coordination for infrastructure
projects requiring an environmental
impact statement (EIS) and permits or
other authorizations from multiple
agencies and to improve the timeliness
of the environmental review process.
See E.O. 13807, infra I.D. Consistent
with the OFD Framework Guidance,
supra note 27, Federal agencies signed
a memorandum of understanding
committing to implement the One
Federal Decision (OFD) policy for major
infrastructure projects, including by
committing to establishing a joint
schedule for such projects, preparation
of a single EIS and joint record of
decision (ROD), elevation of delays and
dispute resolution, and setting a goal of
completing environmental reviews for
such projects within 2 years.29
Subsequently, CEQ and OMB issued
guidance for the Secretary of
Transportation regarding the
applicability of the OFD policy to States
under the Surface Transportation
25 See Environmental Justice: Guidance under the
National Environmental Policy Act (Dec. 10, 1997),
https://ceq.doe.gov/docs/ceq-regulations-andguidance/regs/ej/justice.pdf.
26 See, e.g., Forty Questions, supra note 10; NEPA
and NHPA: Handbook for Integrating NEPA and
Section 106 Reviews, https://ceq.doe.gov/
publications/nepa-handbooks.html (clarifies and
emphasizes tools in the NEPA regulations for
preparing efficient and timely environmental
reviews for both EAs and EISs); A Citizen’s Guide
to the NEPA: Having Your Voice Heard, https://
ceq.doe.gov/get-involved/citizens_guide_to_
nepa.html.
27 M–18–13 (Mar. 20, 2018), https://
www.whitehouse.gov/wp-content/uploads/2018/04/
M-18-13.pdf.
28 82 FR 40463 (Aug. 24, 2017).
29 See Memorandum of Understanding
Implementing One Federal Decision under
Executive Order 13807 (2018), https://
www.whitehouse.gov/wp-content/uploads/2018/04/
MOU-One-Federal-Decision-m-18–13-Part-2–1.pdf.
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Project Delivery Program,30 and for the
Secretary of Housing and Urban
Development (HUD) regarding the
applicability of the OFD policy to
entities assuming HUD environmental
review responsibilities.31
3. Environmental Impact Statement
(EIS) Timelines and Page Count Reports
CEQ also has conducted reviews and
prepared reports on the length of time
it takes for agencies to prepare EISs and
the length of these documents. These
reviews found that the process for
preparing EISs is taking much longer
than CEQ advised, and that the
documents are far longer than the CEQ
regulations and guidance recommended.
In December 2018, CEQ issued a report
compiling information relating to the
timelines for preparing EISs during the
period of 2010–2017. While CEQ’s Forty
Questions states that the time for an EIS,
even for a complex project, should not
exceed 1 year,32 CEQ found that, across
the Federal Government, the average
time for completion of an EIS and
issuance of a ROD was over 4.5 years
and the median was 3.6 years.33 One
quarter of the EISs took less than 2.2
years, and one quarter of the EISs took
more than 6 years.
As reflected in that report, the period
from publication of a notice of intent
(NOI) to prepare an EIS to the notice of
availability of the draft EIS took, on
average, 58 percent of the total time,
while preparing the final EIS, including
addressing comments received on the
draft EIS, took, on average, 32 percent
of the total time. The period from the
final EIS to publication of the ROD took,
on average, 10 percent of the total time.
This report recognized that EIS
timelines vary widely, and many factors
may influence the timing of the
document, including variations in the
scope and complexity of the actions,
variations in the extent of work done
prior to issuance of the NOI, and
suspension of EIS activities due to
external factors.
Additionally, in July 2019, CEQ
issued a report on the length, by page
30 Guidance on the Applicability of E.O. 13807 to
States with NEPA Assignment Authority Under the
Surface Transportation Project Delivery Program
(Feb. 26, 2019), https://www.whitehouse.gov/wpcontent/uploads/2017/11/20190226OMBCEQ327.pdf.
31 Guidance on the Applicability of E.O. 13807 to
Responsible Entities Assuming Department of
Housing and Urban Development Environmental
Review Responsibilities, M–19–20 (June 28, 2019),
https://www.whitehouse.gov/wp-content/uploads/
2019/06/M–19–20.pdf.
32 Question 35, Forty Questions, supra note 10.
33 See Council on Environmental Quality,
Environmental Impact Statement Timelines (2010–
2017), (Dec. 14, 2018), https://ceq.doe.gov/nepapractice/eis-timelines.html.
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count, of EISs (excluding appendices)
finalized during the period of 2013–
2017. While the CEQ regulations
include recommended page limits for
the text of final EISs of normally less
than 150 pages, or normally less than
300 pages for proposals of ‘‘unusual
scope or complexity,’’ 40 CFR 1502.7,
CEQ found that many EISs are
significantly longer. In particular, CEQ
found that across all Federal agencies,
draft EISs averaged 586 pages in total,
with a median document length of 403
pages.34 One quarter of the draft EISs
were 288 pages or shorter, and one
quarter were 630 pages or longer. For
final EISs, the mean document length
was 669 pages, and the median
document length was 445 pages. One
quarter of the final EISs were 299 pages
or shorter, and one quarter were 729
pages or longer. On average, the change
in document length from draft EIS to
final EIS was an additional 83 pages or
a 14 percent increase.
With respect to final EISs, CEQ found
that approximately 7 percent were 150
pages or shorter, and 25 percent were
300 pages or shorter. Similar to the
conclusions of its EIS timelines study,
CEQ noted that a number of factors may
influence the length of EISs, including
variation in scope and complexity of the
decisions that the EIS is designed to
inform, the degree to which NEPA
documentation is used to document
compliance with other statutes, and
considerations relating to potential legal
challenges. Moreover, variation in EIS
length may reflect differences in
management, oversight, and contracting
practices among agencies that could
result in longer documents.
While there can be many factors
affecting the timelines and length of
EISs, CEQ has concluded that revisions
to the CEQ regulations to advance more
timely reviews and reduce unnecessary
paperwork are warranted. CEQ has
determined that improvements to
agency processes, such as improved
coordination in the development of
EISs, can achieve more useful and
timely documents to support agency
decision making.
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C. Judicial Review of Agency NEPA
Compliance
34 See Council on Environmental Quality, Length
of Environmental Impact Statements (2013–2017),
(July 22, 2019), https://ceq.doe.gov/nepa-practice/
eis-length.html.
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D. Statutory Developments
Following enactment of NEPA in 1970
and over the past four decades, Congress
has amended or enacted a large number
of substantive environmental statutes.
These have included significant
amendments to the Clean Water Act and
Clean Air Act, establishment of new
Federal land management standards and
planning processes for National forests,
public lands, and coastal zones, and
statutory requirements to conserve fish,
wildlife, and plant species.35
Additionally, the consideration of the
effects on historic properties under the
35 See,
Over the past 50 years, Federal courts
have issued an extensive body of case
law interpreting NEPA and the CEQ
regulations. The Supreme Court has
directly addressed NEPA in 17
decisions, and the U.S. district and
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appellate courts issue approximately
100 to 140 decisions each year
interpreting NEPA. The Supreme Court
has construed NEPA and the CEQ
regulations in light of a ‘‘rule of reason,’’
which ensures that agencies determine
whether and to what extent to prepare
an EIS based on the usefulness of
information to the decision-making
process. See Marsh v. Or. Nat. Res.
Council, 490 U.S. 360, 373–74 (1989).
‘‘Although [NEPA] procedures are
almost certain to affect the agency’s
substantive decision, it is now well
settled that NEPA itself does not
mandate particular results, but simply
prescribes the necessary process.’’
Methow Valley, 490 U.S. at 350; Pub.
Citizen, 541 U.S. at 756–57 (‘‘NEPA
imposes only procedural requirements
on [F]ederal agencies with a particular
focus on requiring agencies to undertake
analyses of the environmental impact of
their proposals and actions.’’ (citing
Methow Valley, 490 U.S. at 349–50)).
The extensive body of case law
interpreting NEPA and the current CEQ
regulations drives much of agencies’
modern day practice. A challenge for
agencies is that courts have interpreted
key terms and requirements differently,
adding to the complexity of
environmental reviews. As discussed
below, the proposed regulations would
codify longstanding case law in some
instances, and, in other instances,
clarify the meaning of the regulations
where there is a lack of uniformity in
judicial interpretation of NEPA and the
CEQ regulations.
e.g., the Clean Air Act, 42 U.S.C. 7401–
7671q; Clean Water Act, 33 U.S.C. 1251–1388;
Coastal Zone Management Act, 16 U.S.C. 1451–
1466; Federal Land Policy and Management Act, 43
U.S.C. 1701–1787; Forest and Rangeland Renewable
Resources Planning Act of 1974, 16 U.S.C. 1600–
1614; Magnuson-Stevens Fishery Conservation and
Management Act, 16 U.S.C. 1801–1884; Endangered
Species Act, 16 U.S.C. 1531–1544; Oil Pollution Act
of 1990, 33 U.S.C. 2701–2762; Surface Mining
Control and Reclamation Act of 1977, 30 U.S.C.
1201, 1202, and 1211; and Comprehensive
Environmental Response, Compensation, and
Liability Act, 42 U.S.C. 9601–9675.
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National Historic Preservation Act is
typically integrated into the NEPA
review.36 NEPA has served as the
umbrella procedural statute, integrating
these laws into NEPA reviews and
discussing them in NEPA documents.
Over the past two decades and
multiple administrations, Congress has
also undertaken efforts to facilitate more
efficient environmental reviews by
Federal agencies, and has enacted a
number of statutes aimed at improving
the implementation of NEPA, including
in the context of infrastructure projects.
In particular, Congress enacted
legislation to improve coordination
among agencies, integrate NEPA with
other environmental reviews, and bring
more transparency to the NEPA process.
In 2005, Congress enacted 23 U.S.C.
139, ‘‘Efficient environmental reviews
for project decisionmaking,’’ a
streamlined environmental review
process for highway, transit, and
multimodal transportation projects (the
‘‘section 139 process’’), in the Safe,
Accountable, Flexible, Efficient
Transportation Equity Act: A Legacy for
Users (SAFETEA–LU), Public Law 109–
59, section 6002(a), 119 Stat. 1144,
1857. Congress amended section 139
with additional provisions designed to
improve the NEPA process in the 2012
Moving Ahead for Progress in the 21st
Century Act (MAP–21), Public Law
112–141, sections 1305–1309, 126 Stat.
405, and the 2015 Fixing America’s
Surface Transportation (FAST) Act,
Public Law 114–94, section 1304, 129
Stat. 1312, 1378. Section 139 provides
for an environmental review process
that is based on the NEPA regulations
and codifies many aspects of the
regulations, including provisions
relating to lead and cooperating
agencies, concurrent environmental
reviews in a single NEPA document,
coordination on the development of the
purpose and need statement and
reasonable alternatives, and adoption of
environmental documents. Further,
section 139 provides for referral to CEQ
for issue resolution, similar to part 1504
of the NEPA regulations, and allows for
the use of errata sheets, consistent with
40 CFR 1503.4(c).37
36 Similar to NEPA, section 106 (54 U.S.C.
306108) of the National Historic Preservation Act is
a procedural statute.
37 To facilitate the NEPA process for
transportation projects subject to section 139, the
statute specifically calls for development of a
coordination plan, including development of a
schedule, and publicly tracking the implementation
of that schedule through use of the Permitting
Dashboard. In addition, the section 139 process
provides for ‘‘participating’’ agencies, which are
any agencies invited to participate in the
environmental review process. Section 139 also
requires, to the maximum extent practicable,
issuance of a combined final EIS and ROD.
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When Congress enacted section 2045
of the Water Resources Development
Act of 2007, Public Law 110–114, 121
Stat. 1041, 1103, it created a similar
environmental review provision for
water resources development projects
by the U.S. Army Corps of Engineers. 33
U.S.C. 2348.38 This project acceleration
provision also requires a coordinated
environmental review process, provides
for dispute resolution, and codifies
aspects of the NEPA regulations such as
lead and cooperating agencies,
concurrent environmental reviews, and
the establishment of CEs. Section
2348(o) also directs the Corps to consult
with CEQ on the development of
guidance for implementing this
provision.
Most recently, in 2015 Congress
enacted Title 41 of the FAST Act
(FAST–41), to provide for a more
efficient environmental review and
permitting process for ‘‘covered
projects.’’ See Public Law 114–94,
§ 41001–41014, 129 Stat. 1312, 1741 (42
U.S.C. 4370m—4370m–12). These are
projects that require Federal
environmental review under NEPA, are
expected to exceed $200 million, and
involve the construction of
infrastructure for certain energy
production, electricity transmission,
water resource projects, broadband,
pipelines, manufacturing, and other
sectors. Id. FAST–41 codified certain
roles and responsibilities required by
the NEPA regulations. In particular,
FAST–41 imports the concepts of lead
and cooperating agencies, and the
different levels of NEPA analysis—EISs,
EAs, and CEs. Consistent with 40 CFR
1501.5(e) through (f), CEQ is required to
resolve any dispute over designation of
a facilitating or lead agency for a
covered project. 42 U.S.C. 4370m–
2(a)(6)(B). Section 4370m–4 codified
several requirements from the CEQ
regulations, including the requirement
for concurrent environmental reviews,
which is consistent with 40 CFR
1500.2(c), 1501.7(a)(6) and 1502.25(a),
and the tools of adoption, incorporation
by reference, supplementation, and use
of State documents, consistent with 40
CFR 1506.3, 1502.21, 1502.9(c) and
1506.2.39 Finally, 42 U.S.C. 4370m–4
38 Congress significantly revised this provision in
the Water Resources Reform and Development Act
of 2014, Public Law 113–121, 1005(a)(1), 128 Stat.
1193, 1199.
39 For covered projects, section 4370m–4
authorizes lead agencies to adopt or incorporate by
reference existing environmental analyses and
documentation prepared under State laws and
procedures if the analyses and documentation meet
certain requirements. 42 U.S.C. 4370m–4(b)(1)(A)(i).
This provision also requires that the lead agency,
in consultation with CEQ, determine that the
analyses and documentation were prepared using a
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addresses interagency coordination on
key aspects of the NEPA process
including scoping (40 CFR 1501.7),
identification of the range of reasonable
alternatives for study in an EIS (40 CFR
1502.14), and the public comment
process (40 CFR part 1503).
To ensure a timely NEPA process so
that important infrastructure projects
can move forward, Congress has also
established shorter statutes of
limitations for challenges to certain
types of projects. SAFETEA–LU created
a 180-day statute of limitations for
highway or public transportation capital
projects, which MAP–21 later reduced
to 150 days. 23 U.S.C. 139(l). The Water
Resources Reform and Development Act
of 2014 established a three-year statute
of limitations for judicial review of any
permits, licenses, or other approvals for
water resources development project
studies. 33 U.S.C. 2348(k). Most recently
in FAST–41, Congress established a
two-year statute of limitations for
covered projects. 42 U.S.C. 4370m–6.
There are a number of additional
instances where Congress has enacted
legislation to facilitate more timely
environmental reviews. For example,
similar to the provisions described
above, there are other statutes where
Congress has called for a coordinated
and concurrent environmental review.
See, e.g., 33 U.S.C. 408(b) (concurrent
review for river and harbor permits); 49
U.S.C. 40128 (coordination on
environmental reviews for air tour
management plans for national parks);
49 U.S.C. 47171 (expedited and
coordinated environmental review
process for airport capacity
enhancement projects).
Additionally, Congress has
established or directed agencies to
establish CEs to facilitate NEPA
compliance. See, e.g., 16 U.S.C. 6554(d)
(applied silvicultural assessment and
research treatments); 16 U.S.C. 6591d
(hazardous fuels reduction projects to
carry out forest restoration treatments);
16 U.S.C. 6591e (vegetation
management activity in greater sagegrouse or mule deer habitat); 33 U.S.C.
2349 (actions to repair, reconstruct, or
rehabilitate water resources projects in
response to emergencies); 42 U.S.C.
15942 (certain activities for the purpose
of exploration or development of oil or
gas); 43 U.S.C. 1772(c)(5) (development
and approval of vegetation management,
facility inspection, and operation and
maintenance plans); MAP–21, Public
Law 112–141, § 1315 (actions to repair
process that permitted public participation and
consideration of environmental consequences,
alternatives, and other required analyses that are
substantially equivalent to what a Federal agency
would have prepared pursuant to NEPA. Id.
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1689
or reconstruct roads, highways, or
bridges damaged by emergencies), 1316
(projects within the operational right-ofway), and 1317 (projects with limited
Federal assistance); FAA Modernization
and Reform Act of 2012, Public Law
112–95, 213(c), 126 Stat. 11, 46
(navigation performance and area
navigation procedures); and Omnibus
Appropriations Act, 2009, Public Law
111–8, 423, 123 Stat. 524, 748 (Lake
Tahoe Basin Management Unit
hazardous fuel reduction projects).
Further, in the context of emergency
response, Congress has directed the use
or development of alternative
arrangements in accordance with 40
CFR 1506.11 for reconstruction of
transportation facilities damaged in an
emergency (FAST Act, Pub. L. 114–94,
1432, 129 Stat. 1429) and for projects by
the Departments of the Interior and
Commerce to address invasive species
(Water Infrastructure Improvements for
the Nation Act, Pub. L. 114–322,
4010(e)(3), 130 Stat. 1628, 1877). In
2013, Congress also enacted section 429
of the Robert T. Stafford Disaster Relief
and Emergency Assistance Act
(‘‘Stafford Act’’), 42 U.S.C. 5189g, which
directed the President, in consultation
with CEQ and the Advisory Council on
Historic Preservation, to ‘‘establish an
expedited and unified interagency
review process to ensure compliance
with environmental and historic
requirements under Federal law relating
to disaster recovery projects, in order to
expedite the recovery process,
consistent with applicable law.’’ Sandy
Recovery Improvement Act of 2013,
Public Law 113–2, 1106, 127 Stat. 4, 45.
This unified Federal environmental and
historic preservation review (UFR)
process is a framework for coordinating
Federal agency environmental and
historic preservation reviews for
disaster recovery projects associated
with Presidentially declared disasters
under the Stafford Act. The goal of the
UFR process is to enhance the ability of
the Federal environmental review and
authorization processes to inform and
expedite disaster recovery decisions for
grant applicants and other potential
beneficiaries of disaster assistance by
improving coordination and consistency
across Federal agencies, and assisting
agencies in better leveraging their
resources and tools.40
These statutes demonstrate that
Congress has recognized that the
40 See generally Memorandum of Understanding
Establishing the Unified Federal Environmental and
Historic Preservation Review Process for Disaster
Recovery Projects (July 29, 2014), https://
www.fema.gov/unified-federal-environmental-andhistoric-preservation-review-presidentiallydeclared-disasters.
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environmental review process can be
made more efficient and effective,
including for infrastructure projects.
Congress also has identified specific
process improvements that can
accelerate environmental reviews,
including improved interagency
coordination, concurrent reviews, and
increased transparency.
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E. Presidential Directives
Over the past two decades and
multiple administrations, Presidents
also have recognized the need to
improve the environmental review
process to make it more timely and
efficient, and have directed agencies,
through Executive Orders and
Presidential memoranda, to undertake
various initiatives to address these
issues. In 2002, President Bush issued
E.O. 13274, titled ‘‘Environmental
Stewardship and Transportation
Infrastructure Project Reviews,’’ 41
which stated that the development and
implementation of transportation
infrastructure projects in an efficient
and environmentally sound manner is
essential, and directed agencies to
conduct environmental reviews for
transportation projects in a timely
manner.
In 2011, President Obama’s
memorandum titled ‘‘Speeding
Infrastructure Development through
More Efficient and Effective Permitting
and Environmental Review’’ 42 directed
certain agencies to identify up to three
high-priority infrastructure projects for
expedited environmental review and
permitting decisions to be tracked
publicly on a ‘‘centralized, online tool.’’
This requirement led to the creation of
what is now the Permitting Dashboard,
www.permits.performance.gov.
In 2012, E.O. 13604, titled ‘‘Improving
Performance of Federal Permitting and
Review of Infrastructure Projects,’’ 43
established an interagency Steering
Committee on Federal Infrastructure
Permitting and Review Process
Improvement (‘‘Steering Committee’’) to
facilitate improvements in Federal
permitting and review processes for
infrastructure projects. The E.O.
directed the Steering Committee to
develop a plan ‘‘to significantly reduce
the aggregate time required to make
Federal permitting and review decisions
on infrastructure projects while
improving outcomes for communities
and the environment.’’ Similarly, E.O.
13616, titled ‘‘Accelerating Broadband
41 67
Infrastructure Deployment,’’ 44
established an interagency working
group to, among other things, avoid
duplicative reviews and coordinate
review processes to advance broadband
deployment.
A 2013 Presidential Memorandum
titled ‘‘Modernizing Federal
Infrastructure Review and Permitting
Regulations, Policies, and
Procedures’’ 45 directed the Steering
Committee established by E.O. 13604 to
work with agencies, OMB, and CEQ to
‘‘modernize Federal infrastructure
review and permitting regulations,
policies, and procedures to significantly
reduce the aggregate time required by
the Federal Government to make
decisions in the review and permitting
of infrastructure projects, while
improving environmental and
community outcomes’’ and develop a
plan to achieve this goal. Among other
things, the memorandum directed that
the plan create process efficiencies,
including additional use of concurrent
and integrated reviews; expand
coordination with State, Tribal, and
local governments; and expand the use
of information technology tools. CEQ
and OMB led the effort to develop a
comprehensive plan to modernize the
environmental review and permitting
process while improving environmental
and community outcomes, including
budget proposals for funding and new
authorities. Following the development
of the plan, CEQ continued to work with
agencies to improve the permitting
process, including through expanded
collection of timeframe metrics on the
Permitting Dashboard. In late 2015,
these ongoing efforts were superseded
by the enactment of FAST–41, which
codified the use of the Permitting
Dashboard, established the Federal
Permitting Improvement Steering
Council (Permitting Council), and
established other requirements for
managing the environmental review and
permitting process for covered
infrastructure projects.
On August 15, 2017, President Trump
issued E.O. 13807 titled, ‘‘Establishing
Discipline and Accountability in the
Environmental Review and Permitting
Process for Infrastructure.’’ 46 Section
5(e)(i) directed CEQ to develop an initial
list of actions to enhance and modernize
the Federal environmental review and
authorization process, including issuing
such regulations as CEQ deems
necessary to: (1) Ensure optimal
interagency coordination of
environmental review and authorization
decisions; (2) ensure that multi-agency
environmental reviews and
authorization decisions are conducted
in a manner that is concurrent,
synchronized, timely, and efficient; (3)
provide for use of prior Federal, State,
Tribal, and local environmental studies,
analysis, and decisions; and (4) ensure
that agencies apply NEPA in a manner
that reduces unnecessary burdens and
delays, including by using CEQ’s
authority to interpret NEPA to simplify
and accelerate the NEPA review
process. In response to E.O. 13807, CEQ
published an initial list of actions and
stated its intent to review its existing
NEPA regulations in order to identify
potential revisions to update and clarify
these regulations.47
F. 2018 Advance Notice of Proposed
Rulemaking Requesting Public
Comment on CEQ’s NEPA Regulations
Consistent with E.O. 13807 and CEQ’s
initial list of actions, and given the
length of time since CEQ issued its
regulations, on June 20, 2018, CEQ
published an advance notice of
proposed rulemaking (ANPRM) titled
‘‘Update to the Regulations for
Implementing the Procedural Provisions
of the National Environmental Policy
Act.’’ 48 The ANPRM requested public
comments on how CEQ could ensure a
more efficient, timely, and effective
NEPA process consistent with the Act’s
national environmental policy and
provided for a 30-day comment period.
In response to comments, CEQ extended
the comment period 31 additional days
to August 20, 2018.49
The ANPRM requested comment on
potential revisions to update and clarify
the NEPA regulations, and included a
list of questions on specific aspects of
the regulations. For example, with
respect to the NEPA process, the
ANPRM asked whether there are
provisions that CEQ could revise to
ensure more efficient environmental
reviews and authorization decisions,
such as facilitating agency use of
existing environmental studies, analyses
and decisions, as well as improving
interagency coordination. The ANPRM
also requested comments on the scope
of NEPA reviews, including whether
CEQ should revise, clarify, or add
definitions. The ANPRM also asked
whether additional revisions relating to
environmental documentation issued
pursuant to NEPA, including CEs, EAs,
EISs, and other documents, would be
appropriate. Finally, the ANPRM
requested general comments, including
FR 59449 (Sept. 23, 2002).
42 https://www.govinfo.gov/content/pkg/DCPD-
201100601/pdf/DCPD-201100601.pdf.
43 77 FR 18887 (Mar. 28, 2012).
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44 77
47 82
45 78
FR 36903 (June 20, 2012).
FR 30733 (May 22, 2013).
46 82 FR 40463 (Aug. 24, 2017).
48 83
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FR 43226 (Sept. 14, 2017).
FR 28591 (June 20, 2018).
49 83 FR 32071 (July 11, 2018).
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whether there were obsolete provisions
that CEQ could update to reflect new
technologies or make the process more
efficient, or that CEQ could revise to
reduce unnecessary burdens or delays.
In response to the ANPRM, CEQ
received over 12,500 comments, which
are available for public review.50 These
included comments from a wide range
of stakeholders, including States, Tribes,
localities, environmental organizations,
trade associations, NEPA practitioners,
and interested members of the public.
While some commenters opposed any
updates to the current regulations, other
commenters urged CEQ to consider
potential revisions. While the
approaches to the update of the NEPA
regulations varied, most of the
substantive comments supported some
degree of updating of the current
regulations. Many noted that overly
lengthy documents and the time
required for the NEPA process remain
real and legitimate concerns despite the
NEPA regulations’ explicit direction
with respect to reducing paperwork and
delays. In general, numerous
commenters requested that CEQ
consider revisions to modernize its
regulations, reduce unnecessary
burdens and costs, and make the NEPA
process more efficient, effective, and
timely. Discussion of comments is
provided in more detail in section II
below.
II. Summary of Proposed Rule
In this proposed rule, CEQ would
revise and modernize its NEPA
regulations to facilitate more efficient,
effective, and timely NEPA reviews by
Federal agencies. The proposed updates
and clarifications to its regulations are
based on CEQ’s record evaluating the
implementation of its NEPA regulations
and on comments provided in response
to the ANPRM. The proposed updates
and clarifications seek to advance the
stated objectives of the current
regulations, as adopted in 1978, ‘‘[t]o
reduce paperwork, to reduce delays, and
at the same time to produce better
decisions [that] further the national
policy to protect and enhance the
quality of the human environment.’’ 51
CEQ specifically proposes various
revisions to align the regulations with
the text of the NEPA statute, including
revisions to reflect the procedural
nature of section 102(2) of NEPA. CEQ
also proposes revisions to ensure that
environmental documents prepared
pursuant to NEPA are concise and serve
their purpose of informing decision
50 See https://www.regulations.gov, docket no.
CEQ–2018–0001.
51 43 FR 55978 (Nov. 29, 1978).
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makers regarding the significant
potential environmental effects of
proposed major Federal actions and the
public of the environmental issues in
the pending decision-making process.
CEQ also proposes revisions to ensure
that the regulations reflect changes in
technology, increase public
participation in the process, and
facilitate the use of existing studies,
analyses and environmental documents
prepared by States, Tribes, and local
governments.
CEQ also proposes revisions to its
regulations consistent with the One
Federal Decision policy (‘‘OFD policy’’)
established by E.O. 13807 for multiagency review and related permitting
and other authorization decisions. The
E.O. specifically instructed CEQ to take
steps to ensure optimal interagency
coordination, including through a
concurrent, synchronized, timely, and
efficient process for environmental
reviews and authorization decisions. In
response to the ANPRM, CEQ received
many suggestions to codify key aspects
of the OFD policy in the NEPA
regulations, including by providing
greater specificity on the roles and
responsibilities of lead and cooperating
agencies. Commenters also suggested
that the regulations require agencies to
establish and adhere to timetables for
the completion of reviews, another key
element of the OFD policy. In response
to these comments and to promote
interagency coordination and more
timely and efficient reviews, CEQ
proposes to codify and make generally
applicable a number of key elements
from expedited procedures and the OFD
policy, including development by the
lead agency of a joint schedule,
procedures to elevate delays or disputes,
preparation of a single EIS and joint
ROD to the extent practicable, and a
two-year goal for completion of
environmental reviews. Consistent with
section 104 of NEPA (42 U.S.C. 4334),
codification of these policies will not
limit or affect the authority or legal
responsibilities of agencies under other
statutory mandates that may be covered
by joint schedules, and CEQ proposes
language to that effect in § 1500.6.52
CEQ also proposes revisions to clarify
the process and documentation required
for complying with NEPA by amending
part 1501 to add sections on threshold
considerations and determining the
appropriate level of review; add a
section on CEs; and revise sections on
EAs, FONSIs, and EISs in part 1502.
52 In the preamble, CEQ uses the section symbol
(§ ) to refer to the proposed regulations as set forth
in this NPRM and 40 CFR to refer to the current
CEQ regulations as set forth in 40 CFR parts 1500–
1508.
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CEQ further proposes a number of
revisions to promote more efficient and
timely environmental reviews,
including revisions to promote
interagency coordination by amending
sections of parts 1501, 1506, and 1507
relating to lead, cooperating agencies,
timing of agency action, scoping, and
agency NEPA procedures. CEQ proposes
additional revisions to promote a more
efficient and timely NEPA process by
amending parts 1501, 1506, and 1507
relating to applying NEPA early in the
process, scoping, tiering, adoption, use
of current technologies, and avoiding
duplication of State, Tribal, and local
environmental reviews; revisions to
parts 1501 and 1502 to provide for
presumptive time and page limits; and
revisions to clarify the definitions by
amending part 1508.
CEQ also includes provisions to
promote informed decision making and
to inform the public about the decisionmaking process. In parts 1500, 1501,
1502, and 1503, CEQ proposes
amendments to ensure agencies solicit
and consider relevant information early
in the development of the draft EIS. In
particular, CEQ proposes to direct
agencies in the notice of intent (NOI) to
request public comment on potential
alternatives and impacts, and
identification of any relevant
information and analyses concerning
impacts affecting the quality of the
human environment. Additionally, CEQ
proposes to direct agencies to include a
new section in the draft and final EIS
summarizing all alternatives,
information, and analyses submitted by
the public and to request comment on
the completeness of the summary
included in the draft EIS.
CEQ further proposes to make
revisions to part 1503 to ensure that
comments are timely submitted on the
draft EIS and on the completeness of the
summary of information submitted by
the public, and that comments are as
specific as possible. Additionally, CEQ
proposes a provision in § 1502.18 to
require that, based on the summary of
the alternatives, information, and
analyses section, the decision maker for
the lead agency certify that the agency
has considered such information. This
will advance the purposes of the
directive in E.O. 11991 to ensure that
EISs are supported by evidence that
agencies have made the necessary
environmental analyses. See E.O. 11991,
§ 1 amending E.O. 11514, § 3(h). Upon
certification, the proposed provisions in
§§ 1500.3 and 1502.18 would establish a
conclusive presumption that the agency
has considered such information. In
conjunction with the certification
requirement, this presumption is
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consistent with the longstanding
presumption of regularity that
government officials have properly
discharged their official duties. See U.S.
Postal Serv. v. Gregory, 534 U.S. 1, 10
(2001) (‘‘[W]e note that a presumption of
regularity attaches to the actions of
government agencies.’’ (citing United
States v. Chem. Found., Inc., 272 U.S. 1,
14–15 (1926)). This is also consistent
with case law upholding regulatory
presumptions. See, e.g., Allentown
Mack Sales & Serv. v. Nat’l Labor
Relations Bd., 522 U.S. 359 (1998); Fed.
Commc’ns Comm’n v. Schreiber, 381
U.S. 279 (1965).
Finally, CEQ proposes changes to
make the regulations easier to
understand and apply. This includes
proposed revisions to simplify and
clarify key definitions in § 1508.1. CEQ
also proposes certain changes to move
and consolidate operative language from
the definitions to the relevant regulatory
provisions, while leaving the
definitional language in the definitions
section. In the existing regulations,
provisions on certain topics are
scattered throughout, making it
unnecessarily difficult to navigate the
requirements. In some cases, the NEPA
regulations address topics in multiple
sections and sometimes multiple parts.
CEQ proposes to revise the regulations
to consolidate provisions and reduce
duplication. Such consolidation,
reordering, or reorganizing also would
promote greater clarity and ease of use.
A. Proposed Changes Throughout Parts
1500–1508
CEQ proposes several revisions
throughout parts 1500–1508 to provide
consistency, improve clarity, and
correct grammatical errors. CEQ
proposes to make certain grammatical
corrections in the regulations where it
proposes other changes to the
regulations to achieve the goals of this
rulemaking, or where CEQ determined
the changes are necessary for the reader
to understand fully the meaning of the
sentence. CEQ proposes to revise
sentences from passive voice to active
voice where it is helpful to identify the
responsible parties. CEQ also proposes
to replace the word ‘‘insure’’ with
‘‘ensure,’’ consistent with modern
usage. Finally, CEQ proposes to add
paragraph letters or numbers to certain
introductory paragraphs where it would
improve clarity. CEQ invites comment
on whether it should make these types
of changes throughout the rule or if
there are additional specific instances
where CEQ should make these types of
changes.
CEQ proposes to add ‘‘Tribal’’ to the
phrase ‘‘State and local’’ throughout the
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rule to ensure consultation with Tribal
entities and to reflect existing NEPA
practice to coordinate or consult with
affected Tribal governments and
agencies, as necessary and appropriate
for a proposed action. This proposed
change is also in response to comments
on the ANPRM supporting expansion of
the recognition of the sovereign rights,
interests, and expertise of Tribes. CEQ
proposes to eliminate the provisions in
the current regulations that limit Tribal
interest to reservations. See proposed
§§ 1501.8(a), 1502.16(a)(5),
1503.1(a)(2)(ii), and 1506.6(b)(3)(ii). The
proposed changes are consistent with
and in support of government-togovernment consultation pursuant to
E.O. 13175, titled ‘‘Consultation and
Coordination With Indian Tribal
Governments.’’ 53
CEQ proposes several changes for
consistent use of certain terms. In
particular, CEQ proposes to change
‘‘entitlements’’ to the defined term
‘‘authorizations’’ throughout the
proposed regulation and added
‘‘authorizations’’ where appropriate to
reflect the mandate in E.O. 13807 for
better integration and coordination of
authorization decisions and related
environmental reviews. CEQ proposes
conforming edits to add or change
‘‘entitlements’’ to ‘‘authorizations’’ in
proposed §§ 1501.2(a), 1501.7(i),
1501.9(d)(4) and (f)(4), 1502.13,
1502.25(b), 1503.3(d), 1506.2, and the
definitions of authorization and
participating agency in § 1508.1(c) and
(w).
CEQ proposes to use the term
‘‘decision maker’’ to refer to an
individual responsible for making
decisions on agency actions and to
define the term ‘‘senior agency official’’
to refer to an individual with
responsibilities for NEPA compliance.
Under the proposed rule, the senior
agency official would be an official of
assistant secretary rank or higher who is
responsible for agency compliance. The
responsibilities of this position in the
proposed regulations would be
consistent with the responsibilities of
senior agency officials in E.O. 13807 to
whom anticipated missed or extended
permitting timetable milestones are
elevated. The proposed regulations
would set forth a variety of
responsibilities for senior agency
officials, such as approval to exceed
page or time limits. See proposed
§§ 1501.5(e), 1501.7(d), 1501.8(b)(6) and
(c), 1501.10, 1502.7, and 1507.2.
CEQ proposes to replace ‘‘circulate’’
or ‘‘circulation’’ with ‘‘publish’’ or
‘‘publication’’ throughout the rule and
53 65
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make ‘‘publish’’ a defined term that
provides agencies with the flexibility to
make environmental review and
information available to the public by
electronic means not available at the
time of promulgation of the CEQ
regulations in 1978. Historically, the
practice of circulation included mailing
of hard copies or providing electronic
copies on disks or CDs. While it may be
necessary to provide a hard copy or
copy on physical media in limited
circumstances, agencies now provide
most documents in an electronic format
by posting them online and using email
or other electronic forms of
communication to notify interested or
affected parties. This change would help
reduce paperwork and delays, and
modernize the NEPA process to be more
accessible to the public. CEQ proposes
these changes in proposed §§ 1500.4(o),
1501.2(b)(2), 1502.9, 1502.20, 1502.21,
1503.4(c), 1506.3, and 1506.8(c)(2).
CEQ proposes to change the term
‘‘possible’’ to ‘‘practicable’’ in proposed
§§ 1501.7(h)(1) and (2), 1501.9(b)(1),
1502.5, 1502.9(b), 1504.2, and 1506.2(b)
and (c). ‘‘Practicable’’ is the more
commonly used term in regulations to
convey the ability for something to be
done, considering the cost, including
time required, technical and economic
feasibility, and the purpose and need for
agency action. Similarly, CEQ proposes
to change ‘‘no later than immediately’’
to ‘‘as soon as practicable’’ in
§ 1502.5(b). Finally, CEQ proposes to
refer to the procedures required in
§ 1507.3 using the term ‘‘agency NEPA
procedures’’ throughout.
CEQ proposes to eliminate obsolete
references and provisions in several
sections of the CEQ regulations. In
particular, CEQ proposes to remove
references to the 102 Monitor in 40 CFR
1506.6(b)(2) and 1506.7(c) because the
publication no longer exists, and OMB
Circular A–95, which was revoked
pursuant to section 7 of E.O. 12372 (47
FR 30959, July 16, 1982), including the
requirement to use State and area-wide
clearinghouses in 40 CFR 1501.4(e)(2),
1503.1(a)(2)(iii), 1505.2, and
1506.6(b)(3)(i).
Finally, CEQ proposes changes to
citations and authorities. CEQ would
update the authorities sections for each
part to correct the format. CEQ also
proposes to remove cross-references to
the sections of part 1508, ‘‘Definitions,’’
and to update or insert new crossreferences throughout the rule to reflect
revised or new sections.
FR 67249 (Nov. 9, 2000).
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B. Proposed Revisions To Update the
Purpose, Policy, and Mandate (Part
1500)
In part 1500, CEQ proposes several
revisions to update the policy and
mandate sections of the regulations to
reflect statutory, judicial, policy, and
other developments since the CEQ
regulations were issued in 1978.
CEQ specifically proposes to retitle
and revise § 1500.1, ‘‘Purpose and
Policy’’ to align this section with the
statutory text of NEPA and certain case
law and reflect the procedural
requirements of section 102(2) (42
U.S.C. 4332(2)). In particular, the
proposed revisions would provide that
NEPA is a procedural statute intended
to ensure Federal agencies consider the
environmental impacts of their actions
in the decision-making process. The
Supreme Court has made clear that
NEPA is a procedural statute that does
not mandate particular results; ‘‘[r]ather,
NEPA imposes only procedural
requirements on [F]ederal agencies with
a particular focus on requiring agencies
to undertake analyses of the
environmental impact of their proposals
and actions.’’ Pub. Citizen, 541 U.S. at
756–57 (citing Methow Valley, 490 U.S.
at 349–50); see also Vt. Yankee, 435 U.S.
at 558 (‘‘NEPA does set forth significant
substantive goals for the Nation, but its
mandate to the agencies is essentially
procedural.’’).
CEQ proposes to revise § 1500.1(a) to
summarize section 101 of the Act (42
U.S.C. 4331). CEQ further proposes to
revise § 1500.1(a) to reflect that section
102(2) establishes the procedural
requirements to carry out the policy
stated in section 101. Additionally, CEQ
proposes to revise § 1500.1(a) to reflect,
consistent with the case law, that the
purpose and function of NEPA is
satisfied if Federal agencies have
considered relevant environmental
information, that the public has been
informed regarding the decision-making
process, and that NEPA does not
mandate particular results or
substantive outcomes. These proposed
revisions would revise paragraph (a) in
§ 1500.1 to replace the vague reference
to ‘‘action-forcing’’ provisions ensuring
that Federal agencies act ‘‘according to
the letter and spirit of the Act’’ with a
more specific reference to the
consideration of environmental impacts
of their actions in agency decisions.
These changes would codify the
Supreme Court’s interpretation of
section 102 as serving NEPA’s ‘‘actionforcing’’ purpose in two important
respects: Section 102 ‘‘ensures that the
agency, in reaching its decision, will
have available, and will carefully
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consider, detailed information
concerning significant environmental
impacts; it also guarantees that the
relevant information will be made
available to the larger audience that may
also play a role in both the decision[]making process and the
implementation of that decision.’’
Methow Valley, 490 U.S. at 349 (citing
Balt. Gas & Elec. Co., 462 U.S. at 97;
Weinberger, 454 U.S. at 143); see also
Winter v. Nat. Res. Def. Council, Inc.,
555 U.S. 7, 23 (2008); Pub. Citizen, 541
U.S. at 756–58.
CEQ proposes to revise § 1500.1(b) to
describe the regulations that follow
consistent with the proposed revisions.
In particular, CEQ proposes to revise
this paragraph to reflect that the
regulations include direction to Federal
agencies to determine what actions are
subject to NEPA’s procedural
requirements and the level of NEPA
review, where applicable. The proposed
revisions also reflect that the regulations
are intended to ensure that relevant
environmental information is identified
and considered early in the process in
order to ensure informed decision
making by Federal agencies. The
proposed revisions reflect that,
consistent with E.O. 13807 and the
purposes of the regulations as originally
promulgated in 1978, the regulations are
intended to reduce unnecessary burdens
and delays. These proposed revisions
are supported by many comments
submitted in response to the ANPRM
requesting revisions to promote more
efficient and timely reviews under
NEPA. These proposed amendments
emphasize that the policy of integrating
NEPA with other environmental reviews
is to promote concurrent and timely
reviews and decision making consistent
with statutes, Executive Orders, and
CEQ guidance. See, e.g., 42 U.S.C.
5189g; 23 U.S.C. 139; 42 U.S.C. 4370m
et seq.; E.O. 13604; E.O. 13807;
Mitigation Guidance, supra note 18, and
Timely Environmental Reviews
Guidance, supra note 21. Finally, CEQ
proposes to strike § 1500.2, ‘‘Policy,’’
which is duplicative of subsequent
sections of the regulations, in order to
simplify the regulations and eliminate
redundancy and repetition.
CEQ proposes to make a number of
revisions and additions, to § 1500.3,
‘‘NEPA compliance,’’ and to provide
paragraph headings to improve
readability. CEQ proposes to amend the
discussion of paragraph (a), ‘‘Mandate,’’
to clarify that agency NEPA procedures
to implement the CEQ regulations, as
provided for in § 1507.3, shall not
impose additional procedures or
requirements beyond those set forth in
the CEQ regulations except as otherwise
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provided by law or for agency
efficiency. CEQ intends that this
provision will prevent agencies from
designing additional procedures that
will result in increased costs or delays.
CEQ proposes to add a new
§ 1500.3(b), ‘‘Exhaustion,’’ which would
provide that agencies must request
comments on potential alternatives and
impacts and identification of any
relevant information, studies, or
analyses of any kind concerning impacts
affecting the quality of the human
environment in the notice of intent to
prepare an EIS. It would provide that
comments on draft EISs and any
information on environmental impacts
or alternatives to a proposed action
must be timely submitted to ensure
informed decision making by Federal
agencies. CEQ further proposes to
provide that comments not timely raised
and information not provided shall be
deemed unexhausted and forfeited. This
reinforces that parties may not raise
claims based on issues they did not
raise during the public comment period.
It also would provide that agencies
must include in the EIS a summary of
comments received, and any objections
to that summary must be submitted
within 30 days of the publication of the
notice of availability of the final EIS.
Based on the summary, the decision
maker must certify in the record of
decision that the agency has considered
all of the alternatives, information, and
analyses submitted by public
commenters.
In addition, CEQ proposes to add a
new § 1500.3(c), ‘‘Actions regarding
NEPA compliance,’’ to reflect the
development of case law since the
promulgation of the CEQ regulations.
Specifically, CEQ proposes to revise the
sentence regarding timing of judicial
review to strike references to the filing
of an EIS or FONSI and replace it with
the issuance of a signed ROD or the
taking of another final agency action.
Under the APA, judicial review does not
occur until an agency has taken final
agency action. Bennett v. Spear, 520
U.S. 154, 177–78 (1997) (the action must
mark the consummation of the agency’s
decision-making process—it must not be
of a merely tentative or interlocutory
nature—and the action must be one by
which rights or obligations have been
determined or from which legal
consequences will flow (citations
omitted)). Because NEPA’s procedural
requirements apply to proposals for
agency action, judicial review should
not occur until the agency has
completed its decision-making process.
Final agency action for judicial review
purposes is not necessarily when the
agency publishes the final EIS, issues a
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FONSI, or makes the determination to
categorically exclude an action;
however, an agency may designate any
of these as its final agency action. CEQ
also proposes to strike vague language
and to clarify that an agency can remedy
harm from the failure to comply with
NEPA by complying with the Act as
interpreted in these regulations.
The CEQ regulations create no
presumption that violation of NEPA is
a basis for injunctive relief or for a
finding of irreparable harm. As the
Supreme Court has held, the irreparable
harm requirement, as a prerequisite to
the issuance of preliminary or
permanent injunctive relief, is neither
eliminated nor diminished in NEPA
cases. A showing of a NEPA violation
alone does not warrant injunctive relief
and does not satisfy the irreparable
harm requirement. See Monsanto Co. v.
Geertson Seed Farms, 561 U.S. 139, 157
(2010) (‘‘[T]he statements quoted above
[from prior Ninth Circuit cases] appear
to presume that an injunction is the
proper remedy for a NEPA violation
except in unusual circumstances. No
such thumb on the scales is
warranted.’’); Winter, 555 U.S. at 21–22,
31–33; see also Amoco Prod. Co. v. Vill.
of Gambell, 480 U.S. 531, 544–545
(1987) (rejecting proposition that
irreparable damage is presumed when
an agency fails to evaluate thoroughly
the environmental impact of a proposed
action). Moreover, a showing of
irreparable harm in a NEPA case does
not entitle a litigant to an injunction or
a stay. See Winter, 555 U.S. at 20 (‘‘A
plaintiff seeking a preliminary
injunction must establish that he is
likely to succeed on the merits, that he
is likely to suffer irreparable harm in the
absence of preliminary relief, that the
balance of equities tips in his favor, and
that an injunction is in the public
interest.’’) (emphasis added); Geertson
Seed Farms, 561 U.S. at 157 (‘‘The
traditional four-factor test applies when
a plaintiff seeks a permanent injunction
to remedy a NEPA violation. . . . An
injunction should issue only if the
traditional four-factor test is satisfied.’’).
CEQ proposes to clarify that NEPA
and the APA allow agencies the
flexibility to structure their decisionmaking processes to allow opportunities
for affected parties to seek a stay of an
agency’s final decision from the agency
pending judicial review of the decision.
Such stays are authorized by the APA,
are expressly contemplated by Fed. R.
App. P. 18, and are analogous in key
respects to stays of district court
judgments available under Fed. R. Civ.
P. 62(b) and (d). See 5 U.S.C. 705; see
also Fed. R. App. P. 18(a)(1) and
18(a)(2)(A). In appropriate
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circumstances, agencies may impose
bond and security requirements or other
conditions. See, e.g., 5 U.S.C. 301,54 as
a prerequisite to staying their decisions,
as courts do under Fed. R. App. P. 18
and other rules.55 See Fed. R. App. P.
18(b); Fed. R. App. P. 8(a)(2)(E); Fed. R.
Civ. P. 65(c); Fed. R. Civ. P. 62(b); Fed.
R. Civ. P. 62(d). CEQ invites comment
on whether there are disclosure or other
transparency requirements that should
be required when agencies establish
bond or security requirements or other
conditions.
In addition to the authority provided
by 5 U.S.C. 705 and by agencies’ various
organic statutes, agency stays of their
decisions and appropriate conditions on
such stays may further the purposes of
NEPA, which provides that all Federal
agencies shall identify and develop
methods and procedures, in
consultation with CEQ, to ensure that
environmental amenities and values are
given appropriate consideration in
decision making along with economic
and technical considerations. 42 U.S.C.
4332(B). Agency procedures that allow
for agencies to stay their decisions,
including appropriate conditions on
stays, can contribute to an orderly
process whereby judicial review of
agency decisions may occur, furthering
NEPA’s mandate to agencies to develop
methods and procedures to ensure the
appropriate consideration of
environmental, economic, and technical
factors in agency decision making. CEQ
invites comment on how agencies can
structure their processes to ensure
appropriate consideration of these
factors.
CEQ proposes to add a new
§ 1500.3(d), ‘‘Remedies.’’ CEQ proposes
to state explicitly that harm from the
failure to comply with NEPA can be
remedied by compliance with NEPA’s
procedural requirements, and that
CEQ’s regulations do not create a cause
of action for violation of NEPA. The
statute does not create any such cause
of action, and agencies may not create
54 5 U.S.C. 301, titled ‘‘Department regulations,’’
is known as the housekeeping statute and permits
the head of a Department to promulgate regulations
‘‘for the government of his department, the conduct
of its employees, the distribution and performance
of its business, and the custody, use, and
preservation of its records, papers, and property.’’
The purpose of this statute is ‘‘simply a grant of
authority to [an] agency to regulate its own affairs’’
through ‘‘what the APA terms ‘rules of agency
organization, procedure or practice’ as opposed to
‘substantive rules.’ ’’ Chrysler Corp. v. Brown, 441
U.S. 281, 309–10 (1979).
55 CEQ notes that there is no ‘‘NEPA exception’’
that exempts litigants bringing NEPA claims from
otherwise applicable bond or security requirements
or other appropriate conditions, and that some
courts have imposed substantial bond requirements
in NEPA cases.
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private rights of action by regulation;
‘‘[l]ike substantive [F]ederal law itself,
private rights of action to enforce
[F]ederal law must be created by
Congress.’’ Alexander v. Sandoval, 532
U.S. 275, 286 (2001). CEQ also proposes
to state that any actions to review,
enjoin, stay, or alter an agency decision
on the basis of an alleged NEPA
violation be raised as soon as
practicable to avoid or minimize any
costs to agencies, applicants, or any
affected third parties. As reflected in
comments received in response to the
ANPRM, delays have the potential to
result in substantial costs.
CEQ also proposes to state that minor,
non-substantive errors that have no
effect on agency decision making shall
be considered harmless and shall not
invalidate an agency action. This would
replace and update 40 CFR 1500.3,
which provides that trivial violations
should not give rise to an independent
cause of action. Invalidating actions due
to minor errors does not advance the
goals of the statute and adds delays and
costs.
Finally, CEQ proposes to add a new
§ 1500.3(e), ‘‘Severability,’’ to address
the possibility that this rule, or portions
of this rule, may be challenged in
litigation. It is CEQ’s intent that the
individual sections of this rule be
severable from each other, and that if
any sections or portions of the
regulations are stayed or invalidated,
the validity of the remainder of the
sections shall not be affected and shall
continue to be operative.
CEQ proposes to reorder the
paragraphs in § 1500.4, ‘‘Reducing
paperwork,’’ and § 1500.5, ‘‘Reducing
delay,’’ for a more logical ordering,
consistent with the three levels of NEPA
review. Finally, CEQ proposes edits to
§ 1500.4 and § 1500.5 for consistency
with proposed edits to the crossreferenced sections.
Finally, as noted above, CEQ proposes
to add a savings clause to § 1500.6,
‘‘Agency authority,’’ to clarify that the
CEQ regulations do not limit an
agency’s other authorities or legal
responsibilities. This clarification is
consistent with section 104 of NEPA (42
U.S.C. 4334) and the current
regulations, but acknowledges the
possibility of different statutory
authorities that may set forth different
requirements, such as timeframes.
CEQ invites comment on the
proposed changes to part 1500,
particularly proposed § 1500.3 and
whether CEQ should include any
additional changes or provisions to
advance timely resolution of disputes
related to NEPA compliance to ensure a
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timely and predictable process, and
avoidance of litigation.
C. Proposed Revisions to NEPA and
Agency Planning (Part 1501)
CEQ proposes significant changes to
part 1501. CEQ proposes to replace the
current 40 CFR 1501.1, ‘‘Purpose,’’
because it is unnecessary and
duplicative, with a new section to
address threshold considerations. CEQ
proposes to add additional sections to
address the level of NEPA review and
CEs. CEQ further proposes to
consolidate and clarify provisions on
EAs and FONSIs, and relocate from part
1502 the provisions on tiering and
incorporation by reference. CEQ also
proposes to set presumptive time limits
for the completion of NEPA reviews,
and clarify the roles of lead and
cooperating agencies to further the OFD
policy and encourage more efficient and
timely NEPA reviews.
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1. NEPA Threshold Applicability
Analysis (§ 1501.1)
Since the enactment of NEPA, courts
have examined the applicability of
NEPA based on a variety of
considerations. For example, courts
have found that NEPA is inapplicable
where an agency is carrying out a nondiscretionary duty or obligation, where
an agency’s statutory obligations clearly
or fundamentally conflict with NEPA
compliance, where Congress has
established requirements under another
statute that displaces NEPA compliance,
and where environmental review and
public participation procedures under
another statute are functionally
equivalent to those required by NEPA.
CEQ proposes a new § 1501.1, ‘‘NEPA
threshold applicability analysis,’’ to
provide a series of considerations to
assist agencies in a threshold analysis
for determining whether NEPA applies.
CEQ also proposes related changes in
§ 1507.3(c) to provide that agencies may
identify actions that are not subject to
NEPA in their agency NEPA procedures.
Paragraph (b) of § 1501.1 would clarify
that agencies can also make this
determination on a case-by-case basis.
2. Apply NEPA Early in the Process
(§ 1501.2)
CEQ proposes to amend the
introductory paragraph of § 1501.2,
‘‘Apply NEPA early in the process,’’ to
change ‘‘shall’’ to ‘‘should’’ and
‘‘possible’’ to ‘‘reasonable.’’ Agencies
need the discretion to structure the
timing of their NEPA processes to align
with their decision-making processes,
consistent with their statutory
authorities. Agencies need flexibility to
determine the appropriate time to start
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the NEPA process, based on the context
of the particular proposed action and
governed by the rule of reason, so that
the NEPA analysis meaningfully
informs the agency’s decision. The
appropriate time to begin the NEPA
process is dependent on when the
agency has sufficient information and
how it can most effectively integrate the
NEPA review into the agency’s decisionmaking process. Further, some have
viewed this provision as a legally
enforceable standard, rather than an
opportunity for agencies to integrate
NEPA into their decision-making
programs and processes. CEQ’s view is
that agencies should have discretion
with respect to timing, consistent with
its regulatory provisions for deferring
NEPA analysis to appropriate points in
the decision-making process. See 40
CFR 1508.28. This proposed
amendment is consistent with CEQ
guidance that agencies should
‘‘concentrate on relevant environmental
analysis’’ in their EISs rather than
‘‘produc[ing] an encyclopedia of all
applicable information.’’ Timely
Environmental Reviews Guidance,
supra note 21; see also 40 CFR 1500.4(b)
and 1502.2(a). Therefore, CEQ proposes
these changes to clarify that agencies
have discretion to structure their NEPA
processes in accordance with the rule of
reason. CEQ also proposes to change
‘‘possible’’ to ‘‘reasonable’’ in paragraph
(b)(4)(iii) and ‘‘shall’’ to ‘‘should’’ in the
introductory paragraph of § 1502.5 for
consistency.
CEQ also proposes to amend
§ 1501.2(b)(2) to clarify that agencies
should consider economic and technical
analyses along with environmental
effects. Finally, CEQ proposes to amend
paragraph (b)(4)(ii) to change ‘‘agencies’’
to ‘‘governments’’ consistent with and
in support of government-to-government
consultation pursuant to E.O. 13175 56
and E.O. 13132, ‘‘Federalism.’’ 57 For
consistency, CEQ also proposes
revisions to §§ 1501.9(b) and
1503.1(a)(2)(ii).
3. Determine the Appropriate Level of
NEPA Review (§ 1501.3)
NEPA requires a ‘‘detailed statement’’
for ‘‘major Federal actions significantly
affecting the quality of the human
environment.’’ 42 U.S.C. 4332(2)(C). To
determine whether an action requires
such a detailed statement, the CEQ
regulations provide three levels of
review for Federal agencies to assess
proposals for agency action.
Specifically, the CEQ regulations allow
agencies to review expeditiously those
56 Supra
57 64
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actions that normally do not have
significant effects by using CEs or, for
actions that are not likely to have
significant effects, by preparing an EA.
Through the use of CEs and EAs,
agencies then can focus their limited
resources on those actions that are likely
to have significant effects and require
the ‘‘detailed statement,’’ or EIS,
required by NEPA.
While the existing CEQ regulations
provide for these three levels of NEPA
review, they do not clearly set out the
decisional framework by which agencies
should assess their proposed actions
and select the appropriate level of
review. To provide this direction and
clarity, the proposed rule would add
two additional sections to part 1501,
renumber the remaining sections, and
retitle two sections. The proposed
§ 1501.3, ‘‘Determine the appropriate
level of NEPA review,’’ would describe
the three levels of NEPA review and the
basis upon which an agency makes a
determination regarding the appropriate
level of review for a proposed action.
While this section would supplement
the existing regulations, these concepts
exist in the current 40 CFR 1501.4
(whether to prepare an EIS), 1508.4
(CEs), and 1508.9 (EAs).
Additionally, paragraph (b) would
address the consideration of
significance, which is central to
determining the appropriate level of
review. CEQ proposes to move and
simplify the operative language from 40
CFR 1508.27, ‘‘Significantly.’’ CEQ
proposes to change ‘‘context’’ to
‘‘potentially affected environment’’ and
‘‘intensity’’ to ‘‘degree’’ to provide
greater clarity as to what agencies
should consider in assessing potential
significant effects. CEQ did not include
a consideration regarding controversy
(40 CFR 1508.27(b)(4)) because this has
been interpreted to mean scientific
controversy. Additionally, CEQ did not
include a consideration regarding the
reference in 40 CFR 1508.27(b)(7) to
‘‘[s]ignificance cannot be avoided by
terming an action temporary or by
breaking it down into small component
parts’’ because this is addressed in the
criteria for scope in § 1501.9(e) and
§ 1502.4(a), which would provide that
agencies evaluate in a single EIS
proposals or parts of proposals that are
related closely enough to be, in effect,
a single course of action.
4. Categorical Exclusions (CEs)
(§ 1501.4)
Under the CEQ regulations, agencies
can categorically exclude actions from
detailed review where the agency has
found in its agency NEPA procedures
that the action normally would not have
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significant effects. Over the past 4
decades, Federal agencies have
developed and documented more than
2,000 CEs.58 CEQ estimates that each
year, Federal agencies apply CEs to
approximately 100,000 Federal agency
actions that typically require little or no
documentation.59 While CEs are the
most common level of NEPA review,
CEQ has only addressed CE
development and implementation in
one comprehensive guidance document,
see CE Guidance, supra note 17, and
does not address CEs in detail in its
current regulations.
In response to the ANPRM, many
commenters requested that CEQ update
the NEPA regulations to provide more
detailed direction on the application of
CEs. To provide greater clarity, CEQ
proposes to add a new section on CEs.
The proposed § 1501.4, ‘‘Categorical
exclusions,’’ would address in more
detail the process by which an agency
considers whether a proposed action is
categorically excluded under NEPA.
This proposed provision is consistent
with the definition of categorical
exclusion in 40 CFR 1508.4, which is a
category of actions that the agency has
found normally do not have a
significant effect and listed in its agency
NEPA procedures.
The proposed CE section would
provide additional clarity on the process
that agencies follow in applying a CE. In
particular, paragraph (a) would provide
that agencies identify CEs in their NEPA
procedures, consistent with the
requirement to establish CEs in agency
NEPA procedures currently set forth in
40 CFR 1507.3(b)(2)(ii). The proposed
regulations would move the
requirement that agency NEPA
procedures provide for extraordinary
circumstances from the current 40 CFR
1508.4 to the proposed § 1507.3(d)(2)(ii)
to consolidate all the requirements for
establishing CEs in that regulation,
while providing in the proposed
§ 1501.4 the procedure for evaluation of
a proposed action for extraordinary
circumstances. The definition of
categorical exclusion only applies to
those CEs created by an administrative
determination in its agency NEPA
procedures and does not apply to
‘‘legislative categorical exclusions’’
created by Congress, which are
58 See Council on Environmental Quality, List of
Federal Agency Categorical Exclusions (Dec. 14,
2018), https://ceq.doe.gov/nepa-practice/
categorical-exclusions.html.
59 See, e.g., Council on Environmental Quality,
The Eleventh and Final Report on the National
Environmental Policy Act Status and Progress for
American Recovery and Reinvestment Act of 2009
Activities and Projects (Nov. 2, 2011), https://
ceq.doe.gov/docs/ceq-reports/nov2011/CEQ_ARRA_
NEPA_Report_Nov_2011.pdf.
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governed by the terms of the specific
statute and statutory interpretation of
the agency charged with the
implementation of the statute.
Paragraph (b) of proposed § 1501.4
would set forth the requirement for
consideration of extraordinary
circumstances once an agency
determines that a CE covers a proposed
action, consistent with the current
requirement in 40 CFR 1508.4. Finally,
paragraph (b)(1) would provide that,
when extraordinary circumstances are
present, agencies may consider whether
mitigating circumstances, such as the
design of the proposed action to avoid
effects that create extraordinary
circumstances, are sufficient to allow
the proposed action to be categorically
excluded. The change would clarify that
the mere presence of extraordinary
circumstances does not preclude the
application of a CE. Rather, the agency
may consider whether there is a close
causal relationship between a proposed
action and the potential effect on the
conditions identified as extraordinary
circumstances, and if such a
relationship exists, the potential effect
of a proposed action on these
conditions. Accordingly, the agency
could modify the proposed action to
avoid the extraordinary circumstances
so that the action fits in the categorical
exclusion. While this reflects current
practice for some agencies,60 this
revision would assist agencies as they
consider whether to categorically
exclude an action that would otherwise
be considered in an EA and FONSI.
CEQ invites comment on these
proposed revisions and on whether
there are any other aspects of CEs that
CEQ should address in its regulations.
Specifically, CEQ invites comment on
whether it should establish governmentwide CEs in its regulations to address
routine administrative activities, for
example, internal orders or directives
regarding agency operations,
procurement of office supplies and
travel, and rulemakings to establish
administrative processes such as those
established under the Freedom of
Information Act or Privacy Act.
Alternatively, CEQ invites comment on
whether and how CEQ should revise the
definition of major Federal action to
exclude these categories from the
definition, and if so, suggestions on how
it should be addressed.
60 See, e.g., Forest Service categorical exclusions,
36 CFR 220.6(b)(2) and surface transportation
categorical exclusions, 23 CFR 771.116–771.118.
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5. Environmental Assessments (EAs)
(§ 1501.5)
Under the current CEQ regulations,
when an agency has not categorically
excluded a proposed action, the agency
can prepare an EA to document its
effects analysis. If the analysis in the EA
demonstrates that the action’s effects
would not be significant, the agency
documents its reasoning in a FONSI,
which completes the NEPA process;
otherwise, the agency uses the EA to
help prepare an EIS. See 40 CFR 1508.9
and 1508.13. CEQ estimates that Federal
agencies prepare approximately 10,000
EAs each year.61
The current CEQ regulations address
the requirements for EAs in a few
provisions, and, in response to the
ANPRM, some commenters requested
that the regulations provide more
detailed direction related to EAs.
Currently, 40 CFR 1508.9 defines an EA
as a ‘‘concise public document’’ that
agencies may use to comply with NEPA
and determine whether to prepare an
EIS or a FONSI. This section also sets
forth the basic requirements for an EA’s
contents. Current 40 CFR 1501.4(b)
provides the public involvement
requirements for EAs. These essential
requirements of an EA would remain
under the proposed regulations, but
CEQ proposes to consolidate them into
a single section to improve readability.
Under the current regulations, the
format for an EA is flexible and
responsive to agency decision-making
needs and the circumstances of the
particular proposal for agency action.
The proposed CEQ regulations would
continue to provide that an EA may be
prepared by and with other agencies,
applicants, and the public. Modern
information technology can help
facilitate this collaborative EA
preparation, allowing the agency to
make a coordinated but independent
evaluation of the environmental issues
and assume responsibility for the scope
and content of the EA.
CEQ proposes to revise paragraph (a)
of proposed § 1501.5 (current 40 CFR
1501.3) to clarify that an agency must
prepare an EA when necessary to
determine whether a proposed action
would have a significant effect or the
significance of the effects is unknown,
unless a CE applies to the proposed
action or the agency decides to prepare
an EIS. CEQ proposes to move the
operative language relating to an EA
61 See, e.g., Council on Environmental Quality,
Fourth Report on Cooperating Agencies in
Implementing the Procedural Requirements of the
National Environmental Policy Act, Attachment A
(Oct. 4, 2016), https://ceq.doe.gov/docs/ceq-reports/
Attachment-A-Fourth-Cooperating-Agency-Report_
Oct2016.pdf.
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from the definition of EAs currently in
40 CFR 1508.9 to a new paragraph (c).
Under the proposed CEQ regulations,
requirements for documenting the
proposed action and alternatives in an
EA would continue to be more limited
than EIS requirements. Under the
existing and proposed regulations, an
agency must briefly describe the need
for the proposed action. Agencies can
do this by briefly describing the existing
conditions, projected future conditions,
and statutory obligations and authorities
that may relate to the proposed agency
action with cross-references to
supporting documents. The proposed
CEQ regulations would continue to
require agencies to describe briefly the
proposed action and any alternatives it
is considering that would meet the need
of the proposed agency action. For
actions to protect or restore the
environment, without unresolved
conflicts concerning alternative uses of
available resources, CEQ expects
agencies to examine a narrower range of
alternatives to the proposed action.
When the project may have significant
impacts, the agency should consider
reasonable alternatives that would avoid
those impacts or otherwise mitigate
those impacts to less than significant
levels.
An agency does not need to include
a detailed discussion of each alternative
in an EA, nor does it need to include
any detailed discussion of alternatives
that it eliminated from study. While
agencies have discretion to include
more information in their EAs than is
required to determine whether to
prepare an EIS or a FONSI, they should
carefully consider their reasons and
have a clear rationale for doing so.
Agencies should focus on analyzing
material effects and alternatives, rather
than marginal details that may
unnecessarily delay the environmental
review process.
Under both the current and proposed
regulations, an agency must describe the
environmental impacts of its proposed
action and alternatives, providing
enough information to support a
determination to prepare either a FONSI
or an EIS. The EA should focus on
whether the proposed action (including
mitigation) would ‘‘significantly’’ affect
the quality of the human environment
and tailor the length of the discussion
to the relevant effects. The agency may
contrast the impacts of the proposed
action and alternatives with the current
and expected future conditions of the
affected environment in the absence of
the action, which constitutes
consideration of a no-action alternative.
Under both the current and proposed
regulations, an agency should list the
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‘‘agencies, applicants, and the public’’
involved in preparing the EA to
document agency compliance with the
requirement to ‘‘involve environmental
agencies, applicants, and the public, to
the extent practicable, in preparing
assessments.’’ 40 CFR 1501.4(b); see
also 1508.9(b). This may include
incorporation by reference to the
records related to compliance with other
environmental laws such as the
National Historic Preservation Act,
Clean Water Act, Endangered Species
Act, or Clean Air Act.
CEQ proposes to move the public
involvement requirements for EAs from
the current 40 CFR 1501.4(b) to
proposed § 1501.5(d) and change
‘‘environmental’’ to ‘‘relevant’’ agencies
to include all agencies that may
contribute information that is relevant
to the development of an EA. Consistent
with the current CEQ regulations, the
proposed rule would not specifically
require publication of a draft EA for
public review and comment. The
proposed CEQ regulations would
continue to require that agencies
reasonably involve relevant agencies,
the applicant, and the public prior to
completion of the EA, so that they may
provide meaningful input on those
subject areas that the agency must
consider in preparing the EA. See also
40 CFR 1506.6(b) and 1508.9(a).
Depending on the circumstances, the
agency could provide adequate
information through public meetings or
by a detailed scoping notice, for
example. There is no single correct
approach for public involvement.
Rather, agencies should consider the
circumstances and have discretion to
conduct public involvement tailored to
the interested public, to available means
of communications to reach the
interested and affected parties, and to
the particular circumstances of each
proposed action.
Paragraph (e) would establish a
presumptive 75-page limit for EAs, but
allow a senior agency official to approve
a longer length and establish a new page
limit in writing. While CEQ has stated
in Question 36a of the Forty Questions,
supra note 10, that EAs should be
approximately 10 to 15 pages, in
practice, such assessments are often
longer to address compliance with other
applicable laws, and to document the
effects of mitigation to support a FONSI.
To achieve the presumptive 75-page
limit, agencies should write all NEPA
environmental documents in plain
language, follow a clear format, and
emphasize important impact analyses
and relevant information necessary for
those analyses, rather than providing
extensive background material. An EA
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should have clear and concise
conclusions and may incorporate by
reference data, survey results,
inventories, and other information that
support these conclusions, so long as
this information is reasonably available
to the public.
The proposed presumptive page limit
for EAs will promote more readable
documents, but also provide agencies
flexibility to prepare longer documents,
where necessary, to support the
agency’s analysis. The proposed
presumptive page limit is consistent
with CEQ’s guidance on EAs, which
advises agencies to avoid preparing
lengthy EAs except in unusual cases
where a proposal is so complex that a
concise document cannot meet the goals
of an EA and where it is extremely
difficult to determine whether the
proposal could cause significant effects.
Question 36a and 36b, Forty Questions,
supra note 10.
CEQ believes that page limits will
encourage agencies to identify the
relevant issues, focus on significant
environmental impacts, and prepare
concise readable documents that will
inform decision makers as well as the
public. Voluminous, unfocused
environmental documents do not
advance the goals of informed decision
making or protection of the
environment.
CEQ proposes conforming edits to
§ 1500.4(c) to broaden the paragraph to
include EAs by changing
‘‘environmental impact statements’’ to
‘‘environmental documents’’ and
changing ‘‘setting’’ to ‘‘meeting’’ since
page limits would be required for both
EAs and EISs. CEQ invites comment on
the appropriate presumptive page limit
for EAs, the means of managing their
level of detail, and their role in agency
decision making.
CEQ proposes a new paragraph (f) to
clarify that agencies may also apply
certain provisions in part 1502
regarding incomplete or unavailable
information, methodology and scientific
accuracy, and coordination of
environmental review and consultation
requirements to EAs. CEQ also proposes
to add EAs to § 1501.11, ‘‘Tiering,’’ to
codify current agency practice of using
EAs where the effects of a proposed
agency action are not likely to be
significant. These include program
decisions that may facilitate later sitespecific EISs as well as the typical use
of EAs as a second-tier document tiered
from an EIS.
In addition to the new § 1501.5, CEQ
proposes to add EAs to other sections of
the regulations to codify existing agency
practice where it would make the NEPA
process more efficient and effective. As
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discussed in section II.C.9, CEQ also
proposes to make a presumptive time
limit applicable to EAs in § 1501.10.
Further, for some agencies, it is a
common practice to have lead and
cooperating agencies coordinate in the
preparation of EAs where more than one
agency may have an action on a
proposal; therefore, CEQ also proposes
to add EAs to §§ 1501.7 and 1501.8.
CEQ invites comment on these
proposed revisions and on whether
there are any other aspects of EAs that
CEQ should address in its regulations.
6. Findings of No Significant Impact
(FONSIs) (§ 1501.6)
When an agency determines in its EA
that an EIS is not required, it typically
prepares a FONSI. The FONSI reflects
that the agency has engaged in the
necessary review of environmental
impacts under NEPA. The FONSI shows
that the agency examined the relevant
data and explained the agency findings
by providing a rational connection
between the facts presented in the EA
and the conclusions drawn in the
finding. Any finding should clearly
identify the facts found and the
conclusions drawn by the agency based
on those facts.
In response to the ANPRM, CEQ
received comments requesting that CEQ
update its regulations to consolidate and
provide more detailed direction relating
to FONSIs. CEQ proposes to consolidate
the operative language of 40 CFR
1508.13, ‘‘Finding of no significant
impact,’’ with 40 CFR 1501.4, ‘‘Whether
to prepare an environmental impact
statement,’’ in the proposed § 1501.6,
‘‘Findings of no significant impact.’’
CEQ proposes to strike paragraph (a) as
these requirements are addressed in
§ 1507.3(d)(2). As noted above,
paragraph (b) would move to the
proposed § 1501.5, ‘‘Environmental
assessments.’’ This proposed EA section
also addresses paragraph (c), so CEQ
proposes to strike it from the proposed
FONSI section. Similarly, CEQ proposes
to strike paragraph (d) because this
requirement is addressed in § 1501.9,
‘‘Scoping’’ (current 40 CFR 1501.7).
CEQ proposes to make the current 40
CFR 1501.4(e) the new § 1501.6(a), and
revise the language to clarify that an
agency must prepare a FONSI when it
determines that a proposed action will
not have significant effects based on the
analysis in the EA. CEQ would revise
proposed paragraph (a)(2) to clarify that
the circumstances listed in paragraph (i)
and (ii) are the situations where the
agency must make a FONSI available for
public review.
CEQ proposes to move the substantive
requirement that a FONSI include the
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EA or a summary from the definition of
FONSI (currently 40 CFR 1508.13) to a
new paragraph (b). Additionally, CEQ
proposes the addition of a new
paragraph (c) to address mitigation.
Specifically, where mitigation is
required under another statute or where
an agency is issuing a mitigated FONSI,
it would require the agency to include
the legal basis for any mitigation
adopted.62 Additionally, it would codify
the practice of mitigated FONSIs,
consistent with CEQ’s Mitigation
Guidance, by requiring agencies to
document mitigation, including
enforceable mitigation requirements or
commitments that will be undertaken to
avoid significant impacts.63 When
preparing an EA, many agencies
develop, consider, and commit to
mitigation measures to avoid, minimize,
rectify, reduce, or compensate for
potentially significant adverse
environmental impacts that would
otherwise require preparation of an EIS.
An agency can commit to mitigation
measures for a mitigated FONSI when it
can ensure that the mitigation will be
performed, when the agency expects
that resources will be available, and
when the agency has sufficient legal
authorities to ensure implementation of
the proposed mitigation measures. This
codification of CEQ guidance is not
intended to create a different standard
for analysis of mitigation for a
‘‘mitigated FONSI,’’ but to provide
clarity regarding the use of FONSIs.
7. Lead and Cooperating Agencies
(§§ 1501.7 and 1501.8)
In response to the ANPRM, CEQ
received comments requesting that CEQ
update its regulations to clarify the roles
of lead and cooperating agencies. The
1978 CEQ regulations created the roles
of lead agency and cooperating agencies
for NEPA reviews, which are critical for
actions, such as non-Federal projects,
requiring the approval or authorization
of multiple agencies. Agencies need to
coordinate and synchronize their NEPA
processes to ensure an efficient
environmental review that does not
cause delays. In recent years, Congress
and several administrations have
62 As discussed in sections I.B.1 and II.B, NEPA
is a procedural statute and does not require
adoption of mitigation. However, agencies may
consider mitigation measures that would avoid,
minimize, rectify, reduce, or compensate for
potentially significant adverse environmental
impacts and may require mitigation pursuant to
substantive statutes.
63 The Mitigation Guidance, supra note 18,
amended and supplemented the Forty Questions,
supra note 10, specifically withdrawing Question
39 insofar as it suggests that mitigation measures
developed during scoping or in an EA ‘‘[do] not
obviate the need for an EIS.’’
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worked to establish a more
synchronized procedure for multiagency NEPA reviews and related
authorizations, including through the
development of expedited procedures
such as the section 139 process and
FAST–41.
CEQ proposes a number of
modifications to § 1501.7, ‘‘Lead
agencies,’’ (current 40 CFR 1501.5), and
§ 1501.8, ‘‘Cooperating agencies,’’
(current 40 CFR 1501.6), to improve
interagency coordination, make
development of NEPA documents more
efficient, and facilitate implementation
of the OFD policy. CEQ intends these
modifications to improve the efficiency
and outcomes of the NEPA process—
including cost reduction, improved
relationships, and better outcomes that
avoid litigation—by promoting
environmental collaboration.64 These
modifications are consistent with
Questions 14a and 14c of the Forty
Questions, supra note 10. CEQ proposes
to apply §§ 1501.7 and 1501.8 to EAs as
well as EISs consistent with agency
practice. Consistent with the OFD
policy to ensure coordinated and timely
reviews, CEQ also proposes to add a
§ 1501.7(g) to require that Federal
agencies evaluate proposals involving
multiple Federal agencies in a single EIS
and issue a joint ROD 65 or single EA
and joint FONSI when practicable. CEQ
further proposes to move language from
the current cooperating agency
provision, 40 CFR 1501.6(a), that
addresses the lead agency’s
responsibilities with respect to
cooperating agencies to proposed
paragraph (h) in § 1501.7 so that all of
the lead agency’s responsibilities are in
a single section. CEQ also proposes to
clarify in paragraph (h)(4) that the lead
agency is responsible for determining
the purpose and need and alternatives
in consultation with any cooperating
agencies.66
64 See, e.g., Federal Forum on Environmental
Collaboration and Conflict Resolution,
Environmental Collaboration and Conflict
Resolution (ECCR): Enhancing Agency Efficiency
and Making Government Accountable to the People
(May 2, 2018), https://ceq.doe.gov/docs/nepapractice/ECCR_Benefits_Recommendations_Report_
%205-02-018.pdf.
65 A ‘‘single ROD,’’ as used in E.O. 13807, is the
same as a ‘‘joint ROD,’’ which is a ROD addressing
all Federal agency actions covered in the single EIS
and necessary for a proposed project. 40 CFR
1508.25(a)(3). The regulations would provide
flexibility for circumstances where a joint ROD is
impracticable. Examples include the statutory
directive to issue a combined final EIS and ROD for
transportation actions and the Federal Energy
Regulatory Commission’s adjudicatory process.
66 See OFD Framework Guidance, supra note 27,
§ VIII.A.5 (‘‘The lead agency is responsible for
developing the Purpose and Need, identifying the
range of alternatives to be analyzed, identifying the
preferred alternative and determining whether to
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Proposed § 1501.7(i) and (j) and
§ 1501.8(b)(6) and (7) also would require
development and adherence to a
schedule for the environmental review
and any authorizations required for a
proposed action, and resolution of
disputes and other issues that may
cause delays in the schedule. These
proposed provisions are consistent with
current practices at agencies that have
adopted elevation procedures pursuant
to various statutes and guidance,
including 23 U.S.C. 139, FAST–41, and
E.O. 13807.
Proposed paragraph (a) of § 1501.8
would clarify that lead agencies may
invite State, Tribal, and local agencies to
serve as cooperating agencies by
changing ‘‘Federal agency’’ to ‘‘agency,’’
and moving the operative language from
the definition of cooperating agency (40
CFR 1508.5). Non-Federal agencies
should participate in the environmental
review process to ensure early
collaboration on proposed actions
where such entities have jurisdiction by
law or special expertise. Paragraph (a)
would also codify current practice to
allow a Federal agency to appeal to CEQ
a lead agency’s denial of a request to
serve as cooperating agency. Resolving
disputes among agencies early in the
process furthers the OFD policy and the
goal of more efficient and timely NEPA
reviews. Finally, CEQ proposes edits
throughout § 1501.8 to provide further
clarity.
8. Scoping (§ 1501.9)
In response to the ANPRM, CEQ
received comments requesting that CEQ
update its regulations related to scoping,
including comments requesting that
agencies have greater flexibility in how
to conduct scoping. Rather than
requiring publication of a NOI as a
precondition to the scoping process,
CEQ proposes to modify the current 40
CFR 1501.7, ‘‘Scoping,’’ in the proposed
§ 1501.9 so that agencies can begin the
scoping process as soon as the proposed
action is sufficiently developed for
meaningful agency consideration. Some
agencies refer to this as pre-scoping
under the existing regulations to capture
scoping work done before publication of
the NOI. Rather than tying the start of
scoping to the agency’s decision to
publish an NOI to prepare an EIS, the
timing and content of the NOI would
instead become an important step in the
scoping process itself, thereby obviating
the artificial distinction between
scoping and pre-scoping. However,
develop the preferred alternative to a higher level
of detail.’’); Connaughton Letter, supra note 23
(‘‘[J]oint lead or cooperating agencies should afford
substantial deference to the [ ] agency’s articulation
of purpose and need.’’)
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agencies should not unduly delay
publication of the NOI.
CEQ also proposes to consolidate all
the requirements for the NOI and the
scoping process into the same section,
reorganize it to discuss the scoping
process in chronological order, and add
paragraph headings to improve clarity.
CEQ proposes to add ‘‘likely’’ to
proposed paragraph (b) to capture the
reality that at the scoping stage, agencies
may not know the identities of all
affected parties and that one of the
purposes of scoping is to identify
affected parties. Paragraph (c) would
provide agencies additional flexibility
in how to reach interested or affected
parties in the scoping process.
Paragraph (d) would provide a list of
what agencies must include in an NOI
to standardize NOI format and achieve
greater consistency across agencies. This
will provide the public with more
transparency and ensure that agencies
conduct the scoping process in a
manner that facilitates implementation
of the OFD policy for multi-agency
actions, including by proactively
soliciting comments on alternatives,
impacts, and relevant information to
better inform agency decision making.
CEQ proposes to move the criteria for
determining scope from the definition of
scope, 40 CFR 1508.25, to paragraph (e)
and to strike the paragraph on
‘‘cumulative actions’’ for consistency
with the proposed revisions to the
definition of ‘‘effects’’ discussed below.
CEQ also proposes to use the term
‘‘most effective’’ rather than ‘‘best’’ in
§ 1501.9(e)(1)(ii) for clarity.
9. Time Limits (§ 1501.10)
In response to the ANPRM, CEQ
received many comments on the lengthy
timelines and costs of environmental
reviews, and many suggestions for more
meaningful time limits for the
completion of the NEPA process.
Accordingly, and to promote timely
reviews, CEQ proposes to establish
presumptive time limits for EAs and
EISs consistent with E.O. 13807 and
prior CEQ guidance. In Question 35 of
the Forty Questions, supra note 10, CEQ
stated its expectation that ‘‘even large
complex energy projects would require
only about 12 months for the
completion of the entire EIS process’’
and that, for most major actions, ‘‘this
period is well within the planning time
that is needed in any event, apart from
NEPA.’’ CEQ also recognized that ‘‘some
projects will entail difficult long-term
planning and/or the acquisition of
certain data which of necessity will
require more time for the preparation of
the EIS.’’ Id. Finally, Question 35 stated
that an EA ‘‘should take no more than
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3 months, and in many cases
substantially less as part of the normal
analysis and approval process for the
action.’’
Based on agency experience with the
implementation of the regulations, CEQ
is proposing in § 1501.10, ‘‘Time
limits,’’ (current 40 CFR 1501.8) to add
a new paragraph (b) to establish a
presumptive time limit for EAs of 1 year
and a presumptive time limit for EISs of
2 years. CEQ further proposes to provide
that a senior agency official may
approve in writing a longer time period.
These paragraphs would also define the
start and end dates of the time period
consistent with E.O. 13807. Consistent
with CEQ and OMB guidance, agencies
should begin scoping and development
of a schedule for timely completion of
an EIS prior to issuing an NOI and
commit to cooperate, communicate,
share information, and resolve conflicts
that could prevent meeting
milestones.67 CEQ recognizes that
agency capacity, including those of
cooperating and participating agencies,
may affect timing, and that agencies
should schedule and prioritize their
resources accordingly to ensure effective
environmental analyses and public
involvement. Further, agencies have
flexibility in the management of their
internal processes to set shorter time
limits and to define the precise start and
end times for measuring the completion
time of an EA. Therefore, CEQ proposes
to retain paragraph (c) regarding factors
in determining time limits, but revise
paragraph (c)(6) for clarity and strike
paragraph (c)(7) because it overlaps with
numerous other factors.
CEQ also proposes conforming edits
to § 1500.5(g) to change ‘‘setting’’ to
‘‘meeting’’ time limits and add
‘‘environmental assessment.’’ CEQ
invites comment on these sections,
including on the proposed presumptive
timeframes for EAs and EISs, the
provisions for management of time
limits, and whether the regulations
should specify shorter timeframes.
10. Tiering and Incorporation by
Reference (§§ 1501.11 and 1501.12)
CEQ proposes to move 40 CFR
1502.21, ‘‘Tiering,’’ and 40 CFR 1502.22,
‘‘Incorporation by reference,’’ to
proposed new §§ 1501.11 and 1501.12,
respectively, because these provisions
are generally applicable. Specifically,
CEQ proposes a number of revisions in
§ 1501.11 and other paragraphs to
clarify when agencies can use existing
67 See OFD Framework Guidance, supra note 27
(‘‘[w]hile the actual schedule for any given project
may vary based upon the circumstances of the
project and applicable law, agencies should
endeavor to meet the two-year goal . . . .’’).
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studies and environmental analyses in
the NEPA process and when agencies
would need to supplement such studies
and analyses. These revisions include
updates to the provisions on
programmatic reviews (§ 1502.4(d)) and
tiering (§ 1501.11) to make clear, among
other things, that site-specific analyses
need not be conducted prior to an
irretrievable commitment of resources,
which in most cases will not be until
the decision at the site-specific stage.
CEQ also proposes to move the
operative language from the definition
of tiering in 40 CFR 1508.28 to
§ 1501.11(b).
In addition, CEQ proposes
consistency edits to change ‘‘broad’’ and
‘‘program’’ to ‘‘programmatic’’ in
§§ 1500.4(k), 1502.4(b), (c), and (d), and
1506.1(c). Further revisions to
§ 1502.4(b), including eliminating
reference to programmatic EISs that ‘‘are
sometimes required,’’ are intended to
focus the provision on the discretionary
use of programmatic EISs in support of
clearly defined decision-making
purposes. As CEQ stated in its 2014
guidance, programmatic NEPA reviews
‘‘should result in clearer and more
transparent decision[ ]making, as well as
provide a better defined and more
expeditious path toward decisions on
proposed actions.’’ 68 Other statutes or
regulations define circumstances under
which a programmatic EIS is required.
See, e.g., National Forest Management
Act, 16 U.S.C. 1604(g). Finally, CEQ
proposes a consistency edit in
§ 1502.4(c)(3) to revise the mandatory
language to be discretionary since the
regulations do not require programmatic
EISs.
D. Proposed Revisions to Environmental
Impact Statements (EISs) (Part 1502)
The most extensive level of NEPA
analysis is an EIS, which is the
‘‘detailed statement’’ required under
section 102(2)(C) of NEPA. When an
agency prepares an EIS, it typically
issues a ROD at the conclusion of the
NEPA review. 40 CFR 1505.2. Based on
the Environmental Protection Agency
(EPA) weekly Notices of Availability
published in the Federal Register
between 2010 and 2018, Federal
agencies published approximately 170
final EISs per year. CEQ proposes to
update the format, page length, and
timeline to complete EISs to better
achieve the purposes of NEPA. CEQ also
proposes several changes to streamline,
provide flexibility, and improve the
preparation of EISs. CEQ includes
provisions in part 1502 to promote
informed decision making by agencies
68 Programmatics
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and to inform the public about the
decision-making process. The proposed
regulations continue to encourage
application of NEPA early in the process
and early engagement with applicants
for non-Federal projects (proposed
§ 1502.5(b)).
1. Page Limits (§ 1502.7)
In response to the ANPRM, CEQ
received many comments on the length,
complexity, and readability of
environmental documents, and many
suggestions for more meaningful page
limits. The core purpose of page limits
from the original regulations remains—
documents must be a reasonable length
in a readable format so that it is
practicable for the decision maker to
read and understand the document in a
reasonable period of time. Therefore,
CEQ proposes to reinforce the page
limits for EISs set forth in § 1502.7,
while allowing a senior agency official
to approve a statement exceeding 300
pages when it is useful to the decisionmaking process. As captured in CEQ’s
report on the length of final EISs, these
documents average over 600 pages. See
Length of Environmental Impact
Statements, supra note 34. While the
length of an EIS will vary based on the
complexity and significance of the
proposed action and environmental
effects the EIS considers, every EIS must
be bounded by the practical limits of the
decision maker’s ability to consider
detailed information. CEQ proposes this
change to ensure that agencies develop
EISs focused on significant effects and
on the information useful to the
decision makers and the public to more
successfully implement NEPA.
CEQ intends for senior agency
officials to take responsibility for the
quantity, quality, and timelines of
environmental analyses developed in
support of the decisions of their
agencies. Therefore, the senior agency
official approving an EA or EIS in
excess of the page limits should ensure
that the final environmental document
meets the informational needs of the
agency’s decision maker. For example,
the agency decision makers may have
varying levels of capacity to consider
the information presented in the
environmental document. In ensuring
that the agency provides the resources
necessary to implement NEPA, in
accordance with 40 CFR 1507.2, senior
agency officials should ensure that
agency staff have the resources and
competencies necessary to produce
timely, concise, and effective
environmental documents.
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2. Draft, Final and Supplemental
Statements (§ 1502.9)
CEQ proposes to include subheadings in § 1502.9, ‘‘Draft, final, and
supplemental statements,’’ to improve
readability. CEQ proposes edits to
paragraph (b) for clarity, replacing
‘‘revised draft’’ with ‘‘supplemental
draft.’’
CEQ also received many comments
requesting clarification regarding when
supplemental statements are required.
CEQ proposes revisions to § 1502.9(d)(1)
to clarify that agencies need to update
environmental documents when there is
new information or a change in the
proposed action only if a major Federal
action remains to occur and other
requirements are met. This proposed
revision is consistent with Supreme
Court case law holding that a
supplemental EIS is required only ‘‘[i]f
there remains ‘major Federal actio[n]’ to
occur, and if the new information is
sufficient to show that the remaining
action will ‘affec[t] the quality of the
human environment’ in a significant
manner or to a significant extent not
already considered . . . .’’ Marsh, 490
U.S. at 374 (quoting 42 U.S.C.
4332(2)(C)); see also Norton v. S. Utah
Wilderness All., 542 U.S. 55, 73 (2004).
For example, supplementation might be
triggered after an agency executes a
grant agreement but before construction
is complete because the agency has yet
to provide all of the funds under that
grant agreement. On the other hand,
when an agency issues a final rule
establishing a regulatory scheme, there
is no remaining action to occur, and
therefore supplementation is not
required. If there is no further agency
action after the agency’s decision,
supplementation does not apply
because the Federal agency action is
complete. S. Utah Wilderness All., 542
U.S. at 73 (‘‘although the ‘[a]pproval of
a [land use plan]’ is a ‘major Federal
action’ requiring an EIS . . . that action
is completed when the plan is
approved. . . . There is no ongoing
‘major Federal action’ that could require
supplementation (though BLM is
required to perform additional NEPA
analyses if a plan is amended or revised
. . . .)’’) (emphasis in original).
In order to determine whether a
supplemental analysis is required, a
new paragraph (c)(4) would provide that
an agency may document its
determination of whether a
supplemental analysis is required
consistent with its agency NEPA
procedures or may, although it is not
required, do so in an EA. This provision
would codify the existing practice of
several Federal agencies, such as the
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Department of Transportation’s
reevaluation provided for highway,
transit, and railroad projects (23 CFR
771.129); the Bureau of Land
Management’s Determination of NEPA
Adequacy (Department of the Interior
Departmental Manual, Part 516, Chapter
11, § 11.6); and the U.S. Army Corps of
Engineers’ Supplemental Information
Report (section 13(d) of Engineering
Regulation 200–2–2).
3. EIS Format (§§ 1502.10 and 1502.11)
CEQ proposes to revise § 1502.10,
‘‘Recommended format,’’ to provide
agencies with more flexibility in
formatting an EIS given that most EISs
are prepared and distributed
electronically. Specifically, CEQ
proposes to eliminate the requirement to
have a list of agencies, organizations
and persons to whom copies of the EIS
are sent since EISs are published online,
and an index, as this is no longer
necessary when most documents are
produced in an electronically searchable
format. This section would also allow
agencies to use a different format so that
they may customize EISs to address the
particular proposed action and better
integrate environmental considerations
into agency decision-making processes.
CEQ proposes to amend § 1502.11,
‘‘Cover,’’ to remove the reference to a
‘‘sheet’’ since agencies prepare EISs
electronically. CEQ also proposes to add
a requirement to include the estimated
cost of preparing the EIS to the cover in
new paragraph (g) to provide
transparency to the public on the costs
of EIS-level NEPA reviews. To track
costs, agencies must prepare an estimate
of environmental review costs,
including costs of the agency’s full-time
equivalent (FTE) personnel hours,
contractor costs, and other direct costs
related to the environmental review of
the proposed action.69 For integrated
documents where an agency is
preparing a document pursuant to
multiple environmental statutory
requirements, it may indicate that the
estimate reflects costs associated with
NEPA compliance as well as
compliance with other environmental
review and authorization requirements.
Agencies can develop methodologies for
preparing these cost estimates in their
implementing procedures.
This amendment will address the
concerns raised by the U.S. Government
Accountability Office that agencies are
69 See, e.g., U.S. Department of the Interior,
Reporting Costs Associated with Developing
Environmental Impact Statements (July 23, 2018),
https://www.doi.gov/sites/doi.gov/files/uploads/
dep_sec_memo_07232018_-_reporting_costs_
associated_w_developing_environmental_impact_
statements.pdf.
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not tracking the costs of NEPA analyses,
as well as the many comments CEQ
received from stakeholders regarding
the costs associated with development
of NEPA analyses.70 Including such
costs on the cover sheet would also be
consistent with current OMB direction
to Federal agencies to track costs of
environmental reviews and
authorizations for major infrastructure
projects pursuant to E.O. 13807 and
would provide the public with
additional information regarding EISlevel NEPA documents.
4. Purpose and Need (§ 1502.13)
CEQ received a number of comments
in response to the ANPRM
recommending that CEQ better define
the requirements for purpose and need
statements. The current CEQ regulations
require that an EIS ‘‘briefly specify the
underlying purpose and need to which
the agency is responding in proposing
the alternatives including the proposed
action.’’ 40 CFR 1502.13.
The focus of the purpose and need
statement is the purpose and need for
the proposed action, and agencies
should develop it based on
consideration of the relevant statutory
authority for the proposed action. The
purpose and need statement also
provides the framework in which
‘‘reasonable alternatives’’ to the
proposed action will be identified. CEQ
has advised that this discussion of
purpose and need should be concise
(typically one or two paragraphs long)
and that the lead agency is responsible
for its definition. See Connaughton
Letter, supra note 23 (‘‘Thoughtful
resolution of the purpose and need
statement at the beginning of the
process will contribute to a rational
environmental review process and save
considerable delay and frustration later
in the decision[-]making process.’’). ‘‘In
situations involving two or more
agencies that have a decision to make
for the same proposed action and
responsibility to comply with NEPA or
a similar statute, it is prudent to jointly
develop a purpose and need statement
that can be utilized by both agencies. An
agreed-upon purpose and need
70 In a 2014 report, the U.S. Government
Accountability Office found that Federal agencies
do not routinely track data on the cost of
completing NEPA analyses, and that the cost can
vary considerably, depending on the complexity
and scope of the project. U.S. Gov’t Accountability
Office, GAO–14–370, NATIONAL
ENVIRONMENTAL POLICY ACT: Little
Information Exists on NEPA Analyses (Apr. 15,
2014), https://www.gao.gov/products/GAO-14-370.
The report referenced the 2003 CEQ task force
analysis referenced above which estimated that a
typical EIS costs from $250,000 to $2 million. See
NEPA Task Force Report, supra note 16, at p. 65.
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statement at this stage can prevent
problems later that may delay
completion of the NEPA process.’’ Id.
The lead agency is responsible for
developing the purpose and need, and
cooperating agencies should give
deference to the lead agency and
identify any substantive concerns early
in the process to ensure swift resolution.
See OFD Framework Guidance,
§ VIII.A.5 and XII, supra note 27, and
Connaughton Letter, supra note 23.
Consistent with CEQ guidance and in
response to comments, CEQ proposes to
revise § 1502.13, ‘‘Purpose and need,’’ to
clarify that the statement should focus
on the purpose and need for the
proposed action. In particular, CEQ
proposes to strike ‘‘to which the agency
is responding in proposing the
alternatives including’’ to focus on the
proposed action. CEQ further proposes,
as discussed below, to address the
relationship between the proposed
action and alternatives in the definition
of reasonable alternatives and other
sections that refer to alternatives.
Additionally, CEQ proposes to add a
sentence to clarify that when an agency
is responsible for reviewing applications
for authorizations, the agency shall base
the purpose and need on the applicant’s
goals and the agency’s statutory
authority. This addition is consistent
with the proposed definition of
reasonable alternatives, which must
meet the goals of the applicant, where
applicable.
5. Alternatives (§ 1502.14)
CEQ also received many comments
requesting clarification regarding
‘‘alternatives’’ under the regulations.
This section of an EIS should describe
the proposed action and alternatives in
comparative form, including their
environmental impacts, such that the
decision maker and the public can
understand the basis for choice.
However, as explained in § 1502.16 and
reinforced by Question 7 of the Forty
Questions, supra note 10, this section of
the EIS should not duplicate the
affected environment and
environmental consequences sections,
and agencies have flexibility to combine
these three sections in a manner that
clearly sets forth the basis for decision
making. CEQ proposes a few changes to
§ 1502.14, ‘‘Alternatives including the
proposed action,’’ to provide further
clarity on the scope of the alternatives
analysis in an EIS. CEQ proposes
changes to § 1502.14 to simplify and
clarify the language, and align it with
the format of the related provisions of
part 1502.
In paragraph (a), CEQ proposes to
delete ‘‘all’’ before ‘‘reasonable
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alternatives’’ and insert afterward ‘‘to
the proposed action.’’ NEPA itself
provides no specific guidance
concerning the range of alternatives an
agency must consider for each proposal.
Section 102(2)(C), provides only that an
agency should prepare a detailed
statement addressing, among other
things, ‘‘alternatives to the proposed
action.’’ 42 U.S.C. 4332(2)(C). Section
102(2)(E) requires only that agencies
‘‘study, develop, and describe
appropriate alternatives to
recommended courses of action.’’ 42
U.S.C. 4332(2)(E) Implementing this
limited statutory direction, CEQ has
advised that ‘‘[w]hen there are
potentially a very large number of
alternatives, only a reasonable number
of examples, covering the full spectrum
of alternatives, must be analyzed and
compared in the EIS.’’ Question 1b,
Forty Questions, supra note 10.
It is CEQ’s view that NEPA’s policy
goals are satisfied when an agency
analyzes reasonable alternatives, and
that an EIS need not include every
available alternative where the
consideration of a spectrum of
alternatives allows for the selection of
any alternative within that spectrum.
The reasonableness of the analysis of
alternatives in a final EIS is resolved not
by any particular number of alternatives
considered, but by the nature of the
underlying agency action. The
discussion of environmental effects of
alternatives need not be exhaustive, but
must provide information sufficient to
permit a reasoned choice of alternatives
for the agency to evaluate available
reasonable alternatives, 40 CFR
1502.14(a), including significant
alternatives that are called to its
attention by other agencies,
organizations, communities, or a
member of the public. Analysis of
alternatives also may serve purposes
other than NEPA compliance, such as
evaluation of the least environmentally
damaging practicable alternative for the
discharge of dredged or fill material
under section 404(b)(1) of the Clean
Water Act, 33 U.S.C. 1344(b)(1).
The number of alternatives that is
appropriate for an agency to consider
will vary. For some actions, such as
where the Federal agency’s authority to
consider alternatives is limited by
statute, the range of alternatives may be
limited to the proposed action and the
no action alternative. For actions where
the Federal authority to consider a range
of alternatives is broad, the final EIS
itself should consider a broader range of
reasonable alternatives. However, a
process of narrowing alternatives is in
accord with NEPA’s ‘‘rule of reason’’
and common sense—agencies need not
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reanalyze alternatives previously
rejected, particularly when an earlier
analysis of numerous reasonable
alternatives was incorporated into the
final analysis and the agency has
considered and responded to public
comment favoring other alternatives.
For consistency with this change,
CEQ proposes to strike ‘‘the’’ before
‘‘reasonable alternatives’’ in § 1502.1,
and amend § 1502.16, ‘‘Environmental
consequences,’’ to clarify in proposed
paragraph (a)(1) that the discussion
must include the environmental impacts
of the ‘‘proposed action and reasonable
alternatives.’’
In response to CEQ’s ANPRM, some
commenters urged that the regulations
should not require agencies to account
for impacts over which the agency has
no control, including those resulting
from alternatives outside its
jurisdiction. CEQ proposes to strike
paragraph (c) of 40 CFR 1502.14 as a
requirement for all EISs because it is not
efficient or reasonable to require
agencies to develop detailed analyses
relating to alternatives outside the
jurisdiction of the lead agency. This
change is consistent with proposed
§ 1501.1(a)(2). Further, the proposed
definition of ‘‘reasonable alternatives’’
would preclude alternatives outside the
agency’s jurisdiction because they
would not be technically feasible due to
the agency’s lack of statutory authority
to implement that alternative. However,
an agency may discuss reasonable
alternatives not within their jurisdiction
when necessary for the agency’s
decision-making process such as when
preparing an EIS to address legislative
EIS requirements pursuant to § 1506.8
and to specific Congressional directives.
See section II.H, infra, for further
discussion.
A concern raised by many
commenters is that agencies have
limited resources and that it is
important that agencies use those
resources effectively. Analyzing a large
number of alternatives, particularly
where it is clear that only a few
alternatives would be economically and
technically feasible and realistically
implemented by the applicant, can
divert limited agency resources. CEQ
invites comment on whether the
regulations should establish a
presumptive maximum number of
alternatives for evaluation of a proposed
action, or alternatively for certain
categories of proposed actions. CEQ
seeks comment on (1) specific categories
of actions, if any, that should be
identified for the presumption or for
exceptions to the presumption; and (2)
what the presumptive number of
alternatives should be (e.g., a maximum
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of three alternatives including the no
action alternative).
6. Affected Environment and
Environmental Consequences
(§§ 1502.15 and 1502.16)
CEQ proposes in § 1502.15, ‘‘Affected
environment,’’ to explicitly allow for
combining of affected environment and
environmental consequences sections to
adopt what has become a common
practice in some agencies. This revision
would ensure that the description of the
affected environment is focused on
those aspects of the environment that
are affected by the proposed action. In
proposed paragraph (a)(1) of § 1502.16,
‘‘Environmental consequences,’’ CEQ
proposes to consolidate into one
paragraph the requirement to include a
discussion of the effects of the proposed
action and reasonable alternatives. The
combined discussion should focus on
those effects that are reasonably
foreseeable and have a close causal
relationship to the proposed action,
consistent with the proposed revised
definition of effects addressed in
§ 1508.1(g). To align with the statute,
CEQ also proposes to add a new
§ 1502.16(a)(10) to provide that
discussion of environmental
consequences should include, where
applicable, economic and technical
considerations consistent with section
102(2)(B) of NEPA.
Further, CEQ proposes to move the
operative language that addresses when
agencies need to consider economic and
social effects in EISs from the definition
of human environment in 40 CFR
1508.14 to proposed § 1502.16(b). CEQ
also proposes to amend the language for
clarity, explain that the agency makes
the determination of when
consideration of economic and social
effects are interrelated with natural or
physical environmental effects at which
point the agency should give
appropriate consideration to those
effects, and strike ‘‘all of’’ as
unnecessary.
7. Submitted Alternatives, Information,
and Analyses (§§ 1502.17 and 1502.18)
To ensure agencies have considered
all alternatives, information, and
analyses submitted by the public,
including State, Tribal, and local
governments as well as individuals and
organizations, CEQ is proposing to add
a requirement in § 1502.17 to include a
new section in draft and final EISs. This
section, called the ‘‘Submitted
alternatives, information and analyses’’
section, would include a summary of all
alternatives, information, and analyses
submitted by the public for
consideration by the lead and
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cooperating agencies in both the draft
and final EISs. In developing the
summary, agencies may refer to other
relevant sections of the draft or final
EIS, or to appendices.
To improve the scoping process, CEQ
proposes revisions to ensure agencies
solicit and consider relevant
information early in the development of
the draft EIS. As discussed above, CEQ
proposes to direct agencies to include a
request for identification of alternatives,
information, and analyses in the notice
of intent (§ 1501.9(d)(7)) and require
agencies to summarize all relevant
alternatives, information, and analyses
submitted by public commenters in the
draft and final EIS. CEQ also proposes
in § 1502.18, ‘‘Certification of
alternatives, information, and analyses
section,’’ that, based on the alternatives,
information, and analyses section
required under § 1502.17, the decision
maker for the lead agency certify that
the agency has considered such
information and include the
certification in the ROD under
§ 1505.2(d). In addition, CEQ proposes a
conclusive presumption that the agency
has considered information summarized
in that section because, where agencies
have followed the process outlined
above, and identified and described
information submitted by the public, it
is reasonable to presume the agency has
considered such information.
8. Other Proposed Changes to Part 1502
CEQ proposes to eliminate the option
to circulate the summary of an EIS in
§ 1502.21, ‘‘Publication of the
environmental impact statement,’’ given
the change from circulation to
publication and the reality that most
EISs are produced electronically. CEQ
proposes to strike the word ‘‘always’’
from § 1502.22(a) as unnecessarily
limiting and eliminate 40 CFR
1502.22(c) addressing the applicability
of the 1986 amendments to 40 CFR
1502.22, ‘‘Incomplete or unavailable
information,’’ because this paragraph is
obsolete. CEQ reiterates, as it stated in
the promulgation of this regulation, that
the term ‘‘overall cost’’ as used in
§ 1502.22 includes ‘‘financial costs and
other costs such as costs in terms of
time (delay) and personnel.’’ 71 CEQ also
proposes in paragraphs (b) and (c) to
replace the term ‘‘exorbitant’’ with
‘‘unreasonable’’ because ‘‘unreasonable’’
is more consistent with CEQ’s original
description of ‘‘overall cost’’
considerations, the common
understanding of the term, and how the
terminology has been interpreted in
practice. CEQ invites comment on
71 51
FR at 15622 (Apr. 25, 1986).
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whether the ‘‘overall costs’’ of obtaining
incomplete of unavailable information
warrants further definition to address
whether certain costs are or are not
‘‘unreasonable.’’
A proposed revision to § 1502.24,
‘‘Methodology and scientific accuracy,’’
would clarify that agencies should use
reliable existing information and
resources and are not required to
undertake new scientific and technical
research to inform their analyses. The
phrase ‘‘new scientific and technical
research’’ is intended to distinguish
separate and additional research that
extends beyond existing scientific and
technical information available in the
public record or in publicly available
academic or professional sources. This
phrase is consistent with the
requirement in § 1502.22 to obtain
incomplete or unavailable information
regarding significant adverse effects if
the means of obtaining the information
is known and the cost to the decisionmaking process is not unreasonable.
Agencies should use their experience
and expertise to determine what
scientific and technical information is
needed to inform their analyses and
decision making. CEQ also proposes to
revise § 1502.24 to allow agencies to
draw on any source of information (such
as remote sensing and statistical
modeling) that the agency finds reliable
and useful to the decision-making
process. These changes would promote
the use of reliable data, including
information gathered using current
technologies. Finally, CEQ proposes to
revise § 1502.25, ‘‘Environmental review
and consultation requirements,’’ to
clarify that agencies must, to the fullest
extent possible, integrate their NEPA
analysis with all other applicable
Federal environmental review laws and
Executive Orders in furtherance of the
OFD policy and to make the
environmental review process more
efficient.72
E. Proposed Revisions To Commenting
on Environmental Impact Statements
(Part 1503)
CEQ proposes to modernize part 1503
given the existence of current
technologies not available at the time of
the 1978 regulations. In particular, the
proposed regulations would encourage
agencies to use the current methods of
electronic communication both to
publish important environmental
72 The Permitting Council has compiled a list of
environmental laws and Executive Orders that may
apply to a proposed action. See Federal
Environmental Review and Authorization
Inventory, https://www.permits.performance.gov/
tools/federal-environmental-review-andauthorization-inventory.
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information and to structure public
participation for greater efficiency and
inclusion of interested persons. CEQ
proposes to revise § 1503.1, ‘‘Inviting
comments and requesting information
and analyses,’’ in proposed paragraph
(a)(2)(v) to give agencies flexibility in
the public involvement process to
solicit comments ‘‘in a manner designed
to inform’’ parties interested or affected
‘‘by the proposed action.’’ CEQ also
proposes a new paragraph (a)(3) that
requires agencies to specifically invite
comment on the completeness of the
submitted alternatives, information and
analyses section (§ 1502.17). Because
interested parties have an affirmative
duty to comment during the public
review period in order for the agency to
consider their positions, see Vt. Yankee,
435 U.S. at 553, proposed paragraph (c)
would require agencies to provide for
commenting using electronic means
while ensuring accessibility to those
who may not have such access to ensure
adequate notice and opportunity to
comment.
CEQ also proposes a revision to
§ 1503.2, ‘‘Duty to comment,’’ to clarify
that when a cooperating agency with
jurisdiction by law specifies measures it
considers necessary for a regulatory
approval, it should cite its applicable
statutory authority to ensure this
information is made known to the lead
agency.
Further, CEQ proposes to revise
paragraph (a) of § 1503.3, ‘‘Specificity of
comments and information,’’ to explain
that the purposes of comments is to
promote informed decision making and
further clarify that comments should
provide sufficient detail for the agency
to consider the comment in its decisionmaking process. See Pub. Citizen, 541
U.S. at 764; Vt. Yankee, 435 U.S. at 553
(while ‘‘NEPA places upon an agency
the obligation to consider every
significant aspect of the environmental
impact of a proposed action, it is still
incumbent upon [parties] who wish to
participate to structure their
participation so that it is meaningful, so
that it alerts the agency to the [parties’]
position . . . .’’). CEQ also proposes
that comments should explain why the
issue raised is significant to the
consideration of potential
environmental impacts and alternatives
to the proposed action, as well as
economic and employment impacts, and
other impacts affecting the quality of the
environment. See Vt. Yankee, 435 U.S.
at 553 (‘‘[Comments] must be significant
enough to step over a threshold
requirement of materiality before any
lack of agency response or consideration
becomes a concern. The comment
cannot merely state that a particular
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mistake was made . . . ; it must show
why the mistake was of possible
significance in the results . . . .’’
(quoting Portland Cement Assn. v.
Ruckelshaus, 486 F.2d 375, 394 (1973),
cert. denied sub nom. Portland Cement
Corp. v. Administrator, EPA, 417 U.S.
921 (1974))). CEQ also proposes a new
§ 1503.3(b) to emphasize that comments
on the submitted alternatives,
information and analyses section should
identify any additional alternatives,
information or analyses not included in
the draft EIS, and should be as specific
as possible.
Finally, section 102(2)(C) of NEPA
requires that agencies obtain views of
Federal agencies with jurisdiction by
law or expertise with respect to any
environmental impact, and also directs
that agencies make copies of the
environmental impact statement and the
comments and views of appropriate
Federal, State, and local agencies
available to the President, CEQ and the
public. 42 U.S.C. 4332(2)(C). Part 1503
of the CEQ regulations include
provisions relating to inviting and
responding to comments. In practice,
the processing of comments can require
substantial time and resources. CEQ
proposes to amend § 1503.4, ‘‘Response
to comments,’’ to simplify and clarify in
paragraph (a) that agencies are required
to consider substantive comments
timely submitted during the public
comment period. CEQ also proposes to
clarify that an agency may respond to
comments individually or collectively.
Consistent with this revision, CEQ
proposes additionally to clarify that in
the final EIS, agencies may respond by
a variety of means, and to strike the
detailed language in paragraph (a)(5)
relating to comments that do not
warrant further agency response.
CEQ also proposes to clarify in
paragraph (b) that agencies must append
comment responses to EISs rather than
including them in the body of the EIS,
or otherwise publish them. Under
current practice, some agencies include
these comment responses in the EISs
themselves, which can contribute to
excessive length. See Length of
Environmental Impact Statements,
supra note 34. These changes would not
preclude an agency from summarizing
or discussing specific comments in the
EIS as well.
F. Proposed Revisions to Pre-Decisional
Referrals to the Council of Proposed
Federal Actions Determined To Be
Environmentally Unsatisfactory (Part
1504)
Section 309 of the Clean Air Act (42
U.S.C. 7609) requires the Environmental
Protection Agency (EPA) to review and
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comment on certain proposed actions of
other Federal agencies and to make
those comments public. Where
appropriate, EPA may exercise its
authority under section 309(b) of the
Clean Air Act and refer the matter to
CEQ. CEQ’s regulations addressing this
referral process are set forth in part
1504.
CEQ proposes edits to part 1504, ‘‘Predecisional Referrals to the Council of
Proposed Federal Actions Determined to
be Environmentally Unsatisfactory,’’ to
improve clarity and to add EAs. Though
infrequent, CEQ has received referrals
on EAs and proposes to capture this
practice in the regulations.
CEQ proposes additional revisions to
ensure a more timely and efficient
process. Consistent with the statute,
CEQ proposes to add economic and
technical considerations to paragraph
(g) of § 1504.2, ‘‘Criteria for referrals.’’ In
§ 1504.3, ‘‘Procedure for referrals and
response,’’ CEQ proposes changes to
simplify and modernize the process.
CEQ also proposes a minor revision to
the title of part 1504, striking
‘‘Predecision’’ and inserting ‘‘Predecisional.’’
G. Proposed Revisions to NEPA and
Agency Decision Making (Part 1505)
CEQ proposes minor edits to part
1505 for clarity. CEQ proposes to move
40 CFR 1505.1, ‘‘Agency
decisionmaking procedures,’’ to
§ 1507.3(b), as discussed further below.
CEQ proposes to clarify in the
introductory paragraph of § 1505.2,
‘‘Record of decision in cases requiring
environmental impact statements,’’ in
cases requiring EISs, that agencies must
‘‘timely publish’’ their RODs. This
paragraph also would clarify that
‘‘joint’’ RODs by two or more Federal
agencies are permitted; this change is
also consistent with the OFD policy and
E.O. 13807. Finally, CEQ proposes edits
in paragraph (c) to change from passive
to active voice for clarity.
H. Proposed Revisions to Other
Requirements of NEPA (Part 1506)
CEQ proposes a number of edits to
part 1506 to improve the NEPA process
to make it more efficient and flexible,
especially where actions involve thirdparty applicants. CEQ also proposes
several edits for clarity.
In particular, CEQ proposes to add
FONSIs to paragraph (a) of § 1506.1,
‘‘Limitations on actions during NEPA
process,’’ to clarify existing practice and
judicial determinations that the
limitation on actions applies when an
agency is preparing an EA as well as an
EIS. CEQ proposes to consolidate
paragraph (d) with paragraph (b) and
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revise the language to provide
additional clarity on what activities are
allowable during the NEPA process.
Specifically, CEQ proposes to eliminate
reference to a specific agency in
paragraph (d), and provide in paragraph
(b) that this section does not preclude
certain activities by an applicant to
support an application of Federal, State,
Tribal or local permits or assistance. As
an example of activities an applicant
may undertake, CEQ proposes to add
‘‘acquisition of interests in land,’’ which
would include acquisitions of rights-ofway and conservation easements. CEQ
invites comment on whether it should
make any additional changes to
§ 1506.1, including whether there are
circumstances under which an agency
may authorize irreversible and
irretrievable commitments of resources.
A revision to § 1506.2, ‘‘Elimination
of duplication with State, Tribal, and
local procedures,’’ would acknowledge
the increasing number of State, Tribal,
and local governments conducting
NEPA reviews pursuant to assignment
from Federal agencies. See, e.g., 23
U.S.C. 327, 25 U.S.C. 4115 and 5389(a).
The revision in paragraph (a) would
clarify that Federal agencies are
authorized to cooperate with such State,
Tribal, and local agencies and must do
so to reduce duplication under
paragraph (b). CEQ proposes to add
examples to paragraph (b) to encourage
use of prior reviews and decisions. CEQ
proposes to modify paragraph (c) to give
agencies flexibility to determine
whether to cooperate in fulfilling State,
Tribal, or local EIS or similar
requirements. Finally, CEQ proposes to
clarify in paragraph (d) that NEPA does
not require reconciliation of
inconsistencies between the proposed
action and State, Tribal or local plans or
laws, although the EIS should discuss
the inconsistencies. These revisions
would promote efficiency and reduce
duplication between Federal and State,
Tribal, and local requirements. Other
commenters noted that this provision
continues to serve an important role
given the increased numbers of nonFederal agencies assuming NEPA
responsibilities from a Federal agency.
Consistent with current practice by
many agencies, the proposed regulations
would expand § 1506.3, ‘‘Adoption,’’ to
expressly cover EAs as well as EISs.
CEQ also proposes edits throughout to
clarify the process for documenting
adoption and the subsequent decision.
Finally, paragraph (f) would allow an
agency to adopt another agency’s
determination to apply a CE to a
proposed action if the adopting agency’s
proposed action is substantially the
same action. To allow agencies to use
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one another’s CEs more generally, CEQ
also proposes revisions to § 1507.3(e)(5),
which would allow agencies to establish
a process in their NEPA procedures to
adopt another agency’s CE.
CEQ also proposes to amend § 1506.4,
‘‘Combining documents,’’ to encourage
agencies ‘‘to the fullest extent
practicable’’ to combine their
environmental documents with other
agency documents to reduce duplication
and paperwork. For example, the U.S.
Forest Service routinely combines EISs
with forest management plans, and
agencies may use their NEPA
documents to satisfy compliance with
section 106 of the National Historic
Preservation Act under 36 CFR 800.8.
In response to the ANPRM,
commenters urged CEQ to allow greater
flexibility for the project sponsor
(including private entities) to participate
in the preparation of the NEPA
documents under the supervision of the
lead agency. An update to § 1506.5,
‘‘Agency responsibility for
environmental documents,’’ would give
agencies more flexibility with respect to
the preparation of environmental
documents while continuing to require
agencies to independently evaluate and
take responsibility for those documents.
Applicants and contractors would be
able to assume a greater role in
contributing information and material to
the preparation of environmental
documents, subject to the supervision of
the agency. However, agencies would
remain responsible for taking reasonable
steps to ensure the accuracy of
information prepared by applicants and
contractors. If a contractor or applicant
prepares the document, paragraph (c)(1)
would require the decision-making
agency official to provide guidance,
participate in the preparation,
independently evaluate the statement,
and take responsibility for its content.
These changes are intended to improve
communication between proponents of
a proposal for agency action and the
officials tasked with evaluating the
effects of the action and reasonable
alternatives, to improve the quality of
NEPA documents and efficiency of the
NEPA process.
CEQ also proposes to update § 1506.6,
‘‘Public involvement,’’ to give agencies
greater flexibility to design and
customize public involvement to best
meet the specific circumstances of their
proposed actions. Proposed revisions to
paragraph (b)(2) would clarify that
agencies may notify any organizations
that have requested regular notice.
Proposed paragraph (b)(3)(x) would
provide for notice through electronic
media, but clarify that agencies may not
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electronic methods for actions occurring
in whole or in part in areas without
high-speed internet access, such as rural
locations. CEQ also proposes to amend
paragraph (f), which requires that EISs,
comments received, and any underlying
documents be made available to the
public pursuant to the Freedom of
Information Act (FOIA) by updating the
reference to FOIA, which has been
amended numerous times since the
enactment of NEPA, mostly recently by
the FOIA Improvement Act of 2016,
Public Law 114–185. Further, CEQ
proposes to strike the remaining text to
align paragraph (f) with the text of
section 102(2)(C) of NEPA, including
with regard to fees. CEQ also proposes
to update and modernize § 1506.7,
‘‘Further guidance,’’ to state that CEQ
may provide further guidance
concerning NEPA and its procedures
consistent with applicable Executive
Orders.
CEQ proposes to consolidate the
legislative EIS requirements from the
definition of legislation in the current
40 CFR 1508.17 into § 1506.8,
‘‘Proposals for legislation,’’ and revise
the provision for clarity. Agencies
prepare legislative EISs for Congress
when they are proposing specific
actions such as a legislative proposal for
the withdrawal of public lands for
military use. See, e.g., Nevada Test and
Training Range Military Land
Withdrawal Legislative Environmental
Impact Statement, Environmental
Impact Statements; Notice of
Availability, 83 FR 54105 (Oct. 26,
2018).
CEQ also invites comment on whether
the legislative EIS requirement should
be eliminated or modified because the
President proposes legislation, and
therefore it is inconsistent with the
Recommendations Clause of the U.S.
Constitution, which provides the
President shall recommend for
Congress’ consideration ‘‘such
[m]easures as he shall judge necessary
and expedient . . . .’’ U.S. Constitution,
Art. II, § 3. The President is not a
Federal agency, 40 CFR 1508.12, and the
proposal of legislation by the President
is not an agency action. Franklin v.
Mass., 505 U.S. 788, 800–01 (1992).
CEQ also proposes to add a new
§ 1506.9, ‘‘Proposals for regulations,’’ to
address the analyses required for
rulemakings. This section would clarify
that analyses prepared pursuant to other
statutory or Executive Order
requirements may serve as the
functional equivalent of the EIS and be
sufficient to comply with NEPA. CEQ
proposes in § 1507.3(b)(6) to allow
agencies to identify in their agency
NEPA procedures documents prepared
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pursuant to other statutory requirements
or Executive Orders that meet the
requirements of NEPA.
For some rulemakings, agencies
conduct a regulatory impact analysis
(RIA), pursuant to E.O. 12866,
‘‘Regulatory Planning and Review,’’ 73
that assesses regulatory impacts to air
and water quality, ecosystems, and
animal habitat, among other
environmental factors. E.O. 12866,
§ 6(a)(3)(C)(i)–(ii). An RIA, alone or in
combination with other documents, may
serve the purposes of the EIS if (1) there
are substantive and procedural
standards that ensure full and adequate
consideration of environmental issues;
(2) there is public participation before a
final alternative is selected; and (3) a
purpose of the review that the agency is
conducting is to examine environmental
issues. CEQ proposes § 1506.9 to
promote efficiency and reduce
duplication in the assessment of
regulatory proposals.
The analyses must address the
detailed statement requirements
specified in section 102(2)(C) of NEPA.
More specifically, when those analyses
address environmental effects,
alternatives, the relationship between
short-term uses and long-term
productivity, and any irreversible
commitments of resources, these
analyses may serve as functional
equivalents for an EIS. Further, these
analyses must balance a clear and
express environmental protection
purpose with any other variables under
consideration, such as economic needs.
Finally, that balance must anticipate the
advantages and disadvantages of the
preparation of a separate EIS.
CEQ invites comments on additional
analyses agencies are already
conducting that, in whole or when
aggregated, can serve as the functional
equivalent of the EIS. Aspects of the
E.O. 12866 cost benefit analysis may
naturally overlap with aspects of the
EIS.
CEQ also proposes to update
§ 1506.10, ‘‘Filing requirements,’’ to
remove the obsolete process for filing
paper copies of EISs with EPA and
EPA’s delivery of a copy to CEQ, and
instead provide for electronic filing,
consistent with EPA’s procedures. This
proposed change would provide
flexibility to adapt as EPA changes its
processes.
A proposed clause in paragraph (b)
would acknowledge the statutory
requirement of some agencies to issue a
combined final EIS and ROD. See 23
U.S.C. 139(n)(2) and 49 U.S.C. 304a(b).
Proposed paragraph (c) addresses when
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agencies may make an exception to the
current rules set forth in paragraph (b)
on timing for issuing a ROD.
Over the last 40 years, CEQ has
developed significant experience with
NEPA in the context of emergencies and
disaster recoveries. Actions following
Hurricanes Katrina, Harvey, and
Michael, as well as catastrophic
wildfires, have given CEQ the
opportunity to explore a variety of
circumstances where alternative
arrangements for complying with NEPA
are necessary. CEQ proposes to amend
§ 1506.12, ‘‘Emergencies,’’ to clarify that
alternative arrangements are still meant
to comply with section 102(2)(C)’s
requirement for a ‘‘detailed statement.’’
This amendment is consistent with
CEQ’s longstanding position that it has
no authority to exempt Federal agencies
from compliance with NEPA, but that
CEQ can appropriately provide for
exceptions to specific requirements of
CEQ’s regulations implementing the
procedural provisions of NEPA to
address extraordinary circumstances
that are not addressed by agency
implementing procedures previously
approved by CEQ. See Emergencies
Guidance, supra note 19. CEQ maintains
a public description of all pending and
completed alternative arrangements on
its website.74
Finally, CEQ proposes to modify
§ 1506.13, ‘‘Effective date,’’ to clarify
that this regulation would apply to all
NEPA processes begun after the
effective date, but agencies have the
discretion to apply it to ongoing
reviews. CEQ also proposes to remove
the 1979 effective date of the current
regulations and the reference to the
1973 guidance in the current paragraph
(a) and strike the current paragraph (b)
regarding actions begun before January
1, 1970 because they are obsolete.
I. Proposed Revisions to Agency
Compliance (Part 1507)
CEQ proposes modifications to part
1507, which addresses agency
compliance with NEPA. The proposed
changes would consolidate provisions
relating to agency procedures from
elsewhere in the CEQ regulations, and
add a new section to address the
dissemination of information about
agency NEPA programs. A proposed
change to § 1507.1, ‘‘Compliance,’’
would strike the second sentence for
consistency with changes to the
provisions for agency NEPA procedures
at § 1507.3. A proposed change to
paragraph (a) of § 1507.2, ‘‘Agency
capability to comply,’’ would make the
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senior agency official responsible for
coordination, communication, and
compliance with NEPA, including
resolving implementation issues and
representing the agency analysis of the
effects of agency actions on the human
environment in agency decision-making
processes. The proposed § 1507.2(a)
would make the senior agency official
responsible for addressing disputes
among lead and cooperating agencies
and enforcing page and time limits. The
senior agency official would be
responsible for ensuring all
environmental documents—even
exceptionally lengthy ones—are
provided to Federal agency decision
makers in a timely, readable, and useful
format. CEQ also proposes to clarify in
the introductory paragraph that in
NEPA compliance an agency may use
the ‘‘the resources of other agencies,
applicants, and other participants in the
NEPA process,’’ for which the agency
should account. CEQ proposes to amend
paragraph (c) to emphasize agency
cooperation, which would include
commenting. Finally, CEQ proposes to
add references to E.O. 11991, which
amended E.O. 11514, and E.O. 13807 in
paragraph (f) to codify agencies’
responsibility to comply with the Order.
In developing their procedures,
agencies should strive to identify and
apply efficiencies, such as use of
applicable CEs, adoption of prior NEPA
analyses, and incorporation by reference
to prior relevant Federal, State, Tribal,
and local analyses, wherever
practicable. To facilitate effective and
efficient procedures, CEQ proposes to
consolidate all of the requirements for
agency NEPA procedures in § 1507.3
and add a new § 1507.4 to provide the
means of publishing information on
ongoing NEPA reviews and agency
records relating to NEPA reviews. This
includes moving the provisions in
§ 1505.1, ‘‘Agency decision making
procedures,’’ to proposed § 1507.3(b);
moving the requirement to provide for
extraordinary circumstances currently
in 40 CFR 1508.4 to proposed
§ 1507.3(d)(2)(ii); moving the
requirement to adopt procedures for
introducing a supplement into the
agency’s administrative record from 40
CFR 1502.9(d)(3) to proposed
§ 1507.3(d)(3); and moving the
allowance to combine the agency’s EA
process with its scoping process from 40
CFR 1501.7(b)(3) to proposed
§ 1507.3(e)(4).
CEQ also proposes several revisions to
§ 1507.3. Revised paragraph (a) would
provide agencies the later of 1 year after
publication of the final rule or 9 months
after the establishment of an agency to
develop or revise proposed agency
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NEPA procedures, as necessary, to
implement the CEQ regulations. CEQ
also proposes to eliminate the
limitations on paraphrasing the CEQ
regulations. Agency NEPA procedures
should set forth the process by which
agencies will comply with NEPA and
the CEQ regulations in the context of
their particular programs and processes.
In addition, CEQ proposes to clarify that
except as otherwise provided by law or
for agency efficiency, agency NEPA
procedures shall not impose additional
procedures or requirements beyond
those set forth in the CEQ regulations.
CEQ proposes to subdivide paragraph
(a) into subparagraphs (1) and (2) for
additional clarity because each of these
is an independent requirement. CEQ
proposes to eliminate the
recommendation to agencies to issue
explanatory guidance and the
requirement to review their policies and
procedures because the responsibility to
revise procedures would be addressed
in paragraph (a).
Consistent with the proposed edits to
§ 1500.1, CEQ proposes to revise
paragraph (b) to clarify that agencies
should ensure decisions are made in
accordance with the Act’s procedural
requirements and policy of integrating
NEPA with other environmental reviews
to promote efficient and timely decision
making. CEQ proposes a new paragraph
(b)(6) to encourage agencies to set forth
in their NEPA procedures requirements
to combine their NEPA documents with
other agency documents, especially
where the same or similar analyses are
required for compliance with other
requirements. Many agencies implement
statutes that call for consideration of
alternatives to the agency proposal,
including the no action alternative, the
effects of the agencies’ proposal and
alternatives, and public involvement.
Agencies can use their NEPA
procedures to align compliance with
NEPA and these other statutory
authorities, including provisions for
page and time limits that integrate
NEPA’s goals for informed decision
making with agencies’ specific statutory
requirements. This approach is
consistent with some agency practice,
but more agencies could use it to
achieve greater efficiency and reduce
unnecessary duplication. See, e.g., 36
CFR part 220 (U.S. Forest Service NEPA
procedures).
Under the proposed § 1507.3(b)(6),
agencies may document any agency
determination that compliance with the
environmental review requirements of
other statutes or Executive Orders serves
as the functional equivalent of NEPA
compliance by identifying that (1) there
are substantive and procedural
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standards that ensure full and adequate
consideration of environmental issues;
(2) there is public participation before a
final alternative is selected; and (3) a
purpose of the review that the agency is
conducting is to examine environmental
issues. While the courts have found that
EPA need not conduct NEPA analyses
under a number of statutes that are
‘‘functionally equivalent,’’ including the
Clean Air Act, the Ocean Dumping Act,
the Federal Insecticide, Fungicide, and
Rodenticide Act, the Resource
Conservation and Recovery Act, and the
Comprehensive Environmental
Response, Compensation, and Liability
Act, CEQ proposes that the concept of
functional equivalency be extended to
other agencies that conduct analyses to
examine environmental issues.
Furthermore, CEQ proposes to add a
new paragraph (c), which would
provide that agencies may identify
actions that are not subject to NEPA in
their agency NEPA procedures,
including (1) non-major Federal actions;
(2) non-discretionary actions, in whole
or in part; (3) actions expressly exempt
from NEPA under another statute; (4)
actions for which compliance with
NEPA would clearly and fundamentally
conflict with the requirements of
another statute; and (5) actions for
which compliance with NEPA would be
inconsistent with Congressional intent
due to the requirements of another
statute. These changes would conform
to the new § 1501.1, ‘‘NEPA threshold
applicability analysis,’’ section, which
provides five considerations in
determining whether NEPA applies to a
proposed action.
CEQ proposes to amend paragraph
(d)(2)(ii) to require agencies to identify
in their procedures when
documentation of a CE determination is
required. CEQ proposes to add language
to paragraph (e)(3) to codify existing
agency practice to publish notices when
it pauses an EIS or withdraws an NOI.
Finally, CEQ proposes to add a new
paragraph (e)(5) that would allow
agencies to establish a process in their
agency NEPA procedures whereby the
agency may apply a CE listed in another
agency’s NEPA procedures. Such
procedure would set forth the process
by which the agency would consult
with the agency that listed the CE in its
NEPA procedures to ensure that the
application of the CE is consistent with
the originating agency’s intent and
practice.
CEQ invites comment on whether it
should specifically allow an agency to
apply a categorical exclusion
established in another agency’s NEPA
procedures to its proposed action. CEQ
invites comment on any process its
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regulations should include to ensure the
appropriate application of an agency’s
CE to another agency’s action.
Finally, the proposed § 1507.4,
‘‘Agency NEPA program information,’’
would require agencies in their NEPA
implementing procedures to provide for
a website or other means of publishing
certain information on ongoing NEPA
reviews and maintaining and permitting
public access to agency records relating
to NEPA reviews. This provision would
promote transparency and efficiency in
the NEPA process, and improve
interagency coordination by ensuring
that information is more readily
available to other agencies and the
public.
Opportunities exist for agencies to
combine existing geospatial data,
including remotely sensed images, and
analyses to streamline environmental
review and better coordinate
development of environmental
documents for multi-agency projects,
consistent with the OFD policy. One
option involves creating a single NEPA
application that facilitates consolidation
of existing datasets and can run several
relevant geographic information system
(GIS) analyses to help standardize the
production of robust analytical results.
This application could have a publicfacing component modeled along the
lines of EPA’s NEPAssist,75 which
would aid prospective project sponsors
with site selection and project design
and increase public transparency. The
application could link to the Permitting
Dashboard to help facilitate project
tracking and flexibilities under
§§ 1506.5 and 1506.6. CEQ invites
comment on this proposal, including
comment on whether additional
regulatory changes could help facilitate
streamlined GIS analysis to help
agencies comply with NEPA.
J. Proposed Revisions to Definitions
(Part 1508)
CEQ proposes significant revisions to
part 1508. CEQ proposes to clarify the
definitions of a number of key NEPA
terms in order to reduce ambiguity, both
through modification of existing
definitions and the addition of new
definitions. CEQ also proposes to
eliminate individual section numbers
for each term in favor of an alphabetical
list of defined terms in the revised
§ 1508.1. CEQ proposes conforming
edits to remove citations to the specific
definition sections throughout the
proposed rule. Finally, CEQ proposes to
75 https://nepassisttool.epa.gov/nepassist/
nepamap.aspx. See also the Marine Cadastre, which
provides consolidated GIS information for offshore
actions, https://marinecadastre.gov/.
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move the operative language included
throughout the definitions sections to
the relevant substantive sections of the
regulations.
New definition of ‘‘authorization.’’
CEQ proposes to define the term
‘‘authorization’’ to refer to the types of
activities that might be required for
permitting a proposed action, in
particular infrastructure projects. This
definition is consistent with the
definition included in FAST–41 and
E.O. 13807.
Clarifying the meaning of ‘‘categorical
exclusion.’’ CEQ proposes to revise the
definition of categorical exclusion by
inserting ‘‘normally’’ to clarify that there
may be situations where an action may
have significant effects on account of
extraordinary circumstances. CEQ also
proposes to strike ‘‘individually or
cumulatively’’ for consistency with the
proposed revisions to the definition of
‘‘effects’’ discussed below. CEQ
proposes conforming edits in
§§ 1500.4(a) and 1500.5(a). As noted in
section II.I, CEQ proposes to move the
requirement to provide for extraordinary
circumstances in agency procedures to
§ 1507.3(d)(2)(ii).
Clarifying the meaning of
‘‘cooperating agency.’’ CEQ proposes to
amend the definition of cooperating
agency to make clear that a State, Tribal,
or local agency may be a cooperating
agency when the lead agency agrees,
and to move the corresponding
operative language to proposed
§ 1501.8(a).
Clarifying the meaning of ‘‘effects.’’
Many commenters have urged CEQ to
refine the definition of effects.
Commenters raised concerns that the
current definition creates confusion,
and that the terms ‘‘indirect’’ and
‘‘cumulative’’ have been interpreted
expansively resulting in excessive
documentation about speculative effects
and leading to frequent litigation.
Commenters also have raised concerns
that this has expanded the scope of
NEPA analysis without serving NEPA’s
purpose of informed decision making.
Commenters stressed that the focus of
the effects analysis should be on those
effects that are reasonably foreseeable,
related to the proposed action under
consideration, and subject to the
agency’s jurisdiction and control.
Commenters also noted that NEPA
practitioners often struggle with
describing cumulative impacts despite
numerous publications on the topic.
While NEPA refers to environmental
impacts and environmental effects, it
does not subdivide the terms into direct,
indirect, or cumulative. To address
commenters’ concerns and reduce
confusion and unnecessary litigation,
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CEQ proposes to make amendments to
simplify the definition of effects by
consolidating the definition into a single
paragraph and striking the specific
references to direct, indirect, and
cumulative effects.
In particular, CEQ proposes to amend
the definition of effects to provide
clarity on the bounds of effects
consistent with the Supreme Court’s
holding in Department of
Transportation v. Public Citizen, 541
U.S. at 767–68. Under the proposed
definition, effects must be reasonably
foreseeable and have a reasonably close
causal relationship to the proposed
action or alternatives; a ‘‘but for’’ causal
relationship is insufficient to make an
agency responsible for a particular effect
under NEPA. This close causal
relationship is analogous to proximate
cause in tort law. Id. at 767; see also
Metro. Edison Co., 460 U.S. at 774
(interpreting section 102 of NEPA to
require ‘‘a reasonably close causal
relationship between a change in the
physical environment and the effect at
issue’’ and stating that ‘‘[t]his
requirement is like the familiar doctrine
of proximate cause from tort law.’’).
CEQ seeks comment on whether to
include in the definition of effects the
concept that the close causal
relationship is ‘‘analogous to proximate
cause in tort law,’’ and if so, how CEQ
could provide additional clarity
regarding the meaning of this phrase.
CEQ proposes to strike the definition
of cumulative impacts and strike the
terms ‘‘direct’’ and ‘‘indirect’’ in order
to focus agency time and resources on
considering whether an effect is caused
by the proposed action rather than on
categorizing the type of effect. CEQ’s
proposed revisions to simplify the
definition are intended to focus agencies
on consideration of effects that are
reasonably foreseeable and have a
reasonably close causal relationship to
the proposed action. In practice,
substantial resources have been devoted
to categorizing effects as direct, indirect,
and cumulative, which, as noted above,
are not terms referenced in the NEPA
statute.
In addition, CEQ proposes a change in
position to state that analysis of
cumulative effects, as defined in CEQ’s
current regulations, is not required
under NEPA. While CEQ has issued
detailed guidance on considering
cumulative effects, categorizing and
determining the geographic and
temporal scope of such effects has been
difficult and can divert agencies from
focusing their time and resources on the
most significant effects. Excessively
lengthy documentation that does not
focus on the most meaningful issues for
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the decision maker’s consideration can
lead to encyclopedic documents that
include information that is irrelevant or
inconsequential to the decision-making
process. Instead, agencies should focus
their efforts on analyzing effects that are
most likely to be potentially significant
and be effects that would occur as a
result of the agency’s decision. Agencies
are not expected to conduct exhaustive
research on identifying and categorizing
actions beyond the agency’s control.
With this proposed change and the
proposed elimination of the definition
of cumulative impacts, it is CEQ’s intent
to focus agencies on analysis of effects
that are reasonably foreseeable and have
a reasonably close causal relationship to
the proposed action.
To further assist agencies in their
assessment of significant effects, CEQ
also proposes to clarify that effects
should not be considered significant if
they are remote in time, geographically
remote, or the result of a lengthy causal
chain. See, e.g., Pub. Citizen, 541 U.S.
at 767–68 (‘‘In particular, ‘courts must
look to the underlying policies or
legislative intent in order to draw a
manageable line between those causal
changes that may make an actor
responsible for an effect and those that
do not.’ ’’ (quoting Metro. Edison Co.,
460 U.S. at 774 n.7)); Metro. Edison Co.,
460 U.S. at 774 (noting effects may not
fall within section 102 of NEPA because
‘‘the causal chain is too attenuated’’). To
reinforce CEQ’s proposed simplified
definition of effects, CEQ proposes to
consolidate paragraphs (a), (b), and (d)
of 40 CFR 1502.16, ‘‘Environmental
consequences,’’ into a new
§ 1502.16(a)(1).
Further, CEQ proposes to codify a key
holding of Public Citizen relating to the
definition of effects to make clear that
effects do not include effects that the
agency has no authority to prevent or
would happen even without the agency
action, because they would not have a
sufficiently close causal connection to
the proposed action. This clarification
will help agencies better understand
what effects they need to analyze and
discuss, helping to reduce delays and
paperwork with unnecessary analyses.
CEQ invites comment on the
proposed revisions to the definition of
effects, including whether CEQ should
affirmatively state that consideration of
indirect effects is not required.
Clarifying the meaning of
‘‘environmental assessment.’’ CEQ
proposes to revise the definition of
environmental assessment, describing
the purpose for the document and
moving all of the operative language
from the definition to proposed
§ 1501.5.
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Clarifying the meaning of ‘‘Federal
agency.’’ CEQ proposes to amend the
definition of ‘‘Federal agency’’ to
broaden it to include States, Tribes, and
units of local government to the extent
that they have assumed NEPA
responsibilities from a Federal agency
pursuant to statute. Since the issuance
of the CEQ regulations, Congress has
authorized assumption of NEPA
responsibilities in other contexts
besides the Housing and Community
Development Act of 1974. See, e.g.,
Surface Transportation Project Delivery
Program, 23 U.S.C. 327. This change
would acknowledge these programs and
help clarify roles and responsibilities.
Clarifying the meaning of ‘‘human
environment.’’ CEQ proposes to change
‘‘people’’ to ‘‘present and future
generations of Americans’’ consistent
with section 101(a) of NEPA.
Clarifying the meaning of ‘‘lead
agency.’’ CEQ proposes to amend the
definition of lead agency to clarify that
this term includes joint lead agencies,
which are an acceptable practice.
Clarifying the meaning of
‘‘legislation.’’ CEQ proposes to move the
operative language to § 1506.8 and strike
the example of treaties, because, as
noted in section II.H, the President is
not a Federal agency, and therefore a
request for ratification of a treaty would
not be subject to NEPA.
Clarifying the meaning of ‘‘major
Federal action.’’ CEQ received many
comments requesting clarification of the
definition of major Federal action. For
example, CEQ received comments
proposing that non-Federal projects
should not be considered major Federal
actions based on a very minor Federal
role. Commenters also recommended
that CEQ clarify the definition to
exclude decisions where agencies do
not have discretion to consider and
potentially modify their actions based
on the environmental review.
CEQ proposes to amend the first
sentence of the definition to clarify that
an action meets the definition if it is
subject to Federal control and
responsibility, and it has effects that
may be significant. CEQ proposes to
replace ‘‘major’’ effects with
‘‘significant’’ in this sentence to align
with the NEPA statute.
CEQ proposes to strike the second
sentence of the definition, which
provides ‘‘Major reinforces but does not
have a meaning independent of
significantly.’’ This is a change in
position as compared to CEQ’s earlier
interpretation of NEPA. In the statute,
Congress refers to ‘‘major Federal
actions significantly affecting the
quality of the human environment.’’ 42
U.S.C. 4332(2)(C). Under the current
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interpretation, however, the word
‘‘major’’ is rendered virtually
meaningless.
CEQ proposes to strike the sentence
because all words of a statute must be
given meaning consistent with
longstanding principles of statutory
interpretation. See, e.g., Bennett, 520
U.S. at 173 (‘‘It is the ‘ ‘‘cardinal
principle of statutory construction’’ . . .
[that] it is our duty ‘‘to give effect, if
possible, to every clause and word of a
statute’’ . . . rather than to emasculate
an entire section.’ ’’ (quoting United
States v. Menasche, 348 U.S. 528, 538
(1955))). The legislative history of NEPA
also reflects that Congress used the term
‘‘major’’ independently of
‘‘significantly,’’ and provided that, for
major actions, agencies should make a
determination as to whether the
proposal would have a significant
environmental impact. Specifically, the
Senate Report for the National
Environmental Policy Act of 1969 states,
‘‘Each agency which proposes any major
actions, such as project proposals,
proposals for new legislation,
regulations, policy statements, or
expansion or revision of ongoing
programs, shall make a determination
as to whether the proposal would have
a significant effect upon the quality of
the human environment.’’ S. Rep. No.
91–296, at 20 (1969) (emphasis
added).76 Moreover, over the past four
decades, in a number of cases, courts
have determined that NEPA does not
require the preparation of an EIS for
actions with minimal Federal
involvement or funding. Under this
proposed definition, these would be
non-major Federal actions.
To clarify that these activities are nonmajor Federal actions, CEQ proposes to
add two sentences to the definition to
make clear that this term does not
include non-Federal projects with
minimal Federal funding or minimal
Federal involvement such that the
agency cannot control the outcome on
the project. In such circumstances, there
is no practical reason for an agency to
conduct a NEPA analysis because the
agency could not influence the outcome
of its action to address the effects of the
project. For example, this might include
a very small percentage of Federal
funding provided only to help design an
infrastructure project that is otherwise
funded through private or local funds.
This change would help to reduce costs
and delays by more clearly defining the
kinds of actions that are appropriately
within the scope of NEPA.
76 https://ceq.doe.gov/docs/laws-regulations/
Senate-Report-on-NEPA.pdf.
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CEQ also proposes to strike the third
sentence of the definition, which
includes a failure to act in the definition
of a major Federal action, and exclude
activities that do not result in final
agency action under the APA. NEPA
applies when agencies are considering a
proposal for decision. In the
circumstance described in this sentence,
there is no proposed action and
therefore no alternatives that the agency
may consider. S. Utah Wilderness All.,
542 U.S. at 70–73.
CEQ also proposes to strike the
specific reference to the State and Local
Fiscal Assistance Act of 1972 from
paragraph (a). The proposed revisions to
the definition clarify that general
revenue sharing funds would not meet
the definition of major Federal action. In
particular, CEQ proposes to exclude as
non-major Federal actions the farm
ownership and operating loan
guarantees provided by the Farm
Service Agency (FSA) of the U.S.
Department of Agriculture pursuant to 7
U.S.C. 1925 and 1941 through 1949, and
the business loan guarantee programs of
the Small Business Administration
(SBA), 15 U.S.C. 636(a), 636(m), and 695
through 697f. Under the farm ownership
and operating loan programs, FSA does
not control the bank, or the borrower;
the agency does not control the
subsequent use of such funds and does
not operate any facilities. In the event of
a default, properties are sold, and FSA
never takes physical possession of,
operates, or manages any facility. SBA’s
business loan programs operate in
similar fashion. Further, under those
programs no Federal funds are
expended unless there is a default by
the borrower paying the loan.
CEQ invites comment on whether it
should make any further changes to this
paragraph, including changing ‘‘partly’’
to ‘‘predominantly’’ for consistency
with the edits to the introductory
paragraph regarding ‘‘minimal Federal
funding.’’ CEQ also invites comment
whether there should be a threshold
(percentage or dollar figure) for
‘‘minimal Federal funding,’’ and if so,
what would be an appropriate threshold
and the basis for such a threshold. CEQ
also invites comment on whether any
types of financial instruments,
including loans and loan guarantees,
should be considered non-major Federal
actions and the basis for such exclusion.
Additionally, as a general matter, CEQ
invites comment on whether the
definition of ‘‘major Federal action’’
should be further revised to exclude
other per se categories of activities or to
further address what NEPA analysts
have called ‘‘the small handle
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1709
problem.’’ 77 Commenters should
provide any relevant data that may
assist in identifying such categories of
activities. Finally, as noted in the
discussion of § 1501.4, CEQ invites
comment on whether and how to
exclude certain categories of actions
common to all Federal agencies from the
definition.
CEQ also proposes to insert
‘‘implementation of’’ before ‘‘treaties’’ in
paragraph (b)(1) to clarify that the major
Federal action is not the treaty itself, but
rather an agency’s action to implement
that treaty. Further, CEQ proposes to
strike ‘‘guide’’ from paragraph (b)(2)
because guidance is non-binding.
CEQ also invites comment on whether
the regulations should clarify that NEPA
does not apply extraterritorially,
consistent with Kiobel v. Royal Dutch
Petroleum Co., 569 U.S. 108, 115–16
(2013), in light of the ordinary
presumption against extraterritorial
application when a statute does not
clearly indicate that extraterritorial
application is intended by Congress.
Clarifying the meaning of
‘‘mitigation.’’ CEQ proposes to amend
the definition of ‘‘mitigation’’ to define
the term and clarify that NEPA does not
require adoption of any particular
mitigation measure, consistent with
Methow Valley, 490 U.S. at 352–53. In
Methow Valley, the Supreme Court held
that NEPA and the CEQ regulations
require ‘‘that mitigation be discussed in
sufficient detail to ensure that
environmental consequences have been
fairly evaluated,’’ but do not establish ‘‘a
substantive requirement that a complete
mitigation plan be actually formulated
and adopted’’ before the agency can
make its decision. Id. at 352.
CEQ also proposes to amend the
definition of ‘‘mitigation’’ to make clear
that mitigation must have a nexus to the
effects of the proposed action, is limited
to those actions that have an effect on
the environment, and does not include
actions that do not have an effect on the
environment. This would make the
NEPA process more effective by
clarifying that mitigation measures must
actually be designed to mitigate the
effects of the proposed action. This
amended definition is consistent with
CEQ’s Mitigation Guidance, supra note
18.
Under that guidance, if an agency
believes that the proposed action will
provide net environmental benefits
through use of compensatory mitigation,
the agency should incorporate by
77 See Daniel R. Mandelker et al., NEPA Law and
Litigation, § 8:20 (2d ed. 2019) (‘‘This problem is
sometimes called the ‘small handle’ problem
because [F]ederal action may be only be a ‘small
handle’ on a non[-F]ederal project.’’).
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reference the documents that
demonstrate that the proposed
mitigation will be new or in addition to
actions that would occur under the noaction alternative, and the financial,
legal, and management commitments for
the mitigation. Use of well-established
mitigation banks and similar
compensatory mitigation legal
structures should provide the necessary
substantiation for the agency’s findings
on the effectiveness (nexus to effects of
the action, proportionality, and
durability) of the mitigation. Other
actions may be effectively mitigated
through use of environmental
management systems that provide a
structure of procedures and policies to
systematically identify, evaluate, and
manage environmental impacts of an
action during its implementation.78
Clarifying the meaning of ‘‘notice of
intent.’’ CEQ proposes to revise the
definition of ‘‘notice of intent’’ to
remove the operative requirements for
the NOI and add the word ‘‘public’’ to
clarify that the NOI is a public notice.
New definition of ‘‘page.’’ A new
definition of ‘‘page’’ would provide a
word count (500 words) for a more
standard functional definition of ‘‘page’’
for page count and other NEPA
purposes. This would update NEPA for
modern electronic publishing and
internet formatting, in which the
number of words per page can vary
widely depending on format. It would
also ensure some uniformity in
document length while allowing
unrestricted use of the graphic display
of quantitative information, tables,
photos, maps, and other geographic
information that can provide a much
more effective means of conveying
information about environmental
effects. This change supports the
original CEQ page limits as a means of
ensuring that environmental documents
are readable and useful to decision
makers.
New definition of ‘‘participating
agency.’’ As discussed above, CEQ
proposes to add the concept of a
participating agency to the CEQ
regulations. CEQ proposes to define
participating agency consistent with the
definition in FAST–41 and 23 U.S.C.
139. CEQ proposes to add participating
agencies to § 1501.7(i) regarding the
schedule and replace the term
‘‘commenting’’ agencies with
‘‘participating’’ agencies throughout.
Clarifying the meaning of ‘‘proposal.’’
CEQ proposes clarifying edits and to
78 See Council on Environmental Quality,
Aligning National Environmental Policy Act
Processes with Environmental Management
Systems (April 2007), https://ceq.doe.gov/docs/ceqpublications/NEPA_EMS_Guide_final_Apr2007.pdf.
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strike the operative language regarding
timing of an EIS because it is already
addressed in § 1502.5.
New definition of ‘‘publish/
publication.’’ CEQ proposes to define
this term to provide agencies with the
flexibility to make environmental
reviews and information available to the
public by electronic means. The 1978
regulations predate personal computers
and a wide range of technologies now
used by agencies such as GIS mapping
tools and social media. To address
environmental justice concerns and
ensure that the affected public is not
excluded from the NEPA process due to
a lack of resources (often referred to as
the ‘‘digital divide’’), the definition
retains a provision for printed
environmental documents where
necessary for effective public
participation.
New definition of ‘‘reasonable
alternative.’’ Several commenters asked
CEQ to include a new definition of
‘‘reasonable alternatives’’ in the
regulations with emphasis on how
technical and economic feasibility
should be evaluated. CEQ proposes a
new definition of ‘‘reasonable
alternative’’ that would provide that
reasonable alternatives must be
technically and economically feasible
and meet the purpose and need of the
proposed action. See, e.g., Vt. Yankee,
435 U.S. at 551 (‘‘alternatives must be
bounded by some notion of feasibility’’).
CEQ also proposes to define reasonable
alternatives as ‘‘a reasonable range of
alternatives’’ to codify Questions 1a and
1b in the Forty Questions, supra note
10. Agencies are not required to give
detailed consideration to alternatives
that are unlikely to be implemented
because they are infeasible, ineffective,
or inconsistent with the purpose and
need for agency action.
Finally, CEQ proposes to clarify that
a reasonable alternative must also
consider the goals of the applicant when
the agency’s action involves a nonFederal entity. These changes would
help reduce paperwork and delays by
helping to clarify the range of
alternatives that agencies must consider.
Where the agency action is in response
to an application for permit or other
authorization, the agency should
consider the applicant’s goals based on
the agency’s statutory authorization to
act, as well as in other congressional
directives, in defining the proposed
action’s purpose and need.
New definition of ‘‘reasonably
foreseeable.’’ CEQ received comment
requesting that the regulations provide a
definition of ‘‘reasonably foreseeable.’’
CEQ proposes to define ‘‘reasonably
foreseeable’’ consistent with the
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ordinary person standard—that is what
a person of ordinary prudence would
consider in reaching a decision.
New definition of ‘‘senior agency
official.’’ As discussed in section II.A,
the proposed definition of ‘‘senior
agency official’’ would provide for
agency officials that are responsible for
the agency’s NEPA compliance.
Striking the definition of
‘‘significantly.’’ Because the entire
definition of significantly is operative
language, CEQ proposes to strike this
definition and discuss significance in
§ 1501.4(b), as described above.
Clarifying the meaning of ‘‘tiering.’’
CEQ would amend the definition of
‘‘tiering’’ to make clear that agencies
may use EAs at the programmatic stage
as well as the subsequent stages. This
would clarify that agencies have
flexibility in structuring programmatic
NEPA reviews and associated tiering.
CEQ would move the operative language
regarding tiering from 40 CFR 1508.28
to proposed § 1501.11(b).
K. CEQ Guidance Documents
This proposed rule, if adopted as a
final rule, would supersede any
previous CEQ NEPA guidance. If CEQ
finalizes the proposed rule, CEQ
anticipates withdrawing all of the CEQ
NEPA guidance that is currently in
effect and issuing new guidance as
consistent with Presidential directives.
L. Additional Issues on Which CEQ
Invites Comment
Based on comments received and
CEQ’s experience in implementing
NEPA, the final rule may include
amendments to any provisions in parts
1500 to 1508 of the CEQ regulations.
CEQ invites comments recommending,
opposing, or providing feedback on
specific changes to any provisions in
parts 1500 to 1508 of the CEQ
regulations, including revising or
adopting as regulations existing CEQ
guidance or handbooks.
Further, CEQ received comments
requesting that the regulations address
analysis of greenhouse gas emissions
and potential climate change impacts.
CEQ has proposed guidance titled
‘‘Draft National Environmental Policy
Act Guidance on Consideration of
Greenhouse Gas Emissions’’ 79 to
address how NEPA analyses should
address greenhouse gas (GHG)
emissions. CEQ does not consider it
appropriate to address a single category
of impacts in the regulations. If CEQ
finalizes this proposal, CEQ would
review the draft GHG guidance for
potential revisions consistent with the
79 84
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regulations. However, CEQ invites
comments on whether it should codify
any aspects of its proposed GHG
guidance in the regulation, and if so,
how CEQ should address them in the
regulations.
If proposed changes to the CEQ
regulations provided in comments on
the ANPRM, or on the proposed GHG
guidance, are not reflected in this
proposal, and the commenter would like
to advance those proposals in comments
to the NPRM, CEQ requests that the
commenter specifically identify and
reference to the prior comment.
Finally, CEQ invites comment on
whether to update references to
‘‘Council’’ in the regulation to ‘‘CEQ’’
throughout the rule.
III. Rulemaking Analyses and Notices
A. Executive Order 12866, Regulatory
Planning and Review; Executive Order
13563, Improving Regulation and
Regulatory Review; and Executive Order
13771, Reducing Regulation and
Controlling Regulatory Costs
This proposed rule is a significant
regulatory action that was submitted to
the Office of Management and Budget
(OMB) for review. The docket for this
rulemaking documents any changes
made in response to OMB
recommendations as required by section
6 of E.O. 12866.
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B. Regulatory Flexibility Act and
Executive Order 13272, Proper
Consideration of Small Entities in
Agency Rulemaking
The Regulatory Flexibility Act, as
amended, (RFA), 5 U.S.C. 601 et seq.,
and E.O. 13272 80 require agencies to
assess the impacts of proposed and final
rules on small entities. Under the RFA,
small entities include small businesses,
small organizations, and small
governmental jurisdictions. An agency
must prepare an Initial Regulatory
Flexibility Analysis (IRFA) unless it
determines and certifies that a proposed
rule, if promulgated, would not have a
significant economic impact on a
substantial number of small entities.
The proposed rule would not directly
regulate small entities. Rather, the
proposed rule applies to Federal
agencies and sets forth the process for
their compliance with NEPA.
Accordingly, CEQ hereby certifies that
the proposed rule, if promulgated, will
not have a significant economic impact
on a substantial number of small
entities.
C. National Environmental Policy Act
This proposed rule, if finalized,
would assist agencies in fulfilling their
responsibilities under NEPA, but would
not make any final determination of
what level of NEPA analysis is required
for particular actions. The CEQ
regulations do not require agencies to
prepare a NEPA analysis before
establishing or updating agency
procedures for implementing NEPA.
While CEQ prepared environmental
assessments for its promulgation of the
CEQ regulations in 1978 and its
amendments to 40 CFR 1502.22 in 1986,
in the development of this proposed
rule, CEQ has determined that the
proposed rule would not have a
significant effect on the environment
because it would not authorize any
activity or commit resources to a project
that may affect the environment.
Therefore, CEQ does not intend to
conduct a NEPA analysis of this
proposed rule for the same reason that
CEQ does not require any Federal
agency to conduct NEPA analysis for the
development of agency procedures for
the implementation of NEPA and the
CEQ regulations.
D. Executive Order 13132, Federalism
E.O. 13132 requires agencies to
develop an accountable process to
ensure meaningful and timely input by
State and local officials in the
development of regulatory policies that
have federalism implications.81 Policies
that have federalism implications
include regulations that 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. CEQ does not
anticipate that this proposed rule has
federalism implications because it
applies to Federal agencies, not States.
E. Executive Order 13175, Consultation
and Coordination With Indian Tribal
Governments
E.O. 13175 requires agencies to have
a process to ensure meaningful and
timely input by Tribal officials in the
development of policies that have Tribal
implications.82 Such policies include
regulations that have substantial direct
effects on one or more Indian Tribes, 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. While
the proposed rule is not a regulatory
81 64
80 67
FR 43255 (Aug. 10, 1999).
82 65 FR 67249 (Nov. 9, 2000).
FR 53461 (Aug. 16, 2002).
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policy that has Tribal implications, the
proposal does, in part, respond to Tribal
government comments supporting
expansion of the recognition of the
sovereign rights, interests, and expertise
of Tribes in the NEPA process and CEQ
regulations implementing NEPA.
In its ANPRM, CEQ included a
specific question regarding the
representation of Tribal governments in
the NEPA process. See ANPRM
Question 18 (‘‘Are there ways in which
the role of [T]ribal governments in the
NEPA process should be clarified in
CEQ’s NEPA regulations, and if so,
how?’’). More generally, CEQ’s ANPRM
sought the views of Tribal governments
and others on regulatory revisions that
CEQ could propose to improve Tribal
participation in Federal NEPA
processes. See ANPRM Question 2
(‘‘Should CEQ’s NEPA regulations be
revised to make the NEPA process more
efficient by better facilitating agency use
of environmental studies, analysis, and
decisions conducted in earlier Federal,
State, Tribal or local environmental
reviews or authorization decisions, and
if so, how?’’). As discussed section II.A,
CEQ now proposes to amend its
regulations to further support
coordination with Tribal governments
and agencies and analysis of a proposed
action’s potential effects on Tribal
lands, resources, or areas of historic
significance as an important part of
Federal agency decision making. In
addition to these proposed revisions of
the CEQ Regulations, CEQ is inviting
comment on other CEQ guidance that
warrants codification. See, e.g., CEQ
Memorandum titled ‘‘Designation of
Non-Federal Agencies to be Cooperating
Agencies in Implementing the
Procedural Requirements of the
National Environmental Policy Act’’ 83
(July 28, 1999) encouraging more active
solicitation of Tribal entities for
participation as cooperating agencies in
NEPA documents.
F. Executive Order 12898, Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
E.O. 12898 requires agencies to make
achieving environmental justice part of
its mission by identifying and
addressing, as appropriate,
disproportionately high and adverse
human health or environmental effects
of its programs, policies, and activities
on minority populations and lowincome populations.84 CEQ has
83 https://ceq.doe.gov/docs/ceq-regulations-andguidance/regs/ceqcoop.pdf.
84 59 FR 7629 (Feb. 16, 1994).
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analyzed this proposed rule and
determined that it would not cause
disproportionately high and adverse
human health or environmental effects
on minority populations and lowincome populations. This rule would set
forth implementing regulations for
NEPA; it is in the agency
implementation of NEPA when
conducting reviews of proposed agency
actions where consideration of
environmental justice effects typically
occurs.
G. Executive Order 13211, Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
Agencies must prepare a Statement of
Energy Effects for significant energy
actions under E.O. 13211.85 This
proposed rule 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.
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H. Executive Order 12988, Civil Justice
Reform
Under section 3(a) E.O. 12988,86
agencies must review their proposed
regulations to eliminate drafting errors
and ambiguities, draft them to minimize
litigation, and provide a clear legal
standard for affected conduct. Section
3(b) provides a list of specific issues for
review to conduct the reviews required
by section 3(a). CEQ has conducted this
review and determined that this
proposed rule complies with the
requirements of E.O. 12988.
I. Unfunded Mandate Reform Act
Section 201 of the Unfunded
Mandates Reform Act of 1995 (2 U.S.C.
1531) requires Federal agencies to assess
the effects of their regulatory actions on
State, local, and Tribal governments,
and the private sector to the extent that
such regulations incorporate
requirements specifically set forth in
law. Before promulgating a rule that
may result in the expenditure by a State,
local, or Tribal government, in the
aggregate, or by the private sector of
$100 million, adjusted annually for
inflation, in any 1 year, an agency must
prepare a written statement that assesses
the effects on State, local, and Tribal
governments and the private sector. 2
U.S.C. 1532. This proposed rule applies
to Federal agencies and would not result
in expenditures of $100 million or more
for State, local, and Tribal governments,
in the aggregate, or the private sector in
any 1 year. This action also does not
impose any enforceable duty, contain
85 66
86 61
FR 28355 (May 22, 2001).
FR 4729 (Feb. 7, 1996).
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any unfunded mandate, or otherwise
have any effect on small governments
subject to the requirements of 2 U.S.C.
1531–1538.
J. Paperwork Reduction Act
This proposed rule does not impose
any new information collection burden
that would require additional review or
approval by OMB under the Paperwork
Reduction Act (PRA), 44 U.S.C. 3501 et
seq.
List of Subjects in 40 CFR Parts 1500
Through 1508
Administrative practice and
procedure; Environmental impact
statements; Environmental protection;
Natural resources.
Dated: December 23, 2019.
Mary B. Neumayr,
Chairman.
For the reasons discussed in the
preamble, the Council on
Environmental Quality proposes to
amend parts 1500 through 1508 in title
40 of the Code of Federal Regulations to
read as follows:
■ 1. Revise part 1500 to read as follows:
PART 1500—PURPOSE AND POLICY
Sec.
1500.1
1500.2
1500.3
1500.4
1500.5
1500.6
Purpose and policy.
[Reserved]
NEPA compliance.
Reducing paperwork.
Reducing delay.
Agency authority.
Authority: 42 U.S.C. 4321–4347; 42 U.S.C.
4371–4375; 42 U.S.C. 7609; E.O. 11514, 35
FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O.
13807, 82 FR 40463, Aug. 24, 2017.
§ 1500.1
Purpose and policy.
(a) The National Environmental
Policy Act (NEPA) is a procedural
statute intended to ensure Federal
agencies consider the environmental
impacts of their actions in the decisionmaking process. Section 101 of NEPA
establishes the national environmental
policy of the Federal Government to use
all practicable means and measures to
foster and promote the general welfare,
create and maintain conditions under
which man and nature can exist in
productive harmony, and fulfill the
social, economic, and other
requirements of present and future
generations of Americans. Section
102(2) of NEPA establishes the
procedural requirements to carry out the
policy stated in section 101 of NEPA. In
particular, it requires Federal agencies
to provide a detailed statement on
proposals for major Federal actions
significantly affecting the quality of the
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human environment. The purpose and
function of NEPA is satisfied if Federal
agencies have considered relevant
environmental information and the
public has been informed regarding the
decision making process. NEPA does
not mandate particular results or
substantive outcomes. NEPA’s purpose
is not to generate paperwork or
litigation, but to provide for informed
decision making and foster excellent
action.
(b) The regulations in parts 1500
through 1508 implement section 102(2)
of NEPA. They provide direction to
Federal agencies to determine what
actions are subject to NEPA’s procedural
requirements and the level of NEPA
review where applicable. These
regulations are intended to ensure that
relevant environmental information is
identified and considered early in the
process in order to ensure informed
decision making by Federal agencies.
The regulations are also intended to
ensure that Federal agencies conduct
environmental reviews in a coordinated,
consistent, predictable and timely
manner, and to reduce unnecessary
burdens and delays. Finally, the
regulations promote concurrent
environmental reviews to ensure timely
and efficient decision making.
§ 1500.2
[Reserved]
§ 1500.3
NEPA compliance.
(a) Mandate. Parts 1500 through 1508
of this title are applicable to and
binding on all Federal agencies for
implementing the procedural provisions
of the National Environmental Policy
Act of 1969, as amended (Pub. L. 91–
190, 42 U.S.C. 4321 et seq.) (NEPA or
the Act), except where compliance
would be inconsistent with other
statutory requirements. These
regulations are issued pursuant to
NEPA; the Environmental Quality
Improvement Act of 1970, as amended
(Pub. L. 91–224, 42 U.S.C. 4371 et seq.);
section 309 of the Clean Air Act, as
amended (42 U.S.C. 7609); Executive
Order 11514, Protection and
Enhancement of Environmental Quality
(March 5, 1970), as amended by
Executive Order 11991, Relating to the
Protection and Enhancement of
Environmental Quality (May 24, 1977);
and Executive Order 13807, Establishing
Discipline and Accountability in the
Environmental Review and Permitting
Process for Infrastructure Projects
(August 15, 2017). These regulations
apply to the whole of section 102(2) of
NEPA. The provisions of the Act and of
these regulations must be read together
as a whole to comply with the law.
Agency NEPA procedures to implement
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these regulations shall not impose
additional procedures or requirements
beyond those set forth in these
regulations, except as otherwise
provided by law or for agency
efficiency.
(b) Exhaustion. (1) To ensure
informed decision making and reduce
delays, agencies shall include a request
for comments on potential alternatives
and impacts, and identification of any
relevant information, studies, or
analyses of any kind concerning impacts
affecting the quality of the human
environment in the notice of intent to
prepare an environmental impact
statement (§ 1501.9).
(2) The environmental impact
statement shall include a summary of
the comments received, including all
alternatives, information, and analyses
submitted by public commenters for
consideration by the lead and
cooperating agencies in developing the
environmental impact statement
(§ 1502.17).
(3) For consideration by the lead and
cooperating agencies, comments must
be submitted within the comment
periods provided and shall be as
specific as possible (§§ 1503.1 and
1503.3). Comments or objections not
submitted shall be deemed unexhausted
and forfeited. Any objections to the
submitted alternatives, information, and
analyses section (§ 1502.17) shall be
submitted within 30 days of the notice
of availability of the final environmental
impact statement.
(4) Based on the summary of the
submitted alternatives, information, and
analyses section, the decision maker for
the lead agency shall certify in the
record of decision that the agency
considered all of the alternatives,
information, and analyses submitted by
public commenters for consideration by
the lead and cooperating agencies in
developing the environmental impact
statement (§ 1502.18).
(c) Actions regarding NEPA
compliance. It is the Council’s intention
that judicial review of agency
compliance with the regulations in parts
1500 through 1508 not occur before an
agency has issued the record of decision
or taken other final agency action. Any
allegation of noncompliance with NEPA
and these regulations should be
resolved as expeditiously as possible.
Agencies may structure their decision
making to allow private parties to seek
agency stays of final agency decisions
pending administrative or judicial
review of those decisions. Consistent
with their organic statutes, agencies may
structure their procedures to provide for
efficient mechanisms for seeking,
granting and imposing conditions on
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such stays, consistent with 5 U.S.C. 705.
Such mechanisms may include the
imposition of an appropriate bond
requirement or other security
requirement as a condition for a stay.
(d) Remedies. Harm from the failure
to comply with NEPA can be remedied
by compliance with NEPA’s procedural
requirements as interpreted in the
regulations in parts 1500 through 1508.
These regulations create no
presumption that violation of NEPA is
a basis for injunctive relief or for a
finding of irreparable harm. These
regulations do not create a cause of
action or right of action for violation of
NEPA, which contains no such cause of
action or right of action. It is the
Council’s intention that any actions to
review, enjoin, stay, or alter an agency
decision on the basis of an alleged
NEPA violation be raised as soon as
practicable to avoid or minimize any
costs to agencies, applicants, or any
affected third parties. It is also the
Council’s intention that minor, nonsubstantive errors that have no effect on
agency decision making shall be
considered harmless and shall not
invalidate an agency action.
(e) Severability. The sections of parts
1501 through 1508 are separate and
severable from one another. If any
section or portion therein is stayed or
determined to be invalid, or the
applicability of any section to any
person or entity is held invalid, it is the
Council’s intention that the validity of
the remainder of those parts shall not be
affected, with the remaining sections to
continue in effect.
§ 1500.4
Reducing paperwork.
Agencies shall reduce excessive
paperwork by:
(a) Using categorical exclusions to
define categories of actions which do
not have a significant effect on the
human environment and which are
therefore exempt from requirements to
prepare an environmental impact
statement (§ 1501.4).
(b) Using a finding of no significant
impact when an action not otherwise
excluded will not have a significant
effect on the human environment and is
therefore exempt from requirements to
prepare an environmental impact
statement (§ 1501.6).
(c) Reducing the length of
environmental documents by means
such as meeting appropriate page limits
(§§ 1501.5(e) and 1502.7).
(d) Preparing analytic and concise
environmental impact statements
(§ 1502.2).
(e) Discussing only briefly issues
other than significant ones (§ 1502.2(b)).
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(f) Writing environmental impact
statements in plain language (§ 1502.8).
(g) Following a clear format for
environmental impact statements
(§ 1502.10).
(h) Emphasizing the portions of the
environmental impact statement that are
useful to decision makers and the public
(§§ 1502.14 and 1502.15) and reducing
emphasis on background material
(§ 1502.16).
(i) Using the scoping process, not only
to identify significant environmental
issues deserving of study, but also to
deemphasize insignificant issues,
narrowing the scope of the
environmental impact statement process
accordingly (§ 1501.9).
(j) Summarizing the environmental
impact statement (§ 1502.12).
(k) Using programmatic, policy, or
plan environmental impact statements
and tiering from statements of broad
scope to those of narrower scope, to
eliminate repetitive discussions of the
same issues (§§ 1502.4 and 1501.11).
(l) Incorporating by reference
(§ 1501.12).
(m) Integrating NEPA requirements
with other environmental review and
consultation requirements (§ 1502.25).
(n) Requiring comments to be as
specific as possible (§ 1503.3).
(o) Attaching and publishing only
changes to the draft environmental
impact statement, rather than rewriting
and publishing the entire statement
when changes are minor (§ 1503.4(c)).
(p) Eliminating duplication with
State, Tribal, and local procedures, by
providing for joint preparation of
environmental documents where
practicable (§ 1506.2), and with other
Federal procedures, by providing that
an agency may adopt appropriate
environmental documents prepared by
another agency (§ 1506.3).
(q) Combining environmental
documents with other documents
(§ 1506.4).
§ 1500.5
Reducing delay.
Agencies shall reduce delay by:
(a) Using categorical exclusions to
define categories of actions which do
not have a significant effect on the
human environment (§ 1501.4) and
which are therefore exempt from
requirements to prepare an
environmental impact statement.
(b) Using a finding of no significant
impact when an action not otherwise
excluded will not have a significant
effect on the human environment
(§ 1501.6) and is therefore exempt from
requirements to prepare an
environmental impact statement.
(c) Integrating the NEPA process into
early planning (§ 1501.2).
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(d) Engaging in interagency
cooperation before the environmental
assessment or environmental impact
statement is prepared, rather than
submission of comments on a
completed document (§ 1501.8).
(e) Ensuring the swift and fair
resolution of lead agency disputes
(§ 1501.7).
(f) Using the scoping process for an
early identification of what are and
what are not the real issues (§ 1501.9).
(g) Meeting appropriate time limits for
the environmental assessment and
environmental impact statement
processes (§ 1501.10).
(h) Preparing environmental impact
statements early in the process
(§ 1502.5).
(i) Integrating NEPA requirements
with other environmental review and
consultation requirements (§ 1502.25).
(j) Eliminating duplication with State,
Tribal, and local procedures by
providing for joint preparation of
environmental documents where
practicable (§ 1506.2) and with other
Federal procedures by providing that
agencies may jointly prepare or adopt
appropriate environmental documents
prepared by another agency (§ 1506.3).
(k) Combining environmental
documents with other documents
(§ 1506.4).
(l) Using accelerated procedures for
proposals for legislation (§ 1506.8).
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§ 1500.6
Agency authority.
Each agency shall interpret the
provisions of the Act as a supplement to
its existing authority and as a mandate
to view policies and missions in the
light of the Act’s national environmental
objectives. Agencies shall review their
policies, procedures, and regulations
accordingly and revise them as
necessary to ensure full compliance
with the purposes and provisions of the
Act as interpreted by the regulations in
parts 1500 through 1508. The phrase ‘‘to
the fullest extent possible’’ in section
102 of NEPA means that each agency of
the Federal Government shall comply
with that section unless existing law
applicable to the agency’s operations
expressly prohibits or makes
compliance impossible. Nothing
contained in the regulations in parts
1500 through 1508 is intended or
should be construed to limit an agency’s
other authorities or legal
responsibilities.
■ 2. Revise part 1501 to read as follows:
PART 1501—NEPA AND AGENCY
PLANNING
Sec.
1501.1 NEPA threshold applicability
analysis.
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1501.2 Apply NEPA early in the process.
1501.3 Determine the appropriate level of
NEPA review.
1501.4 Categorical exclusions.
1501.5 Environmental assessments.
1501.6 Findings of no significant impact.
1501.7 Lead agencies.
1501.8 Cooperating agencies.
1501.9 Scoping.
1501.10 Time limits.
1501.11 Tiering.
1501.12 Incorporation by reference.
Authority: 42 U.S.C. 4321–4347; 42 U.S.C.
4371–4375; 42 U.S.C. 7609; E.O. 11514, 35
FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O.
13807, 82 FR 40463, Aug. 24, 2017.
§ 1501.1 NEPA threshold applicability
analysis.
(a) In assessing whether NEPA
applies, Federal agencies should
determine:
(1) Whether the proposed action is a
major Federal action.
(2) Whether the proposed action, in
whole or in part, is a non-discretionary
action for which the agency lacks
authority to consider environmental
effects as part of its decision-making
process.
(3) Whether the proposed action is an
action for which compliance with NEPA
would clearly and fundamentally
conflict with the requirements of
another statute.
(4) Whether the proposed action is an
action for which compliance with NEPA
would be inconsistent with
Congressional intent due to the
requirements of another statute.
(5) Whether the proposed action is an
action for which the agency has
determined that other analyses or
processes under other statutes serve the
function of agency compliance with
NEPA.
(b) Federal agencies may make these
determinations in their agency NEPA
procedures (§ 1507.3(c)) or on an
individual basis.
§ 1501.2
Apply NEPA early in the process.
(a) Agencies should integrate the
NEPA process with other planning and
authorization processes at the earliest
reasonable time to ensure that agencies
consider environmental impacts in their
planning and decisions, to avoid delays
later in the process, and to head off
potential conflicts.
(b) Each agency shall:
(1) Comply with the mandate of
section 102(2)(A) of NEPA to ‘‘utilize a
systematic, interdisciplinary approach
which will [e]nsure the integrated use of
the natural and social sciences and the
environmental design arts in planning
and in decision making which may have
an impact on man’s environment,’’ as
specified by § 1507.2.
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(2) Identify environmental effects and
values in adequate detail so they can be
appropriately considered along with
economic and technical analyses.
Agencies shall review and publish
environmental documents and
appropriate analyses at the same time as
other planning documents.
(3) Study, develop, and describe
appropriate alternatives to
recommended courses of action in any
proposal which involves unresolved
conflicts concerning alternative uses of
available resources as provided by
section 102(2)(E) of NEPA.
(4) Provide for cases where actions
that are subject to NEPA are planned by
private applicants or other non-Federal
entities before Federal involvement so
that:
(i) Policies or designated staff are
available to advise potential applicants
of studies or other information
foreseeably required for later Federal
action.
(ii) The Federal agency consults early
with appropriate State, Tribal, and local
governments and with interested private
persons and organizations when its own
involvement is reasonably foreseeable.
(iii) The Federal agency commences
its NEPA process at the earliest
reasonable time.
§ 1501.3 Determine the appropriate level of
NEPA review.
(a) In assessing the appropriate level
of NEPA review, Federal agencies
should determine whether the proposed
action:
(1) Normally does not have significant
effects and is categorically excluded
(§ 1501.4);
(2) Is not likely to have significant
effects or the significance of the effects
is unknown and is therefore appropriate
for an environmental assessment
(§ 1501.5); or
(3) Is likely to have significant effects
and is therefore appropriate for an
environmental impact statement (part
1502).
(b) In considering whether the effects
of the proposed action are significant,
agencies shall analyze the potentially
affected environment and degree of the
effects of the action.
(1) In considering the potentially
affected environment, agencies may
consider, as appropriate, the affected
area (national, regional, or local).
Significance varies with the setting of
the proposed action. For instance, in the
case of a site-specific action,
significance would usually depend
upon the effects in the locale rather than
in the Nation as a whole. Both shortand long-term effects are relevant.
(2) In considering the degree of the
effects, agencies should consider the
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following, as appropriate to the specific
action:
(i) Effects may be both beneficial and
adverse.
(ii) Effects on public health and
safety.
(iii) Effects that would violate Federal,
State, Tribal, or local law protecting the
environment.
§ 1501.4
Categorical exclusions.
(a) For efficiency, agencies identify in
their agency NEPA procedures
(§ 1507.3(d)(2)(ii)) categories of actions
that normally do not have a significant
effect on the human environment, and
therefore do not require preparation of
an environmental assessment or
environmental impact statement.
(b) If an agency determines that a
proposed action is covered by a
categorical exclusion identified in its
agency NEPA procedures, the agency
shall evaluate the action for
extraordinary circumstances in which a
normally excluded action may have a
significant effect.
(1) If extraordinary circumstances are
present for a proposed action, the
agency should consider whether
mitigating circumstances or other
conditions are sufficient to avoid
significant effects and therefore
categorically exclude the proposed
action.
(2) If the proposed action cannot be
categorically excluded, the agency shall
prepare an environmental assessment or
environmental impact statement.
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§ 1501.5
Environmental assessments.
(a) An agency shall prepare an
environmental assessment for a
proposed action that is not likely to
have significant effects or when the
significance of the effects is unknown
unless the agency finds that a
categorical exclusion (§ 1501.4) is
applicable or has decided to prepare an
environmental impact statement.
(b) An agency may prepare an
environmental assessment on any action
in order to assist agency planning and
decision making.
(c) An environmental assessment
shall:
(1) Briefly provide sufficient evidence
and analysis for determining whether to
prepare an environmental impact
statement or a finding of no significant
impact; and
(2) Briefly discuss the purpose and
need for the proposed action,
alternatives as required by section
102(2)(E) of NEPA, the environmental
impacts of the proposed action and
alternatives, and a listing of agencies
and persons consulted.
(d) Agencies shall involve relevant
agencies, applicants, and the public, to
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the extent practicable in preparing
environmental assessments.
(e) The text of an environmental
assessment shall be no more than 75
pages, not including appendices, unless
a senior agency official approves in
writing an assessment to exceed 75
pages and establishes a new page limit.
(f) Agencies may apply the following
provisions to environmental
assessments:
(1) Section 1502.22 Incomplete or
unavailable information;
(2) Section 1502.24 Methodology and
scientific accuracy; and
(3) Section 1502.25 Environmental
review and consultation requirements.
§ 1501.6
Findings of no significant impact.
(a) An agency shall prepare a finding
of no significant impact if the agency
determines, based on the environmental
assessment, not to prepare an
environmental impact statement
because the proposed action is not
likely to have significant effects.
(1) The agency shall make the finding
of no significant impact available to the
affected public as specified in § 1506.6.
(2) In the following circumstances, the
agency shall make the finding of no
significant impact available for public
review for 30 days before the agency
makes its final determination whether to
prepare an environmental impact
statement and before the action may
begin:
(i) The proposed action is, or is
closely similar to, one which normally
requires the preparation of an
environmental impact statement under
the procedures adopted by the agency
pursuant to § 1507.3, or
(ii) The nature of the proposed action
is one without precedent.
(b) The finding of no significant
impact shall include the environmental
assessment or incorporate it by
reference and shall note any other
environmental documents related to it
(§ 1501.9(f)(3)). If the assessment is
included, the finding need not repeat
any of the discussion in the assessment
but may incorporate it by reference.
(c) The finding of no significant
impact shall state the means of and
authority for any mitigation that the
agency has adopted, and any applicable
monitoring or enforcement provisions. If
the agency finds no significant impacts
based on mitigation, the mitigated
finding of no significant impact shall
state any enforceable mitigation
requirements or commitments that will
be undertaken to avoid significant
impacts.
§ 1501.7
Lead agencies.
(a) A lead agency shall supervise the
preparation of an environmental impact
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statement or environmental assessment
if more than one Federal agency either:
(1) Proposes or is involved in the
same action; or
(2) Is involved in a group of actions
directly related to each other because of
their functional interdependence or
geographical proximity.
(b) Federal, State, Tribal, or local
agencies, including at least one Federal
agency, may act as joint lead agencies to
prepare an environmental impact
statement or environmental assessment
(§ 1506.2).
(c) If an action falls within the
provisions of paragraph (a) of this
section, the potential lead agencies shall
determine, by letter or memorandum,
which agency shall be the lead agency
and which shall be cooperating
agencies. The agencies shall resolve the
lead agency question so as not to cause
delay. If there is disagreement among
the agencies, the following factors
(which are listed in order of descending
importance) shall determine lead agency
designation:
(1) Magnitude of agency’s
involvement.
(2) Project approval/disapproval
authority.
(3) Expertise concerning the action’s
environmental effects.
(4) Duration of agency’s involvement.
(5) Sequence of agency’s involvement.
(d) Any Federal agency, or any State,
Tribal, or local agency or private person
substantially affected by the absence of
lead agency designation, may make a
written request to the senior agency
officials of the potential lead agencies
that a lead agency be designated.
(e) If Federal agencies are unable to
agree on which agency will be the lead
agency or if the procedure described in
paragraph (c) of this section has not
resulted within 45 days in a lead agency
designation, any of the agencies or
persons concerned may file a request
with the Council asking it to determine
which Federal agency shall be the lead
agency. A copy of the request shall be
transmitted to each potential lead
agency. The request shall consist of:
(1) A precise description of the nature
and extent of the proposed action.
(2) A detailed statement of why each
potential lead agency should or should
not be the lead agency under the criteria
specified in paragraph (c) of this
section.
(f) A response may be filed by any
potential lead agency concerned within
20 days after a request is filed with the
Council. The Council shall determine as
soon as possible but not later than 20
days after receiving the request and all
responses to it which Federal agency
shall be the lead agency and which
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other Federal agencies shall be
cooperating agencies.
(g) To the extent practicable, if a
proposal will require action by more
than one Federal agency and the lead
agency determines that it requires
preparation of an environmental impact
statement, the lead and cooperating
agencies shall evaluate the proposal in
a single environmental impact statement
and issue a joint record of decision. To
the extent practicable, if the lead agency
determines that the proposed action
should be evaluated in an
environmental assessment, the lead and
cooperating agencies should evaluate
the proposal in a single environmental
assessment and, where appropriate,
issue a joint finding of no significant
impact.
(h) With respect to cooperating
agencies, the lead agency shall:
(1) Request the participation of each
cooperating agency in the NEPA process
at the earliest practicable time.
(2) Use the environmental analysis
and proposals of cooperating agencies
with jurisdiction by law or special
expertise, to the maximum extent
practicable, consistent with its
responsibility as lead agency.
(3) Meet with a cooperating agency at
the latter’s request.
(4) Determine the purpose and need,
and alternatives in consultation with
any cooperating agency.
(i) The lead agency shall develop a
schedule, setting milestones for all
environmental reviews and
authorizations required for
implementation of the action, in
consultation with any applicant and all
joint lead, cooperating, and
participating agencies, as soon as
practicable.
(j) If the lead agency anticipates that
a milestone will be missed, it shall
notify appropriate officials at the
responsible agencies. The responsible
agencies shall elevate, as soon as
practicable, to the appropriate officials
of the responsible agencies, the issue for
timely resolution.
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§ 1501.8
Cooperating agencies.
(a) The purpose of this section is to
emphasize agency cooperation early in
the NEPA process. Any Federal agency
with jurisdiction by law shall be a
cooperating agency upon request of the
lead agency. In addition, any other
Federal agency with special expertise
with respect to any environmental issue
may be a cooperating agency upon
request of the lead agency. A State,
Tribal, or local agency of similar
qualifications may, by agreement with
the lead agency, become a cooperating
agency. An agency may request the lead
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agency to designate it a cooperating
agency, and a Federal agency may
appeal a denial of its request to the
Council, in accordance with § 1501.7(e).
(b) Each cooperating agency shall:
(1) Participate in the NEPA process at
the earliest practicable time.
(2) Participate in the scoping process
(described in § 1501.9).
(3) Assume, on request of the lead
agency, responsibility for developing
information and preparing
environmental analyses, including
portions of the environmental impact
statement or environmental assessment
concerning which the cooperating
agency has special expertise.
(4) Make available staff support at the
lead agency’s request to enhance the
latter’s interdisciplinary capability.
(5) Normally use its own funds. To
the extent available funds permit, the
lead agency shall fund those major
activities or analyses it requests from
cooperating agencies. Potential lead
agencies shall include such funding
requirements in their budget requests.
(6) Consult with the lead agency in
developing the schedule (§ 1501.7(i)),
meet the schedule, and elevate, as soon
as practicable, to the senior agency
official of the lead agency relating to
purpose and need, alternatives or any
other issues any issues that may affect
that agency’s ability to meet the
schedule.
(7) Meet the lead agency’s schedule
for providing comments and limit its
comments to those matters for which it
has jurisdiction by law or special
expertise with respect to any
environmental issue consistent with
§ 1503.2.
(c) In response to a lead agency’s
request for assistance in preparing the
environmental documents (described in
paragraph (b)(3), (4), or (5) of this
section), a cooperating agency may reply
that other program commitments
preclude any involvement or the degree
of involvement requested in the action
that is the subject of the environmental
impact statement or environmental
assessment. The cooperating agency
shall submit a copy of this reply to the
Council and the senior agency official of
the lead agency.
§ 1501.9
Scoping.
(a) Generally. Agencies shall use an
early and open process to determine the
scope of issues for analysis in an
environmental impact statement,
including identifying the significant
issues and eliminating from further
study non-significant issues. Scoping
may begin as soon as practicable after
the proposal for action is sufficiently
developed for agency consideration.
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Scoping may include appropriate preapplication procedures or work
conducted prior to publication of the
notice of intent.
(b) Invite cooperating and
participating agencies. As part of the
scoping process, the lead agency shall
invite the participation of likely affected
Federal, State, Tribal, and local agencies
and governments, the proponent of the
action, and other likely affected or
interested persons (including those who
might not be in accord with the action
on environmental grounds), unless there
is a limited exception under § 1507.3(e).
(c) Scoping outreach. As part of the
scoping process the lead agency may
hold a scoping meeting or meetings,
publish scoping information, or use
other means to communicate with those
persons or agencies who may be
interested or affected, which the agency
may integrate with any other early
planning meeting. Such a scoping
meeting will often be appropriate when
the impacts of a particular action are
confined to specific sites.
(d) Notice of intent. As soon as
practicable after determining that a
proposal is sufficiently developed to
allow for meaningful public comment
and requires an environmental impact
statement, the lead agency shall publish
a notice of intent to prepare an
environmental impact statement in the
Federal Register, except as provided in
§ 1507.3(e)(3). An agency may publish
notice in accordance with § 1506.6. The
notice shall include, as appropriate:
(1) The purpose and need for the
proposed action;
(2) A preliminary description of the
proposed action and alternatives to be
considered;
(3) A brief summary of expected
impacts;
(4) Anticipated permits and other
authorizations;
(5) A schedule for the decisionmaking process;
(6) A description of the public
scoping process, including any scoping
meeting(s);
(7) A request for comments on
potential alternatives and impacts, and
identification of any relevant
information, studies, or analyses of any
kind concerning impacts affecting the
quality of the human environment
(§§ 1503.1 and 1503.3); and
(8) Contact information for a person
within the agency who can answer
questions about the proposed action and
the environmental impact statement.
(e) Determination of scope. As part of
the scoping process, the lead agency
shall determine the scope and the
significant issues to be analyzed in
depth in the environmental impact
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statement. To determine the scope of
environmental impact statements,
agencies shall consider:
(1) Actions (other than unconnected
single actions) that may be:
(i) Connected actions, which means
that they are closely related and
therefore should be discussed in the
same impact statement. Actions are
connected if they:
(A) Automatically trigger other
actions that may require environmental
impact statements;
(B) Cannot or will not proceed unless
other actions are taken previously or
simultaneously; or
(C) Are interdependent parts of a
larger action and depend on the larger
action for their justification.
(ii) Similar actions, which when
viewed with other reasonably
foreseeable or proposed agency actions,
have similarities that provide a basis for
evaluating their environmental
consequences together, such as common
timing or geography. An agency may
wish to analyze these actions in the
same impact statement. It should do so
when the most effective way to assess
adequately the combined impacts of
similar actions or reasonable
alternatives to such actions is to treat
them in a single impact statement.
(2) Alternatives, which include the no
action alternative; other reasonable
courses of action; and mitigation
measures (not in the proposed action).
(3) Impacts.
(f) Additional scoping responsibilities.
As part of the scoping process, the lead
agency shall:
(1) Identify and eliminate from
detailed study the issues which are not
significant or which have been covered
by prior environmental review
(§ 1506.3), narrowing the discussion of
these issues in the statement to a brief
presentation of why they will not have
a significant effect on the human
environment or providing a reference to
their coverage elsewhere.
(2) Allocate assignments for
preparation of the environmental impact
statement among the lead and
cooperating agencies, with the lead
agency retaining responsibility for the
statement.
(3) Indicate any public environmental
assessments and other environmental
impact statements which are being or
will be prepared that are related to but
are not part of the scope of the impact
statement under consideration.
(4) Identify other environmental
review, authorization, and consultation
requirements so the lead and
cooperating agencies may prepare other
required analyses and studies
concurrently with, and integrated with,
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the environmental impact statement as
provided in § 1502.25.
(5) Indicate the relationship between
the timing of the preparation of
environmental analyses and the
agencies’ tentative planning and
decision-making schedule.
(g) Revisions. An agency shall revise
the determinations made under
paragraphs (b), (c), (e), and (f) of this
section if substantial changes are made
later in the proposed action, or if
significant new circumstances or
information arise which bear on the
proposal or its impacts.
§ 1501.10
Time limits.
(a) To ensure that agencies conduct
NEPA reviews as efficiently and
expeditiously as practicable, Federal
agencies should set time limits
appropriate to individual actions or
types of actions (consistent with the
time intervals required by § 1506.11).
When multiple agencies are involved
the reference to agency below means
lead agency.
(b) To ensure timely decision making,
agencies shall complete:
(1) Environmental assessments within
1 year unless a senior agency official of
the lead agency approves a longer
period in writing and establishes a new
time limit. One year is measured from
the date of decision to prepare an
environmental assessment to the
publication of a final environmental
assessment.
(2) Environmental impact statements
within 2 years unless a senior agency
official of the lead agency approves a
longer period in writing and establishes
a new time limit. Two years is measured
from the date of the issuance of the
notice of intent to the date a record of
decision is signed.
(c) The senior agency official may
consider the following factors in
determining time limits:
(1) Potential for environmental harm.
(2) Size of the proposed action.
(3) State of the art of analytic
techniques.
(4) Degree of public need for the
proposed action, including the
consequences of delay.
(5) Number of persons and agencies
affected.
(6) Availability of relevant
information.
(7) Other time limits imposed on the
agency by law, regulations, or Executive
order.
(d) The senior agency official may set
overall time limits or limits for each
constituent part of the NEPA process,
which may include:
(1) Decision on whether to prepare an
environmental impact statement (if not
already decided).
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(2) Determination of the scope of the
environmental impact statement.
(3) Preparation of the draft
environmental impact statement.
(4) Review of any comments on the
draft environmental impact statement
from the public and agencies.
(5) Preparation of the final
environmental impact statement.
(6) Review of any comments on the
final environmental impact statement.
(7) Decision on the action based in
part on the environmental impact
statement.
(e) The agency may designate a person
(such as the project manager or a person
in the agency’s office with NEPA
responsibilities) to expedite the NEPA
process.
(f) State, Tribal, or local agencies or
members of the public may request a
Federal agency to set time limits.
§ 1501.11
Tiering.
(a) Agencies are encouraged to tier
their environmental impact statements
and environmental assessments where it
would eliminate repetitive discussions
of the same issues, focus on the actual
issues ripe for decision, and exclude
from consideration issues already
decided or not yet ripe at each level of
environmental review. Whenever an
agency has prepared an environmental
impact statement or environmental
assessment for a program or policy and
then prepares a subsequent statement or
environmental assessment on an action
included within the entire program or
policy (such as a project- or site-specific
action), the subsequent statement or
environmental assessment need only
summarize the issues discussed in the
broader statement and incorporate
discussions from the broader statement
by reference and shall concentrate on
the issues specific to the subsequent
action. The subsequent document shall
state where the earlier document is
available. Tiering may also be
appropriate for different stages of
actions.
(b) Tiering is appropriate when the
sequence from an environmental impact
statement or environmental assessment
is:
(1) From a programmatic, plan, or
policy environmental impact statement
or environmental assessment to a
program, plan, or policy statement or
assessment of lesser or narrower scope
or to a site-specific statement or
assessment.
(2) From an environmental impact
statement or environmental assessment
on a specific action at an early stage
(such as need and site selection) to a
supplement (which is preferred) or a
subsequent statement or assessment at a
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later stage (such as environmental
mitigation). Tiering in such cases is
appropriate when it helps the lead
agency to focus on the issues that are
ripe for decision and exclude from
consideration issues already decided or
not yet ripe.
§ 1501.12
Incorporation by reference.
Agencies shall incorporate material
into environmental documents by
reference when the effect will be to cut
down on bulk without impeding agency
and public review of the action. The
incorporated material shall be cited in
the document and its content briefly
described. No material may be
incorporated by reference unless it is
reasonably available for inspection by
potentially interested persons within
the time allowed for comment. Material
based on proprietary data which is itself
not available for review and comment
shall not be incorporated by reference.
■ 3. Revise part 1502 to read as follows:
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PART 1502—ENVIRONMENTAL
IMPACT STATEMENT
Authority: 42 U.S.C. 4321–4347; 42 U.S.C.
4371–4375; 42 U.S.C. 7609; E.O. 11514, 35
FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O.
13807, 82 FR 40463, Aug. 24, 2017.
22:51 Jan 09, 2020
Jkt 250001
The primary purpose of an
environmental impact statement
prepared pursuant to 102(2)(c) is to
ensure agencies consider the
environmental impacts of their actions
in decision making. It shall provide full
and fair discussion of significant
environmental impacts and shall inform
decision makers and the public of
reasonable alternatives which would
avoid or minimize adverse impacts or
enhance the quality of the human
environment. Agencies shall focus on
significant environmental issues and
alternatives and shall reduce paperwork
and the accumulation of extraneous
background data. Statements shall be
concise, clear, and to the point, and
shall be supported by evidence that the
agency has made the necessary
environmental analyses. An
environmental impact statement is a
document that informs. Federal agency
decision making.
§ 1502.2
Sec.
1502.1 Environmental impact statement
purpose.
1502.2 Implementation.
1502.3 Statutory requirements for
statements.
1502.4 Major Federal actions requiring the
preparation of environmental impact
statements.
1502.5 Timing.
1502.6 Interdisciplinary preparation.
1502.7 Page limits.
1502.8 Writing.
1502.9 Draft, final, and supplemental
statements.
1502.10 Recommended format.
1502.11 Cover.
1502.12 Summary.
1502.13 Purpose and need.
1502.14 Alternatives including the
proposed action.
1502.15 Affected environment.
1502.16 Environmental consequences.
1502.17 Summary of submitted
alternatives, information, and analyses.
1502.18 Certification of submitted
alternatives, information, and analyses
section.
1502.19 List of preparers.
1502.20 Appendix.
1502.21 Publication of the environmental
impact statement.
1502.22 Incomplete or unavailable
information.
1502.23 Cost-benefit analysis.
1502.24 Methodology and scientific
accuracy.
1502.25 Environmental review and
consultation requirements.
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§ 1502.1 Environmental impact statement
purpose.
Implementation.
(a) Environmental impact statements
shall not be encyclopedic.
(b) Impacts shall be discussed in
proportion to their significance. There
shall be only brief discussion of other
than significant issues. As in a finding
of no significant impact, there should be
only enough discussion to show why
more study is not warranted.
(c) Environmental impact statements
shall be analytic, concise, and no longer
than necessary to comply with NEPA
and with the regulations in parts 1500
through 1508. Length should be
proportional to potential environmental
effects and project size.
(d) Environmental impact statements
shall state how alternatives considered
in it and decisions based on it will or
will not achieve the requirements of
sections 101 and 102(1) of NEPA and
other environmental laws and policies.
(e) The range of alternatives discussed
in environmental impact statements
shall encompass those to be considered
by the ultimate agency decision maker.
(f) Agencies shall not commit
resources prejudicing selection of
alternatives before making a final
decision (§ 1506.1).
(g) Environmental impact statements
shall serve as the means of assessing the
environmental impact of proposed
agency actions, rather than justifying
decisions already made.
§ 1502.3 Statutory requirements for
statements.
As required by section 102(2)(C) of
NEPA, environmental impact statements
are to be included in every Federal
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agency recommendation or report on
proposals for legislation and other major
Federal actions significantly affecting
the quality of the human environment.
§ 1502.4 Major Federal actions requiring
the preparation of environmental impact
statements.
(a) Agencies shall define the proposal
that is the subject of an environmental
impact statement based on the statutory
authorities for the proposed action.
Agencies shall use the criteria for scope
(§ 1501.9) to determine which
proposal(s) shall be the subject of a
particular statement. Agencies shall
evaluate in a single environmental
impact statement proposals or parts of
proposals that are related to each other
closely enough to be, in effect, a single
course of action.
(b) Environmental impact statements
may be prepared for programmatic
Federal actions such as the adoption of
new agency programs. Agencies shall
prepare statements on programmatic
actions so that they are relevant to the
program decision and time them to
coincide with meaningful points in
agency planning and decision making.
(c) When preparing statements on
programmatic actions (including
proposals by more than one agency),
agencies may find it useful to evaluate
the proposal(s) in one of the following
ways:
(1) Geographically, including actions
occurring in the same general location,
such as body of water, region, or
metropolitan area.
(2) Generically, including actions
which have relevant similarities, such
as common timing, impacts,
alternatives, methods of
implementation, media, or subject
matter.
(3) By stage of technological
development including Federal or
federally assisted research, development
or demonstration programs for new
technologies which, if applied, could
significantly affect the quality of the
human environment. Statements on
such programs should be available
before the program has reached a stage
of investment or commitment to
implementation likely to determine
subsequent development or restrict later
alternatives.
(d) Agencies shall as appropriate
employ scoping (§ 1501.9), tiering
(§ 1501.11), and other methods listed in
§§ 1500.4 and 1500.5 to relate
programmatic and narrow actions and to
avoid duplication and delay. Agencies
may tier their environmental analyses to
defer detailed analysis of environmental
impacts of specific program elements
until such program elements are ripe for
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decisions that would involve an
irreversible or irretrievable commitment
of resources.
approves in writing a statement to
exceed 300 pages and establishes a new
page limit.
§ 1502.5
§ 1502.8
Timing.
An agency should commence
preparation of an environmental impact
statement as close as practicable to the
time the agency is developing or is
presented with a proposal so that
preparation can be completed in time
for the final statement to be included in
any recommendation or report on the
proposal. The statement shall be
prepared early enough so that it can
serve practically as an important
contribution to the decision-making
process and will not be used to
rationalize or justify decisions already
made (§§ 1501.2 and 1502.2). For
instance:
(a) For projects directly undertaken by
Federal agencies the environmental
impact statement shall be prepared at
the feasibility analysis (go-no go) stage
and may be supplemented at a later
stage if necessary.
(b) For applications to the agency,
appropriate environmental assessments
or statements shall be commenced as
soon as practicable after the application
is received. Federal agencies should
work with potential applicants and
applicable State, Tribal, and local
agencies prior to receipt of the
application.
(c) For adjudication, the final
environmental impact statement shall
normally precede the final staff
recommendation and that portion of the
public hearing related to the impact
study. In appropriate circumstances the
statement may follow preliminary
hearings designed to gather information
for use in the statements.
(d) For informal rulemaking the draft
environmental impact statement shall
normally accompany the proposed rule.
§ 1502.6
Interdisciplinary preparation.
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Environmental impact statements
shall be prepared using an
interdisciplinary approach which will
ensure the integrated use of the natural
and social sciences and the
environmental design arts (section
102(2)(A) of NEPA). The disciplines of
the preparers shall be appropriate to the
scope and issues identified in the
scoping process (§ 1501.9).
§ 1502.7
Page limits.
The text of final environmental
impact statements (e.g., paragraphs
(a)(4) through (6) of § 1502.10) shall be
150 pages or fewer and, for proposals of
unusual scope or complexity, shall be
300 pages or fewer unless a senior
agency official of the lead agency
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Writing.
Environmental impact statements
shall be written in plain language and
may use appropriate graphics so that
decision makers and the public can
readily understand them. Agencies
should employ writers of clear prose or
editors to write, review, or edit
statements, which will be based upon
the analysis and supporting data from
the natural and social sciences and the
environmental design arts.
§ 1502.9 Draft, final, and supplemental
statements.
(a) Generally. Except for proposals for
legislation as provided in § 1506.8
environmental impact statements shall
be prepared in two stages and, where
necessary, shall be supplemented as
provided in paragraph (d)(1) of this
section.
(b) Draft environmental impact
statements. Draft environmental impact
statements shall be prepared in
accordance with the scope decided
upon in the scoping process. The lead
agency shall work with the cooperating
agencies and shall obtain comments as
required in part 1503 of this chapter.
The draft statement must meet, to the
fullest extent practicable, the
requirements established for final
statements in section 102(2)(C) of NEPA.
If a draft statement is so inadequate as
to preclude meaningful analysis, the
agency shall prepare and publish a
supplemental draft of the appropriate
portion. The agency shall discuss at
appropriate points in the draft statement
all major points of view on the
environmental impacts of the
alternatives including the proposed
action.
(c) Final environmental impact
statements. Final environmental impact
statements shall address comments as
required in part 1503 of this chapter.
The agency shall discuss at appropriate
points in the final statement any
responsible opposing view which was
not adequately discussed in the draft
statement and shall indicate the
agency’s response to the issues raised.
(d) Supplemental environmental
impact statements. Agencies:
(1) Shall prepare supplements to
either draft or final environmental
impact statements if a major Federal
action remains to occur, and:
(i) The agency makes substantial
changes in the proposed action that are
relevant to environmental concerns; or
(ii) There are significant new
circumstances or information relevant to
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1719
environmental concerns and bearing on
the proposed action or its impacts.
(2) May also prepare supplements
when the agency determines that the
purposes of the Act will be furthered by
doing so.
(3) Shall prepare, publish, and file a
supplement to a statement in the same
fashion (exclusive of scoping) as a draft
and final statement unless alternative
procedures are approved by the Council.
(4) May find that changes to the
proposed action or new circumstances
or information relevant to
environmental concerns are not
significant and therefore do not require
a supplement. The agency should
document the finding consistent with its
agency NEPA procedures (§ 1507.3), or,
if necessary, in a finding of no
significant impact supported by an
environmental assessment.
§ 1502.10
Recommended format.
(a) Agencies shall use a format for
environmental impact statements which
will encourage good analysis and clear
presentation of the alternatives
including the proposed action. Agencies
should use the following standard
format for environmental impact
statements unless the agency determines
that there is a more effective format for
communication:
(1) Cover.
(2) Summary.
(3) Table of contents.
(4) Purpose of and need for action.
(5) Alternatives including proposed
action (sections 102(2)(C)(iii) and
102(2)(E) of NEPA).
(6) Affected environment and
environmental consequences (especially
sections 102(2)(C)(i), (ii), (iv), and (v) of
NEPA).
(7) Submitted, alternatives,
information, and analyses.
(8) List of preparers.
(9) Appendices (if any).
(b) If an agency uses a different
format, it shall include paragraphs (a),
(b), (c), (d), (e), (f), (g) and (h) of this
section, as further described in
§§ 1502.11 through 1502.20, in any
appropriate format.
§ 1502.11
Cover.
The cover shall not exceed one page
and include:
(a) A list of the responsible agencies,
including the lead agency and any
cooperating agencies.
(b) The title of the proposed action
that is the subject of the statement (and,
if appropriate, the titles of related
cooperating agency actions), together
with the State(s) and county(ies) (or
other jurisdiction, if applicable) where
the action is located.
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(c) The name, address, and telephone
number of the person at the agency who
can supply further information.
(d) A designation of the statement as
a draft, final, or draft or final
supplement.
(e) A one-paragraph abstract of the
statement.
(f) The date by which comments must
be received (computed in cooperation
with EPA under § 1506.11).
(g) The estimated total cost of
preparing the environmental impact
statement, including the costs of agency
full-time equivalent (FTE) personnel
hours, contractor costs, and other direct
costs.
§ 1502.12
Summary.
Each environmental impact statement
shall contain a summary which
adequately and accurately summarizes
the statement. The summary shall stress
the major conclusions, areas of disputed
issues raised by agencies and the
public), and the issues to be resolved
(including the choice among
alternatives). The summary will
normally not exceed 15 pages.
§ 1502.13
Purpose and need.
The statement shall briefly specify the
underlying purpose and need for the
proposed action. When an agency’s
statutory duty is to review an
application for authorization, the agency
shall base the purpose and need on the
goals of the applicant and the agency’s
authority.
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§ 1502.14 Alternatives including the
proposed action.
This section should present the
environmental impacts of the proposed
action and the alternatives in
comparative form based on the
information and analysis presented in
the sections on the Affected
Environment (§ 1502.15) and the
Environmental Consequences
(§ 1502.16). In this section, agencies
shall:
(a) Evaluate reasonable alternatives to
the proposed action, and for alternatives
which were eliminated from detailed
study, briefly discuss the reasons for
their having been eliminated.
(b) Discuss each alternative
considered in detail including the
proposed action so that reviewers may
evaluate their comparative merits.
(c) Include the no action alternative.
(d) Identify the agency’s preferred
alternative or alternatives, if one or
more exists, in the draft statement and
identify such alternative in the final
statement unless another law prohibits
the expression of such a preference.
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(e) Include appropriate mitigation
measures not already included in the
proposed action or alternatives.
§ 1502.15
Affected environment.
The environmental impact statement
shall succinctly describe the
environment of the area(s) to be affected
or created by the alternatives under
consideration. The description may be
combined with evaluation of the
environmental consequences (§ 1502.16)
and shall be no longer than is necessary
to understand the effects of the
alternatives. Data and analyses in a
statement shall be commensurate with
the importance of the impact, with less
important material summarized,
consolidated, or simply referenced.
Agencies shall avoid useless bulk in
statements and shall concentrate effort
and attention on important issues.
Verbose descriptions of the affected
environment are themselves no measure
of the adequacy of an environmental
impact statement.
§ 1502.16
Environmental consequences.
(a) This section forms the scientific
and analytic basis for the comparisons
under § 1502.14. It shall consolidate the
discussions of those elements required
by sections 102(2)(C)(i), (ii), (iv), and (v)
of NEPA which are within the scope of
the statement and as much of section
102(2)(C)(iii) of NEPA as is necessary to
support the comparisons. This section
should not duplicate discussions in
§ 1502.14. The discussion shall include:
(1) The environmental impacts of the
proposed action and reasonable
alternatives to the proposed action and
their significance. The comparison of
the proposed action and reasonable
alternatives shall be based on this
discussion of the impacts.
(2) Any adverse environmental effects
which cannot be avoided should the
proposal be implemented.
(3) The relationship between shortterm uses of man’s environment and the
maintenance and enhancement of longterm productivity.
(4) Any irreversible or irretrievable
commitments of resources which would
be involved in the proposal should it be
implemented.
(5) Possible conflicts between the
proposed action and the objectives of
Federal, regional, State, Tribal, and local
land use plans, policies and controls for
the area concerned. (§ 1506.2(d))
(6) Energy requirements and
conservation potential of various
alternatives and mitigation measures.
(7) Natural or depletable resource
requirements and conservation potential
of various alternatives and mitigation
measures.
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(8) Urban quality, historic and
cultural resources, and the design of the
built environment, including the reuse
and conservation potential of various
alternatives and mitigation measures.
(9) Means to mitigate adverse
environmental impacts (if not fully
covered under § 1502.14(e)).
(10) Where applicable, economic and
technical considerations, including the
economic benefits of the proposed
action.
(b) Economic or social effects by
themselves do not require preparation of
an environmental impact statement.
However, when the agency determines
that economic or social and natural or
physical environmental effects are
interrelated, then the environmental
impact statement will discuss and give
appropriate consideration to these
effects on the human environment.
§ 1502.17 Summary of submitted
alternatives, information, and analyses.
The environmental impact statement
shall include a summary of all
alternatives, information, and analyses
submitted by public commenters for
consideration by the lead and
cooperating agencies in developing the
environmental impact statement.
Consistent with § 1503.1(a)(3), the lead
agency shall invite comment on the
completeness of the summary in the
draft environmental impact statement.
§ 1502.18 Certification of submitted
alternatives, information, and analyses
section.
Based on the summary of the
submitted alternatives, information, and
analyses section, the decision maker for
the lead agency shall certify in the
record of decision that the agency has
considered all of the alternatives,
information, and analyses submitted by
public commenters for consideration by
the lead and cooperating agencies in
developing the environmental impact
statement. Agency environmental
impact statements certified in
accordance with this section are entitled
to a conclusive presumption that the
agency has considered the information
included in the submitted alternatives,
information, and analyses section.
§ 1502.19
List of preparers.
The environmental impact statement
shall list the names, together with their
qualifications (expertise, experience,
professional disciplines), of the persons
who were primarily responsible for
preparing the environmental impact
statement or significant background
papers, including basic components of
the statement (§§ 1502.6 and 1502.8).
Where possible the persons who are
responsible for a particular analysis,
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including analyses in background
papers, shall be identified. Normally the
list will not exceed two pages.
§ 1502.20
Appendix.
If an agency prepares an appendix, it
shall be published with the
environmental impact statement and
shall consist of material:
(a) Prepared in connection with an
environmental impact statement (as
distinct from material which is not so
prepared and which is incorporated by
reference (§ 1501.12)).
(b) Substantiating any analysis
fundamental to the impact statement.
(c) Relevant to the decision to be
made.
§ 1502.21 Publication of the environmental
impact statement.
Agencies shall publish the entire draft
and final environmental impact
statements and unchanged statements as
provided in § 1503.4(c). The agency
shall transmit the entire statement
electronically (or in paper copy, if so
requested due to economic or other
hardship) to:
(a) Any Federal agency which has
jurisdiction by law or special expertise
with respect to any environmental
impact involved and any appropriate
Federal, State, Tribal, or local agency
authorized to develop and enforce
environmental standards.
(b) The applicant, if any.
(c) Any person, organization, or
agency requesting the entire
environmental impact statement.
(d) In the case of a final
environmental impact statement any
person, organization, or agency which
submitted substantive comments on the
draft.
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§ 1502.22 Incomplete or unavailable
information.
(a) When an agency is evaluating
reasonably foreseeable significant
adverse effects on the human
environment in an environmental
impact statement and there is
incomplete or unavailable information,
the agency shall make clear that such
information is lacking.
(b) If the incomplete information
relevant to reasonably foreseeable
significant adverse impacts is essential
to a reasoned choice among alternatives
and the overall costs of obtaining it are
not unreasonable, the agency shall
include the information in the
environmental impact statement.
(c) If the information relevant to
reasonably foreseeable significant
adverse impacts cannot be obtained
because the overall costs of obtaining it
are unreasonable or the means to obtain
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it are not known, the agency shall
include within the environmental
impact statement:
(1) A statement that such information
is incomplete or unavailable;
(2) A statement of the relevance of the
incomplete or unavailable information
to evaluating reasonably foreseeable
significant adverse impacts on the
human environment;
(3) A summary of existing credible
scientific evidence which is relevant to
evaluating the reasonably foreseeable
significant adverse impacts on the
human environment; and
(4) The agency’s evaluation of such
impacts based upon theoretical
approaches or research methods
generally accepted in the scientific
community.
(d) For the purposes of this section,
‘‘reasonably foreseeable’’ includes
impacts which have catastrophic
consequences, even if their probability
of occurrence is low, provided that the
analysis of the impacts is supported by
credible scientific evidence, is not based
on pure conjecture, and is within the
rule of reason.
§ 1502.23
Cost-benefit analysis.
If a cost-benefit analysis relevant to
the choice among environmentally
different alternatives is being
considered for the proposed action, it
shall be incorporated by reference or
appended to the statement as an aid in
evaluating the environmental
consequences. To assess the adequacy of
compliance with section 102(2)(B) of
NEPA the statement shall, when a costbenefit analysis is prepared, discuss the
relationship between that analysis and
any analyses of unquantified
environmental impacts, values, and
amenities. For purposes of complying
with the Act, the weighing of the merits
and drawbacks of the various
alternatives need not be displayed in a
monetary cost-benefit analysis and
should not be when there are important
qualitative considerations. In any event,
an environmental impact statement
should at least indicate those
considerations, including factors not
related to environmental quality, which
are likely to be relevant and important
to a decision.
§ 1502.24 Methodology and scientific
accuracy.
Agencies shall ensure the professional
integrity, including scientific integrity,
of the discussions and analyses in
environmental documents. Agencies
shall make use of reliable existing data
and resources and are not required to
undertake new scientific and technical
research to inform their analyses.
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1721
Agencies may make use of any reliable
data sources, such as remotely gathered
information or statistical models. They
shall identify any methodologies used
and shall make explicit reference to the
scientific and other sources relied upon
for conclusions in the statement. An
agency may place discussion of
methodology in an appendix.
§ 1502.25 Environmental review and
consultation requirements.
(a) To the fullest extent possible,
agencies shall prepare draft
environmental impact statements
concurrent and integrated with
environmental impact analyses and
related surveys and studies required by
all other Federal environmental review
laws and Executive orders applicable to
the proposed action, including the Fish
and Wildlife Coordination Act (16
U.S.C. 661 et seq.), the National Historic
Preservation Act of 1966 (16 U.S.C. 470
et seq.), and the Endangered Species Act
of 1973 (16 U.S.C. 1531 et seq.).
(b) The draft environmental impact
statement shall list all Federal permits,
licenses, and other authorizations which
must be obtained in implementing the
proposal. If it is uncertain whether a
Federal permit, license, or other
authorization is necessary, the draft
environmental impact statement shall so
indicate.
■ 4. Revise part 1503 to read as follows:
PART 1503—COMMENTING ON
ENVIRONMENTAL IMPACT
STATEMENTS
Sec.
1503.1 Inviting comments and requesting
information and analyses.
1503.2 Duty to comment.
1503.3 Specificity of comments and
information.
1503.4 Response to comments.
Authority: 42 U.S.C. 4321–4347; 42 U.S.C.
4371–4375; 42 U.S.C. 7609; and E.O. 11514,
35 FR 4247, Mar. 7, 1970, as amended by
E.O. 11991, 42 FR 26967, May 25, 1977.
§ 1503.1 Inviting comments and
requesting information and analyses.
(a) After preparing a draft
environmental impact statement and
before preparing a final environmental
impact statement the agency shall:
(1) Obtain the comments of any
Federal agency which has jurisdiction
by law or special expertise with respect
to any environmental impact involved
or which is authorized to develop and
enforce environmental standards.
(2) Request the comments of:
(i) Appropriate State, Tribal, and local
agencies which are authorized to
develop and enforce environmental
standards;
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(ii) State, Tribal, or local governments
that may be affected by the proposed
action;
(iii) Any agency which has requested
that it receive statements on actions of
the kind proposed;
(iv) The applicant, if any; and
(v) The public, affirmatively soliciting
comments in a manner designed to
inform those persons or organizations
who may be interested in or affected by
the proposed action.
(3) Invite comment specifically on the
completeness of the submitted
alternatives, information, and analyses
section (§ 1502.17).
(b) An agency may request comments
on a final environmental impact
statement before the final decision. An
agency shall request comments and
provide a 30-day comment period on
the final environmental impact
statement’s submitted alternatives,
information, and analyses section
(§ 1502.17). Other agencies or persons
may make comments consistent with
the time periods provided for under
§ 1506.11.
(c) An agency shall provide for
electronic submission of public
comments, with reasonable measures to
ensure the comment process is
accessible to affected persons.
§ 1503.2
Duty to comment.
Cooperating agencies and agencies
that are authorized to develop and
enforce environmental standards shall
comment on statements within their
jurisdiction, expertise, or authority
within the time period specified for
comment in § 1506.11. A Federal agency
may reply that it has no comment. If a
cooperating agency is satisfied that its
views are adequately reflected in the
environmental impact statement, it
should reply that it has no comment.
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§ 1503.3 Specificity of comments and
information.
§ 1503.4
(a) To promote informed decision
making, comments on an environmental
impact statement or on a proposed
action shall be as specific as possible,
may address either the adequacy of the
statement or the merits of the
alternatives discussed or both, and shall
provide as much detail as necessary to
meaningfully participate and fully
inform the agency of the commenter’s
position. Comments should explain why
the issue raised is significant to the
consideration of potential
environmental impacts and alternatives
to the proposed action, as well as
economic and employment impacts, and
other impacts affecting the quality of the
human environment. Comments should
reference the corresponding section or
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page number of the draft environmental
impact statement, propose specific
changes to those parts of the statement,
where possible, and include or describe
the data sources and methodologies
supporting the proposed changes.
(b) Comments on the submitted
alternatives, information, and analyses
section (§ 1502.17) should identify any
additional alternatives, information, or
analyses not included in the draft
environmental impact statement, and
shall be as specific as possible.
Comments on and objections to this
section shall be raised within 30 days of
the publication of the notice of
availability of the final environmental
impact statement. Comments not
provided within 30 days shall be
considered exhausted and forfeited,
consistent with § 1500.3(b).
(c) When a participating agency
criticizes a lead agency’s predictive
methodology, the participating agency
should describe the alternative
methodology which it prefers and why.
(d) A cooperating agency shall specify
in its comments whether it needs
additional information to fulfill other
applicable environmental reviews or
consultation requirements and what
information it needs. In particular, it
shall specify any additional information
it needs to comment adequately on the
draft statement’s analysis of significant
site-specific effects associated with the
granting or approving by that
cooperating agency of necessary Federal
permits, licenses, or authorizations.
(e) When a cooperating agency with
jurisdiction by law specifies mitigation
measures it considers necessary to allow
the agency to grant or approve
applicable permit, license, or related
requirements or concurrences, the
cooperating agency shall cite to its
applicable statutory authority.
Response to comments.
(a) An agency preparing a final
environmental impact statement shall
consider substantive comments timely
submitted during the public comment
period and may respond individually
and collectively. In the final
environmental impact statement, the
agency may:
(1) Modify alternatives including the
proposed action.
(2) Develop and evaluate alternatives
not previously given serious
consideration by the agency.
(3) Supplement, improve, or modify
its analyses.
(4) Make factual corrections.
(5) Explain why the comments do not
warrant further agency response.
(b) All substantive comments received
on the draft statement (or summaries
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thereof where the response has been
exceptionally voluminous), shall be
appended to the final statement or
otherwise published.
(c) If changes in response to
comments are minor and are confined to
the responses described in paragraphs
(a)(4) and (5) of this section, agencies
may write the changes on errata sheets
and attach the responses to the
statement instead of rewriting the draft
statement. In such cases only the
comments, the responses, and the
changes and not the final statement
need be published (§ 1502.20). The
entire document with a new cover sheet
shall be filed with the Environmental
Protection Agency as the final statement
(§ 1506.10).
■ 5. Revise part 1504 to read as follows:
PART 1504—PRE–DECISIONAL
REFERRALS TO THE COUNCIL OF
PROPOSED FEDERAL ACTIONS
DETERMINED TO BE
ENVIRONMENTALLY
UNSATISFACTORY
Sec.
1504.1
1504.2
1504.3
Purpose.
Criteria for referral.
Procedure for referrals and response.
Authority: 42 U.S.C. 4321–4347; 42 U.S.C.
4371–4375; 42 U.S.C. 7609; and E.O. 11514,
35 FR 4247, Mar. 7, 1970, as amended by
E.O. 11991, 42 FR 26967, May 25, 1977.
§ 1504.1
Purpose.
(a) This part establishes procedures
for referring to the Council Federal
interagency disagreements concerning
proposed major Federal actions that
might cause unsatisfactory
environmental effects. It provides means
for early resolution of such
disagreements.
(b) Under section 309 of the Clean Air
Act (42 U.S.C. 7609), the Administrator
of the Environmental Protection Agency
is directed to review and comment
publicly on the environmental impacts
of Federal activities, including actions
for which environmental impact
statements are prepared. If after this
review the Administrator determines
that the matter is ‘‘unsatisfactory from
the standpoint of public health or
welfare or environmental quality,’’
section 309 directs that the matter be
referred to the Council (hereafter
‘‘environmental referrals’’).
(c) Under section 102(2)(C) of NEPA
(42 U.S.C. 4332(2)(C)), other Federal
agencies may produce similar reviews of
environmental impact statements,
including judgments on the
acceptability of anticipated
environmental impacts. These reviews
must be made available to the President,
the Council and the public.
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§ 1504.2
Criteria for referral.
Environmental referrals should be
made to the Council only after
concerted, timely (as early as practicable
in the process), but unsuccessful
attempts to resolve differences with the
lead agency. In determining what
environmental objections to the matter
are appropriate to refer to the Council,
an agency should weigh potential
adverse environmental impacts,
considering:
(a) Possible violation of national
environmental standards or policies.
(b) Severity.
(c) Geographical scope.
(d) Duration.
(e) Importance as precedents.
(f) Availability of environmentally
preferable alternatives.
(g) Economic and technical
considerations, including the economic
costs of delaying or impeding the
decision making of the agencies
involved in the action.
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§ 1504.3 Procedure for referrals and
response.
(a) A Federal agency making the
referral to the Council shall:
(1) Advise the lead agency at the
earliest possible time that it intends to
refer a matter to the Council unless a
satisfactory agreement is reached.
(2) Include such advice whenever
practicable in the referring agency’s
comments on the environmental
assessment or draft environmental
impact statement.
(3) Identify any essential information
that is lacking and request that the lead
agency make it available at the earliest
possible time.
(4) Send copies of such advice to the
Council.
(b) The referring agency shall deliver
its referral to the Council no later than
25 days after the lead agency has made
the final environmental impact
statement available to the
Environmental Protection Agency,
participating agencies, and the public,
and in the case of an environmental
assessment, no later than 25 days after
the lead agency makes it available.
Except when the lead agency grants an
extension of this period, the Council
will not accept a referral after that date.
(c) The referral shall consist of:
(1) A copy of the letter signed by the
head of the referring agency and
delivered to the lead agency informing
the lead agency of the referral and the
reasons for it.
(2) A statement supported by factual
evidence leading to the conclusion that
the matter is unsatisfactory from the
standpoint of public health or welfare or
environmental quality. The statement
shall:
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(i) Identify any disputed material facts
and incorporate (by reference if
appropriate) agreed upon facts;
(ii) Identify any existing
environmental requirements or policies
which would be violated by the matter;
(iii) Present the reasons for the
referral;
(ii) Contain a finding by the agency
whether the issue raised is of national
importance because of the threat to
national environmental resources or
policies or for some other reason;
(iii) Review the steps taken by the
referring agency to bring its concerns to
the attention of the lead agency at the
earliest possible time; and
(iv) Give the referring agency’s
recommendations as to what mitigation
alternative, further study, or other
course of action (including
abandonment of the matter) are
necessary to remedy the situation.
(d) No later than 25 days after the
referral to the Council, the lead agency
may deliver a response to the Council
and the referring agency. If the lead
agency requests more time and gives
assurance that the matter will not go
forward in the interim, the Council may
grant an extension. The response shall:
(1) Address fully the issues raised in
the referral.
(2) Be supported by evidence and
explanations, as appropriate.
(3) Give the lead agency’s response to
the referring agency’s recommendations.
(e) Applicants may provide views in
writing to the Council no later than the
response.
(f) No later than 25 days after receipt
of both the referral and any response or
upon being informed that there will be
no response (unless the lead agency
agrees to a longer time), the Council
may take one or more of the following
actions:
(1) Conclude that the process of
referral and response has successfully
resolved the problem.
(2) Initiate discussions with the
agencies with the objective of mediation
with referring and lead agencies.
(3) Obtain additional views and
information.
(4) Determine that the issue is not one
of national importance and request the
referring and lead agencies to pursue
their decision process.
(5) Determine that the issue should be
further negotiated by the referring and
lead agencies and is not appropriate for
Council consideration until one or more
heads of agencies report to the Council
that the agencies’ disagreements are
irreconcilable.
(6) Publish its findings and
recommendations (including where
appropriate a finding that the submitted
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evidence does not support the position
of an agency).
(7) When appropriate, submit the
referral and the response together with
the Council’s recommendation to the
President for action.
(g) The Council shall take no longer
than 60 days to complete the actions
specified in paragraph (f)(2), (3), or (5)
of this section.
(h) The referral process is not
intended to create any private rights of
action or to be judicially reviewable
because any voluntary resolutions by
the agency parties do not represent final
agency action and instead are only
provisional and dependent on later
consistent action by the action agencies.
■ 6. Revise part 1505 to read as follows:
PART 1505—NEPA AND AGENCY
DECISION MAKING
Sec.
1505.1 [Reserved]
1505.2 Record of decision in cases requiring
environmental impact statements.
1505.3 Implementing the decision.
Authority: 42 U.S.C. 4321–4347; 42 U.S.C.
4371–4375; 42 U.S.C. 7609; E.O. 11514, 35
FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O.
13807, 82 FR 40463, Aug. 24, 2017.
§ 1505.1
[Reserved]
§ 1505.2 Record of decision in cases
requiring environmental impact statements.
At the time of its decision (§ 1506.11)
or, if appropriate, its recommendation to
Congress, each agency shall prepare and
timely publish a concise public record
of decision or joint record of decision.
The record, which each agency may
integrate into any other record it
prepares, shall:
(a) State the decision.
(b) Identify all alternatives considered
by the agency in reaching its decision,
specifying the alternative or alternatives
which were considered to be
environmentally preferable. An agency
may discuss preferences among
alternatives based on relevant factors
including economic and technical
considerations and agency statutory
missions. An agency shall identify and
discuss all such factors, including any
essential considerations of national
policy which were balanced by the
agency in making its decision and state
how those considerations entered into
its decision.
(c) State whether the agency has
adopted all practicable means to avoid
or minimize environmental harm from
the alternative selected, and if not, why
the agency did not. The agency shall
adopt and summarize, where applicable,
a monitoring and enforcement program
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for any enforceable mitigation
requirements or commitments.
(d) Address any comments or
objections received on the final
environmental impact statement’s
submitted alternatives, information, and
analyses section.
(e) Include the decision maker’s
certification regarding the agency’s
consideration of the submitted
alternatives, information, and analyses
submitted by public commenters
(§§ 1502.17 and 1502.18).
§ 1505.3
Implementing the decision.
Agencies may provide for monitoring
to assure that their decisions are carried
out and should do so in important cases.
Mitigation (§ 1505.2(c)) and other
conditions established in the
environmental impact statement or
during its review and committed as part
of the decision shall be implemented by
the lead agency or other appropriate
consenting agency. The lead agency
shall:
(a) Include appropriate conditions in
grants, permits or other approvals.
(b) Condition funding of actions on
mitigation.
(c) Upon request, inform cooperating
or participating agencies on progress in
carrying out mitigation measures which
they have proposed and which were
adopted by the agency making the
decision.
(d) Upon request, publish the results
of relevant monitoring.
■ 7. Revise part 1506 to read as follows:
PART 1506—OTHER REQUIREMENTS
OF NEPA
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Sec.
1506.1 Limitations on actions during NEPA
process.
1506.2 Elimination of duplication with
State, Tribal, and local procedures.
1506.3 Adoption.
1506.4 Combining documents.
1506.5 Agency responsibility for
environmental documents.
1506.6 Public involvement.
1506.7 Further guidance.
1506.8 Proposals for legislation.
1506.9 Proposals for regulations.
1506.10 Filing requirements.
1506.11 Timing of agency action.
1506.12 Emergencies.
1506.13 Effective date.
Authority: 42 U.S.C. 4321–4347; 42 U.S.C.
4371–4375; 42 U.S.C. 7609; E.O. 11514, 35
FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O.
13807, 82 FR 40463, Aug. 24, 2017.
§ 1506.1 Limitations on actions during
NEPA process.
(a) Except as provided in paragraphs
(b) and (c) of this section, until an
agency issues a finding of no significant
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impact, as provided in § 1501.6, or
record of decision, as provided in
§ 1505.2, no action concerning the
proposal may be taken which would:
(1) Have an adverse environmental
impact; or
(2) Limit the choice of reasonable
alternatives.
(b) If any agency is considering an
application from a non-Federal entity,
and is aware that the applicant is about
to take an action within the agency’s
jurisdiction that would meet either of
the criteria in paragraph (a) of this
section, then the agency shall promptly
notify the applicant that the agency will
take appropriate action to ensure that
the objectives and procedures of NEPA
are achieved. This section does not
preclude development by applicants of
plans or designs or performance of other
activities necessary to support an
application for Federal, State, Tribal, or
local permits or assistance. An agency
considering a proposed action for
Federal funding may authorize such
activities, including, but not limited to,
acquisition of interests in land (e.g., fee
simple, rights-of-way, and conservation
easements), purchase of long lead-time
equipment, and purchase options made
by applicants.
(c) While work on a required
programmatic environmental impact
statement or environmental assessment
is in progress and the action is not
covered by an existing programmatic
statement, agencies shall not undertake
in the interim any major Federal action
covered by the program which may
significantly affect the quality of the
human environment unless such action:
(1) Is justified independently of the
program;
(2) Is itself accompanied by an
adequate environmental impact
statement; and
(3) Will not prejudice the ultimate
decision on the program. Interim action
prejudices the ultimate decision on the
program when it tends to determine
subsequent development or limit
alternatives.
§ 1506.2 Elimination of duplication with
State, Tribal, and local procedures.
(a) Federal agencies are authorized to
cooperate with State, Tribal, and local
agencies that are responsible for
preparing environmental documents,
including those prepared pursuant to
section 102(2)(D) of NEPA.
(b) Agencies shall cooperate with
State, Tribal, and local agencies to the
fullest extent practicable to reduce
duplication between NEPA and State,
Tribal, and local requirements,
including through use of environmental
studies, analysis, and decisions
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conducted in support of Federal, State,
Tribal, or local environmental reviews
or authorization decisions, unless the
agencies are specifically barred from
doing so by some other law. Except for
cases covered by paragraph (a) of this
section, such cooperation shall to the
fullest extent practicable include:
(1) Joint planning processes.
(2) Joint environmental research and
studies.
(3) Joint public hearings (except
where otherwise provided by statute).
(4) Joint environmental assessments.
(c) Agencies shall cooperate with
State, Tribal, and local agencies to the
fullest extent practicable to reduce
duplication between NEPA and
comparable State, Tribal, and local
requirements, unless the agencies are
specifically barred from doing so by
some other law. Except for cases
covered by paragraph (a) of this section,
such cooperation shall include, to the
fullest extent practicable, joint
environmental impact statements. In
such cases one or more Federal agencies
and one or more State, Tribal, or local
agencies shall be joint lead agencies.
Where State or Tribal laws or local
ordinances have environmental impact
statement or similar requirements in
addition to but not in conflict with
those in NEPA, Federal agencies may
cooperate in fulfilling these
requirements, as well as those of Federal
laws, so that one document will comply
with all applicable laws.
(d) To better integrate environmental
impact statements into State, Tribal, or
local planning processes, environmental
impact statements shall discuss any
inconsistency of a proposed action with
any approved State, Tribal, or local plan
or law (whether or not federally
sanctioned). Where an inconsistency
exists, the statement should describe the
extent to which the agency would
reconcile its proposed action with the
plan or law. While the statement should
discuss any inconsistencies, NEPA does
not require reconciliation.
§ 1506.3
Adoption.
(a) An agency may adopt a Federal
environmental assessment, draft or final
environmental impact statement, or
portion thereof, provided that the
assessment, statement, or portion
thereof meets the standards for an
adequate assessment or statement under
the regulations in parts 1500 through
1508.
(b) If the actions covered by the
original environmental impact
statement and the proposed action are
substantially the same, the agency
adopting another agency’s statement
shall republish it as a final statement.
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Otherwise, the adopting agency shall
treat the statement as a draft and
republish it (except as provided in
paragraph (c) of this section), consistent
with § 1506.10.
(c) A cooperating agency may adopt in
its record of decision without
republishing the environmental impact
statement of a lead agency when, after
an independent review of the statement,
the cooperating agency concludes that
its comments and suggestions have been
satisfied.
(d) If the actions covered by the
original environmental assessment and
the proposed action are substantially the
same, an agency may adopt another
agency’s environmental assessment in
its finding of no significant impact and
provide notice consistent with § 1501.6.
(e) The adopting agency shall specify
if one of the following circumstances are
present:
(1) The agency is adopting an
assessment or statement that is not final
within the agency that prepared it.
(2) The action assessed in the
assessment or statement is the subject of
a referral under part 1504.
(3) The assessment or statement’s
adequacy is the subject of a judicial
action that is not final.
(f) An agency may adopt another
agency’s determination that a
categorical exclusion applies to a
proposed action if the adopting agency’s
proposed action is substantially the
same.
§ 1506.4
Combining documents.
Agencies should combine, to the
fullest extent practicable, any
environmental document with any other
agency document to reduce duplication
and paperwork.
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§ 1506.5 Agency responsibility for
environmental documents.
(a) Information. If an agency requires
an applicant to submit environmental
information for possible use by the
agency in preparing an environmental
document, then the agency should assist
the applicant by outlining the types of
information required. The agency shall
independently evaluate the information
submitted and shall be responsible for
its accuracy. If the agency chooses to
use the information submitted by the
applicant in the environmental
document, either directly or by
reference, then the names of the persons
responsible for the independent
evaluation shall be included in the list
of preparers (§ 1502.19). It is the intent
of this paragraph that acceptable work
not be redone, but that it be verified by
the agency.
(b) Environmental assessments. If an
agency permits an applicant to prepare
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an environmental assessment, the
agency, besides fulfilling the
requirements of paragraph (a) of this
section, shall make its own evaluation
of the environmental issues and take
responsibility for the scope and content
of the environmental assessment.
(c) Environmental impact statements.
Except as provided in §§ 1506.2 and
1506.3, the lead agency, a contractor or
applicant under the direction of the lead
agency, or a cooperating agency, where
appropriate (§ 1501.8(b)), may prepare
an environmental impact statement
pursuant to the requirements of NEPA.
(1) If a contractor or applicant
prepares the document, the responsible
Federal official shall provide guidance,
participate in its preparation,
independently evaluate it prior to its
approval, and take responsibility for its
scope and contents.
(2) Nothing in this section is intended
to prohibit any agency from requesting
any person, including the applicant, to
submit information to it or to prohibit
any person from submitting information
to any agency for use in preparing
environmental documents.
§ 1506.6
Public involvement.
Agencies shall:
(a) Make diligent efforts to involve the
public in preparing and implementing
their NEPA procedures (§ 1507.3).
(b) Provide public notice of NEPArelated hearings, public meetings, and
other opportunities for public
engagement, and the availability of
environmental documents so as to
inform those persons and agencies who
may be interested or affected by their
proposed actions.
(1) In all cases, the agency shall notify
those who have requested notice on an
individual action.
(2) In the case of an action with effects
of national concern, notice shall include
publication in the Federal Register. An
agency may notify organizations that
have requested regular notice. Agencies
shall maintain a list of such
organizations.
(3) In the case of an action with effects
primarily of local concern, the notice
may include:
(i) Notice to State and local agencies
that may be interested or affected by the
proposed action.
(ii) Notice to affected Tribal
governments.
(iii) Following the affected State or
Tribe’s public notice procedures for
comparable actions.
(iv) Publication in local newspapers
(in papers of general circulation rather
than legal papers).
(v) Notice through other local media.
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(vi) Notice to potentially interested
community organizations including
small business associations.
(vii) Publication in newsletters that
may be expected to reach potentially
interested persons.
(viii) Direct mailing to owners and
occupants of nearby or affected
property.
(ix) Posting of notice on and off site
in the area where the action is to be
located.
(x) Notice through electronic media
(e.g., a project or agency website, email,
or social media). For actions occurring
in whole or part in an area with limited
access to high-speed internet, public
notification may not be limited to solely
electronic methods.
(c) Hold or sponsor public hearings,
public meetings, or other opportunities
for public engagement whenever
appropriate or in accordance with
statutory requirements applicable to the
agency. Agencies may conduct public
hearings and public meetings by means
of electronic communication except
where another format is required by
law.
(d) Solicit appropriate information
from the public.
(e) Explain in its procedures where
interested persons can get information
or status reports on environmental
impact statements and other elements of
the NEPA process.
(f) Make environmental impact
statements, the comments received, and
any underlying documents available to
the public pursuant to the provisions of
the Freedom of Information Act, as
amended (5 U.S.C. 552).
§ 1506.7
Further guidance.
The Council may provide further
guidance concerning NEPA and its
procedures consistent with Executive
Order 13807, Establishing Discipline
and Accountability in the
Environmental Review and Permitting
Process for Infrastructure Projects
(August 5, 2017), Executive Order
13891, Promoting the Rule of Law
Through Improved Agency Guidance
Documents (October 9, 2019), and any
other applicable Executive orders.
§ 1506.8
Proposals for legislation.
(a) When developing or providing
significant cooperation and support in
the development of legislation, agencies
shall integrate the NEPA process for
proposals for legislation significantly
affecting the quality of the human
environment with the legislative process
of the Congress. The test for significant
cooperation is whether the proposal is
in fact predominantly that of the agency
rather than another source. Drafting
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does not by itself constitute significant
cooperation. Only the agency which has
primary responsibility for the subject
matter involved will prepare a
legislative environmental impact
statement.
(b) A legislative environmental impact
statement is the detailed statement
required by law to be included in a
recommendation or report on a
legislative proposal to Congress. A
legislative environmental impact
statement shall be considered part of the
formal transmittal of a legislative
proposal to Congress; however, it may
be transmitted to Congress up to 30 days
later in order to allow time for
completion of an accurate statement that
can serve as the basis for public and
Congressional debate. The statement
must be available in time for
Congressional hearings and
deliberations.
(c) Preparation of a legislative
environmental impact statement shall
conform to the requirements of the
regulations in parts 1500 through 1508,
except as follows:
(1) There need not be a scoping
process.
(2) Agencies shall prepare the
legislative statement in the same
manner as a draft environmental impact
statement and need not prepare a final
statement unless any of the following
conditions exist. In such cases, the
agency shall prepare and publish the
statements consistent with §§ 1503.1
and 1506.11:
(i) A Congressional committee with
jurisdiction over the proposal has a rule
requiring both draft and final
environmental impact statements.
(ii) The proposal results from a study
process required by statute (such as
those required by the Wild and Scenic
Rivers Act (16 U.S.C. 1271 et seq.) and
the Wilderness Act (16 U.S.C. 1131 et
seq.)).
(iii) Legislative approval is sought for
Federal or federally assisted
construction or other projects which the
agency recommends be located at
specific geographic locations. For
proposals requiring an environmental
impact statement for the acquisition of
space by the General Services
Administration, a draft statement shall
accompany the Prospectus or the 11(b)
Report of Building Project Surveys to
the Congress, and a final statement shall
be completed before site acquisition.
(iv) The agency decides to prepare
draft and final statements.
(d) Comments on the legislative
statement shall be given to the lead
agency which shall forward them along
with its own responses to the
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Congressional committees with
jurisdiction.
§ 1506.9
Proposals for regulations.
(a) Where the proposal for major
Federal action is the promulgation of a
rule or regulation, analyses prepared
pursuant to other statutory or Executive
order requirements may serve as the
functional equivalent of the EIS and be
sufficient to comply with NEPA.
(b) To determine that an analysis
serves as the functional equivalent of an
EIS, an agency shall find that:
(1) There are substantive and
procedural standards that ensure full
and adequate consideration of
environmental issues;
(2) There is public participation
before a final alternative is selected; and
(3) A purpose of the analysis that the
agency is conducting is to examine
environmental issues.
§ 1506.10
Filing requirements.
(a) Environmental impact statements
together with comments and responses
shall be filed with the Environmental
Protection Agency, Office of Federal
Activities, consistent with EPA’s
procedures.
(b) Statements shall be filed with the
EPA no earlier than they are also
transmitted to participating agencies
and made available to the public. EPA
may issue guidelines to agencies to
implement its responsibilities under
this section and § 1506.11.
§ 1506.11
Timing of agency action.
(a) The Environmental Protection
Agency shall publish a notice in the
Federal Register each week of the
environmental impact statements filed
since its prior notice. The minimum
time periods set forth in this section
shall be calculated from the date of
publication of this notice.
(b) Unless otherwise provided by law,
including statutory provisions for
combining a final environmental impact
statement and record of decision,
Federal agencies may not make or issue
a record of decision under § 1505.2 for
the proposed action until the later of the
following dates:
(1) 90 days after publication of the
notice described above in paragraph (a)
of this section for a draft environmental
impact statement.
(2) 30 days after publication of the
notice described above in paragraph (a)
of this section for a final environmental
impact statement.
(c) An agency may make an exception
to the rule on timing set forth in
paragraph (b) of this section for a
proposed action in the following
circumstances.
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(1) Some agencies have a formally
established appeal process which allows
other agencies or the public to take
appeals on a decision and make their
views known, after publication of the
final environmental impact statement.
In such cases, where a real opportunity
exists to alter the decision, the decision
may be made and recorded at the same
time the environmental impact
statement is published. This means that
the period for appeal of the decision and
the 30-day period set forth in paragraph
(b)(2) of this section may run
concurrently. In such cases, the
environmental impact statement shall
explain the timing and the public’s right
of appeal and provide notification
consistent with § 1506.10.
(2) An agency engaged in rulemaking
under the Administrative Procedure Act
or other statute for the purpose of
protecting the public health or safety
may waive the time period in paragraph
(b)(2) of this section, publish a decision
on the final rule simultaneously with
publication of the notice of the
availability of the final environmental
impact statement and provide
notification consistent with § 1506.10,
as described in paragraph (a) of this
section.
(d) If an agency files the final
environmental impact statement within
90 days of the filing of the draft
environmental impact statement with
the Environmental Protection Agency,
the decision-making period and the 90day period may run concurrently.
However, subject to paragraph (e) of this
section, agencies shall allow at least 45
days for comments on draft statements.
(e) The lead agency may extend the
minimum periods in paragraph (b) of
this section and provide notification
consistent with § 1506.10. The
Environmental Protection Agency may
upon a showing by the lead agency of
compelling reasons of national policy
reduce the minimum periods and may
upon a showing by any other Federal
agency of compelling reasons of
national policy also extend the
minimum periods, but only after
consultation with the lead agency. The
lead agency may modify the minimum
periods when necessary to comply with
other specific statutory requirements.
(§ 1507.3(e)(2)) Failure to file timely
comments shall not be a sufficient
reason for extending a period. If the lead
agency does not concur with the
extension of time, EPA may not extend
it for more than 30 days. When the
Environmental Protection Agency
reduces or extends any period of time it
shall notify the Council.
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§ 1506.12
Emergencies.
Where emergency circumstances
make it necessary to take an action with
significant environmental impact
without observing the provisions of the
regulations in parts 1500 through 1508,
the Federal agency taking the action
should consult with the Council about
alternative arrangements for compliance
with section 102(2)(C) of NEPA.
Agencies and the Council will limit
such arrangements to actions necessary
to control the immediate impacts of the
emergency. Other actions remain subject
to NEPA review.
§ 1506.13
Effective date.
The regulations in parts 1500 through
1508 apply to any NEPA process begun
after [EFFECTIVE DATE OF FINAL
RULE]. An agency may apply these
regulations to ongoing activities and
environmental documents begun before
[EFFECTIVE DATE OF FINAL RULE].
■ 8. Revise part 1507 to read as follows:
PART 1507—AGENCY COMPLIANCE
Sec.
1507.1
1507.2
1507.3
1507.4
Compliance.
Agency capability to comply.
Agency NEPA procedures.
Agency NEPA program information.
Authority: 42 U.S.C. 4321–4347; 42 U.S.C.
4371–4375; 42 U.S.C. 7609; E.O. 11514, 35
FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O.
13807, 82 FR 40463, Aug. 24, 2017.
§ 1507.1
Compliance.
All agencies of the Federal
Government shall comply with the
regulations in parts 1500 through 1508.
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§ 1507.2
Agency capability to comply.
Each agency shall be capable (in terms
of personnel and other resources) of
complying with the requirements of
NEPA and the regulations in parts 1500
through 1508. Such compliance may
include use of the resources of other
agencies, applicants, and other
participants in the NEPA process, but
the using agency shall itself have
sufficient capability to evaluate what
others do for it and account for the
contributions of others. Agencies shall:
(a) Fulfill the requirements of section
102(2)(A) of NEPA to utilize a
systematic, interdisciplinary approach
which will ensure the integrated use of
the natural and social sciences and the
environmental design arts in planning
and in decision making which may have
an impact on the human environment.
Agencies shall designate a senior agency
official to be responsible for overall
review of agency NEPA compliance.
(b) Identify methods and procedures
required by section 102(2)(B) of NEPA
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to ensure that presently unquantified
environmental amenities and values
may be given appropriate consideration.
(c) Prepare adequate environmental
impact statements pursuant to section
102(2)(C) of NEPA and cooperate on the
development of statements in the areas
where the agency has jurisdiction by
law or special expertise or is authorized
to develop and enforce environmental
standards.
(d) Study, develop, and describe
alternatives to recommended courses of
action in any proposal which involves
unresolved conflicts concerning
alternative uses of available resources.
This requirement of section 102(2)(E) of
NEPA extends to all such proposals, not
just the more limited scope of section
102(2)(C)(iii) of NEPA where the
discussion of alternatives is confined to
impact statements.
(e) Comply with the requirements of
section 102(2)(H) of NEPA that the
agency initiate and utilize ecological
information in the planning and
development of resource-oriented
projects.
(f) Fulfill the requirements of sections
102(2)(F), 102(2)(G), and 102(2)(I), of
NEPA, Executive Order 11514,
Protection and Enhancement of
Environmental Quality, section 2, as
amended by Executive Order 11991,
Relating to Protection and Enhancement
of Environmental Quality, and
Executive Order 13807, Establishing
Discipline and Accountability in the
Environmental Review and Permitting
for Infrastructure Projects.
§ 1507.3
Agency NEPA procedures.
(a) No more than 12 months after
[PUBLICATION DATE OF FINAL
RULE] in the Federal Register, or 9
months after the establishment of an
agency, whichever comes later, each
agency shall develop or revise, as
necessary, proposed procedures to
implement the regulations in parts 1500
through 1508, including to eliminate
any inconsistencies with these
regulations. When the agency is a
department, major subunits are
encouraged (with the consent of the
department) to adopt their own
procedures. Except as otherwise
provided by law or for agency
efficiency, agency NEPA procedures
shall not impose additional procedures
or requirements beyond those set forth
in these regulations.
(1) Each agency shall consult with the
Council while developing or revising its
proposed procedures and before
publishing them in the Federal Register
for comment. Agencies with similar
programs should consult with each
other and the Council to coordinate
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1727
their procedures, especially for
programs requesting similar information
from applicants.
(2) Agencies shall provide an
opportunity for public review and
review by the Council for conformity
with the Act and the regulations in parts
1500 through 1508 before adopting their
final procedures. The Council shall
complete its review within 30 days of
the receipt of the proposed final
procedures. Once in effect, the agency
shall publish its NEPA procedures and
ensure that they are readily available to
the public.
(b) Agencies shall adopt, as necessary,
agency NEPA procedures to improve
agency efficiency and ensure that
decisions are made in accordance with
the Act’s procedural requirements. Such
procedures shall include, but not be
limited to:
(1) Implementing procedures under
section 102(2) of NEPA to achieve the
requirements of sections 101 and 102(1).
(2) Designating the major decision
points for the agency’s principal
programs likely to have a significant
effect on the human environment and
assuring that the NEPA process
corresponds with them.
(3) Requiring that relevant
environmental documents, comments,
and responses be part of the record in
formal rulemaking or adjudicatory
proceedings.
(4) Requiring that relevant
environmental documents, comments,
and responses accompany the proposal
through existing agency review
processes so that decision makers use
the statement in making decisions.
(5) Requiring that the alternatives
considered by the decision maker are
encompassed by the range of
alternatives discussed in the relevant
environmental documents and that the
decision maker consider the alternatives
described in the environmental impact
statement. If another decision document
accompanies the relevant environmental
documents to the decision maker,
agencies are encouraged to make
available to the public before the
decision is made any part of that
document that relates to the comparison
of alternatives.
(6) Requiring the combination of
environmental documents with other
agency documents, and may include
designation of analyses or processes that
shall serve the function of agency
compliance with NEPA and the
regulations in parts 1500 through 1508.
To determine that an analysis
individually or analyses in the aggregate
serve as the functional equivalent of an
EIS, an agency shall find that:
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(i) There are substantive and
procedural standards that ensure full
and adequate consideration of
environmental issues;
(ii) There is public participation
before a final alternative is selected; and
(iii) A purpose of the analysis that the
agency is conducting is to examine
environmental issues.
(c) Agency procedures may include
identification of actions that are not
subject to NEPA, including:
(1) Non-major Federal actions;
(2) Actions that are non-discretionary
actions, in whole or in part;
(3) Actions expressly exempt from
NEPA under another statute;
(4) Actions for which compliance
with NEPA would clearly and
fundamentally conflict with the
requirements of another statute; and
(5) Actions for which compliance
with NEPA would be inconsistent with
Congressional intent due to the
requirements of another statute.
(d) Agency procedures shall comply
with the regulations in parts 1500
through 1508 except where compliance
would be inconsistent with statutory
requirements and shall include:
(1) Those procedures required by
§§ 1501.2(b)(4) (assistance to
applicants), and 1506.6(e) (status
information).
(2) Specific criteria for and
identification of those typical classes of
action:
(i) Which normally do require
environmental impact statements.
(ii) Which normally do not require
either an environmental impact
statement or an environmental
assessment and do not have a significant
effect on the human environment
(categorical exclusions (§ 1501.4)). Any
procedures under this section shall
provide for extraordinary circumstances
in which a normally excluded action
may have a significant environmental
effect. Agency NEPA procedures shall
identify where documentation of a
categorical exclusion determination is
required.
(iii) Which normally require
environmental assessments but not
necessarily environmental impact
statements.
(3) Procedures for introducing a
supplement to an environmental
assessment or environmental impact
statement into its formal administrative
record, if such a record exists.
(e) Agency procedures may:
(1) Include specific criteria for
providing limited exceptions to the
provisions of the regulations in parts
1500 through 1508 for classified
proposals. These are proposed actions
that are specifically authorized under
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criteria established by an Executive
Order or statute to be kept secret in the
interest of national defense or foreign
policy and are in fact properly classified
pursuant to such Executive Order or
statute. Agencies may safeguard and
restrict from public dissemination
environmental assessments and
environmental impact statements that
address classified proposals in
accordance with agencies’ own
regulations applicable to classified
information. Agencies should organize
these documents so that classified
portions are included as annexes, so
that the agencies can make the
unclassified portions available to the
public.
(2) Provide for periods of time other
than those presented in § 1506.11 when
necessary to comply with other specific
statutory requirements.
(3) Provide that where there is a
lengthy period between the agency’s
decision to prepare an environmental
impact statement and the time of actual
preparation, the agency may publish the
notice of intent required by § 1501.9 at
a reasonable time in advance of
preparation of the draft statement.
Agency procedures shall provide for
publication of supplemental notices to
inform the public of a pause in its
preparation of an environmental impact
statement and for any agency decision
to withdraw its notice of intent to
prepare an environmental impact
statement.
(4) Adopt procedures to combine its
environmental assessment process with
its scoping process.
(5) Provide for a process where the
agency may consult with and apply a
categorical exclusion listed in another
agency’s NEPA procedures to its
proposed action by establishing a
process that ensures application of the
categorical exclusion is appropriate.
§ 1507.4 Agency NEPA program
information.
(a) To allow agencies and the public
to efficiently and effectively access
information about NEPA reviews,
agencies shall provide for agency
websites or other means to make
available environmental documents,
relevant notices, and other relevant
information for use by agencies,
applicants, and interested persons. Such
means of publication may include:
(1) Agency planning and
environmental documents that guide
agency management and provide for
public involvement in agency planning
processes;
(2) A directory of pending and final
environmental documents;
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(3) Agency policy documents, orders,
terminology, and explanatory materials
regarding agency decision-making
processes;
(4) Agency planning program
information, plans, and planning tools;
and
(5) A database searchable by
geographic information, document
status, document type, and project type.
(b) Agencies shall provide for efficient
and effective interagency coordination
of their environmental program
websites, including use of shared
databases or application programming
interface, in their implementation of
NEPA and related authorities.
■ 9. Revise part 1508 to read as follows:
PART 1508—DEFINITIONS
Authority: 42 U.S.C. 4321–4347; 42 U.S.C.
4371–4375; 42 U.S.C. 7609; E.O. 11514, 35
FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O.
13807, 82 FR 40463, Aug. 24, 2017.
§ 1508.1
Definitions.
The following definitions apply to the
regulations in parts 1500 through 1508.
Federal agencies shall use these terms
uniformly throughout the Federal
Government.
(a) Act or NEPA means the National
Environmental Policy Act, as amended
(42 U.S.C. 4321, et seq.).
(b) Affecting means will or may have
an effect on.
(c) Authorization means any license,
permit, approval, finding,
determination, or other administrative
decision issued by an agency that is
required or authorized under Federal
law in order to implement a proposed
action.
(d) Categorical exclusion means a
category of actions which the agency
has determined in its agency NEPA
procedures (§ 1507.3) normally do not
have a significant effect on the human
environment.
(e) Cooperating agency means any
Federal agency (and a State, Tribal, or
local agency with agreement of the lead
agency) other than a lead agency which
has jurisdiction by law or special
expertise with respect to any
environmental impact involved in a
proposal (or a reasonable alternative) for
legislation or other major Federal action
significantly affecting the quality of the
human environment.
(f) Council means the Council on
Environmental Quality established by
title II of the Act.
(g) Effects or impacts means effects of
the proposed action or alternatives that
are reasonably foreseeable and have a
reasonably close causal relationship to
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the proposed action or alternatives.
Effects include reasonably foreseeable
effects that occur at the same time and
place and may include reasonably
foreseeable effects that are later in time
or farther removed in distance.
(1) Effects include ecological (such as
the effects on natural resources and on
the components, structures, and
functioning of affected ecosystems),
aesthetic, historic, cultural, economic
(such as the effects on employment),
social, or health effects. Effects may also
include those resulting from actions that
may have both beneficial and
detrimental effects, even if on balance
the agency believes that the effect will
be beneficial.
(2) A ‘‘but for’’ causal relationship is
insufficient to make an agency
responsible for a particular effect under
NEPA. Effects should not be considered
significant if they are remote in time,
geographically remote, or the product of
a lengthy causal chain. Effects do not
include effects that the agency has no
ability to prevent due to its limited
statutory authority or would occur
regardless of the proposed action.
Analysis of cumulative effects is not
required.
(h) Environmental assessment means
a concise public document prepared by
a Federal agency to aid an agency’s
compliance with the Act and support its
determination of whether to prepare an
environmental impact statement or
finding of no significant impact, as
provided in § 1501.6.
(i) Environmental document means an
environmental assessment,
environmental impact statement,
finding of no significant impact, or
notice of intent.
(j) Environmental impact statement
means a detailed written statement as
required by section 102(2)(C) of NEPA.
(k) Federal agency means all agencies
of the Federal Government. It does not
mean the Congress, the Judiciary, or the
President, including the performance of
staff functions for the President in his
Executive Office. It also includes, for
purposes of the regulations in parts
1500 through 1508, States, units of
general local government, and Tribal
governments assuming NEPA
responsibilities from a Federal agency
pursuant to statute.
(l) Finding of no significant impact
means a document by a Federal agency
briefly presenting the reasons why an
action, not otherwise categorically
excluded (§ 1501.4), will not have a
significant effect on the human
environment and for which an
environmental impact statement
therefore will not be prepared.
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(m) Human environment means
comprehensively the natural and
physical environment and the
relationship of present and future
generations of Americans with that
environment. (See the definition of
‘‘effects.’’)
(n) Jurisdiction by law means agency
authority to approve, veto, or finance all
or part of the proposal.
(o) Lead agency means the agency or
agencies, in the case of joint lead
agencies, preparing or having taken
primary responsibility for preparing the
environmental impact statement.
(p) Legislation means a bill or
legislative proposal to Congress
developed by or with the significant
cooperation and support of a Federal
agency, but does not include requests
for appropriations or legislation
recommended by the President.
(q) Major Federal action or action
means an action subject to Federal
control and responsibility with effects
that may be significant. Major Federal
action does not include nondiscretionary decisions made in
accordance with the agency’s statutory
authority or activities that do not result
in final agency action under the
Administrative Procedure Act. Major
Federal action also does not include
non-Federal projects with minimal
Federal funding or minimal Federal
involvement where the agency cannot
control the outcome of the project.
(1) Major Federal actions may include
new and continuing activities, including
projects and programs entirely or partly
financed, assisted, conducted, regulated,
or approved by Federal agencies; new or
revised agency rules, regulations, plans,
policies, or procedures; and legislative
proposals (§ 1506.8). Actions do not
include funding assistance solely in the
form of general revenue sharing funds
with no Federal agency control over the
subsequent use of such funds. Actions
do not include loans, loan guarantees, or
other forms of financial assistance
where the Federal agency does not
exercise sufficient control and
responsibility over the effects of the
action. Actions do not include farm
ownership and operating loan
guarantees by the Farm Service Agency
pursuant to 7 U.S.C. 1925 and 1941
through 1949 and business loan
guarantees by the Small Business
Administration pursuant to 15 U.S.C.
636(a), 636(m), and 695 through 697f.
Actions do not include bringing judicial
or administrative civil or criminal
enforcement actions.
(2) Major Federal actions tend to fall
within one of the following categories:
(i) Adoption of official policy, such as
rules, regulations, and interpretations
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adopted pursuant to the Administrative
Procedure Act, 5 U.S.C. 551 et seq.;
implementation of treaties and
international conventions or
agreements; formal documents
establishing an agency’s policies which
will result in or substantially alter
agency programs.
(ii) Adoption of formal plans, such as
official documents prepared or
approved by Federal agencies which
prescribe alternative uses of Federal
resources, upon which future agency
actions will be based.
(iii) Adoption of programs, such as a
group of concerted actions to implement
a specific policy or plan; systematic and
connected agency decisions allocating
agency resources to implement a
specific statutory program or executive
directive.
(iv) Approval of specific projects,
such as construction or management
activities located in a defined
geographic area. Projects include actions
approved by permit or other regulatory
decision as well as Federal and federally
assisted activities.
(r) Matter includes for purposes of
part 1504:
(1) With respect to the Environmental
Protection Agency, any proposed
legislation, project, action or regulation
as those terms are used in section 309(a)
of the Clean Air Act (42 U.S.C. 7609).
(2) With respect to all other agencies,
any proposed major Federal action to
which section 102(2)(C) of NEPA
applies.
(s) Mitigation means measures that
avoid, minimize, or compensate for
reasonably foreseeable impacts to the
human environment caused by a
proposed action as described in an
environmental document or record of
decision and that have a nexus to the
effects of a proposed action. While
NEPA requires consideration of
mitigation, it does not mandate the form
or adoption of any mitigation.
Mitigation includes:
(1) Avoiding the impact altogether by
not taking a certain action or parts of an
action.
(2) Minimizing impacts by limiting
the degree or magnitude of the action
and its implementation.
(3) Rectifying the impact by repairing,
rehabilitating, or restoring the affected
environment.
(4) Reducing or eliminating the
impact over time by preservation and
maintenance operations during the life
of the action.
(5) Compensating for the impact by
replacing or providing substitute
resources or environments.
(t) NEPA process means all measures
necessary for compliance with the
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requirements of section 2 and title I of
NEPA.
(u) Notice of intent means a public
notice that an agency will prepare and
consider an environmental impact
statement.
(v) Page means 500 words and does
not include explanatory maps,
diagrams, graphs, tables, and other
means of graphically displaying
quantitative or geospatial information.
(w) Participating agency means a
Federal, State, Tribal, or local agency
participating in an environmental
review or authorization of an action.
(x) Proposal means a proposed action
at a stage when an agency has a goal, is
actively preparing to make a decision on
one or more alternative means of
accomplishing that goal, and can
meaningfully evaluate its effects. A
proposal may exist in fact as well as by
agency declaration that one exists.
(y) Publish and publication mean
methods found by the agency to
efficiently and effectively make
environmental documents and
information available for review by
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interested persons, including electronic
publication, and adopted by agency
NEPA procedures pursuant to § 1507.3.
(z) Reasonable alternatives means a
reasonable range of alternatives that are
technically and economically feasible,
meet the purpose and need for the
proposed action, and, where applicable,
meet the goals of the applicant.
(aa) Reasonably foreseeable means
sufficiently likely to occur such that a
person of ordinary prudence would take
it into account in reaching a decision.
(bb) Referring agency means the
Federal agency that has referred any
matter to the Council after a
determination that the matter is
unsatisfactory from the standpoint of
public health or welfare or
environmental quality.
(cc) Scope consists of the range of
actions, alternatives, and impacts to be
considered in an environmental impact
statement. The scope of an individual
statement may depend on its
relationships to other statements
(§ 1501.11).
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(dd) Senior agency official means an
official of assistant secretary rank or
higher, or equivalent, that is designated
for agency NEPA compliance, including
resolving implementation issues and
representing the agency analysis of the
effects of agency actions on the human
environment in agency decision-making
processes.
(ee) Special expertise means statutory
responsibility, agency mission, or
related program experience.
(ff) Tiering refers to the coverage of
general matters in broader
environmental impact statements or
environmental assessments (such as
national program or policy statements)
with subsequent narrower statements or
environmental analyses (such as
regional or basin-wide program
statements or ultimately site-specific
statements) incorporating by reference
the general discussions and
concentrating solely on the issues
specific to the statement subsequently
prepared.
[FR Doc. 2019–28106 Filed 1–9–20; 4:15 pm]
BILLING CODE 3225–F0–P
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Agencies
[Federal Register Volume 85, Number 7 (Friday, January 10, 2020)]
[Proposed Rules]
[Pages 1684-1730]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2019-28106]
[[Page 1683]]
Vol. 85
Friday,
No. 7
January 10, 2020
Part III
Council on Environmental Quality
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40 CFR Parts 1500, 1501, 1502, et al.
Update to the Regulations Implementing the Procedural Provisions of the
National Environmental Policy Act; Proposed Rule
Federal Register / Vol. 85, No. 7 / Friday, January 10, 2020 /
Proposed Rules
[[Page 1684]]
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COUNCIL ON ENVIRONMENTAL QUALITY
40 CFR Parts 1500, 1501, 1502, 1503, 1504, 1505, 1507, and 1508
[CEQ-2019-0003]
RIN 0331-AA03
Update to the Regulations Implementing the Procedural Provisions
of the National Environmental Policy Act
AGENCY: Council on Environmental Quality.
ACTION: Notice of proposed rulemaking.
-----------------------------------------------------------------------
SUMMARY: In this action, the Council on Environmental Quality (CEQ) is
proposing to update its regulations for implementing the procedural
provisions of the National Environmental Policy Act (NEPA). CEQ has not
comprehensively updated its regulations since their promulgation in
1978, more than four decades ago. This proposed rule would modernize
and clarify the regulations to facilitate more efficient, effective,
and timely NEPA reviews by Federal agencies in connection with
proposals for agency action. The proposed amendments would advance the
original goals of the CEQ regulations to reduce paperwork and delays,
and promote better decisions consistent with the national environmental
policy set forth in section 101 of NEPA. If finalized, the proposed
rule would comprehensively update and substantially revise the 1978
regulations. CEQ invites comments on the proposed revisions.
DATES: CEQ must receive comments by March 10, 2020. CEQ will hold
public hearings on the following dates:
1. February 11, 2020, U.S. Environmental Protection Agency Region
8, 1595 Wynkoop Street, Denver, CO.
2. February 25, 2020, U.S. Department of the Interior, Yates
Auditorium, 1849 C Street NW, Washington, DC.
All attendees or speakers must register in advance. Details
concerning the hearings and information on additional outreach may be
found at www.nepa.gov and www.whitehouse.gov/ceq.
ADDRESSES: You may submit comments, identified by docket number CEQ-
2019-0003, by any of the following methods:
[ssquf] Federal eRulemaking Portal: https://www.regulations.gov.
Follow the instructions for submitting comments.
[ssquf] Fax: 202-456-6546.
[ssquf] Mail: Council on Environmental Quality, 730 Jackson Place
NW, Washington, DC 20503.
Instructions: All submissions received must include the agency name
and docket number for this rulemaking. All comments received will be
posted without change to https://www.regulations.gov, including any
personal information provided. Do not submit electronically any
information you consider to be private, Confidential Business
Information (CBI), or other information whose disclosure is restricted
by statute.
Docket: For access to the docket to read background documents or
comments received, go to https://www.regulations.gov.
FOR FURTHER INFORMATION CONTACT: Edward A. Boling, Associate Director
for the National Environmental Policy Act, or Viktoria Z. Seale, Chief
of Staff and General Counsel, 202-395-5750, [email protected].
SUPPLEMENTARY INFORMATION:
Table of Contents
I. Background
A. National Environmental Policy Act (NEPA)
B. Council on Environmental Quality (CEQ) Regulations, Guidance,
and Reports
1. Regulatory History
2. CEQ Guidance and Reports
3. Environmental Impact Statement (EIS) Timelines and Page Count
Reports
C. Judicial Review of Agency NEPA Compliance
D. Statutory Developments
E. Presidential Directives
F. 2018 Advance Notice of Proposed Rulemaking Requesting Public
Comment on CEQ's NEPA Regulations
II. Summary of Proposed Rule
A. Proposed Changes Throughout Parts 1500-1508
B. Proposed Revisions To Update the Purpose, Policy, and Mandate
(Part 1500)
C. Proposed Revisions to NEPA and Agency Planning (Part 1501)
1. NEPA Threshold Applicability Analysis (Sec. 1501.1)
2. Apply NEPA Early in the Process (Sec. 1501.2)
3. Determine the Appropriate Level of NEPA Review (Sec. 1501.3)
4. Categorical Exclusions (CEs) (Sec. 1501.4)
5. Environmental Assessments (EAs) (Sec. 1501.5)
6. Findings of No Significant Impact (FONSIs) (Sec. 1501.6)
7. Lead and Cooperating Agencies (Sec. Sec. 1501.7 and 1501.8)
8. Scoping (Sec. 1501.9)
9. Time Limits (Sec. 1501.10)
10. Tiering and Incorporation by Reference (Sec. Sec. 1501.11
and 1501.12)
D. Proposed Revisions to Environmental Impact Statements (EISs)
(Part 1502)
1. Page Limits (Sec. 1502.7)
2. Draft, Final and Supplemental Statements (Sec. 1502.9)
3. EIS Format (Sec. Sec. 1502.10 and 1502.11)
4. Purpose and Need (Sec. 1502.13)
5. Alternatives (Sec. 1502.14)
6. Affected Environment and Environmental Consequences
(Sec. Sec. 1502.15 and 1502.16)
7. Submitted Alternatives, Information, and Analyses (Sec. Sec.
1502.17 and 1502.18)
8. Other Proposed Changes to Part 1502
E. Proposed Revisions To Commenting on Environmental Impact
Statements (Part 1503)
F. Proposed Revisions to Pre-Decisional Referrals to the Council
of Proposed Federal Actions Determined To Be Environmentally
Unsatisfactory (Part 1504)
G. Proposed Revisions to NEPA and Agency Decision Making (Part
1505)
H. Proposed Revisions to Other Requirements of NEPA (Part 1506)
I. Proposed Revisions to Agency Compliance (Part 1507)
J. Proposed Revisions to Definitions (Part 1508)
K. CEQ Guidance Documents
L. Additional Issues on Which CEQ Invites Comment
III. Rulemaking Analyses and Notices
A. Executive Order 12866, Regulatory Planning and Review;
Executive Order 13563, Improving Regulation and Regulatory Review;
and Executive Order 13771, Reducing Regulation and Controlling
Regulatory Costs
B. Regulatory Flexibility Act and Executive Order 13272, Proper
Consideration of Small Entities in Agency Rulemaking
C. National Environmental Policy Act
D. Executive Order 13132, Federalism
E. Executive Order 13175, Consultation and Coordination With
Indian Tribal Governments
F. Executive Order 12898, Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
G. Executive Order 13211, Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
H. Executive Order 12988, Civil Justice Reform
I. Unfunded Mandate Reform Act
J. Paperwork Reduction Act
I. Background
The National Environmental Policy Act of 1969, 42 U.S.C. 4321 et
seq., (NEPA) was signed into law by President Nixon on January 1, 1970.
The Council on Environmental Quality (CEQ) initially issued guidelines
for implementing NEPA in 1970, revised those guidelines in 1973, and
subsequently promulgated its NEPA implementing regulations in 1978. The
original goals of those regulations were to reduce paperwork and
delays, and promote better decisions consistent with the national
environmental policy established by the Act.
Since their promulgation, however, there has been a need for
clarification of the regulations, and CEQ has issued over 30 guidance
documents to assist
[[Page 1685]]
Federal agencies in complying with NEPA and the CEQ regulations. Courts
also have issued numerous decisions addressing appropriate
implementation and interpretation of NEPA and the CEQ regulations,
resulting in a large body of case law. Additionally, Presidential
directives have been issued and legislation has been enacted to reduce
delays and expedite the implementation of NEPA and the CEQ regulations,
including for certain types of infrastructure projects. Notwithstanding
the issuance of guidance, Presidential directives, and legislation,
implementation of NEPA and the CEQ regulations can be challenging, and
the process can be lengthy, costly, and complex. In some cases, the
NEPA process and related litigation has slowed or prevented the
development of new infrastructure and other projects that required
Federal permits or approvals.
The background section below summarizes NEPA, the CEQ regulations,
and developments since CEQ issued those regulations. Specifically,
section I.A provides a brief summary of the NEPA statute. Section I.B
describes the history of CEQ's regulations implementing NEPA and
provides an overview of CEQ's numerous guidance documents and reports
issued subsequent to the regulations. Section I.C discusses the role of
the courts in interpreting NEPA. Section I.D provides a brief overview
of Congress's efforts, and section I.E describes the initiatives of
multiple administrations to reduce delays and improve implementation of
NEPA. Finally, section I.F provides the background on this rulemaking,
including the advance notice of proposed rulemaking (ANPRM).
In section II, CEQ provides a summary of the proposed rule, which,
if finalized, would comprehensively update and substantially revise
CEQ's current regulations. This proposed rule would modernize and
clarify the CEQ regulations to facilitate more efficient, effective,
and timely NEPA reviews by Federal agencies by simplifying regulatory
requirements, codifying certain guidance and case law relevant to these
proposed regulations, revising the regulations to reflect current
technologies and agency practices, eliminating obsolete provisions, and
improving the format and readability of the regulations. CEQ's proposed
revisions include provisions intended to promote timely submission of
relevant information to ensure consideration of such information by
agencies. CEQ's proposed revisions also are intended to provide greater
clarity for Federal agencies, States, Tribes, localities, and the
public, and to advance the original goals of the CEQ regulations to
reduce paperwork and delays and to promote better decisions consistent
with the national environmental policy set forth in section 101 of
NEPA.
A. National Environmental Policy Act (NEPA)
Congress enacted NEPA to establish a national policy for the
environment, provide for the establishment of CEQ, and for other
purposes. Section 101 of NEPA sets forth a national policy ``to use all
practicable means and measures, including financial and technical
assistance, in a manner calculated to foster and promote the general
welfare, to create and maintain conditions under which man and nature
can exist in productive harmony, and fulfill the social, economic, and
other requirements of present and future generations of Americans.'' 42
U.S.C. 4331(a). Section 102 of NEPA establishes procedural
requirements, applying that national policy to proposals for major
Federal actions significantly affecting the quality of the human
environment by requiring Federal agencies to prepare a detailed
statement on: (1) The environmental impact of the proposed action; (2)
any adverse effects that cannot be avoided; (3) alternatives to the
proposed action; (4) the relationship between local short-term uses of
man's environment and the maintenance and enhancement of long-term
productivity; and (5) any irreversible and irretrievable commitments of
resources that would be involved in the proposed action. 42 U.S.C.
4332(2)(C). NEPA also established CEQ as an agency within the Executive
Office of the President to administer Federal agency implementation of
NEPA. 42 U.S.C. 4342, 4344; see also Dep't of Transp. v. Pub. Citizen,
541 U.S. 752, 757 (2004).
NEPA does not mandate particular results or substantive outcomes.
Rather, NEPA requires Federal agencies to consider environmental
impacts of proposed actions as part of agencies' decision-making
processes. Additionally, NEPA does not include a private right of
action and specifies no remedies. Challenges to agency action alleging
non-compliance with NEPA procedures are brought under the
Administrative Procedure Act (APA). 5 U.S.C. 551 et seq. Accordingly,
NEPA cases proceed as APA cases.
B. Council on Environmental Quality (CEQ) Regulations, Guidance, and
Reports
1. Regulatory History
In 1970, President Nixon issued Executive Order (E.O.) 11514,
titled ``Protection and Enhancement of Environmental Quality,'' which
directed CEQ to ``[i]ssue guidelines to Federal agencies for the
preparation of detailed statements on proposals for legislation and
other Federal actions affecting the environment, as required by section
102(2)(C) of the Act.'' \1\ CEQ issued these guidelines in April of
1970 and revised them in 1973.\2\
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\1\ 35 FR 4247 (Mar. 7, 1970), Sec. 3(h).
\2\ See 35 FR 7391 (May 12, 1970) (interim guidelines); 36 FR
7724 (Apr. 23, 1971) (final guidelines); 38 FR 10856 (May 2, 1973)
(proposed revisions to guidelines); 38 FR 20550 (Aug. 1, 1973)
(revised guidelines).
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In 1977, President Carter issued E.O. 11991, titled ``Relating to
Protection and Enhancement of Environmental Quality.'' \3\ E.O. 11991
amended section 3(h) of E.O. 11514, directing CEQ to ``[i]ssue
regulations to Federal agencies for the implementation of the
procedural provisions of [NEPA] . . . to make the environmental impact
statement process more useful to decision[ ]makers and the public; and
to reduce paperwork and the accumulation of extraneous background data,
in order to emphasize the need to focus on real environmental issues
and alternatives,'' and to ``require [environmental] impact statements
to be concise, clear, and to the point, and supported by evidence that
agencies have made the necessary environmental analyses.'' E.O. 11991
also amended section 2 of E.O. 11514, requiring agency compliance with
the regulations issued by CEQ.
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\3\ 42 FR 26967 (May 25, 1977).
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In 1978, CEQ promulgated its ``Regulations for Implementing the
Procedural Provisions of the National Environmental Policy Act,'' 40
CFR parts 1500-1508 (``CEQ regulations'' or ``NEPA regulations''),
``[t]o reduce paperwork, to reduce delays, and at the same time to
produce better decisions [that] further the national policy to protect
and enhance the quality of the human environment.'' \4\ The Supreme
Court has afforded the CEQ regulations ``substantial deference.''
Robertson v. Methow Valley Citizens Council, 490 U.S. 332, 374 (1989)
(citing Andrus v. Sierra Club, 442 U.S. 347, 358 (1979)); see also Pub.
Citizen, 541 U.S. at 757 (``The [CEQ], established by NEPA with
authority to issue regulations
[[Page 1686]]
interpreting it, has promulgated regulations to guide [F]ederal
agencies in determining what actions are subject to that statutory
requirement.'' (citing 40 CFR 1500.3)); United States v. Mead Corp.,
533 U.S. 218, 227-30 (2001) (properly promulgated agency interpretative
regulations addressing ambiguities or gaps in a statute qualify for
Chevron deference); Nat'l Cable & Telecomm. Ass'n v. Brand X Internet
Servs., 545 U.S. 967, 980-81 (2005) (applying Chevron deference to
Federal Communications Commission regulations).
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\4\ 43 FR 55978 (Nov. 29, 1978); see also 44 FR 873 (Jan. 3,
1979) (technical corrections), and 43 FR 25230 (June 9, 1978)
(proposed rule).
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The Supreme Court has held that NEPA is a procedural statute that
serves the twin aims of ensuring that agencies consider the significant
environmental consequences of their proposed actions and inform the
public about their decision making. Balt. Gas & Elec. Co. v. Nat. Res.
Def. Council, Inc., 462 U.S. 87, 97 (1983) (citing Vt. Yankee Nuclear
Power Corp. v. Nat. Res. Def. Council, Inc., 435 U.S. 519, 553 (1978);
Weinberger v. Catholic Action of Haw./Peace Educ. Project, 454 U.S.
139, 143 (1981)). Furthermore, in describing the role of NEPA in
agencies' decision-making processes, the Supreme Court has stated,
``Congress in enacting NEPA, however, did not require agencies to
elevate environmental concerns over other appropriate considerations.''
\5\ Balt. Gas & Elec. Co., 462 U.S. at 97 (citing Strycker's Bay
Neighborhood Council v. Karlen, 444 U.S. 223, 227 (1980) (per curiam)).
Instead, NEPA requires agencies to analyze the environmental
consequences before taking a major Federal action. Id. (citing Kleppe
v. Sierra Club, 427 U.S. 390, 410 n.21 (1976)). The Supreme Court has
recognized that agencies have limited time and resources and that
``[t]he scope of the agency's inquiries must remain manageable if
NEPA's goal of `[insuring] a fully informed and well-considered
decision,' . . . is to be accomplished.'' Metro. Edison Co. v. People
Against Nuclear Energy, 460 U.S. 766, 776 (1983) (quoting Vt. Yankee,
435 U.S. at 558).
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\5\ Section 101 of NEPA provides that it is the Federal
Government's policy ``to use all practicable means and measures . .
. to create and maintain conditions under which man and natures can
exist in productive harmony, and fulfill the social, economic, and
other requirements of present and future generations of Americans.''
42 U.S.C. 4331(a) (emphasis added).
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CEQ has substantively amended its NEPA regulations only once, at 40
CFR 1502.22, to replace the ``worst case'' analysis requirement with a
provision for the consideration of incomplete or unavailable
information regarding reasonably foreseeable significant adverse
effects.\6\ CEQ found that the new 40 CFR 1502.22 ``will generate
information and discussion on those consequences of greatest concern to
the public and of greatest relevance to the agency's decision,'' \7\
rather than distorting the decision-making process by overemphasizing
highly speculative harms.\8\ The Supreme Court found this reasoning to
be a well-considered basis for the change, and that the new regulation
was entitled to substantial deference. Methow Valley, 490 U.S. at 356.
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\6\ 51 FR 15618 (Apr. 25, 1986).
\7\ 50 FR 32234, 32237 (Aug. 9, 1985).
\8\ 51 FR 15618, 15620 (Apr. 25, 1986).
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The CEQ regulations direct Federal agencies to adopt their own
implementing procedures to supplement the NEPA regulations. 40 CFR
1507.3. Under this regulation, agencies across the Federal Government
have developed such procedures.\9\
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\9\ A list of agency NEPA procedures is available at https://ceq.doe.gov/laws-regulations/agency_implementing_procedures.html.
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2. CEQ Guidance and Reports
Over the past four decades, numerous questions have been raised
regarding appropriate implementation of NEPA and the CEQ regulations.
Soon after the issuance of the CEQ regulations and in response to CEQ's
review of NEPA implementation and feedback from Federal, State, and
local officials, including NEPA practitioners, CEQ issued the ``Forty
Most Asked Questions Concerning CEQ's National Environmental Policy Act
Regulations'' \10\ in 1981 (``Forty Questions''). This guidance covered
a wide range of topics including alternatives, coordination among
applicants, lead and cooperating agencies, and integration of NEPA
documents with analysis for other environmental statutes. In addition,
CEQ has periodically examined the effectiveness of the NEPA process and
issued a number of reports on NEPA implementation. In some instances,
these reports led to additional guidance. These documents have been
intended to provide guidance and clarifications with respect to various
aspects of the implementation of NEPA and the definitions in the CEQ
regulations, and to increase the efficiency and effectiveness of the
environmental review process.\11\
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\10\ 46 FR 18026 (Mar. 23, 1981), https://www.energy.gov/nepa/downloads/forty-most-asked-questions-concerning-ceqs-national-environmental-policy-act.
\11\ See https://ceq.doe.gov/guidance/guidance.html.
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In January 1997, CEQ issued ``The National Environmental Policy
Act: A Study of Its Effectiveness After Twenty-five Years.'' \12\ In
that report, CEQ acknowledged that NEPA has ensured that agencies
adequately analyze the potential environmental consequences of their
actions and bring the public into the decision-making processes of
Federal agencies. However, CEQ also identified matters of concern to
participants in the study, including concerns with overly lengthy
documents that may not enhance or improve decision making,\13\ and
concerns that agencies may seek to `` `litigation-proof' documents,
increasing costs and time but not necessarily quality.'' \14\ The
report further stated that ``[o]ther matters of concern to participants
in the Study were the length of NEPA processes, the extensive detail of
NEPA analyses, and the sometimes confusing overlay of other laws and
regulations.'' \15\ The participants in the study identified five
elements of the NEPA process' collaborative framework (strategic
planning, public information and input, interagency coordination,
interdisciplinary place-based decision making, and science-based
flexible management) as critical to effective and efficient NEPA
implementation.
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\12\ https://ceq.doe.gov/docs/ceq-publications/nepa25fn.pdf.
\13\ Id. at iii.
\14\ Id.
\15\ Id. In the 50 years since the passage of NEPA, Congress has
amended or enacted a number of other environmental laws that may
also apply to proposed Federal agency actions, such as the
Endangered Species Act, the Clean Water Act, the Clean Air Act, and
other substantive statutes. See discussion infra section I.D.
Consistent with 40 CFR 1502.25, longstanding agency practice has
been to use the NEPA process as the umbrella procedural statute,
integrating compliance with these laws into the NEPA review and
discussing them in the NEPA document. However, this practice
sometimes leads to confusion as to whether analysis is done to
comply with NEPA or another, potentially substantive, environmental
law.
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In 2002, the Chairman of CEQ established a NEPA task force,
composed of Federal agency officials, to examine NEPA implementation by
focusing on (1) technology and information management and security; (2)
Federal and intergovernmental collaboration; (3) programmatic analyses
and tiering; (4) adaptive management and monitoring; (5) categorical
exclusions (CEs); and (6) environmental assessments (EAs). In 2003, the
task force issued a report \16\ recommending actions to improve and
modernize the
[[Page 1687]]
NEPA process, leading to additional guidance documents and handbooks.
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\16\ See The NEPA Task Force Report to the Council on
Environmental Quality, Modernizing NEPA Implementation (Sept. 2003)
(``NEPA Task Force Report''), https://ceq.doe.gov/docs/ceq-publications/report/finalreport.pdf.
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Over the past 4 decades, CEQ has issued over 30 documents to
provide guidance and clarifications to assist Federal agencies to more
efficiently and effectively implement NEPA. CEQ has issued guidance on
such topics as CEs,\17\ EAs, mitigation, and findings of no significant
impact (FONSIs),\18\ emergencies,\19\ programmatic NEPA reviews,\20\
timely environmental reviews,\21\ collaboration and conflict
resolution,\22\ purpose and need,\23\ effects,\24\ lead and cooperating
agencies, environmental justice,\25\ and other topics.\26\
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\17\ See Council on Environmental Quality, Final Guidance for
Federal Departments and Agencies on Establishing, Applying, and
Revising Categorical Exclusions under the National Environmental
Policy Act, 75 FR 75628 (Dec. 6, 2010) (``CE Guidance''), https://ceq.doe.gov/docs/ceq-regulations-and-guidance/NEPA_CE_Guidance_Nov232010.pdf (clarifies the rules for
establishing, applying, and revising CEs, including methods for
substantiating CEs and the process to establish new CEs in agency
NEPA procedures).
\18\ See Final Guidance for Federal Departments and Agencies on
the Appropriate Use of Mitigation and Monitoring and Clarifying
Appropriate Use of Mitigated Findings of No Significant Impact, 76
FR 3843 (Jan. 21, 2011) (``Mitigation Guidance''), https://ceq.doe.gov/docs/ceq-regulations-and-guidance/Mitigation_and_Monitoring_Guidance_14Jan2011.pdf (explains the
requirements of NEPA and the NEPA regulations on establishing,
implementing, and monitoring mitigation commitments identified and
analyzed in EAs, environmental impact statements (EISs), and adopted
in decision documents).
\19\ See Emergencies and the National Environmental Policy Act
(``Emergencies Guidance''), https://ceq.doe.gov/docs/nepa-practice/Emergencies_and_NEPA.pdf.
\20\ See Effective Use of Programmatic NEPA Reviews (Dec. 18,
2014) (``Programmatics Guidance''), https://ceq.doe.gov/docs/ceq-regulations-and-guidance/Effective_Use_of_Programmatic_NEPA_Reviews_Final_Dec2014_searchable.pdf.
\21\ See Final Guidance on Improving the Process for Preparing
Efficient and Timely Environmental Reviews Under the National
Environmental Policy Act, 77 FR 14473 (Mar. 12, 2012) (``Timely
Environmental Reviews Guidance''), https://ceq.doe.gov/docs/ceq-regulations-and-guidance/Improving_NEPA_Efficiencies_06Mar2012.pdf
(clarifies and emphasizes tools in the NEPA regulations for
preparing efficient and timely environmental reviews for both EAs
and EISs).
\22\ See Memorandum on Environmental Conflict Resolution (Nov.
28, 2005), as expanded by Memorandum on Environmental Collaboration
and Conflict Resolution (Sept. 7, 2012), https://ceq.doe.gov/nepa-practice/environmental-collaboration-and-conflict-resolution.html
(supports constructive and timely approaches to resolve conflicts
over the use, conservation, and restoration of the environment,
natural resources, and public lands, including under NEPA).
\23\ See Letter from the Hon. James L. Connaughton, Chairman,
Council on Environmental Quality, to the Hon. Norman Y. Mineta,
Secretary, Department of Transportation (May 12, 2003)
(``Connaughton Letter''), https://ceq.doe.gov/docs/ceq-regulations-and-guidance/CEQ-DOT_PurposeNeed_May-2013.pdf.
\24\ See Considering Cumulative Effects Under the National
Environmental Policy Act (Jan. 1997), https://ceq.doe.gov/publications/cumulative_effects.html.
\25\ See Environmental Justice: Guidance under the National
Environmental Policy Act (Dec. 10, 1997), https://ceq.doe.gov/docs/ceq-regulations-and-guidance/regs/ej/justice.pdf.
\26\ See, e.g., Forty Questions, supra note 10; NEPA and NHPA:
Handbook for Integrating NEPA and Section 106 Reviews, https://ceq.doe.gov/publications/nepa-handbooks.html (clarifies and
emphasizes tools in the NEPA regulations for preparing efficient and
timely environmental reviews for both EAs and EISs); A Citizen's
Guide to the NEPA: Having Your Voice Heard, https://ceq.doe.gov/get-involved/citizens_guide_to_nepa.html.
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Despite CEQ guidance and regulations providing for concise, timely
documents, the documentation and timelines for completing environmental
reviews can be very lengthy, and the process can be complex and costly.
In 2018, CEQ and the Office of Management and Budget (OMB) issued a
memorandum titled ``One Federal Decision Framework for the
Environmental Review and Authorization Process for Major Infrastructure
Projects under E.O. 13807'' (``OFD Framework Guidance'').\27\ CEQ and
OMB issued this guidance pursuant to E.O. 13807, titled ``Establishing
Discipline and Accountability in the Environmental Review and
Permitting Process for Infrastructure Projects,'' \28\ to improve
agency coordination for infrastructure projects requiring an
environmental impact statement (EIS) and permits or other
authorizations from multiple agencies and to improve the timeliness of
the environmental review process. See E.O. 13807, infra I.D. Consistent
with the OFD Framework Guidance, supra note 27, Federal agencies signed
a memorandum of understanding committing to implement the One Federal
Decision (OFD) policy for major infrastructure projects, including by
committing to establishing a joint schedule for such projects,
preparation of a single EIS and joint record of decision (ROD),
elevation of delays and dispute resolution, and setting a goal of
completing environmental reviews for such projects within 2 years.\29\
Subsequently, CEQ and OMB issued guidance for the Secretary of
Transportation regarding the applicability of the OFD policy to States
under the Surface Transportation Project Delivery Program,\30\ and for
the Secretary of Housing and Urban Development (HUD) regarding the
applicability of the OFD policy to entities assuming HUD environmental
review responsibilities.\31\
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\27\ M-18-13 (Mar. 20, 2018), https://www.whitehouse.gov/wp-content/uploads/2018/04/M-18-13.pdf.
\28\ 82 FR 40463 (Aug. 24, 2017).
\29\ See Memorandum of Understanding Implementing One Federal
Decision under Executive Order 13807 (2018), https://www.whitehouse.gov/wp-content/uploads/2018/04/MOU-One-Federal-Decision-m-18-13-Part-2-1.pdf.
\30\ Guidance on the Applicability of E.O. 13807 to States with
NEPA Assignment Authority Under the Surface Transportation Project
Delivery Program (Feb. 26, 2019), https://www.whitehouse.gov/wp-content/uploads/2017/11/20190226OMB-CEQ327.pdf.
\31\ Guidance on the Applicability of E.O. 13807 to Responsible
Entities Assuming Department of Housing and Urban Development
Environmental Review Responsibilities, M-19-20 (June 28, 2019),
https://www.whitehouse.gov/wp-content/uploads/2019/06/M-19-20.pdf.
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3. Environmental Impact Statement (EIS) Timelines and Page Count
Reports
CEQ also has conducted reviews and prepared reports on the length
of time it takes for agencies to prepare EISs and the length of these
documents. These reviews found that the process for preparing EISs is
taking much longer than CEQ advised, and that the documents are far
longer than the CEQ regulations and guidance recommended. In December
2018, CEQ issued a report compiling information relating to the
timelines for preparing EISs during the period of 2010-2017. While
CEQ's Forty Questions states that the time for an EIS, even for a
complex project, should not exceed 1 year,\32\ CEQ found that, across
the Federal Government, the average time for completion of an EIS and
issuance of a ROD was over 4.5 years and the median was 3.6 years.\33\
One quarter of the EISs took less than 2.2 years, and one quarter of
the EISs took more than 6 years.
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\32\ Question 35, Forty Questions, supra note 10.
\33\ See Council on Environmental Quality, Environmental Impact
Statement Timelines (2010-2017), (Dec. 14, 2018), https://ceq.doe.gov/nepa-practice/eis-timelines.html.
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As reflected in that report, the period from publication of a
notice of intent (NOI) to prepare an EIS to the notice of availability
of the draft EIS took, on average, 58 percent of the total time, while
preparing the final EIS, including addressing comments received on the
draft EIS, took, on average, 32 percent of the total time. The period
from the final EIS to publication of the ROD took, on average, 10
percent of the total time. This report recognized that EIS timelines
vary widely, and many factors may influence the timing of the document,
including variations in the scope and complexity of the actions,
variations in the extent of work done prior to issuance of the NOI, and
suspension of EIS activities due to external factors.
Additionally, in July 2019, CEQ issued a report on the length, by
page
[[Page 1688]]
count, of EISs (excluding appendices) finalized during the period of
2013-2017. While the CEQ regulations include recommended page limits
for the text of final EISs of normally less than 150 pages, or normally
less than 300 pages for proposals of ``unusual scope or complexity,''
40 CFR 1502.7, CEQ found that many EISs are significantly longer. In
particular, CEQ found that across all Federal agencies, draft EISs
averaged 586 pages in total, with a median document length of 403
pages.\34\ One quarter of the draft EISs were 288 pages or shorter, and
one quarter were 630 pages or longer. For final EISs, the mean document
length was 669 pages, and the median document length was 445 pages. One
quarter of the final EISs were 299 pages or shorter, and one quarter
were 729 pages or longer. On average, the change in document length
from draft EIS to final EIS was an additional 83 pages or a 14 percent
increase.
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\34\ See Council on Environmental Quality, Length of
Environmental Impact Statements (2013-2017), (July 22, 2019),
https://ceq.doe.gov/nepa-practice/eis-length.html.
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With respect to final EISs, CEQ found that approximately 7 percent
were 150 pages or shorter, and 25 percent were 300 pages or shorter.
Similar to the conclusions of its EIS timelines study, CEQ noted that a
number of factors may influence the length of EISs, including variation
in scope and complexity of the decisions that the EIS is designed to
inform, the degree to which NEPA documentation is used to document
compliance with other statutes, and considerations relating to
potential legal challenges. Moreover, variation in EIS length may
reflect differences in management, oversight, and contracting practices
among agencies that could result in longer documents.
While there can be many factors affecting the timelines and length
of EISs, CEQ has concluded that revisions to the CEQ regulations to
advance more timely reviews and reduce unnecessary paperwork are
warranted. CEQ has determined that improvements to agency processes,
such as improved coordination in the development of EISs, can achieve
more useful and timely documents to support agency decision making.
C. Judicial Review of Agency NEPA Compliance
Over the past 50 years, Federal courts have issued an extensive
body of case law interpreting NEPA and the CEQ regulations. The Supreme
Court has directly addressed NEPA in 17 decisions, and the U.S.
district and appellate courts issue approximately 100 to 140 decisions
each year interpreting NEPA. The Supreme Court has construed NEPA and
the CEQ regulations in light of a ``rule of reason,'' which ensures
that agencies determine whether and to what extent to prepare an EIS
based on the usefulness of information to the decision-making process.
See Marsh v. Or. Nat. Res. Council, 490 U.S. 360, 373-74 (1989).
``Although [NEPA] procedures are almost certain to affect the agency's
substantive decision, it is now well settled that NEPA itself does not
mandate particular results, but simply prescribes the necessary
process.'' Methow Valley, 490 U.S. at 350; Pub. Citizen, 541 U.S. at
756-57 (``NEPA imposes only procedural requirements on [F]ederal
agencies with a particular focus on requiring agencies to undertake
analyses of the environmental impact of their proposals and actions.''
(citing Methow Valley, 490 U.S. at 349-50)). The extensive body of case
law interpreting NEPA and the current CEQ regulations drives much of
agencies' modern day practice. A challenge for agencies is that courts
have interpreted key terms and requirements differently, adding to the
complexity of environmental reviews. As discussed below, the proposed
regulations would codify longstanding case law in some instances, and,
in other instances, clarify the meaning of the regulations where there
is a lack of uniformity in judicial interpretation of NEPA and the CEQ
regulations.
D. Statutory Developments
Following enactment of NEPA in 1970 and over the past four decades,
Congress has amended or enacted a large number of substantive
environmental statutes. These have included significant amendments to
the Clean Water Act and Clean Air Act, establishment of new Federal
land management standards and planning processes for National forests,
public lands, and coastal zones, and statutory requirements to conserve
fish, wildlife, and plant species.\35\ Additionally, the consideration
of the effects on historic properties under the National Historic
Preservation Act is typically integrated into the NEPA review.\36\ NEPA
has served as the umbrella procedural statute, integrating these laws
into NEPA reviews and discussing them in NEPA documents.
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\35\ See, e.g., the Clean Air Act, 42 U.S.C. 7401-7671q; Clean
Water Act, 33 U.S.C. 1251-1388; Coastal Zone Management Act, 16
U.S.C. 1451-1466; Federal Land Policy and Management Act, 43 U.S.C.
1701-1787; Forest and Rangeland Renewable Resources Planning Act of
1974, 16 U.S.C. 1600-1614; Magnuson-Stevens Fishery Conservation and
Management Act, 16 U.S.C. 1801-1884; Endangered Species Act, 16
U.S.C. 1531-1544; Oil Pollution Act of 1990, 33 U.S.C. 2701-2762;
Surface Mining Control and Reclamation Act of 1977, 30 U.S.C. 1201,
1202, and 1211; and Comprehensive Environmental Response,
Compensation, and Liability Act, 42 U.S.C. 9601-9675.
\36\ Similar to NEPA, section 106 (54 U.S.C. 306108) of the
National Historic Preservation Act is a procedural statute.
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Over the past two decades and multiple administrations, Congress
has also undertaken efforts to facilitate more efficient environmental
reviews by Federal agencies, and has enacted a number of statutes aimed
at improving the implementation of NEPA, including in the context of
infrastructure projects. In particular, Congress enacted legislation to
improve coordination among agencies, integrate NEPA with other
environmental reviews, and bring more transparency to the NEPA process.
In 2005, Congress enacted 23 U.S.C. 139, ``Efficient environmental
reviews for project decisionmaking,'' a streamlined environmental
review process for highway, transit, and multimodal transportation
projects (the ``section 139 process''), in the Safe, Accountable,
Flexible, Efficient Transportation Equity Act: A Legacy for Users
(SAFETEA-LU), Public Law 109-59, section 6002(a), 119 Stat. 1144, 1857.
Congress amended section 139 with additional provisions designed to
improve the NEPA process in the 2012 Moving Ahead for Progress in the
21st Century Act (MAP-21), Public Law 112-141, sections 1305-1309, 126
Stat. 405, and the 2015 Fixing America's Surface Transportation (FAST)
Act, Public Law 114-94, section 1304, 129 Stat. 1312, 1378. Section 139
provides for an environmental review process that is based on the NEPA
regulations and codifies many aspects of the regulations, including
provisions relating to lead and cooperating agencies, concurrent
environmental reviews in a single NEPA document, coordination on the
development of the purpose and need statement and reasonable
alternatives, and adoption of environmental documents. Further, section
139 provides for referral to CEQ for issue resolution, similar to part
1504 of the NEPA regulations, and allows for the use of errata sheets,
consistent with 40 CFR 1503.4(c).\37\
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\37\ To facilitate the NEPA process for transportation projects
subject to section 139, the statute specifically calls for
development of a coordination plan, including development of a
schedule, and publicly tracking the implementation of that schedule
through use of the Permitting Dashboard. In addition, the section
139 process provides for ``participating'' agencies, which are any
agencies invited to participate in the environmental review process.
Section 139 also requires, to the maximum extent practicable,
issuance of a combined final EIS and ROD.
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[[Page 1689]]
When Congress enacted section 2045 of the Water Resources
Development Act of 2007, Public Law 110-114, 121 Stat. 1041, 1103, it
created a similar environmental review provision for water resources
development projects by the U.S. Army Corps of Engineers. 33 U.S.C.
2348.\38\ This project acceleration provision also requires a
coordinated environmental review process, provides for dispute
resolution, and codifies aspects of the NEPA regulations such as lead
and cooperating agencies, concurrent environmental reviews, and the
establishment of CEs. Section 2348(o) also directs the Corps to consult
with CEQ on the development of guidance for implementing this
provision.
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\38\ Congress significantly revised this provision in the Water
Resources Reform and Development Act of 2014, Public Law 113-121,
1005(a)(1), 128 Stat. 1193, 1199.
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Most recently, in 2015 Congress enacted Title 41 of the FAST Act
(FAST-41), to provide for a more efficient environmental review and
permitting process for ``covered projects.'' See Public Law 114-94,
Sec. 41001-41014, 129 Stat. 1312, 1741 (42 U.S.C. 4370m--4370m-12).
These are projects that require Federal environmental review under
NEPA, are expected to exceed $200 million, and involve the construction
of infrastructure for certain energy production, electricity
transmission, water resource projects, broadband, pipelines,
manufacturing, and other sectors. Id. FAST-41 codified certain roles
and responsibilities required by the NEPA regulations. In particular,
FAST-41 imports the concepts of lead and cooperating agencies, and the
different levels of NEPA analysis--EISs, EAs, and CEs. Consistent with
40 CFR 1501.5(e) through (f), CEQ is required to resolve any dispute
over designation of a facilitating or lead agency for a covered
project. 42 U.S.C. 4370m-2(a)(6)(B). Section 4370m-4 codified several
requirements from the CEQ regulations, including the requirement for
concurrent environmental reviews, which is consistent with 40 CFR
1500.2(c), 1501.7(a)(6) and 1502.25(a), and the tools of adoption,
incorporation by reference, supplementation, and use of State
documents, consistent with 40 CFR 1506.3, 1502.21, 1502.9(c) and
1506.2.\39\ Finally, 42 U.S.C. 4370m-4 addresses interagency
coordination on key aspects of the NEPA process including scoping (40
CFR 1501.7), identification of the range of reasonable alternatives for
study in an EIS (40 CFR 1502.14), and the public comment process (40
CFR part 1503).
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\39\ For covered projects, section 4370m-4 authorizes lead
agencies to adopt or incorporate by reference existing environmental
analyses and documentation prepared under State laws and procedures
if the analyses and documentation meet certain requirements. 42
U.S.C. 4370m-4(b)(1)(A)(i). This provision also requires that the
lead agency, in consultation with CEQ, determine that the analyses
and documentation were prepared using a process that permitted
public participation and consideration of environmental
consequences, alternatives, and other required analyses that are
substantially equivalent to what a Federal agency would have
prepared pursuant to NEPA. Id.
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To ensure a timely NEPA process so that important infrastructure
projects can move forward, Congress has also established shorter
statutes of limitations for challenges to certain types of projects.
SAFETEA-LU created a 180-day statute of limitations for highway or
public transportation capital projects, which MAP-21 later reduced to
150 days. 23 U.S.C. 139(l). The Water Resources Reform and Development
Act of 2014 established a three-year statute of limitations for
judicial review of any permits, licenses, or other approvals for water
resources development project studies. 33 U.S.C. 2348(k). Most recently
in FAST-41, Congress established a two-year statute of limitations for
covered projects. 42 U.S.C. 4370m-6.
There are a number of additional instances where Congress has
enacted legislation to facilitate more timely environmental reviews.
For example, similar to the provisions described above, there are other
statutes where Congress has called for a coordinated and concurrent
environmental review. See, e.g., 33 U.S.C. 408(b) (concurrent review
for river and harbor permits); 49 U.S.C. 40128 (coordination on
environmental reviews for air tour management plans for national
parks); 49 U.S.C. 47171 (expedited and coordinated environmental review
process for airport capacity enhancement projects).
Additionally, Congress has established or directed agencies to
establish CEs to facilitate NEPA compliance. See, e.g., 16 U.S.C.
6554(d) (applied silvicultural assessment and research treatments); 16
U.S.C. 6591d (hazardous fuels reduction projects to carry out forest
restoration treatments); 16 U.S.C. 6591e (vegetation management
activity in greater sage-grouse or mule deer habitat); 33 U.S.C. 2349
(actions to repair, reconstruct, or rehabilitate water resources
projects in response to emergencies); 42 U.S.C. 15942 (certain
activities for the purpose of exploration or development of oil or
gas); 43 U.S.C. 1772(c)(5) (development and approval of vegetation
management, facility inspection, and operation and maintenance plans);
MAP-21, Public Law 112-141, Sec. 1315 (actions to repair or
reconstruct roads, highways, or bridges damaged by emergencies), 1316
(projects within the operational right-of-way), and 1317 (projects with
limited Federal assistance); FAA Modernization and Reform Act of 2012,
Public Law 112-95, 213(c), 126 Stat. 11, 46 (navigation performance and
area navigation procedures); and Omnibus Appropriations Act, 2009,
Public Law 111-8, 423, 123 Stat. 524, 748 (Lake Tahoe Basin Management
Unit hazardous fuel reduction projects).
Further, in the context of emergency response, Congress has
directed the use or development of alternative arrangements in
accordance with 40 CFR 1506.11 for reconstruction of transportation
facilities damaged in an emergency (FAST Act, Pub. L. 114-94, 1432, 129
Stat. 1429) and for projects by the Departments of the Interior and
Commerce to address invasive species (Water Infrastructure Improvements
for the Nation Act, Pub. L. 114-322, 4010(e)(3), 130 Stat. 1628, 1877).
In 2013, Congress also enacted section 429 of the Robert T. Stafford
Disaster Relief and Emergency Assistance Act (``Stafford Act''), 42
U.S.C. 5189g, which directed the President, in consultation with CEQ
and the Advisory Council on Historic Preservation, to ``establish an
expedited and unified interagency review process to ensure compliance
with environmental and historic requirements under Federal law relating
to disaster recovery projects, in order to expedite the recovery
process, consistent with applicable law.'' Sandy Recovery Improvement
Act of 2013, Public Law 113-2, 1106, 127 Stat. 4, 45. This unified
Federal environmental and historic preservation review (UFR) process is
a framework for coordinating Federal agency environmental and historic
preservation reviews for disaster recovery projects associated with
Presidentially declared disasters under the Stafford Act. The goal of
the UFR process is to enhance the ability of the Federal environmental
review and authorization processes to inform and expedite disaster
recovery decisions for grant applicants and other potential
beneficiaries of disaster assistance by improving coordination and
consistency across Federal agencies, and assisting agencies in better
leveraging their resources and tools.\40\
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\40\ See generally Memorandum of Understanding Establishing the
Unified Federal Environmental and Historic Preservation Review
Process for Disaster Recovery Projects (July 29, 2014), https://www.fema.gov/unified-federal-environmental-and-historic-preservation-review-presidentially-declared-disasters.
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These statutes demonstrate that Congress has recognized that the
[[Page 1690]]
environmental review process can be made more efficient and effective,
including for infrastructure projects. Congress also has identified
specific process improvements that can accelerate environmental
reviews, including improved interagency coordination, concurrent
reviews, and increased transparency.
E. Presidential Directives
Over the past two decades and multiple administrations, Presidents
also have recognized the need to improve the environmental review
process to make it more timely and efficient, and have directed
agencies, through Executive Orders and Presidential memoranda, to
undertake various initiatives to address these issues. In 2002,
President Bush issued E.O. 13274, titled ``Environmental Stewardship
and Transportation Infrastructure Project Reviews,'' \41\ which stated
that the development and implementation of transportation
infrastructure projects in an efficient and environmentally sound
manner is essential, and directed agencies to conduct environmental
reviews for transportation projects in a timely manner.
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\41\ 67 FR 59449 (Sept. 23, 2002).
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In 2011, President Obama's memorandum titled ``Speeding
Infrastructure Development through More Efficient and Effective
Permitting and Environmental Review'' \42\ directed certain agencies to
identify up to three high-priority infrastructure projects for
expedited environmental review and permitting decisions to be tracked
publicly on a ``centralized, online tool.'' This requirement led to the
creation of what is now the Permitting Dashboard,
www.permits.performance.gov.
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\42\ https://www.govinfo.gov/content/pkg/DCPD-201100601/pdf/DCPD-201100601.pdf.
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In 2012, E.O. 13604, titled ``Improving Performance of Federal
Permitting and Review of Infrastructure Projects,'' \43\ established an
interagency Steering Committee on Federal Infrastructure Permitting and
Review Process Improvement (``Steering Committee'') to facilitate
improvements in Federal permitting and review processes for
infrastructure projects. The E.O. directed the Steering Committee to
develop a plan ``to significantly reduce the aggregate time required to
make Federal permitting and review decisions on infrastructure projects
while improving outcomes for communities and the environment.''
Similarly, E.O. 13616, titled ``Accelerating Broadband Infrastructure
Deployment,'' \44\ established an interagency working group to, among
other things, avoid duplicative reviews and coordinate review processes
to advance broadband deployment.
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\43\ 77 FR 18887 (Mar. 28, 2012).
\44\ 77 FR 36903 (June 20, 2012).
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A 2013 Presidential Memorandum titled ``Modernizing Federal
Infrastructure Review and Permitting Regulations, Policies, and
Procedures'' \45\ directed the Steering Committee established by E.O.
13604 to work with agencies, OMB, and CEQ to ``modernize Federal
infrastructure review and permitting regulations, policies, and
procedures to significantly reduce the aggregate time required by the
Federal Government to make decisions in the review and permitting of
infrastructure projects, while improving environmental and community
outcomes'' and develop a plan to achieve this goal. Among other things,
the memorandum directed that the plan create process efficiencies,
including additional use of concurrent and integrated reviews; expand
coordination with State, Tribal, and local governments; and expand the
use of information technology tools. CEQ and OMB led the effort to
develop a comprehensive plan to modernize the environmental review and
permitting process while improving environmental and community
outcomes, including budget proposals for funding and new authorities.
Following the development of the plan, CEQ continued to work with
agencies to improve the permitting process, including through expanded
collection of timeframe metrics on the Permitting Dashboard. In late
2015, these ongoing efforts were superseded by the enactment of FAST-
41, which codified the use of the Permitting Dashboard, established the
Federal Permitting Improvement Steering Council (Permitting Council),
and established other requirements for managing the environmental
review and permitting process for covered infrastructure projects.
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\45\ 78 FR 30733 (May 22, 2013).
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On August 15, 2017, President Trump issued E.O. 13807 titled,
``Establishing Discipline and Accountability in the Environmental
Review and Permitting Process for Infrastructure.'' \46\ Section
5(e)(i) directed CEQ to develop an initial list of actions to enhance
and modernize the Federal environmental review and authorization
process, including issuing such regulations as CEQ deems necessary to:
(1) Ensure optimal interagency coordination of environmental review and
authorization decisions; (2) ensure that multi-agency environmental
reviews and authorization decisions are conducted in a manner that is
concurrent, synchronized, timely, and efficient; (3) provide for use of
prior Federal, State, Tribal, and local environmental studies,
analysis, and decisions; and (4) ensure that agencies apply NEPA in a
manner that reduces unnecessary burdens and delays, including by using
CEQ's authority to interpret NEPA to simplify and accelerate the NEPA
review process. In response to E.O. 13807, CEQ published an initial
list of actions and stated its intent to review its existing NEPA
regulations in order to identify potential revisions to update and
clarify these regulations.\47\
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\46\ 82 FR 40463 (Aug. 24, 2017).
\47\ 82 FR 43226 (Sept. 14, 2017).
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F. 2018 Advance Notice of Proposed Rulemaking Requesting Public Comment
on CEQ's NEPA Regulations
Consistent with E.O. 13807 and CEQ's initial list of actions, and
given the length of time since CEQ issued its regulations, on June 20,
2018, CEQ published an advance notice of proposed rulemaking (ANPRM)
titled ``Update to the Regulations for Implementing the Procedural
Provisions of the National Environmental Policy Act.'' \48\ The ANPRM
requested public comments on how CEQ could ensure a more efficient,
timely, and effective NEPA process consistent with the Act's national
environmental policy and provided for a 30-day comment period. In
response to comments, CEQ extended the comment period 31 additional
days to August 20, 2018.\49\
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\48\ 83 FR 28591 (June 20, 2018).
\49\ 83 FR 32071 (July 11, 2018).
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The ANPRM requested comment on potential revisions to update and
clarify the NEPA regulations, and included a list of questions on
specific aspects of the regulations. For example, with respect to the
NEPA process, the ANPRM asked whether there are provisions that CEQ
could revise to ensure more efficient environmental reviews and
authorization decisions, such as facilitating agency use of existing
environmental studies, analyses and decisions, as well as improving
interagency coordination. The ANPRM also requested comments on the
scope of NEPA reviews, including whether CEQ should revise, clarify, or
add definitions. The ANPRM also asked whether additional revisions
relating to environmental documentation issued pursuant to NEPA,
including CEs, EAs, EISs, and other documents, would be appropriate.
Finally, the ANPRM requested general comments, including
[[Page 1691]]
whether there were obsolete provisions that CEQ could update to reflect
new technologies or make the process more efficient, or that CEQ could
revise to reduce unnecessary burdens or delays.
In response to the ANPRM, CEQ received over 12,500 comments, which
are available for public review.\50\ These included comments from a
wide range of stakeholders, including States, Tribes, localities,
environmental organizations, trade associations, NEPA practitioners,
and interested members of the public. While some commenters opposed any
updates to the current regulations, other commenters urged CEQ to
consider potential revisions. While the approaches to the update of the
NEPA regulations varied, most of the substantive comments supported
some degree of updating of the current regulations. Many noted that
overly lengthy documents and the time required for the NEPA process
remain real and legitimate concerns despite the NEPA regulations'
explicit direction with respect to reducing paperwork and delays. In
general, numerous commenters requested that CEQ consider revisions to
modernize its regulations, reduce unnecessary burdens and costs, and
make the NEPA process more efficient, effective, and timely. Discussion
of comments is provided in more detail in section II below.
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\50\ See https://www.regulations.gov, docket no. CEQ-2018-0001.
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II. Summary of Proposed Rule
In this proposed rule, CEQ would revise and modernize its NEPA
regulations to facilitate more efficient, effective, and timely NEPA
reviews by Federal agencies. The proposed updates and clarifications to
its regulations are based on CEQ's record evaluating the implementation
of its NEPA regulations and on comments provided in response to the
ANPRM. The proposed updates and clarifications seek to advance the
stated objectives of the current regulations, as adopted in 1978,
``[t]o reduce paperwork, to reduce delays, and at the same time to
produce better decisions [that] further the national policy to protect
and enhance the quality of the human environment.'' \51\
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\51\ 43 FR 55978 (Nov. 29, 1978).
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CEQ specifically proposes various revisions to align the
regulations with the text of the NEPA statute, including revisions to
reflect the procedural nature of section 102(2) of NEPA. CEQ also
proposes revisions to ensure that environmental documents prepared
pursuant to NEPA are concise and serve their purpose of informing
decision makers regarding the significant potential environmental
effects of proposed major Federal actions and the public of the
environmental issues in the pending decision-making process. CEQ also
proposes revisions to ensure that the regulations reflect changes in
technology, increase public participation in the process, and
facilitate the use of existing studies, analyses and environmental
documents prepared by States, Tribes, and local governments.
CEQ also proposes revisions to its regulations consistent with the
One Federal Decision policy (``OFD policy'') established by E.O. 13807
for multi-agency review and related permitting and other authorization
decisions. The E.O. specifically instructed CEQ to take steps to ensure
optimal interagency coordination, including through a concurrent,
synchronized, timely, and efficient process for environmental reviews
and authorization decisions. In response to the ANPRM, CEQ received
many suggestions to codify key aspects of the OFD policy in the NEPA
regulations, including by providing greater specificity on the roles
and responsibilities of lead and cooperating agencies. Commenters also
suggested that the regulations require agencies to establish and adhere
to timetables for the completion of reviews, another key element of the
OFD policy. In response to these comments and to promote interagency
coordination and more timely and efficient reviews, CEQ proposes to
codify and make generally applicable a number of key elements from
expedited procedures and the OFD policy, including development by the
lead agency of a joint schedule, procedures to elevate delays or
disputes, preparation of a single EIS and joint ROD to the extent
practicable, and a two-year goal for completion of environmental
reviews. Consistent with section 104 of NEPA (42 U.S.C. 4334),
codification of these policies will not limit or affect the authority
or legal responsibilities of agencies under other statutory mandates
that may be covered by joint schedules, and CEQ proposes language to
that effect in Sec. 1500.6.\52\
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\52\ In the preamble, CEQ uses the section symbol (Sec. ) to
refer to the proposed regulations as set forth in this NPRM and 40
CFR to refer to the current CEQ regulations as set forth in 40 CFR
parts 1500-1508.
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CEQ also proposes revisions to clarify the process and
documentation required for complying with NEPA by amending part 1501 to
add sections on threshold considerations and determining the
appropriate level of review; add a section on CEs; and revise sections
on EAs, FONSIs, and EISs in part 1502. CEQ further proposes a number of
revisions to promote more efficient and timely environmental reviews,
including revisions to promote interagency coordination by amending
sections of parts 1501, 1506, and 1507 relating to lead, cooperating
agencies, timing of agency action, scoping, and agency NEPA procedures.
CEQ proposes additional revisions to promote a more efficient and
timely NEPA process by amending parts 1501, 1506, and 1507 relating to
applying NEPA early in the process, scoping, tiering, adoption, use of
current technologies, and avoiding duplication of State, Tribal, and
local environmental reviews; revisions to parts 1501 and 1502 to
provide for presumptive time and page limits; and revisions to clarify
the definitions by amending part 1508.
CEQ also includes provisions to promote informed decision making
and to inform the public about the decision-making process. In parts
1500, 1501, 1502, and 1503, CEQ proposes amendments to ensure agencies
solicit and consider relevant information early in the development of
the draft EIS. In particular, CEQ proposes to direct agencies in the
notice of intent (NOI) to request public comment on potential
alternatives and impacts, and identification of any relevant
information and analyses concerning impacts affecting the quality of
the human environment. Additionally, CEQ proposes to direct agencies to
include a new section in the draft and final EIS summarizing all
alternatives, information, and analyses submitted by the public and to
request comment on the completeness of the summary included in the
draft EIS.
CEQ further proposes to make revisions to part 1503 to ensure that
comments are timely submitted on the draft EIS and on the completeness
of the summary of information submitted by the public, and that
comments are as specific as possible. Additionally, CEQ proposes a
provision in Sec. 1502.18 to require that, based on the summary of the
alternatives, information, and analyses section, the decision maker for
the lead agency certify that the agency has considered such
information. This will advance the purposes of the directive in E.O.
11991 to ensure that EISs are supported by evidence that agencies have
made the necessary environmental analyses. See E.O. 11991, Sec. 1
amending E.O. 11514, Sec. 3(h). Upon certification, the proposed
provisions in Sec. Sec. 1500.3 and 1502.18 would establish a
conclusive presumption that the agency has considered such information.
In conjunction with the certification requirement, this presumption is
[[Page 1692]]
consistent with the longstanding presumption of regularity that
government officials have properly discharged their official duties.
See U.S. Postal Serv. v. Gregory, 534 U.S. 1, 10 (2001) (``[W]e note
that a presumption of regularity attaches to the actions of government
agencies.'' (citing United States v. Chem. Found., Inc., 272 U.S. 1,
14-15 (1926)). This is also consistent with case law upholding
regulatory presumptions. See, e.g., Allentown Mack Sales & Serv. v.
Nat'l Labor Relations Bd., 522 U.S. 359 (1998); Fed. Commc'ns Comm'n v.
Schreiber, 381 U.S. 279 (1965).
Finally, CEQ proposes changes to make the regulations easier to
understand and apply. This includes proposed revisions to simplify and
clarify key definitions in Sec. 1508.1. CEQ also proposes certain
changes to move and consolidate operative language from the definitions
to the relevant regulatory provisions, while leaving the definitional
language in the definitions section. In the existing regulations,
provisions on certain topics are scattered throughout, making it
unnecessarily difficult to navigate the requirements. In some cases,
the NEPA regulations address topics in multiple sections and sometimes
multiple parts. CEQ proposes to revise the regulations to consolidate
provisions and reduce duplication. Such consolidation, reordering, or
reorganizing also would promote greater clarity and ease of use.
A. Proposed Changes Throughout Parts 1500-1508
CEQ proposes several revisions throughout parts 1500-1508 to
provide consistency, improve clarity, and correct grammatical errors.
CEQ proposes to make certain grammatical corrections in the regulations
where it proposes other changes to the regulations to achieve the goals
of this rulemaking, or where CEQ determined the changes are necessary
for the reader to understand fully the meaning of the sentence. CEQ
proposes to revise sentences from passive voice to active voice where
it is helpful to identify the responsible parties. CEQ also proposes to
replace the word ``insure'' with ``ensure,'' consistent with modern
usage. Finally, CEQ proposes to add paragraph letters or numbers to
certain introductory paragraphs where it would improve clarity. CEQ
invites comment on whether it should make these types of changes
throughout the rule or if there are additional specific instances where
CEQ should make these types of changes.
CEQ proposes to add ``Tribal'' to the phrase ``State and local''
throughout the rule to ensure consultation with Tribal entities and to
reflect existing NEPA practice to coordinate or consult with affected
Tribal governments and agencies, as necessary and appropriate for a
proposed action. This proposed change is also in response to comments
on the ANPRM supporting expansion of the recognition of the sovereign
rights, interests, and expertise of Tribes. CEQ proposes to eliminate
the provisions in the current regulations that limit Tribal interest to
reservations. See proposed Sec. Sec. 1501.8(a), 1502.16(a)(5),
1503.1(a)(2)(ii), and 1506.6(b)(3)(ii). The proposed changes are
consistent with and in support of government-to-government consultation
pursuant to E.O. 13175, titled ``Consultation and Coordination With
Indian Tribal Governments.'' \53\
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\53\ 65 FR 67249 (Nov. 9, 2000).
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CEQ proposes several changes for consistent use of certain terms.
In particular, CEQ proposes to change ``entitlements'' to the defined
term ``authorizations'' throughout the proposed regulation and added
``authorizations'' where appropriate to reflect the mandate in E.O.
13807 for better integration and coordination of authorization
decisions and related environmental reviews. CEQ proposes conforming
edits to add or change ``entitlements'' to ``authorizations'' in
proposed Sec. Sec. 1501.2(a), 1501.7(i), 1501.9(d)(4) and (f)(4),
1502.13, 1502.25(b), 1503.3(d), 1506.2, and the definitions of
authorization and participating agency in Sec. 1508.1(c) and (w).
CEQ proposes to use the term ``decision maker'' to refer to an
individual responsible for making decisions on agency actions and to
define the term ``senior agency official'' to refer to an individual
with responsibilities for NEPA compliance. Under the proposed rule, the
senior agency official would be an official of assistant secretary rank
or higher who is responsible for agency compliance. The
responsibilities of this position in the proposed regulations would be
consistent with the responsibilities of senior agency officials in E.O.
13807 to whom anticipated missed or extended permitting timetable
milestones are elevated. The proposed regulations would set forth a
variety of responsibilities for senior agency officials, such as
approval to exceed page or time limits. See proposed Sec. Sec.
1501.5(e), 1501.7(d), 1501.8(b)(6) and (c), 1501.10, 1502.7, and
1507.2.
CEQ proposes to replace ``circulate'' or ``circulation'' with
``publish'' or ``publication'' throughout the rule and make ``publish''
a defined term that provides agencies with the flexibility to make
environmental review and information available to the public by
electronic means not available at the time of promulgation of the CEQ
regulations in 1978. Historically, the practice of circulation included
mailing of hard copies or providing electronic copies on disks or CDs.
While it may be necessary to provide a hard copy or copy on physical
media in limited circumstances, agencies now provide most documents in
an electronic format by posting them online and using email or other
electronic forms of communication to notify interested or affected
parties. This change would help reduce paperwork and delays, and
modernize the NEPA process to be more accessible to the public. CEQ
proposes these changes in proposed Sec. Sec. 1500.4(o), 1501.2(b)(2),
1502.9, 1502.20, 1502.21, 1503.4(c), 1506.3, and 1506.8(c)(2).
CEQ proposes to change the term ``possible'' to ``practicable'' in
proposed Sec. Sec. 1501.7(h)(1) and (2), 1501.9(b)(1), 1502.5,
1502.9(b), 1504.2, and 1506.2(b) and (c). ``Practicable'' is the more
commonly used term in regulations to convey the ability for something
to be done, considering the cost, including time required, technical
and economic feasibility, and the purpose and need for agency action.
Similarly, CEQ proposes to change ``no later than immediately'' to ``as
soon as practicable'' in Sec. 1502.5(b). Finally, CEQ proposes to
refer to the procedures required in Sec. 1507.3 using the term
``agency NEPA procedures'' throughout.
CEQ proposes to eliminate obsolete references and provisions in
several sections of the CEQ regulations. In particular, CEQ proposes to
remove references to the 102 Monitor in 40 CFR 1506.6(b)(2) and
1506.7(c) because the publication no longer exists, and OMB Circular A-
95, which was revoked pursuant to section 7 of E.O. 12372 (47 FR 30959,
July 16, 1982), including the requirement to use State and area-wide
clearinghouses in 40 CFR 1501.4(e)(2), 1503.1(a)(2)(iii), 1505.2, and
1506.6(b)(3)(i).
Finally, CEQ proposes changes to citations and authorities. CEQ
would update the authorities sections for each part to correct the
format. CEQ also proposes to remove cross-references to the sections of
part 1508, ``Definitions,'' and to update or insert new cross-
references throughout the rule to reflect revised or new sections.
[[Page 1693]]
B. Proposed Revisions To Update the Purpose, Policy, and Mandate (Part
1500)
In part 1500, CEQ proposes several revisions to update the policy
and mandate sections of the regulations to reflect statutory, judicial,
policy, and other developments since the CEQ regulations were issued in
1978.
CEQ specifically proposes to retitle and revise Sec. 1500.1,
``Purpose and Policy'' to align this section with the statutory text of
NEPA and certain case law and reflect the procedural requirements of
section 102(2) (42 U.S.C. 4332(2)). In particular, the proposed
revisions would provide that NEPA is a procedural statute intended to
ensure Federal agencies consider the environmental impacts of their
actions in the decision-making process. The Supreme Court has made
clear that NEPA is a procedural statute that does not mandate
particular results; ``[r]ather, NEPA imposes only procedural
requirements on [F]ederal agencies with a particular focus on requiring
agencies to undertake analyses of the environmental impact of their
proposals and actions.'' Pub. Citizen, 541 U.S. at 756-57 (citing
Methow Valley, 490 U.S. at 349-50); see also Vt. Yankee, 435 U.S. at
558 (``NEPA does set forth significant substantive goals for the
Nation, but its mandate to the agencies is essentially procedural.'').
CEQ proposes to revise Sec. 1500.1(a) to summarize section 101 of
the Act (42 U.S.C. 4331). CEQ further proposes to revise Sec.
1500.1(a) to reflect that section 102(2) establishes the procedural
requirements to carry out the policy stated in section 101.
Additionally, CEQ proposes to revise Sec. 1500.1(a) to reflect,
consistent with the case law, that the purpose and function of NEPA is
satisfied if Federal agencies have considered relevant environmental
information, that the public has been informed regarding the decision-
making process, and that NEPA does not mandate particular results or
substantive outcomes. These proposed revisions would revise paragraph
(a) in Sec. 1500.1 to replace the vague reference to ``action-
forcing'' provisions ensuring that Federal agencies act ``according to
the letter and spirit of the Act'' with a more specific reference to
the consideration of environmental impacts of their actions in agency
decisions. These changes would codify the Supreme Court's
interpretation of section 102 as serving NEPA's ``action-forcing''
purpose in two important respects: Section 102 ``ensures that the
agency, in reaching its decision, will have available, and will
carefully consider, detailed information concerning significant
environmental impacts; it also guarantees that the relevant information
will be made available to the larger audience that may also play a role
in both the decision[-]making process and the implementation of that
decision.'' Methow Valley, 490 U.S. at 349 (citing Balt. Gas & Elec.
Co., 462 U.S. at 97; Weinberger, 454 U.S. at 143); see also Winter v.
Nat. Res. Def. Council, Inc., 555 U.S. 7, 23 (2008); Pub. Citizen, 541
U.S. at 756-58.
CEQ proposes to revise Sec. 1500.1(b) to describe the regulations
that follow consistent with the proposed revisions. In particular, CEQ
proposes to revise this paragraph to reflect that the regulations
include direction to Federal agencies to determine what actions are
subject to NEPA's procedural requirements and the level of NEPA review,
where applicable. The proposed revisions also reflect that the
regulations are intended to ensure that relevant environmental
information is identified and considered early in the process in order
to ensure informed decision making by Federal agencies. The proposed
revisions reflect that, consistent with E.O. 13807 and the purposes of
the regulations as originally promulgated in 1978, the regulations are
intended to reduce unnecessary burdens and delays. These proposed
revisions are supported by many comments submitted in response to the
ANPRM requesting revisions to promote more efficient and timely reviews
under NEPA. These proposed amendments emphasize that the policy of
integrating NEPA with other environmental reviews is to promote
concurrent and timely reviews and decision making consistent with
statutes, Executive Orders, and CEQ guidance. See, e.g., 42 U.S.C.
5189g; 23 U.S.C. 139; 42 U.S.C. 4370m et seq.; E.O. 13604; E.O. 13807;
Mitigation Guidance, supra note 18, and Timely Environmental Reviews
Guidance, supra note 21. Finally, CEQ proposes to strike Sec. 1500.2,
``Policy,'' which is duplicative of subsequent sections of the
regulations, in order to simplify the regulations and eliminate
redundancy and repetition.
CEQ proposes to make a number of revisions and additions, to Sec.
1500.3, ``NEPA compliance,'' and to provide paragraph headings to
improve readability. CEQ proposes to amend the discussion of paragraph
(a), ``Mandate,'' to clarify that agency NEPA procedures to implement
the CEQ regulations, as provided for in Sec. 1507.3, shall not impose
additional procedures or requirements beyond those set forth in the CEQ
regulations except as otherwise provided by law or for agency
efficiency. CEQ intends that this provision will prevent agencies from
designing additional procedures that will result in increased costs or
delays.
CEQ proposes to add a new Sec. 1500.3(b), ``Exhaustion,'' which
would provide that agencies must request comments on potential
alternatives and impacts and identification of any relevant
information, studies, or analyses of any kind concerning impacts
affecting the quality of the human environment in the notice of intent
to prepare an EIS. It would provide that comments on draft EISs and any
information on environmental impacts or alternatives to a proposed
action must be timely submitted to ensure informed decision making by
Federal agencies. CEQ further proposes to provide that comments not
timely raised and information not provided shall be deemed unexhausted
and forfeited. This reinforces that parties may not raise claims based
on issues they did not raise during the public comment period.
It also would provide that agencies must include in the EIS a
summary of comments received, and any objections to that summary must
be submitted within 30 days of the publication of the notice of
availability of the final EIS. Based on the summary, the decision maker
must certify in the record of decision that the agency has considered
all of the alternatives, information, and analyses submitted by public
commenters.
In addition, CEQ proposes to add a new Sec. 1500.3(c), ``Actions
regarding NEPA compliance,'' to reflect the development of case law
since the promulgation of the CEQ regulations. Specifically, CEQ
proposes to revise the sentence regarding timing of judicial review to
strike references to the filing of an EIS or FONSI and replace it with
the issuance of a signed ROD or the taking of another final agency
action. Under the APA, judicial review does not occur until an agency
has taken final agency action. Bennett v. Spear, 520 U.S. 154, 177-78
(1997) (the action must mark the consummation of the agency's decision-
making process--it must not be of a merely tentative or interlocutory
nature--and the action must be one by which rights or obligations have
been determined or from which legal consequences will flow (citations
omitted)). Because NEPA's procedural requirements apply to proposals
for agency action, judicial review should not occur until the agency
has completed its decision-making process. Final agency action for
judicial review purposes is not necessarily when the agency publishes
the final EIS, issues a
[[Page 1694]]
FONSI, or makes the determination to categorically exclude an action;
however, an agency may designate any of these as its final agency
action. CEQ also proposes to strike vague language and to clarify that
an agency can remedy harm from the failure to comply with NEPA by
complying with the Act as interpreted in these regulations.
The CEQ regulations create no presumption that violation of NEPA is
a basis for injunctive relief or for a finding of irreparable harm. As
the Supreme Court has held, the irreparable harm requirement, as a
prerequisite to the issuance of preliminary or permanent injunctive
relief, is neither eliminated nor diminished in NEPA cases. A showing
of a NEPA violation alone does not warrant injunctive relief and does
not satisfy the irreparable harm requirement. See Monsanto Co. v.
Geertson Seed Farms, 561 U.S. 139, 157 (2010) (``[T]he statements
quoted above [from prior Ninth Circuit cases] appear to presume that an
injunction is the proper remedy for a NEPA violation except in unusual
circumstances. No such thumb on the scales is warranted.''); Winter,
555 U.S. at 21-22, 31-33; see also Amoco Prod. Co. v. Vill. of Gambell,
480 U.S. 531, 544-545 (1987) (rejecting proposition that irreparable
damage is presumed when an agency fails to evaluate thoroughly the
environmental impact of a proposed action). Moreover, a showing of
irreparable harm in a NEPA case does not entitle a litigant to an
injunction or a stay. See Winter, 555 U.S. at 20 (``A plaintiff seeking
a preliminary injunction must establish that he is likely to succeed on
the merits, that he is likely to suffer irreparable harm in the absence
of preliminary relief, that the balance of equities tips in his favor,
and that an injunction is in the public interest.'') (emphasis added);
Geertson Seed Farms, 561 U.S. at 157 (``The traditional four-factor
test applies when a plaintiff seeks a permanent injunction to remedy a
NEPA violation. . . . An injunction should issue only if the
traditional four-factor test is satisfied.'').
CEQ proposes to clarify that NEPA and the APA allow agencies the
flexibility to structure their decision-making processes to allow
opportunities for affected parties to seek a stay of an agency's final
decision from the agency pending judicial review of the decision. Such
stays are authorized by the APA, are expressly contemplated by Fed. R.
App. P. 18, and are analogous in key respects to stays of district
court judgments available under Fed. R. Civ. P. 62(b) and (d). See 5
U.S.C. 705; see also Fed. R. App. P. 18(a)(1) and 18(a)(2)(A). In
appropriate circumstances, agencies may impose bond and security
requirements or other conditions. See, e.g., 5 U.S.C. 301,\54\ as a
prerequisite to staying their decisions, as courts do under Fed. R.
App. P. 18 and other rules.\55\ See Fed. R. App. P. 18(b); Fed. R. App.
P. 8(a)(2)(E); Fed. R. Civ. P. 65(c); Fed. R. Civ. P. 62(b); Fed. R.
Civ. P. 62(d). CEQ invites comment on whether there are disclosure or
other transparency requirements that should be required when agencies
establish bond or security requirements or other conditions.
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\54\ 5 U.S.C. 301, titled ``Department regulations,'' is known
as the housekeeping statute and permits the head of a Department to
promulgate regulations ``for the government of his department, the
conduct of its employees, the distribution and performance of its
business, and the custody, use, and preservation of its records,
papers, and property.'' The purpose of this statute is ``simply a
grant of authority to [an] agency to regulate its own affairs''
through ``what the APA terms `rules of agency organization,
procedure or practice' as opposed to `substantive rules.' ''
Chrysler Corp. v. Brown, 441 U.S. 281, 309-10 (1979).
\55\ CEQ notes that there is no ``NEPA exception'' that exempts
litigants bringing NEPA claims from otherwise applicable bond or
security requirements or other appropriate conditions, and that some
courts have imposed substantial bond requirements in NEPA cases.
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In addition to the authority provided by 5 U.S.C. 705 and by
agencies' various organic statutes, agency stays of their decisions and
appropriate conditions on such stays may further the purposes of NEPA,
which provides that all Federal agencies shall identify and develop
methods and procedures, in consultation with CEQ, to ensure that
environmental amenities and values are given appropriate consideration
in decision making along with economic and technical considerations. 42
U.S.C. 4332(B). Agency procedures that allow for agencies to stay their
decisions, including appropriate conditions on stays, can contribute to
an orderly process whereby judicial review of agency decisions may
occur, furthering NEPA's mandate to agencies to develop methods and
procedures to ensure the appropriate consideration of environmental,
economic, and technical factors in agency decision making. CEQ invites
comment on how agencies can structure their processes to ensure
appropriate consideration of these factors.
CEQ proposes to add a new Sec. 1500.3(d), ``Remedies.'' CEQ
proposes to state explicitly that harm from the failure to comply with
NEPA can be remedied by compliance with NEPA's procedural requirements,
and that CEQ's regulations do not create a cause of action for
violation of NEPA. The statute does not create any such cause of
action, and agencies may not create private rights of action by
regulation; ``[l]ike substantive [F]ederal law itself, private rights
of action to enforce [F]ederal law must be created by Congress.''
Alexander v. Sandoval, 532 U.S. 275, 286 (2001). CEQ also proposes to
state that any actions to review, enjoin, stay, or alter an agency
decision on the basis of an alleged NEPA violation be raised as soon as
practicable to avoid or minimize any costs to agencies, applicants, or
any affected third parties. As reflected in comments received in
response to the ANPRM, delays have the potential to result in
substantial costs.
CEQ also proposes to state that minor, non-substantive errors that
have no effect on agency decision making shall be considered harmless
and shall not invalidate an agency action. This would replace and
update 40 CFR 1500.3, which provides that trivial violations should not
give rise to an independent cause of action. Invalidating actions due
to minor errors does not advance the goals of the statute and adds
delays and costs.
Finally, CEQ proposes to add a new Sec. 1500.3(e),
``Severability,'' to address the possibility that this rule, or
portions of this rule, may be challenged in litigation. It is CEQ's
intent that the individual sections of this rule be severable from each
other, and that if any sections or portions of the regulations are
stayed or invalidated, the validity of the remainder of the sections
shall not be affected and shall continue to be operative.
CEQ proposes to reorder the paragraphs in Sec. 1500.4, ``Reducing
paperwork,'' and Sec. 1500.5, ``Reducing delay,'' for a more logical
ordering, consistent with the three levels of NEPA review. Finally, CEQ
proposes edits to Sec. 1500.4 and Sec. 1500.5 for consistency with
proposed edits to the cross-referenced sections.
Finally, as noted above, CEQ proposes to add a savings clause to
Sec. 1500.6, ``Agency authority,'' to clarify that the CEQ regulations
do not limit an agency's other authorities or legal responsibilities.
This clarification is consistent with section 104 of NEPA (42 U.S.C.
4334) and the current regulations, but acknowledges the possibility of
different statutory authorities that may set forth different
requirements, such as timeframes.
CEQ invites comment on the proposed changes to part 1500,
particularly proposed Sec. 1500.3 and whether CEQ should include any
additional changes or provisions to advance timely resolution of
disputes related to NEPA compliance to ensure a
[[Page 1695]]
timely and predictable process, and avoidance of litigation.
C. Proposed Revisions to NEPA and Agency Planning (Part 1501)
CEQ proposes significant changes to part 1501. CEQ proposes to
replace the current 40 CFR 1501.1, ``Purpose,'' because it is
unnecessary and duplicative, with a new section to address threshold
considerations. CEQ proposes to add additional sections to address the
level of NEPA review and CEs. CEQ further proposes to consolidate and
clarify provisions on EAs and FONSIs, and relocate from part 1502 the
provisions on tiering and incorporation by reference. CEQ also proposes
to set presumptive time limits for the completion of NEPA reviews, and
clarify the roles of lead and cooperating agencies to further the OFD
policy and encourage more efficient and timely NEPA reviews.
1. NEPA Threshold Applicability Analysis (Sec. 1501.1)
Since the enactment of NEPA, courts have examined the applicability
of NEPA based on a variety of considerations. For example, courts have
found that NEPA is inapplicable where an agency is carrying out a non-
discretionary duty or obligation, where an agency's statutory
obligations clearly or fundamentally conflict with NEPA compliance,
where Congress has established requirements under another statute that
displaces NEPA compliance, and where environmental review and public
participation procedures under another statute are functionally
equivalent to those required by NEPA.
CEQ proposes a new Sec. 1501.1, ``NEPA threshold applicability
analysis,'' to provide a series of considerations to assist agencies in
a threshold analysis for determining whether NEPA applies. CEQ also
proposes related changes in Sec. 1507.3(c) to provide that agencies
may identify actions that are not subject to NEPA in their agency NEPA
procedures. Paragraph (b) of Sec. 1501.1 would clarify that agencies
can also make this determination on a case-by-case basis.
2. Apply NEPA Early in the Process (Sec. 1501.2)
CEQ proposes to amend the introductory paragraph of Sec. 1501.2,
``Apply NEPA early in the process,'' to change ``shall'' to ``should''
and ``possible'' to ``reasonable.'' Agencies need the discretion to
structure the timing of their NEPA processes to align with their
decision-making processes, consistent with their statutory authorities.
Agencies need flexibility to determine the appropriate time to start
the NEPA process, based on the context of the particular proposed
action and governed by the rule of reason, so that the NEPA analysis
meaningfully informs the agency's decision. The appropriate time to
begin the NEPA process is dependent on when the agency has sufficient
information and how it can most effectively integrate the NEPA review
into the agency's decision-making process. Further, some have viewed
this provision as a legally enforceable standard, rather than an
opportunity for agencies to integrate NEPA into their decision-making
programs and processes. CEQ's view is that agencies should have
discretion with respect to timing, consistent with its regulatory
provisions for deferring NEPA analysis to appropriate points in the
decision-making process. See 40 CFR 1508.28. This proposed amendment is
consistent with CEQ guidance that agencies should ``concentrate on
relevant environmental analysis'' in their EISs rather than
``produc[ing] an encyclopedia of all applicable information.'' Timely
Environmental Reviews Guidance, supra note 21; see also 40 CFR
1500.4(b) and 1502.2(a). Therefore, CEQ proposes these changes to
clarify that agencies have discretion to structure their NEPA processes
in accordance with the rule of reason. CEQ also proposes to change
``possible'' to ``reasonable'' in paragraph (b)(4)(iii) and ``shall''
to ``should'' in the introductory paragraph of Sec. 1502.5 for
consistency.
CEQ also proposes to amend Sec. 1501.2(b)(2) to clarify that
agencies should consider economic and technical analyses along with
environmental effects. Finally, CEQ proposes to amend paragraph
(b)(4)(ii) to change ``agencies'' to ``governments'' consistent with
and in support of government-to-government consultation pursuant to
E.O. 13175 \56\ and E.O. 13132, ``Federalism.'' \57\ For consistency,
CEQ also proposes revisions to Sec. Sec. 1501.9(b) and
1503.1(a)(2)(ii).
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\56\ Supra note 53.
\57\ 64 FR 43255 (Aug. 10, 1999).
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3. Determine the Appropriate Level of NEPA Review (Sec. 1501.3)
NEPA requires a ``detailed statement'' for ``major Federal actions
significantly affecting the quality of the human environment.'' 42
U.S.C. 4332(2)(C). To determine whether an action requires such a
detailed statement, the CEQ regulations provide three levels of review
for Federal agencies to assess proposals for agency action.
Specifically, the CEQ regulations allow agencies to review
expeditiously those actions that normally do not have significant
effects by using CEs or, for actions that are not likely to have
significant effects, by preparing an EA. Through the use of CEs and
EAs, agencies then can focus their limited resources on those actions
that are likely to have significant effects and require the ``detailed
statement,'' or EIS, required by NEPA.
While the existing CEQ regulations provide for these three levels
of NEPA review, they do not clearly set out the decisional framework by
which agencies should assess their proposed actions and select the
appropriate level of review. To provide this direction and clarity, the
proposed rule would add two additional sections to part 1501, renumber
the remaining sections, and retitle two sections. The proposed Sec.
1501.3, ``Determine the appropriate level of NEPA review,'' would
describe the three levels of NEPA review and the basis upon which an
agency makes a determination regarding the appropriate level of review
for a proposed action. While this section would supplement the existing
regulations, these concepts exist in the current 40 CFR 1501.4 (whether
to prepare an EIS), 1508.4 (CEs), and 1508.9 (EAs).
Additionally, paragraph (b) would address the consideration of
significance, which is central to determining the appropriate level of
review. CEQ proposes to move and simplify the operative language from
40 CFR 1508.27, ``Significantly.'' CEQ proposes to change ``context''
to ``potentially affected environment'' and ``intensity'' to ``degree''
to provide greater clarity as to what agencies should consider in
assessing potential significant effects. CEQ did not include a
consideration regarding controversy (40 CFR 1508.27(b)(4)) because this
has been interpreted to mean scientific controversy. Additionally, CEQ
did not include a consideration regarding the reference in 40 CFR
1508.27(b)(7) to ``[s]ignificance cannot be avoided by terming an
action temporary or by breaking it down into small component parts''
because this is addressed in the criteria for scope in Sec. 1501.9(e)
and Sec. 1502.4(a), which would provide that agencies evaluate in a
single EIS proposals or parts of proposals that are related closely
enough to be, in effect, a single course of action.
4. Categorical Exclusions (CEs) (Sec. 1501.4)
Under the CEQ regulations, agencies can categorically exclude
actions from detailed review where the agency has found in its agency
NEPA procedures that the action normally would not have
[[Page 1696]]
significant effects. Over the past 4 decades, Federal agencies have
developed and documented more than 2,000 CEs.\58\ CEQ estimates that
each year, Federal agencies apply CEs to approximately 100,000 Federal
agency actions that typically require little or no documentation.\59\
While CEs are the most common level of NEPA review, CEQ has only
addressed CE development and implementation in one comprehensive
guidance document, see CE Guidance, supra note 17, and does not address
CEs in detail in its current regulations.
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\58\ See Council on Environmental Quality, List of Federal
Agency Categorical Exclusions (Dec. 14, 2018), https://ceq.doe.gov/nepa-practice/categorical-exclusions.html.
\59\ See, e.g., Council on Environmental Quality, The Eleventh
and Final Report on the National Environmental Policy Act Status and
Progress for American Recovery and Reinvestment Act of 2009
Activities and Projects (Nov. 2, 2011), https://ceq.doe.gov/docs/ceq-reports/nov2011/CEQ_ARRA_NEPA_Report_Nov_2011.pdf.
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In response to the ANPRM, many commenters requested that CEQ update
the NEPA regulations to provide more detailed direction on the
application of CEs. To provide greater clarity, CEQ proposes to add a
new section on CEs. The proposed Sec. 1501.4, ``Categorical
exclusions,'' would address in more detail the process by which an
agency considers whether a proposed action is categorically excluded
under NEPA. This proposed provision is consistent with the definition
of categorical exclusion in 40 CFR 1508.4, which is a category of
actions that the agency has found normally do not have a significant
effect and listed in its agency NEPA procedures.
The proposed CE section would provide additional clarity on the
process that agencies follow in applying a CE. In particular, paragraph
(a) would provide that agencies identify CEs in their NEPA procedures,
consistent with the requirement to establish CEs in agency NEPA
procedures currently set forth in 40 CFR 1507.3(b)(2)(ii). The proposed
regulations would move the requirement that agency NEPA procedures
provide for extraordinary circumstances from the current 40 CFR 1508.4
to the proposed Sec. 1507.3(d)(2)(ii) to consolidate all the
requirements for establishing CEs in that regulation, while providing
in the proposed Sec. 1501.4 the procedure for evaluation of a proposed
action for extraordinary circumstances. The definition of categorical
exclusion only applies to those CEs created by an administrative
determination in its agency NEPA procedures and does not apply to
``legislative categorical exclusions'' created by Congress, which are
governed by the terms of the specific statute and statutory
interpretation of the agency charged with the implementation of the
statute.
Paragraph (b) of proposed Sec. 1501.4 would set forth the
requirement for consideration of extraordinary circumstances once an
agency determines that a CE covers a proposed action, consistent with
the current requirement in 40 CFR 1508.4. Finally, paragraph (b)(1)
would provide that, when extraordinary circumstances are present,
agencies may consider whether mitigating circumstances, such as the
design of the proposed action to avoid effects that create
extraordinary circumstances, are sufficient to allow the proposed
action to be categorically excluded. The change would clarify that the
mere presence of extraordinary circumstances does not preclude the
application of a CE. Rather, the agency may consider whether there is a
close causal relationship between a proposed action and the potential
effect on the conditions identified as extraordinary circumstances, and
if such a relationship exists, the potential effect of a proposed
action on these conditions. Accordingly, the agency could modify the
proposed action to avoid the extraordinary circumstances so that the
action fits in the categorical exclusion. While this reflects current
practice for some agencies,\60\ this revision would assist agencies as
they consider whether to categorically exclude an action that would
otherwise be considered in an EA and FONSI.
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\60\ See, e.g., Forest Service categorical exclusions, 36 CFR
220.6(b)(2) and surface transportation categorical exclusions, 23
CFR 771.116-771.118.
---------------------------------------------------------------------------
CEQ invites comment on these proposed revisions and on whether
there are any other aspects of CEs that CEQ should address in its
regulations. Specifically, CEQ invites comment on whether it should
establish government-wide CEs in its regulations to address routine
administrative activities, for example, internal orders or directives
regarding agency operations, procurement of office supplies and travel,
and rulemakings to establish administrative processes such as those
established under the Freedom of Information Act or Privacy Act.
Alternatively, CEQ invites comment on whether and how CEQ should revise
the definition of major Federal action to exclude these categories from
the definition, and if so, suggestions on how it should be addressed.
5. Environmental Assessments (EAs) (Sec. 1501.5)
Under the current CEQ regulations, when an agency has not
categorically excluded a proposed action, the agency can prepare an EA
to document its effects analysis. If the analysis in the EA
demonstrates that the action's effects would not be significant, the
agency documents its reasoning in a FONSI, which completes the NEPA
process; otherwise, the agency uses the EA to help prepare an EIS. See
40 CFR 1508.9 and 1508.13. CEQ estimates that Federal agencies prepare
approximately 10,000 EAs each year.\61\
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\61\ See, e.g., Council on Environmental Quality, Fourth Report
on Cooperating Agencies in Implementing the Procedural Requirements
of the National Environmental Policy Act, Attachment A (Oct. 4,
2016), https://ceq.doe.gov/docs/ceq-reports/Attachment-A-Fourth-Cooperating-Agency-Report_Oct2016.pdf.
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The current CEQ regulations address the requirements for EAs in a
few provisions, and, in response to the ANPRM, some commenters
requested that the regulations provide more detailed direction related
to EAs. Currently, 40 CFR 1508.9 defines an EA as a ``concise public
document'' that agencies may use to comply with NEPA and determine
whether to prepare an EIS or a FONSI. This section also sets forth the
basic requirements for an EA's contents. Current 40 CFR 1501.4(b)
provides the public involvement requirements for EAs. These essential
requirements of an EA would remain under the proposed regulations, but
CEQ proposes to consolidate them into a single section to improve
readability.
Under the current regulations, the format for an EA is flexible and
responsive to agency decision-making needs and the circumstances of the
particular proposal for agency action. The proposed CEQ regulations
would continue to provide that an EA may be prepared by and with other
agencies, applicants, and the public. Modern information technology can
help facilitate this collaborative EA preparation, allowing the agency
to make a coordinated but independent evaluation of the environmental
issues and assume responsibility for the scope and content of the EA.
CEQ proposes to revise paragraph (a) of proposed Sec. 1501.5
(current 40 CFR 1501.3) to clarify that an agency must prepare an EA
when necessary to determine whether a proposed action would have a
significant effect or the significance of the effects is unknown,
unless a CE applies to the proposed action or the agency decides to
prepare an EIS. CEQ proposes to move the operative language relating to
an EA
[[Page 1697]]
from the definition of EAs currently in 40 CFR 1508.9 to a new
paragraph (c).
Under the proposed CEQ regulations, requirements for documenting
the proposed action and alternatives in an EA would continue to be more
limited than EIS requirements. Under the existing and proposed
regulations, an agency must briefly describe the need for the proposed
action. Agencies can do this by briefly describing the existing
conditions, projected future conditions, and statutory obligations and
authorities that may relate to the proposed agency action with cross-
references to supporting documents. The proposed CEQ regulations would
continue to require agencies to describe briefly the proposed action
and any alternatives it is considering that would meet the need of the
proposed agency action. For actions to protect or restore the
environment, without unresolved conflicts concerning alternative uses
of available resources, CEQ expects agencies to examine a narrower
range of alternatives to the proposed action. When the project may have
significant impacts, the agency should consider reasonable alternatives
that would avoid those impacts or otherwise mitigate those impacts to
less than significant levels.
An agency does not need to include a detailed discussion of each
alternative in an EA, nor does it need to include any detailed
discussion of alternatives that it eliminated from study. While
agencies have discretion to include more information in their EAs than
is required to determine whether to prepare an EIS or a FONSI, they
should carefully consider their reasons and have a clear rationale for
doing so. Agencies should focus on analyzing material effects and
alternatives, rather than marginal details that may unnecessarily delay
the environmental review process.
Under both the current and proposed regulations, an agency must
describe the environmental impacts of its proposed action and
alternatives, providing enough information to support a determination
to prepare either a FONSI or an EIS. The EA should focus on whether the
proposed action (including mitigation) would ``significantly'' affect
the quality of the human environment and tailor the length of the
discussion to the relevant effects. The agency may contrast the impacts
of the proposed action and alternatives with the current and expected
future conditions of the affected environment in the absence of the
action, which constitutes consideration of a no-action alternative.
Under both the current and proposed regulations, an agency should
list the ``agencies, applicants, and the public'' involved in preparing
the EA to document agency compliance with the requirement to ``involve
environmental agencies, applicants, and the public, to the extent
practicable, in preparing assessments.'' 40 CFR 1501.4(b); see also
1508.9(b). This may include incorporation by reference to the records
related to compliance with other environmental laws such as the
National Historic Preservation Act, Clean Water Act, Endangered Species
Act, or Clean Air Act.
CEQ proposes to move the public involvement requirements for EAs
from the current 40 CFR 1501.4(b) to proposed Sec. 1501.5(d) and
change ``environmental'' to ``relevant'' agencies to include all
agencies that may contribute information that is relevant to the
development of an EA. Consistent with the current CEQ regulations, the
proposed rule would not specifically require publication of a draft EA
for public review and comment. The proposed CEQ regulations would
continue to require that agencies reasonably involve relevant agencies,
the applicant, and the public prior to completion of the EA, so that
they may provide meaningful input on those subject areas that the
agency must consider in preparing the EA. See also 40 CFR 1506.6(b) and
1508.9(a). Depending on the circumstances, the agency could provide
adequate information through public meetings or by a detailed scoping
notice, for example. There is no single correct approach for public
involvement. Rather, agencies should consider the circumstances and
have discretion to conduct public involvement tailored to the
interested public, to available means of communications to reach the
interested and affected parties, and to the particular circumstances of
each proposed action.
Paragraph (e) would establish a presumptive 75-page limit for EAs,
but allow a senior agency official to approve a longer length and
establish a new page limit in writing. While CEQ has stated in Question
36a of the Forty Questions, supra note 10, that EAs should be
approximately 10 to 15 pages, in practice, such assessments are often
longer to address compliance with other applicable laws, and to
document the effects of mitigation to support a FONSI. To achieve the
presumptive 75-page limit, agencies should write all NEPA environmental
documents in plain language, follow a clear format, and emphasize
important impact analyses and relevant information necessary for those
analyses, rather than providing extensive background material. An EA
should have clear and concise conclusions and may incorporate by
reference data, survey results, inventories, and other information that
support these conclusions, so long as this information is reasonably
available to the public.
The proposed presumptive page limit for EAs will promote more
readable documents, but also provide agencies flexibility to prepare
longer documents, where necessary, to support the agency's analysis.
The proposed presumptive page limit is consistent with CEQ's guidance
on EAs, which advises agencies to avoid preparing lengthy EAs except in
unusual cases where a proposal is so complex that a concise document
cannot meet the goals of an EA and where it is extremely difficult to
determine whether the proposal could cause significant effects.
Question 36a and 36b, Forty Questions, supra note 10.
CEQ believes that page limits will encourage agencies to identify
the relevant issues, focus on significant environmental impacts, and
prepare concise readable documents that will inform decision makers as
well as the public. Voluminous, unfocused environmental documents do
not advance the goals of informed decision making or protection of the
environment.
CEQ proposes conforming edits to Sec. 1500.4(c) to broaden the
paragraph to include EAs by changing ``environmental impact
statements'' to ``environmental documents'' and changing ``setting'' to
``meeting'' since page limits would be required for both EAs and EISs.
CEQ invites comment on the appropriate presumptive page limit for EAs,
the means of managing their level of detail, and their role in agency
decision making.
CEQ proposes a new paragraph (f) to clarify that agencies may also
apply certain provisions in part 1502 regarding incomplete or
unavailable information, methodology and scientific accuracy, and
coordination of environmental review and consultation requirements to
EAs. CEQ also proposes to add EAs to Sec. 1501.11, ``Tiering,'' to
codify current agency practice of using EAs where the effects of a
proposed agency action are not likely to be significant. These include
program decisions that may facilitate later site-specific EISs as well
as the typical use of EAs as a second-tier document tiered from an EIS.
In addition to the new Sec. 1501.5, CEQ proposes to add EAs to
other sections of the regulations to codify existing agency practice
where it would make the NEPA process more efficient and effective. As
[[Page 1698]]
discussed in section II.C.9, CEQ also proposes to make a presumptive
time limit applicable to EAs in Sec. 1501.10. Further, for some
agencies, it is a common practice to have lead and cooperating agencies
coordinate in the preparation of EAs where more than one agency may
have an action on a proposal; therefore, CEQ also proposes to add EAs
to Sec. Sec. 1501.7 and 1501.8.
CEQ invites comment on these proposed revisions and on whether
there are any other aspects of EAs that CEQ should address in its
regulations.
6. Findings of No Significant Impact (FONSIs) (Sec. 1501.6)
When an agency determines in its EA that an EIS is not required, it
typically prepares a FONSI. The FONSI reflects that the agency has
engaged in the necessary review of environmental impacts under NEPA.
The FONSI shows that the agency examined the relevant data and
explained the agency findings by providing a rational connection
between the facts presented in the EA and the conclusions drawn in the
finding. Any finding should clearly identify the facts found and the
conclusions drawn by the agency based on those facts.
In response to the ANPRM, CEQ received comments requesting that CEQ
update its regulations to consolidate and provide more detailed
direction relating to FONSIs. CEQ proposes to consolidate the operative
language of 40 CFR 1508.13, ``Finding of no significant impact,'' with
40 CFR 1501.4, ``Whether to prepare an environmental impact
statement,'' in the proposed Sec. 1501.6, ``Findings of no significant
impact.'' CEQ proposes to strike paragraph (a) as these requirements
are addressed in Sec. 1507.3(d)(2). As noted above, paragraph (b)
would move to the proposed Sec. 1501.5, ``Environmental assessments.''
This proposed EA section also addresses paragraph (c), so CEQ proposes
to strike it from the proposed FONSI section. Similarly, CEQ proposes
to strike paragraph (d) because this requirement is addressed in Sec.
1501.9, ``Scoping'' (current 40 CFR 1501.7).
CEQ proposes to make the current 40 CFR 1501.4(e) the new Sec.
1501.6(a), and revise the language to clarify that an agency must
prepare a FONSI when it determines that a proposed action will not have
significant effects based on the analysis in the EA. CEQ would revise
proposed paragraph (a)(2) to clarify that the circumstances listed in
paragraph (i) and (ii) are the situations where the agency must make a
FONSI available for public review.
CEQ proposes to move the substantive requirement that a FONSI
include the EA or a summary from the definition of FONSI (currently 40
CFR 1508.13) to a new paragraph (b). Additionally, CEQ proposes the
addition of a new paragraph (c) to address mitigation. Specifically,
where mitigation is required under another statute or where an agency
is issuing a mitigated FONSI, it would require the agency to include
the legal basis for any mitigation adopted.\62\ Additionally, it would
codify the practice of mitigated FONSIs, consistent with CEQ's
Mitigation Guidance, by requiring agencies to document mitigation,
including enforceable mitigation requirements or commitments that will
be undertaken to avoid significant impacts.\63\ When preparing an EA,
many agencies develop, consider, and commit to mitigation measures to
avoid, minimize, rectify, reduce, or compensate for potentially
significant adverse environmental impacts that would otherwise require
preparation of an EIS. An agency can commit to mitigation measures for
a mitigated FONSI when it can ensure that the mitigation will be
performed, when the agency expects that resources will be available,
and when the agency has sufficient legal authorities to ensure
implementation of the proposed mitigation measures. This codification
of CEQ guidance is not intended to create a different standard for
analysis of mitigation for a ``mitigated FONSI,'' but to provide
clarity regarding the use of FONSIs.
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\62\ As discussed in sections I.B.1 and II.B, NEPA is a
procedural statute and does not require adoption of mitigation.
However, agencies may consider mitigation measures that would avoid,
minimize, rectify, reduce, or compensate for potentially significant
adverse environmental impacts and may require mitigation pursuant to
substantive statutes.
\63\ The Mitigation Guidance, supra note 18, amended and
supplemented the Forty Questions, supra note 10, specifically
withdrawing Question 39 insofar as it suggests that mitigation
measures developed during scoping or in an EA ``[do] not obviate the
need for an EIS.''
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7. Lead and Cooperating Agencies (Sec. Sec. 1501.7 and 1501.8)
In response to the ANPRM, CEQ received comments requesting that CEQ
update its regulations to clarify the roles of lead and cooperating
agencies. The 1978 CEQ regulations created the roles of lead agency and
cooperating agencies for NEPA reviews, which are critical for actions,
such as non-Federal projects, requiring the approval or authorization
of multiple agencies. Agencies need to coordinate and synchronize their
NEPA processes to ensure an efficient environmental review that does
not cause delays. In recent years, Congress and several administrations
have worked to establish a more synchronized procedure for multi-agency
NEPA reviews and related authorizations, including through the
development of expedited procedures such as the section 139 process and
FAST-41.
CEQ proposes a number of modifications to Sec. 1501.7, ``Lead
agencies,'' (current 40 CFR 1501.5), and Sec. 1501.8, ``Cooperating
agencies,'' (current 40 CFR 1501.6), to improve interagency
coordination, make development of NEPA documents more efficient, and
facilitate implementation of the OFD policy. CEQ intends these
modifications to improve the efficiency and outcomes of the NEPA
process--including cost reduction, improved relationships, and better
outcomes that avoid litigation--by promoting environmental
collaboration.\64\ These modifications are consistent with Questions
14a and 14c of the Forty Questions, supra note 10. CEQ proposes to
apply Sec. Sec. 1501.7 and 1501.8 to EAs as well as EISs consistent
with agency practice. Consistent with the OFD policy to ensure
coordinated and timely reviews, CEQ also proposes to add a Sec.
1501.7(g) to require that Federal agencies evaluate proposals involving
multiple Federal agencies in a single EIS and issue a joint ROD \65\ or
single EA and joint FONSI when practicable. CEQ further proposes to
move language from the current cooperating agency provision, 40 CFR
1501.6(a), that addresses the lead agency's responsibilities with
respect to cooperating agencies to proposed paragraph (h) in Sec.
1501.7 so that all of the lead agency's responsibilities are in a
single section. CEQ also proposes to clarify in paragraph (h)(4) that
the lead agency is responsible for determining the purpose and need and
alternatives in consultation with any cooperating agencies.\66\
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\64\ See, e.g., Federal Forum on Environmental Collaboration and
Conflict Resolution, Environmental Collaboration and Conflict
Resolution (ECCR): Enhancing Agency Efficiency and Making Government
Accountable to the People (May 2, 2018), https://ceq.doe.gov/docs/nepa-practice/ECCR_Benefits_Recommendations_Report_%205-02-018.pdf.
\65\ A ``single ROD,'' as used in E.O. 13807, is the same as a
``joint ROD,'' which is a ROD addressing all Federal agency actions
covered in the single EIS and necessary for a proposed project. 40
CFR 1508.25(a)(3). The regulations would provide flexibility for
circumstances where a joint ROD is impracticable. Examples include
the statutory directive to issue a combined final EIS and ROD for
transportation actions and the Federal Energy Regulatory
Commission's adjudicatory process.
\66\ See OFD Framework Guidance, supra note 27, Sec. VIII.A.5
(``The lead agency is responsible for developing the Purpose and
Need, identifying the range of alternatives to be analyzed,
identifying the preferred alternative and determining whether to
develop the preferred alternative to a higher level of detail.'');
Connaughton Letter, supra note 23 (``[J]oint lead or cooperating
agencies should afford substantial deference to the [ ] agency's
articulation of purpose and need.'')
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[[Page 1699]]
Proposed Sec. 1501.7(i) and (j) and Sec. 1501.8(b)(6) and (7)
also would require development and adherence to a schedule for the
environmental review and any authorizations required for a proposed
action, and resolution of disputes and other issues that may cause
delays in the schedule. These proposed provisions are consistent with
current practices at agencies that have adopted elevation procedures
pursuant to various statutes and guidance, including 23 U.S.C. 139,
FAST-41, and E.O. 13807.
Proposed paragraph (a) of Sec. 1501.8 would clarify that lead
agencies may invite State, Tribal, and local agencies to serve as
cooperating agencies by changing ``Federal agency'' to ``agency,'' and
moving the operative language from the definition of cooperating agency
(40 CFR 1508.5). Non-Federal agencies should participate in the
environmental review process to ensure early collaboration on proposed
actions where such entities have jurisdiction by law or special
expertise. Paragraph (a) would also codify current practice to allow a
Federal agency to appeal to CEQ a lead agency's denial of a request to
serve as cooperating agency. Resolving disputes among agencies early in
the process furthers the OFD policy and the goal of more efficient and
timely NEPA reviews. Finally, CEQ proposes edits throughout Sec.
1501.8 to provide further clarity.
8. Scoping (Sec. 1501.9)
In response to the ANPRM, CEQ received comments requesting that CEQ
update its regulations related to scoping, including comments
requesting that agencies have greater flexibility in how to conduct
scoping. Rather than requiring publication of a NOI as a precondition
to the scoping process, CEQ proposes to modify the current 40 CFR
1501.7, ``Scoping,'' in the proposed Sec. 1501.9 so that agencies can
begin the scoping process as soon as the proposed action is
sufficiently developed for meaningful agency consideration. Some
agencies refer to this as pre-scoping under the existing regulations to
capture scoping work done before publication of the NOI. Rather than
tying the start of scoping to the agency's decision to publish an NOI
to prepare an EIS, the timing and content of the NOI would instead
become an important step in the scoping process itself, thereby
obviating the artificial distinction between scoping and pre-scoping.
However, agencies should not unduly delay publication of the NOI.
CEQ also proposes to consolidate all the requirements for the NOI
and the scoping process into the same section, reorganize it to discuss
the scoping process in chronological order, and add paragraph headings
to improve clarity. CEQ proposes to add ``likely'' to proposed
paragraph (b) to capture the reality that at the scoping stage,
agencies may not know the identities of all affected parties and that
one of the purposes of scoping is to identify affected parties.
Paragraph (c) would provide agencies additional flexibility in how to
reach interested or affected parties in the scoping process. Paragraph
(d) would provide a list of what agencies must include in an NOI to
standardize NOI format and achieve greater consistency across agencies.
This will provide the public with more transparency and ensure that
agencies conduct the scoping process in a manner that facilitates
implementation of the OFD policy for multi-agency actions, including by
proactively soliciting comments on alternatives, impacts, and relevant
information to better inform agency decision making. CEQ proposes to
move the criteria for determining scope from the definition of scope,
40 CFR 1508.25, to paragraph (e) and to strike the paragraph on
``cumulative actions'' for consistency with the proposed revisions to
the definition of ``effects'' discussed below. CEQ also proposes to use
the term ``most effective'' rather than ``best'' in Sec.
1501.9(e)(1)(ii) for clarity.
9. Time Limits (Sec. 1501.10)
In response to the ANPRM, CEQ received many comments on the lengthy
timelines and costs of environmental reviews, and many suggestions for
more meaningful time limits for the completion of the NEPA process.
Accordingly, and to promote timely reviews, CEQ proposes to establish
presumptive time limits for EAs and EISs consistent with E.O. 13807 and
prior CEQ guidance. In Question 35 of the Forty Questions, supra note
10, CEQ stated its expectation that ``even large complex energy
projects would require only about 12 months for the completion of the
entire EIS process'' and that, for most major actions, ``this period is
well within the planning time that is needed in any event, apart from
NEPA.'' CEQ also recognized that ``some projects will entail difficult
long-term planning and/or the acquisition of certain data which of
necessity will require more time for the preparation of the EIS.'' Id.
Finally, Question 35 stated that an EA ``should take no more than 3
months, and in many cases substantially less as part of the normal
analysis and approval process for the action.''
Based on agency experience with the implementation of the
regulations, CEQ is proposing in Sec. 1501.10, ``Time limits,''
(current 40 CFR 1501.8) to add a new paragraph (b) to establish a
presumptive time limit for EAs of 1 year and a presumptive time limit
for EISs of 2 years. CEQ further proposes to provide that a senior
agency official may approve in writing a longer time period. These
paragraphs would also define the start and end dates of the time period
consistent with E.O. 13807. Consistent with CEQ and OMB guidance,
agencies should begin scoping and development of a schedule for timely
completion of an EIS prior to issuing an NOI and commit to cooperate,
communicate, share information, and resolve conflicts that could
prevent meeting milestones.\67\ CEQ recognizes that agency capacity,
including those of cooperating and participating agencies, may affect
timing, and that agencies should schedule and prioritize their
resources accordingly to ensure effective environmental analyses and
public involvement. Further, agencies have flexibility in the
management of their internal processes to set shorter time limits and
to define the precise start and end times for measuring the completion
time of an EA. Therefore, CEQ proposes to retain paragraph (c)
regarding factors in determining time limits, but revise paragraph
(c)(6) for clarity and strike paragraph (c)(7) because it overlaps with
numerous other factors.
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\67\ See OFD Framework Guidance, supra note 27 (``[w]hile the
actual schedule for any given project may vary based upon the
circumstances of the project and applicable law, agencies should
endeavor to meet the two-year goal . . . .'').
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CEQ also proposes conforming edits to Sec. 1500.5(g) to change
``setting'' to ``meeting'' time limits and add ``environmental
assessment.'' CEQ invites comment on these sections, including on the
proposed presumptive timeframes for EAs and EISs, the provisions for
management of time limits, and whether the regulations should specify
shorter timeframes.
10. Tiering and Incorporation by Reference (Sec. Sec. 1501.11 and
1501.12)
CEQ proposes to move 40 CFR 1502.21, ``Tiering,'' and 40 CFR
1502.22, ``Incorporation by reference,'' to proposed new Sec. Sec.
1501.11 and 1501.12, respectively, because these provisions are
generally applicable. Specifically, CEQ proposes a number of revisions
in Sec. 1501.11 and other paragraphs to clarify when agencies can use
existing
[[Page 1700]]
studies and environmental analyses in the NEPA process and when
agencies would need to supplement such studies and analyses. These
revisions include updates to the provisions on programmatic reviews
(Sec. 1502.4(d)) and tiering (Sec. 1501.11) to make clear, among
other things, that site-specific analyses need not be conducted prior
to an irretrievable commitment of resources, which in most cases will
not be until the decision at the site-specific stage. CEQ also proposes
to move the operative language from the definition of tiering in 40 CFR
1508.28 to Sec. 1501.11(b).
In addition, CEQ proposes consistency edits to change ``broad'' and
``program'' to ``programmatic'' in Sec. Sec. 1500.4(k), 1502.4(b),
(c), and (d), and 1506.1(c). Further revisions to Sec. 1502.4(b),
including eliminating reference to programmatic EISs that ``are
sometimes required,'' are intended to focus the provision on the
discretionary use of programmatic EISs in support of clearly defined
decision-making purposes. As CEQ stated in its 2014 guidance,
programmatic NEPA reviews ``should result in clearer and more
transparent decision[ ]making, as well as provide a better defined and
more expeditious path toward decisions on proposed actions.'' \68\
Other statutes or regulations define circumstances under which a
programmatic EIS is required. See, e.g., National Forest Management
Act, 16 U.S.C. 1604(g). Finally, CEQ proposes a consistency edit in
Sec. 1502.4(c)(3) to revise the mandatory language to be discretionary
since the regulations do not require programmatic EISs.
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\68\ Programmatics Guidance, supra note 20, at 7.
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D. Proposed Revisions to Environmental Impact Statements (EISs) (Part
1502)
The most extensive level of NEPA analysis is an EIS, which is the
``detailed statement'' required under section 102(2)(C) of NEPA. When
an agency prepares an EIS, it typically issues a ROD at the conclusion
of the NEPA review. 40 CFR 1505.2. Based on the Environmental
Protection Agency (EPA) weekly Notices of Availability published in the
Federal Register between 2010 and 2018, Federal agencies published
approximately 170 final EISs per year. CEQ proposes to update the
format, page length, and timeline to complete EISs to better achieve
the purposes of NEPA. CEQ also proposes several changes to streamline,
provide flexibility, and improve the preparation of EISs. CEQ includes
provisions in part 1502 to promote informed decision making by agencies
and to inform the public about the decision-making process. The
proposed regulations continue to encourage application of NEPA early in
the process and early engagement with applicants for non-Federal
projects (proposed Sec. 1502.5(b)).
1. Page Limits (Sec. 1502.7)
In response to the ANPRM, CEQ received many comments on the length,
complexity, and readability of environmental documents, and many
suggestions for more meaningful page limits. The core purpose of page
limits from the original regulations remains--documents must be a
reasonable length in a readable format so that it is practicable for
the decision maker to read and understand the document in a reasonable
period of time. Therefore, CEQ proposes to reinforce the page limits
for EISs set forth in Sec. 1502.7, while allowing a senior agency
official to approve a statement exceeding 300 pages when it is useful
to the decision-making process. As captured in CEQ's report on the
length of final EISs, these documents average over 600 pages. See
Length of Environmental Impact Statements, supra note 34. While the
length of an EIS will vary based on the complexity and significance of
the proposed action and environmental effects the EIS considers, every
EIS must be bounded by the practical limits of the decision maker's
ability to consider detailed information. CEQ proposes this change to
ensure that agencies develop EISs focused on significant effects and on
the information useful to the decision makers and the public to more
successfully implement NEPA.
CEQ intends for senior agency officials to take responsibility for
the quantity, quality, and timelines of environmental analyses
developed in support of the decisions of their agencies. Therefore, the
senior agency official approving an EA or EIS in excess of the page
limits should ensure that the final environmental document meets the
informational needs of the agency's decision maker. For example, the
agency decision makers may have varying levels of capacity to consider
the information presented in the environmental document. In ensuring
that the agency provides the resources necessary to implement NEPA, in
accordance with 40 CFR 1507.2, senior agency officials should ensure
that agency staff have the resources and competencies necessary to
produce timely, concise, and effective environmental documents.
2. Draft, Final and Supplemental Statements (Sec. 1502.9)
CEQ proposes to include sub-headings in Sec. 1502.9, ``Draft,
final, and supplemental statements,'' to improve readability. CEQ
proposes edits to paragraph (b) for clarity, replacing ``revised
draft'' with ``supplemental draft.''
CEQ also received many comments requesting clarification regarding
when supplemental statements are required. CEQ proposes revisions to
Sec. 1502.9(d)(1) to clarify that agencies need to update
environmental documents when there is new information or a change in
the proposed action only if a major Federal action remains to occur and
other requirements are met. This proposed revision is consistent with
Supreme Court case law holding that a supplemental EIS is required only
``[i]f there remains `major Federal actio[n]' to occur, and if the new
information is sufficient to show that the remaining action will
`affec[t] the quality of the human environment' in a significant manner
or to a significant extent not already considered . . . .'' Marsh, 490
U.S. at 374 (quoting 42 U.S.C. 4332(2)(C)); see also Norton v. S. Utah
Wilderness All., 542 U.S. 55, 73 (2004). For example, supplementation
might be triggered after an agency executes a grant agreement but
before construction is complete because the agency has yet to provide
all of the funds under that grant agreement. On the other hand, when an
agency issues a final rule establishing a regulatory scheme, there is
no remaining action to occur, and therefore supplementation is not
required. If there is no further agency action after the agency's
decision, supplementation does not apply because the Federal agency
action is complete. S. Utah Wilderness All., 542 U.S. at 73 (``although
the `[a]pproval of a [land use plan]' is a `major Federal action'
requiring an EIS . . . that action is completed when the plan is
approved. . . . There is no ongoing `major Federal action' that could
require supplementation (though BLM is required to perform additional
NEPA analyses if a plan is amended or revised . . . .)'') (emphasis in
original).
In order to determine whether a supplemental analysis is required,
a new paragraph (c)(4) would provide that an agency may document its
determination of whether a supplemental analysis is required consistent
with its agency NEPA procedures or may, although it is not required, do
so in an EA. This provision would codify the existing practice of
several Federal agencies, such as the
[[Page 1701]]
Department of Transportation's reevaluation provided for highway,
transit, and railroad projects (23 CFR 771.129); the Bureau of Land
Management's Determination of NEPA Adequacy (Department of the Interior
Departmental Manual, Part 516, Chapter 11, Sec. 11.6); and the U.S.
Army Corps of Engineers' Supplemental Information Report (section 13(d)
of Engineering Regulation 200-2-2).
3. EIS Format (Sec. Sec. 1502.10 and 1502.11)
CEQ proposes to revise Sec. 1502.10, ``Recommended format,'' to
provide agencies with more flexibility in formatting an EIS given that
most EISs are prepared and distributed electronically. Specifically,
CEQ proposes to eliminate the requirement to have a list of agencies,
organizations and persons to whom copies of the EIS are sent since EISs
are published online, and an index, as this is no longer necessary when
most documents are produced in an electronically searchable format.
This section would also allow agencies to use a different format so
that they may customize EISs to address the particular proposed action
and better integrate environmental considerations into agency decision-
making processes.
CEQ proposes to amend Sec. 1502.11, ``Cover,'' to remove the
reference to a ``sheet'' since agencies prepare EISs electronically.
CEQ also proposes to add a requirement to include the estimated cost of
preparing the EIS to the cover in new paragraph (g) to provide
transparency to the public on the costs of EIS-level NEPA reviews. To
track costs, agencies must prepare an estimate of environmental review
costs, including costs of the agency's full-time equivalent (FTE)
personnel hours, contractor costs, and other direct costs related to
the environmental review of the proposed action.\69\ For integrated
documents where an agency is preparing a document pursuant to multiple
environmental statutory requirements, it may indicate that the estimate
reflects costs associated with NEPA compliance as well as compliance
with other environmental review and authorization requirements.
Agencies can develop methodologies for preparing these cost estimates
in their implementing procedures.
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\69\ See, e.g., U.S. Department of the Interior, Reporting Costs
Associated with Developing Environmental Impact Statements (July 23,
2018), https://www.doi.gov/sites/doi.gov/files/uploads/dep_sec_memo_07232018_-_reporting_costs_associated_w_developing_environmental_impact_statements.pdf.
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This amendment will address the concerns raised by the U.S.
Government Accountability Office that agencies are not tracking the
costs of NEPA analyses, as well as the many comments CEQ received from
stakeholders regarding the costs associated with development of NEPA
analyses.\70\ Including such costs on the cover sheet would also be
consistent with current OMB direction to Federal agencies to track
costs of environmental reviews and authorizations for major
infrastructure projects pursuant to E.O. 13807 and would provide the
public with additional information regarding EIS-level NEPA documents.
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\70\ In a 2014 report, the U.S. Government Accountability Office
found that Federal agencies do not routinely track data on the cost
of completing NEPA analyses, and that the cost can vary
considerably, depending on the complexity and scope of the project.
U.S. Gov't Accountability Office, GAO-14-370, NATIONAL ENVIRONMENTAL
POLICY ACT: Little Information Exists on NEPA Analyses (Apr. 15,
2014), https://www.gao.gov/products/GAO-14-370. The report
referenced the 2003 CEQ task force analysis referenced above which
estimated that a typical EIS costs from $250,000 to $2 million. See
NEPA Task Force Report, supra note 16, at p. 65.
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4. Purpose and Need (Sec. 1502.13)
CEQ received a number of comments in response to the ANPRM
recommending that CEQ better define the requirements for purpose and
need statements. The current CEQ regulations require that an EIS
``briefly specify the underlying purpose and need to which the agency
is responding in proposing the alternatives including the proposed
action.'' 40 CFR 1502.13.
The focus of the purpose and need statement is the purpose and need
for the proposed action, and agencies should develop it based on
consideration of the relevant statutory authority for the proposed
action. The purpose and need statement also provides the framework in
which ``reasonable alternatives'' to the proposed action will be
identified. CEQ has advised that this discussion of purpose and need
should be concise (typically one or two paragraphs long) and that the
lead agency is responsible for its definition. See Connaughton Letter,
supra note 23 (``Thoughtful resolution of the purpose and need
statement at the beginning of the process will contribute to a rational
environmental review process and save considerable delay and
frustration later in the decision[-]making process.''). ``In situations
involving two or more agencies that have a decision to make for the
same proposed action and responsibility to comply with NEPA or a
similar statute, it is prudent to jointly develop a purpose and need
statement that can be utilized by both agencies. An agreed-upon purpose
and need statement at this stage can prevent problems later that may
delay completion of the NEPA process.'' Id. The lead agency is
responsible for developing the purpose and need, and cooperating
agencies should give deference to the lead agency and identify any
substantive concerns early in the process to ensure swift resolution.
See OFD Framework Guidance, Sec. VIII.A.5 and XII, supra note 27, and
Connaughton Letter, supra note 23.
Consistent with CEQ guidance and in response to comments, CEQ
proposes to revise Sec. 1502.13, ``Purpose and need,'' to clarify that
the statement should focus on the purpose and need for the proposed
action. In particular, CEQ proposes to strike ``to which the agency is
responding in proposing the alternatives including'' to focus on the
proposed action. CEQ further proposes, as discussed below, to address
the relationship between the proposed action and alternatives in the
definition of reasonable alternatives and other sections that refer to
alternatives. Additionally, CEQ proposes to add a sentence to clarify
that when an agency is responsible for reviewing applications for
authorizations, the agency shall base the purpose and need on the
applicant's goals and the agency's statutory authority. This addition
is consistent with the proposed definition of reasonable alternatives,
which must meet the goals of the applicant, where applicable.
5. Alternatives (Sec. 1502.14)
CEQ also received many comments requesting clarification regarding
``alternatives'' under the regulations. This section of an EIS should
describe the proposed action and alternatives in comparative form,
including their environmental impacts, such that the decision maker and
the public can understand the basis for choice. However, as explained
in Sec. 1502.16 and reinforced by Question 7 of the Forty Questions,
supra note 10, this section of the EIS should not duplicate the
affected environment and environmental consequences sections, and
agencies have flexibility to combine these three sections in a manner
that clearly sets forth the basis for decision making. CEQ proposes a
few changes to Sec. 1502.14, ``Alternatives including the proposed
action,'' to provide further clarity on the scope of the alternatives
analysis in an EIS. CEQ proposes changes to Sec. 1502.14 to simplify
and clarify the language, and align it with the format of the related
provisions of part 1502.
In paragraph (a), CEQ proposes to delete ``all'' before
``reasonable
[[Page 1702]]
alternatives'' and insert afterward ``to the proposed action.'' NEPA
itself provides no specific guidance concerning the range of
alternatives an agency must consider for each proposal. Section
102(2)(C), provides only that an agency should prepare a detailed
statement addressing, among other things, ``alternatives to the
proposed action.'' 42 U.S.C. 4332(2)(C). Section 102(2)(E) requires
only that agencies ``study, develop, and describe appropriate
alternatives to recommended courses of action.'' 42 U.S.C. 4332(2)(E)
Implementing this limited statutory direction, CEQ has advised that
``[w]hen there are potentially a very large number of alternatives,
only a reasonable number of examples, covering the full spectrum of
alternatives, must be analyzed and compared in the EIS.'' Question 1b,
Forty Questions, supra note 10.
It is CEQ's view that NEPA's policy goals are satisfied when an
agency analyzes reasonable alternatives, and that an EIS need not
include every available alternative where the consideration of a
spectrum of alternatives allows for the selection of any alternative
within that spectrum. The reasonableness of the analysis of
alternatives in a final EIS is resolved not by any particular number of
alternatives considered, but by the nature of the underlying agency
action. The discussion of environmental effects of alternatives need
not be exhaustive, but must provide information sufficient to permit a
reasoned choice of alternatives for the agency to evaluate available
reasonable alternatives, 40 CFR 1502.14(a), including significant
alternatives that are called to its attention by other agencies,
organizations, communities, or a member of the public. Analysis of
alternatives also may serve purposes other than NEPA compliance, such
as evaluation of the least environmentally damaging practicable
alternative for the discharge of dredged or fill material under section
404(b)(1) of the Clean Water Act, 33 U.S.C. 1344(b)(1).
The number of alternatives that is appropriate for an agency to
consider will vary. For some actions, such as where the Federal
agency's authority to consider alternatives is limited by statute, the
range of alternatives may be limited to the proposed action and the no
action alternative. For actions where the Federal authority to consider
a range of alternatives is broad, the final EIS itself should consider
a broader range of reasonable alternatives. However, a process of
narrowing alternatives is in accord with NEPA's ``rule of reason'' and
common sense--agencies need not reanalyze alternatives previously
rejected, particularly when an earlier analysis of numerous reasonable
alternatives was incorporated into the final analysis and the agency
has considered and responded to public comment favoring other
alternatives.
For consistency with this change, CEQ proposes to strike ``the''
before ``reasonable alternatives'' in Sec. 1502.1, and amend Sec.
1502.16, ``Environmental consequences,'' to clarify in proposed
paragraph (a)(1) that the discussion must include the environmental
impacts of the ``proposed action and reasonable alternatives.''
In response to CEQ's ANPRM, some commenters urged that the
regulations should not require agencies to account for impacts over
which the agency has no control, including those resulting from
alternatives outside its jurisdiction. CEQ proposes to strike paragraph
(c) of 40 CFR 1502.14 as a requirement for all EISs because it is not
efficient or reasonable to require agencies to develop detailed
analyses relating to alternatives outside the jurisdiction of the lead
agency. This change is consistent with proposed Sec. 1501.1(a)(2).
Further, the proposed definition of ``reasonable alternatives'' would
preclude alternatives outside the agency's jurisdiction because they
would not be technically feasible due to the agency's lack of statutory
authority to implement that alternative. However, an agency may discuss
reasonable alternatives not within their jurisdiction when necessary
for the agency's decision-making process such as when preparing an EIS
to address legislative EIS requirements pursuant to Sec. 1506.8 and to
specific Congressional directives. See section II.H, infra, for further
discussion.
A concern raised by many commenters is that agencies have limited
resources and that it is important that agencies use those resources
effectively. Analyzing a large number of alternatives, particularly
where it is clear that only a few alternatives would be economically
and technically feasible and realistically implemented by the
applicant, can divert limited agency resources. CEQ invites comment on
whether the regulations should establish a presumptive maximum number
of alternatives for evaluation of a proposed action, or alternatively
for certain categories of proposed actions. CEQ seeks comment on (1)
specific categories of actions, if any, that should be identified for
the presumption or for exceptions to the presumption; and (2) what the
presumptive number of alternatives should be (e.g., a maximum of three
alternatives including the no action alternative).
6. Affected Environment and Environmental Consequences (Sec. Sec.
1502.15 and 1502.16)
CEQ proposes in Sec. 1502.15, ``Affected environment,'' to
explicitly allow for combining of affected environment and
environmental consequences sections to adopt what has become a common
practice in some agencies. This revision would ensure that the
description of the affected environment is focused on those aspects of
the environment that are affected by the proposed action. In proposed
paragraph (a)(1) of Sec. 1502.16, ``Environmental consequences,'' CEQ
proposes to consolidate into one paragraph the requirement to include a
discussion of the effects of the proposed action and reasonable
alternatives. The combined discussion should focus on those effects
that are reasonably foreseeable and have a close causal relationship to
the proposed action, consistent with the proposed revised definition of
effects addressed in Sec. 1508.1(g). To align with the statute, CEQ
also proposes to add a new Sec. 1502.16(a)(10) to provide that
discussion of environmental consequences should include, where
applicable, economic and technical considerations consistent with
section 102(2)(B) of NEPA.
Further, CEQ proposes to move the operative language that addresses
when agencies need to consider economic and social effects in EISs from
the definition of human environment in 40 CFR 1508.14 to proposed Sec.
1502.16(b). CEQ also proposes to amend the language for clarity,
explain that the agency makes the determination of when consideration
of economic and social effects are interrelated with natural or
physical environmental effects at which point the agency should give
appropriate consideration to those effects, and strike ``all of'' as
unnecessary.
7. Submitted Alternatives, Information, and Analyses (Sec. Sec.
1502.17 and 1502.18)
To ensure agencies have considered all alternatives, information,
and analyses submitted by the public, including State, Tribal, and
local governments as well as individuals and organizations, CEQ is
proposing to add a requirement in Sec. 1502.17 to include a new
section in draft and final EISs. This section, called the ``Submitted
alternatives, information and analyses'' section, would include a
summary of all alternatives, information, and analyses submitted by the
public for consideration by the lead and
[[Page 1703]]
cooperating agencies in both the draft and final EISs. In developing
the summary, agencies may refer to other relevant sections of the draft
or final EIS, or to appendices.
To improve the scoping process, CEQ proposes revisions to ensure
agencies solicit and consider relevant information early in the
development of the draft EIS. As discussed above, CEQ proposes to
direct agencies to include a request for identification of
alternatives, information, and analyses in the notice of intent (Sec.
1501.9(d)(7)) and require agencies to summarize all relevant
alternatives, information, and analyses submitted by public commenters
in the draft and final EIS. CEQ also proposes in Sec. 1502.18,
``Certification of alternatives, information, and analyses section,''
that, based on the alternatives, information, and analyses section
required under Sec. 1502.17, the decision maker for the lead agency
certify that the agency has considered such information and include the
certification in the ROD under Sec. 1505.2(d). In addition, CEQ
proposes a conclusive presumption that the agency has considered
information summarized in that section because, where agencies have
followed the process outlined above, and identified and described
information submitted by the public, it is reasonable to presume the
agency has considered such information.
8. Other Proposed Changes to Part 1502
CEQ proposes to eliminate the option to circulate the summary of an
EIS in Sec. 1502.21, ``Publication of the environmental impact
statement,'' given the change from circulation to publication and the
reality that most EISs are produced electronically. CEQ proposes to
strike the word ``always'' from Sec. 1502.22(a) as unnecessarily
limiting and eliminate 40 CFR 1502.22(c) addressing the applicability
of the 1986 amendments to 40 CFR 1502.22, ``Incomplete or unavailable
information,'' because this paragraph is obsolete. CEQ reiterates, as
it stated in the promulgation of this regulation, that the term
``overall cost'' as used in Sec. 1502.22 includes ``financial costs
and other costs such as costs in terms of time (delay) and personnel.''
\71\ CEQ also proposes in paragraphs (b) and (c) to replace the term
``exorbitant'' with ``unreasonable'' because ``unreasonable'' is more
consistent with CEQ's original description of ``overall cost''
considerations, the common understanding of the term, and how the
terminology has been interpreted in practice. CEQ invites comment on
whether the ``overall costs'' of obtaining incomplete of unavailable
information warrants further definition to address whether certain
costs are or are not ``unreasonable.''
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\71\ 51 FR at 15622 (Apr. 25, 1986).
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A proposed revision to Sec. 1502.24, ``Methodology and scientific
accuracy,'' would clarify that agencies should use reliable existing
information and resources and are not required to undertake new
scientific and technical research to inform their analyses. The phrase
``new scientific and technical research'' is intended to distinguish
separate and additional research that extends beyond existing
scientific and technical information available in the public record or
in publicly available academic or professional sources. This phrase is
consistent with the requirement in Sec. 1502.22 to obtain incomplete
or unavailable information regarding significant adverse effects if the
means of obtaining the information is known and the cost to the
decision-making process is not unreasonable. Agencies should use their
experience and expertise to determine what scientific and technical
information is needed to inform their analyses and decision making. CEQ
also proposes to revise Sec. 1502.24 to allow agencies to draw on any
source of information (such as remote sensing and statistical modeling)
that the agency finds reliable and useful to the decision-making
process. These changes would promote the use of reliable data,
including information gathered using current technologies. Finally, CEQ
proposes to revise Sec. 1502.25, ``Environmental review and
consultation requirements,'' to clarify that agencies must, to the
fullest extent possible, integrate their NEPA analysis with all other
applicable Federal environmental review laws and Executive Orders in
furtherance of the OFD policy and to make the environmental review
process more efficient.\72\
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\72\ The Permitting Council has compiled a list of environmental
laws and Executive Orders that may apply to a proposed action. See
Federal Environmental Review and Authorization Inventory, https://www.permits.performance.gov/tools/federal-environmental-review-and-authorization-inventory.
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E. Proposed Revisions To Commenting on Environmental Impact Statements
(Part 1503)
CEQ proposes to modernize part 1503 given the existence of current
technologies not available at the time of the 1978 regulations. In
particular, the proposed regulations would encourage agencies to use
the current methods of electronic communication both to publish
important environmental information and to structure public
participation for greater efficiency and inclusion of interested
persons. CEQ proposes to revise Sec. 1503.1, ``Inviting comments and
requesting information and analyses,'' in proposed paragraph (a)(2)(v)
to give agencies flexibility in the public involvement process to
solicit comments ``in a manner designed to inform'' parties interested
or affected ``by the proposed action.'' CEQ also proposes a new
paragraph (a)(3) that requires agencies to specifically invite comment
on the completeness of the submitted alternatives, information and
analyses section (Sec. 1502.17). Because interested parties have an
affirmative duty to comment during the public review period in order
for the agency to consider their positions, see Vt. Yankee, 435 U.S. at
553, proposed paragraph (c) would require agencies to provide for
commenting using electronic means while ensuring accessibility to those
who may not have such access to ensure adequate notice and opportunity
to comment.
CEQ also proposes a revision to Sec. 1503.2, ``Duty to comment,''
to clarify that when a cooperating agency with jurisdiction by law
specifies measures it considers necessary for a regulatory approval, it
should cite its applicable statutory authority to ensure this
information is made known to the lead agency.
Further, CEQ proposes to revise paragraph (a) of Sec. 1503.3,
``Specificity of comments and information,'' to explain that the
purposes of comments is to promote informed decision making and further
clarify that comments should provide sufficient detail for the agency
to consider the comment in its decision-making process. See Pub.
Citizen, 541 U.S. at 764; Vt. Yankee, 435 U.S. at 553 (while ``NEPA
places upon an agency the obligation to consider every significant
aspect of the environmental impact of a proposed action, it is still
incumbent upon [parties] who wish to participate to structure their
participation so that it is meaningful, so that it alerts the agency to
the [parties'] position . . . .''). CEQ also proposes that comments
should explain why the issue raised is significant to the consideration
of potential environmental impacts and alternatives to the proposed
action, as well as economic and employment impacts, and other impacts
affecting the quality of the environment. See Vt. Yankee, 435 U.S. at
553 (``[Comments] must be significant enough to step over a threshold
requirement of materiality before any lack of agency response or
consideration becomes a concern. The comment cannot merely state that a
particular
[[Page 1704]]
mistake was made . . . ; it must show why the mistake was of possible
significance in the results . . . .'' (quoting Portland Cement Assn. v.
Ruckelshaus, 486 F.2d 375, 394 (1973), cert. denied sub nom. Portland
Cement Corp. v. Administrator, EPA, 417 U.S. 921 (1974))). CEQ also
proposes a new Sec. 1503.3(b) to emphasize that comments on the
submitted alternatives, information and analyses section should
identify any additional alternatives, information or analyses not
included in the draft EIS, and should be as specific as possible.
Finally, section 102(2)(C) of NEPA requires that agencies obtain
views of Federal agencies with jurisdiction by law or expertise with
respect to any environmental impact, and also directs that agencies
make copies of the environmental impact statement and the comments and
views of appropriate Federal, State, and local agencies available to
the President, CEQ and the public. 42 U.S.C. 4332(2)(C). Part 1503 of
the CEQ regulations include provisions relating to inviting and
responding to comments. In practice, the processing of comments can
require substantial time and resources. CEQ proposes to amend Sec.
1503.4, ``Response to comments,'' to simplify and clarify in paragraph
(a) that agencies are required to consider substantive comments timely
submitted during the public comment period. CEQ also proposes to
clarify that an agency may respond to comments individually or
collectively. Consistent with this revision, CEQ proposes additionally
to clarify that in the final EIS, agencies may respond by a variety of
means, and to strike the detailed language in paragraph (a)(5) relating
to comments that do not warrant further agency response.
CEQ also proposes to clarify in paragraph (b) that agencies must
append comment responses to EISs rather than including them in the body
of the EIS, or otherwise publish them. Under current practice, some
agencies include these comment responses in the EISs themselves, which
can contribute to excessive length. See Length of Environmental Impact
Statements, supra note 34. These changes would not preclude an agency
from summarizing or discussing specific comments in the EIS as well.
F. Proposed Revisions to Pre-Decisional Referrals to the Council of
Proposed Federal Actions Determined To Be Environmentally
Unsatisfactory (Part 1504)
Section 309 of the Clean Air Act (42 U.S.C. 7609) requires the
Environmental Protection Agency (EPA) to review and comment on certain
proposed actions of other Federal agencies and to make those comments
public. Where appropriate, EPA may exercise its authority under section
309(b) of the Clean Air Act and refer the matter to CEQ. CEQ's
regulations addressing this referral process are set forth in part
1504.
CEQ proposes edits to part 1504, ``Pre-decisional Referrals to the
Council of Proposed Federal Actions Determined to be Environmentally
Unsatisfactory,'' to improve clarity and to add EAs. Though infrequent,
CEQ has received referrals on EAs and proposes to capture this practice
in the regulations.
CEQ proposes additional revisions to ensure a more timely and
efficient process. Consistent with the statute, CEQ proposes to add
economic and technical considerations to paragraph (g) of Sec. 1504.2,
``Criteria for referrals.'' In Sec. 1504.3, ``Procedure for referrals
and response,'' CEQ proposes changes to simplify and modernize the
process. CEQ also proposes a minor revision to the title of part 1504,
striking ``Predecision'' and inserting ``Pre-decisional.''
G. Proposed Revisions to NEPA and Agency Decision Making (Part 1505)
CEQ proposes minor edits to part 1505 for clarity. CEQ proposes to
move 40 CFR 1505.1, ``Agency decisionmaking procedures,'' to Sec.
1507.3(b), as discussed further below. CEQ proposes to clarify in the
introductory paragraph of Sec. 1505.2, ``Record of decision in cases
requiring environmental impact statements,'' in cases requiring EISs,
that agencies must ``timely publish'' their RODs. This paragraph also
would clarify that ``joint'' RODs by two or more Federal agencies are
permitted; this change is also consistent with the OFD policy and E.O.
13807. Finally, CEQ proposes edits in paragraph (c) to change from
passive to active voice for clarity.
H. Proposed Revisions to Other Requirements of NEPA (Part 1506)
CEQ proposes a number of edits to part 1506 to improve the NEPA
process to make it more efficient and flexible, especially where
actions involve third-party applicants. CEQ also proposes several edits
for clarity.
In particular, CEQ proposes to add FONSIs to paragraph (a) of Sec.
1506.1, ``Limitations on actions during NEPA process,'' to clarify
existing practice and judicial determinations that the limitation on
actions applies when an agency is preparing an EA as well as an EIS.
CEQ proposes to consolidate paragraph (d) with paragraph (b) and revise
the language to provide additional clarity on what activities are
allowable during the NEPA process. Specifically, CEQ proposes to
eliminate reference to a specific agency in paragraph (d), and provide
in paragraph (b) that this section does not preclude certain activities
by an applicant to support an application of Federal, State, Tribal or
local permits or assistance. As an example of activities an applicant
may undertake, CEQ proposes to add ``acquisition of interests in
land,'' which would include acquisitions of rights-of-way and
conservation easements. CEQ invites comment on whether it should make
any additional changes to Sec. 1506.1, including whether there are
circumstances under which an agency may authorize irreversible and
irretrievable commitments of resources.
A revision to Sec. 1506.2, ``Elimination of duplication with
State, Tribal, and local procedures,'' would acknowledge the increasing
number of State, Tribal, and local governments conducting NEPA reviews
pursuant to assignment from Federal agencies. See, e.g., 23 U.S.C. 327,
25 U.S.C. 4115 and 5389(a). The revision in paragraph (a) would clarify
that Federal agencies are authorized to cooperate with such State,
Tribal, and local agencies and must do so to reduce duplication under
paragraph (b). CEQ proposes to add examples to paragraph (b) to
encourage use of prior reviews and decisions. CEQ proposes to modify
paragraph (c) to give agencies flexibility to determine whether to
cooperate in fulfilling State, Tribal, or local EIS or similar
requirements. Finally, CEQ proposes to clarify in paragraph (d) that
NEPA does not require reconciliation of inconsistencies between the
proposed action and State, Tribal or local plans or laws, although the
EIS should discuss the inconsistencies. These revisions would promote
efficiency and reduce duplication between Federal and State, Tribal,
and local requirements. Other commenters noted that this provision
continues to serve an important role given the increased numbers of
non-Federal agencies assuming NEPA responsibilities from a Federal
agency.
Consistent with current practice by many agencies, the proposed
regulations would expand Sec. 1506.3, ``Adoption,'' to expressly cover
EAs as well as EISs. CEQ also proposes edits throughout to clarify the
process for documenting adoption and the subsequent decision. Finally,
paragraph (f) would allow an agency to adopt another agency's
determination to apply a CE to a proposed action if the adopting
agency's proposed action is substantially the same action. To allow
agencies to use
[[Page 1705]]
one another's CEs more generally, CEQ also proposes revisions to Sec.
1507.3(e)(5), which would allow agencies to establish a process in
their NEPA procedures to adopt another agency's CE.
CEQ also proposes to amend Sec. 1506.4, ``Combining documents,''
to encourage agencies ``to the fullest extent practicable'' to combine
their environmental documents with other agency documents to reduce
duplication and paperwork. For example, the U.S. Forest Service
routinely combines EISs with forest management plans, and agencies may
use their NEPA documents to satisfy compliance with section 106 of the
National Historic Preservation Act under 36 CFR 800.8.
In response to the ANPRM, commenters urged CEQ to allow greater
flexibility for the project sponsor (including private entities) to
participate in the preparation of the NEPA documents under the
supervision of the lead agency. An update to Sec. 1506.5, ``Agency
responsibility for environmental documents,'' would give agencies more
flexibility with respect to the preparation of environmental documents
while continuing to require agencies to independently evaluate and take
responsibility for those documents. Applicants and contractors would be
able to assume a greater role in contributing information and material
to the preparation of environmental documents, subject to the
supervision of the agency. However, agencies would remain responsible
for taking reasonable steps to ensure the accuracy of information
prepared by applicants and contractors. If a contractor or applicant
prepares the document, paragraph (c)(1) would require the decision-
making agency official to provide guidance, participate in the
preparation, independently evaluate the statement, and take
responsibility for its content. These changes are intended to improve
communication between proponents of a proposal for agency action and
the officials tasked with evaluating the effects of the action and
reasonable alternatives, to improve the quality of NEPA documents and
efficiency of the NEPA process.
CEQ also proposes to update Sec. 1506.6, ``Public involvement,''
to give agencies greater flexibility to design and customize public
involvement to best meet the specific circumstances of their proposed
actions. Proposed revisions to paragraph (b)(2) would clarify that
agencies may notify any organizations that have requested regular
notice. Proposed paragraph (b)(3)(x) would provide for notice through
electronic media, but clarify that agencies may not limit public
notification to solely electronic methods for actions occurring in
whole or in part in areas without high-speed internet access, such as
rural locations. CEQ also proposes to amend paragraph (f), which
requires that EISs, comments received, and any underlying documents be
made available to the public pursuant to the Freedom of Information Act
(FOIA) by updating the reference to FOIA, which has been amended
numerous times since the enactment of NEPA, mostly recently by the FOIA
Improvement Act of 2016, Public Law 114-185. Further, CEQ proposes to
strike the remaining text to align paragraph (f) with the text of
section 102(2)(C) of NEPA, including with regard to fees. CEQ also
proposes to update and modernize Sec. 1506.7, ``Further guidance,'' to
state that CEQ may provide further guidance concerning NEPA and its
procedures consistent with applicable Executive Orders.
CEQ proposes to consolidate the legislative EIS requirements from
the definition of legislation in the current 40 CFR 1508.17 into Sec.
1506.8, ``Proposals for legislation,'' and revise the provision for
clarity. Agencies prepare legislative EISs for Congress when they are
proposing specific actions such as a legislative proposal for the
withdrawal of public lands for military use. See, e.g., Nevada Test and
Training Range Military Land Withdrawal Legislative Environmental
Impact Statement, Environmental Impact Statements; Notice of
Availability, 83 FR 54105 (Oct. 26, 2018).
CEQ also invites comment on whether the legislative EIS requirement
should be eliminated or modified because the President proposes
legislation, and therefore it is inconsistent with the Recommendations
Clause of the U.S. Constitution, which provides the President shall
recommend for Congress' consideration ``such [m]easures as he shall
judge necessary and expedient . . . .'' U.S. Constitution, Art. II,
Sec. 3. The President is not a Federal agency, 40 CFR 1508.12, and the
proposal of legislation by the President is not an agency action.
Franklin v. Mass., 505 U.S. 788, 800-01 (1992).
CEQ also proposes to add a new Sec. 1506.9, ``Proposals for
regulations,'' to address the analyses required for rulemakings. This
section would clarify that analyses prepared pursuant to other
statutory or Executive Order requirements may serve as the functional
equivalent of the EIS and be sufficient to comply with NEPA. CEQ
proposes in Sec. 1507.3(b)(6) to allow agencies to identify in their
agency NEPA procedures documents prepared pursuant to other statutory
requirements or Executive Orders that meet the requirements of NEPA.
For some rulemakings, agencies conduct a regulatory impact analysis
(RIA), pursuant to E.O. 12866, ``Regulatory Planning and Review,'' \73\
that assesses regulatory impacts to air and water quality, ecosystems,
and animal habitat, among other environmental factors. E.O. 12866,
Sec. 6(a)(3)(C)(i)-(ii). An RIA, alone or in combination with other
documents, may serve the purposes of the EIS if (1) there are
substantive and procedural standards that ensure full and adequate
consideration of environmental issues; (2) there is public
participation before a final alternative is selected; and (3) a purpose
of the review that the agency is conducting is to examine environmental
issues. CEQ proposes Sec. 1506.9 to promote efficiency and reduce
duplication in the assessment of regulatory proposals.
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\73\ 58 FR 51735 (Oct. 4, 1993).
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The analyses must address the detailed statement requirements
specified in section 102(2)(C) of NEPA. More specifically, when those
analyses address environmental effects, alternatives, the relationship
between short-term uses and long-term productivity, and any
irreversible commitments of resources, these analyses may serve as
functional equivalents for an EIS. Further, these analyses must balance
a clear and express environmental protection purpose with any other
variables under consideration, such as economic needs. Finally, that
balance must anticipate the advantages and disadvantages of the
preparation of a separate EIS.
CEQ invites comments on additional analyses agencies are already
conducting that, in whole or when aggregated, can serve as the
functional equivalent of the EIS. Aspects of the E.O. 12866 cost
benefit analysis may naturally overlap with aspects of the EIS.
CEQ also proposes to update Sec. 1506.10, ``Filing requirements,''
to remove the obsolete process for filing paper copies of EISs with EPA
and EPA's delivery of a copy to CEQ, and instead provide for electronic
filing, consistent with EPA's procedures. This proposed change would
provide flexibility to adapt as EPA changes its processes.
A proposed clause in paragraph (b) would acknowledge the statutory
requirement of some agencies to issue a combined final EIS and ROD. See
23 U.S.C. 139(n)(2) and 49 U.S.C. 304a(b). Proposed paragraph (c)
addresses when
[[Page 1706]]
agencies may make an exception to the current rules set forth in
paragraph (b) on timing for issuing a ROD.
Over the last 40 years, CEQ has developed significant experience
with NEPA in the context of emergencies and disaster recoveries.
Actions following Hurricanes Katrina, Harvey, and Michael, as well as
catastrophic wildfires, have given CEQ the opportunity to explore a
variety of circumstances where alternative arrangements for complying
with NEPA are necessary. CEQ proposes to amend Sec. 1506.12,
``Emergencies,'' to clarify that alternative arrangements are still
meant to comply with section 102(2)(C)'s requirement for a ``detailed
statement.'' This amendment is consistent with CEQ's longstanding
position that it has no authority to exempt Federal agencies from
compliance with NEPA, but that CEQ can appropriately provide for
exceptions to specific requirements of CEQ's regulations implementing
the procedural provisions of NEPA to address extraordinary
circumstances that are not addressed by agency implementing procedures
previously approved by CEQ. See Emergencies Guidance, supra note 19.
CEQ maintains a public description of all pending and completed
alternative arrangements on its website.\74\
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\74\ https://ceq.doe.gov/nepa-practice/alternative_arrangements.html.
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Finally, CEQ proposes to modify Sec. 1506.13, ``Effective date,''
to clarify that this regulation would apply to all NEPA processes begun
after the effective date, but agencies have the discretion to apply it
to ongoing reviews. CEQ also proposes to remove the 1979 effective date
of the current regulations and the reference to the 1973 guidance in
the current paragraph (a) and strike the current paragraph (b)
regarding actions begun before January 1, 1970 because they are
obsolete.
I. Proposed Revisions to Agency Compliance (Part 1507)
CEQ proposes modifications to part 1507, which addresses agency
compliance with NEPA. The proposed changes would consolidate provisions
relating to agency procedures from elsewhere in the CEQ regulations,
and add a new section to address the dissemination of information about
agency NEPA programs. A proposed change to Sec. 1507.1,
``Compliance,'' would strike the second sentence for consistency with
changes to the provisions for agency NEPA procedures at Sec. 1507.3. A
proposed change to paragraph (a) of Sec. 1507.2, ``Agency capability
to comply,'' would make the senior agency official responsible for
coordination, communication, and compliance with NEPA, including
resolving implementation issues and representing the agency analysis of
the effects of agency actions on the human environment in agency
decision-making processes. The proposed Sec. 1507.2(a) would make the
senior agency official responsible for addressing disputes among lead
and cooperating agencies and enforcing page and time limits. The senior
agency official would be responsible for ensuring all environmental
documents--even exceptionally lengthy ones--are provided to Federal
agency decision makers in a timely, readable, and useful format. CEQ
also proposes to clarify in the introductory paragraph that in NEPA
compliance an agency may use the ``the resources of other agencies,
applicants, and other participants in the NEPA process,'' for which the
agency should account. CEQ proposes to amend paragraph (c) to emphasize
agency cooperation, which would include commenting. Finally, CEQ
proposes to add references to E.O. 11991, which amended E.O. 11514, and
E.O. 13807 in paragraph (f) to codify agencies' responsibility to
comply with the Order.
In developing their procedures, agencies should strive to identify
and apply efficiencies, such as use of applicable CEs, adoption of
prior NEPA analyses, and incorporation by reference to prior relevant
Federal, State, Tribal, and local analyses, wherever practicable. To
facilitate effective and efficient procedures, CEQ proposes to
consolidate all of the requirements for agency NEPA procedures in Sec.
1507.3 and add a new Sec. 1507.4 to provide the means of publishing
information on ongoing NEPA reviews and agency records relating to NEPA
reviews. This includes moving the provisions in Sec. 1505.1, ``Agency
decision making procedures,'' to proposed Sec. 1507.3(b); moving the
requirement to provide for extraordinary circumstances currently in 40
CFR 1508.4 to proposed Sec. 1507.3(d)(2)(ii); moving the requirement
to adopt procedures for introducing a supplement into the agency's
administrative record from 40 CFR 1502.9(d)(3) to proposed Sec.
1507.3(d)(3); and moving the allowance to combine the agency's EA
process with its scoping process from 40 CFR 1501.7(b)(3) to proposed
Sec. 1507.3(e)(4).
CEQ also proposes several revisions to Sec. 1507.3. Revised
paragraph (a) would provide agencies the later of 1 year after
publication of the final rule or 9 months after the establishment of an
agency to develop or revise proposed agency NEPA procedures, as
necessary, to implement the CEQ regulations. CEQ also proposes to
eliminate the limitations on paraphrasing the CEQ regulations. Agency
NEPA procedures should set forth the process by which agencies will
comply with NEPA and the CEQ regulations in the context of their
particular programs and processes. In addition, CEQ proposes to clarify
that except as otherwise provided by law or for agency efficiency,
agency NEPA procedures shall not impose additional procedures or
requirements beyond those set forth in the CEQ regulations.
CEQ proposes to subdivide paragraph (a) into subparagraphs (1) and
(2) for additional clarity because each of these is an independent
requirement. CEQ proposes to eliminate the recommendation to agencies
to issue explanatory guidance and the requirement to review their
policies and procedures because the responsibility to revise procedures
would be addressed in paragraph (a).
Consistent with the proposed edits to Sec. 1500.1, CEQ proposes to
revise paragraph (b) to clarify that agencies should ensure decisions
are made in accordance with the Act's procedural requirements and
policy of integrating NEPA with other environmental reviews to promote
efficient and timely decision making. CEQ proposes a new paragraph
(b)(6) to encourage agencies to set forth in their NEPA procedures
requirements to combine their NEPA documents with other agency
documents, especially where the same or similar analyses are required
for compliance with other requirements. Many agencies implement
statutes that call for consideration of alternatives to the agency
proposal, including the no action alternative, the effects of the
agencies' proposal and alternatives, and public involvement. Agencies
can use their NEPA procedures to align compliance with NEPA and these
other statutory authorities, including provisions for page and time
limits that integrate NEPA's goals for informed decision making with
agencies' specific statutory requirements. This approach is consistent
with some agency practice, but more agencies could use it to achieve
greater efficiency and reduce unnecessary duplication. See, e.g., 36
CFR part 220 (U.S. Forest Service NEPA procedures).
Under the proposed Sec. 1507.3(b)(6), agencies may document any
agency determination that compliance with the environmental review
requirements of other statutes or Executive Orders serves as the
functional equivalent of NEPA compliance by identifying that (1) there
are substantive and procedural
[[Page 1707]]
standards that ensure full and adequate consideration of environmental
issues; (2) there is public participation before a final alternative is
selected; and (3) a purpose of the review that the agency is conducting
is to examine environmental issues. While the courts have found that
EPA need not conduct NEPA analyses under a number of statutes that are
``functionally equivalent,'' including the Clean Air Act, the Ocean
Dumping Act, the Federal Insecticide, Fungicide, and Rodenticide Act,
the Resource Conservation and Recovery Act, and the Comprehensive
Environmental Response, Compensation, and Liability Act, CEQ proposes
that the concept of functional equivalency be extended to other
agencies that conduct analyses to examine environmental issues.
Furthermore, CEQ proposes to add a new paragraph (c), which would
provide that agencies may identify actions that are not subject to NEPA
in their agency NEPA procedures, including (1) non-major Federal
actions; (2) non-discretionary actions, in whole or in part; (3)
actions expressly exempt from NEPA under another statute; (4) actions
for which compliance with NEPA would clearly and fundamentally conflict
with the requirements of another statute; and (5) actions for which
compliance with NEPA would be inconsistent with Congressional intent
due to the requirements of another statute. These changes would conform
to the new Sec. 1501.1, ``NEPA threshold applicability analysis,''
section, which provides five considerations in determining whether NEPA
applies to a proposed action.
CEQ proposes to amend paragraph (d)(2)(ii) to require agencies to
identify in their procedures when documentation of a CE determination
is required. CEQ proposes to add language to paragraph (e)(3) to codify
existing agency practice to publish notices when it pauses an EIS or
withdraws an NOI. Finally, CEQ proposes to add a new paragraph (e)(5)
that would allow agencies to establish a process in their agency NEPA
procedures whereby the agency may apply a CE listed in another agency's
NEPA procedures. Such procedure would set forth the process by which
the agency would consult with the agency that listed the CE in its NEPA
procedures to ensure that the application of the CE is consistent with
the originating agency's intent and practice.
CEQ invites comment on whether it should specifically allow an
agency to apply a categorical exclusion established in another agency's
NEPA procedures to its proposed action. CEQ invites comment on any
process its regulations should include to ensure the appropriate
application of an agency's CE to another agency's action.
Finally, the proposed Sec. 1507.4, ``Agency NEPA program
information,'' would require agencies in their NEPA implementing
procedures to provide for a website or other means of publishing
certain information on ongoing NEPA reviews and maintaining and
permitting public access to agency records relating to NEPA reviews.
This provision would promote transparency and efficiency in the NEPA
process, and improve interagency coordination by ensuring that
information is more readily available to other agencies and the public.
Opportunities exist for agencies to combine existing geospatial
data, including remotely sensed images, and analyses to streamline
environmental review and better coordinate development of environmental
documents for multi-agency projects, consistent with the OFD policy.
One option involves creating a single NEPA application that facilitates
consolidation of existing datasets and can run several relevant
geographic information system (GIS) analyses to help standardize the
production of robust analytical results. This application could have a
public-facing component modeled along the lines of EPA's NEPAssist,\75\
which would aid prospective project sponsors with site selection and
project design and increase public transparency. The application could
link to the Permitting Dashboard to help facilitate project tracking
and flexibilities under Sec. Sec. 1506.5 and 1506.6. CEQ invites
comment on this proposal, including comment on whether additional
regulatory changes could help facilitate streamlined GIS analysis to
help agencies comply with NEPA.
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\75\ https://nepassisttool.epa.gov/nepassist/nepamap.aspx. See
also the Marine Cadastre, which provides consolidated GIS
information for offshore actions, https://marinecadastre.gov/.
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J. Proposed Revisions to Definitions (Part 1508)
CEQ proposes significant revisions to part 1508. CEQ proposes to
clarify the definitions of a number of key NEPA terms in order to
reduce ambiguity, both through modification of existing definitions and
the addition of new definitions. CEQ also proposes to eliminate
individual section numbers for each term in favor of an alphabetical
list of defined terms in the revised Sec. 1508.1. CEQ proposes
conforming edits to remove citations to the specific definition
sections throughout the proposed rule. Finally, CEQ proposes to move
the operative language included throughout the definitions sections to
the relevant substantive sections of the regulations.
New definition of ``authorization.'' CEQ proposes to define the
term ``authorization'' to refer to the types of activities that might
be required for permitting a proposed action, in particular
infrastructure projects. This definition is consistent with the
definition included in FAST-41 and E.O. 13807.
Clarifying the meaning of ``categorical exclusion.'' CEQ proposes
to revise the definition of categorical exclusion by inserting
``normally'' to clarify that there may be situations where an action
may have significant effects on account of extraordinary circumstances.
CEQ also proposes to strike ``individually or cumulatively'' for
consistency with the proposed revisions to the definition of
``effects'' discussed below. CEQ proposes conforming edits in
Sec. Sec. 1500.4(a) and 1500.5(a). As noted in section II.I, CEQ
proposes to move the requirement to provide for extraordinary
circumstances in agency procedures to Sec. 1507.3(d)(2)(ii).
Clarifying the meaning of ``cooperating agency.'' CEQ proposes to
amend the definition of cooperating agency to make clear that a State,
Tribal, or local agency may be a cooperating agency when the lead
agency agrees, and to move the corresponding operative language to
proposed Sec. 1501.8(a).
Clarifying the meaning of ``effects.'' Many commenters have urged
CEQ to refine the definition of effects. Commenters raised concerns
that the current definition creates confusion, and that the terms
``indirect'' and ``cumulative'' have been interpreted expansively
resulting in excessive documentation about speculative effects and
leading to frequent litigation. Commenters also have raised concerns
that this has expanded the scope of NEPA analysis without serving
NEPA's purpose of informed decision making. Commenters stressed that
the focus of the effects analysis should be on those effects that are
reasonably foreseeable, related to the proposed action under
consideration, and subject to the agency's jurisdiction and control.
Commenters also noted that NEPA practitioners often struggle with
describing cumulative impacts despite numerous publications on the
topic.
While NEPA refers to environmental impacts and environmental
effects, it does not subdivide the terms into direct, indirect, or
cumulative. To address commenters' concerns and reduce confusion and
unnecessary litigation,
[[Page 1708]]
CEQ proposes to make amendments to simplify the definition of effects
by consolidating the definition into a single paragraph and striking
the specific references to direct, indirect, and cumulative effects.
In particular, CEQ proposes to amend the definition of effects to
provide clarity on the bounds of effects consistent with the Supreme
Court's holding in Department of Transportation v. Public Citizen, 541
U.S. at 767-68. Under the proposed definition, effects must be
reasonably foreseeable and have a reasonably close causal relationship
to the proposed action or alternatives; a ``but for'' causal
relationship is insufficient to make an agency responsible for a
particular effect under NEPA. This close causal relationship is
analogous to proximate cause in tort law. Id. at 767; see also Metro.
Edison Co., 460 U.S. at 774 (interpreting section 102 of NEPA to
require ``a reasonably close causal relationship between a change in
the physical environment and the effect at issue'' and stating that
``[t]his requirement is like the familiar doctrine of proximate cause
from tort law.''). CEQ seeks comment on whether to include in the
definition of effects the concept that the close causal relationship is
``analogous to proximate cause in tort law,'' and if so, how CEQ could
provide additional clarity regarding the meaning of this phrase.
CEQ proposes to strike the definition of cumulative impacts and
strike the terms ``direct'' and ``indirect'' in order to focus agency
time and resources on considering whether an effect is caused by the
proposed action rather than on categorizing the type of effect. CEQ's
proposed revisions to simplify the definition are intended to focus
agencies on consideration of effects that are reasonably foreseeable
and have a reasonably close causal relationship to the proposed action.
In practice, substantial resources have been devoted to categorizing
effects as direct, indirect, and cumulative, which, as noted above, are
not terms referenced in the NEPA statute.
In addition, CEQ proposes a change in position to state that
analysis of cumulative effects, as defined in CEQ's current
regulations, is not required under NEPA. While CEQ has issued detailed
guidance on considering cumulative effects, categorizing and
determining the geographic and temporal scope of such effects has been
difficult and can divert agencies from focusing their time and
resources on the most significant effects. Excessively lengthy
documentation that does not focus on the most meaningful issues for the
decision maker's consideration can lead to encyclopedic documents that
include information that is irrelevant or inconsequential to the
decision-making process. Instead, agencies should focus their efforts
on analyzing effects that are most likely to be potentially significant
and be effects that would occur as a result of the agency's decision.
Agencies are not expected to conduct exhaustive research on identifying
and categorizing actions beyond the agency's control. With this
proposed change and the proposed elimination of the definition of
cumulative impacts, it is CEQ's intent to focus agencies on analysis of
effects that are reasonably foreseeable and have a reasonably close
causal relationship to the proposed action.
To further assist agencies in their assessment of significant
effects, CEQ also proposes to clarify that effects should not be
considered significant if they are remote in time, geographically
remote, or the result of a lengthy causal chain. See, e.g., Pub.
Citizen, 541 U.S. at 767-68 (``In particular, `courts must look to the
underlying policies or legislative intent in order to draw a manageable
line between those causal changes that may make an actor responsible
for an effect and those that do not.' '' (quoting Metro. Edison Co.,
460 U.S. at 774 n.7)); Metro. Edison Co., 460 U.S. at 774 (noting
effects may not fall within section 102 of NEPA because ``the causal
chain is too attenuated''). To reinforce CEQ's proposed simplified
definition of effects, CEQ proposes to consolidate paragraphs (a), (b),
and (d) of 40 CFR 1502.16, ``Environmental consequences,'' into a new
Sec. 1502.16(a)(1).
Further, CEQ proposes to codify a key holding of Public Citizen
relating to the definition of effects to make clear that effects do not
include effects that the agency has no authority to prevent or would
happen even without the agency action, because they would not have a
sufficiently close causal connection to the proposed action. This
clarification will help agencies better understand what effects they
need to analyze and discuss, helping to reduce delays and paperwork
with unnecessary analyses.
CEQ invites comment on the proposed revisions to the definition of
effects, including whether CEQ should affirmatively state that
consideration of indirect effects is not required.
Clarifying the meaning of ``environmental assessment.'' CEQ
proposes to revise the definition of environmental assessment,
describing the purpose for the document and moving all of the operative
language from the definition to proposed Sec. 1501.5.
Clarifying the meaning of ``Federal agency.'' CEQ proposes to amend
the definition of ``Federal agency'' to broaden it to include States,
Tribes, and units of local government to the extent that they have
assumed NEPA responsibilities from a Federal agency pursuant to
statute. Since the issuance of the CEQ regulations, Congress has
authorized assumption of NEPA responsibilities in other contexts
besides the Housing and Community Development Act of 1974. See, e.g.,
Surface Transportation Project Delivery Program, 23 U.S.C. 327. This
change would acknowledge these programs and help clarify roles and
responsibilities.
Clarifying the meaning of ``human environment.'' CEQ proposes to
change ``people'' to ``present and future generations of Americans''
consistent with section 101(a) of NEPA.
Clarifying the meaning of ``lead agency.'' CEQ proposes to amend
the definition of lead agency to clarify that this term includes joint
lead agencies, which are an acceptable practice.
Clarifying the meaning of ``legislation.'' CEQ proposes to move the
operative language to Sec. 1506.8 and strike the example of treaties,
because, as noted in section II.H, the President is not a Federal
agency, and therefore a request for ratification of a treaty would not
be subject to NEPA.
Clarifying the meaning of ``major Federal action.'' CEQ received
many comments requesting clarification of the definition of major
Federal action. For example, CEQ received comments proposing that non-
Federal projects should not be considered major Federal actions based
on a very minor Federal role. Commenters also recommended that CEQ
clarify the definition to exclude decisions where agencies do not have
discretion to consider and potentially modify their actions based on
the environmental review.
CEQ proposes to amend the first sentence of the definition to
clarify that an action meets the definition if it is subject to Federal
control and responsibility, and it has effects that may be significant.
CEQ proposes to replace ``major'' effects with ``significant'' in this
sentence to align with the NEPA statute.
CEQ proposes to strike the second sentence of the definition, which
provides ``Major reinforces but does not have a meaning independent of
significantly.'' This is a change in position as compared to CEQ's
earlier interpretation of NEPA. In the statute, Congress refers to
``major Federal actions significantly affecting the quality of the
human environment.'' 42 U.S.C. 4332(2)(C). Under the current
[[Page 1709]]
interpretation, however, the word ``major'' is rendered virtually
meaningless.
CEQ proposes to strike the sentence because all words of a statute
must be given meaning consistent with longstanding principles of
statutory interpretation. See, e.g., Bennett, 520 U.S. at 173 (``It is
the ` ``cardinal principle of statutory construction'' . . . [that] it
is our duty ``to give effect, if possible, to every clause and word of
a statute'' . . . rather than to emasculate an entire section.' ''
(quoting United States v. Menasche, 348 U.S. 528, 538 (1955))). The
legislative history of NEPA also reflects that Congress used the term
``major'' independently of ``significantly,'' and provided that, for
major actions, agencies should make a determination as to whether the
proposal would have a significant environmental impact. Specifically,
the Senate Report for the National Environmental Policy Act of 1969
states, ``Each agency which proposes any major actions, such as project
proposals, proposals for new legislation, regulations, policy
statements, or expansion or revision of ongoing programs, shall make a
determination as to whether the proposal would have a significant
effect upon the quality of the human environment.'' S. Rep. No. 91-296,
at 20 (1969) (emphasis added).\76\ Moreover, over the past four
decades, in a number of cases, courts have determined that NEPA does
not require the preparation of an EIS for actions with minimal Federal
involvement or funding. Under this proposed definition, these would be
non-major Federal actions.
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\76\ https://ceq.doe.gov/docs/laws-regulations/Senate-Report-on-NEPA.pdf.
---------------------------------------------------------------------------
To clarify that these activities are non-major Federal actions, CEQ
proposes to add two sentences to the definition to make clear that this
term does not include non-Federal projects with minimal Federal funding
or minimal Federal involvement such that the agency cannot control the
outcome on the project. In such circumstances, there is no practical
reason for an agency to conduct a NEPA analysis because the agency
could not influence the outcome of its action to address the effects of
the project. For example, this might include a very small percentage of
Federal funding provided only to help design an infrastructure project
that is otherwise funded through private or local funds. This change
would help to reduce costs and delays by more clearly defining the
kinds of actions that are appropriately within the scope of NEPA.
CEQ also proposes to strike the third sentence of the definition,
which includes a failure to act in the definition of a major Federal
action, and exclude activities that do not result in final agency
action under the APA. NEPA applies when agencies are considering a
proposal for decision. In the circumstance described in this sentence,
there is no proposed action and therefore no alternatives that the
agency may consider. S. Utah Wilderness All., 542 U.S. at 70-73.
CEQ also proposes to strike the specific reference to the State and
Local Fiscal Assistance Act of 1972 from paragraph (a). The proposed
revisions to the definition clarify that general revenue sharing funds
would not meet the definition of major Federal action. In particular,
CEQ proposes to exclude as non-major Federal actions the farm ownership
and operating loan guarantees provided by the Farm Service Agency (FSA)
of the U.S. Department of Agriculture pursuant to 7 U.S.C. 1925 and
1941 through 1949, and the business loan guarantee programs of the
Small Business Administration (SBA), 15 U.S.C. 636(a), 636(m), and 695
through 697f. Under the farm ownership and operating loan programs, FSA
does not control the bank, or the borrower; the agency does not control
the subsequent use of such funds and does not operate any facilities.
In the event of a default, properties are sold, and FSA never takes
physical possession of, operates, or manages any facility. SBA's
business loan programs operate in similar fashion. Further, under those
programs no Federal funds are expended unless there is a default by the
borrower paying the loan.
CEQ invites comment on whether it should make any further changes
to this paragraph, including changing ``partly'' to ``predominantly''
for consistency with the edits to the introductory paragraph regarding
``minimal Federal funding.'' CEQ also invites comment whether there
should be a threshold (percentage or dollar figure) for ``minimal
Federal funding,'' and if so, what would be an appropriate threshold
and the basis for such a threshold. CEQ also invites comment on whether
any types of financial instruments, including loans and loan
guarantees, should be considered non-major Federal actions and the
basis for such exclusion.
Additionally, as a general matter, CEQ invites comment on whether
the definition of ``major Federal action'' should be further revised to
exclude other per se categories of activities or to further address
what NEPA analysts have called ``the small handle problem.'' \77\
Commenters should provide any relevant data that may assist in
identifying such categories of activities. Finally, as noted in the
discussion of Sec. 1501.4, CEQ invites comment on whether and how to
exclude certain categories of actions common to all Federal agencies
from the definition.
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\77\ See Daniel R. Mandelker et al., NEPA Law and Litigation,
Sec. 8:20 (2d ed. 2019) (``This problem is sometimes called the
`small handle' problem because [F]ederal action may be only be a
`small handle' on a non[-F]ederal project.'').
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CEQ also proposes to insert ``implementation of'' before
``treaties'' in paragraph (b)(1) to clarify that the major Federal
action is not the treaty itself, but rather an agency's action to
implement that treaty. Further, CEQ proposes to strike ``guide'' from
paragraph (b)(2) because guidance is non-binding.
CEQ also invites comment on whether the regulations should clarify
that NEPA does not apply extraterritorially, consistent with Kiobel v.
Royal Dutch Petroleum Co., 569 U.S. 108, 115-16 (2013), in light of the
ordinary presumption against extraterritorial application when a
statute does not clearly indicate that extraterritorial application is
intended by Congress.
Clarifying the meaning of ``mitigation.'' CEQ proposes to amend the
definition of ``mitigation'' to define the term and clarify that NEPA
does not require adoption of any particular mitigation measure,
consistent with Methow Valley, 490 U.S. at 352-53. In Methow Valley,
the Supreme Court held that NEPA and the CEQ regulations require ``that
mitigation be discussed in sufficient detail to ensure that
environmental consequences have been fairly evaluated,'' but do not
establish ``a substantive requirement that a complete mitigation plan
be actually formulated and adopted'' before the agency can make its
decision. Id. at 352.
CEQ also proposes to amend the definition of ``mitigation'' to make
clear that mitigation must have a nexus to the effects of the proposed
action, is limited to those actions that have an effect on the
environment, and does not include actions that do not have an effect on
the environment. This would make the NEPA process more effective by
clarifying that mitigation measures must actually be designed to
mitigate the effects of the proposed action. This amended definition is
consistent with CEQ's Mitigation Guidance, supra note 18.
Under that guidance, if an agency believes that the proposed action
will provide net environmental benefits through use of compensatory
mitigation, the agency should incorporate by
[[Page 1710]]
reference the documents that demonstrate that the proposed mitigation
will be new or in addition to actions that would occur under the no-
action alternative, and the financial, legal, and management
commitments for the mitigation. Use of well-established mitigation
banks and similar compensatory mitigation legal structures should
provide the necessary substantiation for the agency's findings on the
effectiveness (nexus to effects of the action, proportionality, and
durability) of the mitigation. Other actions may be effectively
mitigated through use of environmental management systems that provide
a structure of procedures and policies to systematically identify,
evaluate, and manage environmental impacts of an action during its
implementation.\78\
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\78\ See Council on Environmental Quality, Aligning National
Environmental Policy Act Processes with Environmental Management
Systems (April 2007), https://ceq.doe.gov/docs/ceq-publications/NEPA_EMS_Guide_final_Apr2007.pdf.
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Clarifying the meaning of ``notice of intent.'' CEQ proposes to
revise the definition of ``notice of intent'' to remove the operative
requirements for the NOI and add the word ``public'' to clarify that
the NOI is a public notice.
New definition of ``page.'' A new definition of ``page'' would
provide a word count (500 words) for a more standard functional
definition of ``page'' for page count and other NEPA purposes. This
would update NEPA for modern electronic publishing and internet
formatting, in which the number of words per page can vary widely
depending on format. It would also ensure some uniformity in document
length while allowing unrestricted use of the graphic display of
quantitative information, tables, photos, maps, and other geographic
information that can provide a much more effective means of conveying
information about environmental effects. This change supports the
original CEQ page limits as a means of ensuring that environmental
documents are readable and useful to decision makers.
New definition of ``participating agency.'' As discussed above, CEQ
proposes to add the concept of a participating agency to the CEQ
regulations. CEQ proposes to define participating agency consistent
with the definition in FAST-41 and 23 U.S.C. 139. CEQ proposes to add
participating agencies to Sec. 1501.7(i) regarding the schedule and
replace the term ``commenting'' agencies with ``participating''
agencies throughout.
Clarifying the meaning of ``proposal.'' CEQ proposes clarifying
edits and to strike the operative language regarding timing of an EIS
because it is already addressed in Sec. 1502.5.
New definition of ``publish/publication.'' CEQ proposes to define
this term to provide agencies with the flexibility to make
environmental reviews and information available to the public by
electronic means. The 1978 regulations predate personal computers and a
wide range of technologies now used by agencies such as GIS mapping
tools and social media. To address environmental justice concerns and
ensure that the affected public is not excluded from the NEPA process
due to a lack of resources (often referred to as the ``digital
divide''), the definition retains a provision for printed environmental
documents where necessary for effective public participation.
New definition of ``reasonable alternative.'' Several commenters
asked CEQ to include a new definition of ``reasonable alternatives'' in
the regulations with emphasis on how technical and economic feasibility
should be evaluated. CEQ proposes a new definition of ``reasonable
alternative'' that would provide that reasonable alternatives must be
technically and economically feasible and meet the purpose and need of
the proposed action. See, e.g., Vt. Yankee, 435 U.S. at 551
(``alternatives must be bounded by some notion of feasibility''). CEQ
also proposes to define reasonable alternatives as ``a reasonable range
of alternatives'' to codify Questions 1a and 1b in the Forty Questions,
supra note 10. Agencies are not required to give detailed consideration
to alternatives that are unlikely to be implemented because they are
infeasible, ineffective, or inconsistent with the purpose and need for
agency action.
Finally, CEQ proposes to clarify that a reasonable alternative must
also consider the goals of the applicant when the agency's action
involves a non-Federal entity. These changes would help reduce
paperwork and delays by helping to clarify the range of alternatives
that agencies must consider. Where the agency action is in response to
an application for permit or other authorization, the agency should
consider the applicant's goals based on the agency's statutory
authorization to act, as well as in other congressional directives, in
defining the proposed action's purpose and need.
New definition of ``reasonably foreseeable.'' CEQ received comment
requesting that the regulations provide a definition of ``reasonably
foreseeable.'' CEQ proposes to define ``reasonably foreseeable''
consistent with the ordinary person standard--that is what a person of
ordinary prudence would consider in reaching a decision.
New definition of ``senior agency official.'' As discussed in
section II.A, the proposed definition of ``senior agency official''
would provide for agency officials that are responsible for the
agency's NEPA compliance.
Striking the definition of ``significantly.'' Because the entire
definition of significantly is operative language, CEQ proposes to
strike this definition and discuss significance in Sec. 1501.4(b), as
described above.
Clarifying the meaning of ``tiering.'' CEQ would amend the
definition of ``tiering'' to make clear that agencies may use EAs at
the programmatic stage as well as the subsequent stages. This would
clarify that agencies have flexibility in structuring programmatic NEPA
reviews and associated tiering. CEQ would move the operative language
regarding tiering from 40 CFR 1508.28 to proposed Sec. 1501.11(b).
K. CEQ Guidance Documents
This proposed rule, if adopted as a final rule, would supersede any
previous CEQ NEPA guidance. If CEQ finalizes the proposed rule, CEQ
anticipates withdrawing all of the CEQ NEPA guidance that is currently
in effect and issuing new guidance as consistent with Presidential
directives.
L. Additional Issues on Which CEQ Invites Comment
Based on comments received and CEQ's experience in implementing
NEPA, the final rule may include amendments to any provisions in parts
1500 to 1508 of the CEQ regulations. CEQ invites comments recommending,
opposing, or providing feedback on specific changes to any provisions
in parts 1500 to 1508 of the CEQ regulations, including revising or
adopting as regulations existing CEQ guidance or handbooks.
Further, CEQ received comments requesting that the regulations
address analysis of greenhouse gas emissions and potential climate
change impacts. CEQ has proposed guidance titled ``Draft National
Environmental Policy Act Guidance on Consideration of Greenhouse Gas
Emissions'' \79\ to address how NEPA analyses should address greenhouse
gas (GHG) emissions. CEQ does not consider it appropriate to address a
single category of impacts in the regulations. If CEQ finalizes this
proposal, CEQ would review the draft GHG guidance for potential
revisions consistent with the
[[Page 1711]]
regulations. However, CEQ invites comments on whether it should codify
any aspects of its proposed GHG guidance in the regulation, and if so,
how CEQ should address them in the regulations.
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\79\ 84 FR 30097 (June 26, 2019).
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If proposed changes to the CEQ regulations provided in comments on
the ANPRM, or on the proposed GHG guidance, are not reflected in this
proposal, and the commenter would like to advance those proposals in
comments to the NPRM, CEQ requests that the commenter specifically
identify and reference to the prior comment.
Finally, CEQ invites comment on whether to update references to
``Council'' in the regulation to ``CEQ'' throughout the rule.
III. Rulemaking Analyses and Notices
A. Executive Order 12866, Regulatory Planning and Review; Executive
Order 13563, Improving Regulation and Regulatory Review; and Executive
Order 13771, Reducing Regulation and Controlling Regulatory Costs
This proposed rule is a significant regulatory action that was
submitted to the Office of Management and Budget (OMB) for review. The
docket for this rulemaking documents any changes made in response to
OMB recommendations as required by section 6 of E.O. 12866.
B. Regulatory Flexibility Act and Executive Order 13272, Proper
Consideration of Small Entities in Agency Rulemaking
The Regulatory Flexibility Act, as amended, (RFA), 5 U.S.C. 601 et
seq., and E.O. 13272 \80\ require agencies to assess the impacts of
proposed and final rules on small entities. Under the RFA, small
entities include small businesses, small organizations, and small
governmental jurisdictions. An agency must prepare an Initial
Regulatory Flexibility Analysis (IRFA) unless it determines and
certifies that a proposed rule, if promulgated, would not have a
significant economic impact on a substantial number of small entities.
The proposed rule would not directly regulate small entities. Rather,
the proposed rule applies to Federal agencies and sets forth the
process for their compliance with NEPA. Accordingly, CEQ hereby
certifies that the proposed rule, if promulgated, will not have a
significant economic impact on a substantial number of small entities.
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\80\ 67 FR 53461 (Aug. 16, 2002).
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C. National Environmental Policy Act
This proposed rule, if finalized, would assist agencies in
fulfilling their responsibilities under NEPA, but would not make any
final determination of what level of NEPA analysis is required for
particular actions. The CEQ regulations do not require agencies to
prepare a NEPA analysis before establishing or updating agency
procedures for implementing NEPA. While CEQ prepared environmental
assessments for its promulgation of the CEQ regulations in 1978 and its
amendments to 40 CFR 1502.22 in 1986, in the development of this
proposed rule, CEQ has determined that the proposed rule would not have
a significant effect on the environment because it would not authorize
any activity or commit resources to a project that may affect the
environment. Therefore, CEQ does not intend to conduct a NEPA analysis
of this proposed rule for the same reason that CEQ does not require any
Federal agency to conduct NEPA analysis for the development of agency
procedures for the implementation of NEPA and the CEQ regulations.
D. Executive Order 13132, Federalism
E.O. 13132 requires agencies to develop an accountable process to
ensure meaningful and timely input by State and local officials in the
development of regulatory policies that have federalism
implications.\81\ Policies that have federalism implications include
regulations that 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. CEQ does not anticipate that this proposed rule has
federalism implications because it applies to Federal agencies, not
States.
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\81\ 64 FR 43255 (Aug. 10, 1999).
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E. Executive Order 13175, Consultation and Coordination With Indian
Tribal Governments
E.O. 13175 requires agencies to have a process to ensure meaningful
and timely input by Tribal officials in the development of policies
that have Tribal implications.\82\ Such policies include regulations
that have substantial direct effects on one or more Indian Tribes, 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. While the proposed rule is not a
regulatory policy that has Tribal implications, the proposal does, in
part, respond to Tribal government comments supporting expansion of the
recognition of the sovereign rights, interests, and expertise of Tribes
in the NEPA process and CEQ regulations implementing NEPA.
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\82\ 65 FR 67249 (Nov. 9, 2000).
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In its ANPRM, CEQ included a specific question regarding the
representation of Tribal governments in the NEPA process. See ANPRM
Question 18 (``Are there ways in which the role of [T]ribal governments
in the NEPA process should be clarified in CEQ's NEPA regulations, and
if so, how?''). More generally, CEQ's ANPRM sought the views of Tribal
governments and others on regulatory revisions that CEQ could propose
to improve Tribal participation in Federal NEPA processes. See ANPRM
Question 2 (``Should CEQ's NEPA regulations be revised to make the NEPA
process more efficient by better facilitating agency use of
environmental studies, analysis, and decisions conducted in earlier
Federal, State, Tribal or local environmental reviews or authorization
decisions, and if so, how?''). As discussed section II.A, CEQ now
proposes to amend its regulations to further support coordination with
Tribal governments and agencies and analysis of a proposed action's
potential effects on Tribal lands, resources, or areas of historic
significance as an important part of Federal agency decision making. In
addition to these proposed revisions of the CEQ Regulations, CEQ is
inviting comment on other CEQ guidance that warrants codification. See,
e.g., CEQ Memorandum titled ``Designation of Non-Federal Agencies to be
Cooperating Agencies in Implementing the Procedural Requirements of the
National Environmental Policy Act'' \83\ (July 28, 1999) encouraging
more active solicitation of Tribal entities for participation as
cooperating agencies in NEPA documents.
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\83\ https://ceq.doe.gov/docs/ceq-regulations-and-guidance/regs/ceqcoop.pdf.
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F. Executive Order 12898, Federal Actions To Address Environmental
Justice in Minority Populations and Low-Income Populations
E.O. 12898 requires agencies to make achieving environmental
justice part of its mission by identifying and addressing, as
appropriate, disproportionately high and adverse human health or
environmental effects of its programs, policies, and activities on
minority populations and low-income populations.\84\ CEQ has
[[Page 1712]]
analyzed this proposed rule and determined that it would not cause
disproportionately high and adverse human health or environmental
effects on minority populations and low-income populations. This rule
would set forth implementing regulations for NEPA; it is in the agency
implementation of NEPA when conducting reviews of proposed agency
actions where consideration of environmental justice effects typically
occurs.
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\84\ 59 FR 7629 (Feb. 16, 1994).
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G. Executive Order 13211, Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
Agencies must prepare a Statement of Energy Effects for significant
energy actions under E.O. 13211.\85\ This proposed rule 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.
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\85\ 66 FR 28355 (May 22, 2001).
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H. Executive Order 12988, Civil Justice Reform
Under section 3(a) E.O. 12988,\86\ agencies must review their
proposed regulations to eliminate drafting errors and ambiguities,
draft them to minimize litigation, and provide a clear legal standard
for affected conduct. Section 3(b) provides a list of specific issues
for review to conduct the reviews required by section 3(a). CEQ has
conducted this review and determined that this proposed rule complies
with the requirements of E.O. 12988.
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\86\ 61 FR 4729 (Feb. 7, 1996).
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I. Unfunded Mandate Reform Act
Section 201 of the Unfunded Mandates Reform Act of 1995 (2 U.S.C.
1531) requires Federal agencies to assess the effects of their
regulatory actions on State, local, and Tribal governments, and the
private sector to the extent that such regulations incorporate
requirements specifically set forth in law. Before promulgating a rule
that may result in the expenditure by a State, local, or Tribal
government, in the aggregate, or by the private sector of $100 million,
adjusted annually for inflation, in any 1 year, an agency must prepare
a written statement that assesses the effects on State, local, and
Tribal governments and the private sector. 2 U.S.C. 1532. This proposed
rule applies to Federal agencies and would not result in expenditures
of $100 million or more for State, local, and Tribal governments, in
the aggregate, or the private sector in any 1 year. This action also
does not impose any enforceable duty, contain any unfunded mandate, or
otherwise have any effect on small governments subject to the
requirements of 2 U.S.C. 1531-1538.
J. Paperwork Reduction Act
This proposed rule does not impose any new information collection
burden that would require additional review or approval by OMB under
the Paperwork Reduction Act (PRA), 44 U.S.C. 3501 et seq.
List of Subjects in 40 CFR Parts 1500 Through 1508
Administrative practice and procedure; Environmental impact
statements; Environmental protection; Natural resources.
Dated: December 23, 2019.
Mary B. Neumayr,
Chairman.
For the reasons discussed in the preamble, the Council on
Environmental Quality proposes to amend parts 1500 through 1508 in
title 40 of the Code of Federal Regulations to read as follows:
0
1. Revise part 1500 to read as follows:
PART 1500--PURPOSE AND POLICY
Sec.
1500.1 Purpose and policy.
1500.2 [Reserved]
1500.3 NEPA compliance.
1500.4 Reducing paperwork.
1500.5 Reducing delay.
1500.6 Agency authority.
Authority: 42 U.S.C. 4321-4347; 42 U.S.C. 4371-4375; 42 U.S.C.
7609; E.O. 11514, 35 FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O. 13807, 82 FR 40463, Aug.
24, 2017.
Sec. 1500.1 Purpose and policy.
(a) The National Environmental Policy Act (NEPA) is a procedural
statute intended to ensure Federal agencies consider the environmental
impacts of their actions in the decision-making process. Section 101 of
NEPA establishes the national environmental policy of the Federal
Government to use all practicable means and measures to foster and
promote the general welfare, create and maintain conditions under which
man and nature can exist in productive harmony, and fulfill the social,
economic, and other requirements of present and future generations of
Americans. Section 102(2) of NEPA establishes the procedural
requirements to carry out the policy stated in section 101 of NEPA. In
particular, it requires Federal agencies to provide a detailed
statement on proposals for major Federal actions significantly
affecting the quality of the human environment. The purpose and
function of NEPA is satisfied if Federal agencies have considered
relevant environmental information and the public has been informed
regarding the decision making process. NEPA does not mandate particular
results or substantive outcomes. NEPA's purpose is not to generate
paperwork or litigation, but to provide for informed decision making
and foster excellent action.
(b) The regulations in parts 1500 through 1508 implement section
102(2) of NEPA. They provide direction to Federal agencies to determine
what actions are subject to NEPA's procedural requirements and the
level of NEPA review where applicable. These regulations are intended
to ensure that relevant environmental information is identified and
considered early in the process in order to ensure informed decision
making by Federal agencies. The regulations are also intended to ensure
that Federal agencies conduct environmental reviews in a coordinated,
consistent, predictable and timely manner, and to reduce unnecessary
burdens and delays. Finally, the regulations promote concurrent
environmental reviews to ensure timely and efficient decision making.
Sec. 1500.2 [Reserved]
Sec. 1500.3 NEPA compliance.
(a) Mandate. Parts 1500 through 1508 of this title are applicable
to and binding on all Federal agencies for implementing the procedural
provisions of the National Environmental Policy Act of 1969, as amended
(Pub. L. 91-190, 42 U.S.C. 4321 et seq.) (NEPA or the Act), except
where compliance would be inconsistent with other statutory
requirements. These regulations are issued pursuant to NEPA; the
Environmental Quality Improvement Act of 1970, as amended (Pub. L. 91-
224, 42 U.S.C. 4371 et seq.); section 309 of the Clean Air Act, as
amended (42 U.S.C. 7609); Executive Order 11514, Protection and
Enhancement of Environmental Quality (March 5, 1970), as amended by
Executive Order 11991, Relating to the Protection and Enhancement of
Environmental Quality (May 24, 1977); and Executive Order 13807,
Establishing Discipline and Accountability in the Environmental Review
and Permitting Process for Infrastructure Projects (August 15, 2017).
These regulations apply to the whole of section 102(2) of NEPA. The
provisions of the Act and of these regulations must be read together as
a whole to comply with the law. Agency NEPA procedures to implement
[[Page 1713]]
these regulations shall not impose additional procedures or
requirements beyond those set forth in these regulations, except as
otherwise provided by law or for agency efficiency.
(b) Exhaustion. (1) To ensure informed decision making and reduce
delays, agencies shall include a request for comments on potential
alternatives and impacts, and identification of any relevant
information, studies, or analyses of any kind concerning impacts
affecting the quality of the human environment in the notice of intent
to prepare an environmental impact statement (Sec. 1501.9).
(2) The environmental impact statement shall include a summary of
the comments received, including all alternatives, information, and
analyses submitted by public commenters for consideration by the lead
and cooperating agencies in developing the environmental impact
statement (Sec. 1502.17).
(3) For consideration by the lead and cooperating agencies,
comments must be submitted within the comment periods provided and
shall be as specific as possible (Sec. Sec. 1503.1 and 1503.3).
Comments or objections not submitted shall be deemed unexhausted and
forfeited. Any objections to the submitted alternatives, information,
and analyses section (Sec. 1502.17) shall be submitted within 30 days
of the notice of availability of the final environmental impact
statement.
(4) Based on the summary of the submitted alternatives,
information, and analyses section, the decision maker for the lead
agency shall certify in the record of decision that the agency
considered all of the alternatives, information, and analyses submitted
by public commenters for consideration by the lead and cooperating
agencies in developing the environmental impact statement (Sec.
1502.18).
(c) Actions regarding NEPA compliance. It is the Council's
intention that judicial review of agency compliance with the
regulations in parts 1500 through 1508 not occur before an agency has
issued the record of decision or taken other final agency action. Any
allegation of noncompliance with NEPA and these regulations should be
resolved as expeditiously as possible. Agencies may structure their
decision making to allow private parties to seek agency stays of final
agency decisions pending administrative or judicial review of those
decisions. Consistent with their organic statutes, agencies may
structure their procedures to provide for efficient mechanisms for
seeking, granting and imposing conditions on such stays, consistent
with 5 U.S.C. 705. Such mechanisms may include the imposition of an
appropriate bond requirement or other security requirement as a
condition for a stay.
(d) Remedies. Harm from the failure to comply with NEPA can be
remedied by compliance with NEPA's procedural requirements as
interpreted in the regulations in parts 1500 through 1508. These
regulations create no presumption that violation of NEPA is a basis for
injunctive relief or for a finding of irreparable harm. These
regulations do not create a cause of action or right of action for
violation of NEPA, which contains no such cause of action or right of
action. It is the Council's intention that any actions to review,
enjoin, stay, or alter an agency decision on the basis of an alleged
NEPA violation be raised as soon as practicable to avoid or minimize
any costs to agencies, applicants, or any affected third parties. It is
also the Council's intention that minor, non-substantive errors that
have no effect on agency decision making shall be considered harmless
and shall not invalidate an agency action.
(e) Severability. The sections of parts 1501 through 1508 are
separate and severable from one another. If any section or portion
therein is stayed or determined to be invalid, or the applicability of
any section to any person or entity is held invalid, it is the
Council's intention that the validity of the remainder of those parts
shall not be affected, with the remaining sections to continue in
effect.
Sec. 1500.4 Reducing paperwork.
Agencies shall reduce excessive paperwork by:
(a) Using categorical exclusions to define categories of actions
which do not have a significant effect on the human environment and
which are therefore exempt from requirements to prepare an
environmental impact statement (Sec. 1501.4).
(b) Using a finding of no significant impact when an action not
otherwise excluded will not have a significant effect on the human
environment and is therefore exempt from requirements to prepare an
environmental impact statement (Sec. 1501.6).
(c) Reducing the length of environmental documents by means such as
meeting appropriate page limits (Sec. Sec. 1501.5(e) and 1502.7).
(d) Preparing analytic and concise environmental impact statements
(Sec. 1502.2).
(e) Discussing only briefly issues other than significant ones
(Sec. 1502.2(b)).
(f) Writing environmental impact statements in plain language
(Sec. 1502.8).
(g) Following a clear format for environmental impact statements
(Sec. 1502.10).
(h) Emphasizing the portions of the environmental impact statement
that are useful to decision makers and the public (Sec. Sec. 1502.14
and 1502.15) and reducing emphasis on background material (Sec.
1502.16).
(i) Using the scoping process, not only to identify significant
environmental issues deserving of study, but also to deemphasize
insignificant issues, narrowing the scope of the environmental impact
statement process accordingly (Sec. 1501.9).
(j) Summarizing the environmental impact statement (Sec. 1502.12).
(k) Using programmatic, policy, or plan environmental impact
statements and tiering from statements of broad scope to those of
narrower scope, to eliminate repetitive discussions of the same issues
(Sec. Sec. 1502.4 and 1501.11).
(l) Incorporating by reference (Sec. 1501.12).
(m) Integrating NEPA requirements with other environmental review
and consultation requirements (Sec. 1502.25).
(n) Requiring comments to be as specific as possible (Sec.
1503.3).
(o) Attaching and publishing only changes to the draft
environmental impact statement, rather than rewriting and publishing
the entire statement when changes are minor (Sec. 1503.4(c)).
(p) Eliminating duplication with State, Tribal, and local
procedures, by providing for joint preparation of environmental
documents where practicable (Sec. 1506.2), and with other Federal
procedures, by providing that an agency may adopt appropriate
environmental documents prepared by another agency (Sec. 1506.3).
(q) Combining environmental documents with other documents (Sec.
1506.4).
Sec. 1500.5 Reducing delay.
Agencies shall reduce delay by:
(a) Using categorical exclusions to define categories of actions
which do not have a significant effect on the human environment (Sec.
1501.4) and which are therefore exempt from requirements to prepare an
environmental impact statement.
(b) Using a finding of no significant impact when an action not
otherwise excluded will not have a significant effect on the human
environment (Sec. 1501.6) and is therefore exempt from requirements to
prepare an environmental impact statement.
(c) Integrating the NEPA process into early planning (Sec.
1501.2).
[[Page 1714]]
(d) Engaging in interagency cooperation before the environmental
assessment or environmental impact statement is prepared, rather than
submission of comments on a completed document (Sec. 1501.8).
(e) Ensuring the swift and fair resolution of lead agency disputes
(Sec. 1501.7).
(f) Using the scoping process for an early identification of what
are and what are not the real issues (Sec. 1501.9).
(g) Meeting appropriate time limits for the environmental
assessment and environmental impact statement processes (Sec.
1501.10).
(h) Preparing environmental impact statements early in the process
(Sec. 1502.5).
(i) Integrating NEPA requirements with other environmental review
and consultation requirements (Sec. 1502.25).
(j) Eliminating duplication with State, Tribal, and local
procedures by providing for joint preparation of environmental
documents where practicable (Sec. 1506.2) and with other Federal
procedures by providing that agencies may jointly prepare or adopt
appropriate environmental documents prepared by another agency (Sec.
1506.3).
(k) Combining environmental documents with other documents (Sec.
1506.4).
(l) Using accelerated procedures for proposals for legislation
(Sec. 1506.8).
Sec. 1500.6 Agency authority.
Each agency shall interpret the provisions of the Act as a
supplement to its existing authority and as a mandate to view policies
and missions in the light of the Act's national environmental
objectives. Agencies shall review their policies, procedures, and
regulations accordingly and revise them as necessary to ensure full
compliance with the purposes and provisions of the Act as interpreted
by the regulations in parts 1500 through 1508. The phrase ``to the
fullest extent possible'' in section 102 of NEPA means that each agency
of the Federal Government shall comply with that section unless
existing law applicable to the agency's operations expressly prohibits
or makes compliance impossible. Nothing contained in the regulations in
parts 1500 through 1508 is intended or should be construed to limit an
agency's other authorities or legal responsibilities.
0
2. Revise part 1501 to read as follows:
PART 1501--NEPA AND AGENCY PLANNING
Sec.
1501.1 NEPA threshold applicability analysis.
1501.2 Apply NEPA early in the process.
1501.3 Determine the appropriate level of NEPA review.
1501.4 Categorical exclusions.
1501.5 Environmental assessments.
1501.6 Findings of no significant impact.
1501.7 Lead agencies.
1501.8 Cooperating agencies.
1501.9 Scoping.
1501.10 Time limits.
1501.11 Tiering.
1501.12 Incorporation by reference.
Authority: 42 U.S.C. 4321-4347; 42 U.S.C. 4371-4375; 42 U.S.C.
7609; E.O. 11514, 35 FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O. 13807, 82 FR 40463, Aug.
24, 2017.
Sec. 1501.1 NEPA threshold applicability analysis.
(a) In assessing whether NEPA applies, Federal agencies should
determine:
(1) Whether the proposed action is a major Federal action.
(2) Whether the proposed action, in whole or in part, is a non-
discretionary action for which the agency lacks authority to consider
environmental effects as part of its decision-making process.
(3) Whether the proposed action is an action for which compliance
with NEPA would clearly and fundamentally conflict with the
requirements of another statute.
(4) Whether the proposed action is an action for which compliance
with NEPA would be inconsistent with Congressional intent due to the
requirements of another statute.
(5) Whether the proposed action is an action for which the agency
has determined that other analyses or processes under other statutes
serve the function of agency compliance with NEPA.
(b) Federal agencies may make these determinations in their agency
NEPA procedures (Sec. 1507.3(c)) or on an individual basis.
Sec. 1501.2 Apply NEPA early in the process.
(a) Agencies should integrate the NEPA process with other planning
and authorization processes at the earliest reasonable time to ensure
that agencies consider environmental impacts in their planning and
decisions, to avoid delays later in the process, and to head off
potential conflicts.
(b) Each agency shall:
(1) Comply with the mandate of section 102(2)(A) of NEPA to
``utilize a systematic, interdisciplinary approach which will [e]nsure
the integrated use of the natural and social sciences and the
environmental design arts in planning and in decision making which may
have an impact on man's environment,'' as specified by Sec. 1507.2.
(2) Identify environmental effects and values in adequate detail so
they can be appropriately considered along with economic and technical
analyses. Agencies shall review and publish environmental documents and
appropriate analyses at the same time as other planning documents.
(3) Study, develop, and describe appropriate alternatives to
recommended courses of action in any proposal which involves unresolved
conflicts concerning alternative uses of available resources as
provided by section 102(2)(E) of NEPA.
(4) Provide for cases where actions that are subject to NEPA are
planned by private applicants or other non-Federal entities before
Federal involvement so that:
(i) Policies or designated staff are available to advise potential
applicants of studies or other information foreseeably required for
later Federal action.
(ii) The Federal agency consults early with appropriate State,
Tribal, and local governments and with interested private persons and
organizations when its own involvement is reasonably foreseeable.
(iii) The Federal agency commences its NEPA process at the earliest
reasonable time.
Sec. 1501.3 Determine the appropriate level of NEPA review.
(a) In assessing the appropriate level of NEPA review, Federal
agencies should determine whether the proposed action:
(1) Normally does not have significant effects and is categorically
excluded (Sec. 1501.4);
(2) Is not likely to have significant effects or the significance
of the effects is unknown and is therefore appropriate for an
environmental assessment (Sec. 1501.5); or
(3) Is likely to have significant effects and is therefore
appropriate for an environmental impact statement (part 1502).
(b) In considering whether the effects of the proposed action are
significant, agencies shall analyze the potentially affected
environment and degree of the effects of the action.
(1) In considering the potentially affected environment, agencies
may consider, as appropriate, the affected area (national, regional, or
local). Significance varies with the setting of the proposed action.
For instance, in the case of a site-specific action, significance would
usually depend upon the effects in the locale rather than in the Nation
as a whole. Both short- and long-term effects are relevant.
(2) In considering the degree of the effects, agencies should
consider the
[[Page 1715]]
following, as appropriate to the specific action:
(i) Effects may be both beneficial and adverse.
(ii) Effects on public health and safety.
(iii) Effects that would violate Federal, State, Tribal, or local
law protecting the environment.
Sec. 1501.4 Categorical exclusions.
(a) For efficiency, agencies identify in their agency NEPA
procedures (Sec. 1507.3(d)(2)(ii)) categories of actions that normally
do not have a significant effect on the human environment, and
therefore do not require preparation of an environmental assessment or
environmental impact statement.
(b) If an agency determines that a proposed action is covered by a
categorical exclusion identified in its agency NEPA procedures, the
agency shall evaluate the action for extraordinary circumstances in
which a normally excluded action may have a significant effect.
(1) If extraordinary circumstances are present for a proposed
action, the agency should consider whether mitigating circumstances or
other conditions are sufficient to avoid significant effects and
therefore categorically exclude the proposed action.
(2) If the proposed action cannot be categorically excluded, the
agency shall prepare an environmental assessment or environmental
impact statement.
Sec. 1501.5 Environmental assessments.
(a) An agency shall prepare an environmental assessment for a
proposed action that is not likely to have significant effects or when
the significance of the effects is unknown unless the agency finds that
a categorical exclusion (Sec. 1501.4) is applicable or has decided to
prepare an environmental impact statement.
(b) An agency may prepare an environmental assessment on any action
in order to assist agency planning and decision making.
(c) An environmental assessment shall:
(1) Briefly provide sufficient evidence and analysis for
determining whether to prepare an environmental impact statement or a
finding of no significant impact; and
(2) Briefly discuss the purpose and need for the proposed action,
alternatives as required by section 102(2)(E) of NEPA, the
environmental impacts of the proposed action and alternatives, and a
listing of agencies and persons consulted.
(d) Agencies shall involve relevant agencies, applicants, and the
public, to the extent practicable in preparing environmental
assessments.
(e) The text of an environmental assessment shall be no more than
75 pages, not including appendices, unless a senior agency official
approves in writing an assessment to exceed 75 pages and establishes a
new page limit.
(f) Agencies may apply the following provisions to environmental
assessments:
(1) Section 1502.22 Incomplete or unavailable information;
(2) Section 1502.24 Methodology and scientific accuracy; and
(3) Section 1502.25 Environmental review and consultation
requirements.
Sec. 1501.6 Findings of no significant impact.
(a) An agency shall prepare a finding of no significant impact if
the agency determines, based on the environmental assessment, not to
prepare an environmental impact statement because the proposed action
is not likely to have significant effects.
(1) The agency shall make the finding of no significant impact
available to the affected public as specified in Sec. 1506.6.
(2) In the following circumstances, the agency shall make the
finding of no significant impact available for public review for 30
days before the agency makes its final determination whether to prepare
an environmental impact statement and before the action may begin:
(i) The proposed action is, or is closely similar to, one which
normally requires the preparation of an environmental impact statement
under the procedures adopted by the agency pursuant to Sec. 1507.3, or
(ii) The nature of the proposed action is one without precedent.
(b) The finding of no significant impact shall include the
environmental assessment or incorporate it by reference and shall note
any other environmental documents related to it (Sec. 1501.9(f)(3)).
If the assessment is included, the finding need not repeat any of the
discussion in the assessment but may incorporate it by reference.
(c) The finding of no significant impact shall state the means of
and authority for any mitigation that the agency has adopted, and any
applicable monitoring or enforcement provisions. If the agency finds no
significant impacts based on mitigation, the mitigated finding of no
significant impact shall state any enforceable mitigation requirements
or commitments that will be undertaken to avoid significant impacts.
Sec. 1501.7 Lead agencies.
(a) A lead agency shall supervise the preparation of an
environmental impact statement or environmental assessment if more than
one Federal agency either:
(1) Proposes or is involved in the same action; or
(2) Is involved in a group of actions directly related to each
other because of their functional interdependence or geographical
proximity.
(b) Federal, State, Tribal, or local agencies, including at least
one Federal agency, may act as joint lead agencies to prepare an
environmental impact statement or environmental assessment (Sec.
1506.2).
(c) If an action falls within the provisions of paragraph (a) of
this section, the potential lead agencies shall determine, by letter or
memorandum, which agency shall be the lead agency and which shall be
cooperating agencies. The agencies shall resolve the lead agency
question so as not to cause delay. If there is disagreement among the
agencies, the following factors (which are listed in order of
descending importance) shall determine lead agency designation:
(1) Magnitude of agency's involvement.
(2) Project approval/disapproval authority.
(3) Expertise concerning the action's environmental effects.
(4) Duration of agency's involvement.
(5) Sequence of agency's involvement.
(d) Any Federal agency, or any State, Tribal, or local agency or
private person substantially affected by the absence of lead agency
designation, may make a written request to the senior agency officials
of the potential lead agencies that a lead agency be designated.
(e) If Federal agencies are unable to agree on which agency will be
the lead agency or if the procedure described in paragraph (c) of this
section has not resulted within 45 days in a lead agency designation,
any of the agencies or persons concerned may file a request with the
Council asking it to determine which Federal agency shall be the lead
agency. A copy of the request shall be transmitted to each potential
lead agency. The request shall consist of:
(1) A precise description of the nature and extent of the proposed
action.
(2) A detailed statement of why each potential lead agency should
or should not be the lead agency under the criteria specified in
paragraph (c) of this section.
(f) A response may be filed by any potential lead agency concerned
within 20 days after a request is filed with the Council. The Council
shall determine as soon as possible but not later than 20 days after
receiving the request and all responses to it which Federal agency
shall be the lead agency and which
[[Page 1716]]
other Federal agencies shall be cooperating agencies.
(g) To the extent practicable, if a proposal will require action by
more than one Federal agency and the lead agency determines that it
requires preparation of an environmental impact statement, the lead and
cooperating agencies shall evaluate the proposal in a single
environmental impact statement and issue a joint record of decision. To
the extent practicable, if the lead agency determines that the proposed
action should be evaluated in an environmental assessment, the lead and
cooperating agencies should evaluate the proposal in a single
environmental assessment and, where appropriate, issue a joint finding
of no significant impact.
(h) With respect to cooperating agencies, the lead agency shall:
(1) Request the participation of each cooperating agency in the
NEPA process at the earliest practicable time.
(2) Use the environmental analysis and proposals of cooperating
agencies with jurisdiction by law or special expertise, to the maximum
extent practicable, consistent with its responsibility as lead agency.
(3) Meet with a cooperating agency at the latter's request.
(4) Determine the purpose and need, and alternatives in
consultation with any cooperating agency.
(i) The lead agency shall develop a schedule, setting milestones
for all environmental reviews and authorizations required for
implementation of the action, in consultation with any applicant and
all joint lead, cooperating, and participating agencies, as soon as
practicable.
(j) If the lead agency anticipates that a milestone will be missed,
it shall notify appropriate officials at the responsible agencies. The
responsible agencies shall elevate, as soon as practicable, to the
appropriate officials of the responsible agencies, the issue for timely
resolution.
Sec. 1501.8 Cooperating agencies.
(a) The purpose of this section is to emphasize agency cooperation
early in the NEPA process. Any Federal agency with jurisdiction by law
shall be a cooperating agency upon request of the lead agency. In
addition, any other Federal agency with special expertise with respect
to any environmental issue may be a cooperating agency upon request of
the lead agency. A State, Tribal, or local agency of similar
qualifications may, by agreement with the lead agency, become a
cooperating agency. An agency may request the lead agency to designate
it a cooperating agency, and a Federal agency may appeal a denial of
its request to the Council, in accordance with Sec. 1501.7(e).
(b) Each cooperating agency shall:
(1) Participate in the NEPA process at the earliest practicable
time.
(2) Participate in the scoping process (described in Sec. 1501.9).
(3) Assume, on request of the lead agency, responsibility for
developing information and preparing environmental analyses, including
portions of the environmental impact statement or environmental
assessment concerning which the cooperating agency has special
expertise.
(4) Make available staff support at the lead agency's request to
enhance the latter's interdisciplinary capability.
(5) Normally use its own funds. To the extent available funds
permit, the lead agency shall fund those major activities or analyses
it requests from cooperating agencies. Potential lead agencies shall
include such funding requirements in their budget requests.
(6) Consult with the lead agency in developing the schedule (Sec.
1501.7(i)), meet the schedule, and elevate, as soon as practicable, to
the senior agency official of the lead agency relating to purpose and
need, alternatives or any other issues any issues that may affect that
agency's ability to meet the schedule.
(7) Meet the lead agency's schedule for providing comments and
limit its comments to those matters for which it has jurisdiction by
law or special expertise with respect to any environmental issue
consistent with Sec. 1503.2.
(c) In response to a lead agency's request for assistance in
preparing the environmental documents (described in paragraph (b)(3),
(4), or (5) of this section), a cooperating agency may reply that other
program commitments preclude any involvement or the degree of
involvement requested in the action that is the subject of the
environmental impact statement or environmental assessment. The
cooperating agency shall submit a copy of this reply to the Council and
the senior agency official of the lead agency.
Sec. 1501.9 Scoping.
(a) Generally. Agencies shall use an early and open process to
determine the scope of issues for analysis in an environmental impact
statement, including identifying the significant issues and eliminating
from further study non-significant issues. Scoping may begin as soon as
practicable after the proposal for action is sufficiently developed for
agency consideration. Scoping may include appropriate pre-application
procedures or work conducted prior to publication of the notice of
intent.
(b) Invite cooperating and participating agencies. As part of the
scoping process, the lead agency shall invite the participation of
likely affected Federal, State, Tribal, and local agencies and
governments, the proponent of the action, and other likely affected or
interested persons (including those who might not be in accord with the
action on environmental grounds), unless there is a limited exception
under Sec. 1507.3(e).
(c) Scoping outreach. As part of the scoping process the lead
agency may hold a scoping meeting or meetings, publish scoping
information, or use other means to communicate with those persons or
agencies who may be interested or affected, which the agency may
integrate with any other early planning meeting. Such a scoping meeting
will often be appropriate when the impacts of a particular action are
confined to specific sites.
(d) Notice of intent. As soon as practicable after determining that
a proposal is sufficiently developed to allow for meaningful public
comment and requires an environmental impact statement, the lead agency
shall publish a notice of intent to prepare an environmental impact
statement in the Federal Register, except as provided in Sec.
1507.3(e)(3). An agency may publish notice in accordance with Sec.
1506.6. The notice shall include, as appropriate:
(1) The purpose and need for the proposed action;
(2) A preliminary description of the proposed action and
alternatives to be considered;
(3) A brief summary of expected impacts;
(4) Anticipated permits and other authorizations;
(5) A schedule for the decision-making process;
(6) A description of the public scoping process, including any
scoping meeting(s);
(7) A request for comments on potential alternatives and impacts,
and identification of any relevant information, studies, or analyses of
any kind concerning impacts affecting the quality of the human
environment (Sec. Sec. 1503.1 and 1503.3); and
(8) Contact information for a person within the agency who can
answer questions about the proposed action and the environmental impact
statement.
(e) Determination of scope. As part of the scoping process, the
lead agency shall determine the scope and the significant issues to be
analyzed in depth in the environmental impact
[[Page 1717]]
statement. To determine the scope of environmental impact statements,
agencies shall consider:
(1) Actions (other than unconnected single actions) that may be:
(i) Connected actions, which means that they are closely related
and therefore should be discussed in the same impact statement. Actions
are connected if they:
(A) Automatically trigger other actions that may require
environmental impact statements;
(B) Cannot or will not proceed unless other actions are taken
previously or simultaneously; or
(C) Are interdependent parts of a larger action and depend on the
larger action for their justification.
(ii) Similar actions, which when viewed with other reasonably
foreseeable or proposed agency actions, have similarities that provide
a basis for evaluating their environmental consequences together, such
as common timing or geography. An agency may wish to analyze these
actions in the same impact statement. It should do so when the most
effective way to assess adequately the combined impacts of similar
actions or reasonable alternatives to such actions is to treat them in
a single impact statement.
(2) Alternatives, which include the no action alternative; other
reasonable courses of action; and mitigation measures (not in the
proposed action).
(3) Impacts.
(f) Additional scoping responsibilities. As part of the scoping
process, the lead agency shall:
(1) Identify and eliminate from detailed study the issues which are
not significant or which have been covered by prior environmental
review (Sec. 1506.3), narrowing the discussion of these issues in the
statement to a brief presentation of why they will not have a
significant effect on the human environment or providing a reference to
their coverage elsewhere.
(2) Allocate assignments for preparation of the environmental
impact statement among the lead and cooperating agencies, with the lead
agency retaining responsibility for the statement.
(3) Indicate any public environmental assessments and other
environmental impact statements which are being or will be prepared
that are related to but are not part of the scope of the impact
statement under consideration.
(4) Identify other environmental review, authorization, and
consultation requirements so the lead and cooperating agencies may
prepare other required analyses and studies concurrently with, and
integrated with, the environmental impact statement as provided in
Sec. 1502.25.
(5) Indicate the relationship between the timing of the preparation
of environmental analyses and the agencies' tentative planning and
decision-making schedule.
(g) Revisions. An agency shall revise the determinations made under
paragraphs (b), (c), (e), and (f) of this section if substantial
changes are made later in the proposed action, or if significant new
circumstances or information arise which bear on the proposal or its
impacts.
Sec. 1501.10 Time limits.
(a) To ensure that agencies conduct NEPA reviews as efficiently and
expeditiously as practicable, Federal agencies should set time limits
appropriate to individual actions or types of actions (consistent with
the time intervals required by Sec. 1506.11). When multiple agencies
are involved the reference to agency below means lead agency.
(b) To ensure timely decision making, agencies shall complete:
(1) Environmental assessments within 1 year unless a senior agency
official of the lead agency approves a longer period in writing and
establishes a new time limit. One year is measured from the date of
decision to prepare an environmental assessment to the publication of a
final environmental assessment.
(2) Environmental impact statements within 2 years unless a senior
agency official of the lead agency approves a longer period in writing
and establishes a new time limit. Two years is measured from the date
of the issuance of the notice of intent to the date a record of
decision is signed.
(c) The senior agency official may consider the following factors
in determining time limits:
(1) Potential for environmental harm.
(2) Size of the proposed action.
(3) State of the art of analytic techniques.
(4) Degree of public need for the proposed action, including the
consequences of delay.
(5) Number of persons and agencies affected.
(6) Availability of relevant information.
(7) Other time limits imposed on the agency by law, regulations, or
Executive order.
(d) The senior agency official may set overall time limits or
limits for each constituent part of the NEPA process, which may
include:
(1) Decision on whether to prepare an environmental impact
statement (if not already decided).
(2) Determination of the scope of the environmental impact
statement.
(3) Preparation of the draft environmental impact statement.
(4) Review of any comments on the draft environmental impact
statement from the public and agencies.
(5) Preparation of the final environmental impact statement.
(6) Review of any comments on the final environmental impact
statement.
(7) Decision on the action based in part on the environmental
impact statement.
(e) The agency may designate a person (such as the project manager
or a person in the agency's office with NEPA responsibilities) to
expedite the NEPA process.
(f) State, Tribal, or local agencies or members of the public may
request a Federal agency to set time limits.
Sec. 1501.11 Tiering.
(a) Agencies are encouraged to tier their environmental impact
statements and environmental assessments where it would eliminate
repetitive discussions of the same issues, focus on the actual issues
ripe for decision, and exclude from consideration issues already
decided or not yet ripe at each level of environmental review. Whenever
an agency has prepared an environmental impact statement or
environmental assessment for a program or policy and then prepares a
subsequent statement or environmental assessment on an action included
within the entire program or policy (such as a project- or site-
specific action), the subsequent statement or environmental assessment
need only summarize the issues discussed in the broader statement and
incorporate discussions from the broader statement by reference and
shall concentrate on the issues specific to the subsequent action. The
subsequent document shall state where the earlier document is
available. Tiering may also be appropriate for different stages of
actions.
(b) Tiering is appropriate when the sequence from an environmental
impact statement or environmental assessment is:
(1) From a programmatic, plan, or policy environmental impact
statement or environmental assessment to a program, plan, or policy
statement or assessment of lesser or narrower scope or to a site-
specific statement or assessment.
(2) From an environmental impact statement or environmental
assessment on a specific action at an early stage (such as need and
site selection) to a supplement (which is preferred) or a subsequent
statement or assessment at a
[[Page 1718]]
later stage (such as environmental mitigation). Tiering in such cases
is appropriate when it helps the lead agency to focus on the issues
that are ripe for decision and exclude from consideration issues
already decided or not yet ripe.
Sec. 1501.12 Incorporation by reference.
Agencies shall incorporate material into environmental documents by
reference when the effect will be to cut down on bulk without impeding
agency and public review of the action. The incorporated material shall
be cited in the document and its content briefly described. No material
may be incorporated by reference unless it is reasonably available for
inspection by potentially interested persons within the time allowed
for comment. Material based on proprietary data which is itself not
available for review and comment shall not be incorporated by
reference.
0
3. Revise part 1502 to read as follows:
PART 1502--ENVIRONMENTAL IMPACT STATEMENT
Sec.
1502.1 Environmental impact statement purpose.
1502.2 Implementation.
1502.3 Statutory requirements for statements.
1502.4 Major Federal actions requiring the preparation of
environmental impact statements.
1502.5 Timing.
1502.6 Interdisciplinary preparation.
1502.7 Page limits.
1502.8 Writing.
1502.9 Draft, final, and supplemental statements.
1502.10 Recommended format.
1502.11 Cover.
1502.12 Summary.
1502.13 Purpose and need.
1502.14 Alternatives including the proposed action.
1502.15 Affected environment.
1502.16 Environmental consequences.
1502.17 Summary of submitted alternatives, information, and
analyses.
1502.18 Certification of submitted alternatives, information, and
analyses section.
1502.19 List of preparers.
1502.20 Appendix.
1502.21 Publication of the environmental impact statement.
1502.22 Incomplete or unavailable information.
1502.23 Cost-benefit analysis.
1502.24 Methodology and scientific accuracy.
1502.25 Environmental review and consultation requirements.
Authority: 42 U.S.C. 4321-4347; 42 U.S.C. 4371-4375; 42 U.S.C.
7609; E.O. 11514, 35 FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O. 13807, 82 FR 40463, Aug.
24, 2017.
Sec. 1502.1 Environmental impact statement purpose.
The primary purpose of an environmental impact statement prepared
pursuant to 102(2)(c) is to ensure agencies consider the environmental
impacts of their actions in decision making. It shall provide full and
fair discussion of significant environmental impacts and shall inform
decision makers and the public of reasonable alternatives which would
avoid or minimize adverse impacts or enhance the quality of the human
environment. Agencies shall focus on significant environmental issues
and alternatives and shall reduce paperwork and the accumulation of
extraneous background data. Statements shall be concise, clear, and to
the point, and shall be supported by evidence that the agency has made
the necessary environmental analyses. An environmental impact statement
is a document that informs. Federal agency decision making.
Sec. 1502.2 Implementation.
(a) Environmental impact statements shall not be encyclopedic.
(b) Impacts shall be discussed in proportion to their significance.
There shall be only brief discussion of other than significant issues.
As in a finding of no significant impact, there should be only enough
discussion to show why more study is not warranted.
(c) Environmental impact statements shall be analytic, concise, and
no longer than necessary to comply with NEPA and with the regulations
in parts 1500 through 1508. Length should be proportional to potential
environmental effects and project size.
(d) Environmental impact statements shall state how alternatives
considered in it and decisions based on it will or will not achieve the
requirements of sections 101 and 102(1) of NEPA and other environmental
laws and policies.
(e) The range of alternatives discussed in environmental impact
statements shall encompass those to be considered by the ultimate
agency decision maker.
(f) Agencies shall not commit resources prejudicing selection of
alternatives before making a final decision (Sec. 1506.1).
(g) Environmental impact statements shall serve as the means of
assessing the environmental impact of proposed agency actions, rather
than justifying decisions already made.
Sec. 1502.3 Statutory requirements for statements.
As required by section 102(2)(C) of NEPA, environmental impact
statements are to be included in every Federal agency recommendation or
report on proposals for legislation and other major Federal actions
significantly affecting the quality of the human environment.
Sec. 1502.4 Major Federal actions requiring the preparation of
environmental impact statements.
(a) Agencies shall define the proposal that is the subject of an
environmental impact statement based on the statutory authorities for
the proposed action. Agencies shall use the criteria for scope (Sec.
1501.9) to determine which proposal(s) shall be the subject of a
particular statement. Agencies shall evaluate in a single environmental
impact statement proposals or parts of proposals that are related to
each other closely enough to be, in effect, a single course of action.
(b) Environmental impact statements may be prepared for
programmatic Federal actions such as the adoption of new agency
programs. Agencies shall prepare statements on programmatic actions so
that they are relevant to the program decision and time them to
coincide with meaningful points in agency planning and decision making.
(c) When preparing statements on programmatic actions (including
proposals by more than one agency), agencies may find it useful to
evaluate the proposal(s) in one of the following ways:
(1) Geographically, including actions occurring in the same general
location, such as body of water, region, or metropolitan area.
(2) Generically, including actions which have relevant
similarities, such as common timing, impacts, alternatives, methods of
implementation, media, or subject matter.
(3) By stage of technological development including Federal or
federally assisted research, development or demonstration programs for
new technologies which, if applied, could significantly affect the
quality of the human environment. Statements on such programs should be
available before the program has reached a stage of investment or
commitment to implementation likely to determine subsequent development
or restrict later alternatives.
(d) Agencies shall as appropriate employ scoping (Sec. 1501.9),
tiering (Sec. 1501.11), and other methods listed in Sec. Sec. 1500.4
and 1500.5 to relate programmatic and narrow actions and to avoid
duplication and delay. Agencies may tier their environmental analyses
to defer detailed analysis of environmental impacts of specific program
elements until such program elements are ripe for
[[Page 1719]]
decisions that would involve an irreversible or irretrievable
commitment of resources.
Sec. 1502.5 Timing.
An agency should commence preparation of an environmental impact
statement as close as practicable to the time the agency is developing
or is presented with a proposal so that preparation can be completed in
time for the final statement to be included in any recommendation or
report on the proposal. The statement shall be prepared early enough so
that it can serve practically as an important contribution to the
decision-making process and will not be used to rationalize or justify
decisions already made (Sec. Sec. 1501.2 and 1502.2). For instance:
(a) For projects directly undertaken by Federal agencies the
environmental impact statement shall be prepared at the feasibility
analysis (go-no go) stage and may be supplemented at a later stage if
necessary.
(b) For applications to the agency, appropriate environmental
assessments or statements shall be commenced as soon as practicable
after the application is received. Federal agencies should work with
potential applicants and applicable State, Tribal, and local agencies
prior to receipt of the application.
(c) For adjudication, the final environmental impact statement
shall normally precede the final staff recommendation and that portion
of the public hearing related to the impact study. In appropriate
circumstances the statement may follow preliminary hearings designed to
gather information for use in the statements.
(d) For informal rulemaking the draft environmental impact
statement shall normally accompany the proposed rule.
Sec. 1502.6 Interdisciplinary preparation.
Environmental impact statements shall be prepared using an
interdisciplinary approach which will ensure the integrated use of the
natural and social sciences and the environmental design arts (section
102(2)(A) of NEPA). The disciplines of the preparers shall be
appropriate to the scope and issues identified in the scoping process
(Sec. 1501.9).
Sec. 1502.7 Page limits.
The text of final environmental impact statements (e.g., paragraphs
(a)(4) through (6) of Sec. 1502.10) shall be 150 pages or fewer and,
for proposals of unusual scope or complexity, shall be 300 pages or
fewer unless a senior agency official of the lead agency approves in
writing a statement to exceed 300 pages and establishes a new page
limit.
Sec. 1502.8 Writing.
Environmental impact statements shall be written in plain language
and may use appropriate graphics so that decision makers and the public
can readily understand them. Agencies should employ writers of clear
prose or editors to write, review, or edit statements, which will be
based upon the analysis and supporting data from the natural and social
sciences and the environmental design arts.
Sec. 1502.9 Draft, final, and supplemental statements.
(a) Generally. Except for proposals for legislation as provided in
Sec. 1506.8 environmental impact statements shall be prepared in two
stages and, where necessary, shall be supplemented as provided in
paragraph (d)(1) of this section.
(b) Draft environmental impact statements. Draft environmental
impact statements shall be prepared in accordance with the scope
decided upon in the scoping process. The lead agency shall work with
the cooperating agencies and shall obtain comments as required in part
1503 of this chapter. The draft statement must meet, to the fullest
extent practicable, the requirements established for final statements
in section 102(2)(C) of NEPA. If a draft statement is so inadequate as
to preclude meaningful analysis, the agency shall prepare and publish a
supplemental draft of the appropriate portion. The agency shall discuss
at appropriate points in the draft statement all major points of view
on the environmental impacts of the alternatives including the proposed
action.
(c) Final environmental impact statements. Final environmental
impact statements shall address comments as required in part 1503 of
this chapter. The agency shall discuss at appropriate points in the
final statement any responsible opposing view which was not adequately
discussed in the draft statement and shall indicate the agency's
response to the issues raised.
(d) Supplemental environmental impact statements. Agencies:
(1) Shall prepare supplements to either draft or final
environmental impact statements if a major Federal action remains to
occur, and:
(i) The agency makes substantial changes in the proposed action
that are relevant to environmental concerns; or
(ii) There are significant new circumstances or information
relevant to environmental concerns and bearing on the proposed action
or its impacts.
(2) May also prepare supplements when the agency determines that
the purposes of the Act will be furthered by doing so.
(3) Shall prepare, publish, and file a supplement to a statement in
the same fashion (exclusive of scoping) as a draft and final statement
unless alternative procedures are approved by the Council.
(4) May find that changes to the proposed action or new
circumstances or information relevant to environmental concerns are not
significant and therefore do not require a supplement. The agency
should document the finding consistent with its agency NEPA procedures
(Sec. 1507.3), or, if necessary, in a finding of no significant impact
supported by an environmental assessment.
Sec. 1502.10 Recommended format.
(a) Agencies shall use a format for environmental impact statements
which will encourage good analysis and clear presentation of the
alternatives including the proposed action. Agencies should use the
following standard format for environmental impact statements unless
the agency determines that there is a more effective format for
communication:
(1) Cover.
(2) Summary.
(3) Table of contents.
(4) Purpose of and need for action.
(5) Alternatives including proposed action (sections 102(2)(C)(iii)
and 102(2)(E) of NEPA).
(6) Affected environment and environmental consequences (especially
sections 102(2)(C)(i), (ii), (iv), and (v) of NEPA).
(7) Submitted, alternatives, information, and analyses.
(8) List of preparers.
(9) Appendices (if any).
(b) If an agency uses a different format, it shall include
paragraphs (a), (b), (c), (d), (e), (f), (g) and (h) of this section,
as further described in Sec. Sec. 1502.11 through 1502.20, in any
appropriate format.
Sec. 1502.11 Cover.
The cover shall not exceed one page and include:
(a) A list of the responsible agencies, including the lead agency
and any cooperating agencies.
(b) The title of the proposed action that is the subject of the
statement (and, if appropriate, the titles of related cooperating
agency actions), together with the State(s) and county(ies) (or other
jurisdiction, if applicable) where the action is located.
[[Page 1720]]
(c) The name, address, and telephone number of the person at the
agency who can supply further information.
(d) A designation of the statement as a draft, final, or draft or
final supplement.
(e) A one-paragraph abstract of the statement.
(f) The date by which comments must be received (computed in
cooperation with EPA under Sec. 1506.11).
(g) The estimated total cost of preparing the environmental impact
statement, including the costs of agency full-time equivalent (FTE)
personnel hours, contractor costs, and other direct costs.
Sec. 1502.12 Summary.
Each environmental impact statement shall contain a summary which
adequately and accurately summarizes the statement. The summary shall
stress the major conclusions, areas of disputed issues raised by
agencies and the public), and the issues to be resolved (including the
choice among alternatives). The summary will normally not exceed 15
pages.
Sec. 1502.13 Purpose and need.
The statement shall briefly specify the underlying purpose and need
for the proposed action. When an agency's statutory duty is to review
an application for authorization, the agency shall base the purpose and
need on the goals of the applicant and the agency's authority.
Sec. 1502.14 Alternatives including the proposed action.
This section should present the environmental impacts of the
proposed action and the alternatives in comparative form based on the
information and analysis presented in the sections on the Affected
Environment (Sec. 1502.15) and the Environmental Consequences (Sec.
1502.16). In this section, agencies shall:
(a) Evaluate reasonable alternatives to the proposed action, and
for alternatives which were eliminated from detailed study, briefly
discuss the reasons for their having been eliminated.
(b) Discuss each alternative considered in detail including the
proposed action so that reviewers may evaluate their comparative
merits.
(c) Include the no action alternative.
(d) Identify the agency's preferred alternative or alternatives, if
one or more exists, in the draft statement and identify such
alternative in the final statement unless another law prohibits the
expression of such a preference.
(e) Include appropriate mitigation measures not already included in
the proposed action or alternatives.
Sec. 1502.15 Affected environment.
The environmental impact statement shall succinctly describe the
environment of the area(s) to be affected or created by the
alternatives under consideration. The description may be combined with
evaluation of the environmental consequences (Sec. 1502.16) and shall
be no longer than is necessary to understand the effects of the
alternatives. Data and analyses in a statement shall be commensurate
with the importance of the impact, with less important material
summarized, consolidated, or simply referenced. Agencies shall avoid
useless bulk in statements and shall concentrate effort and attention
on important issues. Verbose descriptions of the affected environment
are themselves no measure of the adequacy of an environmental impact
statement.
Sec. 1502.16 Environmental consequences.
(a) This section forms the scientific and analytic basis for the
comparisons under Sec. 1502.14. It shall consolidate the discussions
of those elements required by sections 102(2)(C)(i), (ii), (iv), and
(v) of NEPA which are within the scope of the statement and as much of
section 102(2)(C)(iii) of NEPA as is necessary to support the
comparisons. This section should not duplicate discussions in Sec.
1502.14. The discussion shall include:
(1) The environmental impacts of the proposed action and reasonable
alternatives to the proposed action and their significance. The
comparison of the proposed action and reasonable alternatives shall be
based on this discussion of the impacts.
(2) Any adverse environmental effects which cannot be avoided
should the proposal be implemented.
(3) The relationship between short-term uses of man's environment
and the maintenance and enhancement of long-term productivity.
(4) Any irreversible or irretrievable commitments of resources
which would be involved in the proposal should it be implemented.
(5) Possible conflicts between the proposed action and the
objectives of Federal, regional, State, Tribal, and local land use
plans, policies and controls for the area concerned. (Sec. 1506.2(d))
(6) Energy requirements and conservation potential of various
alternatives and mitigation measures.
(7) Natural or depletable resource requirements and conservation
potential of various alternatives and mitigation measures.
(8) Urban quality, historic and cultural resources, and the design
of the built environment, including the reuse and conservation
potential of various alternatives and mitigation measures.
(9) Means to mitigate adverse environmental impacts (if not fully
covered under Sec. 1502.14(e)).
(10) Where applicable, economic and technical considerations,
including the economic benefits of the proposed action.
(b) Economic or social effects by themselves do not require
preparation of an environmental impact statement. However, when the
agency determines that economic or social and natural or physical
environmental effects are interrelated, then the environmental impact
statement will discuss and give appropriate consideration to these
effects on the human environment.
Sec. 1502.17 Summary of submitted alternatives, information, and
analyses.
The environmental impact statement shall include a summary of all
alternatives, information, and analyses submitted by public commenters
for consideration by the lead and cooperating agencies in developing
the environmental impact statement. Consistent with Sec. 1503.1(a)(3),
the lead agency shall invite comment on the completeness of the summary
in the draft environmental impact statement.
Sec. 1502.18 Certification of submitted alternatives, information,
and analyses section.
Based on the summary of the submitted alternatives, information,
and analyses section, the decision maker for the lead agency shall
certify in the record of decision that the agency has considered all of
the alternatives, information, and analyses submitted by public
commenters for consideration by the lead and cooperating agencies in
developing the environmental impact statement. Agency environmental
impact statements certified in accordance with this section are
entitled to a conclusive presumption that the agency has considered the
information included in the submitted alternatives, information, and
analyses section.
Sec. 1502.19 List of preparers.
The environmental impact statement shall list the names, together
with their qualifications (expertise, experience, professional
disciplines), of the persons who were primarily responsible for
preparing the environmental impact statement or significant background
papers, including basic components of the statement (Sec. Sec. 1502.6
and 1502.8). Where possible the persons who are responsible for a
particular analysis,
[[Page 1721]]
including analyses in background papers, shall be identified. Normally
the list will not exceed two pages.
Sec. 1502.20 Appendix.
If an agency prepares an appendix, it shall be published with the
environmental impact statement and shall consist of material:
(a) Prepared in connection with an environmental impact statement
(as distinct from material which is not so prepared and which is
incorporated by reference (Sec. 1501.12)).
(b) Substantiating any analysis fundamental to the impact
statement.
(c) Relevant to the decision to be made.
Sec. 1502.21 Publication of the environmental impact statement.
Agencies shall publish the entire draft and final environmental
impact statements and unchanged statements as provided in Sec.
1503.4(c). The agency shall transmit the entire statement
electronically (or in paper copy, if so requested due to economic or
other hardship) to:
(a) Any Federal agency which has jurisdiction by law or special
expertise with respect to any environmental impact involved and any
appropriate Federal, State, Tribal, or local agency authorized to
develop and enforce environmental standards.
(b) The applicant, if any.
(c) Any person, organization, or agency requesting the entire
environmental impact statement.
(d) In the case of a final environmental impact statement any
person, organization, or agency which submitted substantive comments on
the draft.
Sec. 1502.22 Incomplete or unavailable information.
(a) When an agency is evaluating reasonably foreseeable significant
adverse effects on the human environment in an environmental impact
statement and there is incomplete or unavailable information, the
agency shall make clear that such information is lacking.
(b) If the incomplete information relevant to reasonably
foreseeable significant adverse impacts is essential to a reasoned
choice among alternatives and the overall costs of obtaining it are not
unreasonable, the agency shall include the information in the
environmental impact statement.
(c) If the information relevant to reasonably foreseeable
significant adverse impacts cannot be obtained because the overall
costs of obtaining it are unreasonable or the means to obtain it are
not known, the agency shall include within the environmental impact
statement:
(1) A statement that such information is incomplete or unavailable;
(2) A statement of the relevance of the incomplete or unavailable
information to evaluating reasonably foreseeable significant adverse
impacts on the human environment;
(3) A summary of existing credible scientific evidence which is
relevant to evaluating the reasonably foreseeable significant adverse
impacts on the human environment; and
(4) The agency's evaluation of such impacts based upon theoretical
approaches or research methods generally accepted in the scientific
community.
(d) For the purposes of this section, ``reasonably foreseeable''
includes impacts which have catastrophic consequences, even if their
probability of occurrence is low, provided that the analysis of the
impacts is supported by credible scientific evidence, is not based on
pure conjecture, and is within the rule of reason.
Sec. 1502.23 Cost-benefit analysis.
If a cost-benefit analysis relevant to the choice among
environmentally different alternatives is being considered for the
proposed action, it shall be incorporated by reference or appended to
the statement as an aid in evaluating the environmental consequences.
To assess the adequacy of compliance with section 102(2)(B) of NEPA the
statement shall, when a cost-benefit analysis is prepared, discuss the
relationship between that analysis and any analyses of unquantified
environmental impacts, values, and amenities. For purposes of complying
with the Act, the weighing of the merits and drawbacks of the various
alternatives need not be displayed in a monetary cost-benefit analysis
and should not be when there are important qualitative considerations.
In any event, an environmental impact statement should at least
indicate those considerations, including factors not related to
environmental quality, which are likely to be relevant and important to
a decision.
Sec. 1502.24 Methodology and scientific accuracy.
Agencies shall ensure the professional integrity, including
scientific integrity, of the discussions and analyses in environmental
documents. Agencies shall make use of reliable existing data and
resources and are not required to undertake new scientific and
technical research to inform their analyses. Agencies may make use of
any reliable data sources, such as remotely gathered information or
statistical models. They shall identify any methodologies used and
shall make explicit reference to the scientific and other sources
relied upon for conclusions in the statement. An agency may place
discussion of methodology in an appendix.
Sec. 1502.25 Environmental review and consultation requirements.
(a) To the fullest extent possible, agencies shall prepare draft
environmental impact statements concurrent and integrated with
environmental impact analyses and related surveys and studies required
by all other Federal environmental review laws and Executive orders
applicable to the proposed action, including the Fish and Wildlife
Coordination Act (16 U.S.C. 661 et seq.), the National Historic
Preservation Act of 1966 (16 U.S.C. 470 et seq.), and the Endangered
Species Act of 1973 (16 U.S.C. 1531 et seq.).
(b) The draft environmental impact statement shall list all Federal
permits, licenses, and other authorizations which must be obtained in
implementing the proposal. If it is uncertain whether a Federal permit,
license, or other authorization is necessary, the draft environmental
impact statement shall so indicate.
0
4. Revise part 1503 to read as follows:
PART 1503--COMMENTING ON ENVIRONMENTAL IMPACT STATEMENTS
Sec.
1503.1 Inviting comments and requesting information and analyses.
1503.2 Duty to comment.
1503.3 Specificity of comments and information.
1503.4 Response to comments.
Authority: 42 U.S.C. 4321-4347; 42 U.S.C. 4371-4375; 42 U.S.C.
7609; and E.O. 11514, 35 FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977.
Sec. 1503.1 Inviting comments and requesting information and
analyses.
(a) After preparing a draft environmental impact statement and
before preparing a final environmental impact statement the agency
shall:
(1) Obtain the comments of any Federal agency which has
jurisdiction by law or special expertise with respect to any
environmental impact involved or which is authorized to develop and
enforce environmental standards.
(2) Request the comments of:
(i) Appropriate State, Tribal, and local agencies which are
authorized to develop and enforce environmental standards;
[[Page 1722]]
(ii) State, Tribal, or local governments that may be affected by
the proposed action;
(iii) Any agency which has requested that it receive statements on
actions of the kind proposed;
(iv) The applicant, if any; and
(v) The public, affirmatively soliciting comments in a manner
designed to inform those persons or organizations who may be interested
in or affected by the proposed action.
(3) Invite comment specifically on the completeness of the
submitted alternatives, information, and analyses section (Sec.
1502.17).
(b) An agency may request comments on a final environmental impact
statement before the final decision. An agency shall request comments
and provide a 30-day comment period on the final environmental impact
statement's submitted alternatives, information, and analyses section
(Sec. 1502.17). Other agencies or persons may make comments consistent
with the time periods provided for under Sec. 1506.11.
(c) An agency shall provide for electronic submission of public
comments, with reasonable measures to ensure the comment process is
accessible to affected persons.
Sec. 1503.2 Duty to comment.
Cooperating agencies and agencies that are authorized to develop
and enforce environmental standards shall comment on statements within
their jurisdiction, expertise, or authority within the time period
specified for comment in Sec. 1506.11. A Federal agency may reply that
it has no comment. If a cooperating agency is satisfied that its views
are adequately reflected in the environmental impact statement, it
should reply that it has no comment.
Sec. 1503.3 Specificity of comments and information.
(a) To promote informed decision making, comments on an
environmental impact statement or on a proposed action shall be as
specific as possible, may address either the adequacy of the statement
or the merits of the alternatives discussed or both, and shall provide
as much detail as necessary to meaningfully participate and fully
inform the agency of the commenter's position. Comments should explain
why the issue raised is significant to the consideration of potential
environmental impacts and alternatives to the proposed action, as well
as economic and employment impacts, and other impacts affecting the
quality of the human environment. Comments should reference the
corresponding section or page number of the draft environmental impact
statement, propose specific changes to those parts of the statement,
where possible, and include or describe the data sources and
methodologies supporting the proposed changes.
(b) Comments on the submitted alternatives, information, and
analyses section (Sec. 1502.17) should identify any additional
alternatives, information, or analyses not included in the draft
environmental impact statement, and shall be as specific as possible.
Comments on and objections to this section shall be raised within 30
days of the publication of the notice of availability of the final
environmental impact statement. Comments not provided within 30 days
shall be considered exhausted and forfeited, consistent with Sec.
1500.3(b).
(c) When a participating agency criticizes a lead agency's
predictive methodology, the participating agency should describe the
alternative methodology which it prefers and why.
(d) A cooperating agency shall specify in its comments whether it
needs additional information to fulfill other applicable environmental
reviews or consultation requirements and what information it needs. In
particular, it shall specify any additional information it needs to
comment adequately on the draft statement's analysis of significant
site-specific effects associated with the granting or approving by that
cooperating agency of necessary Federal permits, licenses, or
authorizations.
(e) When a cooperating agency with jurisdiction by law specifies
mitigation measures it considers necessary to allow the agency to grant
or approve applicable permit, license, or related requirements or
concurrences, the cooperating agency shall cite to its applicable
statutory authority.
Sec. 1503.4 Response to comments.
(a) An agency preparing a final environmental impact statement
shall consider substantive comments timely submitted during the public
comment period and may respond individually and collectively. In the
final environmental impact statement, the agency may:
(1) Modify alternatives including the proposed action.
(2) Develop and evaluate alternatives not previously given serious
consideration by the agency.
(3) Supplement, improve, or modify its analyses.
(4) Make factual corrections.
(5) Explain why the comments do not warrant further agency
response.
(b) All substantive comments received on the draft statement (or
summaries thereof where the response has been exceptionally
voluminous), shall be appended to the final statement or otherwise
published.
(c) If changes in response to comments are minor and are confined
to the responses described in paragraphs (a)(4) and (5) of this
section, agencies may write the changes on errata sheets and attach the
responses to the statement instead of rewriting the draft statement. In
such cases only the comments, the responses, and the changes and not
the final statement need be published (Sec. 1502.20). The entire
document with a new cover sheet shall be filed with the Environmental
Protection Agency as the final statement (Sec. 1506.10).
0
5. Revise part 1504 to read as follows:
PART 1504--PRE-DECISIONAL REFERRALS TO THE COUNCIL OF PROPOSED
FEDERAL ACTIONS DETERMINED TO BE ENVIRONMENTALLY UNSATISFACTORY
Sec.
1504.1 Purpose.
1504.2 Criteria for referral.
1504.3 Procedure for referrals and response.
Authority: 42 U.S.C. 4321-4347; 42 U.S.C. 4371-4375; 42 U.S.C.
7609; and E.O. 11514, 35 FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977.
Sec. 1504.1 Purpose.
(a) This part establishes procedures for referring to the Council
Federal interagency disagreements concerning proposed major Federal
actions that might cause unsatisfactory environmental effects. It
provides means for early resolution of such disagreements.
(b) Under section 309 of the Clean Air Act (42 U.S.C. 7609), the
Administrator of the Environmental Protection Agency is directed to
review and comment publicly on the environmental impacts of Federal
activities, including actions for which environmental impact statements
are prepared. If after this review the Administrator determines that
the matter is ``unsatisfactory from the standpoint of public health or
welfare or environmental quality,'' section 309 directs that the matter
be referred to the Council (hereafter ``environmental referrals'').
(c) Under section 102(2)(C) of NEPA (42 U.S.C. 4332(2)(C)), other
Federal agencies may produce similar reviews of environmental impact
statements, including judgments on the acceptability of anticipated
environmental impacts. These reviews must be made available to the
President, the Council and the public.
[[Page 1723]]
Sec. 1504.2 Criteria for referral.
Environmental referrals should be made to the Council only after
concerted, timely (as early as practicable in the process), but
unsuccessful attempts to resolve differences with the lead agency. In
determining what environmental objections to the matter are appropriate
to refer to the Council, an agency should weigh potential adverse
environmental impacts, considering:
(a) Possible violation of national environmental standards or
policies.
(b) Severity.
(c) Geographical scope.
(d) Duration.
(e) Importance as precedents.
(f) Availability of environmentally preferable alternatives.
(g) Economic and technical considerations, including the economic
costs of delaying or impeding the decision making of the agencies
involved in the action.
Sec. 1504.3 Procedure for referrals and response.
(a) A Federal agency making the referral to the Council shall:
(1) Advise the lead agency at the earliest possible time that it
intends to refer a matter to the Council unless a satisfactory
agreement is reached.
(2) Include such advice whenever practicable in the referring
agency's comments on the environmental assessment or draft
environmental impact statement.
(3) Identify any essential information that is lacking and request
that the lead agency make it available at the earliest possible time.
(4) Send copies of such advice to the Council.
(b) The referring agency shall deliver its referral to the Council
no later than 25 days after the lead agency has made the final
environmental impact statement available to the Environmental
Protection Agency, participating agencies, and the public, and in the
case of an environmental assessment, no later than 25 days after the
lead agency makes it available. Except when the lead agency grants an
extension of this period, the Council will not accept a referral after
that date.
(c) The referral shall consist of:
(1) A copy of the letter signed by the head of the referring agency
and delivered to the lead agency informing the lead agency of the
referral and the reasons for it.
(2) A statement supported by factual evidence leading to the
conclusion that the matter is unsatisfactory from the standpoint of
public health or welfare or environmental quality. The statement shall:
(i) Identify any disputed material facts and incorporate (by
reference if appropriate) agreed upon facts;
(ii) Identify any existing environmental requirements or policies
which would be violated by the matter;
(iii) Present the reasons for the referral;
(ii) Contain a finding by the agency whether the issue raised is of
national importance because of the threat to national environmental
resources or policies or for some other reason;
(iii) Review the steps taken by the referring agency to bring its
concerns to the attention of the lead agency at the earliest possible
time; and
(iv) Give the referring agency's recommendations as to what
mitigation alternative, further study, or other course of action
(including abandonment of the matter) are necessary to remedy the
situation.
(d) No later than 25 days after the referral to the Council, the
lead agency may deliver a response to the Council and the referring
agency. If the lead agency requests more time and gives assurance that
the matter will not go forward in the interim, the Council may grant an
extension. The response shall:
(1) Address fully the issues raised in the referral.
(2) Be supported by evidence and explanations, as appropriate.
(3) Give the lead agency's response to the referring agency's
recommendations.
(e) Applicants may provide views in writing to the Council no later
than the response.
(f) No later than 25 days after receipt of both the referral and
any response or upon being informed that there will be no response
(unless the lead agency agrees to a longer time), the Council may take
one or more of the following actions:
(1) Conclude that the process of referral and response has
successfully resolved the problem.
(2) Initiate discussions with the agencies with the objective of
mediation with referring and lead agencies.
(3) Obtain additional views and information.
(4) Determine that the issue is not one of national importance and
request the referring and lead agencies to pursue their decision
process.
(5) Determine that the issue should be further negotiated by the
referring and lead agencies and is not appropriate for Council
consideration until one or more heads of agencies report to the Council
that the agencies' disagreements are irreconcilable.
(6) Publish its findings and recommendations (including where
appropriate a finding that the submitted evidence does not support the
position of an agency).
(7) When appropriate, submit the referral and the response together
with the Council's recommendation to the President for action.
(g) The Council shall take no longer than 60 days to complete the
actions specified in paragraph (f)(2), (3), or (5) of this section.
(h) The referral process is not intended to create any private
rights of action or to be judicially reviewable because any voluntary
resolutions by the agency parties do not represent final agency action
and instead are only provisional and dependent on later consistent
action by the action agencies.
0
6. Revise part 1505 to read as follows:
PART 1505--NEPA AND AGENCY DECISION MAKING
Sec.
1505.1 [Reserved]
1505.2 Record of decision in cases requiring environmental impact
statements.
1505.3 Implementing the decision.
Authority: 42 U.S.C. 4321-4347; 42 U.S.C. 4371-4375; 42 U.S.C.
7609; E.O. 11514, 35 FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O. 13807, 82 FR 40463, Aug.
24, 2017.
Sec. 1505.1 [Reserved]
Sec. 1505.2 Record of decision in cases requiring environmental
impact statements.
At the time of its decision (Sec. 1506.11) or, if appropriate, its
recommendation to Congress, each agency shall prepare and timely
publish a concise public record of decision or joint record of
decision. The record, which each agency may integrate into any other
record it prepares, shall:
(a) State the decision.
(b) Identify all alternatives considered by the agency in reaching
its decision, specifying the alternative or alternatives which were
considered to be environmentally preferable. An agency may discuss
preferences among alternatives based on relevant factors including
economic and technical considerations and agency statutory missions. An
agency shall identify and discuss all such factors, including any
essential considerations of national policy which were balanced by the
agency in making its decision and state how those considerations
entered into its decision.
(c) State whether the agency has adopted all practicable means to
avoid or minimize environmental harm from the alternative selected, and
if not, why the agency did not. The agency shall adopt and summarize,
where applicable, a monitoring and enforcement program
[[Page 1724]]
for any enforceable mitigation requirements or commitments.
(d) Address any comments or objections received on the final
environmental impact statement's submitted alternatives, information,
and analyses section.
(e) Include the decision maker's certification regarding the
agency's consideration of the submitted alternatives, information, and
analyses submitted by public commenters (Sec. Sec. 1502.17 and
1502.18).
Sec. 1505.3 Implementing the decision.
Agencies may provide for monitoring to assure that their decisions
are carried out and should do so in important cases. Mitigation (Sec.
1505.2(c)) and other conditions established in the environmental impact
statement or during its review and committed as part of the decision
shall be implemented by the lead agency or other appropriate consenting
agency. The lead agency shall:
(a) Include appropriate conditions in grants, permits or other
approvals.
(b) Condition funding of actions on mitigation.
(c) Upon request, inform cooperating or participating agencies on
progress in carrying out mitigation measures which they have proposed
and which were adopted by the agency making the decision.
(d) Upon request, publish the results of relevant monitoring.
0
7. Revise part 1506 to read as follows:
PART 1506--OTHER REQUIREMENTS OF NEPA
Sec.
1506.1 Limitations on actions during NEPA process.
1506.2 Elimination of duplication with State, Tribal, and local
procedures.
1506.3 Adoption.
1506.4 Combining documents.
1506.5 Agency responsibility for environmental documents.
1506.6 Public involvement.
1506.7 Further guidance.
1506.8 Proposals for legislation.
1506.9 Proposals for regulations.
1506.10 Filing requirements.
1506.11 Timing of agency action.
1506.12 Emergencies.
1506.13 Effective date.
Authority: 42 U.S.C. 4321-4347; 42 U.S.C. 4371-4375; 42 U.S.C.
7609; E.O. 11514, 35 FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O. 13807, 82 FR 40463, Aug.
24, 2017.
Sec. 1506.1 Limitations on actions during NEPA process.
(a) Except as provided in paragraphs (b) and (c) of this section,
until an agency issues a finding of no significant impact, as provided
in Sec. 1501.6, or record of decision, as provided in Sec. 1505.2, no
action concerning the proposal may be taken which would:
(1) Have an adverse environmental impact; or
(2) Limit the choice of reasonable alternatives.
(b) If any agency is considering an application from a non-Federal
entity, and is aware that the applicant is about to take an action
within the agency's jurisdiction that would meet either of the criteria
in paragraph (a) of this section, then the agency shall promptly notify
the applicant that the agency will take appropriate action to ensure
that the objectives and procedures of NEPA are achieved. This section
does not preclude development by applicants of plans or designs or
performance of other activities necessary to support an application for
Federal, State, Tribal, or local permits or assistance. An agency
considering a proposed action for Federal funding may authorize such
activities, including, but not limited to, acquisition of interests in
land (e.g., fee simple, rights-of-way, and conservation easements),
purchase of long lead-time equipment, and purchase options made by
applicants.
(c) While work on a required programmatic environmental impact
statement or environmental assessment is in progress and the action is
not covered by an existing programmatic statement, agencies shall not
undertake in the interim any major Federal action covered by the
program which may significantly affect the quality of the human
environment unless such action:
(1) Is justified independently of the program;
(2) Is itself accompanied by an adequate environmental impact
statement; and
(3) Will not prejudice the ultimate decision on the program.
Interim action prejudices the ultimate decision on the program when it
tends to determine subsequent development or limit alternatives.
Sec. 1506.2 Elimination of duplication with State, Tribal, and local
procedures.
(a) Federal agencies are authorized to cooperate with State,
Tribal, and local agencies that are responsible for preparing
environmental documents, including those prepared pursuant to section
102(2)(D) of NEPA.
(b) Agencies shall cooperate with State, Tribal, and local agencies
to the fullest extent practicable to reduce duplication between NEPA
and State, Tribal, and local requirements, including through use of
environmental studies, analysis, and decisions conducted in support of
Federal, State, Tribal, or local environmental reviews or authorization
decisions, unless the agencies are specifically barred from doing so by
some other law. Except for cases covered by paragraph (a) of this
section, such cooperation shall to the fullest extent practicable
include:
(1) Joint planning processes.
(2) Joint environmental research and studies.
(3) Joint public hearings (except where otherwise provided by
statute).
(4) Joint environmental assessments.
(c) Agencies shall cooperate with State, Tribal, and local agencies
to the fullest extent practicable to reduce duplication between NEPA
and comparable State, Tribal, and local requirements, unless the
agencies are specifically barred from doing so by some other law.
Except for cases covered by paragraph (a) of this section, such
cooperation shall include, to the fullest extent practicable, joint
environmental impact statements. In such cases one or more Federal
agencies and one or more State, Tribal, or local agencies shall be
joint lead agencies. Where State or Tribal laws or local ordinances
have environmental impact statement or similar requirements in addition
to but not in conflict with those in NEPA, Federal agencies may
cooperate in fulfilling these requirements, as well as those of Federal
laws, so that one document will comply with all applicable laws.
(d) To better integrate environmental impact statements into State,
Tribal, or local planning processes, environmental impact statements
shall discuss any inconsistency of a proposed action with any approved
State, Tribal, or local plan or law (whether or not federally
sanctioned). Where an inconsistency exists, the statement should
describe the extent to which the agency would reconcile its proposed
action with the plan or law. While the statement should discuss any
inconsistencies, NEPA does not require reconciliation.
Sec. 1506.3 Adoption.
(a) An agency may adopt a Federal environmental assessment, draft
or final environmental impact statement, or portion thereof, provided
that the assessment, statement, or portion thereof meets the standards
for an adequate assessment or statement under the regulations in parts
1500 through 1508.
(b) If the actions covered by the original environmental impact
statement and the proposed action are substantially the same, the
agency adopting another agency's statement shall republish it as a
final statement.
[[Page 1725]]
Otherwise, the adopting agency shall treat the statement as a draft and
republish it (except as provided in paragraph (c) of this section),
consistent with Sec. 1506.10.
(c) A cooperating agency may adopt in its record of decision
without republishing the environmental impact statement of a lead
agency when, after an independent review of the statement, the
cooperating agency concludes that its comments and suggestions have
been satisfied.
(d) If the actions covered by the original environmental assessment
and the proposed action are substantially the same, an agency may adopt
another agency's environmental assessment in its finding of no
significant impact and provide notice consistent with Sec. 1501.6.
(e) The adopting agency shall specify if one of the following
circumstances are present:
(1) The agency is adopting an assessment or statement that is not
final within the agency that prepared it.
(2) The action assessed in the assessment or statement is the
subject of a referral under part 1504.
(3) The assessment or statement's adequacy is the subject of a
judicial action that is not final.
(f) An agency may adopt another agency's determination that a
categorical exclusion applies to a proposed action if the adopting
agency's proposed action is substantially the same.
Sec. 1506.4 Combining documents.
Agencies should combine, to the fullest extent practicable, any
environmental document with any other agency document to reduce
duplication and paperwork.
Sec. 1506.5 Agency responsibility for environmental documents.
(a) Information. If an agency requires an applicant to submit
environmental information for possible use by the agency in preparing
an environmental document, then the agency should assist the applicant
by outlining the types of information required. The agency shall
independently evaluate the information submitted and shall be
responsible for its accuracy. If the agency chooses to use the
information submitted by the applicant in the environmental document,
either directly or by reference, then the names of the persons
responsible for the independent evaluation shall be included in the
list of preparers (Sec. 1502.19). It is the intent of this paragraph
that acceptable work not be redone, but that it be verified by the
agency.
(b) Environmental assessments. If an agency permits an applicant to
prepare an environmental assessment, the agency, besides fulfilling the
requirements of paragraph (a) of this section, shall make its own
evaluation of the environmental issues and take responsibility for the
scope and content of the environmental assessment.
(c) Environmental impact statements. Except as provided in
Sec. Sec. 1506.2 and 1506.3, the lead agency, a contractor or
applicant under the direction of the lead agency, or a cooperating
agency, where appropriate (Sec. 1501.8(b)), may prepare an
environmental impact statement pursuant to the requirements of NEPA.
(1) If a contractor or applicant prepares the document, the
responsible Federal official shall provide guidance, participate in its
preparation, independently evaluate it prior to its approval, and take
responsibility for its scope and contents.
(2) Nothing in this section is intended to prohibit any agency from
requesting any person, including the applicant, to submit information
to it or to prohibit any person from submitting information to any
agency for use in preparing environmental documents.
Sec. 1506.6 Public involvement.
Agencies shall:
(a) Make diligent efforts to involve the public in preparing and
implementing their NEPA procedures (Sec. 1507.3).
(b) Provide public notice of NEPA-related hearings, public
meetings, and other opportunities for public engagement, and the
availability of environmental documents so as to inform those persons
and agencies who may be interested or affected by their proposed
actions.
(1) In all cases, the agency shall notify those who have requested
notice on an individual action.
(2) In the case of an action with effects of national concern,
notice shall include publication in the Federal Register. An agency may
notify organizations that have requested regular notice. Agencies shall
maintain a list of such organizations.
(3) In the case of an action with effects primarily of local
concern, the notice may include:
(i) Notice to State and local agencies that may be interested or
affected by the proposed action.
(ii) Notice to affected Tribal governments.
(iii) Following the affected State or Tribe's public notice
procedures for comparable actions.
(iv) Publication in local newspapers (in papers of general
circulation rather than legal papers).
(v) Notice through other local media.
(vi) Notice to potentially interested community organizations
including small business associations.
(vii) Publication in newsletters that may be expected to reach
potentially interested persons.
(viii) Direct mailing to owners and occupants of nearby or affected
property.
(ix) Posting of notice on and off site in the area where the action
is to be located.
(x) Notice through electronic media (e.g., a project or agency
website, email, or social media). For actions occurring in whole or
part in an area with limited access to high-speed internet, public
notification may not be limited to solely electronic methods.
(c) Hold or sponsor public hearings, public meetings, or other
opportunities for public engagement whenever appropriate or in
accordance with statutory requirements applicable to the agency.
Agencies may conduct public hearings and public meetings by means of
electronic communication except where another format is required by
law.
(d) Solicit appropriate information from the public.
(e) Explain in its procedures where interested persons can get
information or status reports on environmental impact statements and
other elements of the NEPA process.
(f) Make environmental impact statements, the comments received,
and any underlying documents available to the public pursuant to the
provisions of the Freedom of Information Act, as amended (5 U.S.C.
552).
Sec. 1506.7 Further guidance.
The Council may provide further guidance concerning NEPA and its
procedures consistent with Executive Order 13807, Establishing
Discipline and Accountability in the Environmental Review and
Permitting Process for Infrastructure Projects (August 5, 2017),
Executive Order 13891, Promoting the Rule of Law Through Improved
Agency Guidance Documents (October 9, 2019), and any other applicable
Executive orders.
Sec. 1506.8 Proposals for legislation.
(a) When developing or providing significant cooperation and
support in the development of legislation, agencies shall integrate the
NEPA process for proposals for legislation significantly affecting the
quality of the human environment with the legislative process of the
Congress. The test for significant cooperation is whether the proposal
is in fact predominantly that of the agency rather than another source.
Drafting
[[Page 1726]]
does not by itself constitute significant cooperation. Only the agency
which has primary responsibility for the subject matter involved will
prepare a legislative environmental impact statement.
(b) A legislative environmental impact statement is the detailed
statement required by law to be included in a recommendation or report
on a legislative proposal to Congress. A legislative environmental
impact statement shall be considered part of the formal transmittal of
a legislative proposal to Congress; however, it may be transmitted to
Congress up to 30 days later in order to allow time for completion of
an accurate statement that can serve as the basis for public and
Congressional debate. The statement must be available in time for
Congressional hearings and deliberations.
(c) Preparation of a legislative environmental impact statement
shall conform to the requirements of the regulations in parts 1500
through 1508, except as follows:
(1) There need not be a scoping process.
(2) Agencies shall prepare the legislative statement in the same
manner as a draft environmental impact statement and need not prepare a
final statement unless any of the following conditions exist. In such
cases, the agency shall prepare and publish the statements consistent
with Sec. Sec. 1503.1 and 1506.11:
(i) A Congressional committee with jurisdiction over the proposal
has a rule requiring both draft and final environmental impact
statements.
(ii) The proposal results from a study process required by statute
(such as those required by the Wild and Scenic Rivers Act (16 U.S.C.
1271 et seq.) and the Wilderness Act (16 U.S.C. 1131 et seq.)).
(iii) Legislative approval is sought for Federal or federally
assisted construction or other projects which the agency recommends be
located at specific geographic locations. For proposals requiring an
environmental impact statement for the acquisition of space by the
General Services Administration, a draft statement shall accompany the
Prospectus or the 11(b) Report of Building Project Surveys to the
Congress, and a final statement shall be completed before site
acquisition.
(iv) The agency decides to prepare draft and final statements.
(d) Comments on the legislative statement shall be given to the
lead agency which shall forward them along with its own responses to
the Congressional committees with jurisdiction.
Sec. 1506.9 Proposals for regulations.
(a) Where the proposal for major Federal action is the promulgation
of a rule or regulation, analyses prepared pursuant to other statutory
or Executive order requirements may serve as the functional equivalent
of the EIS and be sufficient to comply with NEPA.
(b) To determine that an analysis serves as the functional
equivalent of an EIS, an agency shall find that:
(1) There are substantive and procedural standards that ensure full
and adequate consideration of environmental issues;
(2) There is public participation before a final alternative is
selected; and
(3) A purpose of the analysis that the agency is conducting is to
examine environmental issues.
Sec. 1506.10 Filing requirements.
(a) Environmental impact statements together with comments and
responses shall be filed with the Environmental Protection Agency,
Office of Federal Activities, consistent with EPA's procedures.
(b) Statements shall be filed with the EPA no earlier than they are
also transmitted to participating agencies and made available to the
public. EPA may issue guidelines to agencies to implement its
responsibilities under this section and Sec. 1506.11.
Sec. 1506.11 Timing of agency action.
(a) The Environmental Protection Agency shall publish a notice in
the Federal Register each week of the environmental impact statements
filed since its prior notice. The minimum time periods set forth in
this section shall be calculated from the date of publication of this
notice.
(b) Unless otherwise provided by law, including statutory
provisions for combining a final environmental impact statement and
record of decision, Federal agencies may not make or issue a record of
decision under Sec. 1505.2 for the proposed action until the later of
the following dates:
(1) 90 days after publication of the notice described above in
paragraph (a) of this section for a draft environmental impact
statement.
(2) 30 days after publication of the notice described above in
paragraph (a) of this section for a final environmental impact
statement.
(c) An agency may make an exception to the rule on timing set forth
in paragraph (b) of this section for a proposed action in the following
circumstances.
(1) Some agencies have a formally established appeal process which
allows other agencies or the public to take appeals on a decision and
make their views known, after publication of the final environmental
impact statement. In such cases, where a real opportunity exists to
alter the decision, the decision may be made and recorded at the same
time the environmental impact statement is published. This means that
the period for appeal of the decision and the 30-day period set forth
in paragraph (b)(2) of this section may run concurrently. In such
cases, the environmental impact statement shall explain the timing and
the public's right of appeal and provide notification consistent with
Sec. 1506.10.
(2) An agency engaged in rulemaking under the Administrative
Procedure Act or other statute for the purpose of protecting the public
health or safety may waive the time period in paragraph (b)(2) of this
section, publish a decision on the final rule simultaneously with
publication of the notice of the availability of the final
environmental impact statement and provide notification consistent with
Sec. 1506.10, as described in paragraph (a) of this section.
(d) If an agency files the final environmental impact statement
within 90 days of the filing of the draft environmental impact
statement with the Environmental Protection Agency, the decision-making
period and the 90-day period may run concurrently. However, subject to
paragraph (e) of this section, agencies shall allow at least 45 days
for comments on draft statements.
(e) The lead agency may extend the minimum periods in paragraph (b)
of this section and provide notification consistent with Sec. 1506.10.
The Environmental Protection Agency may upon a showing by the lead
agency of compelling reasons of national policy reduce the minimum
periods and may upon a showing by any other Federal agency of
compelling reasons of national policy also extend the minimum periods,
but only after consultation with the lead agency. The lead agency may
modify the minimum periods when necessary to comply with other specific
statutory requirements. (Sec. 1507.3(e)(2)) Failure to file timely
comments shall not be a sufficient reason for extending a period. If
the lead agency does not concur with the extension of time, EPA may not
extend it for more than 30 days. When the Environmental Protection
Agency reduces or extends any period of time it shall notify the
Council.
[[Page 1727]]
Sec. 1506.12 Emergencies.
Where emergency circumstances make it necessary to take an action
with significant environmental impact without observing the provisions
of the regulations in parts 1500 through 1508, the Federal agency
taking the action should consult with the Council about alternative
arrangements for compliance with section 102(2)(C) of NEPA. Agencies
and the Council will limit such arrangements to actions necessary to
control the immediate impacts of the emergency. Other actions remain
subject to NEPA review.
Sec. 1506.13 Effective date.
The regulations in parts 1500 through 1508 apply to any NEPA
process begun after [EFFECTIVE DATE OF FINAL RULE]. An agency may apply
these regulations to ongoing activities and environmental documents
begun before [EFFECTIVE DATE OF FINAL RULE].
0
8. Revise part 1507 to read as follows:
PART 1507--AGENCY COMPLIANCE
Sec.
1507.1 Compliance.
1507.2 Agency capability to comply.
1507.3 Agency NEPA procedures.
1507.4 Agency NEPA program information.
Authority: 42 U.S.C. 4321-4347; 42 U.S.C. 4371-4375; 42 U.S.C.
7609; E.O. 11514, 35 FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O. 13807, 82 FR 40463, Aug.
24, 2017.
Sec. 1507.1 Compliance.
All agencies of the Federal Government shall comply with the
regulations in parts 1500 through 1508.
Sec. 1507.2 Agency capability to comply.
Each agency shall be capable (in terms of personnel and other
resources) of complying with the requirements of NEPA and the
regulations in parts 1500 through 1508. Such compliance may include use
of the resources of other agencies, applicants, and other participants
in the NEPA process, but the using agency shall itself have sufficient
capability to evaluate what others do for it and account for the
contributions of others. Agencies shall:
(a) Fulfill the requirements of section 102(2)(A) of NEPA to
utilize a systematic, interdisciplinary approach which will ensure the
integrated use of the natural and social sciences and the environmental
design arts in planning and in decision making which may have an impact
on the human environment. Agencies shall designate a senior agency
official to be responsible for overall review of agency NEPA
compliance.
(b) Identify methods and procedures required by section 102(2)(B)
of NEPA to ensure that presently unquantified environmental amenities
and values may be given appropriate consideration.
(c) Prepare adequate environmental impact statements pursuant to
section 102(2)(C) of NEPA and cooperate on the development of
statements in the areas where the agency has jurisdiction by law or
special expertise or is authorized to develop and enforce environmental
standards.
(d) Study, develop, and describe alternatives to recommended
courses of action in any proposal which involves unresolved conflicts
concerning alternative uses of available resources. This requirement of
section 102(2)(E) of NEPA extends to all such proposals, not just the
more limited scope of section 102(2)(C)(iii) of NEPA where the
discussion of alternatives is confined to impact statements.
(e) Comply with the requirements of section 102(2)(H) of NEPA that
the agency initiate and utilize ecological information in the planning
and development of resource-oriented projects.
(f) Fulfill the requirements of sections 102(2)(F), 102(2)(G), and
102(2)(I), of NEPA, Executive Order 11514, Protection and Enhancement
of Environmental Quality, section 2, as amended by Executive Order
11991, Relating to Protection and Enhancement of Environmental Quality,
and Executive Order 13807, Establishing Discipline and Accountability
in the Environmental Review and Permitting for Infrastructure Projects.
Sec. 1507.3 Agency NEPA procedures.
(a) No more than 12 months after [PUBLICATION DATE OF FINAL RULE]
in the Federal Register, or 9 months after the establishment of an
agency, whichever comes later, each agency shall develop or revise, as
necessary, proposed procedures to implement the regulations in parts
1500 through 1508, including to eliminate any inconsistencies with
these regulations. When the agency is a department, major subunits are
encouraged (with the consent of the department) to adopt their own
procedures. Except as otherwise provided by law or for agency
efficiency, agency NEPA procedures shall not impose additional
procedures or requirements beyond those set forth in these regulations.
(1) Each agency shall consult with the Council while developing or
revising its proposed procedures and before publishing them in the
Federal Register for comment. Agencies with similar programs should
consult with each other and the Council to coordinate their procedures,
especially for programs requesting similar information from applicants.
(2) Agencies shall provide an opportunity for public review and
review by the Council for conformity with the Act and the regulations
in parts 1500 through 1508 before adopting their final procedures. The
Council shall complete its review within 30 days of the receipt of the
proposed final procedures. Once in effect, the agency shall publish its
NEPA procedures and ensure that they are readily available to the
public.
(b) Agencies shall adopt, as necessary, agency NEPA procedures to
improve agency efficiency and ensure that decisions are made in
accordance with the Act's procedural requirements. Such procedures
shall include, but not be limited to:
(1) Implementing procedures under section 102(2) of NEPA to achieve
the requirements of sections 101 and 102(1).
(2) Designating the major decision points for the agency's
principal programs likely to have a significant effect on the human
environment and assuring that the NEPA process corresponds with them.
(3) Requiring that relevant environmental documents, comments, and
responses be part of the record in formal rulemaking or adjudicatory
proceedings.
(4) Requiring that relevant environmental documents, comments, and
responses accompany the proposal through existing agency review
processes so that decision makers use the statement in making
decisions.
(5) Requiring that the alternatives considered by the decision
maker are encompassed by the range of alternatives discussed in the
relevant environmental documents and that the decision maker consider
the alternatives described in the environmental impact statement. If
another decision document accompanies the relevant environmental
documents to the decision maker, agencies are encouraged to make
available to the public before the decision is made any part of that
document that relates to the comparison of alternatives.
(6) Requiring the combination of environmental documents with other
agency documents, and may include designation of analyses or processes
that shall serve the function of agency compliance with NEPA and the
regulations in parts 1500 through 1508. To determine that an analysis
individually or analyses in the aggregate serve as the functional
equivalent of an EIS, an agency shall find that:
[[Page 1728]]
(i) There are substantive and procedural standards that ensure full
and adequate consideration of environmental issues;
(ii) There is public participation before a final alternative is
selected; and
(iii) A purpose of the analysis that the agency is conducting is to
examine environmental issues.
(c) Agency procedures may include identification of actions that
are not subject to NEPA, including:
(1) Non-major Federal actions;
(2) Actions that are non-discretionary actions, in whole or in
part;
(3) Actions expressly exempt from NEPA under another statute;
(4) Actions for which compliance with NEPA would clearly and
fundamentally conflict with the requirements of another statute; and
(5) Actions for which compliance with NEPA would be inconsistent
with Congressional intent due to the requirements of another statute.
(d) Agency procedures shall comply with the regulations in parts
1500 through 1508 except where compliance would be inconsistent with
statutory requirements and shall include:
(1) Those procedures required by Sec. Sec. 1501.2(b)(4)
(assistance to applicants), and 1506.6(e) (status information).
(2) Specific criteria for and identification of those typical
classes of action:
(i) Which normally do require environmental impact statements.
(ii) Which normally do not require either an environmental impact
statement or an environmental assessment and do not have a significant
effect on the human environment (categorical exclusions (Sec.
1501.4)). Any procedures under this section shall provide for
extraordinary circumstances in which a normally excluded action may
have a significant environmental effect. Agency NEPA procedures shall
identify where documentation of a categorical exclusion determination
is required.
(iii) Which normally require environmental assessments but not
necessarily environmental impact statements.
(3) Procedures for introducing a supplement to an environmental
assessment or environmental impact statement into its formal
administrative record, if such a record exists.
(e) Agency procedures may:
(1) Include specific criteria for providing limited exceptions to
the provisions of the regulations in parts 1500 through 1508 for
classified proposals. These are proposed actions that are specifically
authorized under criteria established by an Executive Order or statute
to be kept secret in the interest of national defense or foreign policy
and are in fact properly classified pursuant to such Executive Order or
statute. Agencies may safeguard and restrict from public dissemination
environmental assessments and environmental impact statements that
address classified proposals in accordance with agencies' own
regulations applicable to classified information. Agencies should
organize these documents so that classified portions are included as
annexes, so that the agencies can make the unclassified portions
available to the public.
(2) Provide for periods of time other than those presented in Sec.
1506.11 when necessary to comply with other specific statutory
requirements.
(3) Provide that where there is a lengthy period between the
agency's decision to prepare an environmental impact statement and the
time of actual preparation, the agency may publish the notice of intent
required by Sec. 1501.9 at a reasonable time in advance of preparation
of the draft statement. Agency procedures shall provide for publication
of supplemental notices to inform the public of a pause in its
preparation of an environmental impact statement and for any agency
decision to withdraw its notice of intent to prepare an environmental
impact statement.
(4) Adopt procedures to combine its environmental assessment
process with its scoping process.
(5) Provide for a process where the agency may consult with and
apply a categorical exclusion listed in another agency's NEPA
procedures to its proposed action by establishing a process that
ensures application of the categorical exclusion is appropriate.
Sec. 1507.4 Agency NEPA program information.
(a) To allow agencies and the public to efficiently and effectively
access information about NEPA reviews, agencies shall provide for
agency websites or other means to make available environmental
documents, relevant notices, and other relevant information for use by
agencies, applicants, and interested persons. Such means of publication
may include:
(1) Agency planning and environmental documents that guide agency
management and provide for public involvement in agency planning
processes;
(2) A directory of pending and final environmental documents;
(3) Agency policy documents, orders, terminology, and explanatory
materials regarding agency decision-making processes;
(4) Agency planning program information, plans, and planning tools;
and
(5) A database searchable by geographic information, document
status, document type, and project type.
(b) Agencies shall provide for efficient and effective interagency
coordination of their environmental program websites, including use of
shared databases or application programming interface, in their
implementation of NEPA and related authorities.
0
9. Revise part 1508 to read as follows:
PART 1508--DEFINITIONS
Authority: 42 U.S.C. 4321-4347; 42 U.S.C. 4371-4375; 42 U.S.C.
7609; E.O. 11514, 35 FR 4247, Mar. 7, 1970, as amended by E.O.
11991, 42 FR 26967, May 25, 1977; and E.O. 13807, 82 FR 40463, Aug.
24, 2017.
Sec. 1508.1 Definitions.
The following definitions apply to the regulations in parts 1500
through 1508. Federal agencies shall use these terms uniformly
throughout the Federal Government.
(a) Act or NEPA means the National Environmental Policy Act, as
amended (42 U.S.C. 4321, et seq.).
(b) Affecting means will or may have an effect on.
(c) Authorization means any license, permit, approval, finding,
determination, or other administrative decision issued by an agency
that is required or authorized under Federal law in order to implement
a proposed action.
(d) Categorical exclusion means a category of actions which the
agency has determined in its agency NEPA procedures (Sec. 1507.3)
normally do not have a significant effect on the human environment.
(e) Cooperating agency means any Federal agency (and a State,
Tribal, or local agency with agreement of the lead agency) other than a
lead agency which has jurisdiction by law or special expertise with
respect to any environmental impact involved in a proposal (or a
reasonable alternative) for legislation or other major Federal action
significantly affecting the quality of the human environment.
(f) Council means the Council on Environmental Quality established
by title II of the Act.
(g) Effects or impacts means effects of the proposed action or
alternatives that are reasonably foreseeable and have a reasonably
close causal relationship to
[[Page 1729]]
the proposed action or alternatives. Effects include reasonably
foreseeable effects that occur at the same time and place and may
include reasonably foreseeable effects that are later in time or
farther removed in distance.
(1) Effects include ecological (such as the effects on natural
resources and on the components, structures, and functioning of
affected ecosystems), aesthetic, historic, cultural, economic (such as
the effects on employment), social, or health effects. Effects may also
include those resulting from actions that may have both beneficial and
detrimental effects, even if on balance the agency believes that the
effect will be beneficial.
(2) A ``but for'' causal relationship is insufficient to make an
agency responsible for a particular effect under NEPA. Effects should
not be considered significant if they are remote in time,
geographically remote, or the product of a lengthy causal chain.
Effects do not include effects that the agency has no ability to
prevent due to its limited statutory authority or would occur
regardless of the proposed action. Analysis of cumulative effects is
not required.
(h) Environmental assessment means a concise public document
prepared by a Federal agency to aid an agency's compliance with the Act
and support its determination of whether to prepare an environmental
impact statement or finding of no significant impact, as provided in
Sec. 1501.6.
(i) Environmental document means an environmental assessment,
environmental impact statement, finding of no significant impact, or
notice of intent.
(j) Environmental impact statement means a detailed written
statement as required by section 102(2)(C) of NEPA.
(k) Federal agency means all agencies of the Federal Government. It
does not mean the Congress, the Judiciary, or the President, including
the performance of staff functions for the President in his Executive
Office. It also includes, for purposes of the regulations in parts 1500
through 1508, States, units of general local government, and Tribal
governments assuming NEPA responsibilities from a Federal agency
pursuant to statute.
(l) Finding of no significant impact means a document by a Federal
agency briefly presenting the reasons why an action, not otherwise
categorically excluded (Sec. 1501.4), will not have a significant
effect on the human environment and for which an environmental impact
statement therefore will not be prepared.
(m) Human environment means comprehensively the natural and
physical environment and the relationship of present and future
generations of Americans with that environment. (See the definition of
``effects.'')
(n) Jurisdiction by law means agency authority to approve, veto, or
finance all or part of the proposal.
(o) Lead agency means the agency or agencies, in the case of joint
lead agencies, preparing or having taken primary responsibility for
preparing the environmental impact statement.
(p) Legislation means a bill or legislative proposal to Congress
developed by or with the significant cooperation and support of a
Federal agency, but does not include requests for appropriations or
legislation recommended by the President.
(q) Major Federal action or action means an action subject to
Federal control and responsibility with effects that may be
significant. Major Federal action does not include non-discretionary
decisions made in accordance with the agency's statutory authority or
activities that do not result in final agency action under the
Administrative Procedure Act. Major Federal action also does not
include non-Federal projects with minimal Federal funding or minimal
Federal involvement where the agency cannot control the outcome of the
project.
(1) Major Federal actions may include new and continuing
activities, including projects and programs entirely or partly
financed, assisted, conducted, regulated, or approved by Federal
agencies; new or revised agency rules, regulations, plans, policies, or
procedures; and legislative proposals (Sec. 1506.8). Actions do not
include funding assistance solely in the form of general revenue
sharing funds with no Federal agency control over the subsequent use of
such funds. Actions do not include loans, loan guarantees, or other
forms of financial assistance where the Federal agency does not
exercise sufficient control and responsibility over the effects of the
action. Actions do not include farm ownership and operating loan
guarantees by the Farm Service Agency pursuant to 7 U.S.C. 1925 and
1941 through 1949 and business loan guarantees by the Small Business
Administration pursuant to 15 U.S.C. 636(a), 636(m), and 695 through
697f. Actions do not include bringing judicial or administrative civil
or criminal enforcement actions.
(2) Major Federal actions tend to fall within one of the following
categories:
(i) Adoption of official policy, such as rules, regulations, and
interpretations adopted pursuant to the Administrative Procedure Act, 5
U.S.C. 551 et seq.; implementation of treaties and international
conventions or agreements; formal documents establishing an agency's
policies which will result in or substantially alter agency programs.
(ii) Adoption of formal plans, such as official documents prepared
or approved by Federal agencies which prescribe alternative uses of
Federal resources, upon which future agency actions will be based.
(iii) Adoption of programs, such as a group of concerted actions to
implement a specific policy or plan; systematic and connected agency
decisions allocating agency resources to implement a specific statutory
program or executive directive.
(iv) Approval of specific projects, such as construction or
management activities located in a defined geographic area. Projects
include actions approved by permit or other regulatory decision as well
as Federal and federally assisted activities.
(r) Matter includes for purposes of part 1504:
(1) With respect to the Environmental Protection Agency, any
proposed legislation, project, action or regulation as those terms are
used in section 309(a) of the Clean Air Act (42 U.S.C. 7609).
(2) With respect to all other agencies, any proposed major Federal
action to which section 102(2)(C) of NEPA applies.
(s) Mitigation means measures that avoid, minimize, or compensate
for reasonably foreseeable impacts to the human environment caused by a
proposed action as described in an environmental document or record of
decision and that have a nexus to the effects of a proposed action.
While NEPA requires consideration of mitigation, it does not mandate
the form or adoption of any mitigation. Mitigation includes:
(1) Avoiding the impact altogether by not taking a certain action
or parts of an action.
(2) Minimizing impacts by limiting the degree or magnitude of the
action and its implementation.
(3) Rectifying the impact by repairing, rehabilitating, or
restoring the affected environment.
(4) Reducing or eliminating the impact over time by preservation
and maintenance operations during the life of the action.
(5) Compensating for the impact by replacing or providing
substitute resources or environments.
(t) NEPA process means all measures necessary for compliance with
the
[[Page 1730]]
requirements of section 2 and title I of NEPA.
(u) Notice of intent means a public notice that an agency will
prepare and consider an environmental impact statement.
(v) Page means 500 words and does not include explanatory maps,
diagrams, graphs, tables, and other means of graphically displaying
quantitative or geospatial information.
(w) Participating agency means a Federal, State, Tribal, or local
agency participating in an environmental review or authorization of an
action.
(x) Proposal means a proposed action at a stage when an agency has
a goal, is actively preparing to make a decision on one or more
alternative means of accomplishing that goal, and can meaningfully
evaluate its effects. A proposal may exist in fact as well as by agency
declaration that one exists.
(y) Publish and publication mean methods found by the agency to
efficiently and effectively make environmental documents and
information available for review by interested persons, including
electronic publication, and adopted by agency NEPA procedures pursuant
to Sec. 1507.3.
(z) Reasonable alternatives means a reasonable range of
alternatives that are technically and economically feasible, meet the
purpose and need for the proposed action, and, where applicable, meet
the goals of the applicant.
(aa) Reasonably foreseeable means sufficiently likely to occur such
that a person of ordinary prudence would take it into account in
reaching a decision.
(bb) Referring agency means the Federal agency that has referred
any matter to the Council after a determination that the matter is
unsatisfactory from the standpoint of public health or welfare or
environmental quality.
(cc) Scope consists of the range of actions, alternatives, and
impacts to be considered in an environmental impact statement. The
scope of an individual statement may depend on its relationships to
other statements (Sec. 1501.11).
(dd) Senior agency official means an official of assistant
secretary rank or higher, or equivalent, that is designated for agency
NEPA compliance, including resolving implementation issues and
representing the agency analysis of the effects of agency actions on
the human environment in agency decision-making processes.
(ee) Special expertise means statutory responsibility, agency
mission, or related program experience.
(ff) Tiering refers to the coverage of general matters in broader
environmental impact statements or environmental assessments (such as
national program or policy statements) with subsequent narrower
statements or environmental analyses (such as regional or basin-wide
program statements or ultimately site-specific statements)
incorporating by reference the general discussions and concentrating
solely on the issues specific to the statement subsequently prepared.
[FR Doc. 2019-28106 Filed 1-9-20; 4:15 pm]
BILLING CODE 3225-F0-P