National Emission Standards for Hazardous Air Pollutants: Site Remediation Residual Risk and Technology Review, 41680-41714 [2020-05896]
Download as PDF
41680
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 63
[EPA–HQ–OAR–2018–0833; FRL–10006–94–
OAR]
RIN 2060–AU19
National Emission Standards for
Hazardous Air Pollutants: Site
Remediation Residual Risk and
Technology Review
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
This action finalizes the
residual risk and technology review
(RTR) conducted for the Site
Remediation source category regulated
under national emission standards for
hazardous air pollutants (NESHAP). The
U.S. Environmental Protection Agency
(EPA) is finalizing the proposed
determination that risks due to
emissions of air toxics from site
remediation sources are acceptable and
that no revision to the standards is
required to provide an ample margin of
safety to protect public health. Based on
the results of our technology review, we
are promulgating the proposed changes
to the leak detection and repair (LDAR)
program. In addition, the EPA is
finalizing amendments to revise
regulatory provisions pertaining to
emissions during periods of startup,
shutdown and malfunction (SSM),
including finalizing work practice
requirements for pressure relief devices
(PRDs) and the 240-hour maintenance
period for control devices on tanks. We
are finalizing requirements for
electronic submittal of semiannual
reports and performance test results.
Finally, we are making minor
clarifications and corrections. The final
revisions to the rule will increase the
level of emissions control and
environmental protection provided by
the Site Remediation NESHAP.
DATES: This final rule is effective on July
10, 2020. The incorporation by reference
(IBR) of certain publications listed in
the rule is approved by the Director of
the Federal Register as of July 10, 2020.
ADDRESSES: The EPA has established a
docket for this action under Docket ID
No. EPA–HQ–OAR–2018–0833. All
documents in the docket are listed on
the https://www.regulations.gov/
website. Although listed, some
information is not publicly available,
e.g., Confidential Business Information
or other information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
jbell on DSKJLSW7X2PROD with RULES2
SUMMARY:
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
is not placed on the internet and will be
publicly available only in hard copy
form. Publicly available docket
materials are available either
electronically through https://
www.regulations.gov/, or in hard copy at
the EPA Docket Center, WJC West
Building, Room Number 3334, 1301
Constitution Ave. NW, Washington, DC.
The Public Reading Room hours of
operation are 8:30 a.m. to 4:30 p.m.,
Eastern Standard Time (EST) Monday
through Friday. The telephone number
for the Public Reading Room is (202)
566–1744, and the telephone number for
the EPA Docket Center is (202) 566–
1742.
FOR FURTHER INFORMATION CONTACT: For
questions about this final action, contact
Matthew Witosky, Sector Policies and
Programs Division (E143–05), Office of
Air Quality Planning and Standards,
U.S. Environmental Protection Agency,
Research Triangle Park, North Carolina
27711; telephone number: (919) 541–
2865; fax number: (919) 541–0516; and
email address: witosky.matthew@
epa.gov. For specific information
regarding the risk modeling
methodology, contact Matthew Woody,
Health and Environmental Impacts
Division (C539–02), Office of Air
Quality Planning and Standards, U.S.
Environmental Protection Agency,
Research Triangle Park, North Carolina
27711; telephone number: (919) 541–
1535; fax number: (919) 541–0840; and
email address: woody.matthew@
epa.gov. For information about the
applicability of the NESHAP to a
particular entity, contact Marcia Mia,
Office of Enforcement and Compliance
Assurance, U.S. Environmental
Protection Agency, WJC South Building
(Mail Code 2227A), 1200 Pennsylvania
Avenue NW, Washington DC 20460;
telephone number: (202) 564–7042; and
email address: Mia.Marcia@epa.gov.
SUPPLEMENTARY INFORMATION:
Preamble acronyms and
abbreviations. We use multiple
acronyms and terms in this preamble.
While this list may not be exhaustive, to
ease the reading of this preamble and for
reference purposes, the EPA defines the
following terms and acronyms here:
ACC American Chemistry Council
ADAF age-dependent adjustment factors
API American Petroleum Institute
APR amino and phenolic resins
ASTM American Society for Testing and
Materials
CAA Clean Air Act
CDX Central Data Exchange
CEDRI Compliance and Emissions Data
Reporting Interface
CFR Code of Federal Regulations
CRA Congressional Review Act
EFH Exposure Factors Handbook
PO 00000
Frm 00002
Fmt 4701
Sfmt 4700
EPA Environmental Protection Agency
EtO ethylene oxide
HAP hazardous air pollutant(s)
HCl hydrochloric acid
NEI National Emissions Inventory
HHRAP Human Health Risk Assessment
Protocol
HI hazard index
HQ hazard quotient
IARC International Agency for Research on
Cancer
IBR incorporation by reference
ICR Information Collection Request
LDAR leak detection and repair
MACT maximum achievable control
technology
MIR maximum individual risk
NAICS North American Industry
Classification System
NESHAP national emission standards for
hazardous air pollutants
NTTAA National Technology Transfer and
Advancement Act
OEHHA California Office of Environmental
Health Hazard Assessment
OEL open-ended line
OMB Office of Management and Budget
PAH polycyclic aromatic hydrocarbon
PB–HAP hazardous air pollutants known to
be persistent and bio-accumulative in the
environment
PCDDs polychlorinated dibenzodioxins
PCDFs polychlorinated dibenzofurans
POM polycyclic organic matter
ppm parts per million
ppmw parts per million by weight
PRD pressure relief device
REL reference exposure level
RFA Regulatory Flexibility Act
RMMU remediation material management
unit
RTR residual risk and technology review
SAB Science Advisory Board
SSM startup, shutdown, and malfunction
TOSHI target organ-specific hazard index
tpy tons per year
UMRA Unfunded Mandates Reform Act
Background information. On
September 3, 2019, the EPA proposed
revisions to the Site Remediation
NESHAP based on our RTR. In this
action, we are finalizing decisions and
revisions for the rule. We summarize
some of the more significant comments
we timely received regarding the
proposed rule and provide our
responses in this preamble. A summary
of all other public comments on the
proposal and the EPA’s responses to
those comments is available in the
National Emission Standards for
Hazardous Air Pollutant Emissions: Site
Remediation Summary of Public
Comments and Responses on Proposed
Rule (84 FR 46138; September 3, 2019),
Docket ID No. EPA–HQ–OAR–2018–
0833. A ‘‘track changes’’ version of the
regulatory language that incorporates
the changes in this action is available in
the docket.
Organization of this document. The
information in this preamble is
organized as follows:
E:\FR\FM\10JYR2.SGM
10JYR2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
I. General Information
A. Does this action apply to me?
B. Where can I get a copy of this document
and other related information?
C. Judicial Review and Administrative
Reconsideration
II. Background
A. What is the statutory authority for this
action?
B. What is the Site Remediation source
category and how does the NESHAP
regulate HAP emissions from the source
category?
C. What changes did we propose for the
Site Remediation source category in our
September 3, 2019, proposal?
D. What other actions did we take for the
Site Remediation source category in our
September 3, 2019, proposal?
III. What is included in this final rule?
A. What are the final rule amendments
based on the risk review for the Site
Remediation source category?
B. What are the final rule amendments
based on the technology review for the
Site Remediation source category?
C. What are the final rule amendments
pursuant to CAA section 112(d)(2) and
(3) for the Site Remediation source
category?
D. What are the final rule amendments
addressing emissions during periods of
SSM?
E. What other changes have been made to
the NESHAP?
F. What are the effective and compliance
dates of the standards?
IV. What is the rationale for our final
decisions and amendments for the Site
Remediation source category?
A. Residual Risk Review for the Site
Remediation Source Category
B. Technology Review for the Site
Remediation Source Category
C. CAA Sections 112(d)(2) and (3)
Amendments
D. Other Issues and Changes Made to the
Site Remediation NESHAP
V. Summary of Cost, Environmental, and
Economic Impacts and Additional
Analyses Conducted
A. What are the affected facilities?
B. What are the air quality impacts?
C. What are the cost impacts?
D. What are the economic impacts?
E. What are the benefits?
F. What analysis of environmental justice
did we conduct?
G. What analysis of children’s
environmental health did we conduct?
VI. Statutory and Executive Order Reviews
A. Executive Orders 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
B. Executive Order 13771: Reducing
Regulations and Controlling Regulatory
Costs
C. Paperwork Reduction Act (PRA)
D. Regulatory Flexibility Act (RFA)
41681
E. Unfunded Mandates Reform Act
(UMRA)
F. Executive Order 13132: Federalism
G. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
H. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
I. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
J. National Technology Transfer and
Advancement Act (NTTAA) and 1 CFR
part 51
K. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
L. Congressional Review Act (CRA)
I. General Information
A. Does this action apply to me?
Regulated entities. Categories and
entities potentially regulated by this
action are shown in Table 1 of this
preamble.
TABLE 1—NESHAP AND INDUSTRIAL SOURCE CATEGORIES AFFECTED BY THIS FINAL ACTION
Source category
NESHAP
NAICS code 1
Industry .....................................
40 CFR part 63, subpart GGGGG ...................
Federal Government .................
...........................................................................
325211
325192
325188
32411
49311
49319
48611
42269
42271
Federal agency facilities that conduct Site Remediation activities.
jbell on DSKJLSW7X2PROD with RULES2
1 North
American Industry Classification System.
Table 1 of this preamble is not
intended to be exhaustive, but rather to
provide a guide for readers regarding
entities likely to be affected by the final
action for the source category listed. To
determine whether your facility is
affected, you should examine the
applicability criteria in the appropriate
NESHAP. If you have any questions
regarding the applicability of any aspect
of this NESHAP, please contact the
appropriate person listed in the
preceding FOR FURTHER INFORMATION
CONTACT section of this preamble.
B. Where can I get a copy of this
document and other related
information?
In addition to being available in the
docket, an electronic copy of this final
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
action will also be available on the
internet. Following signature by the
EPA Administrator, the EPA will post a
copy of this final action at: https://
www.epa.gov/stationary-sources-airpollution/siteremediation-nationalemissionstandards-hazardous-air.
Following publication in the Federal
Register, the EPA will post the Federal
Register version and key technical
documents at this same website.
Additional information is available on
the RTR website at https://
www.epa.gov/stationary-sources-airpollution/risk-and-technology-reviewnational-emissions-standardshazardous. This information includes
an overview of the RTR program and
PO 00000
Frm 00003
Fmt 4701
Sfmt 4700
links to project websites for the RTR
source categories.
C. Judicial Review and Administrative
Reconsideration
Under Clean Air Act (CAA) section
307(b)(1), judicial review of this final
action is available only by filing a
petition for review in the United States
Court of Appeals for the District of
Columbia Circuit (the Court) by
September 8, 2020. Under CAA section
307(b)(2), the requirements established
by this final rule may not be challenged
separately in any civil or criminal
proceedings brought by the EPA to
enforce the requirements.
Section 307(d)(7)(B) of the CAA
further provides that only an objection
to a rule or procedure which was raised
E:\FR\FM\10JYR2.SGM
10JYR2
41682
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
with reasonable specificity during the
period for public comment (including
any public hearing) may be raised
during judicial review. This section also
provides a mechanism for the EPA to
reconsider the rule if the person raising
an objection can demonstrate to the
Administrator that it was impracticable
to raise such objection within the period
for public comment or if the grounds for
such objection arose after the period for
public comment (but within the time
specified for judicial review) and if such
objection is of central relevance to the
outcome of the rule. Any person seeking
to make such a demonstration should
submit a Petition for Reconsideration to
the Office of the Administrator, U.S.
EPA, Room 3000, WJC South Building,
1200 Pennsylvania Ave. NW,
Washington, DC 20460, with a copy to
both the person(s) listed in the
preceding FOR FURTHER INFORMATION
CONTACT section, and the Associate
General Counsel for the Air and
Radiation Law Office, Office of General
Counsel (Mail Code 2344A), U.S. EPA,
1200 Pennsylvania Ave. NW,
Washington, DC 20460.
jbell on DSKJLSW7X2PROD with RULES2
II. Background
A. What is the statutory authority for
this action?
Section 112 of the CAA establishes a
two-stage regulatory process to address
emissions of hazardous air pollutants
(HAP) from stationary sources. In the
first stage, we must identify categories
of sources emitting one or more of the
HAP listed in CAA section 112(b) and
then promulgate technology-based
NESHAP for those sources. ‘‘Major
sources’’ are those that emit, or have the
potential to emit, any single HAP at a
rate of 10 tons per year (tpy) or more,
or 25 tpy or more of any combination of
HAP. For major sources, these standards
are commonly referred to as maximum
achievable control technology (MACT)
standards and must reflect the
maximum degree of emission reductions
of HAP achievable (after considering
cost, energy requirements, and non-air
quality health and environmental
impacts). In developing MACT
standards, CAA section 112(d)(2) directs
the EPA to consider the application of
measures, processes, methods, systems,
or techniques, including, but not limited
to, those that reduce the volume of or
eliminate HAP emissions through
process changes, substitution of
materials, or other modifications;
enclose systems or processes to
eliminate emissions; collect, capture, or
treat HAP when released from a process,
stack, storage, or fugitive emissions
point; are design, equipment, work
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
practice, or operational standards; or
any combination of the above.
For these MACT standards, the statute
specifies certain minimum stringency
requirements, which are referred to as
MACT floor requirements, and which
may not be based on cost
considerations. See CAA section
112(d)(3). For new sources, the MACT
floor cannot be less stringent than the
emission control achieved in practice by
the best-controlled similar source. The
MACT standards for existing sources
can be less stringent than floors for new
sources, but they cannot be less
stringent than the average emission
limitation achieved by the bestperforming 12 percent of existing
sources in the category or subcategory
(or the best-performing five sources for
categories or subcategories with fewer
than 30 sources). In developing MACT
standards, we must also consider
control options that are more stringent
than the floor under CAA section
112(d)(2). We may establish standards
more stringent than the floor, based on
the consideration of the cost of
achieving the emissions reductions, any
non-air quality health and
environmental impacts, and energy
requirements.
In the second stage of the regulatory
process, the CAA requires the EPA to
undertake two different analyses, which
we refer to as the technology review and
the residual risk review. Under the
technology review, we must review the
technology-based standards and revise
them ‘‘as necessary (taking into account
developments in practices, processes,
and control technologies)’’ no less
frequently than every 8 years, pursuant
to CAA section 112(d)(6). Under the
residual risk review, we must evaluate
the risk to public health remaining after
application of the technology-based
standards and revise the standards, if
necessary, to provide an ample margin
of safety to protect public health or to
prevent, taking into consideration costs,
energy, safety, and other relevant
factors, an adverse environmental effect.
The residual risk review is required
within 8 years after promulgation of the
technology-based standards, pursuant to
CAA section 112(f). In conducting the
residual risk review, if the EPA
determines that the current standards
provide an ample margin of safety to
protect public health, it is not necessary
to revise the MACT standards pursuant
to CAA section 112(f).1 For more
1 The Court has affirmed this approach of
implementing CAA section 112(f)(2)(A): NRDC v.
EPA, 529 F.3d 1077, 1083 (DC Cir. 2008) (‘‘If EPA
determines that the existing technology-based
standards provide an ’ample margin of safety,’ then
PO 00000
Frm 00004
Fmt 4701
Sfmt 4700
information on the statutory authority
for this rule, see 84 FR 46138
(September 3, 2019).
B. What is the Site Remediation source
category and how does the NESHAP
regulate HAP emissions from the source
category?
The EPA promulgated the final Site
Remediation NESHAP at 68 FR 58172
(October 8, 2003). The NESHAP applies
to ‘‘remediation material.’’ Site
remediation means one or more
activities or processes used to remove,
destroy, degrade, transform, immobilize,
or otherwise manage remediation
material. Monitoring or measuring of
contamination levels in media, whether
by using wells, sampling, or other
means, is not considered to be a Site
Remediation. The rule applies only to
active remedial operations at sites that
are major sources with affected facilities
subject to another MACT standard. The
Site Remediation NESHAP applies to
various types of affected sources
including process vents, remediation
material management units, and
equipment leaks. The affected source for
process vents is the entire group of
process vents associated with the in-situ
and ex-situ remediation processes used
at the site to remove, destroy, degrade,
transform, or immobilize hazardous
substances in the remediation material.
Examples of process vents for in-situ
remediation processes include the
discharge vents to the atmosphere used
for soil vapor extraction and
underground bioremediation processes.
Examples of process vents for ex-situ
remediation processes include vents for
thermal desorption, bioremediation, and
stripping processes (air or steam
stripping). The affected source for
remediation material management units
is the entire group of tanks, surface
impoundments, containers, oil-water
separators, and transfer systems used for
the Site Remediation activities
involving clean-up of remediation
material. The affected source for
equipment leaks is the entire group of
remediation equipment components
(pumps, valves, etc.) that is intended to
operate for 300 hours or more during a
calendar year in remediation material
service and that contains or contacts
remediation material having a
concentration of regulated HAP equal to
or greater than 10 percent by weight.
The Site Remediation MACT
standards include a combination of
equipment standards, work practice
standards, operational standards, and
performance standards for each of the
the Agency is free to readopt those standards during
the residual risk rulemaking.’’).
E:\FR\FM\10JYR2.SGM
10JYR2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
affected emission sources noted above.
The source category covered by this
MACT standard currently includes
approximately 30 facilities.
C. What changes did we propose for the
Site Remediation source category in our
September 3, 2019, proposal?
On September 3, 2019, the EPA
published proposed amendments in the
Federal Register for the Site
Remediation NESHAP, 40 CFR part 63,
subpart GGGGG, that took into
consideration the RTR analyses and also
proposed other revisions. The proposed
revisions included the following:
• Revisions to the equipment leak
requirements to require the use of the
leak detection thresholds of 40 CFR part
63, subpart UU for valves and pumps,
rather than the thresholds of 40 CFR
part 63, subpart TT;
• Revisions to requirements related to
emissions during periods of SSM;
• The addition of requirements for
electronic submittal of semiannual
reports and performance tests;
• Removal of the 240-hour exemption
from control requirements for planned
routine maintenance of emissions
control systems;
• Clarifications to the ‘‘sealed’’
requirement of the provisions for openended lines (OELs);
• Addition of work practice and
monitoring requirements for PRDs; and
• Several minor clarifications and
corrections.
jbell on DSKJLSW7X2PROD with RULES2
D. What other actions did we take for
the Site Remediation source category in
our September 3, 2019, proposal?
Within the RTR proposal, the EPA
separately solicited comment on ways
in which the Site Remediation NESHAP
could be amended with respect to
facilities currently exempt under 40
CFR 63.7881(b)(2) and (3), under a
scenario where the EPA removes the
exemption. The exemption applies to
facilities subject to federally-enforceable
oversight under the Resource
Conservation and Recovery Act (RCRA)
or the Comprehensive Environmental
Response, Compensation, and Liability
Act (CERCLA). In particular, in light of
comments received on our 2016
proposal to remove the exemption, the
Agency sought additional comment
regarding subcategorization or other
methods of distinguishing among
appropriate requirements for such
sources. We explained our intention to
use this opportunity to gather additional
information in anticipation of
addressing these issues through a
separate action.
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
III. What is included in this final rule?
This action finalizes the EPA’s
determinations pursuant to the RTR
provisions of CAA section 112 for the
Site Remediation source category and
amends the SR NESHAP based on those
determinations. We are also finalizing
other proposed changes to the NESHAP
and other changes made in
consideration of comments received
during the public comment period for
the proposed rulemaking. In the
following subsections, we summarize
the final amendments to the Site
Remediation NESHAP.
We are not finalizing any changes at
this time to the exemption from the Site
Remediation NESHAP requirements
available for federally-overseen Site
Remediations under RCRA or CERCLA,
pursuant to 40 CFR 63.7881(b)(2) and
(3). The agency is continuing to review
comments related to our solicitation on
this issue in the RTR proposal, see 84
FR 46167–69 (September 3, 2019), and
comments on the May 13, 2016,
proposal regarding the exemption (81
FR 29812), and intends to address this
issue in a separate action.
A. What are the final rule amendments
based on the risk review for the Site
Remediation source category?
For the Site Remediation source
category, we have determined that the
current NESHAP reduces risk to an
acceptable level, provides an ample
margin of safety to protect public health,
and prevents adverse environmental
effects. Therefore, as we proposed, it is
not necessary to revise the NESHAP
pursuant to CAA section 112(f).
B. What are the final rule amendments
based on the technology review for the
Site Remediation source category?
We have determined that there have
been developments in practices,
processes, and control technologies that
warrant revisions to the Site
Remediation NESHAP. Therefore, to
satisfy the requirements of CAA section
112(d)(6), and as we proposed, we are
revising the NESHAP to require
facilities to use the leak detection
thresholds of 40 CFR part 63, subpart
UU for valves and pumps, rather than
those of 40 CFR part 63, subpart TT. For
other Site Remediation emissions
sources, we have determined that, as we
proposed, there are no viable
developments in HAP emission
reduction practices, processes, or
control technologies to apply,
considering the technical feasibility,
estimated costs, and emission
reductions of the options identified.
PO 00000
Frm 00005
Fmt 4701
Sfmt 4700
41683
C. What are the final rule amendments
pursuant to CAA section 112(d)(2) and
(3) for the Site Remediation source
category?
Consistent with the Court’s ruling in
Sierra Club v. EPA, 551 F.3d 1019 (D.C.
Cir. 2008), we are finalizing the
proposed requirements, with two minor
modifications, for safety devices,
bypasses and closure devices on
pressure tanks, and PRDs to ensure a
standard continuously applies during
malfunctions that result in an emissions
release directly to the atmosphere (i.e.,
an actuation event). These final
requirements include work practices
that consist of conducting an analysis of
the cause of a PRD actuation event and
the implementation of corrective
measures. In addition, we are finalizing
the proposed criteria for what
constitutes a deviation from the work
practice requirements. We are also
finalizing the proposed requirement that
PRDs be monitored with a device or
monitoring system that is capable of (1)
identifying the pressure release; (2)
recording the time and duration of each
pressure release; and (3) notifying
operators immediately that a pressure
release is occurring. Finally, we are
finalizing the proposed recordkeeping
and reporting requirements associated
with releases to the atmosphere from
bypasses and PRDs.
In response to comments received on
the proposed rule, we are making two
modifications to the proposed
requirements and one change to the
estimate of costs associated with PRD
monitoring. One modification is to
exclude PRDs on containers from the
PRD work practice standards and
monitoring requirements, and the other
modification is to clarify when a PRD is
subject to LDAR requirements and when
a PRD is subject to the PRD actuation
event work practice requirements. We
have also revised the economic analysis
for the adoption of the proposed PRD
monitoring requirements to reflect the
purchase of monitoring equipment for
some facilities rather than assuming all
facilities already have adequate
monitoring systems.
D. What are the final rule amendments
addressing emissions during periods of
SSM?
With one exception, we are finalizing
changes to the Site Remediation
NESHAP to eliminate the SSM
exemption as proposed. Consistent with
Sierra Club v. EPA, 551 F. 3d 1019 (D.C.
Cir. 2008), the EPA has established
standards in this rule that apply at all
times. Table 3 to Subpart GGGGG of Part
63 (General Provisions applicability
E:\FR\FM\10JYR2.SGM
10JYR2
41684
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
jbell on DSKJLSW7X2PROD with RULES2
table) is being revised to change several
references related to requirements that
apply during periods of SSM. We also
eliminated or revised certain
recordkeeping and reporting
requirements related to the eliminated
SSM exemption. The EPA also made
changes to the rule to remove or modify
inappropriate, unnecessary, or
redundant language in the absence of
the SSM exemption. We determined
that facilities in this source category can
meet the applicable emission standards
in the Site Remediation NESHAP at all
times, including periods of startup and
shutdown; therefore, the EPA
determined that no additional standards
are needed to address emissions during
these periods.
In response to comments received on
the proposed rule, the EPA is making a
change to the 240-hour annual control
system bypass allowance for planned
routine maintenance of a closed vent
system or control device. Rather than
remove this allowance for all control
systems, the final rule will retain the
allowance with the addition of a work
practice requirement for storage tank
control devices and closed vent systems.
E. What other changes have been made
to the NESHAP?
This rule also finalizes revisions to
several other Site Remediation NESHAP
requirements. We describe the revisions
in the following paragraphs.
To increase the ease and efficiency of
data submittal and data accessibility, we
are finalizing, as proposed, a
requirement that owners or operators of
site remediation facilities submit
electronic copies of required
performance test reports, performance
evaluation reports, and semi-annual
compliance reports through the EPA’s
Central Data Exchange (CDX) using the
Compliance and Emissions Data
Reporting Interface (CEDRI).
As proposed, the EPA is not
establishing emission standards for
inorganic or metal HAP.
Based on comments received on the
proposed provisions for OELs, we are
not finalizing the proposed language in
the Site Remediation NESHAP that
OELs are ‘‘sealed’’ by a cap, blind
flange, plug or second valve when
instrument monitoring of the OEL
conducted according to EPA Method 21
of 40 CFR part 60, appendix A indicates
no readings of 500 parts per million
(ppm) or greater. Since OELs are present
at many facilities, additional
consideration of the proposed change
would be appropriate because there are
multiple source categories that crossreference the same equipment and
operational requirements for OELs. We
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
continue to believe it is important that
the standard to seal the OEL includes a
clear mechanism for a source to
demonstrate compliance with that
requirement. Therefore, the EPA intends
to continue to evaluate appropriate
means of compliance certainty for OELs,
including the term ‘‘sealed,’’ and is not
finalizing any revisions to the OEL
standards applicable to Site
Remediation in this action. The EPA
emission estimates used in the risk
modeling are based on reported
emissions and we did not estimate HAP
reductions from the proposed approach.
For this reason, this decision not to
finalize the OEL provisions does not
alter our analysis of estimated
emissions, risks, and decisions related
to risk.
We are finalizing, as proposed, several
miscellaneous minor changes to
improve the clarity of the rule
requirements.
F. What are the effective and
compliance dates of the standards?
The revisions to the MACT standards
being promulgated in this action are
effective on July 10, 2020.
The compliance date for existing
affected sources for the revised SSM
requirements is 180 days after the
effective date of the standard, January 6,
2021. The requirements for electronic
reporting requirements, the revised
routine maintenance provisions, the
operating and pressure management
requirements for PRDs, and the revised
requirements regarding bypasses and
closure devices on pressure tanks is 180
days after the effective date of the
standard, January 6, 2021.
For electronic reporting, we have
experience with similar industries
shows that a time period of a minimum
of 90 days, and more typically 180 days,
is generally necessary to successfully
complete the changes required to
convert reporting mechanisms,
including the installation of the
necessary hardware and software,
becoming familiar with the process of
submitting performance test results
electronically through the EPA’s CEDRI,
testing these new electronic submission
capabilities, reliably employing
electronic reporting, and converting the
logistics of reporting processes to
different time-reporting parameters.
We are finalizing the 180-day
compliance date for the other
requirements listed above for existing
affected sources because we are
finalizing changes to the requirements
for SSM by removing the exemption
from the requirements to meet a
standard during SSM periods and by
removing the requirement to develop
PO 00000
Frm 00006
Fmt 4701
Sfmt 4700
and implement an SSM plan, as
proposed. We have experience with
similar industries further shows that
this sort of regulated facility generally
requires a time period of 180 days to
read and understand the amended rule
requirements; evaluate their operations
to ensure that they can meet the
standards during periods of SSM; adjust
parameter monitoring and recording
systems to accommodate revisions; and
update their operations to reflect the
revised requirements.
The compliance date for existing
affected sources to comply with the new
PRD actuation work practice standard,
including monitoring requirement and
actuation event reporting requirements,
under 40 CFR 63.7923 is 18 months
from the effective date of the final
amendment, January 10, 2022. This time
period will allow Site Remediation
facility owners and operators to research
equipment and vendors, and to
purchase, install, test, and properly
operate any necessary equipment by the
compliance date.
For equipment leaks, the compliance
date for existing affected sources is 1
year from the effective date of the
standards, July 10, 2021. This time
period is necessary to allow existing
affected sources that are currently
complying with 40 CFR part 63, subpart
TT, adequate time to modify their
existing LDAR programs to comply with
the revised standards for pumps and
valves.
New affected sources must comply
with all of the standards and
requirements of the amended rule
immediately upon the effective date of
the final amendments, July 10, 2020, or
upon startup, whichever is later.
IV. What is the rationale for our final
decisions and amendments for the Site
Remediation source category?
For each issue, this section provides
a description of what we proposed and
what we are finalizing for the issue, the
EPA’s rationale for the final decisions
and amendments, and a summary of key
comments and responses. For all
comments not discussed in this
preamble, comment summaries and the
EPA’s responses can be found in the
comment summary and response
document available in the docket
(Docket ID No. EPA–HQ–OAR–2018–
0833).
E:\FR\FM\10JYR2.SGM
10JYR2
41685
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
A. Residual Risk Review for the Site
Remediation Source Category
1. What did we propose pursuant to
CAA section 112(f) for the Site
Remediation source category?
Pursuant to CAA section 112(f), we
conducted a residual risk assessment for
both affected sources and sources
exempt from Site Remediation NESHAP
requirements pursuant to 40 CFR
63.7881(b)(2) or (3) (i.e., ‘‘RCRA/
CERCLA-exempt sources’’) and
presented the results of these
assessments separately, along with our
proposed decisions regarding risk
acceptability and ample margin of safety
for affected sources, in the September 3,
2019, RTR proposal (84 FR 46138).2 The
residual risk assessments for the Site
Remediation source category included
assessment of cancer risk, chronic
noncancer risk, and acute noncancer
risk due to inhalation exposure, as well
as multipathway exposure risk and
environmental risk. The results of the
risk assessment for affected sources are
presented briefly below in Table 2 of
this preamble and in more detail in the
residual risk document, Residual Risk
Assessment for the Site Remediation
Source Category in Support of the 2020
Risk and Technology Review Final Rule,
which is available in the docket for this
rulemaking. The results of the risk
assessment for the RCRA/CERCLAexempt sources are presented briefly
below in Table 3 of this preamble and
in more detail in the residual risk
document, Residual Risk Assessment for
Exempt Sources in the Site Remediation
Source Category in Support of the 2020
Risk and Technology Review Final Rule,
which is available in the docket for this
rulemaking.
The results of the assessment for
affected sources indicated that
maximum inhalation cancer risk to the
individual most exposed is 1-in-1
million based on actual and allowable
emissions (actual emissions were
assumed to equal allowable emissions),
which is well below the presumptive
limit of acceptability (i.e., 100-in-1
million). The total estimated cancer
incidence based on actual and allowable
emission levels is 0.001 excess cancer
case per year, or 1 case every 1,000
years. In addition, the maximum
chronic noncancer target organ specific
hazard index (TOSHI) due to inhalation
exposures is less than 1. The evaluation
of acute noncancer risk, which was
conservative, showed a maximum
hazard quotient (HQ) of 1 for all Site
Remediation facilities. Based on the
results of the screening analyses for
human multipathway exposure to, and
environmental impacts from HAP
known to be persistent and bioaccumulative in the environment (PB–
HAP), we also concluded that the risks
to the individual most exposed through
ingestion is below the level of concern
and no ecological benchmarks are
exceeded. The facility-wide cancer and
noncancer risks were estimated based
on the actual emissions from all
emissions sources at site remediation
facilities, including those not within the
Site Remediation source category. For
facility-wide emissions, the maximum
lifetime individual cancer risk to the
individual most exposed is 1,000-in-1
million from ethylene oxide (EtO) and
the noncancer TOSHI is 5.
TABLE 2—SITE REMEDIATION INHALATION RISK ASSESSMENT RESULTS FOR AFFECTED SOURCES
Number of
facilities 1
Maximum
individual
cancer risk
(in 1 million)
Estimated
population at
increased risk of cancer
≥ 1-in-1 million
Estimated annual
cancer incidence
(cases per year)
Maximum
screening
acute
noncancer
HQ
Maximum chronic
noncancer TOSHI
Based on Actual Emissions Level 2 3
102 .............................
1
400
0.001
0.1
HQREL = 1
(arsenic
compounds).
Based on Whole Facility Emissions
1,000
2,300,000
0.5
5
1 Number
jbell on DSKJLSW7X2PROD with RULES2
of facilities evaluated in the risk analysis.
2 Maximum individual excess lifetime cancer risk due to HAP emissions from the source category.
3 Actual emissions equal allowable emissions; therefore, actual risks equal allowable risks.
The results of the assessment for
RCRA/CERCLA-exempt sources
indicated that maximum inhalation
cancer risk to the individual most
exposed is 4-in-1 million based on
actual emissions and allowable
emissions (actual emissions were
assumed to equal allowable emissions),
which is well below the presumptive
limit of acceptability (i.e., 100-in-1
million). The total estimated cancer
incidence based on actual and allowable
emission levels is 0.001 excess cancer
cases per year, or 1 case every 1,000
years. In addition, the maximum
chronic noncancer TOSHI due to
inhalation exposures is less than 1. The
evaluation of acute noncancer risk,
which was conservative, showed a
maximum HQ less than 1 for all of these
site remediation facilities. Based on the
results of the screening analyses for
human multipathway exposure to, and
environmental impacts from, PB–HAP,
we also concluded that the risks to the
individual most exposed through
2 The risk assessment for exempt sources, while
not characterized as a risk acceptability analysis,
provides all of the necessary data in order to
complete a risk acceptability determination.
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
PO 00000
Frm 00007
Fmt 4701
Sfmt 4700
ingestion is below the level of concern
and no ecological benchmarks are
exceeded. The facility-wide cancer and
noncancer risks were estimated based
on the actual emissions from all
emissions sources at site remediation
facilities, including those not within the
Site Remediation source category. For
facility-wide emissions, maximum
lifetime individual cancer risk to the
individual most exposed is 2,000-in-1
million from EtO and the noncancer
TOSHI is 7.
E:\FR\FM\10JYR2.SGM
10JYR2
41686
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
TABLE 3—SITE REMEDIATION INHALATION RISK ASSESSMENT RESULTS FOR EXEMPT SOURCES
Number of
facilities 1
Maximum
individual
cancer risk
(in 1 million)
Estimated
population at
increased risk of cancer
≥ 1-in-1 million
Estimated annual
cancer incidence
(cases per year)
Maximum
screening
acute
noncancer
HQ
Maximum chronic
noncancer TOSHI
Based on Actual Emissions Level 2 3
118 .............................
4
1,100
0.001
0.3
<1
Based on Whole Facility Emissions
2,000
9,000,000
1
7
1 Number
jbell on DSKJLSW7X2PROD with RULES2
of facilities evaluated in the risk analysis.
2 Maximum individual excess lifetime cancer risk due to HAP emissions from exempt sources in the source category.
3 Actual emissions equal allowable emissions; therefore, actual risks equal allowable risks.
We weighed all health risk factors for
affected sources, including those shown
in Table 2 of this preamble, in our risk
acceptability determination and
proposed that the residual risks from the
Site Remediation source category are
acceptable (84 FR 46157; September 3,
2019).
We then considered whether 40 CFR
part 63, subpart GGGGG, provides an
ample margin of safety to protect public
health and prevents, taking into
consideration costs, energy, safety, and
other relevant factors, an adverse
environmental effect. In considering
whether the standards should be
tightened to provide an ample margin of
safety to protect public health, we
considered the same risk factors that we
considered for our acceptability
determination and also considered the
costs, technological feasibility, and
other relevant factors related to
emissions control options that might
reduce risk associated with emissions
from the source category.
In our ample margin of safety
analysis, we identified three control
options that could further reduce HAP
emissions from the source category.
These control options included
requiring a higher emissions reduction
efficiency for process vents, requiring
more stringent leak definition
thresholds for certain equipment as part
of the currently required LDAR
program, and requiring connector
monitoring as part of the currently
required LDAR program. For these
control options, we proposed that the
costs were not reasonable in light of the
minimal risk reduction that would be
achieved, and these additional HAP
emissions controls are not necessary to
provide an ample margin of safety to
protect public health (84 FR 46158;
September 3, 2019).
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
2. How did the risk review change for
the Site Remediation source category?
We have not changed any aspect of
the risk assessment since the September
2019 proposal for this source category.
3. What key comments did we receive
on the risk review, and what are our
responses?
Most of the commenters on the
proposed risk review supported our risk
acceptability and ample margin of safety
determinations for the Site Remediation
NESHAP. Some commenters requested
that we make changes to our residual
risk review approach. However, we
evaluated the comments and
determined that no changes to our risk
assessment methods or conclusions are
warranted. A complete summary of
these comments and responses are in
the comment summary and response
document, available in the docket for
this action (Docket ID No. EPA–HQ–
OAR–2018–0833). The following is a
summary of key comments we received
regarding the risk review and our
responses to those comments.
Comment: Several commenters agreed
with the EPA’s finding that risks from
the source category are acceptable,
additional emissions reductions are not
needed to provide an ample margin of
safety, and it is not necessary to set
more stringent standards to prevent an
adverse environmental effect. One of
these commenters added that the risk
assessment results show very low risk
from the source category. However,
another of these commenters asserted
that even with the low risk shown, the
EPA’s risk analysis overstates risk due
to the methodology the agency uses.
This commenter said that the EPA’s
model plant approach combined with
data gap filling for most of the modeled
facilities results in a significant
overestimation of HAP emissions. The
commenter also said that the EPA’s
conservative assumption that the
PO 00000
Frm 00008
Fmt 4701
Sfmt 4700
population breathes outdoor air at a
fixed residential location for 70 years is
an unrealistic assumption that needs to
be modified. The commenter pointed
out that the California’s Office of
Environmental Health Hazard
Assessment (OEHHA) has revised their
methodology for air toxics assessment to
use a 30-year residential exposure to
identify the maximum exposed
individual for cancer risk assessment.
Another of the commenters remarked
that the EPA should not have used the
70-year exposure assumption for this
source category, since Site Remediations
typically do not last more than 20 years.
The commenter stated that the EPA
should have developed and used a
factor representative of the typical life of
a remediation activity, which would
have likely shown even lower risk for
the source category. One commenter
also asserted that the acute multiplier of
10 used to estimate hourly emissions
from annual emissions is not based on
Site Remediation data and is a standard
EPA multiplier that is overly
conservative.
Response: The EPA relied on our
standardized factor of 70 years for our
exposure factor.3 In this way the EPA
has taken a health-protective, or
conservative, approach in estimating
risks and has found that the risks are
acceptable and that the existing
standards provide an ample margin of
safety to protect public health.
Therefore, no additional regulation was
proposed based on risk for the category.
For this reason, there is no utility in
refining the inputs to the risk
assessment to further lower the risk
estimates.
Comment: One commenter stated that
the EPA only assessed EtO emissions
and risks in the facility-wide risk part of
3 U.S. EPA. Exposure Factors Handbook, 2011
Edition (Final Report). U.S. Environmental
Protection Agency, Washington, DC, EPA/600/R–
09/052F, 2011.
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
its analysis, where the EPA finds risks
of 1,000to 2,000-in-1 million. The
commenter stated that the EPA failed to
justify ignoring EtO emissions and
resulting health risks from the Site
Remediation source category itself. The
commenter asserted that the EPA
ignored these emissions because the six
facilities it had data from did not show
EtO emissions, and the EPA believes
EtO is unlikely to be emitted during a
Site Remediation due to its rapid
decomposition. In contrast, the
commenter submitted that the
monograph on EtO published by the
International Agency for Research on
Cancer (IARC) suggests EtO has an
atmospheric half-life of 211 days. The
commenter noted that the IARC
monograph goes on to state that data
suggest neither rain nor absorption into
aqueous aerosols remove EtO from the
atmosphere. The commenter stated that
the EPA has not provided sound
rationale for ignoring evidence of EtO
emissions for this source category, and
the EPA statements on EtO’s rapid
decomposition in the environment are
not supported by credible scientific
findings. The commenter claimed that
the EPA is relying on an American
Chemistry Council (ACC) study that is
not available to the public in the online
docket, undermining the Agency’s
findings and violating the CAA’s public
notice-and-comment requirements. The
commenter explained that the
referenced ACC study relies upon a
conceptual model that applied various
data parameters to determine potential
adverse ecological risks and does not
provide information with respect to
human health risks. The commenter
contended that the EPA may not rely on
its underlying memorandum and this
cited study as the basis to not assess
health risk from EtO emissions from Site
Remediations. The commenter said the
EPA has not shown, based on facts in
the record, that there are no emissions
and no health risks from this chemical.
The commenter also claimed that the
EPA’s proposal that these emissions are
unlikely to be emitted from the source
category does not make sense if EtO is
emitted from other operations at the
sites. The commenter asserted that by
refusing to assess the EtO-based risk for
this source category, the EPA has failed
to satisfy the CAA’s requirement to
assess and reduce such risk.
Response: The data submitted by the
commenter does not give the Agency
reason to change our position that EtO
is unlikely to be a site remediation
pollutant. The half-life of a pollutant in
the air is irrelevant to whether EtO is a
pollutant likely to be encountered in
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
Site Remediation material. The EPA
stands by our assertion that EtO is
highly unlikely to persist in remediation
material that would be subject to Site
Remediation NESHAP, (e.g., soil, water,
sediment). This assertion is further
evidenced by the lack of any reported
EtO emissions in the EPA’s National
Emissions Inventory (NEI) from site
remediation operations. The commenter
provided no data to contradict this
assertion.
The EPA further disagrees that the
sources cited by the commenter do not
provide sound rationale for removing
EtO as a site remediation pollutant. The
EPA included two articles from peerreviewed scientific journals in the
docket for the proposed rule to
substantiate its conclusion regarding
EtO.4 The properties of EtO cited in the
proposal preamble were taken from
these articles. In one article, the fate of
EtO in the environment was estimated
using the EPI (Estimation Program
Interface) SuiteTM of modeling
programs.5 6 The individual estimation
programs and/or their underlying
predictive methods and equations used
within EPI SuiteTM have been described
in numerous peer-reviewed technical
journals. In addition, EPI SuiteTM has
undergone detailed review by a panel of
the EPA’s independent Science
Advisory Board (SAB), and its
September 2007 report can be
downloaded. The EPA disagrees that the
ACC study cited by the commenter is
not in the docket. While the document
is not available for direct download
from the docket due to its copyright
protection, it can be viewed in the EPA
Docket Center and is also available from
other sources in the public domain.
Comment: One commenter asserted
that the EPA’s benchmarks for the level
of health risk that is considered
acceptable are an outdated policy that
does not reflect subsequent scientific
breakthroughs and public perceptions of
acceptable environmental health risks.
The commenter disagreed with the
EPA’s policy that a cancer risk of 100in-1 million is presumed to be either
safe or acceptable, that for acute risks an
HQ less than 1 is always acceptable, and
that an HQ greater than 1 can be deemed
acceptable without reasoned
explanation. The commenter stated that
4 See Docket ID Item Nos. EPA–HQ–OAR–2018–
0833–0021 and EPA–HQ–OAR–2018–0833–0022.
5 Staples, C.A., & Gulledge, W. (2006). An
environmental fate, exposure and risk assessment of
ethylene oxide from diffuse emissions.
Chemosphere, 65(4), 691–698. doi: 10.1016/
j.chemosphere.2006.01.047.
6 EPI SuiteTM website: https://www.epa.gov/tscascreening-tools/epi-suitetm-estimation-programinterface.
PO 00000
Frm 00009
Fmt 4701
Sfmt 4700
41687
the EPA’s acceptability benchmarks are
based on a 1988 study of people’s
tolerance for various types of health
risk, known as the Survey of Societal
Risk.7 The commenter remarked that the
EPA has failed to revisit or update this
policy over the decades, even though
scientists have made breakthroughs on
early-life exposure and children’s
vulnerability; biomonitoring and other
data on adult body burdens of
chemicals; the vulnerability of
overburdened communities, including
socioeconomic disparities; and ways to
analyze and control the impacts of
pollutants on human health. The
commenter listed 17 ‘‘landmark’’
actions from the EPA, other regulatory
agencies, and scientific bodies relating
to environmental health effects and
human susceptibility that have occurred
since 1990, which the commenter states
make the current EPA policy outdated.
The commenter asserted that the EPA
acceptability benchmark policy needs to
be reformed in the face of increasing
evidence that challenges the assumption
of a safe or acceptable level of HAP
exposure.
Response: The EPA considers this
comment outside the scope of the risk
review for the Site Remediation source
category. As the commenter notes, this
level of acceptable risk was determined
based on the EPA’s prior analysis of
general perception of relative risk (see
Benzene NESHAP, 54 FR 38046). The
task of re-determining the public’s
general concern for the level of
acceptable risk falls outside the scope of
an individual risk review.
However, our discussion in the
proposal preamble addresses the
commenter’s concern (See 84 FR 46143;
September 3, 2019)—though providing
this explanation is not intended to
reopen our approach. The scope of the
EPA’s risk analysis is consistent with
the EPA’s response to comments on our
policy under the Benzene NESHAP,
where the EPA explained that ‘‘[t]he
policy chosen by the Administrator
permits consideration of multiple
measures of health risk. Not only can
the MIR [maximum individual risk]
figure be considered, but also incidence,
the presence of noncancer health effects,
and the uncertainties of the risk
estimates. In this way, the effect on the
most exposed individuals can be
reviewed as well as the impact on the
7 Survey of Risks, Benzene Rule Legacy Docket ID
No. OAQPS 79–3, Part I, Docket Item X–B–1 (cited
at National Emission Standards for Hazardous Air
Pollutants; Benzene Emissions from Maleic
Anhydride Plants, Ethylbenzene/Styrene Plants,
Benzene Storage Vessels, Benzene Equipment
Leaks, and Coke By-Product Recovery Plants, 53 FR
28496, 28512/3–13/3 (July 28, 1988)).
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
41688
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
general public. These factors can then
be weighed in each individual case.
This approach complies with the Vinyl
Chloride mandate that the
Administrator ascertain an acceptable
level of risk to the public by employing
his expertise to assess available data. It
also complies with the Congressional
intent behind the CAA, which did not
exclude the use of any particular
measure of public health risk from the
EPA’s consideration with respect to
CAA section 112 regulations, and
thereby implicitly permits consideration
of any and all measures of health risk
which the Administrator, in his
judgment, believes are appropriate to
determining what will ‘protect the
public health.’ ’’ (54 FR at 38057;
September 14, 1989.)
The EPA subsequently adopted this
approach in its residual risk
determinations and the Court upheld
the EPA’s interpretation that CAA
section 112(f)(2) incorporates the
approach established in the Benzene
NESHAP. See NRDC v. EPA, 529 F.3d
1077, 1083 (D.C. Cir. 2008).
Comment: One commenter claimed
that the EPA did not assess whether the
health risk and emissions reductions of
the rule provide an ample margin of
safety. The commenter stated that the
EPA only considered the cost and
feasibility of available control measures
from its technology review, did not
consider facility-wide risks, and ignored
exempt sources in its ample margin of
safety decision. The commenter cited
the Court decision, Sierra Club v. EPA,
895 F.3d 1 (D.C. Cir. 2018) to support
their comment. Additionally, the
commenter said the EPA did not
provide the underlying data it used to
reach its facility-wide risk
determinations.
Response: The EPA disagrees with the
comment. The risk assessment
demonstrated that health risks due to air
emissions from site remediation sources
are acceptable and after considering
available control options and all
available risk information, the EPA
concluded that the current standards
provide an ample margin of safety to
protect public health. The commenter
misconstrues the analysis at pages
46157–58 of the proposal. The EPA had
already made a determination,
consistent with the methodology of the
Benzene NESHAP, that the risk posed
by emissions from the affected sources
in the Site Remediation source category
is acceptable. See 84 FR 46157
(September 3, 2019), section C.1 ‘‘risk
acceptability.’’ The EPA proceeds to
look at potential measures that could
further reduce risk in the ample margin
of safety determination, and in that
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
context, has consistently historically
considered multiple factors, including
control technology cost, cost
effectiveness, feasibility, and the
magnitude of risk and potential risk
reduction, as well as uncertainties. See
NRDC v. EPA, 529 F.3d 1077, 1080–83
(D.C. Cir. 2008) (upholding as
reasonable the EPA’s interpretation that
CAA section 112(f)(2)(A) does not
mandate establishing emission
standards to reduce cancer risks below
1-in-1 million and recognizing that CAA
section 112(f)(2) incorporates the EPA’s
approach in the Benzene NESHAP).
The Court decision cited by the
commenter,8 Sierra Club v. EPA, 895
F.3d 1 (D.C. Cir. 2018), addressed the
basis for setting a health-based emission
limit based on a health threshold in lieu
of a technology-based standard for
hydrochloric acid (HCl) under section
112(d)(4) of the CAA, not making a
determination under section 112(f)(2) of
the CAA.
The EPA did not contemplate an
ample margin of safety analysis for
RCRA/CERCLA-exempt sources because
they are not subject to the emissions
standards in the rule. The ample margin
of safety portion of a CAA section 112(f)
analysis necessarily entails an
evaluation of control options. For the
EPA to undertake an ample margin of
safety analysis for the exempt sources,
a final determination would first be
needed to eliminate the exemption and
evaluate control options. We have not
yet concluded how these sources should
be regulated under the Site Remediation
NESHAP. While we requested comment
on issues related to eliminating the
exemption, we are not acting on the
exemption in this RTR process. As
noted in our separate request for
comment on the exempt status of such
facilities in the RTR proposal, the EPA
continues to analyze the effect of
removing the exemption in terms of
designing appropriate regulatory
provisions should the exemption be
removed.
The EPA considered facility-wide
risks and determined that Site
Remediation emissions are not driving
those risks. The risk at two facilities
where facility-wide risk was greater
than 100-in-1 million was driven by
EtO, which, as explained at proposal, to
the EPA’s knowledge, is not emitted
from Site Remediation activities. Also,
as noted in the proposal, the EPA is
separately addressing EtO emissions in
response to the results of the latest
National Air Toxics Assessment
released in August 2018, which
8 See the comment letter in Docket ID Item
No.EPA–HQ–2018–0833–0069, p 45.
PO 00000
Frm 00010
Fmt 4701
Sfmt 4700
identified the chemical as a potential
concern in several areas across the
country.
The EPA disagrees that we did not
provide the data for our whole-facility
analysis. The data files were placed in
the docket for public review upon
publication (see Docket ID Item No.
EPA–HQ–OAR–2018–0833–0037).
4. What is the rationale for our final
approach and final decisions for the risk
review?
As explained in our proposal, the EPA
sets standards under CAA section
112(f)(2) using ‘‘a two-step standard
setting approach, with an analytical first
step to determine an ‘acceptable risk’
that considers all health information,
including risk estimation uncertainty,
and includes a presumptive limit on
MIR of approximately 1-in-10
thousand’’ (see 54 FR 38045; September
14, 1989). We weigh all health risk
measures and factors in our risk
acceptability determination, including
the cancer MIR, cancer incidence, the
maximum noncancer TOSHI, the
maximum acute noncancer HQ, the
extent and distribution of cancer and
noncancer risks in the exposed
population, and the risk estimation
uncertainties.
In the second step of the approach,
the EPA considers whether the
emissions standards provide an ample
margin of safety to protect public health
‘‘in consideration of all health
information, including the number of
persons at risk levels higher than
approximately 1-in-1 million, as well as
other relevant factors, including costs
and economic impacts, technological
feasibility, and other factors relevant to
each particular decision.’’ 9 The EPA
must promulgate emission standards
necessary to provide an ample margin of
safety to protect public health or
determine that the standards being
reviewed provide an ample margin of
safety without any revisions. After
conducting the ample margin of safety
analysis, we consider whether a more
stringent standard is necessary to
prevent, taking into consideration costs,
energy, safety, and other relevant
factors, an adverse environmental effect.
Since proposal, neither the risk
assessment nor our determinations
regarding risk acceptability, ample
margin of safety, or adverse
environmental effects have changed. For
the reasons explained in the proposed
rule, we determined that the risks from
the Site Remediation source category are
acceptable, and the current standards
provide an ample margin of safety to
9 54
E:\FR\FM\10JYR2.SGM
FR 38045, September 14, 1989.
10JYR2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
protect public health and prevent an
adverse environmental effect. Therefore,
we are not revising 40 CFR part 63,
subpart GGGGG to require additional
controls pursuant to CAA section
112(f)(2) based on the residual risk
review, and we are readopting the
existing standards under CAA section
112(f)(2).10
B. Technology Review for the Site
Remediation Source Category
jbell on DSKJLSW7X2PROD with RULES2
1. What did we propose pursuant to
CAA section 112(d)(6) for the Site
Remediation source category?
Pursuant to CAA section 112(d)(6), we
conducted a technology review, which
focused on identifying and evaluating
developments in practices, processes,
and control technologies for the
emission sources in the Site
Remediation source category. At
proposal, we identified developments in
practices, processes, or control
technologies for process vents and
equipment leaks.
For process vents, one potential
control technology was identified at
proposal, use of a regenerative thermal
oxidizer, which could increase the
emissions capture and control efficiency
from 95 percent to 98 percent for those
process vents that are currently
controlled with a carbon adsorption
system or other device achieving 95percent control. We estimated the HAP
emissions reduction beyond the current
control requirements could range
between 0.09 and 0.18 tpy for the source
category, and the estimated costs would
be $1 million to $2 million per ton of
HAP emission reduction.
For equipment leaks, we identified
the more stringent leak definitions of 40
CFR part 63, subpart UU over those of
40 CFR part 63, subpart TT as a
development in practices, processes, or
control technologies at proposal. Two
options were identified: Option 1—
requiring the use of the leak detection
thresholds of 40 CFR part 63, subpart
UU, for valves and pumps; Option 2—
requiring the use of the leak detection
thresholds of 40 CFR part 63, subpart
UU for valves and pumps and also
requiring connector monitoring under
40 CFR part 63, subpart UU. For Option
1, we estimated an additional HAP
emission reduction of up to 4.7 tpy and
estimated the costs would be $2,000 per
ton of HAP emission reduction. For
Option 2, we estimated the HAP
10 The Court upheld this approach to CAA section
112(f)(2) in NRDC v. EPA, 529 F.3d 1077, 1083 (D.C.
Cir. 2008): ‘‘If EPA determines that the existing
technology-based standards provide an ’ample
margin of safety,’ then the Agency is free to readopt
those standards during the residual risk
rulemaking.’’
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
emission reduction incremental to
Option 1 would be approximately 5 tpy
and the incremental cost effectiveness
between Option 1 and Option 2 would
be $35,000 per ton of HAP emission
reduction.
Based on the costs and the emission
reductions that would be achieved with
the identified developments, we
proposed to revise the MACT standard
pursuant to CAA section 112(d)(6) to
require facilities to use the leak
detection thresholds of 40 CFR part 63,
subpart UU, for valves and pumps,
without the subpart UU requirements
for connectors in gas/vapor service and
in light liquid service. We proposed that
it was not necessary to revise the MACT
standards pursuant to CAA section
112(d)(6) to require 98-percent control
for process vents, based on the use of a
regenerative thermal oxidizer. More
information concerning our technology
review can be found in the
memorandum titled CAA section
112(d)(6) Technology Review for the Site
Remediation Source Category, which is
available in the docket for this action
and in the preamble to the proposed
rule (84 FR 46160 and 46161; September
3, 2019).
2. How did the technology review
change for the Site Remediation source
category?
The technology review has not
changed from proposal to this final
action. As explained below, the
comments received were generally
supportive of the revisions to the
equipment leak requirements to require
the use of the leak detection thresholds
of 40 CFR part 63, subpart UU, for
valves and pumps, to not require
connector monitoring for equipment
leaks, and to not require changes to the
NESHAP for process vents.
3. What key comments did we receive
on the technology review, and what are
our responses?
Most of the commenters on the
proposed technology review supported
our proposed revised standards for
equipment leaks and our determination
that revised standards for process vents
are not necessary for the Site
Remediation NESHAP. One commenter
requested that we consider additional
elements in our technology review,
including incorporating exempt sources
in our analysis of the cost effectiveness
of connector monitoring, considering
leakless equipment in our review of the
equipment leak standards, and
considering a different threshold for
cost effectiveness. A complete summary
of these and other comments and
responses are in the comment summary
PO 00000
Frm 00011
Fmt 4701
Sfmt 4700
41689
and response document, available in the
docket for this action (Docket ID No.
EPA–HQ–OAR–2018–0833). The
following is a summary of key
comments we received regarding the
technology review and our responses to
those comments.
Comment: One commenter asserted
that the EPA must evaluate
developments in practices, processes,
and control technologies to reduce
inorganic HAP and HAP metal
emissions and must revise its existing
standards by setting limits that reflect
the use of these practices, processes,
and control technologies. As emissions
standards in the Site Remediation
NESHAP currently do not apply to these
HAP, the commenter noted that the EPA
did not include these HAP in its
technology review. The commenter
stated that the EPA must set emission
standards for each HAP that a source
category emits and then must also
determine whether developments in
pollution control make it ‘‘necessary’’ to
revise the emission standards.
Response: We acknowledge that the
Site Remediation NESHAP does not
contain emissions standards for metal
HAP and inorganic HAP. However, the
EPA’s duty under CAA section 112(d)(6)
is to review the standards promulgated
under CAA section 112(d)(2) and to
evaluate any developments in practices,
processes, and control technologies to
determine whether it is necessary to
revise the existing standards.
The EPA’s decision to consider
regulation of these pollutants in this
rulemaking is not governed by or
mandated by CAA section 112(d)(6).
That provision requires the EPA to
review and revise, as necessary (taking
into account developments in practices,
processes, and control technologies),
emission standards promulgated under
this section. We do not agree with the
commenter’s assertion that the EPA
must establish new standards for
unregulated emission points or
pollutants as part of a technology review
of the existing standards. The EPA reads
CAA section 112(d)(6) as a limited
provision requiring the Agency to, at
least every 8 years, review the emission
standards already promulgated in the
NESHAP and to revise those standards
as necessary, taking into account
developments in practices, processes,
and control technologies. Nothing in
CAA section 112(d)(6) directs the
Agency to develop new emission
standards to address HAP or emission
points for which standards were not
previously promulgated as part of or in
conjunction with the mandatory 8-year
technology review.
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
41690
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
When the EPA establishes standards
for previously unregulated emissions,
we would establish the standards under
one of the provisions that govern initial
standard setting—CAA sections
112(d)(2) and (3) or, if the prerequisites
are met, CAA section 112(d)(4) or CAA
section 112(h). Establishing emissions
standards under these provisions of the
CAA involves a different analytical
approach from reviewing emissions
standards under CAA section 112(d)(6).
While we did not consider
establishing standards for these HAP
under CAA section 112(d)(6), we did
investigate these HAP to determine
whether standards should be
established under CAA section 112(d)(2)
or (3). In our review of the data for
affected sources, we found that metal
HAP are not emitted. Therefore,
standards are not required for these
pollutants (see 84 FR 46161; September
3, 2019) and our discussion of this issue
in section D.1.a of this document.) This
analysis satisfies the investigation into
these pollutants that the EPA said it
intended to undertake for these HAP in
response to Sierra Club’s petition for
reconsideration of the initial NESHAP
rulemaking.11 For inorganic HAP, based
on the EPA’s analysis of the available
emissions data for affected sources, only
one Site Remediation operation emitted
any inorganic HAP. The one inorganic
HAP emitted by this Site Remediation is
asbestos, and asbestos emissions are
already regulated by another NESHAP
(as discussed in more detail below).
Therefore, we determined it was not
necessary to evaluate these emissions
further or to establish standards under
CAA sections 112(d)(2) or (3) for these
emissions.
Comment: One commenter stated that
the EPA should do more than it
proposed for regulating equipment leaks
because there have been additional
developments in equipment, such as
leakless or low-emission valves and
zero-emissions technologies, and the
commenter asserts that these
technologies should be required. The
commenter also remarked that the EPA’s
rationale for not requiring connector
monitoring is flawed, in that it did not
account for emissions reductions from
the facilities exempt from the rule under
the RCRA/CERCLA exemption. The
commenter opined that since these
facilities have not had to comply with
the existing Site Remediation standards,
it is likely there would be greater
emissions reductions from these
11 See Letter from Janet McCabe to James Pew
(March 25, 2015) (Docket ID Item No. EPA–HQ–
OAR–2018–0833–0012) (granting reconsideration of
68 FR 58172 (October 8, 2003)).
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
facilities, which would result in an
improvement in the cost effectiveness of
the measure. The commenter also
mentioned that considering cost on a
per ton basis for all emitted HAP does
not make sense when the pollutants
have vastly varying toxicities. The
commenter further stated that the EPA
does not explain why it believes an
incremental cost of $35,000 per ton of
HAP reduced is an unreasonable cost.
Response: First, we disagree that
leakless valves and low-emissions
technologies should have been included
in the technology review. These and
similar types of equipment were
available and accounted for when the
original NESHAP was promulgated,
and, therefore, they are not
‘‘developments’’ in technology.12 The
commenter has not identified
‘‘developments’’ in relation to this
technology, such as a significant
decrease in cost or a change in
applicability to the Site Remediation
source category. Next, in determining
the impacts from any control options,
we include only the emissions and
reductions that would actually be
expected to occur as a result of the
implementation of that control option.
In this case, since some facilities are
exempt from emissions control
requirements, the impacts are based on
the emissions reductions and costs of
implementation at the facilities that
would be required to comply with the
regulations. If the currently exempt
facilities become subject to emissions
control requirements in the future, we
will reassess the impacts of potential
control options at that time.
The EPA disagrees that, for this
action, an analysis that relies on a costper-ton basis ‘‘does not make sense’’
when different HAP have different
toxicities. We note that when assessing
the cost effectiveness of more stringent
standards under consideration, we have
discretion to express emission
reductions that would result from such
standards in any reasonable format,
such as costs per ton of emissions
reduced. In this case, as explained at
proposal, the risk for the Site
Remediation source category was low,
using both the quantity and toxicity of
emitted pollutants to arrive at this
conclusion. The EPA also adds that a
cost-per-ton basis may not be the only
economic consideration when
deliberating on whether to adopt
12 U.S. EPA. National Emission Standards for
Hazardous Air Pollutants (NESHAP) for Site
Remediation (40 CFR part 63, subpart GGGGG)—
Background Information for Promulgated
Standards. Office of Air Quality Planning and
Standards. Research Triangle Park, NC. August
2003. pp. 44–45.
PO 00000
Frm 00012
Fmt 4701
Sfmt 4700
controls. The EPA also looks, where
appropriate, at the broader economic
impact a given control technique may
have on the category of sources when
deciding whether to adopt a given
standard.
With respect to the role of cost in our
decisions under the technology review,
we note that courts have not required
the EPA to demonstrate that a
technology is ‘‘cost-prohibitive’’ in
order not to require adopting a new
technology under CAA section
112(d)(6); a simple finding that a control
is not cost effective is enough. See
Association of Battery Recyclers, et al. v.
EPA, et al., 716 F.3d 667, 673–74 (DC
Cir. 2015) (approving the EPA’s
consideration of cost as a factor in its
section 7412(d)(6) decision-making and
EPA’s reliance on cost effectiveness as
a factor in its standard-setting). The EPA
declined to include connectors in our
decision to lower the definition of the
leak threshold, based on the fact that,
relative to a limited impact on
emissions, the addition of connectors
would have increased the cost of the
LDAR program by more than an order of
magnitude from the option chosen (i.e.,
lower leak thresholds for pumps and
valves).
4. What is the rationale for our final
approach for the technology review?
Based on our analysis for equipment
leaks, we have determined the costs of
Option 1 are reasonable, given the level
of HAP emissions reduction that would
be achieved with this control option.
We do not believe the costs of Option
2 are reasonable, given the level of HAP
emissions reduction Option 2 would
achieve relative to a much higher
incremental cost- per-ton above Option
1. Therefore, as a result of the
technology review, pursuant to CAA
section 112(d)(6), we are finalizing our
proposed determination to revise the
Site Remediation NESHAP to require
existing and new affected sources to
comply with the 40 CFR part 63, subpart
UU leak detection thresholds for pumps
and valves rather than leak thresholds of
40 CFR part 63, subpart TT, for those
components.
For the reasons discussed above and
in the preamble to the proposed rule, we
have determined that it is not necessary,
pursuant to CAA section 112(d)(6), to
revise the Site Remediation NESHAP to
require additional HAP emission
controls for process vents or any other
equipment or processes at Site
Remediation facilities.
E:\FR\FM\10JYR2.SGM
10JYR2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
jbell on DSKJLSW7X2PROD with RULES2
C. CAA Sections 112(d)(2) and (3)
Amendments
1. What did we propose pursuant to
CAA sections 112(d)(2) and (3) for the
Site Remediation source category?
We proposed to add a work practice
standard pursuant to CAA section
112(h)(2)(B), in conjunction with CAA
sections 112(d)(2) and (3), for PRDs.
PRDs are valves, rupture disks, or other
equipment designed to remain closed
during normal operation but that
‘‘actuate’’ (e.g., the valve seat opens or
a rupture disk ruptures) in the event of
an overpressure in the system caused by
operator error, a malfunction such as a
power failure or equipment failure, or
other unexpected cause that results in
immediate venting of gas from process
equipment in order to avoid safety
hazards or equipment damage. The
current Site Remediation NESHAP
follows the EPA’s previous practice of
exempting SSM events from otherwise
applicable emission standards.
Consequently, with emissions releases
from a PRD release actuation event
treated as a type of malfunction, the Site
Remediation NESHAP did not restrict
emissions releases to the atmosphere
from a PRD actuation event (i.e., PRD
releases were exempt from the
otherwise applicable emission
standards). In Sierra Club v. EPA, 551
F.3d 1019 (DC Cir. 2008), the Court
determined SSM exemptions in CAA
section 112 standards violate the CAA.
To ensure a standard continuously
applies during malfunctions that result
in emissions from a PRD actuation
event, we proposed work practices and
other provisions for PRDs and bypass
lines on closed vent systems. We
explained that a work practice standard
is warranted under CAA section 112(h)
because the application of measurement
technology to this class of sources is not
practicable due to technological and
economic limitations. See 84 FR 46153
(September 3, 2019). Modeling the work
practice standard on the Petroleum
Refinery Sector RTR (80 FR 75178;
December 1, 2015), we proposed to add
work practice requirements that consist
of conducting an analysis of the cause
of a PRD actuation event and the
implementation of corrective measures
for PRDs that emit directly to the
atmosphere. In addition, we proposed
criteria for what constitutes a deviation
from the work practice requirements.
For PRDs that vent emissions from
actuation events directly to the
atmosphere, we proposed it would be a
deviation of the work practice standard
for a single PRD to have two releases
within a 3-year period due to the same
cause; for a single PRD to have three
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
releases within a 3-year period for any
reason; and for any PRD to have a
release for which the cause was
determined to be operator error or poor
maintenance. We also proposed that
‘‘force majeure’’ events, which we
proposed to define as events resulting
from natural disasters, acts of war or
terrorism, or external power curtailment
beyond the facility’s control (as
demonstrated to the satisfaction of the
EPA Administrator), would not be
included when counting the number of
releases. We proposed that certain PRDs
would not be subject to the work
practice requirements due to their low
potential to emit substantial quantities
of HAP. These PRDs included the
following: (1) PRDs designed and
operated to route all pressure releases
through a closed vent system to a drain
system, fuel gas system, process or
control device; (2) PRDs in heavy liquid
service; (3) PRDs that are designed
solely to release due to liquid thermal
expansion; and (4) pilot-operated and
balanced bellows PRDs if the primary
release valve associated with the PRD is
vented through a control system.
To ensure compliance with these
provisions, we also proposed that
facilities subject to the Site Remediation
NESHAP monitor PRDs in remediation
material service that release to the
atmosphere by using a device or system
that is capable of identifying and
recording the time and duration of each
actuation event and notifying operators
immediately that a pressure release is
occurring. We further proposed to
require owners or operators to keep
records and report any actuation event
and the amount of HAP released to the
atmosphere with the next periodic
report. In addition, to add clarity to
these provisions, we proposed to add
definitions for ‘‘bypass,’’ ‘‘force majeure
event,’’ ‘‘pressure release,’’ and
‘‘pressure relief device or valve’’ to 40
CFR part 63, subpart GGGGG. We also
proposed to remove the definition of
‘‘safety device’’ and the provisions
related to safety devices from 40 CFR
part 63, subpart GGGGG, which would
overlap with and be redundant of parts
of the proposed definition of ‘‘pressure
relief device or valve’’ and the
provisions related to these devices.
For purposes of estimating the costs of
the proposed requirement to monitor
HAP releases to the atmosphere from
PRDs, we assumed that operators would
already have monitoring systems
capable of identifying and recording the
time and duration of each pressure
release.
In the proposed rule, we removed the
exemption from emissions standards for
periods of SSM in accordance with a
PO 00000
Frm 00013
Fmt 4701
Sfmt 4700
41691
decision of the Court, Sierra Club v.
EPA, 551 F.3d 1019 (DC Cir. 2008), cert.
denied, 130 S. Ct. 1735 (U.S. 2010). This
decision stated that the EPA must
provide standards that are in place at all
times, even during periods of SSM. The
EPA has interpreted this to include
provisions exempting sources from
otherwise applicable standards during
maintenance periods. Thus, we also
proposed to remove the provision at 40
CFR 63.7925(b)(1) that allowed a control
device to be bypassed for up to 240
hours per year for the performance of
planned routine maintenance of the
closed vent system or control device
(i.e., 240-hour routine maintenance
exemption). As a result, the emissions
limits, including those for tanks, in the
proposed revised Site Remediation
NESHAP would apply at all times.
2. How did the proposed amendments
pursuant to CAA sections 112(d)(2) and
(3) change for the Site Remediation
source category?
We have made two revisions to the
proposed work practice and associated
monitoring requirements and also
revised the estimate of costs associated
with PRD monitoring. The revisions to
the proposed work practice and
monitoring requirements include adding
PRDs to the list of Site Remediation
equipment in 40 CFR 63.7882 to help
clarify when a PRD is subject to
equipment leak requirements and when
it is subject to the PRD actuation event
work practice requirements. We are also
revising the proposed PRD provisions to
exclude PRDs on ‘‘containers’’ (as
defined at 40 CFR 63.7957) from the
PRD work practice standards and
monitoring requirements. Additionally,
we have revised the economic analysis
for the adoption of the proposed PRD
monitoring requirements to reflect the
purchase of monitoring equipment for
some facilities rather than assuming all
facilities already have adequate
monitoring systems.
3. What key comments did we receive
on the proposed amendments pursuant
to CAA sections 112(d)(2) and (3), and
what are our responses?
Comment: Several commenters
recommended that the EPA amend 40
CFR 63.7923(d) to include an exemption
for PRDs on mobile equipment, similar
to the exemption in the Petroleum
Refineries NESHAP in 40 CFR
63.648(j)(5)(vi). One of these
commenters extended this
recommendation to portable containers,
similar to the exemption in the Off-Site
Waste and Recovery Operations
(OSWRO) NESHAP. This commenter is
concerned that the EPA has not
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
41692
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
evaluated the HAP emissions that may
be associated with PRDs on portable
equipment, noting that containers are
generally already subject to separate
MACT requirements which would
address their emissions. The commenter
also remarked that since facilities
generally do not own tank trucks and
other transport vehicles, and they are
not dedicated to the facility, it would be
impractical and overly broad to impose
monitoring requirements on them.
Further, the commenter is concerned
that potential monitoring requirements
would be technically infeasible to
implement on containers due to the
wide range of containers and their
transitory nature. Specifically, the
commenter noted that containers can
vary drastically in size from site to site
and cover a variety of cylinders, drums,
tote-tanks, cargo tanks, isotainers,
railcars, over-the-road tanker vehicles,
etc. The commenter also remarked that
the time they are kept on site depends
highly on facility-specific operational
activities and can range anywhere from
a few days to a few weeks or months.
Combined, the commenter said these
factors make it incredibly difficult, if
not impossible, to appropriately design
and effectively implement a continuous
monitoring system for each container’s
PRD.
One commenter also recommended
that the EPA include an exemption for
PRDs that do not have the potential to
emit 72 pounds (lbs)/day or more of
volatile organic compounds (VOC)
based on the valve diameter, the set
release pressure, and the equipment
contents, similar to the exemption in the
Petroleum Refineries NESHAP in 40
CFR 63.648(j)(5)(v). The commenter
stated that the EPA’s logic for that
exemption, which is that it was
consistent with the treatment of
miscellaneous process vents and
consistent with the two California rules
(Bay Area and South Coast) that served
as the MACT floor for the Petroleum
Refineries NESHAP, also applies to this
rule.
Response: The EPA agrees that an
exception would be appropriate for
moveable equipment, such as trucks
with containers, or tanks, train cars, and
similar moveable equipment that may
be brought to a Site Remediation for
short durations. The EPA agrees that
such equipment may not be under the
control of the affected facility and/or
that altering such equipment to meet the
monitoring requirements for PRDs is
impractical. The EPA has, therefore,
added an exception for ‘‘containers,’’ as
that term is defined at 40 CFR 63.7957,
which encompasses movable equipment
such as trucks, train cars, or barges. The
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
EPA has followed the model of the
OSWRO NESHAP in this regard. See 83
FR 3986 (January 29, 2018).
The EPA disagrees that it is
appropriate to exempt PRDs that do not
have the potential to emit 72 lbs./day or
more of VOC based on the valve
diameter from the PRD work practice.
The commenter suggests the provisions
should be adopted because the
exemption is also found in the
Petroleum Refineries NESHAP in 40
CFR 63.648(j)(5)(v). The exemption to
which the commenter refers is refineryspecific and applies to ‘‘Group 1 process
vents,’’ as defined in the Petroleum
Refineries NESHAP.13 The commenter
did not provide information as to why
an exemption for Refinery Group 1
process vents should be applied to
remediation material management units
(RMMUs). RMMUs are subject to Site
Remediation NESHAP standards
according to the criteria in 40 CFR
63.7881(c)(1), 40 CFR 63.7882(a)(2) and
40 CFR 63.7886(d). The differences in
these emission points is reflected in the
definition of the Refinery Group 1
process vent in contrast to the
applicability criteria for RMMUs. The
EPA does not find these two sets of
units sufficiently similar to warrant
applying this provision to RMMUs,
given the wide variety of RMMUs that
may be found subject to the Site
Remediation NESHAP. The commenter
also provided no context as to why 72
lbs./day is appropriate, given the
different emission potential that
determines affected facility status of the
units on which the PRDs are found in
Site Remediation. The 72 lbs./day
provision for Petroleum Refineries
NESHAP was set based on CAA section
112(d)(2) (i.e., a MACT floor for
petroleum refineries). The EPA does not
have, and the commenter did not
provide, data to support either a 72 lbs./
day exemption or other value to apply
as an exemption threshold for the Site
Remediation source category. However,
certain applicability criteria that the
EPA finds appropriate to apply in the
context of PRD activations in the site
remediation context are identified at 40
CFR 63.7923(d).
Comment: One commenter expressed
opposition to what the commenter
referred to as ‘‘three exemptions’’
included in the proposed work practice
13 Group 1 miscellaneous process vent means a
miscellaneous process vent for which the total
organic HAP concentration is greater than or equal
to 20 parts per million by volume, and the total
VOC emissions are greater than or equal to 33
kilograms per day for existing sources and 6.8
kilograms per day for new sources at the outlet of
the final recovery device (if any) and prior to any
control device and prior to discharge to the
atmosphere.
PO 00000
Frm 00014
Fmt 4701
Sfmt 4700
standards for PRDs, asserting that the
work practice standards must apply at
all times. According to the commenter,
a provision that allows sources to
exceed the emissions standards two or
three times every 3 years essentially
allows non-continuous compliance with
the CAA, which is inconsistent with the
Court precedent. Regarding force
majeure events, the commenter stated
that this provision is an exemption that
simply provides new semantics for the
rejected malfunction exemption and is
equally unlawful. The commenter
further explains that the concept of
force majeure is from contracts law and
does not fit with compliance with
federal law. The commenter asserts that
injecting contractual principles or
negotiating regulations with a regulated
party runs directly counter to the
statutory test in which compliance is
non-negotiable. According to the
commenter, the EPA does not have the
discretion to promulgate an exemption
that allows EPA to decide what is a
violation, or not, at a future time, as the
Court has the authority to decide
whether a violation has occurred
warranting a penalty. This exemption,
the commenter claims, places the
burden on the government or citizen
enforcer to prove both that excess
emissions have occurred and that they
did not occur during a force majeure
event. The commenter also states that
the exemption for PRDs with low
potential to emit is unlawful because
the CAA directs the EPA to establish
limits that apply on a continuous basis
for each HAP a source emits, regardless
of the amount emitted. The commenter
adds that it should be easy for PRDs to
comply with the limits if they truly have
low emissions.
Response: The EPA disagrees with the
commenter that the proposed work
practice is not a standard applicable to
the affected source at all times. Under
CAA section 112(h), work practices are
a form of emissions standard applicable
to affected units. Actuation events from
PRDs that vent to the atmosphere are
irregular in time, duration, amount,
cause, and effect. Attempts to capture
such emissions may be potentially
dangerous to workers, the public, and
the environment. The EPA’s work
practice standards require a series of
preventive measures 14 and the use of
diagnostic tools to prevent recurrence of
such events, coupled with a clearly
defined basis for enforcement action
when there is a failure to prevent
actuation event recurrence under the
14 See 84 FR 46153 (September 3, 2019) for a
discussion of requirements under 40 CFR part 68,
Chemical Accident Prevention Provisions for PRDs.
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
defined circumstances. This work
practice standard represents the practice
employed by the best performing
sources and is the MACT floor. The
MACT floor is not merely after-the-fact
recordkeeping requirements to
document PRD actuation events without
penalty. The PRDs at affected facilities
are subject to continuous monitoring,
and, in addition to other potential bases
for finding a violation as described in 40
CFR 63.7923(f), each PRD actuation is a
violation if the cause is poor
maintenance or operator error.
The EPA disagrees with the comments
regarding force majeure events. Force
majeure events, which result in pressure
release actuation events, must be
accounted for under 40 CFR 63.7923(c).
The definition of force majeure narrows
the scope of such events to natural
disasters; acts of war or terrorism; loss
of a utility external to the Site
Remediation unit (e.g., external power
curtailment), excluding power
curtailment due to an interruptible
service agreement; and fire or explosion
originating at a near or adjoining facility
outside of the Site Remediation affected
source that impacts the Site
Remediation affected source’s ability to
operate. Therefore, a force majeure
event would never be due to operator
error or poor maintenance (see 40 CFR
63.7923(f)(1)) and must be absolutely
beyond the power or ability of the
source to prevent. We believe that the
narrow scope of force majeure is such
that a second event, from a single
pressure relief device in a 3-year period
would be highly unlikely to be due to
the same force majeure event for the
same equipment. (See 40 CFR
63.7923(f)(2)). Similarly, we believe that
it is highly unlikely that in a 3-year
period, three force majeure events of
any type would occur for the same
equipment. Finally, the source must
satisfy the Administrator that the event
was beyond the control of the owner or
operator, because the decision to accept
the claim of force majeure is solely
within the discretion of the
Administrator. Thus, the force majeure
provisions are an intrinsic part of the
work practice standard and are not as
the commenter maintains an exemption
from that standard.
The EPA disagrees with the comments
regarding the exemption for certain
types of PRDs identified in 40 CFR
63.7923(e). We modeled the
applicability of the PRD provisions after
the Petroleum Refinery rule, 40 CFR
part 63, subpart CC. That ‘‘beyond-thefloor’’ analysis determined that it was
not cost effective to include control of
these PRDs as part of the work practice
standard for PRDs, and we do not have
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
information to conclude that this
analysis would be any different for Site
Remediation sources. However, these
PRDs may be regulated under other
provisions of the MACT. We note that,
if the PRD is on any equipment subject
to the equipment leaks requirements at
40 CFR 63.7920–7922, then the PRD is
also subject to those same requirements,
and owners and operators are still
required to monitor the PRD after the
release to verify the device is operating
with an instrument reading of less than
500 ppm. Such PRDs are subject to
repair requirements if a leak is found.
Comment: Several commenters
requested clarification that the PRDs
covered by the work practices are only
those associated with the Site
Remediation equipment leaks affected
sources (i.e., only PRDs that are in
service for 300 or more hours per year
and that contain or contact remediation
material having a concentration of total
HAP listed in Table 1 equal to or greater
than 10 percent by weight).
Response: The EPA did not intend for
the PRD actuation work practice
requirements to only apply to PRDs in
contact with remediation material with
HAP content (for those HAPs listed in
Table 1 to subpart GGGGG) equal to or
greater than 10 percent by weight and
that are in service for 300 hours per year
or more. The PRD work practice also
applies to PRDs protecting any affected
units subject to this subpart (with the
exception of containers), including
RMMUs under 40 CFR 63.7882(a)(2).
Thus, PRDs are subject to the PRD work
practice if they are protecting process
vents, tanks, surface impoundments,
separators, transfer systems, or closedvent systems and control devices—
regardless of whether such units meet
the 40 CFR 63.7882(a)(3) thresholds for
equipment leak requirements. Note that
PRDs are not subject to the work
practice standard if they are on
containers as defined at 40 CFR 63.7957,
which are subject to the requirements of
40 CFR 63.7900–7903. The PRD
standards must work in conjunction
with the emission limits for all such
affected units to ensure that a standard
applies at all times, including during
malfunction periods. The exemption
suggested by the commenter would
leave PRD actuation events from certain
affected units subject to no standards
during malfunctions. Certain RMMUs
(40 CFR 63.7886) may be exempt from
control requirements based on the
criteria in 40 CFR 63.7886(d). A PRD
protecting equipment found to be
exempt under 40 CFR 63.7886(d) would
likewise be exempt from PRD standards,
because the unit the PRD is protecting
is not subject to control requirements.
PO 00000
Frm 00015
Fmt 4701
Sfmt 4700
41693
The commenter is correct that a PRD
as a member of the set of equipment
subject to 40 CFR 63.7882(a)(3) would
not be subject to LDAR requirements for
‘‘equipment leaks’’ if the PRD ‘‘at rest’’
(meaning not in actuation) meets either
of the criteria in 40 CFR 63.7882(a)(3),
that is, either: (1) The HAP content of
the remediation material is less than 10
percent by weight; or (2) the equipment
in question is used less than 300 hours
per year. The applicable requirements to
ensure a PRD has been repaired or resets properly after actuation are found
in 40 CFR 63.7923(a)(1) and (2). The
corresponding recordkeeping for such
PRDs that are exempt from LDAR while
at rest but subject to PRD work practices
in activation are found at 40 CFR
63.7950(b)(11).
Comment: Several commenters
remarked that the EPA should have
provided a burden estimate for certain
requirements. One commenter pointed
out that the EPA did not include a
burden estimate for implementation and
reporting for the new PRD work practice
requirements and submittal of the PRD
Notice of Compliance Status. Several
commenters stated that the EPA has
assumed that sources have a system
already in place that is capable of
identifying and recording the time and
duration of each pressure release from a
PRD and of notifying operators that a
pressure release is occurring, and
remarked that sources actually often do
not have systems like this in place
unless they are required by regulation;
therefore, there will be a cost to
implement this proposed requirement.
One commenter noted that one
company has five PRDs that vent to the
atmosphere potentially subject to the
proposed requirements, and that none of
these currently have monitors in place.
The commenter also said that some
facilities with PRD monitors are not set
up to communicate with the control
room or are not capable of determining
the duration of a release. One
commenter estimated that the cost to
install a new monitoring system will be
approximately $15,000 per PRD.
One commenter expressed that the
EPA has not included time for facilities
to develop procedures to estimate and
report the amount of excess emissions
when a deviation from the new
requirements of 40 CFR 63.7951(b)
occurs or to develop procedures for the
new deviation recordkeeping
requirements at 40 CFR 63.7952.
Response: The EPA disagrees that it
failed to provide an estimate at proposal
as to the cost and burdens associated
with the work practice standard.
However, we have adjusted that
estimate as discussed below, and we
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
41694
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
have appropriately estimated the costs
and burdens associated with
implementation and reporting for the
PRD work practice standard. At
proposal, we assumed that any facility
subject to the proposed PRD
requirements would likely experience
one PRD actuation event every 3 years,
which would require an analysis of the
event’s cause. The EPA estimated an
additional cost to implement the
analysis of PRD actuation events for
affected facilities that was reflected in
the burden estimate at proposal. Upon
consideration of the comment regarding
the PRD Notification of Compliance
Status, we have made a description of
the PRD monitoring system part of the
semiannual compliance report. It may
have been unclear at proposal whether
this one-time notification would be part
of the submittal of the next semiannual
report, for which we already have
estimated a burden to complete. We
have clarified that this notification is
submitted with the semiannual
compliance report. The description of
the monitoring system must be updated
in subsequent reports only if changes
are made. With respect to monitoring,
the EPA has revised our burden estimate
to include the cost of additional
monitoring for sources that do not
already have adequate monitoring for
PRDs. We have estimated that half of the
affected facilities must acquire between
1 and 5 monitors to meet the new
requirement, at an estimated annualized
cost of $30,000 for the entire source
category. For more information
regarding the revised PRD monitoring
burden estimate, see the memorandum,
Pressure Relief Device Monitoring
Impacts for the Site Remediation Source
Category, available in the docket for this
action.
Regarding deviation recordkeeping
and reporting, we are providing
additional time to develop emissions
estimation and reporting procedures.
The compliance date for existing
affected sources for the revised SSM
requirements other than General
Provisions, 40 CFR 63.6(e) and (f)(1), is
180 days after the effective date of the
standard. The requirements for
electronic reporting requirements, the
revised routine maintenance provisions,
the operating and pressure management
requirements for PRDs, and the revised
requirements regarding bypasses and
closure devices on pressure tanks is 180
days after the effective date of the
standard.
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
4. What is the rationale for our final
approach for the amendments pursuant
to CAA sections 112(d)(2) and (3)?
To ensure a standard continuously
applies during malfunctions that result
in emissions from a PRD actuation
event, we proposed work practices and
other provisions for PRDs and bypass
lines on closed vent systems. Based on
comments received on the proposed
provisions, we have revised the
proposed work practice and associated
monitoring requirements for PRDs. For
the reasons provided in the responses to
comments above, we have revised the
proposed PRD provisions to exclude
PRDs on containers from the PRD work
practice standards and monitoring
requirements and added language to 40
CFR 63.7882 to help clarify when a PRD
is subject to equipment leak
requirements and when it is subject to
the PRD actuation event work practice
requirements. Additionally, based on
information provided by commenters,
we have revised the economic analysis
for the adoption of the proposed PRD
monitoring requirements to reflect the
purchase of monitoring equipment for
some facilities rather than assuming all
facilities already have adequate
monitoring systems.
D. Other Issues and Changes Made to
the Site Remediation NESHAP
1. Standards for Inorganic and Metal
HAP Emissions
a. What did we propose for inorganic
and metal HAP emissions?
In the May 13, 2016, proposal on
reconsideration, the EPA stated that it
would consider the issue of regulating
metals and inorganic HAP emissions
during the risk review (81 FR 29824). In
the September 3, 2019, proposal, the
EPA proposed to not set standards for
metals and inorganic HAP from Site
Remediation sources subject to the Site
Remediation NESHAP because the
Agency did not have data indicating
that site remediation sources subject to
the rule emit these pollutants. The EPA
requested data demonstrating whether
or not any affected Site Remediation
sources emit inorganic or metal HAP.
b. How did the decision regarding
inorganic and metal HAP emissions
change since proposal?
In this final action, we have not made
any changes to the proposed decision
related to inorganic HAP and metal
emissions standards.
PO 00000
Frm 00016
Fmt 4701
Sfmt 4700
c. What key comments did we receive
regarding inorganic and metal HAP, and
what are our responses?
Comment: One commenter observed
that of over 200 Site Remediations in
the country, the EPA found data for only
six facilities. The commenter claimed
that the EPA has nearly complete
ignorance about actual Site Remediation
emissions due to a failure by the EPA
to collect the necessary data and asserts
that claiming a lack of data without
adequate enquiry does not excuse the
Agency from the requirements of the
CAA to set emission standards for each
HAP a source category emits. The
commenter added that data for the
source category, including exempt
facilities, clearly shows that Site
Remediations do emit specific and
substantial quantities of inorganic and
metal HAP, citing EPA’s residual risk
assessments in the docket at proposal.
In contrast, several other commenters
observed that the risk assessment and
the EPA’s data for this source category
do not demonstrate that inorganic HAP
and HAP metals are emitted from
affected facilities and agree with the
EPA’s decision not to set standards for
these pollutants. Two of these
commenters also note that metals are
the HAP driving risks; however, this is
an assumption of the model plant
approach employed in conducting the
risk assessment. The commenters stated
that these HAP are likely not emitted,
and the actual risks are likely much
lower than the EPA estimates.
Response: The NEI is the basis for
establishing emission profiles for the
Site Remediation source category and
many EPA residual RTRs performed or
are in progress within the Agency. The
NEI is a comprehensive national
database operated by the regulated
community, state agencies, and the EPA
to have data available for research and
analysis, public information, and
rulemaking. In the case of the Site
Remediation RTR, to perform the risk
assessment, the EPA used data
submissions from approximately 220
facilities (102 affected facilities and 118
exempt facilities) that submitted over
55,000 records of pollutant emissions
for over 4,000 emission units at the
entire facilities (i.e., not just units
subject to the Site Remediation
NESHAP). The NEI provides the best
information available to the EPA
regarding emissions from the Site
Remediation source category.
Of the affected sources, the EPA did
not find any affected facilities that
reported Site Remediation emissions of
metals and found only one facility that
emitted any other inorganic HAP, which
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
was asbestos. Upon further investigation
of the asbestos emissions at this facility,
the EPA discovered that the Site
Remediation at this facility is subject to
other rules applicable to asbestos
cleanups, including 40 CFR part 61,
subpart M, the Asbestos NESHAP. The
EPA has determined that since the
asbestos emissions are already regulated
by another NESHAP in this instance, it
is not necessary to regulate those
emissions separately in the Site
Remediation NESHAP.
The EPA disagrees with the
commenter’s assertion that exempt
facilities emit substantial quantities of
inorganic HAP and metals. The
emissions reported in the NEI for
exempt facilities shows a total of 0.04
tpy of HAP metal emissions, all of
which are from one facility, and 1.3 tpy
of other inorganic HAP emissions, with
97 percent of these emissions from one
facility. Thus, while some exempt
facilities emit limited quantities of
metal and inorganic HAP, the nature of
Site Remediations, which are highly
site-specific and vary widely in
remediation materials treated, treatment
methods and equipment, and emissions,
does not suggest that emissions of metal
and inorganic HAP are common in Site
Remediations, are emitted in large
quantities, or would be expected from
affected facilities. Therefore, without
further evidence to support the
existence of metal or inorganic HAP
emission from affected facilities, the
EPA has determined it is not necessary
to develop emissions standards for these
pollutants for this source category.
We agree with commenters that the
risk assessment, which used a model
approach to attribute emissions to the
Site Remediation portion of a facility
where the NEI did not include Site
Remediation emissions, likely overstates
the emissions of some HAP from the
Site Remediation portions of the
facilities. Where this is true, risk from
those HAP would be overstated in the
risk assessment results.
As we stated at proposal, to address
the limited data on Site Remediation
emissions for these 96 facilities, the EPA
developed a model plant approach for
its risk assessment. A model plant
approach is commonly used in other
EPA actions. The EPA developed a
profile of Site Remediation emissions
for each facility by applying an
emissions factor based on emissions
from the entire facility, including its
non-category emissions from primary
processes. Some of these non-category
emission sources emit metal and
inorganic HAP, thus leading to an
attribution of a fraction of those
emissions at a facility to the Site
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
Remediation category by virtue of the
use of the emissions factor. Thus, the
model plant data used for modeling risk
reflect metal and inorganic emissions
solely because they are emitted by noncategory sources elsewhere in the
facility. The tables in Residual Risk
Assessment for Facilities Exempt from
the Site Remediation Source Category in
Support of the Risk and Technology
Review 2019 Proposed Rule (see Docket
ID Item No. EPA–HQ–OAR–2018–0833–
0028, p. 37–43) cited by the commenter
do not specifically distinguish which
compounds cited by the commenter are
facility-wide non-category emissions
adapted to the model plant and
therefore not actual emissions from site
remediation activity, from those
pollutants emitted by site remediation
activity. With the exception of HCl, the
compounds cited by the commenter are
facility-wide non-category emissions,
and not emitted by site remediation
activity. See section IV. A.3 of this
preamble for our discussion on HCl. The
commenter’s assertion that data for the
source category shows that site
remediations emit specific and
substantial quantities of inorganic and
metal HAP is not actually supported by
the data cited by the commenter.
d. What is the rationale for our final
decision regarding inorganic and metal
HAP?
For the reasons provided above and in
the preamble for the proposed rule, we
are finalizing the proposed decision to
not set standards for metals and
inorganic HAP from Site Remediation
sources.
2. SSM
a. What did we propose for SSM?
We proposed amendments to the Site
Remediation NESHAP to remove or
revise provisions related to SSM that are
not consistent with the requirement that
the standards apply at all times.
b. How did the amendments regarding
SSM change since proposal?
For SSM, the Site Remediation
NESHAP at 40 CFR 63.7925(b)(1) allows
a facility to bypass control devices for
up to 240 hours per year to perform
planned routine maintenance of the
closed-vent system or control device in
situations when the routine
maintenance cannot be performed
during periods that the control device is
shut down. To ensure that emissions
standards apply at all times, we
proposed to revise 40 CFR 63.7925(b)(1)
to require the control device to be
operating whenever gases or vapors
containing HAP are vented through the
closed-vent system to the control
PO 00000
Frm 00017
Fmt 4701
Sfmt 4700
41695
device. Based on comments received
regarding these requirements, we have
revised these proposed requirements as
they apply to storage tanks. The revised
requirements will allow a facility to
bypass control devices on storage tanks
for up to 240 hours per year to perform
planned routine maintenance of the
closed-vent system or control device in
situations when the routine
maintenance cannot be performed
during periods that the control device is
shut down, and they are restricted from
filling the tank for those 240 hours.
More information concerning SSM is in
the preamble to the proposed rule (84
FR 46161; September 3, 2019). We also
are clarifying the compliance dates for
changes in the SSM provisions. See
section III.F of this preamble for
compliance dates.
c. What key comments did we receive
regarding SSM, and what are our
responses?
We received several comments
regarding SSM. We received one
comment that HAP concentrations may
be higher in remediation material at the
startup of remediation activities, one
comment that the removal of the SSM
exemption is not necessary to be
consistent with the Sierra Club vs. EPA
decision, and one comment generally
supporting the proposed SSM revisions.
One commenter generally supported the
revisions but opposed what they
characterized as ‘‘exemptions’’ provided
for PRDs during process malfunctions.
Other commenters disagreed with the
proposed changes related to periods of
planned routine maintenance in 40 CFR
63.7925(b)(1) as they would affect tanks.
Our responses to these comments can be
found in the Response to Comments
document in the docket. In addition to
comments on SSM, we also received
comment on the topic of periods for
planned routine maintenance. A
summary of these comments and our
response is below.
Comment: Several commenters
requested that the EPA retain an
allowance for maintenance of control
devices for tanks and add the work
practice to the Site Remediation
NESHAP that was finalized in the
Amino and Phenolic Resins (APR)
NESHAP RTR Reconsideration in
October 2018. The commenters
explained that this work practice allows
closed vent systems on tanks to be
bypassed for up to 240 hours per year
for routine maintenance but prohibits
sources from increasing the level of
material in the tank during that time to
minimize emissions by ensuring no
working losses occur. Another
commenter requested that the EPA
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
41696
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
retain the current routine maintenance
provision that allows all closed-vent
system or control devices to be bypassed
for up to 240 hours per year to perform
routine maintenance. This commenter
stated that the EPA has not provided
any justification or analysis of the costs
or emissions impact associated with the
proposed change.
Response: In the proposed rule, we
removed the exemption from emissions
standards for periods of SSM in
accordance with a decision of the Court,
Sierra Club v. EPA, 551 F.3d 1019 (DC
Cir. 2008), cert. denied, 130 S. Ct. 1735
(U.S. 2010). This decision stated that the
EPA must provide standards that are in
place at all times, even during periods
of SSM. Thus, we also removed the
provision at 40 CFR 63.7925(b)(1) that
allowed a control device to be bypassed
for up to 240 hours per year for the
performance of planned routine
maintenance of the closed vent system
or control device (i.e., 240-hour routine
maintenance exemption). As a result,
the emissions limits, including those for
tanks, in the proposed revised Site
Remediation NESHAP would apply at
all times.
While emissions from most
equipment can be eliminated
completely during routine maintenance
of a control device, simply by not
operating the process during those
times, the same is not true for a tank.
For a fixed roof tank complying with the
NESHAP by routing emissions through
a closed vent system to a control device,
the stored material in the tank will
continue to emit volatile compounds
when the control device is not
operating. The only ways for these tanks
to avoid such emissions are to empty
and degas the tank prior to the
maintenance activity. It is possible that
emptying and degassing a tank could
result in greater emissions than would
result from emissions from the tank
during a 240-hour period. At proposal,
we did not consider this emissions
potential. Taking this factor into
account, we decided to examine
whether separate MACT standards
should be established for periods of
planned routine maintenance of the
emission control system for the vent on
a fixed roof tank at a new or existing
source.
We began our examination by
reviewing the title V permits for each
facility subject to the Site Remediation
NESHAP. In this review, we searched
for facilities that had tanks subject to the
emissions standards of the Site
Remediation NESHAP and for any
permit requirements pertaining to
periods of routine maintenance of a
control device for a tank. From this
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
review, several facilities were found to
have tanks subject to the Site
Remediation NESHAP emission
standards. While the current provisions
of the Site Remediation NESHAP
minimize emissions by limiting the
duration of the bypass of a control
device for planned routine maintenance
to 240 hours per year, no additional
permit conditions were found for these
facilities for periods of time when the
tank control device was not operating.
We also reviewed other NESHAP to
examine the requirements that apply to
similar tanks. From the review of these
NESHAP, we found that the Hazardous
Organic NESHAP (HON) and several
other NESHAP, including, but not
limited to, those for Group I Polymers
and Resins, Group IV Polymers and
Resins, OSWRO, Pharmaceuticals
Production, and Pesticide Active
Ingredient Production with similar
vapor pressure and threshold capacities
have provisions that minimize HAP
emissions during periods of planned
routine maintenance. These provisions
minimize HAP emissions by limiting
the duration of planned routine
maintenance to 240 hours per year. The
Pharmaceuticals Production and
Pesticide Active Ingredient Production
NESHAP also allow a facility to request
an extension of up to an additional 120
hours per year on the condition that no
material is added to the tank during
such requested extension period. The
Amino and Phenolic Resins NESHAP
includes the 240-hour provision
described above and also prohibits
sources from increasing the level of
material in tanks during that time to
minimize emissions. With these
provisions, fixed roof tanks’ emissions
are limited to breathing losses, and the
tanks do not need to be emptied and
degassed to perform routine
maintenance. Based on our review of
these permits and NESHAP, we have
determined that the MACT floor level of
control for fixed roof tank vents at
existing Site Remediation sources is the
minimization of emissions by limiting
the duration of planned routine
maintenance periods in which the
control device may be bypassed to 240
hours per year. Also based on this
review, we identified one above-thefloor option, which is to add a work
practice to prohibit the addition of
material to the tank during the planned
routine maintenance period when the
tank control device is bypassed.15
15 Impacts Associated with the Routine
Maintenance Provisions for Storage Tanks in the
Site Remediation Source Category. Memorandum
from Lesley Stobert, SC&A, to Matt Witosky,
available in the docket for this action, Docket ID No.
EPA HQ–OAR–2018–0833.
PO 00000
Frm 00018
Fmt 4701
Sfmt 4700
We evaluated the impacts of the
identified beyond-the-floor control
option. We estimate that there are one
to 10 facilities in the category that
would need to control one or more tanks
during periods when the primary
emission control system is undergoing
planned routine maintenance. We have
assumed an equal distribution of one to
five tanks at 10 facilities, for a total of
30 tanks in the source category. To
comply with the work practice of not
adding material to the tank during
planned routine maintenance periods
when the tank control device is
bypassed, we anticipate no additional
equipment would be needed and no
additional costs would be incurred. We
estimate this option would reduce
emissions by up 76 lbs./year per tank
and 2,280 lbs./year (1.1 tpy) for the
source category (i.e., 30 tanks).
Based on our analysis, the identified
beyond-the-floor option is reasonable,
given the level of HAP emissions
reduction that would be achieved with
this work practice and the absence of
additional costs. Accordingly, we are
revising the Site Remediation MACT
standards to allow owners or operators
of fixed roof vessels at new and existing
affected Site Remediation facilities to
perform planned routine maintenance of
the emission control system for up to
240 hours per year, provided there are
no working losses from the tank during
that time.
This work practice standard is being
established in accordance with CAA
section 112(h). We note that the tank
requirements in this rule were originally
promulgated as CAA section 112(h)
standards, which established two
control options. One option is for the
installation of a floating roof pursuant to
40 CFR part 63, subpart WW. This
option is a combination of design,
equipment, work practice, and
operational standards. The other option
is to install a conveyance system
(pursuant to 40 CFR part 63, subpart
DD) and route the emissions to a control
device that achieves a 95-percent
reduction in HAP emissions or that
achieves a specific outlet HAP
concentration. This second option is a
combination of design standards,
equipment standards, operational
standards, and a percent reduction or
outlet concentration. See the preamble
to the original rulemaking for 40 CFR
part 63, subpart GGGGG at 67 FR 49398
(July 30, 2002). The work practice
requirement added in this action also
fulfills the purposes of section 112(h)(1)
of the CAA, which calls on the
Administrator to include requirements
in work practice standards sufficient to
assure the proper operation and
E:\FR\FM\10JYR2.SGM
10JYR2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
maintenance of the design or
equipment. The added work practice
standard allows for the planned routine
maintenance of the control device and
minimizes emissions during such
periods of planned routine
maintenance, consistent with the
requirements of CAA section 112(h)(1)
by eliminating working losses during
planned routine maintenance of the
control device. For breathing losses, we
have determined that it is not
practicable due to technological and
economic limitations, to measure these
emissions during periods of planned
routine maintenance to establish a
numeric limit based upon the best
performing sources. The breathing
losses during the planned routine
maintenance of the control system are
highly dependent on the volume of the
vapor space and the weather conditions
during that time. Specialized flow
meters (such as mass flow meters)
would likely be needed in order to
accurately measure any flow during
these variable, no-to-low flow
conditions. Measurement costs for these
times would be economically
impracticable, particularly in light of
the small quantity of emissions. In
addition, we are not aware of any
measurement of breathing loss HAP
emissions from a fixed roof storage
vessel in the field.
d. What is the rationale for our final
amendments regarding SSM?
jbell on DSKJLSW7X2PROD with RULES2
With one exception, we are finalizing
the provisions for periods of SSM
provisions as proposed. The SSMrelated provision regarding planned
routine maintenance of control systems
for storage tanks has been revised since
proposal based on consideration of
comments received during the public
comment period. As explained in the
comment response above in section 2.c,
we reviewed available Site Remediation
permits and the conditions of other
NESHAP with similar provisions, and
we determined that it is appropriate to
adopt a work practice standard to allow
owners or operators of fixed roof vessels
at new and existing affected Site
Remediation facilities to perform
planned routine maintenance of the
emission control system for up to 240
hours per year, provided there are no
working losses from the tank during that
time.
3. Electronic Reporting
a. What did we propose for electronic
reporting?
As stated in the preamble to the
proposed rule, to facilitate the
demonstration and determination of
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
compliance and simplify data entry, the
EPA proposed to require owners and
operators of Site Remediation facilities
to submit electronic copies of required
performance test reports, performance
evaluation reports, and semi-annual
compliance reports through the EPA’s
CDX using CEDRI. The EPA identified at
proposal two broad circumstances in
which electronic reporting extensions
may be provided. These situations
include outages of the EPA’s CDX or
CEDRI and force majeure events.
Additionally, for semi-annual
summary compliance reports, the
proposed rule required that owners and
operators use a spreadsheet template to
submit information to CEDRI. The EPA
provided a draft version of the template
for this report in the docket for the
proposed rulemaking and requested
comment on the content, layout, and
overall design of the template.
b. How did the amendments regarding
electronic reporting change since
proposal?
Regarding electronic reporting, the
proposed requirements to submit
electronic copies of required
performance test reports, performance
evaluation reports, and semi-annual
compliance reports have not changed.
However, we have made a few
corrections and clarifications to the
draft spreadsheet template provided at
proposal for use in submitting semiannual summary compliance reports to
CEDRI.
c. What key comments did we receive
regarding electronic reporting, and what
are our responses?
Comment: One commenter supported
the EPA’s proposal for electronic
reporting but does not support the
proposed reporting exemption
provisions, which the commenter noted
the EPA describes as ‘‘extensions,’’ for
CEDRI outages or force majeure events.
The commenter stated that the
provisions do not set a new firm
deadline to submit the required report
or a deadline to request an extension of
the reporting deadline, and the EPA
must set a deadline, such as 10 days.
The commenter asserted that this leads
to a broad and vague mechanism by
which a facility could evade reporting
and compliance with the emissions
standards. The commenter stated that by
not including a new deadline, the
provision does not provide for an
extension, but rather provides an
exemption from the reporting
requirements and potentially from
meeting the emissions standards.
Additionally, the commenter remarked
that the EPA did not provide a reasoned
PO 00000
Frm 00019
Fmt 4701
Sfmt 4700
41697
basis for this provision, and it appears
there is no evidence that either type of
event has caused any problems with
electronic reporting in the past.
Response: The EPA notes that there is
no exception or exemption to reporting,
only a method for requesting an
extension of the reporting deadline.
There is no predetermined timeframe
for the length of extension that can be
granted, as this is something best
determined by the Administrator when
reviewing the circumstances
surrounding the request. Different
circumstances may require a different
length of extension for electronic
reporting. For example, a tropical storm
may delay electronic reporting for a day,
but a Hurricane Katrina scale event may
delay electronic reporting much longer,
especially if the facility has no power,
and, as such, the owner or operator has
no ability to access electronically stored
data or submit reports electronically.
The Administrator will be the most
knowledgeable on the events leading to
the request for extension and will assess
whether an extension is appropriate,
and, if so, on a reasonable length. The
Administrator may even request that the
report be sent in hardcopy until
electronic reporting can be resumed.
While no new fixed duration deadline is
set, the regulation does require that the
report be submitted electronically as
soon as possible after the outage is
resolved or after the force majeure event
occurs. For these reasons, the EPA is not
adding a firm deadline for reporting
when the Administrator accepts a claim
of force majeure or EPA system outage
and instead leaves the deadline for the
extension to the discretion of the
Administrator.
d. What is the rationale for our final
amendments regarding electronic
reporting?
We are finalizing the proposed
provisions regarding electronic
reporting, however, the final
spreadsheet template to be used in
submitting semi-annual summary
compliance reports to CEDRI has been
revised based on comments received
during the public comment period.
4. Open-Ended Valves and Lines
a. What did we propose for OELs?
We proposed to add a paragraph to 40
CFR 63.7920(b) to clarify what ‘‘seal the
open end’’ means for OELs under the
Site Remediation NESHAP. This
clarification was intended to reduce
uncertainty for the owner or operator as
to whether compliance is being
achieved. The proposed clarification
explained that, for the purpose of
E:\FR\FM\10JYR2.SGM
10JYR2
41698
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
complying with the requirements of 40
CFR 63.1014(b)(1) of 40 CFR part 63,
subpart TT or 40 CFR 63.1033(b)(1) of
subpart UU, as applicable, Site
Remediation OELs are ‘‘sealed’’ by the
cap, blind flange, plug or second valve
when instrument monitoring of the
OELs conducted according to EPA
Method 21 of 40 CFR part 60, appendix
A indicates no readings of 500 ppm or
greater.
We also proposed that OELs that are
in an emergency shutdown system, and
which are designed to open
automatically, be equipped with either
a flow indicator or a seal or locking
device since 40 CFR part 63, subparts
TT and UU exempt these OELs from the
requirements to be equipped with a cap,
blind flange, plug, or second valve that
seals the open end. Additionally, we
proposed recordkeeping and reporting
requirements for these OELs.
jbell on DSKJLSW7X2PROD with RULES2
b. How did the amendments regarding
OELs change since proposal?
The EPA is not finalizing the
proposed provisions related to OELs.
These requirements include those of
proposed 40 CFR 63.7920(b)(3)(i) that
were intended to clarify what ‘‘seal the
open end’’ means for OELs; the
proposed requirements of 40 CFR
63.7920(b)(3)(ii), which specified that
certain OELS in an emergency
shutdown system be equipped with
either a flow indicator or a seal or
locking device; and the related proposed
recordkeeping and reporting
requirements for these OELs.
c. What key comments did we receive
regarding OELs, and what are our
responses?
Comment: Several commenters
asserted that the proposal to amend the
rule to clarify that open-ended valves
and lines are only sealed if an EPA
Method 21 instrument reading is less
than 500 ppm is inconsistent with other
equipment leak rulemakings under 40
CFR parts 60 and 63. The commenters
oppose the EPA’s proposal to clarify
what ‘‘seal the open end’’ means for
open-ended valves and lines, with one
commenter noting that with the low
pressure piping in Site Remediation
equipment, leaks from caps or plugs are
minimal, and the existing requirements
are sufficient. Another commenter
stated that this proposed change would
add new, costly, and burdensome work
practice requirements, which are not
discussed in the preamble or the docket.
The commenters also claimed that this
clarification calls for demonstrating
<500 ppm leakage by monitoring,
without changing the requirement to
have the open-ended line capped or
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
plugged and without specifying any
specific monitoring requirements.
Further, one commenter remarked that
the requirement to cap OELs was never
an emissions standard but has always
been considered a work practice in the
form of an equipment standard. By
establishing this equipment standard,
the commenter said the EPA expressly
rejected the idea that a capped openended line should be treated as a
potentially leaking component that
should be subject to an LDAR-like
periodic leak detection requirement.
The commenter remarked that imposing
an emissions standard would transform
the work practice into a numeric
emissions limitation. Commenters also
stated that by claiming this change is
only a clarification of current
requirements, the EPA has attempted to
bypass the need to cite a CAA
authorization for this change to the
standard or meet the process
requirements associated with such a
change, including providing emission
reduction, cost, and burden estimates in
the record. These commenters asserted
that the EPA must show that imposing
a new 500 ppm emissions limit is
justified, including an assessment of
costs and an explanation of how the
costs are reasonable in light of the
expected emissions reductions. In
additional remarks on the topic, some
commenters noted that proposed
monitoring of OELs was not finalized
for 40 CFR part 60, subparts VV or VVa
due to the low-cost effectiveness of the
requirements in relation to VOC
emissions, which would likely have
been even less cost effective when
considering only HAP. In addition, one
commenter provided historical
information regarding OELs in which
the EPA did not require LDAR and only
require equipment standards for subpart
VV and subpart H of part 63 (the HON
rule). Several commenters stated that if
additional OEL requirements can be
shown to be justified, the requirements
should take a traditional equipment leak
approach in which monitoring is
performed and that a reading above a
certain level, such as 500 ppm, is an
action level for repair rather than a
violation. One commenter added that in
this approach, a missing OEL cap or
plug would not be a deviation unless a
reading determines that a leak above the
defined threshold is occurring.
Some commenters added that this
‘‘clarification’’ in the Site Remediation
NESHAP would appear to be a
clarification to all equipment leak rules
and permits containing similar
language. The commenters noted that
this proposal does not notify other
PO 00000
Frm 00020
Fmt 4701
Sfmt 4700
industries subject to 40 CFR part 63,
subparts TT and UU of this change. In
order to impose this new standard, one
commenter stated that the EPA should
identify the CAA authority for this
action, propose amendments to all rules
referencing 40 CFR subparts TT and UU
(or propose amendments to subparts TT
and UU, instead) and provide cost
burden and emission impact estimates
for this change for all impacted rules.
Response: The EPA disagrees that the
proposal changed the current
requirements, which consist of an
equipment standard to equip the OEL
with a cap, blind flange, plug, or second
valve and an operational standard that
the open end is ‘‘sealed’’ by that
equipment at all times, except during
operations requiring process fluid flow
or during maintenance. See 40 CFR
63.1014(b)(1) and 40 CFR 63.1033(b)(1).
As stated in the preamble to the
proposed rule (see 84 FR 46165;
September 3, 2019), the purpose of the
proposed definition for ‘‘sealed’’ was
intended to provide compliance
certainty with the codified operational
requirement that the OEL is ‘‘sealed’’ for
the Site Remediation source category.
However, upon review of these
comments, the EPA agrees that
additional consideration of the
proposed change would be appropriate
because there are multiple source
categories that cross-reference the same
equipment and operational
requirements for OELs. We continue to
believe that it is important that the
standard to seal the OEL includes a
clear mechanism for a source to
demonstrate compliance with that
requirement. Therefore, the EPA intends
to continue to evaluate appropriate
means of compliance certainty for OELs,
including the term ‘‘sealed,’’ and is not
finalizing any revisions to the OEL
standards applicable to Site
Remediation in this action. In the
meantime, both the equipment standard
that the OEL is equipped with a cap,
blind flange, plug, or second valve, and
the operational standard requiring that
this equipment seal the open end of the
valve or line, continue to apply.
d. What is the rationale for our final
decision regarding OELs?
Considering comments received
during the public comment period, the
EPA is not finalizing the proposed
provisions for OELs. These proposed
provisions were intended to clarify what
‘‘seal the open end’’ means for OELs,
would have required certain OELS in an
emergency shutdown system to be
equipped with a flow indicator or a seal
or locking device, and would have
E:\FR\FM\10JYR2.SGM
10JYR2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
required related recordkeeping and
reporting requirements for these OELs.
Since OELs are present at many
facilities, additional consideration of the
proposed change is appropriate because
there are multiple source categories that
cross-reference the same equipment and
operational requirements for OELs. We
continue to believe it is important that
the standard to seal the OEL includes a
clear mechanism for a source to
demonstrate compliance with that
requirement. Therefore, the EPA intends
to continue to evaluate appropriate
means of compliance certainty for OELs,
including the term ‘‘sealed,’’ and is not
finalizing any revisions to the OEL
standards applicable to Site
Remediation in this action.
The EPA emission estimates are based
on reported emissions, and we did not
estimate HAP reductions from the
proposed approach that we are not
finalizing. For this reason, the decision
to not finalize the OEL provisions has
no impact on estimated emissions, risks,
or decisions related to risk.
5. Technical Corrections
a. What technical corrections did we
propose?
We proposed several miscellaneous
minor changes to improve the clarity of
the Site Remediation NESHAP
requirements. These proposed changes
included:
• Adding citations in 40 CFR 63.14 to
40 CFR 63.7944 for the two following
consensus standards: American
Petroleum Institute (API) Publication
2517, Evaporative Loss From External
Floating-Roof Tanks, and American
Society for Testing and Materials
(ASTM) Method D2879–83.
• Correcting citation errors. These
include correcting the reference in 40
CFR 63.7942 to be 40 CFR 63.7(a)(3)
rather than 40 CFR 63.7(3); correcting
the reference in 40 CFR 63.7941 to be
40 CFR 7890(b) rather than 40 CFR
63.7980(a)(1)(i); and correcting the
references in 40 CFR 63.7901(a) and
(b)(1), and 40 CFR 63.7903(a) and (b) to
be 40 CFR 63.7900 rather than 40 CFR
63.7990.
jbell on DSKJLSW7X2PROD with RULES2
b. How did the technical corrections
change since proposal?
We have not made any changes to the
proposed technical corrections.
However, we have added other
technical corrections to the final rule.
These include the following:
• The reporting requirement in 40
CFR 63.7951(b)(10)(i) did not specify
which information should be reported
with respect to a leak found under the
PRD provisions. The EPA has specified
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
that sources should report the number
of times that a leak is detected during
the reporting period.
• The reporting requirement in 40
CFR 63.7951(b)(10)(ii) was revised to
clarify that the source is required to
include a notation that the required
monitoring was performed.
• The reporting requirement in 40
CFR 63.7951(b)(10)(iii)(B) was revised to
require that the source report total HAP,
rather than each HAP, to be consistent
with the provisions in 40 CFR
63.7923(d).
• The reference to the requirement to
submit a Notification of Compliance
Status in 40 CFR 63.7951 at proposal
has been revised for clarity.
c. What is the rationale for our final
technical corrections?
These corrections have been made to
correct errors, provide consistency of
terms and add clarity to the rule.
e. Other Comments
Comment: A commenter
recommended modifying 40 CFR
63.7885(b)(2) to address systems with
process vents that are associated with
gaseous systems, noting that the current
regulation only provides a parts per
million by weight (ppmw) value.
Response: In 40 CFR 63.7882, process
vents are defined as the entire group of
process vents associated with the in-situ
and ex-situ remediation processes used
at the site to remove, destroy, degrade,
transform, or immobilize hazardous
substances in the remediation material
subject to remediation, which would
include process vents associated with
gaseous systems. The standard in 40
CFR 63.7885(b)(2), average volatile
organic hazardous air pollutants
(VOHAP) concentration of the material,
is on a mass-weighted basis, ppmw.
This concentration is determined by
collection and analysis of a sample by
one of the methods listed in 40 CFR
63.694(b)(2)(ii). These methods
determine, on a mass-weighted basis,
the average VOHAP concentration in
ppmw. As the methods to determine the
average VOHAP concentration are in
terms of mass, it is appropriate for the
applicability provisions for process
vents to be in the same terms. Therefore,
we have not modified the requirements
of 40 CFR 63.7885(b)(2).
V. Summary of Cost, Environmental,
and Economic Impacts and Additional
Analyses Conducted
A. What are the affected facilities?
We estimate that there are
approximately 63 major source Site
Remediation facilities. Based on
PO 00000
Frm 00021
Fmt 4701
Sfmt 4700
41699
available permit information, 33
facilities are expected to be subject to a
limited set of the rule requirements
under 40 CFR 63.7881(c) due to the low
annual quantity of HAP contained in the
remediation material excavated,
extracted, pumped, or otherwise
removed during the Site Remediations
conducted at the facilities. These
facilities are only required to prepare
and maintain written documentation to
support the determination that the total
annual quantity of the HAP contained in
the remediation material excavated,
extracted, pumped, or otherwise
removed at the facility is less than 1
megagram per year. They are not subject
to any other emissions limits, work
practices, monitoring, reporting, or
recordkeeping requirements. While new
Site Remediations are likely to be
conducted in the future, we are
currently not aware of any specific new
Site Remediation facilities that will be
subject to the Site Remediation
NESHAP.
B. What are the air quality impacts?
For equipment leaks, we are revising
the equipment leak thresholds for
pumps and valves for facilities
complying with 40 CFR part 63, subpart
TT. We estimate the HAP emission
reduction for this change to be
approximately 4.7 tpy. We anticipate a
reduction of up to 1.1 tpy of HAP
emissions from the revised requirements
for planned routine maintenance, which
eliminate the routine maintenance
exemption for all affected units, and, for
storage tank emissions control systems
only, provide a work practice standard.
We do not anticipate any HAP emission
reduction from the requirement to
electronically report the results of
emissions testing. For the revisions to
the MACT standards establishing a work
practice standard for actuation of PRDs
in remediation material service, we
were not able to quantify the possible
emission reductions, so none are
included in our assessment of air
quality impacts. Therefore, the total
HAP emission reductions for the final
rule revisions for the Site Remediation
source category are estimated to be 5.8
tpy.
C. What are the cost impacts?
For equipment leaks, we are revising
the equipment leak thresholds for
pumps and valves for facilities
complying with 40 CFR part 63, subpart
TT. We estimate the nationwide capital
costs to be $26,000 and the annual costs
to be $10,000. We do not anticipate any
quantifiable capital or annual costs for
our requirements to electronically report
the results of emissions testing. For the
E:\FR\FM\10JYR2.SGM
10JYR2
41700
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
requirements to monitor PRDs, we
estimate the nationwide capital costs to
be $162,000 and the annual costs to be
$29,500. For PRDs, we are also requiring
facilities to conduct analyses of the
causes of PRD pressure release actuation
events and to implement corrective
measures. We estimate the nationwide
annualized costs for the analysis of
actuation events to be $13,000. This cost
represents the estimated labor hours we
anticipate would be required to
determine the cause of a typical
actuation event and to implement any
corrective measure suggested by the
analysis of the cause. We estimate an
increase in reporting and recordkeeping
associated with the requirements for
equipment leaks and PRDs of
approximately $7,000 per year
nationwide. Therefore, the total capital
costs for the regulatory changes being
finalized in this action for the Site
Remediation source category are
approximately $188,000, and the total
annualized costs are approximately
$60,000.
jbell on DSKJLSW7X2PROD with RULES2
D. What are the economic impacts?
Economic impact analyses focus on
changes in market prices and output
levels. If changes in market prices and
output levels in the primary markets are
significant enough, impacts on other
markets may also be examined. Both the
magnitude of costs needed to comply
with a rule and the distribution of these
costs among affected facilities can have
a role in determining how the market
will change in response to a rule. The
total capital costs associated with this
rule are estimated to be approximately
$188,000, and the estimated annualized
cost is approximately $60,000. We
expect these costs to be borne by 30
facilities, with an average annualized
cost of approximately $2,000 per facility
per year. These costs are not expected
to result in a significant market impact,
regardless of whether they are passed on
to the purchaser or absorbed by the
firms.
E. What are the benefits?
We have estimated that this action
will achieve HAP emissions reductions
of 5.8 tpy. The revised standards will
result in reductions in the actual and
MACT-allowable emissions of HAP and
may reduce the actual and potential
cancer risks and noncancer health
effects due to emissions of HAP from
this source category, as discussed in the
proposal preamble (See 84 FR 46158;
September 3, 2019). We have not
quantified the monetary benefits
associated with these reductions;
however, these avoided emissions will
result in improvements in air quality
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
and reduced negative health effects
associated with exposure to air
pollution from these emissions.
F. What analysis of environmental
justice did we conduct?
The EPA is making 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 in the United
States. The EPA has established policies
regarding the integration of
environmental justice into the Agency’s
rulemaking efforts, including
recommendations for the consideration
and conduct of analyses to evaluate
potential environmental justice
concerns during the development of a
rule.
Following these recommendations, to
gain a better understanding of the
source category and near source
populations, the EPA conducted a
demographic analysis for Site
Remediation facilities to identify any
overrepresentation of minority, low
income, or indigenous populations. This
analysis only gives an indication of the
prevalence of sub-populations that may
be exposed to air pollution from the
sources; it does not identify the
demographic characteristics of the most
affected individuals or communities,
nor does it quantify the level of risk
faced by those individuals or
communities. The EPA has determined
that this final rule will not have
disproportionately high and adverse
human health or environmental effects
on minority, low income, or indigenous
populations. Additionally, the final
changes to the NESHAP increase the
level of environmental protection for all
affected populations by reducing
emissions from equipment leaks and
from storage tanks during periods of
planned routine maintenance of
emissions control systems, and these
revisions do not cause any
disproportionately high and adverse
human health or environmental effects
on any population, including any
minority, low income, or indigenous
populations. Further details concerning
the demographic analysis are presented
in the memorandum titled, Risk and
Technology Review—Analysis of
Demographic Factors For Populations
Living Near Site Remediation Source
Category Operations, a copy of which is
available in the docket for this action.
PO 00000
Frm 00022
Fmt 4701
Sfmt 4700
G. What analysis of children’s
environmental health did we conduct?
As part of the health and risk
assessments, as well as the demographic
analysis conducted for this action, risks
to infants and children were assessed.
These analyses are documented in the
Residual Risk Assessment for the Site
Remediation Source Category in
Support of the March 2020 Risk and
Technology Review Final Rule and the
Risk and Technology Review—Analysis
of Demographic Factors for Populations
Living Near Site Remediation Source
Category Operations documents and are
available in the docket for this action.
The results of the demographic
analysis show that the average
percentage of children 17 years and
younger in close proximity to Site
Remediation facilities is approximately
the same as the percentage of the
national population in this age group.
Consistent with the EPA’s Policy on
Evaluating Health Risks to Children, we
conducted inhalation and multipathway
risk assessments for the Site
Remediation source category,
considering risk to infants and
children.16 Children are exposed to
chemicals emitted to the atmosphere via
two primary routes: either directly via
inhalation, or indirectly via ingestion or
dermal contact with various media that
have been contaminated with the
emitted chemicals. The EPA considers
the possibility that children might be
more sensitive than adults to toxic
chemicals, including chemical
carcinogens. For our inhalation risk
assessment, several carcinogens emitted
by facilities in this source category have
a mutagenic mode of action. For these
compounds, we applied the agedependent adjustment factors (ADAF)
described in the EPA’s Supplemental
Guidance for Assessing Susceptibility
from Early-Life Exposure to
Carcinogens.17 This adjustment has the
effect of increasing the estimated
lifetime risks for these pollutants by a
factor of 1.6. For one group of these
chemicals with a mutagenic mode of
action, polycyclic organic matter (POM),
only a small fraction of the total
emissions were reported as individual
compounds. The EPA expresses
16 Policy on Evaluating Health Risks to Children,
U.S. Environmental Protection Agency,
Washington, DC. May 2014. Available at https://
www2.epa.gov/sites/production/files/2014-05/
documents/1995_childrens_health_policy_
statement.pdf.
17 Supplemental Guidance for Assessing
Susceptibility from Early-Life Exposure to
Carcinogens. Risk Assessment Forum, U.S.
Environmental Protection Agency, Washington, DC.
EPA/630/R–03/003F. March 2005. Available at
https://www.epa.gov/raf/publications/pdfs/
childrens_supplement_final.pdf.
E:\FR\FM\10JYR2.SGM
10JYR2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
carcinogenic potency of POM relative to
the carcinogenic potency of
benzo[a]pyrene, based on evidence that
carcinogenic POM has the same
mutagenic mode of action as does
benzo[a]pyrene. The EPA’s Science
Policy Council recommends applying
the ADAF to all carcinogenic
compounds for which risk estimates are
based on potency relative to
benzo[a]pyrene. Accordingly, we have
applied the ADAF to the
benzo[a]pyrene-equivalent mass portion
of all POM mixtures. For our
multipathway screening assessment
(i.e., ingestion), we assessed risks for
adults and various age groups of
children. Children’s exposures are
expected to differ from exposures of
adults due to differences in body
weights, ingestion rates, dietary
preferences and other factors. It is
important, therefore, to evaluate the
contribution of exposures during
childhood to total lifetime risk using
appropriate exposure factor values,
applying ADAF as appropriate. The EPA
developed a health protective exposure
scenario whereby the receptor, at
various lifestages, receives ingestion
exposure via both the farm food chain
and the fish ingestion pathways. The
analysis revealed that fish ingestion is
the dominant exposure pathway across
all age groups for several pollutants,
including POM. For POM, the farm food
chain also is a major route of exposure,
with beef and dairy contributing
significantly to the lifetime average
daily dose. Preliminary calculations of
estimated dermal exposure and risk
from these pollutants showed that the
dermal exposure route is not a
significant risk pathway relative to
ingestion exposures. Based on the
analyses described above, the EPA has
determined that the changes to this rule,
which will reduce emissions of HAP by
over 5 tpy, will lead to reduced risk to
children and infants.
VI. Statutory and Executive Order
Reviews
jbell on DSKJLSW7X2PROD with RULES2
Additional information about these
statutes and Executive Orders can be
found at https://www.epa.gov/lawsregulations/laws-and-executive-orders.
A. Executive Orders 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
This action is not a significant
regulatory action and was, therefore, not
submitted to the Office of Management
and Budget (OMB) for review.
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
B. Executive Order 13771: Reducing
Regulations and Controlling Regulatory
Costs
This action is not an Executive Order
13771 regulatory action because this
action is not significant under Executive
Order 12866.
C. Paperwork Reduction Act (PRA)
The information collection activities
in this rule have been submitted for
approval to the OMB under the PRA.
The Information Collection Request
(ICR) document that the EPA prepared
has been assigned EPA ICR number
2062.09. You can find a copy of the ICR
in the docket for this rule, and it is
briefly summarized here. The
information collection requirements are
not enforceable until OMB approves
them.
The information requirements in this
rulemaking are based on the
notification, recordkeeping, and
reporting requirements in the NESHAP
General Provisions (40 CFR part 63,
subpart A), which are mandatory for all
operators subject to national emission
standards. These notifications, reports,
and records are essential in determining
compliance, and are specifically
authorized by CAA section 114 (42
U.S.C. 7414). All information submitted
to the EPA pursuant to the
recordkeeping and reporting
requirements for which a claim of
confidentiality is made is safeguarded
according to agency policies set forth in
40 CFR part 2, subpart B.
Respondents/affected entities: Unlike
a specific industry sector or type of
business, the respondents potentially
affected by this ICR cannot be easily or
definitively identified. Potentially, the
Site Remediation rule may be applicable
to any type of business or facility at
which a Site Remediation is conducted
to clean up media contaminated with
organic HAP when the remediation
activities are performed, the authority
under which the remediation activities
are performed, and the magnitude of the
HAP in the remediation material meets
the applicability criteria specified in the
rule. A Site Remediation that is subject
to this rule potentially may be
conducted at any type of privatelyowned or government-owned facility at
which contamination has occurred due
to past events or current activities at the
facility. For Site Remediation performed
at sites where the facility has been
abandoned and there is no owner, a
government agency may have
responsibility for the cleanup.
Respondent’s obligation to respond:
Mandatory (42 U.S.C. 7414).
Estimated number of respondents: 30
total for the source category. These
PO 00000
Frm 00023
Fmt 4701
Sfmt 4700
41701
facilities are already respondents and no
facilities are expected to become
respondents as a result of this action.
Frequency of response: Semiannual.
Total estimated burden: 19,700 total
hours (per year) for the source category,
of which 310 hours are estimated as a
result of this action. Burden is defined
at 5 CFR 1320.3(b).
Total estimated cost: The total
estimated cost of the rule is $1.55
million (per year) for the source
category. This includes $288,000 total
annualized capital or operation and
maintenance costs. We estimate that
$188,000 of the $288,000 in total
annualized capital or operation and
maintenance costs is a result of this
action. Recordkeeping and reporting
costs of approximately $20,000
estimated as a result of this action are
included in the $1.55 million in total
costs.
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
unless it displays a currently valid OMB
control number. The OMB control
numbers for the EPA’s regulations in 40
CFR are listed in 40 CFR part 9. When
OMB approves this ICR, the Agency will
announce that approval in the Federal
Register and publish a technical
amendment to 40 CFR part 9 to display
the OMB control number for the
approved information collection
activities contained in this final rule.
D. Regulatory Flexibility Act (RFA)
I certify that this action will not have
a significant economic impact on a
substantial number of small entities
under the RFA. The small entities
subject to the requirements of this
action are chemical and refining
companies. The Agency has determined
that two small entities, representing
approximately 7 percent of the total
number of entities subject to the rule,
may experience an impact of less than
0.1 percent of revenues. Details of this
analysis are presented in the docket for
this action (Docket ID No. EPA–HQ–
OAR–2018–0833).
E. Unfunded Mandates Reform Act
(UMRA)
This action does not contain an
unfunded mandate of $100 million or
more as described in UMRA, 2 U.S.C.
1531–1538, and does not significantly or
uniquely affect small governments. This
action imposes no enforceable duty on
any state, local, or tribal governments,
or the private sector.
F. Executive Order 13132: Federalism
This action does not have federalism
implications. It will not have substantial
E:\FR\FM\10JYR2.SGM
10JYR2
41702
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
direct effects on the states, on the
relationship between the national
government and the states, or on the
distribution of power and
responsibilities among the various
levels of government.
G. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This action does not have tribal
implications, as specified in Executive
Order 13175 (65 FR 67249, November 9,
2000). There are no Site Remediation
facilities that are owned or operated by
tribal governments. Thus, Executive
Order 13175 does not apply to this
action.
H. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
This action is not subject to Executive
Order 13045 because it is not
economically significant as defined in
Executive Order 12866, and because the
EPA does not believe the environmental
health or safety risks addressed by this
action present a disproportionate risk to
children. This action’s health and risk
assessments are contained in the
Residual Risk Assessment for the Site
Remediation Source Category in
Support of the 2020 Risk and
Technology Review Final Rule
document, which is available in the
docket for this action, and are discussed
in sections III.A and IV.A of this
preamble.
jbell on DSKJLSW7X2PROD with RULES2
I. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
This action is not subject to Executive
Order 13211, because it is not a
significant regulatory action under
Executive Order 12866.
J. National Technology Transfer and
Advancement Act (NTTAA) and 1 CFR
part 51
This action involves technical
standards. The EPA is formalizing the
incorporation of two technical standards
that were included in the October 2003
rule for which the EPA had previously
not formally requested the Office of the
Federal Register to include in 40 CFR
63.14 with a reference back to the
sections in 40 CFR part 63, subpart
GGGGG. These two standards were
already incorporated in 40 CFR 63.14
and were formally requested for other
rules. These standards are API
Publication 2517, ‘‘Evaporative Loss
from External Floating-Roof Tanks,’’
Third Edition, February 1989, and
ASTM D2879–83, ‘‘Standard Method for
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
Vapor Pressure-Temperature
Relationship and Initial Decomposition
Temperature of Liquids by
Isoteniscope.’’ Sources subject to the
Site Remediation NESHAP must
determine the average total VOHAP
concentration of a remediation material
using either direct measurement or by
knowledge of the material. These
methods may be used to determine the
average VOHAP concentration of
remediation material. These analyses
are used to determine control
requirements for compliance with
applicable standards. While the API
Publication 2517 is used to determine
emissions from floating roof tanks, an
important component in determining
these emissions is the vapor pressure of
the material stored in the tank.
Therefore, this publication includes
widely used methods for determining
the maximum true vapor pressure of
HAP in liquids stored at ambient
temperature and is available to the
public for purchase from the reseller
IHS Markit Standards Store through
their website at https://global.ihs.com/.
The ASTM D2879–83 method is also
used to determine the maximum true
vapor pressure of HAP in liquids stored
at ambient temperature, and it is
available to the public for free viewing
online in the Reading Room section on
ASTM’s website at https://
www.astm.org/READINGLIBRARY/.
Hardcopies and printable versions are
also available for purchase from ASTM.
Additional information can be found at
https://www.api.org/ and https://
www.astm.org/Standard/
standardsandpublications.html.
K. Executive Order 12898: Federal
Actions to Address Environmental
Justice in Minority Populations and
Low-Income Populations
The EPA believes that this action does
not have disproportionately high and
adverse human health or environmental
effects on minority populations, lowincome populations and/or indigenous
peoples, as specified in Executive Order
12898 (59 FR 7629, February 16, 1994)
because it increases the level of
environmental protection for all affected
populations without having any
disproportionately high and adverse
human health or environmental effects
on any population, including any
minority, low income, or indigenous
populations. The results of the
demographic analysis completed by the
EPA are presented in the memorandum
titled Risk and Technology Review—
Analysis of Demographic Factors for
Populations Living Near Site
Remediation Source Category
Operations, which is available in the
PO 00000
Frm 00024
Fmt 4701
Sfmt 4700
docket for this action (Docket ID No.
EPA–HQ–OAR–2018–0833) and are
discussed in section V.F of this
preamble.
L. Congressional Review Act (CRA)
This action is subject to the CRA, and
the EPA will submit a rule report to
each House of the Congress and to the
Comptroller General of the United
States. This action is not a ‘‘major rule’’
as defined by 5 U.S.C. 804(2).
List of Subjects in 40 CFR Part 63
Environmental protection,
Administrative practice and procedures,
Air pollution control, Hazardous
substances, Incorporation by reference,
Intergovernmental relations, Reporting
and recordkeeping requirements.
Dated: March 12, 2020.
Andrew R. Wheeler,
Administrator.
For the reasons set forth in the
preamble, the EPA amends 40 CFR part
63 as follows:
PART 63—NATIONAL EMISSION
STANDARDS FOR HAZARDOUS AIR
POLLUTANTS FOR SOURCE
CATEGORIES
1. The authority citation for part 63
continues to read as follows:
■
Authority: 42 U.S.C. 7401 et seq.
2. Section 63.14 is amended by
revising paragraphs (c)(1) and (h)(31) to
read as follows:
■
§ 63.14
Incorporations by reference.
*
*
*
*
*
(c) * * *
(1) API Publication 2517, Evaporative
Loss from External Floating-Roof Tanks,
Third Edition, February 1989, IBR
approved for §§ 63.111, 63.1402,
63.2406 and 63.7944.
Note 1 to paragraph (c)(1): API Publication
2517 available through reseller HIS Markit at
https://global.ihs.com/
*
*
*
*
*
(h) * * *
(31) ASTM D2879–83, Standard
Method for Vapor Pressure-Temperature
Relationship and Initial Decomposition
Temperature of Liquids by Isoteniscope,
Approved November 28, 1983, IBR
approved for §§ 63.111, 63.1402,
63.2406, 63.7944, and 63.12005.
*
*
*
*
*
Subpart GGGGG—National Emission
Standards for Hazardous Air
Pollutants: Site Remediation
3. Section 63.7882 is amended by
revising paragraph (a) introductory text
■
E:\FR\FM\10JYR2.SGM
10JYR2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
and adding paragraph (a)(4) to read as
follows:
§ 63.7882 What site remediation sources at
my facility does this subpart affect?
(a) This subpart applies to each new,
reconstructed, or existing affected
source for your Site Remediation as
designated by paragraphs (a)(1) through
(4) of this section.
*
*
*
*
*
(4) Pressure relief devices. The
affected source is any pressure relief
device in remediation material service,
as defined in § 63.7957. Pressure relief
devices meeting the specifications of
paragraph (a)(3) of this section are also
part of an equipment leaks affected
source.
*
*
*
*
*
■ 4. Section 63.7883 is amended by
revising paragraphs (a), (b) introductory
text, (c) introductory text, and (d)
introductory text and adding paragraph
(f) to read as follows:
jbell on DSKJLSW7X2PROD with RULES2
§ 63.7883 When do I have to comply with
this subpart?
(a) If you have an existing affected
source, you must comply with each
emission limitation, work practice
standard, and operation and
maintenance requirement in this
subpart that applies to you no later than
October 9, 2006, except as provided in
paragraph (f) of this section.
(b) If you have a new affected source
that manages remediation material other
than a radioactive mixed waste as
defined in § 63.7957, then you must
meet the compliance date specified in
paragraph (b)(1) or (2) of this section, as
applicable to your affected source,
except as provided in paragraph (f) of
this section.
*
*
*
*
*
(c) If you have a new affected source
that manages remediation material that
is a radioactive mixed waste as defined
in § 63.7957, then you must meet the
compliance date specified in paragraph
(c)(1) or (2) of this section, as applicable
to your affected source, except as
provided in paragraph (f) of this section.
*
*
*
*
*
(d) If your facility is an area source
that increases its emissions or its
potential to emit such that it becomes a
major source of HAP as defined in
§ 63.2, then you must meet the
compliance dates specified in
paragraphs (d)(1) and (2) of this section,
except as provided in paragraph (f) of
this section.
*
*
*
*
*
(f) If the affected source’s initial
startup date is on or before September
3, 2019, you must comply with the
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
requirements specified in paragraphs
(f)(1) through (5) of this section by the
dates specified in those paragraphs. If
the affected source’s initial startup date
is after September 3, 2019, you must
comply with all of the applicable
requirements of this subpart upon initial
startup or July 10, 2020, whichever is
later.
(1) You must comply with the
equipment leak requirements of
§ 63.7920(b)(3), (d), and (e) on or before
July 10, 2021.
(2) You must comply with the
pressure relief device requirements of
§ 63.7923(a) on or before January 6,
2021.
(3) You must comply with the
pressure relief device requirements of
§ 63.7923(b) through (f) on or before
January 10, 2022.
(4) You must comply with the
pressure tank closure device reporting
and recordkeeping requirements of
§§ 63.7951(b)(11) and 63.7952(a)(7) on
or before January 6, 2021.
(5) You must comply with the
electronic reporting requirements of
§ 63.7951(e) through (h) on or before
January 6, 2021.
5. Section 63.7895 is amended by
revising paragraph (c) to read as follows:
■
§ 63.7895 What emissions limitations and
work practice standards must I meet for
tanks?
*
*
*
*
*
(c) If you use Tank Level 1 controls,
you must install and operate a fixed roof
according to the requirements in
§ 63.902, with the exceptions specified
in paragraphs (c)(1) and (2) of this
section. As an alternative to using this
fixed roof, you may choose to use one
of Tank Level 2 controls in paragraph
(d) of this section.
(1) Where § 63.902(c)(2) provides an
exception for a spring-loaded pressurevacuum relief valve, conservation vent,
or similar type of pressure relief device
which vents to the atmosphere, for any
source for the purposes of this subpart,
only a conservation vent is eligible for
the exception after January 6, 2021. If
your initial startup date is after
September 3, 2019, the exception for a
spring-loaded pressure-vacuum relief
valve, conservation vent, or similar type
of pressure relief device does not apply,
with the exception of a conservation
vent, for the purposes of this subpart
after July 10, 2020.
(2) The provisions of § 63.902(c)(3) do
not apply for the purposes of this
subpart if your initial startup date is
after September 3, 2019; for any source
the provisions of § 63.902(c)(3) do not
PO 00000
Frm 00025
Fmt 4701
Sfmt 4700
41703
apply for the purposes of this subpart
after January 6, 2021.
*
*
*
*
*
■ 6. Section 63.7896 is amended by
revising paragraphs (c)(1) and (3) and
(f)(1) to read as follows:
§ 63.7896 How do I demonstrate initial
compliance with the emissions limitations
and work practice standards for tanks?
*
*
*
*
*
(c) * * *
(1) Each tank using Tank Level 1
controls is equipped with a fixed roof
and closure devices according to the
requirements in § 63.902(b) and (c), with
the exceptions specified in
§ 63.7895(c)(1) and (2), and you have
records documenting the design.
*
*
*
*
*
(3) You will operate the fixed roof and
closure devices according to the
requirements in § 63.902, with the
exceptions specified in § 63.7895(c)(1)
and (2).
*
*
*
*
*
(f) * * *
(1) Each tank is equipped with a fixed
roof and closure devices according to
the requirements in § 63.685(g), with the
exceptions specified in § 63.7895(c)(1)
and (2), and you have records
documenting the design.
*
*
*
*
*
■ 7. Section 63.7898 is amended by
revising paragraph (c)(1) to read as
follows:
§ 63.7898 How do I demonstrate
continuous compliance with the emissions
limitations and work practice standards for
tanks?
*
*
*
*
*
(c) * * *
(1) Operating and maintaining the
fixed roof and closure devices according
to the requirements in § 63.902(c), with
the exceptions specified in
§ 63.7895(c)(1) and (2).
*
*
*
*
*
■ 8. Section 63.7900 is amended by
revising paragraphs (b)(1) through (3),
(c), and (d) to read as follows:
§ 63.7900 What emissions limitations and
work practice standards must I meet for
containers?
*
*
*
*
*
(b) * * *
(1) If the design capacity of your
container is less than or equal to 0.46
m3, then you must use controls
according to the standards for Container
Level 1 controls as specified in § 63.922.
As an alternative, you may choose to
use controls according to either of the
standards for Container Level 2 controls
as specified in § 63.923. § 63.922(d)(4)
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
41704
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
and (5) do not apply for the purposes of
this subpart if your initial startup date
is after September 3, 2019;
§ 63.922(d)(4) and (5) do not apply for
the purposes of this subpart for any
source after January 6, 2021.
(2) If the design capacity of your
container is greater than 0.46 m3, then
you must use controls according to the
standards for Container Level 2 controls
as specified in § 63.923 except as
provided for in paragraph (b)(3) of this
section. § 63.923(d)(4) and (5) do not
apply for the purposes of this subpart if
your initial startup date is after
September 3, 2019; § 63.923(d)(4) and
(5) do not apply for the purposes of this
subpart for any source after January 6,
2021.
(3) As an alternative to meeting the
standards in paragraph (b)(2) of this
section for containers with a capacity
greater than 0.46 m3, if you determine
that either of the conditions in
paragraph (b)(3)(i) or (ii) apply to the
remediation material placed in your
container, then you may use controls
according to the standards for Container
Level 1 controls as specified in § 63.922.
§ 63.922(d)(4) and (5) do not apply for
the purposes of this subpart if your
initial startup date is after September 3,
2019; § 63.922(d)(4) and (5) do not apply
for the purposes of this subpart for any
source after January 6, 2021.
*
*
*
*
*
(c) At times when a container having
a design capacity greater than 0.1 m3 is
used for treatment of a remediation
material by a waste stabilization process
as defined in § 63.7957, you must
control air emissions from the container
during the process whenever the
remediation material in the container is
exposed to the atmosphere according to
the standards for Container Level 3
controls as specified in § 63.924. You
must meet the emissions limitations and
work practice standards in § 63.7925
that apply to your closed vent system
and control device. § 63.924(d) does not
apply for the purposes of this subpart if
your initial startup date is after
September 3, 2019; § 63.924(d) does not
apply for the purposes of this subpart
for any source after January 6, 2021.
(d) As an alternative to meeting the
requirements in paragraph (b) of this
section, you may choose to use controls
on your container according to the
standards for Container Level 3 controls
as specified in § 63.924. You must meet
the emissions limitations and work
practice standards in § 63.7925 that
apply to your closed vent system and
control device. § 63.924(d) does not
apply for the purposes of this subpart if
your initial startup date is after
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
September 3, 2019; § 63.924(d) does not
apply for the purposes of this subpart
for any source after January 6, 2021.
*
*
*
*
*
■ 9. Section 63.7901 is amended by
revising paragraphs (a), (b)(1), (c)(2), and
(d)(3) to read as follows:
§ 63.7901 How do I demonstrate initial
compliance with the emissions limitations
and work practice standards for
containers?
(a) You must demonstrate initial
compliance with the emissions
limitations and work practice standards
in § 63.7900 that apply to your affected
containers by meeting the requirements
in paragraphs (b) through (e) of this
section, as applicable to your
containers.
(b) * * *
(1) You have determined the
applicable container control levels
specified in § 63.7900 for the containers
to be used for your Site Remediation.
*
*
*
*
*
(c) * * *
(2) You will operate each container
cover and closure device according to
the requirements in § 63.922(d), with
the exceptions specified in
§ 63.7900(b)(1).
(d) * * *
(3) You will operate and maintain the
container covers and closure devices
according to the requirements in
§ 63.923(d), with the exceptions
specified in § 63.7900(b)(2).
*
*
*
*
*
■ 10. Section 63.7903 is amended by
revising paragraphs (a), (b) introductory
text, (c)(1), and (d)(2) to read as follows:
§ 63.7903 How do I demonstrate
continuous compliance with the emissions
limitations and work practice standards for
containers?
(a) You must demonstrate continuous
compliance with the emissions
limitations and work practice standards
in § 63.7900 applicable to your affected
containers by meeting the requirements
in paragraphs (b) through (e) of this
section.
(b) You must demonstrate continuous
compliance with the requirement to
determine the applicable container
control level specified in § 63.7900(b)
for each affected tank by meeting the
requirements in paragraphs (b)(1)
through (3) of this section.
*
*
*
*
*
(c) * * *
(1) Operating and maintaining covers
for each container according to the
requirements in § 63.922(d), with the
exceptions specified in § 63.7900(b)(1).
*
*
*
*
*
PO 00000
Frm 00026
Fmt 4701
Sfmt 4700
(d) * * *
(2) Operating and maintaining
container covers according to the
requirements in § 63.923(d), with the
exceptions specified in § 63.7900(b)(2).
*
*
*
*
*
■ 11. Section 63.7905 is amended by
revising paragraphs (b)(1) and (2) to read
as follows:
§ 63.7905 What emissions limitations or
work practice standards must I meet for
surface impoundments?
*
*
*
*
*
(b) * * *
(1) Install and operate a floating
membrane cover according to the
requirements in § 63.942. § 63.942(c)(2)
and (3) do not apply for the purposes of
this subpart if your initial startup date
is after September 3, 2019; § 63.942(c)(2)
and (3) do not apply for the purposes of
this subpart for any source after January
6, 2021; or
(2) Install and operate a cover vented
through a closed vent system to a
control device according to the
requirements in § 63.943. You must
meet the emissions limitations and work
practice standards in § 63.7925 that
apply to your closed vent system and
control device. § 63.943(c)(2) does not
apply for the purposes of this subpart if
your initial startup date is after
September 3, 2019; § 63.943(c)(2) does
not apply for the purposes of this
subpart for any source after January 6,
2021.
*
*
*
*
*
■ 12. Section 63.7906 is amended by
revising paragraphs (b)(2) and (c)(2) to
read as follows:
§ 63.7906 How do I demonstrate initial
compliance with the emissions limitations
or work practice standards for surface
impoundments?
*
*
*
*
*
(b) * * *
(2) You will operate the cover and
closure devices according to the
requirements in § 63.942(c), with the
exceptions specified in § 63.7905(b)(1).
*
*
*
*
*
(c) * * *
(2) You will operate the cover and
closure devices according to the
requirements in § 63.943(c), with the
exceptions specified in § 63.7905(b)(2).
*
*
*
*
*
■ 13. Section 63.7908 is amended by
revising paragraphs (b)(1) and (c)(1) to
read as follows:
§ 63.7908 How do I demonstrate
continuous compliance with the emissions
limitations and work practice standards for
surface impoundments?
*
E:\FR\FM\10JYR2.SGM
*
*
10JYR2
*
*
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
(b) * * *
(1) Operating and maintaining the
floating membrane cover and closure
devices according to the requirements in
§ 63.942(c), with the exceptions
specified in § 63.7905(b)(1).
*
*
*
*
*
(c) * * *
(1) Operating and maintaining the
floating membrane cover and closure
devices according to the requirements in
§ 63.943(c), with the exceptions
specified in § 63.7905(b)(2).
*
*
*
*
*
14. Section 63.7910 is amended by
revising paragraphs (b)(1) through (3) to
read as follows:
■
§ 63.7910 What emissions limitations and
work practice standards must I meet for
separators?
jbell on DSKJLSW7X2PROD with RULES2
*
*
*
*
*
(b) * * *
(1) Install and operate a floating roof
according to the requirements in
§ 63.1043. For portions of the separator
where it is infeasible to install and
operate a floating roof, such as over a
weir mechanism, you must comply with
the requirements specified in paragraph
(b)(2) of this section. § 63.1043(c)(2)
does not apply for the purposes of this
subpart if your initial startup date is
after September 3, 2019; § 63.1043(c)(2)
does not apply for the purposes of this
subpart for any source after January 6,
2021.
(2) Install and operate a fixed roof
vented through a closed vent system to
a control device according to the
requirements in § 63.1044. You must
meet the emissions limitations and work
practice standards in § 63.7925 that
apply to your closed vent system and
control device. § 63.1044(c)(2) does not
apply for the purposes of this subpart if
your initial startup date is after
September 3, 2019; § 63.1044(c)(2) does
not apply for the purposes of this
subpart for any source after January 6,
2021.
(3) Install and operate a pressurized
separator according to the requirements
in § 63.1045. § 63.1045(b)(3)(i) does not
apply for the purposes of this subpart if
your initial startup date is after
September 3, 2019; § 63.1045(b)(3)(i)
does not apply for the purposes of this
subpart for any source after January 6,
2021.
*
*
*
*
*
15. Section 63.7911 is amended by
revising paragraphs (b)(2), (c)(2), and
(d)(2) to read as follows:
■
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
§ 63.7911 How do I demonstrate initial
compliance with the emissions limitations
and work practice standards for
separators?
*
*
*
*
*
(b) * * *
(2) You will operate the floating roof
and closure devices according to the
requirements in § 63.1043(c), with the
exceptions specified in § 63.7910(b)(1).
(c) * * *
(2) You will operate the fixed roof and
its closure devices according to the
requirements in § 63.1042(c).
§ 63.1042(c)(3) does not apply for the
purposes of this subpart if your initial
date is after September 3, 2019;
§ 63.1042(c)(3) does not apply for the
purposes of this subpart for any source
after January 6, 2021.
*
*
*
*
*
(d) * * *
(2) You will operate the pressurized
separator as a closed system according
to the requirements in § 63.1045(b)(3),
with the exceptions specified in
§ 63.7910(b)(3).
■ 16. Section 63.7912 is amended by
revising paragraph (c) to read as follows:
§ 63.7912 What are my inspection and
monitoring requirements for separators?
*
*
*
*
*
(c) If you use a pressurized separator
that operates as a closed system
according to § 63.7910(b)(3), you must
visually inspect each pressurized
separator and closure devices for defects
at least annually to ensure they are
operating according to the design
requirements in § 63.1045(b), with the
exceptions specified in § 63.7910(b)(3).
■ 17. Section 63.7913 is amended by
revising paragraphs (c)(1) and (d)(1) to
read as follows:
§ 63.7913 How do I demonstrate
continuous compliance with the emissions
limitations and work practice standards for
separators?
*
*
*
*
*
(c) * * *
(1) Operating and maintaining the
fixed roof and its closure devices
according to the requirements in
§ 63.1042, with the exceptions specified
in § 63.7911(c)(2).
*
*
*
*
*
(d) * * *
(1) Operating the pressurized
separator at all times according to the
requirements in § 63.1045, with the
exceptions specified in § 63.7910(b)(3).
*
*
*
*
*
■ 18. Revise the undesignated center
heading for §§ 63.7920 through 63.7922
to read as follows:
PO 00000
Frm 00027
Fmt 4701
Sfmt 4700
41705
Equipment Leaks and Pressure Relief
Devices
19. Section 63.7920 is amended by:
a. Revising paragraph (b)(1);
b. Adding paragraph (b)(3);
c. Redesignating paragraph (d) as
paragraph (f); and
■ d. Adding new paragraph (d) and
paragraph (e).
The additions and revisions read as
follows:
■
■
■
■
§ 63.7920 What emissions limitations and
work practice standards must I meet for
equipment leaks?
*
*
*
*
*
(b) * * *
(1) Control equipment leaks according
to all applicable requirements under 40
CFR part 63, subpart TT—National
Emission Standards for Equipment
Leaks—Control Level 1, with the
differences noted in paragraph (b)(3) of
this section for the purposes of this
subpart; or
*
*
*
*
*
(3)(i) For the purpose of complying
with the requirements of § 63.1006(b)(2),
the instrument reading that defines a
leak is 500 parts per million or greater.
(ii) For the purpose of complying with
the requirements of § 63.1007(b)(2), the
instrument reading that defines a leak is
5,000 parts per million or greater for
pumps handling polymerizing
monomers; 2,000 parts per million or
greater for pumps in food/medical
service; and 1,000 parts per million or
greater for all other pumps.
*
*
*
*
*
(d) For the purposes of this subpart,
the requirements of § 63.7920(e) of this
subpart apply rather than those of
§ 63.1030 or of § 63.1011, as applicable,
for pressure relief devices in gas and
vapor service. The requirements of
§ 63.7920(e) of this subpart apply rather
than those of § 63.1029 or of § 63.1010,
as applicable, for pressure relief devices
in liquid service.
(e) Operate each pressure relief device
under normal operating conditions, as
indicated by an instrument reading of
less than 500 ppm above the
background level as detected by the
method specified in § 63.1004(b) or
§ 63.1023(b), as applicable.
*
*
*
*
*
■ 20. Section 63.7923 is added before
the undesignated center heading
‘‘Closed Vent Systems and Control
Devices’’ to read as follows:
§ 63.7923 What monitoring and work
practice standards must I meet for pressure
relief devices?
(a) For each pressure relief device in
remediation material service, you must
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
41706
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
comply with either paragraph (a)(1) or
(2) of this section following a pressure
release actuation event, as applicable.
(1) If the pressure relief device does
not consist of or include a rupture disk,
return the pressure relief device to the
normal operating conditions specified
in § 63.7920(e) as soon as practicable
and conduct instrument monitoring by
the method specified in § 63.1004(b) or
§ 63.1023(b), as applicable, no later than
5 calendar days after the pressure
release device returns to remediation
material service following a pressure
release actuation event, except as
provided in § 63.1024(d) or of
§ 63.1005(c), as applicable.
(2) If the pressure relief device
consists of or includes a rupture disk,
except as provided in § 63.1024(d) or
§ 63.1005(c), as applicable, install a
replacement disk as soon as practicable
but no later than 5 calendar days after
the pressure release actuation event.
(b) Except for the pressure relief
devices described in paragraph (e) of
this section, you must comply with the
requirements of paragraphs (c) and (d)
of this section for each pressure relief
device in remediation material service.
(c) Equip each pressure relief device
in remediation material service with a
device(s) or use a monitoring system
sufficient to indicate a pressure release
to the atmosphere. The device or
monitoring system may be either
specific to the pressure release device
itself or may be associated with the
process system or piping. Examples of
these types of devices or monitoring
systems include, but are not limited to,
a rupture disk indicator, magnetic
sensor, motion detector on the pressure
relief valve stem, flow monitor, pressure
monitor, or parametric monitoring
system. The device(s) or monitoring
systems must be capable of meeting the
requirements specified in paragraphs
(c)(1) through (3) of this section.
(1) Identifying the pressure release;
(2) Recording the time and duration of
each pressure release; and
(3) Notifying operators immediately
that a pressure release is occurring.
(d) If any pressure relief device in
remediation material service releases
directly to the atmosphere as a result of
a pressure release actuation event,
follow the requirements of paragraphs
(d)(1) through (6) of this section.
(1) Calculate the quantity of HAP
listed in Table 1 of this subpart released
during each pressure release actuation
event. Calculations may be based on
data from the pressure relief device
monitoring alone or in combination
with process parameter monitoring data
and process knowledge.
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
(2) Determine the total number of
pressure release actuation events that
occurred during the calendar year for
each pressure relief device.
(3) Determine the total number of
pressure release actuation events for
each pressure relief device for which the
analysis conducted as required by
paragraph (d)(4) of this section
concluded that the pressure release was
due to a force majeure event, as defined
in § 63.7957.
(4) Complete an analysis to determine
the source, nature and cause of each
pressure release actuation event as soon
as practicable, but no later than 45 days
after a pressure release actuation event.
(5) Identify corrective measures to
prevent future such pressure release
actuation events as soon as practicable,
but no later than 45 days after a pressure
release actuation event.
(6) Implement the corrective
measure(s) identified as required by
paragraph (d)(5) of this section within
45 days of the pressure release actuation
event or as soon thereafter as
practicable. For corrective measures that
cannot be fully implemented within 45
days following the pressure release
actuation event, you must record the
corrective measure(s) completed to date,
and, for measure(s) not already
completed, a schedule for
implementation, including proposed
commencement and completion dates,
no later than 45 days following the
pressure release actuation event.
(e) The pressure relief devices listed
in paragraphs (e)(1) through (6) are not
subject to the requirements in paragraph
(c) or (d) of this section.
(1) Pressure relief devices designed
and operated to route all pressure
releases through a closed vent system to
a drain system meeting the requirements
of §§ 63.7915–63.7918, or to a fuel gas
system, process or control device
meeting the requirements of §§ 63.7925
through 63.7928.
(2) Pressure relief devices in heavy
liquid service, as defined in § 63.1001 or
§ 63.1020, as applicable.
(3) Thermal expansion relief valves.
(4) Pilot-operated pressure relief
devices where the primary release valve
is routed through a closed vent system
to a control device or back into the
process, to the fuel gas system, or to a
drain system.
(5) Balanced bellows pressure relief
devices where the primary release valve
is routed through a closed vent system
to a control device or back into the
process, to the fuel gas system, or to a
drain system.
(6) Pressure relief devices on
containers, as defined in § 63.7957.
PO 00000
Frm 00028
Fmt 4701
Sfmt 4700
(f) Except for the pressure relief
devices described in paragraph (e) of
this section, it is a violation of the
requirements of paragraphs (c) and (d)
of this section for any pressure relief
device in remediation material service
to release directly to the atmosphere as
a result of a pressure release actuation
event(s) described in paragraphs (f)(1)
through (3) of this section.
(1) Any pressure release actuation
event for which the cause of the event
determined as required by paragraph
(d)(4) of this section was determined to
be operator error or poor maintenance.
(2) A second pressure release
actuation event, not including force
majeure events, from a single pressure
relief device in a 3 calendar-year period
for the same cause for the same
equipment.
(3) A third pressure release actuation
event, not including force majeure
events, from a single pressure relief
device in a 3 calendar-year period for
any reason.
■ 21. Section 63.7925 is amended by
revising paragraph (b) to read as follows:
§ 63.7925 What emissions limitations and
work practice standards must I meet for
closed vent systems and control devices?
*
*
*
*
*
(b) You must comply with paragraph
(b)(2) of this section, and paragraph
(b)(1) of this section does not apply, if
your initial startup date is after
September 3, 2019. If your initial startup
date was on or before September 3,
2019, you must comply with paragraph
(b)(1) or (2) of this section until January
7, 2021, and after that date, you must
comply with paragraph (b)(2) of this
section, and paragraph (b)(1) of this
section does not apply.
(1) Whenever gases or vapors
containing HAP are vented through the
closed-vent system to the control
device, the control device must be
operating except at those times listed in
either paragraph (b)(1)(i) or (ii) of this
section.
(i) The control device may be
bypassed for the purpose of performing
planned routine maintenance of the
closed-vent system or control device in
situations when the routine
maintenance cannot be performed
during periods that the emission point
vented to the control device is
shutdown. On an annual basis, the total
time that the closed-vent system or
control device is bypassed to perform
routine maintenance must not exceed
240 hours per each calendar year.
(ii) The control device may be
bypassed for the purpose of correcting a
malfunction of the closed-vent system
or control device. You must perform the
E:\FR\FM\10JYR2.SGM
10JYR2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
adjustments or repairs necessary to
correct the malfunction as soon as
practicable after the malfunction is
detected.
(2) Whenever gases or vapors
containing HAP are vented through the
closed-vent system to the control
device, the control device must be
operating, except that the control device
on a tank may be bypassed for the
purpose of performing planned routine
maintenance of the control device.
When the tank control device is
bypassed, the owner or operator must
comply with paragraphs (b)(2)(i)
through (iii) of this section.
(i) The control device may only be
bypassed when the planned routine
maintenance cannot be performed
during periods that tank emissions are
vented to the control device.
(ii) On an annual basis, the total time
that the closed-vent system or control
device is bypassed to perform routine
maintenance must not exceed 240 hours
per each calendar year.
(iii) The level of material in the tank
must not be increased during periods
that the closed-vent system or control
device is bypassed to perform planned
routine maintenance.
*
*
*
*
*
■ 22. Section 63.7935 is amended by:
■ a. Revising paragraphs (a) through (c),
(e), and (f);
■ b. Adding paragraphs (g)(4) and (5);
and
■ c. Revising paragraphs (h)(1) through
(3) to read as follows:
jbell on DSKJLSW7X2PROD with RULES2
§ 63.7935 What are my general
requirements for complying with this
subpart?
(a) If your initial startup was on or
before September 3, 2019, you must be
in compliance with the emissions
limitations (including operating limits)
and the work practice standards in this
subpart at all times, except, until
January 6, 2021, during periods of
startup, shutdown, and malfunction. If
your initial startup was after September
3, 2019, then as of July 10, 2020, and for
all sources, after January 6, 2021, you
must be in compliance with the
emission limitations (including
operating limits) and the work practice
standards in this subpart at all times.
(b) If your initial startup was on or
before September 3, 2019, then until
January 6, 2021, you must operate and
maintain your affected source, including
air pollution control and monitoring
equipment, according to the provisions
in § 63.6(e)(1)(i). If your initial startup
was after September 3, 2019, then as of
July 10, 2020, and for all sources after
January 6, 2021, at all times, you must
operate and maintain any affected
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
source, including associated air
pollution control equipment and
monitoring equipment, in a manner
consistent with safety and good air
pollution control practices for
minimizing emissions. The general duty
to minimize emissions does not require
you to make any further efforts to
reduce emissions if levels required by
the applicable standard have been
achieved. Determination of whether a
source is operating in compliance with
operation and maintenance
requirements will be based on
information available to the
Administrator which may include, but
is not limited to, monitoring results,
review of operation and maintenance
procedures, review of operation and
maintenance records, and inspection of
the source.
(c) If your initial startup date was on
or before September 3, 2019, then until
January 6, 2021, you must develop a
written startup, shutdown, and
malfunction plan (SSMP) according to
the provisions in § 63.6(e)(3), and a
SSMP is not required after January 6,
2021. No SSMP is required for any
source for which the initial startup date
is after September 3, 2019.
*
*
*
*
*
(e) You must report each instance in
which you did not meet each emissions
limitation and each operating limit that
applies to you. You must also report
each instance in which you did not
meet the requirements for work practice
standards that apply to you. These
instances are deviations from the
emissions limitations and work practice
standards in this subpart. These
deviations must be reported according
to the requirements in § 63.7951.
(f) If your initial start date was on or
before September 3, 2019, consistent
with §§ 63.6(e) and 63.7(e)(1), then until
January 6, 2021, deviations that occur
during a period of startup, shutdown, or
malfunction are not violations if you
demonstrate to the Administrator’s
satisfaction that you were operating in
accordance with § 63.6(e)(1). We will
determine whether deviations that occur
during a period of startup, shutdown, or
malfunction are violations, according to
the provisions in § 63.6(e). If your initial
startup was after September 3, 2019,
then as of July 10, 2020, and for all
sources after January 6, 2021, you must
be in compliance with the emission
limitations in this subpart at all times
(unless a longer timeframe for
compliance is expressly provided in this
subpart), and we will determine
whether deviations that occur during a
period of startup, shutdown, or
PO 00000
Frm 00029
Fmt 4701
Sfmt 4700
41707
malfunction are violations according to
the provisions in § 63.7935(a) and (b).
*
*
*
*
*
(g) * * *
(4) Continuous monitoring system
(CMS) operation and maintenance
requirements in accordance with
§ 63.7945.
(5) CMS data collection in accordance
with § 63.7946.
(h) * * *
(1) If your initial startup was on or
before September 3, 2019, then until
January 6, 2021, you must address
ongoing operation and maintenance
(O&M) procedures in accordance with
the general requirements of § 63.8(c)(1),
(3), (4)(ii), (7), and (8). If your initial
startup was after September 3, 2019,
then as of July 10, 2020, and for all
sources after January 6, 2021, you must
address ongoing O&M procedures in
accordance with the general
requirements of § 63.8(c)(1)(ii), (c)(3),
(c)(4)(ii), and (c)(7) and (8).
(2) If your initial startup was on or
before September 3, 2019, then until
January 6, 2021, you must address
ongoing data quality assurance
procedures in accordance with the
general requirements of § 63.8(d). If your
initial startup was after September 3,
2019, then as of July 10, 2020, and for
all sources after January 6, 2021, you
must address ongoing data quality
assurance procedures in accordance
with the general requirements of
§ 63.8(d) except for the requirements
related to startup, shutdown, and
malfunction plans referenced in
§ 63.8(d)(3). The owner or operator shall
keep these written procedures on record
for the life of the affected source or until
the affected source is no longer subject
to the provisions of this part, to be made
available for inspection, upon request,
by the Administrator. If the performance
evaluation plan is revised, the owner or
operator shall keep previous (i.e.,
superseded) versions of the performance
evaluation plan on record to be made
available for inspection, upon request,
by the Administrator, for a period of 5
years after each revision to the plan. The
program of corrective action should be
included in the plan required under
§ 63.8(d)(2).
(3) If your initial startup was on or
before September 3, 2019, then until
January 6, 2021, you must address
ongoing recordkeeping and reporting
procedures in accordance with the
general requirements of § 63.10(c),
(e)(1), and (e)(2)(i). If your initial startup
was after September 3, 2019, then as of
July 10, 2020, and for all sources after
January 6, 2021, you must address
ongoing recordkeeping and reporting
E:\FR\FM\10JYR2.SGM
10JYR2
41708
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
procedures in accordance with the
general requirements of § 63.10(c)(1)
through (14), (e)(1), and (e)(2)(i).
*
*
*
*
*
■ 23. Section 63.7941 is amended by
revising paragraphs (b)(2) and (b)(4)
introductory text to read as follows:
§ 63.7941 How do I conduct a performance
test, design evaluation, or other type of
initial compliance demonstration?
*
*
*
*
*
(b) * * *
(2) If your initial startup date was on
or before September 3, 2019, then until
January 6, 2021, you must conduct each
performance test under representative
conditions according to the
requirements in § 63.7(e)(1). If your
initial startup date is after September 3,
2019, then as of July 10, 2020, and for
all sources after January 6, 2021, you
must conduct each performance test
under conditions representative of
normal operations. You may not
conduct performance tests during
periods of startup, shutdown, or
malfunction. The owner or operator
must record the process information
that is necessary to document operating
conditions during the test and include
in such record an explanation to
support that such conditions represent
normal operation. Upon request, the
owner or operator shall make available
to the Administrator such records as
may be necessary to determine the
conditions of performance tests.
*
*
*
*
*
(4) Follow the procedures in
paragraphs (b)(4)(i) through (iii) of this
section to determine compliance with
the facility-wide total organic mass
emissions rate in § 63.7890(b).
*
*
*
*
*
■ 24. Section 63.7942 is revised to read
as follows:
§ 63.7942 When must I conduct
subsequent performance tests?
For non-flare control devices, you
must conduct performance tests at any
time the EPA requires you to according
to § 63.7(a)(3).
■ 25. Section 63.7943 is amended by
revising paragraph (d) to read as
follows:
§ 63.7943 How do I determine the average
VOHAP concentration of my remediation
material?
jbell on DSKJLSW7X2PROD with RULES2
*
*
*
*
*
(d) In the event that you and we
disagree on a determination using
knowledge of the average total VOHAP
concentration for a remediation
material, then the results from a
determination of VOHAP concentration
using direct measurement by EPA
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
Method 305 in 40 CFR part 60,
appendix A, as specified in paragraph
(b) of this section, will be used to
determine compliance with the
applicable requirements of this subpart.
We may perform or require that you
perform this determination using direct
measurement.
■ 26. Section 63.7944 is amended:
■ a. In paragraph (b)(2)(ii), immediately
before the end semicolon, by adding
‘‘(incorporated by reference, see
§ 63.14)’’;
■ b. In paragraph (b)(2)(iv), by removing
the words ‘‘Method 2879–83’’ and
adding in their place ‘‘D2879–83
(incorporated by reference, see
§ 63.14)’’; and
■ c. Revising paragraph (d).
The revision reads as follows:
§ 63.7944 How do I determine the
maximum HAP vapor pressure of my
remediation material?
*
*
*
*
*
(d) In the event that you and us
disagree on a determination using
knowledge of the maximum HAP vapor
pressure of the remediation material,
then the results from a determination of
maximum HAP vapor pressure using
direct measurement by EPA Method 25E
in 40 CFR part 60, appendix A, as
specified in paragraph (b) of this
section, will be used to determine
compliance with the applicable
requirements of this subpart. We may
perform or require that you perform this
determination using direct
measurement.
■ 27. Section 63.7945 is amended by
adding paragraph (d) to read as follows:
§ 63.7945 What are my monitoring
installation, operation, and maintenance
requirements?
*
*
*
*
*
(d) Failure to meet the requirements
of paragraphs (a)(1) through (4) of this
section is a deviation and must be
reported according to the requirements
in § 63.7951(b)(7).
■ 28. Section 63.7951 is amended by:
■ a. Adding paragraphs (a)(6) and (7);
■ b. Revising paragraphs (b)(4), (b)(7)
introductory text, (b)(7)(ii), (b)(8)
introductory text, and (b)(8)(i), (iv), and
(vi),
■ d. Adding paragraphs (b)(10) and (11);
■ e. Revising paragraph (c); and
■ d. Adding paragraphs (e) through (h).
The additions and revisions read as
follows:
§ 63.7951
when?
What reports must I submit and
(a) * * *
(6) For pressure relief devices in
remediation material service subject to
PO 00000
Frm 00030
Fmt 4701
Sfmt 4700
the requirements of § 63.7923, submit a
description of the device or monitoring
system to be implemented, including
the pressure relief devices and process
parameters to be monitored, and a
description of the alarms or other
methods by which operators will be
notified of a pressure release. If your
initial startup date was on or before
September 3, 2019, then this
information must be submitted with the
next semi-annual periodic compliance
report. If your initial startup date is after
September 3, 2019, this information
must be submitted in the first periodic
compliance report. The information
must be updated in subsequent reports
if changes are made.
(7) Semi-annual compliance reports
must be submitted according to
paragraph (f) of this section.
(b) * * *
(4) If your initial startup date was on
or before September 3, 2019, then until
January 6, 2021, if you had a startup,
shutdown, or malfunction during the
reporting period and you took actions
consistent with your SSMP, the
compliance report must include the
information in § 63.10(d)(5)(i). If your
initial startup date is after September 3,
2019, then as of July 10, 2020, and for
all sources after January 6, 2021, an
SSMP and the information in
§ 63.10(d)(5)(i) is not required.
*
*
*
*
*
(7) For each deviation from an
emissions limitation (including an
operating limit) that occurs at an
affected source for which you are not
using a continuous monitoring system
(including a CPMS or CEMS) to comply
with an emissions limitation or work
practice standard required in this
subpart, the compliance report must
contain the information specified in
paragraphs (b)(1) through (3) and
(b)(7)(i) and (ii) of this section.
*
*
*
*
*
(ii) Information on the number of
deviations. For each deviation, include
the date, time, and duration, a list of the
affected sources or equipment, an
estimate of the quantity of each
regulated pollutant emitted over any
emission limit, a description of the
method used to estimate the emissions,
the actions taken to minimize
emissions, the cause of the deviation
(including unknown cause), as
applicable, and the corrective actions
taken to return the affected unit to its
normal or usual manner of operation.
*
*
*
*
*
(8) For each deviation from an
emissions limitation (including an
operating limit) or work practice
standard occurring at an affected source
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
where you are using a continuous
monitoring system (including a CPMS
or CEMS) to comply with the emissions
limitations or work practice standard in
this subpart, you must include the
information specified in paragraphs
(b)(1) through (3) and (b)(8)(i) through
(xi) of this section.
(i) Information on the number of
deviations. For each deviation, include
the date, time, and duration, a list of the
affected sources or equipment, an
estimate of the quantity of each
regulated pollutant emitted over any
emission limit, a description of the
method used to estimate the emissions,
the actions taken to minimize
emissions, the cause of the deviation
(including unknown cause), as
applicable, and the corrective actions
taken to return the affected unit to its
normal or usual manner of operation.
*
*
*
*
*
(iv) For each deviation caused when
the daily average value of a monitored
operating parameter is less than the
minimum operating parameter limit (or,
if applicable, greater than the maximum
operating parameter limit), the report
must include the daily average values of
the monitored parameter, the applicable
operating parameter limit, and the date
and duration of the period that the
deviation occurred. For each deviation
caused by lack of monitoring data, the
report must include the date and
duration of period when the monitoring
data were not collected and the reason
why the data were not collected.
*
*
*
*
*
(vi) A breakdown of the total duration
of the deviations during the reporting
period into those that are due to control
equipment problems, process problems,
other known causes, and unknown
causes.
*
*
*
*
*
(10) For pressure relief devices in
remediation material service,
compliance reports must include the
information specified in paragraphs
(b)(10)(i) through (iii) of this section.
(i) For pressure relief devices in
remediation material service subject to
§ 63.7920(e), report the number of
occurrences of an instrument reading of
500 ppm above the background level or
greater, if detected more than 5 days
after a pressure release.
(ii) For pressure relief devices in
remediation service subject to
§ 63.7923(c), report confirmation, yes or
no, that the monitoring required to show
compliance was conducted during the
reporting period.
(iii) For pressure relief devices in
remediation material service subject to
§ 63.7923(d), report each pressure
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
release to the atmosphere, including the
following information:
(A) The date, time, and duration of
the pressure release actuation event.
(B) An estimate of the mass quantity
of total HAP listed in Table 1 of this
subpart emitted during the pressure
release actuation event and the method
used for determining this quantity.
(C) The source, nature and cause of
the pressure release actuation event.
(D) The actions taken to prevent this
pressure release actuation event.
(E) The measures implemented during
the reporting period to prevent future
such pressure release actuation events,
and, if applicable, the implementation
schedule for planned corrective actions
to be implemented subsequent to the
reporting period.
(11) Pressure tank closure device or
bypass deviation information.
Compliance reports must include the
information specified in paragraph
(b)(11)(iv) of this section when any of
the conditions in paragraphs (b)(11)(i)
through (iii) of this section are met.
(i) Any pressure tank closure device,
as specified in specified in
§ 63.7895(d)(4), has released to the
atmosphere.
(ii) Any closed vent system that
includes bypass devices that could
divert a vent a stream away from the
control device and into the atmosphere,
as specified in § 63.7927(a)(2), has
released directly to the atmosphere.
(iii) Any open-ended valve or line in
an emergency shutdown system which
is designed to open automatically in the
event of a process upset, as specified in
§ 63.1014(c) or § 63.1033(c), has released
directly to the atmosphere.
(iv) The compliance report must
include the information specified in
paragraphs (b)(11)(iv)(A) through (E) of
this section.
(A) The source, nature and cause of
the release.
(B) The date, time and duration of the
discharge.
(C) An estimate of the quantity of total
HAP listed in Table 1 of this subpart
emitted during the release and the
method used for determining this
quantity.
(D) The actions taken to prevent this
release.
(E) The measures adopted to prevent
future such releases.
(c) Immediate startup, shutdown, and
malfunction report. If your initial
startup was on or before September 3,
2019, then until January 6, 2021, if you
had a startup, shutdown, or malfunction
during the semiannual reporting period
that was not consistent with your SSMP,
you must submit an immediate startup,
shutdown and malfunction report
PO 00000
Frm 00031
Fmt 4701
Sfmt 4700
41709
according to the requirements of
§ 63.10(d)(5)(ii). If your initial startup
date is after September 3, 2019, then as
of July 10, 2020, and for all sources after
January 6, 2021, an immediate startup,
shutdown, and malfunction report is not
required.
*
*
*
*
*
(e) Performance Test and CMS
Performance Evaluation Reports. Within
60 days after the date of completing
each performance test or continuous
monitoring system (CMS) performance
evaluation (as defined in § 63.2)
required by this subpart, the owner or
operator must submit the results of the
performance test or performance
evaluation according to the manner
specified by either paragraph (e)(1) or
(2) of this section.
(1) Data collected using test methods
supported by the EPA’s Electronic
Reporting Tool (ERT) as listed on the
EPA’s ERT website (https://
www.epa.gov/electronic-reporting-airemissions/electronic-reporting-tool-ert)
at the time of the test. Submit the results
of the performance test or the
performance evaluation of CMS
measuring relative accuracy test audit
(RATA) pollutants to the EPA via the
Compliance and Emissions Data
Reporting Interface (CEDRI), which can
be accessed through the EPA’s Central
Data Exchange (CDX) (https://
cdx.epa.gov/). The data must be
submitted in a file format generated
through the use of the EPA’s ERT.
Alternatively, you may submit an
electronic file consistent with the
extensible markup language (XML)
schema listed on the EPA’s ERT
website.
(2) Data collected using test methods
that are not supported by the EPA’s ERT
as listed on the EPA’s ERT website at
the time of the test. The results of the
performance test or the performance
evaluation of CMS measuring RATA
pollutants by methods that are not
supported by the ERT must be included
as an attachment in the ERT or an
alternate electronic file consistent with
the XML schema listed on the EPA’s
ERT website. The results of the
performance test or the performance
evaluation of CMS measuring RATA
pollutants by methods that are not
supported by the ERT, must be included
as an attachment in the ERT or an
alternate electronic file consistent with
the XML schema listed on the EPA’s
ERT website. Submit the ERT generated
package or alternative file to the EPA via
CEDRI.
(f) Submitting reports electronically. If
you are required to submit reports
following the procedure specified in
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
41710
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
this paragraph, you must submit reports
to the EPA via CEDRI, which can be
accessed through the EPA’s CDX
(https://cdx.epa.gov/). You must use the
appropriate electronic report template
on the CEDRI website (https://
www.epa.gov/electronic-reporting-airemissions/compliance-and-emissionsdata-reporting-interface-cedri) for this
subpart. The report must be submitted
by the deadline specified in this
subpart, regardless of the method in
which the report is submitted. If you
claim some of the information required
to be submitted via CEDRI is
confidential business information (CBI),
submit a complete report, including
information claimed to be CBI, to the
EPA. The report must be generated
using the appropriate form on the
CEDRI website. Submit the file on a
compact disc, flash drive, or other
commonly used electronic storage
medium and clearly mark the medium
as CBI. Mail the electronic medium to
U.S. EPA/OAQPS/CORE CBI Office,
Attention: Group Leader, Measurement
Policy Group, MD C404–02, 4930 Old
Page Rd., Durham, NC 27703. The same
file with the CBI omitted must be
submitted to the EPA via the EPA’s CDX
as described earlier in this paragraph.
(g) Claims of EPA system outage. If
you are required to electronically
submit a report through CEDRI in the
EPA’s CDX, you may assert a claim of
EPA system outage for failure to timely
comply with the reporting requirement.
To assert a claim of EPA system outage,
you must meet the requirements
outlined in paragraphs (g)(1) through (7)
of this section.
(1) You must have been or will be
precluded from accessing CEDRI and
submitting a required report within the
time prescribed due to an outage of
either the EPA’s CEDRI or CDX systems.
(2) The outage must have occurred
within the period of time beginning five
business days prior to the date that the
submission is due.
(3) The outage may be planned or
unplanned.
(4) You must submit notification to
the Administrator in writing as soon as
possible following the date you first
knew, or through due diligence should
have known, that the event may cause
or has caused a delay in reporting.
(5) You must provide to the
Administrator a written description
identifying:
(i) The date(s) and time(s) when CDX
or CEDRI was accessed and the system
was unavailable;
(ii) A rationale for attributing the
delay in reporting beyond the regulatory
deadline to EPA system outage;
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
(iii) Measures taken or to be taken to
minimize the delay in reporting; and
(iv) The date by which you propose to
report, or if you have already met the
reporting requirement at the time of the
notification, the date you reported.
(6) The decision to accept the claim
of EPA system outage and allow an
extension to the reporting deadline is
solely within the discretion of the
Administrator.
(7) In any circumstance, the report
must be submitted electronically as
soon as possible after the outage is
resolved.
(h) Claims of force majeure. If you are
required to electronically submit a
report through CEDRI in the EPA’s CDX,
you may assert a claim of force majeure
for failure to timely comply with the
reporting requirement. To assert a claim
of force majuere, you must meet the
requirements outlined in paragraphs
(h)(1) through (5) of this section.
(1) You may submit a claim if a force
majeure event is about to occur, occurs,
or has occurred or there are lingering
effects from such an event within the
period of time beginning five business
days prior to the date the submission is
due. For the purposes of this section, a
force majeure event is defined as an
event that will be or has been caused by
circumstances beyond the control of the
affected facility, its contractors, or any
entity controlled by the affected facility
that prevents you from complying with
the requirement to submit a report
electronically within the time period
prescribed. Examples of such events are
acts of nature (e.g., hurricanes,
earthquakes, or floods), acts of war or
terrorism, or equipment failure or safety
hazard beyond the control of the
affected facility (e.g., large scale power
outage).
(2) You must submit notification to
the Administrator in writing as soon as
possible following the date you first
knew, or through due diligence should
have known, that the event may cause
or has caused a delay in reporting.
(3) You must provide to the
Administrator:
(i) A written description of the force
majeure event;
(ii) A rationale for attributing the
delay in reporting beyond the regulatory
deadline to the force majeure event;
(iii) Measures taken or to be taken to
minimize the delay in reporting; and
(iv) The date by which you propose to
report, or if you have already met the
reporting requirement at the time of the
notification, the date you reported.
(4) The decision to accept the claim
of force majeure and allow an extension
to the reporting deadline is solely
PO 00000
Frm 00032
Fmt 4701
Sfmt 4700
within the discretion of the
Administrator.
(5) In any circumstance, the reporting
must occur as soon as possible after the
force majeure event occurs.
■ 29. Section 63.7952 is amended by:
■ a. Revising paragraph (a)(2);
■ b. Redesignating paragraphs (a)(3) and
(4) as paragraphs (a)(9) and (10);
■ c. Adding new paragraph (a)(3) and
paragraphs (a)(4) through (8) and (e).
The revision and additions read as
follows:
§ 63.7952
What records must I keep?
(a) * * *
(2) If your initial startup date is on or
before September 3, 2019, you must
continue to keep any records specified
in § 63.6(e)(3)(iii) through (v) related to
startup, shutdown, and malfunction.
(3) If your initial startup was after
September 3, 2019, then as of July 10,
2020, and for all sources after January 6,
2021, for each deviation from an
emissions limitation (including an
operating limit) or work practice
standard occurring at an affected source,
you must record information on the
number of deviations. For each
deviation, include the date, time, and
duration, a list of the affected sources or
equipment, an estimate of the quantity
of each regulated pollutant emitted over
any emission limit, a description of the
method used to estimate the emissions,
the actions taken to minimize
emissions, the cause of the deviation
(including unknown cause), as
applicable, and the corrective actions
taken to return the affected unit to its
normal or usual manner of operation.
(4) For pressure relief devices in
remediation material service, keep
records of the information specified in
paragraphs (a)(4)(i) through (iii) of this
section, as applicable.
(i) A list of identification numbers for
pressure relief devices that are not
subject to the requirements of
§ 63.7923(c) and (d) under the
provisions of § 63.7923(e).
(ii) A list of identification numbers for
pressure relief devices subject to the
requirements of § 63.7923(a), (c), and (d)
that do not consist of or include a
rupture disk.
(iii) A list of identification numbers
for pressure relief devices subject to the
requirements of § 63.7923(a), (c), and (d)
equipped with rupture disks.
(5) For pressure relief devices in
remediation material service subject to
§ 63.7923(d), keep records of each
pressure release event to the atmosphere
as specified in paragraphs (a)(5)(i)
through (viii) of this section.
(i)The date, time, and duration of the
pressure release event.
E:\FR\FM\10JYR2.SGM
10JYR2
jbell on DSKJLSW7X2PROD with RULES2
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
(ii) The dates and results of the EPA
Method 21 of 40 CFR part 60, appendix
A, monitoring following a pressure
release event, if applicable. The results
of each monitoring event shall include
the measured background level and the
maximum instrument reading measured
at each pressure relief device.
(iii) The dates replacement rupture
disks were installed following a
pressure release event, if applicable.
(iv) An estimate of the mass quantity
of total HAP listed in Table 1 of this
subpart emitted during the pressure
release event and the method used for
determining this quantity.
(v) The source, nature and cause of
the pressure release event, including an
identification of the affected pressure
relief device(s) and a statement noting
whether the event resulted from the
same cause(s) identified following a
previous pressure release event.
(vi) The corrective measures
identified to prevent future such
pressure release events, or an
explanation of why corrective measures
are not necessary.
(vii) The actions taken to prevent this
pressure release event.
(viii) Records of the corrective
measures implemented, including a
description of the corrective measure(s)
completed within the first 45 days
following a pressure release event, and,
if applicable, the implementation
schedule for planned corrective
measures to be implemented subsequent
to the first 45 days following the
pressure release event, including
proposed commencement and
completion dates. (6) Records of the
number of pressure release events
during each calendar year and the
number of those events for which the
cause was determined to be a force
majeure event. Keep these records for
the current calendar year and the past
5 calendar years.
(7)(i) For pressure tank closure
devices, as specified in § 63.7895(d)(4),
keep records of each release to the
atmosphere, including the information
specified in paragraphs (a)(7)(iii)(A)
through (G) of this section.
(ii) For each closed vent system that
includes bypass devices that could
divert a stream away from the control
device and into the atmosphere, as
specified in § 63.7927(a)(2), and each
open-ended valve or line in an
emergency shutdown system which is
designed to open automatically in the
event of a process upset, as specified in
§ 63.1014(c) or § 63.1033(c), keep
records of each release to the
atmosphere, including the information
specified in paragraphs (a)(7)(iii)(A)
though (G) of this section.
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
(iii)(A) The source, nature, and cause
of the release.
(B) The date, time, and duration of the
release.
(C) An estimate of the quantity of
HAP listed in Table 1 of this subpart
emitted during the release and the
calculations used for determining this
quantity.
(D) The actions taken to prevent this
release.
(E) The measures adopted to prevent
future such release.
(F) Hourly records of whether the
bypass flow indicator specified under
§ 63.7927(a)(2)(i) was operating and
whether a diversion was detected at any
time during the hour, as well as records
of the times of all periods when the vent
stream is diverted from the control
device or the flow indicator is not
operating.
(G) Where a seal mechanism is used
to comply with § 63.7927(a)(2)(ii),
hourly records of flow are not required.
In such cases, you must record that the
monthly visual inspection of the seals or
closure mechanism has been done and
record the duration of all periods when
the seal mechanism is broken, the
bypass line valve position has changed,
or the key for a lock-and-key type lock
has been checked out, and records of
any car-seal that has broken.
(8) A record of the fluid level at the
beginning and end of each maintenance
period during which the tank is subject
to § 63.7925(b)(3).
*
*
*
*
*
(e) Any records required to be
maintained by this part that are
submitted electronically via the EPA’s
CEDRI may be maintained in electronic
format. This ability to maintain
electronic copies does not affect the
requirement for facilities to make
records, data, and reports available
upon request to a delegated air agency
or the EPA as part of an on-site
compliance evaluation.
30. Section 63.7956 is amended by
adding paragraph (c)(5) to read as
follows:
*
*
*
*
*
(c) * * *
(5) Approval of an alternative to any
electronic reporting to the EPA required
by this subpart.
■ 31. Section 63.7957 is amended by:
■ a. Adding in alphabetical order a
definition for ‘‘Bypass’’;
■ b. Revising the definition of
‘‘Deviation’’;
■ c. Adding in alphabetical order
definitions for ‘‘Force majeure’’,
‘‘Pressure release actuation event’’, and
‘‘Pressure relief device or valve’’;
■ d. Revising the definition of ‘‘Process
vent’’; and
PO 00000
Frm 00033
Fmt 4701
Sfmt 4700
41711
e. Removing the definition of ‘‘Safety
device’’.
The additions and revisions read as
follows:
■
§ 63.7957
subpart?
What definitions apply to this
*
*
*
*
*
Bypass means diverting a process vent
or closed vent system stream to the
atmosphere such that it does not first
pass through an emission control
device.
*
*
*
*
*
Deviation means any instance in
which an affected source subject to this
subpart, or an owner or operator of such
a source:
(1) Fails to meet any requirement or
obligation established by this subpart,
including but not limited to any
emissions limitation (including any
operating limit), or work practice
standard;
(2) Fails to meet any term or condition
that is adopted to implement an
applicable requirement in this subpart
and that is included in the operating
permit for any affected source required
to obtain such a permit; or
(3) Fails to meet any emissions
limitation, (including any operating
limit), or work practice standard in this
subpart regardless of whether or not
such failure is permitted by this subpart.
*
*
*
*
*
Force majeure event means a release
of HAP directly to the atmosphere from
a pressure relief device that is
demonstrated to the satisfaction of the
Administrator to result from an event
beyond the owner or operator’s control,
such as natural disasters; acts of war or
terrorism; loss of a utility external to the
Site Remediation unit (e.g., external
power curtailment), excluding power
curtailment due to an interruptible
service agreement; and fire or explosion
originating at a near or adjoining facility
outside of the Site Remediation affected
source that impacts the Site
Remediation affected source’s ability to
operate.
*
*
*
*
*
Pressure release actuation event
means the emission of materials
resulting from the system pressure being
greater than the set pressure of the
pressure relief device. This release can
be one release or a series of releases over
a short time period.
Pressure relief device or valve means
a safety device used to prevent
operating pressures from exceeding the
maximum allowable working pressure
of the process equipment. A common
pressure relief device is a spring-loaded
pressure relief valve. Devices that are
E:\FR\FM\10JYR2.SGM
10JYR2
41712
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
actuated either by a pressure of less than
or equal to 2.5 pounds per square inch
gauge or by a vacuum are not pressure
relief devices.
*
*
*
*
*
Process vent means any open-ended
pipe, stack, duct, or other opening
intended to allow the passage of gases,
vapors, or fumes to the atmosphere and
this passage is caused by mechanical
means (such as compressors, vacuum-
32. Table 3 to subpart GGGGG of part
63 is revised to read as follows:
■
Table 3 to Subpart GGGGG of Part 63—
Applicability of General Provisions to
Subpart GGGGG
As stated in § 63.7940, you must
comply with the applicable General
Provisions requirements according to
the following table:
Citation
Subject
Brief description
§ 63.1 ...............................
Applicability .................................
§ 63.2 ...............................
§ 63.3 ...............................
§ 63.4 ...............................
§ 63.5 ...............................
§ 63.6(a) ...........................
Definitions ...................................
Units and Abbreviations ..............
Prohibited Activities ....................
Construction/Reconstruction .......
Applicability .................................
§ 63.6(b)(1)–(4) ................
Compliance Dates for New and
Reconstructed sources.
§ 63.6(b)(5) ......................
Notification ..................................
§ 63.6(b)(6) ......................
§ 63.6(b)(7) ......................
[Reserved] ...................................
Compliance Dates for New and
Reconstructed Area Sources
That Become Major.
Compliance Dates for Existing
Sources.
Initial Applicability Determination; Applicability After Standard Established; Permit Requirements; Extensions, Notifications.
Definitions for part 63 standards ......................................................
Units and abbreviations for part 63 standards ................................
Prohibited Activities; Compliance date; Circumvention, Severability
Applicability; applications; approvals ...............................................
General Provisions (GP) apply unless compliance extension GP
apply to area sources that become major.
Standards apply at effective date; 3 years after effective date;
upon startup; 10 years after construction or reconstruction commences for 112(f).
Must notify if commenced construction or reconstruction after proposal.
...........................................................................................................
Area sources that become major must comply with major source
standards immediately upon becoming major, regardless of
whether required to comply when they were an area source.
Comply according to date in subpart, which must be no later than
3 years after effective date. For 112(f) standards, comply within
90 days of effective date unless compliance extension.
...........................................................................................................
Area sources that become major must comply with major source
standards by date indicated in subpart or by equivalent time period (for example, 3 years).
...........................................................................................................
...........................................................................................................
...........................................................................................................
§ 63.6(c)(1)–(2) ................
§ 63.6(c)(3)–(4) ................
§ 63.6(c)(5) ......................
§ 63.6(d) ...........................
§ 63.6(e)(1)–(2) ................
§ 63.6(e)(3) ......................
§ 63.6(f)(1) .......................
§ 63.6(f)(2)–(3) .................
§ 63.6(g)(1)–(3) ................
§ 63.6(h) ...........................
§ 63.6(i)(1)–(14) ...............
§ 63.6(j) ............................
jbell on DSKJLSW7X2PROD with RULES2
producing systems or fans) or by
process-related means (such as
volatilization produced by heating). For
the purposes of this subpart, a process
vent is neither a pressure relief device
(as defined in this section) nor a stack,
duct or other opening used to exhaust
combustion products from a boiler,
furnace, heater, incinerator, or other
combustion device.
*
*
*
*
*
[Reserved] ...................................
Compliance Dates for Existing
Area Sources That Become
Major.
[Reserved] ...................................
Operation & Maintenance ...........
Startup, Shutdown, and Malfunction Plan (SSMP).
Compliance Except During SSM
Methods for Determining Compliance.
Alternative Standard ...................
Opacity/Visible Emissions (VE)
Standards.
Compliance Extension ................
§ 63.7(a)(1)–(2) ................
Presidential Compliance Exemption.
Performance Test Dates .............
§ 63.7(a)(3) ......................
CAA Section 114 Authority .........
§ 63.7(b)(1) ......................
§ 63.7(b)(2) ......................
Notification of Performance Test
Notification of Rescheduling .......
§ 63.7(c) ...........................
Quality Assurance/Test Plan ......
§ 63.7(d) ...........................
§ 63.7(e)(1) ......................
Testing Facilities .........................
Conditions for Conducting Performance Tests.
§ 63.7(e)(2) ......................
§ 63.7(e)(3) ......................
Conditions for Conducting Performance Tests.
Test Run Duration ......................
§ 63.7(f) ............................
Alternative Test Method ..............
§ 63.7(g) ...........................
Performance Test Data Analysis
§ 63.7(h) ...........................
§ 63.8(a)(1) ......................
Waiver of Tests ...........................
Applicability of Monitoring Requirements.
Performance Specifications ........
[Reserved] ...................................
§ 63.8(a)(2) ......................
§ 63.8(a)(3) ......................
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
PO 00000
Applies to subpart GGGGG
...........................................................................................................
Compliance based on performance test, operation and maintenance plans, records, inspection.
Procedures for getting an alternative standard ...............................
Requirements for opacity and visible emissions limits ....................
Procedures and criteria for Administrator to grant compliance extension.
President may exempt source category from requirement to comply with final rule.
Dates for Conducting Initial Performance Testing and Other Compliance Demonstrations. Must conduct 180 days after first subject to final rule.
Administrator may require a performance test under CAA section
114 at any time.
Must notify Administrator 60 days before the test ...........................
If rescheduling a performance test is necessary, must notify Administrator 5 days before scheduled date of rescheduled date.
Requirement to submit site-specific test plan 60 days before the
test or on date Administrator agrees with: Test plan approval
procedures; performance audit requirements; internal and external QA procedures for testing.
Requirements for testing facilities ....................................................
Performance tests must be conducted under representative conditions. Cannot conduct performance tests during SSM. Not a violation to exceed standard during SSM.
Must conduct according to rule and EPA test methods unless Administrator approves alternative.
Must have three test runs of at least one hour each. Compliance
is based on arithmetic mean of three runs. Conditions when
data from an additional test run can be used.
Procedures by which Administrator can grant approval to use an
alternative test method.
Must include raw data in performance test report. Must submit
performance test data 60 days after end of test with the Notification of Compliance Status. Keep data for 5 years.
Procedures for Administrator to waive performance test ................
Subject to all monitoring requirements in standard .........................
Performance Specifications in appendix B of part 60 apply ...........
...........................................................................................................
Frm 00034
Fmt 4701
Sfmt 4700
E:\FR\FM\10JYR2.SGM
10JYR2
Yes.
Yes.
Yes.
Yes.
Yes.
Yes.
Yes.
Yes.
Yes.
Yes.
Yes.
No, see § 63.7935(b).
No, see § 63.7935(c).
No, see § 63.7935(b).
Yes.
Yes.
No. No opacity standards.
Yes.
Yes.
Yes.
Yes.
Yes.
Yes.
Yes.
Yes.
No, see § 63.7941(b)(2).
Yes.
Yes.
Yes.
Yes.
Yes.
Yes.
Yes.
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
Citation
Subject
Brief description
§ 63.8(a)(4) ......................
Monitoring with Flares ................
§ 63.8(b)(1) ......................
Monitoring ...................................
§ 63.8(b)(2)–(3) ................
Multiple Effluents and Multiple
Monitoring Systems.
§ 63.8(c)(1) ......................
Monitoring System Operation
and Maintenance.
Monitoring System Operation .....
Monitoring System Repair ..........
Monitoring System SSM Plan .....
Monitoring System Installation ....
Unless your rule says otherwise, the requirements for flares in
63.11 apply.
Must conduct monitoring according to standard unless Administrator approves alternative.
Specific requirements for installing monitoring systems. Must install on each effluent before it is combined and before it is released to the atmosphere unless Administrator approves otherwise. If more than one monitoring system on an emissions
point, must report all monitoring system results, unless one
monitoring system is a backup.
Maintain monitoring system in a manner consistent with good air
pollution control practices.
Operate and maintain system as specified in § 63.6(e)(1) ..............
Keep part for routine repairs available ............................................
Develop an SSM Plan for the monitoring system ...........................
Must install to get representative emissions and parameter measurements. Must verify operational status before or at performance test.
CMS must be operating except during breakdown, out-of-control,
repair, maintenance, and high-level calibration drifts.
COMS must have a minimum of one cycle of sampling and analysis for each successive 10-second period and one cycle of
data recording for each successive 6-minute period. CEMS
must have a minimum of one cycle of operation for each successive 15-minute period.
COMS minimum procedures ............................................................
Zero and High level calibration check requirements .......................
§ 63.8(c)(1)(i) ...................
§ 63.8(c)(1)(ii) ..................
§ 63.8(c)(1)(iii) ..................
§ 63.8(c)(2)–(3) ................
§ 63.8(c)(4) ......................
§ 63.8(c)(4)(i)–(ii) .............
§ 63.8(c)(5) ......................
§ 63.8(c)(6) ......................
COMS Minimum Procedures ......
CMS Requirements ....................
§ 63.8(c)(7)–(8) ................
§ 63.8(d) ...........................
CMS Requirements ....................
CMS Quality Control ...................
§ 63.8(e) ...........................
§ 63.8(f)(1)–(5) .................
§ 63.8(f)(6) .......................
§ 63.8(g)(1)–(4) ................
CMS Performance Evaluation ....
Alternative Monitoring Method ....
Alternative to Relative Accuracy
Test.
Data Reduction ...........................
§ 63.8(g)(5) ......................
Data Reduction ...........................
§ 63.9(a) ...........................
§ 63.9(b)(1)–(5) ................
Notification Requirements ...........
Initial Notifications. ......................
§ 63.9(c) ...........................
Request for Compliance Extension.
Notification of Special Compliance Requirements for New
Source.
Notification of Performance Test
Notification of VE/Opacity Test ...
Additional Notifications When
Using CMS.
Notification of Compliance Status
§ 63.9(d) ...........................
§ 63.9(e) ...........................
§ 63.9(f) ............................
§ 63.9(g) ...........................
§ 63.9(h)(1)–(6) ................
§ 63.9(i) ............................
jbell on DSKJLSW7X2PROD with RULES2
Continuous Monitoring System
(CMS) Requirements.
Continuous Monitoring System
(CMS) Requirements.
Applies to subpart GGGGG
Out-of-control periods, including reporting .......................................
Requirements for CMS quality control, including calibration, etc.
Must keep quality control plan on record for 5 years. Keep old
versions for 5 years after revisions.
Notification, performance evaluation test plan, reports ...................
Procedures for Administrator to approve alternative monitoring .....
Procedures for Administrator to approve alternative relative accuracy tests for CEMS.
COMS 6-minute averages calculated over at least 36 evenly
spaced data points. CEMS 1-hour averages computed over at
least four equally spaced data points.
Data that cannot be used in computing averages for CEMS and
COMS.
Applicability and State Delegation ...................................................
Submit notification 120 days after effective date. Notification of intent to construct/reconstruct; Notification of commencement of
construct/reconstruct; Notification of startup. Contents of each.
Can request if cannot comply by date or if installed BACT/LAER ..
Yes.
No, see § 63.7935(b).
Yes.
No, see § 63.7935(h)(1).
Yes.
No.
Yes. However, COMS are not
applicable. Requirements for
CPMS are listed in §§ 63.7900
and 63.7913.
No.
Yes.
However requirements for CPMS
are addressed in § 63.7927.
Yes.
Yes.
Yes.
Yes.
No.
Yes. However, COMS are not
applicable. Requirements for
CPMS are addressed in
§§ 63.7900 and 63.7913.
No.
Yes.
Yes.
Yes.
Yes.
No.
Yes. However, there are no
opacity standards.
Yes.
Recordkeeping/Reporting ...........
§ 63.10(b)(2)(i) and (ii) .....
Records related to SSM .............
§ 63.10(b)(2)(iii) ...............
§ 63.10(b)(2)(iv) and (v) ...
Maintenance Records .................
Records related to SSM .............
Maintenance on air pollution control equipment. .............................
Actions during SSM. ........................................................................
§ 63.10(b)(2)(vi) and (x-xi)
CMS Records .............................
Malfunctions, inoperative, out-of-control. Calibration checks. Adjustments, maintenance.
PO 00000
Yes.
Notify Administrator 60 days prior ...................................................
Notify Administrator 30 days prior ...................................................
Notification of performance evaluation. Notification using COMS
data. Notification that exceeded criterion for relative accuracy.
Contents. Due 60 days after end of performance test or other initial compliance demonstration, except for opacity/VE, which are
due 30 days after. When to submit to Federal vs. State authority.
Procedures for Administrator to approve change in when notifications must be submitted.
Must submit within 15 days after the change ..................................
Applies to all, unless compliance extension. When to submit to
Federal vs. State authority. Procedures for owners of more than
1 source.
General Requirements. Keep all records readily available. Keep
for 5 years.
Exceedance of emission limit during startup, shutdown or malfunction.
§ 63.10(b)(1) ....................
Jkt 250001
Yes.
Yes.
§ 63.9(j) ............................
§ 63.10(a) .........................
19:46 Jul 09, 2020
Yes.
For sources that commence construction between proposal and
promulgation and want to comply 3 years after effective date.
Adjustment of Submittal Deadlines.
Change in Previous Information
Recordkeeping/Reporting ...........
VerDate Sep<11>2014
41713
Frm 00035
Fmt 4701
Sfmt 4700
E:\FR\FM\10JYR2.SGM
10JYR2
Yes.
Yes.
Yes.
Yes.
No, for new sources for which
initial startup is after September 3, 2019. Yes, for all
other affected sources before
January 7, 2021, and No
thereafter.
Yes.
No, for new sources for which
initial startup is after September 3, 2019. Yes, for all
other affected sources before
January 7, 2021, and No
thereafter.
Yes.
41714
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules and Regulations
Citation
Subject
Brief description
§ 63.10(b)(2)(vii)–(ix) .......
Records .......................................
§ 63.10(b)(2)(xii) ..............
§ 63.10(b)(2)(xiii) ..............
§ 63.10(b)(2)(xiv) .............
Records .......................................
Records .......................................
Records .......................................
§ 63.10(b)(3) ....................
§ 63.10(c) .........................
§ 63.10(d)(1) ....................
§ 63.10(d)(2) ....................
Records .......................................
Records .......................................
General Reporting Requirements
Report of Performance Test Results.
Reporting Opacity or VE Observations.
Progress Reports ........................
Measurements to demonstrate compliance with emissions limitations. Performance test, performance evaluation, and visible
emissions observation results. Measurements to determine conditions of performance tests and performance evaluations.
Records when under waiver ............................................................
Records when using alternative to relative accuracy test ...............
All documentation supporting Initial Notification and Notification of
Compliance Status.
Applicability Determinations .............................................................
Additional Records for CMS ............................................................
Requirement to report ......................................................................
When to submit to Federal or State authority .................................
Yes.
No.
Yes.
Yes.
What to report and when .................................................................
No.
Must submit progress reports on schedule if under compliance extension.
Contents and submission .................................................................
Yes.
§ 63.10(d)(3) ....................
§ 63.10(d)(4) ....................
§ 63.10(d)(5) ....................
§ 63.10(e)(1)–(2) ..............
Startup, Shutdown, and Malfunction Reports.
Additional CMS Reports .............
§ 63.10(e)(3) ....................
§ 63.10(e)(3)(i–iii) .............
Reports .......................................
Reports .......................................
§ 63.10(e)(3)(iv–v) ...........
Excess Emissions Reports .........
§ 63.10(e)(3)(iv–v) ...........
Excess Emissions Reports .........
§ 63.10(e)(3)(vi–viii) .........
Excess Emissions Report and
Summary Report.
§ 63.10(e)(4) ....................
§ 63.10(f) ..........................
§ 63.12 .............................
§ 63.13 .............................
Reporting COMS data ................
Waiver for Recordkeeping/Reporting.
Control and work practice requirements.
Delegation ...................................
Addresses ...................................
§ 63.14 .............................
§ 63.15 .............................
Incorporation by Reference ........
Availability of Information ............
§ 63.11 .............................
Applies to subpart GGGGG
Must report results for each CEM on a unit Written copy of performance evaluation Three copies of COMS performance evaluation.
Excess Emissions Reports ..............................................................
Schedule for reporting excess emissions and parameter monitor
exceedance (now defined as deviations).
Requirement to revert to quarterly submission if there is an excess emissions and parameter monitor exceedance (now defined as deviations). Provision to request semiannual reporting
after compliance for one year. Submit report by 30th day following end of quarter or calendar half. If there has not been an
exceedance or excess emissions (now defined as deviations),
report contents is a statement that there have been no deviations.
Must submit report containing all of the information in
§§ 63.10(c)(5–13) and 63.8(c)(7–8).
Requirements for reporting excess emissions for CMSs (now
called deviations). Requires all of the information in
§§ 63.10(c)(5–13) and 63.8(c)(7–8).
Must submit COMS data with performance test data .....................
Procedures for Administrator to waive .............................................
Requirements for flares and alternative work practice for equipment leaks.
State authority to enforce standards ................................................
Addresses where reports, notifications, and requests are sent ......
Test methods incorporated by reference .........................................
Public and confidential information ..................................................
[FR Doc. 2020–05896 Filed 7–9–20; 8:45 am]
jbell on DSKJLSW7X2PROD with RULES2
BILLING CODE 6560–50–P
VerDate Sep<11>2014
19:46 Jul 09, 2020
Jkt 250001
PO 00000
Frm 00036
Fmt 4701
Sfmt 9990
E:\FR\FM\10JYR2.SGM
10JYR2
Yes.
Yes.
No.
Yes.
No, see § 63.7951(b)(4).
Yes. However, COMS are not
applicable.
No.
No.
No.
No.
No.
No.
Yes.
Yes.
Yes.
Yes, only applicable to those reports not required to be submitted electronically.
Yes.
Yes.
Agencies
[Federal Register Volume 85, Number 133 (Friday, July 10, 2020)]
[Rules and Regulations]
[Pages 41680-41714]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2020-05896]
[[Page 41679]]
Vol. 85
Friday,
No. 133
July 10, 2020
Part II
Environmental Protection Agency
-----------------------------------------------------------------------
40 CFR Part 63
National Emission Standards for Hazardous Air Pollutants: Site
Remediation Residual Risk and Technology Review; Final Rule
Federal Register / Vol. 85, No. 133 / Friday, July 10, 2020 / Rules
and Regulations
[[Page 41680]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 63
[EPA-HQ-OAR-2018-0833; FRL-10006-94-OAR]
RIN 2060-AU19
National Emission Standards for Hazardous Air Pollutants: Site
Remediation Residual Risk and Technology Review
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: This action finalizes the residual risk and technology review
(RTR) conducted for the Site Remediation source category regulated
under national emission standards for hazardous air pollutants
(NESHAP). The U.S. Environmental Protection Agency (EPA) is finalizing
the proposed determination that risks due to emissions of air toxics
from site remediation sources are acceptable and that no revision to
the standards is required to provide an ample margin of safety to
protect public health. Based on the results of our technology review,
we are promulgating the proposed changes to the leak detection and
repair (LDAR) program. In addition, the EPA is finalizing amendments to
revise regulatory provisions pertaining to emissions during periods of
startup, shutdown and malfunction (SSM), including finalizing work
practice requirements for pressure relief devices (PRDs) and the 240-
hour maintenance period for control devices on tanks. We are finalizing
requirements for electronic submittal of semiannual reports and
performance test results. Finally, we are making minor clarifications
and corrections. The final revisions to the rule will increase the
level of emissions control and environmental protection provided by the
Site Remediation NESHAP.
DATES: This final rule is effective on July 10, 2020. The incorporation
by reference (IBR) of certain publications listed in the rule is
approved by the Director of the Federal Register as of July 10, 2020.
ADDRESSES: The EPA has established a docket for this action under
Docket ID No. EPA-HQ-OAR-2018-0833. All documents in the docket are
listed on the https://www.regulations.gov/ website. Although listed,
some information is not publicly available, e.g., Confidential Business
Information or other information whose disclosure is restricted by
statute. Certain other material, such as copyrighted material, is not
placed on the internet and will be publicly available only in hard copy
form. Publicly available docket materials are available either
electronically through https://www.regulations.gov/, or in hard copy at
the EPA Docket Center, WJC West Building, Room Number 3334, 1301
Constitution Ave. NW, Washington, DC. The Public Reading Room hours of
operation are 8:30 a.m. to 4:30 p.m., Eastern Standard Time (EST)
Monday through Friday. The telephone number for the Public Reading Room
is (202) 566-1744, and the telephone number for the EPA Docket Center
is (202) 566-1742.
FOR FURTHER INFORMATION CONTACT: For questions about this final action,
contact Matthew Witosky, Sector Policies and Programs Division (E143-
05), Office of Air Quality Planning and Standards, U.S. Environmental
Protection Agency, Research Triangle Park, North Carolina 27711;
telephone number: (919) 541-2865; fax number: (919) 541-0516; and email
address: [email protected]. For specific information regarding
the risk modeling methodology, contact Matthew Woody, Health and
Environmental Impacts Division (C539-02), Office of Air Quality
Planning and Standards, U.S. Environmental Protection Agency, Research
Triangle Park, North Carolina 27711; telephone number: (919) 541-1535;
fax number: (919) 541-0840; and email address: [email protected].
For information about the applicability of the NESHAP to a particular
entity, contact Marcia Mia, Office of Enforcement and Compliance
Assurance, U.S. Environmental Protection Agency, WJC South Building
(Mail Code 2227A), 1200 Pennsylvania Avenue NW, Washington DC 20460;
telephone number: (202) 564-7042; and email address:
[email protected].
SUPPLEMENTARY INFORMATION:
Preamble acronyms and abbreviations. We use multiple acronyms and
terms in this preamble. While this list may not be exhaustive, to ease
the reading of this preamble and for reference purposes, the EPA
defines the following terms and acronyms here:
ACC American Chemistry Council
ADAF age-dependent adjustment factors
API American Petroleum Institute
APR amino and phenolic resins
ASTM American Society for Testing and Materials
CAA Clean Air Act
CDX Central Data Exchange
CEDRI Compliance and Emissions Data Reporting Interface
CFR Code of Federal Regulations
CRA Congressional Review Act
EFH Exposure Factors Handbook
EPA Environmental Protection Agency
EtO ethylene oxide
HAP hazardous air pollutant(s)
HCl hydrochloric acid
NEI National Emissions Inventory
HHRAP Human Health Risk Assessment Protocol
HI hazard index
HQ hazard quotient
IARC International Agency for Research on Cancer
IBR incorporation by reference
ICR Information Collection Request
LDAR leak detection and repair
MACT maximum achievable control technology
MIR maximum individual risk
NAICS North American Industry Classification System
NESHAP national emission standards for hazardous air pollutants
NTTAA National Technology Transfer and Advancement Act
OEHHA California Office of Environmental Health Hazard Assessment
OEL open-ended line
OMB Office of Management and Budget
PAH polycyclic aromatic hydrocarbon
PB-HAP hazardous air pollutants known to be persistent and bio-
accumulative in the environment
PCDDs polychlorinated dibenzodioxins
PCDFs polychlorinated dibenzofurans
POM polycyclic organic matter
ppm parts per million
ppmw parts per million by weight
PRD pressure relief device
REL reference exposure level
RFA Regulatory Flexibility Act
RMMU remediation material management unit
RTR residual risk and technology review
SAB Science Advisory Board
SSM startup, shutdown, and malfunction
TOSHI target organ-specific hazard index
tpy tons per year
UMRA Unfunded Mandates Reform Act
Background information. On September 3, 2019, the EPA proposed
revisions to the Site Remediation NESHAP based on our RTR. In this
action, we are finalizing decisions and revisions for the rule. We
summarize some of the more significant comments we timely received
regarding the proposed rule and provide our responses in this preamble.
A summary of all other public comments on the proposal and the EPA's
responses to those comments is available in the National Emission
Standards for Hazardous Air Pollutant Emissions: Site Remediation
Summary of Public Comments and Responses on Proposed Rule (84 FR 46138;
September 3, 2019), Docket ID No. EPA-HQ-OAR-2018-0833. A ``track
changes'' version of the regulatory language that incorporates the
changes in this action is available in the docket.
Organization of this document. The information in this preamble is
organized as follows:
[[Page 41681]]
I. General Information
A. Does this action apply to me?
B. Where can I get a copy of this document and other related
information?
C. Judicial Review and Administrative Reconsideration
II. Background
A. What is the statutory authority for this action?
B. What is the Site Remediation source category and how does the
NESHAP regulate HAP emissions from the source category?
C. What changes did we propose for the Site Remediation source
category in our September 3, 2019, proposal?
D. What other actions did we take for the Site Remediation
source category in our September 3, 2019, proposal?
III. What is included in this final rule?
A. What are the final rule amendments based on the risk review
for the Site Remediation source category?
B. What are the final rule amendments based on the technology
review for the Site Remediation source category?
C. What are the final rule amendments pursuant to CAA section
112(d)(2) and (3) for the Site Remediation source category?
D. What are the final rule amendments addressing emissions
during periods of SSM?
E. What other changes have been made to the NESHAP?
F. What are the effective and compliance dates of the standards?
IV. What is the rationale for our final decisions and amendments for
the Site Remediation source category?
A. Residual Risk Review for the Site Remediation Source Category
B. Technology Review for the Site Remediation Source Category
C. CAA Sections 112(d)(2) and (3) Amendments
D. Other Issues and Changes Made to the Site Remediation NESHAP
V. Summary of Cost, Environmental, and Economic Impacts and
Additional Analyses Conducted
A. What are the affected facilities?
B. What are the air quality impacts?
C. What are the cost impacts?
D. What are the economic impacts?
E. What are the benefits?
F. What analysis of environmental justice did we conduct?
G. What analysis of children's environmental health did we
conduct?
VI. Statutory and Executive Order Reviews
A. Executive Orders 12866: Regulatory Planning and Review and
Executive Order 13563: Improving Regulation and Regulatory Review
B. Executive Order 13771: Reducing Regulations and Controlling
Regulatory Costs
C. Paperwork Reduction Act (PRA)
D. Regulatory Flexibility Act (RFA)
E. Unfunded Mandates Reform Act (UMRA)
F. Executive Order 13132: Federalism
G. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments
H. Executive Order 13045: Protection of Children From
Environmental Health Risks and Safety Risks
I. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
J. National Technology Transfer and Advancement Act (NTTAA) and
1 CFR part 51
K. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
L. Congressional Review Act (CRA)
I. General Information
A. Does this action apply to me?
Regulated entities. Categories and entities potentially regulated
by this action are shown in Table 1 of this preamble.
Table 1--NESHAP and Industrial Source Categories Affected by This Final
Action
------------------------------------------------------------------------
Source category NESHAP NAICS code \1\
------------------------------------------------------------------------
Industry...................... 40 CFR part 63, 325211
subpart GGGGG. 325192
325188
32411
49311
49319
48611
42269
42271
Federal Government............ ................. Federal agency
facilities that
conduct Site
Remediation
activities.
------------------------------------------------------------------------
\1\ North American Industry Classification System.
Table 1 of this preamble is not intended to be exhaustive, but
rather to provide a guide for readers regarding entities likely to be
affected by the final action for the source category listed. To
determine whether your facility is affected, you should examine the
applicability criteria in the appropriate NESHAP. If you have any
questions regarding the applicability of any aspect of this NESHAP,
please contact the appropriate person listed in the preceding FOR
FURTHER INFORMATION CONTACT section of this preamble.
B. Where can I get a copy of this document and other related
information?
In addition to being available in the docket, an electronic copy of
this final action will also be available on the internet. Following
signature by the EPA Administrator, the EPA will post a copy of this
final action at: https://www.epa.gov/stationary-sources-air-pollution/siteremediation-national-emissionstandards-hazardous-air. Following
publication in the Federal Register, the EPA will post the Federal
Register version and key technical documents at this same website.
Additional information is available on the RTR website at https://www.epa.gov/stationary-sources-air-pollution/risk-and-technology-review-national-emissions-standards-hazardous. This information
includes an overview of the RTR program and links to project websites
for the RTR source categories.
C. Judicial Review and Administrative Reconsideration
Under Clean Air Act (CAA) section 307(b)(1), judicial review of
this final action is available only by filing a petition for review in
the United States Court of Appeals for the District of Columbia Circuit
(the Court) by September 8, 2020. Under CAA section 307(b)(2), the
requirements established by this final rule may not be challenged
separately in any civil or criminal proceedings brought by the EPA to
enforce the requirements.
Section 307(d)(7)(B) of the CAA further provides that only an
objection to a rule or procedure which was raised
[[Page 41682]]
with reasonable specificity during the period for public comment
(including any public hearing) may be raised during judicial review.
This section also provides a mechanism for the EPA to reconsider the
rule if the person raising an objection can demonstrate to the
Administrator that it was impracticable to raise such objection within
the period for public comment or if the grounds for such objection
arose after the period for public comment (but within the time
specified for judicial review) and if such objection is of central
relevance to the outcome of the rule. Any person seeking to make such a
demonstration should submit a Petition for Reconsideration to the
Office of the Administrator, U.S. EPA, Room 3000, WJC South Building,
1200 Pennsylvania Ave. NW, Washington, DC 20460, with a copy to both
the person(s) listed in the preceding FOR FURTHER INFORMATION CONTACT
section, and the Associate General Counsel for the Air and Radiation
Law Office, Office of General Counsel (Mail Code 2344A), U.S. EPA, 1200
Pennsylvania Ave. NW, Washington, DC 20460.
II. Background
A. What is the statutory authority for this action?
Section 112 of the CAA establishes a two-stage regulatory process
to address emissions of hazardous air pollutants (HAP) from stationary
sources. In the first stage, we must identify categories of sources
emitting one or more of the HAP listed in CAA section 112(b) and then
promulgate technology-based NESHAP for those sources. ``Major sources''
are those that emit, or have the potential to emit, any single HAP at a
rate of 10 tons per year (tpy) or more, or 25 tpy or more of any
combination of HAP. For major sources, these standards are commonly
referred to as maximum achievable control technology (MACT) standards
and must reflect the maximum degree of emission reductions of HAP
achievable (after considering cost, energy requirements, and non-air
quality health and environmental impacts). In developing MACT
standards, CAA section 112(d)(2) directs the EPA to consider the
application of measures, processes, methods, systems, or techniques,
including, but not limited to, those that reduce the volume of or
eliminate HAP emissions through process changes, substitution of
materials, or other modifications; enclose systems or processes to
eliminate emissions; collect, capture, or treat HAP when released from
a process, stack, storage, or fugitive emissions point; are design,
equipment, work practice, or operational standards; or any combination
of the above.
For these MACT standards, the statute specifies certain minimum
stringency requirements, which are referred to as MACT floor
requirements, and which may not be based on cost considerations. See
CAA section 112(d)(3). For new sources, the MACT floor cannot be less
stringent than the emission control achieved in practice by the best-
controlled similar source. The MACT standards for existing sources can
be less stringent than floors for new sources, but they cannot be less
stringent than the average emission limitation achieved by the best-
performing 12 percent of existing sources in the category or
subcategory (or the best-performing five sources for categories or
subcategories with fewer than 30 sources). In developing MACT
standards, we must also consider control options that are more
stringent than the floor under CAA section 112(d)(2). We may establish
standards more stringent than the floor, based on the consideration of
the cost of achieving the emissions reductions, any non-air quality
health and environmental impacts, and energy requirements.
In the second stage of the regulatory process, the CAA requires the
EPA to undertake two different analyses, which we refer to as the
technology review and the residual risk review. Under the technology
review, we must review the technology-based standards and revise them
``as necessary (taking into account developments in practices,
processes, and control technologies)'' no less frequently than every 8
years, pursuant to CAA section 112(d)(6). Under the residual risk
review, we must evaluate the risk to public health remaining after
application of the technology-based standards and revise the standards,
if necessary, to provide an ample margin of safety to protect public
health or to prevent, taking into consideration costs, energy, safety,
and other relevant factors, an adverse environmental effect. The
residual risk review is required within 8 years after promulgation of
the technology-based standards, pursuant to CAA section 112(f). In
conducting the residual risk review, if the EPA determines that the
current standards provide an ample margin of safety to protect public
health, it is not necessary to revise the MACT standards pursuant to
CAA section 112(f).\1\ For more information on the statutory authority
for this rule, see 84 FR 46138 (September 3, 2019).
---------------------------------------------------------------------------
\1\ The Court has affirmed this approach of implementing CAA
section 112(f)(2)(A): NRDC v. EPA, 529 F.3d 1077, 1083 (DC Cir.
2008) (``If EPA determines that the existing technology-based
standards provide an 'ample margin of safety,' then the Agency is
free to readopt those standards during the residual risk
rulemaking.'').
---------------------------------------------------------------------------
B. What is the Site Remediation source category and how does the NESHAP
regulate HAP emissions from the source category?
The EPA promulgated the final Site Remediation NESHAP at 68 FR
58172 (October 8, 2003). The NESHAP applies to ``remediation
material.'' Site remediation means one or more activities or processes
used to remove, destroy, degrade, transform, immobilize, or otherwise
manage remediation material. Monitoring or measuring of contamination
levels in media, whether by using wells, sampling, or other means, is
not considered to be a Site Remediation. The rule applies only to
active remedial operations at sites that are major sources with
affected facilities subject to another MACT standard. The Site
Remediation NESHAP applies to various types of affected sources
including process vents, remediation material management units, and
equipment leaks. The affected source for process vents is the entire
group of process vents associated with the in-situ and ex-situ
remediation processes used at the site to remove, destroy, degrade,
transform, or immobilize hazardous substances in the remediation
material. Examples of process vents for in-situ remediation processes
include the discharge vents to the atmosphere used for soil vapor
extraction and underground bioremediation processes. Examples of
process vents for ex-situ remediation processes include vents for
thermal desorption, bioremediation, and stripping processes (air or
steam stripping). The affected source for remediation material
management units is the entire group of tanks, surface impoundments,
containers, oil-water separators, and transfer systems used for the
Site Remediation activities involving clean-up of remediation material.
The affected source for equipment leaks is the entire group of
remediation equipment components (pumps, valves, etc.) that is intended
to operate for 300 hours or more during a calendar year in remediation
material service and that contains or contacts remediation material
having a concentration of regulated HAP equal to or greater than 10
percent by weight.
The Site Remediation MACT standards include a combination of
equipment standards, work practice standards, operational standards,
and performance standards for each of the
[[Page 41683]]
affected emission sources noted above. The source category covered by
this MACT standard currently includes approximately 30 facilities.
C. What changes did we propose for the Site Remediation source category
in our September 3, 2019, proposal?
On September 3, 2019, the EPA published proposed amendments in the
Federal Register for the Site Remediation NESHAP, 40 CFR part 63,
subpart GGGGG, that took into consideration the RTR analyses and also
proposed other revisions. The proposed revisions included the
following:
Revisions to the equipment leak requirements to require
the use of the leak detection thresholds of 40 CFR part 63, subpart UU
for valves and pumps, rather than the thresholds of 40 CFR part 63,
subpart TT;
Revisions to requirements related to emissions during
periods of SSM;
The addition of requirements for electronic submittal of
semiannual reports and performance tests;
Removal of the 240-hour exemption from control
requirements for planned routine maintenance of emissions control
systems;
Clarifications to the ``sealed'' requirement of the
provisions for open-ended lines (OELs);
Addition of work practice and monitoring requirements for
PRDs; and
Several minor clarifications and corrections.
D. What other actions did we take for the Site Remediation source
category in our September 3, 2019, proposal?
Within the RTR proposal, the EPA separately solicited comment on
ways in which the Site Remediation NESHAP could be amended with respect
to facilities currently exempt under 40 CFR 63.7881(b)(2) and (3),
under a scenario where the EPA removes the exemption. The exemption
applies to facilities subject to federally-enforceable oversight under
the Resource Conservation and Recovery Act (RCRA) or the Comprehensive
Environmental Response, Compensation, and Liability Act (CERCLA). In
particular, in light of comments received on our 2016 proposal to
remove the exemption, the Agency sought additional comment regarding
subcategorization or other methods of distinguishing among appropriate
requirements for such sources. We explained our intention to use this
opportunity to gather additional information in anticipation of
addressing these issues through a separate action.
III. What is included in this final rule?
This action finalizes the EPA's determinations pursuant to the RTR
provisions of CAA section 112 for the Site Remediation source category
and amends the SR NESHAP based on those determinations. We are also
finalizing other proposed changes to the NESHAP and other changes made
in consideration of comments received during the public comment period
for the proposed rulemaking. In the following subsections, we summarize
the final amendments to the Site Remediation NESHAP.
We are not finalizing any changes at this time to the exemption
from the Site Remediation NESHAP requirements available for federally-
overseen Site Remediations under RCRA or CERCLA, pursuant to 40 CFR
63.7881(b)(2) and (3). The agency is continuing to review comments
related to our solicitation on this issue in the RTR proposal, see 84
FR 46167-69 (September 3, 2019), and comments on the May 13, 2016,
proposal regarding the exemption (81 FR 29812), and intends to address
this issue in a separate action.
A. What are the final rule amendments based on the risk review for the
Site Remediation source category?
For the Site Remediation source category, we have determined that
the current NESHAP reduces risk to an acceptable level, provides an
ample margin of safety to protect public health, and prevents adverse
environmental effects. Therefore, as we proposed, it is not necessary
to revise the NESHAP pursuant to CAA section 112(f).
B. What are the final rule amendments based on the technology review
for the Site Remediation source category?
We have determined that there have been developments in practices,
processes, and control technologies that warrant revisions to the Site
Remediation NESHAP. Therefore, to satisfy the requirements of CAA
section 112(d)(6), and as we proposed, we are revising the NESHAP to
require facilities to use the leak detection thresholds of 40 CFR part
63, subpart UU for valves and pumps, rather than those of 40 CFR part
63, subpart TT. For other Site Remediation emissions sources, we have
determined that, as we proposed, there are no viable developments in
HAP emission reduction practices, processes, or control technologies to
apply, considering the technical feasibility, estimated costs, and
emission reductions of the options identified.
C. What are the final rule amendments pursuant to CAA section 112(d)(2)
and (3) for the Site Remediation source category?
Consistent with the Court's ruling in Sierra Club v. EPA, 551 F.3d
1019 (D.C. Cir. 2008), we are finalizing the proposed requirements,
with two minor modifications, for safety devices, bypasses and closure
devices on pressure tanks, and PRDs to ensure a standard continuously
applies during malfunctions that result in an emissions release
directly to the atmosphere (i.e., an actuation event). These final
requirements include work practices that consist of conducting an
analysis of the cause of a PRD actuation event and the implementation
of corrective measures. In addition, we are finalizing the proposed
criteria for what constitutes a deviation from the work practice
requirements. We are also finalizing the proposed requirement that PRDs
be monitored with a device or monitoring system that is capable of (1)
identifying the pressure release; (2) recording the time and duration
of each pressure release; and (3) notifying operators immediately that
a pressure release is occurring. Finally, we are finalizing the
proposed recordkeeping and reporting requirements associated with
releases to the atmosphere from bypasses and PRDs.
In response to comments received on the proposed rule, we are
making two modifications to the proposed requirements and one change to
the estimate of costs associated with PRD monitoring. One modification
is to exclude PRDs on containers from the PRD work practice standards
and monitoring requirements, and the other modification is to clarify
when a PRD is subject to LDAR requirements and when a PRD is subject to
the PRD actuation event work practice requirements. We have also
revised the economic analysis for the adoption of the proposed PRD
monitoring requirements to reflect the purchase of monitoring equipment
for some facilities rather than assuming all facilities already have
adequate monitoring systems.
D. What are the final rule amendments addressing emissions during
periods of SSM?
With one exception, we are finalizing changes to the Site
Remediation NESHAP to eliminate the SSM exemption as proposed.
Consistent with Sierra Club v. EPA, 551 F. 3d 1019 (D.C. Cir. 2008),
the EPA has established standards in this rule that apply at all times.
Table 3 to Subpart GGGGG of Part 63 (General Provisions applicability
[[Page 41684]]
table) is being revised to change several references related to
requirements that apply during periods of SSM. We also eliminated or
revised certain recordkeeping and reporting requirements related to the
eliminated SSM exemption. The EPA also made changes to the rule to
remove or modify inappropriate, unnecessary, or redundant language in
the absence of the SSM exemption. We determined that facilities in this
source category can meet the applicable emission standards in the Site
Remediation NESHAP at all times, including periods of startup and
shutdown; therefore, the EPA determined that no additional standards
are needed to address emissions during these periods.
In response to comments received on the proposed rule, the EPA is
making a change to the 240-hour annual control system bypass allowance
for planned routine maintenance of a closed vent system or control
device. Rather than remove this allowance for all control systems, the
final rule will retain the allowance with the addition of a work
practice requirement for storage tank control devices and closed vent
systems.
E. What other changes have been made to the NESHAP?
This rule also finalizes revisions to several other Site
Remediation NESHAP requirements. We describe the revisions in the
following paragraphs.
To increase the ease and efficiency of data submittal and data
accessibility, we are finalizing, as proposed, a requirement that
owners or operators of site remediation facilities submit electronic
copies of required performance test reports, performance evaluation
reports, and semi-annual compliance reports through the EPA's Central
Data Exchange (CDX) using the Compliance and Emissions Data Reporting
Interface (CEDRI).
As proposed, the EPA is not establishing emission standards for
inorganic or metal HAP.
Based on comments received on the proposed provisions for OELs, we
are not finalizing the proposed language in the Site Remediation NESHAP
that OELs are ``sealed'' by a cap, blind flange, plug or second valve
when instrument monitoring of the OEL conducted according to EPA Method
21 of 40 CFR part 60, appendix A indicates no readings of 500 parts per
million (ppm) or greater. Since OELs are present at many facilities,
additional consideration of the proposed change would be appropriate
because there are multiple source categories that cross-reference the
same equipment and operational requirements for OELs. We continue to
believe it is important that the standard to seal the OEL includes a
clear mechanism for a source to demonstrate compliance with that
requirement. Therefore, the EPA intends to continue to evaluate
appropriate means of compliance certainty for OELs, including the term
``sealed,'' and is not finalizing any revisions to the OEL standards
applicable to Site Remediation in this action. The EPA emission
estimates used in the risk modeling are based on reported emissions and
we did not estimate HAP reductions from the proposed approach. For this
reason, this decision not to finalize the OEL provisions does not alter
our analysis of estimated emissions, risks, and decisions related to
risk.
We are finalizing, as proposed, several miscellaneous minor changes
to improve the clarity of the rule requirements.
F. What are the effective and compliance dates of the standards?
The revisions to the MACT standards being promulgated in this
action are effective on July 10, 2020.
The compliance date for existing affected sources for the revised
SSM requirements is 180 days after the effective date of the standard,
January 6, 2021. The requirements for electronic reporting
requirements, the revised routine maintenance provisions, the operating
and pressure management requirements for PRDs, and the revised
requirements regarding bypasses and closure devices on pressure tanks
is 180 days after the effective date of the standard, January 6, 2021.
For electronic reporting, we have experience with similar
industries shows that a time period of a minimum of 90 days, and more
typically 180 days, is generally necessary to successfully complete the
changes required to convert reporting mechanisms, including the
installation of the necessary hardware and software, becoming familiar
with the process of submitting performance test results electronically
through the EPA's CEDRI, testing these new electronic submission
capabilities, reliably employing electronic reporting, and converting
the logistics of reporting processes to different time-reporting
parameters.
We are finalizing the 180-day compliance date for the other
requirements listed above for existing affected sources because we are
finalizing changes to the requirements for SSM by removing the
exemption from the requirements to meet a standard during SSM periods
and by removing the requirement to develop and implement an SSM plan,
as proposed. We have experience with similar industries further shows
that this sort of regulated facility generally requires a time period
of 180 days to read and understand the amended rule requirements;
evaluate their operations to ensure that they can meet the standards
during periods of SSM; adjust parameter monitoring and recording
systems to accommodate revisions; and update their operations to
reflect the revised requirements.
The compliance date for existing affected sources to comply with
the new PRD actuation work practice standard, including monitoring
requirement and actuation event reporting requirements, under 40 CFR
63.7923 is 18 months from the effective date of the final amendment,
January 10, 2022. This time period will allow Site Remediation facility
owners and operators to research equipment and vendors, and to
purchase, install, test, and properly operate any necessary equipment
by the compliance date.
For equipment leaks, the compliance date for existing affected
sources is 1 year from the effective date of the standards, July 10,
2021. This time period is necessary to allow existing affected sources
that are currently complying with 40 CFR part 63, subpart TT, adequate
time to modify their existing LDAR programs to comply with the revised
standards for pumps and valves.
New affected sources must comply with all of the standards and
requirements of the amended rule immediately upon the effective date of
the final amendments, July 10, 2020, or upon startup, whichever is
later.
IV. What is the rationale for our final decisions and amendments for
the Site Remediation source category?
For each issue, this section provides a description of what we
proposed and what we are finalizing for the issue, the EPA's rationale
for the final decisions and amendments, and a summary of key comments
and responses. For all comments not discussed in this preamble, comment
summaries and the EPA's responses can be found in the comment summary
and response document available in the docket (Docket ID No. EPA-HQ-
OAR-2018-0833).
[[Page 41685]]
A. Residual Risk Review for the Site Remediation Source Category
1. What did we propose pursuant to CAA section 112(f) for the Site
Remediation source category?
Pursuant to CAA section 112(f), we conducted a residual risk
assessment for both affected sources and sources exempt from Site
Remediation NESHAP requirements pursuant to 40 CFR 63.7881(b)(2) or (3)
(i.e., ``RCRA/CERCLA-exempt sources'') and presented the results of
these assessments separately, along with our proposed decisions
regarding risk acceptability and ample margin of safety for affected
sources, in the September 3, 2019, RTR proposal (84 FR 46138).\2\ The
residual risk assessments for the Site Remediation source category
included assessment of cancer risk, chronic noncancer risk, and acute
noncancer risk due to inhalation exposure, as well as multipathway
exposure risk and environmental risk. The results of the risk
assessment for affected sources are presented briefly below in Table 2
of this preamble and in more detail in the residual risk document,
Residual Risk Assessment for the Site Remediation Source Category in
Support of the 2020 Risk and Technology Review Final Rule, which is
available in the docket for this rulemaking. The results of the risk
assessment for the RCRA/CERCLA-exempt sources are presented briefly
below in Table 3 of this preamble and in more detail in the residual
risk document, Residual Risk Assessment for Exempt Sources in the Site
Remediation Source Category in Support of the 2020 Risk and Technology
Review Final Rule, which is available in the docket for this
rulemaking.
---------------------------------------------------------------------------
\2\ The risk assessment for exempt sources, while not
characterized as a risk acceptability analysis, provides all of the
necessary data in order to complete a risk acceptability
determination.
---------------------------------------------------------------------------
The results of the assessment for affected sources indicated that
maximum inhalation cancer risk to the individual most exposed is 1-in-1
million based on actual and allowable emissions (actual emissions were
assumed to equal allowable emissions), which is well below the
presumptive limit of acceptability (i.e., 100-in-1 million). The total
estimated cancer incidence based on actual and allowable emission
levels is 0.001 excess cancer case per year, or 1 case every 1,000
years. In addition, the maximum chronic noncancer target organ specific
hazard index (TOSHI) due to inhalation exposures is less than 1. The
evaluation of acute noncancer risk, which was conservative, showed a
maximum hazard quotient (HQ) of 1 for all Site Remediation facilities.
Based on the results of the screening analyses for human multipathway
exposure to, and environmental impacts from HAP known to be persistent
and bio-accumulative in the environment (PB-HAP), we also concluded
that the risks to the individual most exposed through ingestion is
below the level of concern and no ecological benchmarks are exceeded.
The facility-wide cancer and noncancer risks were estimated based on
the actual emissions from all emissions sources at site remediation
facilities, including those not within the Site Remediation source
category. For facility-wide emissions, the maximum lifetime individual
cancer risk to the individual most exposed is 1,000-in-1 million from
ethylene oxide (EtO) and the noncancer TOSHI is 5.
Table 2--Site Remediation Inhalation Risk Assessment Results for Affected Sources
--------------------------------------------------------------------------------------------------------------------------------------------------------
Estimated population
Maximum individual at increased risk of Estimated annual Maximum chronic Maximum screening
Number of facilities \1\ cancer risk (in 1 cancer >= 1-in-1 cancer incidence noncancer TOSHI acute noncancer
million) million (cases per year) HQ
--------------------------------------------------------------------------------------------------------------------------------------------------------
Based on Actual Emissions Level 2 3
-----------------------------------------------------------------------------------------------------------------------
102............................. 1 400 0.001 0.1 HQREL = 1 (arsenic
compounds).
-----------------------------------------------------------------------------------------------------------------------
Based on Whole Facility Emissions
-----------------------------------------------------------------------------------------------------------------------
1,000 2,300,000 0.5 5 ..................
--------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ Number of facilities evaluated in the risk analysis.
\2\ Maximum individual excess lifetime cancer risk due to HAP emissions from the source category.
\3\ Actual emissions equal allowable emissions; therefore, actual risks equal allowable risks.
The results of the assessment for RCRA/CERCLA-exempt sources
indicated that maximum inhalation cancer risk to the individual most
exposed is 4-in-1 million based on actual emissions and allowable
emissions (actual emissions were assumed to equal allowable emissions),
which is well below the presumptive limit of acceptability (i.e., 100-
in-1 million). The total estimated cancer incidence based on actual and
allowable emission levels is 0.001 excess cancer cases per year, or 1
case every 1,000 years. In addition, the maximum chronic noncancer
TOSHI due to inhalation exposures is less than 1. The evaluation of
acute noncancer risk, which was conservative, showed a maximum HQ less
than 1 for all of these site remediation facilities. Based on the
results of the screening analyses for human multipathway exposure to,
and environmental impacts from, PB-HAP, we also concluded that the
risks to the individual most exposed through ingestion is below the
level of concern and no ecological benchmarks are exceeded. The
facility-wide cancer and noncancer risks were estimated based on the
actual emissions from all emissions sources at site remediation
facilities, including those not within the Site Remediation source
category. For facility-wide emissions, maximum lifetime individual
cancer risk to the individual most exposed is 2,000-in-1 million from
EtO and the noncancer TOSHI is 7.
[[Page 41686]]
Table 3--Site Remediation Inhalation Risk Assessment Results for Exempt Sources
--------------------------------------------------------------------------------------------------------------------------------------------------------
Estimated population
Maximum individual at increased risk of Estimated annual Maximum chronic Maximum screening
Number of facilities \1\ cancer risk (in 1 cancer >= 1-in-1 cancer incidence noncancer TOSHI acute noncancer
million) million (cases per year) HQ
--------------------------------------------------------------------------------------------------------------------------------------------------------
Based on Actual Emissions Level 2 3
-----------------------------------------------------------------------------------------------------------------------
118............................. 4 1,100 0.001 0.3 <1
-----------------------------------------------------------------------------------------------------------------------
Based on Whole Facility Emissions
-----------------------------------------------------------------------------------------------------------------------
2,000 9,000,000 1 7 ..................
--------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ Number of facilities evaluated in the risk analysis.
\2\ Maximum individual excess lifetime cancer risk due to HAP emissions from exempt sources in the source category.
\3\ Actual emissions equal allowable emissions; therefore, actual risks equal allowable risks.
We weighed all health risk factors for affected sources, including
those shown in Table 2 of this preamble, in our risk acceptability
determination and proposed that the residual risks from the Site
Remediation source category are acceptable (84 FR 46157; September 3,
2019).
We then considered whether 40 CFR part 63, subpart GGGGG, provides
an ample margin of safety to protect public health and prevents, taking
into consideration costs, energy, safety, and other relevant factors,
an adverse environmental effect. In considering whether the standards
should be tightened to provide an ample margin of safety to protect
public health, we considered the same risk factors that we considered
for our acceptability determination and also considered the costs,
technological feasibility, and other relevant factors related to
emissions control options that might reduce risk associated with
emissions from the source category.
In our ample margin of safety analysis, we identified three control
options that could further reduce HAP emissions from the source
category. These control options included requiring a higher emissions
reduction efficiency for process vents, requiring more stringent leak
definition thresholds for certain equipment as part of the currently
required LDAR program, and requiring connector monitoring as part of
the currently required LDAR program. For these control options, we
proposed that the costs were not reasonable in light of the minimal
risk reduction that would be achieved, and these additional HAP
emissions controls are not necessary to provide an ample margin of
safety to protect public health (84 FR 46158; September 3, 2019).
2. How did the risk review change for the Site Remediation source
category?
We have not changed any aspect of the risk assessment since the
September 2019 proposal for this source category.
3. What key comments did we receive on the risk review, and what are
our responses?
Most of the commenters on the proposed risk review supported our
risk acceptability and ample margin of safety determinations for the
Site Remediation NESHAP. Some commenters requested that we make changes
to our residual risk review approach. However, we evaluated the
comments and determined that no changes to our risk assessment methods
or conclusions are warranted. A complete summary of these comments and
responses are in the comment summary and response document, available
in the docket for this action (Docket ID No. EPA-HQ-OAR-2018-0833). The
following is a summary of key comments we received regarding the risk
review and our responses to those comments.
Comment: Several commenters agreed with the EPA's finding that
risks from the source category are acceptable, additional emissions
reductions are not needed to provide an ample margin of safety, and it
is not necessary to set more stringent standards to prevent an adverse
environmental effect. One of these commenters added that the risk
assessment results show very low risk from the source category.
However, another of these commenters asserted that even with the low
risk shown, the EPA's risk analysis overstates risk due to the
methodology the agency uses. This commenter said that the EPA's model
plant approach combined with data gap filling for most of the modeled
facilities results in a significant overestimation of HAP emissions.
The commenter also said that the EPA's conservative assumption that the
population breathes outdoor air at a fixed residential location for 70
years is an unrealistic assumption that needs to be modified. The
commenter pointed out that the California's Office of Environmental
Health Hazard Assessment (OEHHA) has revised their methodology for air
toxics assessment to use a 30-year residential exposure to identify the
maximum exposed individual for cancer risk assessment. Another of the
commenters remarked that the EPA should not have used the 70-year
exposure assumption for this source category, since Site Remediations
typically do not last more than 20 years. The commenter stated that the
EPA should have developed and used a factor representative of the
typical life of a remediation activity, which would have likely shown
even lower risk for the source category. One commenter also asserted
that the acute multiplier of 10 used to estimate hourly emissions from
annual emissions is not based on Site Remediation data and is a
standard EPA multiplier that is overly conservative.
Response: The EPA relied on our standardized factor of 70 years for
our exposure factor.\3\ In this way the EPA has taken a health-
protective, or conservative, approach in estimating risks and has found
that the risks are acceptable and that the existing standards provide
an ample margin of safety to protect public health. Therefore, no
additional regulation was proposed based on risk for the category. For
this reason, there is no utility in refining the inputs to the risk
assessment to further lower the risk estimates.
---------------------------------------------------------------------------
\3\ U.S. EPA. Exposure Factors Handbook, 2011 Edition (Final
Report). U.S. Environmental Protection Agency, Washington, DC, EPA/
600/R-09/052F, 2011.
---------------------------------------------------------------------------
Comment: One commenter stated that the EPA only assessed EtO
emissions and risks in the facility-wide risk part of
[[Page 41687]]
its analysis, where the EPA finds risks of 1,000to 2,000-in-1 million.
The commenter stated that the EPA failed to justify ignoring EtO
emissions and resulting health risks from the Site Remediation source
category itself. The commenter asserted that the EPA ignored these
emissions because the six facilities it had data from did not show EtO
emissions, and the EPA believes EtO is unlikely to be emitted during a
Site Remediation due to its rapid decomposition. In contrast, the
commenter submitted that the monograph on EtO published by the
International Agency for Research on Cancer (IARC) suggests EtO has an
atmospheric half-life of 211 days. The commenter noted that the IARC
monograph goes on to state that data suggest neither rain nor
absorption into aqueous aerosols remove EtO from the atmosphere. The
commenter stated that the EPA has not provided sound rationale for
ignoring evidence of EtO emissions for this source category, and the
EPA statements on EtO's rapid decomposition in the environment are not
supported by credible scientific findings. The commenter claimed that
the EPA is relying on an American Chemistry Council (ACC) study that is
not available to the public in the online docket, undermining the
Agency's findings and violating the CAA's public notice-and-comment
requirements. The commenter explained that the referenced ACC study
relies upon a conceptual model that applied various data parameters to
determine potential adverse ecological risks and does not provide
information with respect to human health risks. The commenter contended
that the EPA may not rely on its underlying memorandum and this cited
study as the basis to not assess health risk from EtO emissions from
Site Remediations. The commenter said the EPA has not shown, based on
facts in the record, that there are no emissions and no health risks
from this chemical. The commenter also claimed that the EPA's proposal
that these emissions are unlikely to be emitted from the source
category does not make sense if EtO is emitted from other operations at
the sites. The commenter asserted that by refusing to assess the EtO-
based risk for this source category, the EPA has failed to satisfy the
CAA's requirement to assess and reduce such risk.
Response: The data submitted by the commenter does not give the
Agency reason to change our position that EtO is unlikely to be a site
remediation pollutant. The half-life of a pollutant in the air is
irrelevant to whether EtO is a pollutant likely to be encountered in
Site Remediation material. The EPA stands by our assertion that EtO is
highly unlikely to persist in remediation material that would be
subject to Site Remediation NESHAP, (e.g., soil, water, sediment). This
assertion is further evidenced by the lack of any reported EtO
emissions in the EPA's National Emissions Inventory (NEI) from site
remediation operations. The commenter provided no data to contradict
this assertion.
The EPA further disagrees that the sources cited by the commenter
do not provide sound rationale for removing EtO as a site remediation
pollutant. The EPA included two articles from peer-reviewed scientific
journals in the docket for the proposed rule to substantiate its
conclusion regarding EtO.\4\ The properties of EtO cited in the
proposal preamble were taken from these articles. In one article, the
fate of EtO in the environment was estimated using the EPI (Estimation
Program Interface) SuiteTM of modeling
programs.5 6 The individual estimation programs and/or their
underlying predictive methods and equations used within EPI
SuiteTM have been described in numerous peer-reviewed
technical journals. In addition, EPI SuiteTM has undergone
detailed review by a panel of the EPA's independent Science Advisory
Board (SAB), and its September 2007 report can be downloaded. The EPA
disagrees that the ACC study cited by the commenter is not in the
docket. While the document is not available for direct download from
the docket due to its copyright protection, it can be viewed in the EPA
Docket Center and is also available from other sources in the public
domain.
---------------------------------------------------------------------------
\4\ See Docket ID Item Nos. EPA-HQ-OAR-2018-0833-0021 and EPA-
HQ-OAR-2018-0833-0022.
\5\ Staples, C.A., & Gulledge, W. (2006). An environmental fate,
exposure and risk assessment of ethylene oxide from diffuse
emissions. Chemosphere, 65(4), 691-698. doi: 10.1016/
j.chemosphere.2006.01.047.
\6\ EPI SuiteTM website: https://www.epa.gov/tsca-screening-tools/epi-suitetm-estimation-program-interface.
---------------------------------------------------------------------------
Comment: One commenter asserted that the EPA's benchmarks for the
level of health risk that is considered acceptable are an outdated
policy that does not reflect subsequent scientific breakthroughs and
public perceptions of acceptable environmental health risks. The
commenter disagreed with the EPA's policy that a cancer risk of 100-in-
1 million is presumed to be either safe or acceptable, that for acute
risks an HQ less than 1 is always acceptable, and that an HQ greater
than 1 can be deemed acceptable without reasoned explanation. The
commenter stated that the EPA's acceptability benchmarks are based on a
1988 study of people's tolerance for various types of health risk,
known as the Survey of Societal Risk.\7\ The commenter remarked that
the EPA has failed to revisit or update this policy over the decades,
even though scientists have made breakthroughs on early-life exposure
and children's vulnerability; biomonitoring and other data on adult
body burdens of chemicals; the vulnerability of overburdened
communities, including socioeconomic disparities; and ways to analyze
and control the impacts of pollutants on human health. The commenter
listed 17 ``landmark'' actions from the EPA, other regulatory agencies,
and scientific bodies relating to environmental health effects and
human susceptibility that have occurred since 1990, which the commenter
states make the current EPA policy outdated. The commenter asserted
that the EPA acceptability benchmark policy needs to be reformed in the
face of increasing evidence that challenges the assumption of a safe or
acceptable level of HAP exposure.
---------------------------------------------------------------------------
\7\ Survey of Risks, Benzene Rule Legacy Docket ID No. OAQPS 79-
3, Part I, Docket Item X-B-1 (cited at National Emission Standards
for Hazardous Air Pollutants; Benzene Emissions from Maleic
Anhydride Plants, Ethylbenzene/Styrene Plants, Benzene Storage
Vessels, Benzene Equipment Leaks, and Coke By-Product Recovery
Plants, 53 FR 28496, 28512/3-13/3 (July 28, 1988)).
---------------------------------------------------------------------------
Response: The EPA considers this comment outside the scope of the
risk review for the Site Remediation source category. As the commenter
notes, this level of acceptable risk was determined based on the EPA's
prior analysis of general perception of relative risk (see Benzene
NESHAP, 54 FR 38046). The task of re-determining the public's general
concern for the level of acceptable risk falls outside the scope of an
individual risk review.
However, our discussion in the proposal preamble addresses the
commenter's concern (See 84 FR 46143; September 3, 2019)--though
providing this explanation is not intended to reopen our approach. The
scope of the EPA's risk analysis is consistent with the EPA's response
to comments on our policy under the Benzene NESHAP, where the EPA
explained that ``[t]he policy chosen by the Administrator permits
consideration of multiple measures of health risk. Not only can the MIR
[maximum individual risk] figure be considered, but also incidence, the
presence of noncancer health effects, and the uncertainties of the risk
estimates. In this way, the effect on the most exposed individuals can
be reviewed as well as the impact on the
[[Page 41688]]
general public. These factors can then be weighed in each individual
case. This approach complies with the Vinyl Chloride mandate that the
Administrator ascertain an acceptable level of risk to the public by
employing his expertise to assess available data. It also complies with
the Congressional intent behind the CAA, which did not exclude the use
of any particular measure of public health risk from the EPA's
consideration with respect to CAA section 112 regulations, and thereby
implicitly permits consideration of any and all measures of health risk
which the Administrator, in his judgment, believes are appropriate to
determining what will `protect the public health.' '' (54 FR at 38057;
September 14, 1989.)
The EPA subsequently adopted this approach in its residual risk
determinations and the Court upheld the EPA's interpretation that CAA
section 112(f)(2) incorporates the approach established in the Benzene
NESHAP. See NRDC v. EPA, 529 F.3d 1077, 1083 (D.C. Cir. 2008).
Comment: One commenter claimed that the EPA did not assess whether
the health risk and emissions reductions of the rule provide an ample
margin of safety. The commenter stated that the EPA only considered the
cost and feasibility of available control measures from its technology
review, did not consider facility-wide risks, and ignored exempt
sources in its ample margin of safety decision. The commenter cited the
Court decision, Sierra Club v. EPA, 895 F.3d 1 (D.C. Cir. 2018) to
support their comment. Additionally, the commenter said the EPA did not
provide the underlying data it used to reach its facility-wide risk
determinations.
Response: The EPA disagrees with the comment. The risk assessment
demonstrated that health risks due to air emissions from site
remediation sources are acceptable and after considering available
control options and all available risk information, the EPA concluded
that the current standards provide an ample margin of safety to protect
public health. The commenter misconstrues the analysis at pages 46157-
58 of the proposal. The EPA had already made a determination,
consistent with the methodology of the Benzene NESHAP, that the risk
posed by emissions from the affected sources in the Site Remediation
source category is acceptable. See 84 FR 46157 (September 3, 2019),
section C.1 ``risk acceptability.'' The EPA proceeds to look at
potential measures that could further reduce risk in the ample margin
of safety determination, and in that context, has consistently
historically considered multiple factors, including control technology
cost, cost effectiveness, feasibility, and the magnitude of risk and
potential risk reduction, as well as uncertainties. See NRDC v. EPA,
529 F.3d 1077, 1080-83 (D.C. Cir. 2008) (upholding as reasonable the
EPA's interpretation that CAA section 112(f)(2)(A) does not mandate
establishing emission standards to reduce cancer risks below 1-in-1
million and recognizing that CAA section 112(f)(2) incorporates the
EPA's approach in the Benzene NESHAP).
The Court decision cited by the commenter,\8\ Sierra Club v. EPA,
895 F.3d 1 (D.C. Cir. 2018), addressed the basis for setting a health-
based emission limit based on a health threshold in lieu of a
technology-based standard for hydrochloric acid (HCl) under section
112(d)(4) of the CAA, not making a determination under section
112(f)(2) of the CAA.
---------------------------------------------------------------------------
\8\ See the comment letter in Docket ID Item No.EPA-HQ-2018-
0833-0069, p 45.
---------------------------------------------------------------------------
The EPA did not contemplate an ample margin of safety analysis for
RCRA/CERCLA-exempt sources because they are not subject to the
emissions standards in the rule. The ample margin of safety portion of
a CAA section 112(f) analysis necessarily entails an evaluation of
control options. For the EPA to undertake an ample margin of safety
analysis for the exempt sources, a final determination would first be
needed to eliminate the exemption and evaluate control options. We have
not yet concluded how these sources should be regulated under the Site
Remediation NESHAP. While we requested comment on issues related to
eliminating the exemption, we are not acting on the exemption in this
RTR process. As noted in our separate request for comment on the exempt
status of such facilities in the RTR proposal, the EPA continues to
analyze the effect of removing the exemption in terms of designing
appropriate regulatory provisions should the exemption be removed.
The EPA considered facility-wide risks and determined that Site
Remediation emissions are not driving those risks. The risk at two
facilities where facility-wide risk was greater than 100-in-1 million
was driven by EtO, which, as explained at proposal, to the EPA's
knowledge, is not emitted from Site Remediation activities. Also, as
noted in the proposal, the EPA is separately addressing EtO emissions
in response to the results of the latest National Air Toxics Assessment
released in August 2018, which identified the chemical as a potential
concern in several areas across the country.
The EPA disagrees that we did not provide the data for our whole-
facility analysis. The data files were placed in the docket for public
review upon publication (see Docket ID Item No. EPA-HQ-OAR-2018-0833-
0037).
4. What is the rationale for our final approach and final decisions for
the risk review?
As explained in our proposal, the EPA sets standards under CAA
section 112(f)(2) using ``a two-step standard setting approach, with an
analytical first step to determine an `acceptable risk' that considers
all health information, including risk estimation uncertainty, and
includes a presumptive limit on MIR of approximately 1-in-10 thousand''
(see 54 FR 38045; September 14, 1989). We weigh all health risk
measures and factors in our risk acceptability determination, including
the cancer MIR, cancer incidence, the maximum noncancer TOSHI, the
maximum acute noncancer HQ, the extent and distribution of cancer and
noncancer risks in the exposed population, and the risk estimation
uncertainties.
In the second step of the approach, the EPA considers whether the
emissions standards provide an ample margin of safety to protect public
health ``in consideration of all health information, including the
number of persons at risk levels higher than approximately 1-in-1
million, as well as other relevant factors, including costs and
economic impacts, technological feasibility, and other factors relevant
to each particular decision.'' \9\ The EPA must promulgate emission
standards necessary to provide an ample margin of safety to protect
public health or determine that the standards being reviewed provide an
ample margin of safety without any revisions. After conducting the
ample margin of safety analysis, we consider whether a more stringent
standard is necessary to prevent, taking into consideration costs,
energy, safety, and other relevant factors, an adverse environmental
effect.
---------------------------------------------------------------------------
\9\ 54 FR 38045, September 14, 1989.
---------------------------------------------------------------------------
Since proposal, neither the risk assessment nor our determinations
regarding risk acceptability, ample margin of safety, or adverse
environmental effects have changed. For the reasons explained in the
proposed rule, we determined that the risks from the Site Remediation
source category are acceptable, and the current standards provide an
ample margin of safety to
[[Page 41689]]
protect public health and prevent an adverse environmental effect.
Therefore, we are not revising 40 CFR part 63, subpart GGGGG to require
additional controls pursuant to CAA section 112(f)(2) based on the
residual risk review, and we are readopting the existing standards
under CAA section 112(f)(2).\10\
---------------------------------------------------------------------------
\10\ The Court upheld this approach to CAA section 112(f)(2) in
NRDC v. EPA, 529 F.3d 1077, 1083 (D.C. Cir. 2008): ``If EPA
determines that the existing technology-based standards provide an
'ample margin of safety,' then the Agency is free to readopt those
standards during the residual risk rulemaking.''
---------------------------------------------------------------------------
B. Technology Review for the Site Remediation Source Category
1. What did we propose pursuant to CAA section 112(d)(6) for the Site
Remediation source category?
Pursuant to CAA section 112(d)(6), we conducted a technology
review, which focused on identifying and evaluating developments in
practices, processes, and control technologies for the emission sources
in the Site Remediation source category. At proposal, we identified
developments in practices, processes, or control technologies for
process vents and equipment leaks.
For process vents, one potential control technology was identified
at proposal, use of a regenerative thermal oxidizer, which could
increase the emissions capture and control efficiency from 95 percent
to 98 percent for those process vents that are currently controlled
with a carbon adsorption system or other device achieving 95-percent
control. We estimated the HAP emissions reduction beyond the current
control requirements could range between 0.09 and 0.18 tpy for the
source category, and the estimated costs would be $1 million to $2
million per ton of HAP emission reduction.
For equipment leaks, we identified the more stringent leak
definitions of 40 CFR part 63, subpart UU over those of 40 CFR part 63,
subpart TT as a development in practices, processes, or control
technologies at proposal. Two options were identified: Option 1--
requiring the use of the leak detection thresholds of 40 CFR part 63,
subpart UU, for valves and pumps; Option 2--requiring the use of the
leak detection thresholds of 40 CFR part 63, subpart UU for valves and
pumps and also requiring connector monitoring under 40 CFR part 63,
subpart UU. For Option 1, we estimated an additional HAP emission
reduction of up to 4.7 tpy and estimated the costs would be $2,000 per
ton of HAP emission reduction. For Option 2, we estimated the HAP
emission reduction incremental to Option 1 would be approximately 5 tpy
and the incremental cost effectiveness between Option 1 and Option 2
would be $35,000 per ton of HAP emission reduction.
Based on the costs and the emission reductions that would be
achieved with the identified developments, we proposed to revise the
MACT standard pursuant to CAA section 112(d)(6) to require facilities
to use the leak detection thresholds of 40 CFR part 63, subpart UU, for
valves and pumps, without the subpart UU requirements for connectors in
gas/vapor service and in light liquid service. We proposed that it was
not necessary to revise the MACT standards pursuant to CAA section
112(d)(6) to require 98-percent control for process vents, based on the
use of a regenerative thermal oxidizer. More information concerning our
technology review can be found in the memorandum titled CAA section
112(d)(6) Technology Review for the Site Remediation Source Category,
which is available in the docket for this action and in the preamble to
the proposed rule (84 FR 46160 and 46161; September 3, 2019).
2. How did the technology review change for the Site Remediation source
category?
The technology review has not changed from proposal to this final
action. As explained below, the comments received were generally
supportive of the revisions to the equipment leak requirements to
require the use of the leak detection thresholds of 40 CFR part 63,
subpart UU, for valves and pumps, to not require connector monitoring
for equipment leaks, and to not require changes to the NESHAP for
process vents.
3. What key comments did we receive on the technology review, and what
are our responses?
Most of the commenters on the proposed technology review supported
our proposed revised standards for equipment leaks and our
determination that revised standards for process vents are not
necessary for the Site Remediation NESHAP. One commenter requested that
we consider additional elements in our technology review, including
incorporating exempt sources in our analysis of the cost effectiveness
of connector monitoring, considering leakless equipment in our review
of the equipment leak standards, and considering a different threshold
for cost effectiveness. A complete summary of these and other comments
and responses are in the comment summary and response document,
available in the docket for this action (Docket ID No. EPA-HQ-OAR-2018-
0833). The following is a summary of key comments we received regarding
the technology review and our responses to those comments.
Comment: One commenter asserted that the EPA must evaluate
developments in practices, processes, and control technologies to
reduce inorganic HAP and HAP metal emissions and must revise its
existing standards by setting limits that reflect the use of these
practices, processes, and control technologies. As emissions standards
in the Site Remediation NESHAP currently do not apply to these HAP, the
commenter noted that the EPA did not include these HAP in its
technology review. The commenter stated that the EPA must set emission
standards for each HAP that a source category emits and then must also
determine whether developments in pollution control make it
``necessary'' to revise the emission standards.
Response: We acknowledge that the Site Remediation NESHAP does not
contain emissions standards for metal HAP and inorganic HAP. However,
the EPA's duty under CAA section 112(d)(6) is to review the standards
promulgated under CAA section 112(d)(2) and to evaluate any
developments in practices, processes, and control technologies to
determine whether it is necessary to revise the existing standards.
The EPA's decision to consider regulation of these pollutants in
this rulemaking is not governed by or mandated by CAA section
112(d)(6). That provision requires the EPA to review and revise, as
necessary (taking into account developments in practices, processes,
and control technologies), emission standards promulgated under this
section. We do not agree with the commenter's assertion that the EPA
must establish new standards for unregulated emission points or
pollutants as part of a technology review of the existing standards.
The EPA reads CAA section 112(d)(6) as a limited provision requiring
the Agency to, at least every 8 years, review the emission standards
already promulgated in the NESHAP and to revise those standards as
necessary, taking into account developments in practices, processes,
and control technologies. Nothing in CAA section 112(d)(6) directs the
Agency to develop new emission standards to address HAP or emission
points for which standards were not previously promulgated as part of
or in conjunction with the mandatory 8-year technology review.
[[Page 41690]]
When the EPA establishes standards for previously unregulated
emissions, we would establish the standards under one of the provisions
that govern initial standard setting--CAA sections 112(d)(2) and (3)
or, if the prerequisites are met, CAA section 112(d)(4) or CAA section
112(h). Establishing emissions standards under these provisions of the
CAA involves a different analytical approach from reviewing emissions
standards under CAA section 112(d)(6).
While we did not consider establishing standards for these HAP
under CAA section 112(d)(6), we did investigate these HAP to determine
whether standards should be established under CAA section 112(d)(2) or
(3). In our review of the data for affected sources, we found that
metal HAP are not emitted. Therefore, standards are not required for
these pollutants (see 84 FR 46161; September 3, 2019) and our
discussion of this issue in section D.1.a of this document.) This
analysis satisfies the investigation into these pollutants that the EPA
said it intended to undertake for these HAP in response to Sierra
Club's petition for reconsideration of the initial NESHAP
rulemaking.\11\ For inorganic HAP, based on the EPA's analysis of the
available emissions data for affected sources, only one Site
Remediation operation emitted any inorganic HAP. The one inorganic HAP
emitted by this Site Remediation is asbestos, and asbestos emissions
are already regulated by another NESHAP (as discussed in more detail
below). Therefore, we determined it was not necessary to evaluate these
emissions further or to establish standards under CAA sections
112(d)(2) or (3) for these emissions.
---------------------------------------------------------------------------
\11\ See Letter from Janet McCabe to James Pew (March 25, 2015)
(Docket ID Item No. EPA-HQ-OAR-2018-0833-0012) (granting
reconsideration of 68 FR 58172 (October 8, 2003)).
---------------------------------------------------------------------------
Comment: One commenter stated that the EPA should do more than it
proposed for regulating equipment leaks because there have been
additional developments in equipment, such as leakless or low-emission
valves and zero-emissions technologies, and the commenter asserts that
these technologies should be required. The commenter also remarked that
the EPA's rationale for not requiring connector monitoring is flawed,
in that it did not account for emissions reductions from the facilities
exempt from the rule under the RCRA/CERCLA exemption. The commenter
opined that since these facilities have not had to comply with the
existing Site Remediation standards, it is likely there would be
greater emissions reductions from these facilities, which would result
in an improvement in the cost effectiveness of the measure. The
commenter also mentioned that considering cost on a per ton basis for
all emitted HAP does not make sense when the pollutants have vastly
varying toxicities. The commenter further stated that the EPA does not
explain why it believes an incremental cost of $35,000 per ton of HAP
reduced is an unreasonable cost.
Response: First, we disagree that leakless valves and low-emissions
technologies should have been included in the technology review. These
and similar types of equipment were available and accounted for when
the original NESHAP was promulgated, and, therefore, they are not
``developments'' in technology.\12\ The commenter has not identified
``developments'' in relation to this technology, such as a significant
decrease in cost or a change in applicability to the Site Remediation
source category. Next, in determining the impacts from any control
options, we include only the emissions and reductions that would
actually be expected to occur as a result of the implementation of that
control option. In this case, since some facilities are exempt from
emissions control requirements, the impacts are based on the emissions
reductions and costs of implementation at the facilities that would be
required to comply with the regulations. If the currently exempt
facilities become subject to emissions control requirements in the
future, we will reassess the impacts of potential control options at
that time.
---------------------------------------------------------------------------
\12\ U.S. EPA. National Emission Standards for Hazardous Air
Pollutants (NESHAP) for Site Remediation (40 CFR part 63, subpart
GGGGG)--Background Information for Promulgated Standards. Office of
Air Quality Planning and Standards. Research Triangle Park, NC.
August 2003. pp. 44-45.
---------------------------------------------------------------------------
The EPA disagrees that, for this action, an analysis that relies on
a cost-per-ton basis ``does not make sense'' when different HAP have
different toxicities. We note that when assessing the cost
effectiveness of more stringent standards under consideration, we have
discretion to express emission reductions that would result from such
standards in any reasonable format, such as costs per ton of emissions
reduced. In this case, as explained at proposal, the risk for the Site
Remediation source category was low, using both the quantity and
toxicity of emitted pollutants to arrive at this conclusion. The EPA
also adds that a cost-per-ton basis may not be the only economic
consideration when deliberating on whether to adopt controls. The EPA
also looks, where appropriate, at the broader economic impact a given
control technique may have on the category of sources when deciding
whether to adopt a given standard.
With respect to the role of cost in our decisions under the
technology review, we note that courts have not required the EPA to
demonstrate that a technology is ``cost-prohibitive'' in order not to
require adopting a new technology under CAA section 112(d)(6); a simple
finding that a control is not cost effective is enough. See Association
of Battery Recyclers, et al. v. EPA, et al., 716 F.3d 667, 673-74 (DC
Cir. 2015) (approving the EPA's consideration of cost as a factor in
its section 7412(d)(6) decision-making and EPA's reliance on cost
effectiveness as a factor in its standard-setting). The EPA declined to
include connectors in our decision to lower the definition of the leak
threshold, based on the fact that, relative to a limited impact on
emissions, the addition of connectors would have increased the cost of
the LDAR program by more than an order of magnitude from the option
chosen (i.e., lower leak thresholds for pumps and valves).
4. What is the rationale for our final approach for the technology
review?
Based on our analysis for equipment leaks, we have determined the
costs of Option 1 are reasonable, given the level of HAP emissions
reduction that would be achieved with this control option. We do not
believe the costs of Option 2 are reasonable, given the level of HAP
emissions reduction Option 2 would achieve relative to a much higher
incremental cost- per-ton above Option 1. Therefore, as a result of the
technology review, pursuant to CAA section 112(d)(6), we are finalizing
our proposed determination to revise the Site Remediation NESHAP to
require existing and new affected sources to comply with the 40 CFR
part 63, subpart UU leak detection thresholds for pumps and valves
rather than leak thresholds of 40 CFR part 63, subpart TT, for those
components.
For the reasons discussed above and in the preamble to the proposed
rule, we have determined that it is not necessary, pursuant to CAA
section 112(d)(6), to revise the Site Remediation NESHAP to require
additional HAP emission controls for process vents or any other
equipment or processes at Site Remediation facilities.
[[Page 41691]]
C. CAA Sections 112(d)(2) and (3) Amendments
1. What did we propose pursuant to CAA sections 112(d)(2) and (3) for
the Site Remediation source category?
We proposed to add a work practice standard pursuant to CAA section
112(h)(2)(B), in conjunction with CAA sections 112(d)(2) and (3), for
PRDs. PRDs are valves, rupture disks, or other equipment designed to
remain closed during normal operation but that ``actuate'' (e.g., the
valve seat opens or a rupture disk ruptures) in the event of an
overpressure in the system caused by operator error, a malfunction such
as a power failure or equipment failure, or other unexpected cause that
results in immediate venting of gas from process equipment in order to
avoid safety hazards or equipment damage. The current Site Remediation
NESHAP follows the EPA's previous practice of exempting SSM events from
otherwise applicable emission standards. Consequently, with emissions
releases from a PRD release actuation event treated as a type of
malfunction, the Site Remediation NESHAP did not restrict emissions
releases to the atmosphere from a PRD actuation event (i.e., PRD
releases were exempt from the otherwise applicable emission standards).
In Sierra Club v. EPA, 551 F.3d 1019 (DC Cir. 2008), the Court
determined SSM exemptions in CAA section 112 standards violate the CAA.
To ensure a standard continuously applies during malfunctions that
result in emissions from a PRD actuation event, we proposed work
practices and other provisions for PRDs and bypass lines on closed vent
systems. We explained that a work practice standard is warranted under
CAA section 112(h) because the application of measurement technology to
this class of sources is not practicable due to technological and
economic limitations. See 84 FR 46153 (September 3, 2019). Modeling the
work practice standard on the Petroleum Refinery Sector RTR (80 FR
75178; December 1, 2015), we proposed to add work practice requirements
that consist of conducting an analysis of the cause of a PRD actuation
event and the implementation of corrective measures for PRDs that emit
directly to the atmosphere. In addition, we proposed criteria for what
constitutes a deviation from the work practice requirements. For PRDs
that vent emissions from actuation events directly to the atmosphere,
we proposed it would be a deviation of the work practice standard for a
single PRD to have two releases within a 3-year period due to the same
cause; for a single PRD to have three releases within a 3-year period
for any reason; and for any PRD to have a release for which the cause
was determined to be operator error or poor maintenance. We also
proposed that ``force majeure'' events, which we proposed to define as
events resulting from natural disasters, acts of war or terrorism, or
external power curtailment beyond the facility's control (as
demonstrated to the satisfaction of the EPA Administrator), would not
be included when counting the number of releases. We proposed that
certain PRDs would not be subject to the work practice requirements due
to their low potential to emit substantial quantities of HAP. These
PRDs included the following: (1) PRDs designed and operated to route
all pressure releases through a closed vent system to a drain system,
fuel gas system, process or control device; (2) PRDs in heavy liquid
service; (3) PRDs that are designed solely to release due to liquid
thermal expansion; and (4) pilot-operated and balanced bellows PRDs if
the primary release valve associated with the PRD is vented through a
control system.
To ensure compliance with these provisions, we also proposed that
facilities subject to the Site Remediation NESHAP monitor PRDs in
remediation material service that release to the atmosphere by using a
device or system that is capable of identifying and recording the time
and duration of each actuation event and notifying operators
immediately that a pressure release is occurring. We further proposed
to require owners or operators to keep records and report any actuation
event and the amount of HAP released to the atmosphere with the next
periodic report. In addition, to add clarity to these provisions, we
proposed to add definitions for ``bypass,'' ``force majeure event,''
``pressure release,'' and ``pressure relief device or valve'' to 40 CFR
part 63, subpart GGGGG. We also proposed to remove the definition of
``safety device'' and the provisions related to safety devices from 40
CFR part 63, subpart GGGGG, which would overlap with and be redundant
of parts of the proposed definition of ``pressure relief device or
valve'' and the provisions related to these devices.
For purposes of estimating the costs of the proposed requirement to
monitor HAP releases to the atmosphere from PRDs, we assumed that
operators would already have monitoring systems capable of identifying
and recording the time and duration of each pressure release.
In the proposed rule, we removed the exemption from emissions
standards for periods of SSM in accordance with a decision of the
Court, Sierra Club v. EPA, 551 F.3d 1019 (DC Cir. 2008), cert. denied,
130 S. Ct. 1735 (U.S. 2010). This decision stated that the EPA must
provide standards that are in place at all times, even during periods
of SSM. The EPA has interpreted this to include provisions exempting
sources from otherwise applicable standards during maintenance periods.
Thus, we also proposed to remove the provision at 40 CFR 63.7925(b)(1)
that allowed a control device to be bypassed for up to 240 hours per
year for the performance of planned routine maintenance of the closed
vent system or control device (i.e., 240-hour routine maintenance
exemption). As a result, the emissions limits, including those for
tanks, in the proposed revised Site Remediation NESHAP would apply at
all times.
2. How did the proposed amendments pursuant to CAA sections 112(d)(2)
and (3) change for the Site Remediation source category?
We have made two revisions to the proposed work practice and
associated monitoring requirements and also revised the estimate of
costs associated with PRD monitoring. The revisions to the proposed
work practice and monitoring requirements include adding PRDs to the
list of Site Remediation equipment in 40 CFR 63.7882 to help clarify
when a PRD is subject to equipment leak requirements and when it is
subject to the PRD actuation event work practice requirements. We are
also revising the proposed PRD provisions to exclude PRDs on
``containers'' (as defined at 40 CFR 63.7957) from the PRD work
practice standards and monitoring requirements. Additionally, we have
revised the economic analysis for the adoption of the proposed PRD
monitoring requirements to reflect the purchase of monitoring equipment
for some facilities rather than assuming all facilities already have
adequate monitoring systems.
3. What key comments did we receive on the proposed amendments pursuant
to CAA sections 112(d)(2) and (3), and what are our responses?
Comment: Several commenters recommended that the EPA amend 40 CFR
63.7923(d) to include an exemption for PRDs on mobile equipment,
similar to the exemption in the Petroleum Refineries NESHAP in 40 CFR
63.648(j)(5)(vi). One of these commenters extended this recommendation
to portable containers, similar to the exemption in the Off-Site Waste
and Recovery Operations (OSWRO) NESHAP. This commenter is concerned
that the EPA has not
[[Page 41692]]
evaluated the HAP emissions that may be associated with PRDs on
portable equipment, noting that containers are generally already
subject to separate MACT requirements which would address their
emissions. The commenter also remarked that since facilities generally
do not own tank trucks and other transport vehicles, and they are not
dedicated to the facility, it would be impractical and overly broad to
impose monitoring requirements on them. Further, the commenter is
concerned that potential monitoring requirements would be technically
infeasible to implement on containers due to the wide range of
containers and their transitory nature. Specifically, the commenter
noted that containers can vary drastically in size from site to site
and cover a variety of cylinders, drums, tote-tanks, cargo tanks,
isotainers, railcars, over-the-road tanker vehicles, etc. The commenter
also remarked that the time they are kept on site depends highly on
facility-specific operational activities and can range anywhere from a
few days to a few weeks or months. Combined, the commenter said these
factors make it incredibly difficult, if not impossible, to
appropriately design and effectively implement a continuous monitoring
system for each container's PRD.
One commenter also recommended that the EPA include an exemption
for PRDs that do not have the potential to emit 72 pounds (lbs)/day or
more of volatile organic compounds (VOC) based on the valve diameter,
the set release pressure, and the equipment contents, similar to the
exemption in the Petroleum Refineries NESHAP in 40 CFR 63.648(j)(5)(v).
The commenter stated that the EPA's logic for that exemption, which is
that it was consistent with the treatment of miscellaneous process
vents and consistent with the two California rules (Bay Area and South
Coast) that served as the MACT floor for the Petroleum Refineries
NESHAP, also applies to this rule.
Response: The EPA agrees that an exception would be appropriate for
moveable equipment, such as trucks with containers, or tanks, train
cars, and similar moveable equipment that may be brought to a Site
Remediation for short durations. The EPA agrees that such equipment may
not be under the control of the affected facility and/or that altering
such equipment to meet the monitoring requirements for PRDs is
impractical. The EPA has, therefore, added an exception for
``containers,'' as that term is defined at 40 CFR 63.7957, which
encompasses movable equipment such as trucks, train cars, or barges.
The EPA has followed the model of the OSWRO NESHAP in this regard. See
83 FR 3986 (January 29, 2018).
The EPA disagrees that it is appropriate to exempt PRDs that do not
have the potential to emit 72 lbs./day or more of VOC based on the
valve diameter from the PRD work practice. The commenter suggests the
provisions should be adopted because the exemption is also found in the
Petroleum Refineries NESHAP in 40 CFR 63.648(j)(5)(v). The exemption to
which the commenter refers is refinery-specific and applies to ``Group
1 process vents,'' as defined in the Petroleum Refineries NESHAP.\13\
The commenter did not provide information as to why an exemption for
Refinery Group 1 process vents should be applied to remediation
material management units (RMMUs). RMMUs are subject to Site
Remediation NESHAP standards according to the criteria in 40 CFR
63.7881(c)(1), 40 CFR 63.7882(a)(2) and 40 CFR 63.7886(d). The
differences in these emission points is reflected in the definition of
the Refinery Group 1 process vent in contrast to the applicability
criteria for RMMUs. The EPA does not find these two sets of units
sufficiently similar to warrant applying this provision to RMMUs, given
the wide variety of RMMUs that may be found subject to the Site
Remediation NESHAP. The commenter also provided no context as to why 72
lbs./day is appropriate, given the different emission potential that
determines affected facility status of the units on which the PRDs are
found in Site Remediation. The 72 lbs./day provision for Petroleum
Refineries NESHAP was set based on CAA section 112(d)(2) (i.e., a MACT
floor for petroleum refineries). The EPA does not have, and the
commenter did not provide, data to support either a 72 lbs./day
exemption or other value to apply as an exemption threshold for the
Site Remediation source category. However, certain applicability
criteria that the EPA finds appropriate to apply in the context of PRD
activations in the site remediation context are identified at 40 CFR
63.7923(d).
---------------------------------------------------------------------------
\13\ Group 1 miscellaneous process vent means a miscellaneous
process vent for which the total organic HAP concentration is
greater than or equal to 20 parts per million by volume, and the
total VOC emissions are greater than or equal to 33 kilograms per
day for existing sources and 6.8 kilograms per day for new sources
at the outlet of the final recovery device (if any) and prior to any
control device and prior to discharge to the atmosphere.
---------------------------------------------------------------------------
Comment: One commenter expressed opposition to what the commenter
referred to as ``three exemptions'' included in the proposed work
practice standards for PRDs, asserting that the work practice standards
must apply at all times. According to the commenter, a provision that
allows sources to exceed the emissions standards two or three times
every 3 years essentially allows non-continuous compliance with the
CAA, which is inconsistent with the Court precedent. Regarding force
majeure events, the commenter stated that this provision is an
exemption that simply provides new semantics for the rejected
malfunction exemption and is equally unlawful. The commenter further
explains that the concept of force majeure is from contracts law and
does not fit with compliance with federal law. The commenter asserts
that injecting contractual principles or negotiating regulations with a
regulated party runs directly counter to the statutory test in which
compliance is non-negotiable. According to the commenter, the EPA does
not have the discretion to promulgate an exemption that allows EPA to
decide what is a violation, or not, at a future time, as the Court has
the authority to decide whether a violation has occurred warranting a
penalty. This exemption, the commenter claims, places the burden on the
government or citizen enforcer to prove both that excess emissions have
occurred and that they did not occur during a force majeure event. The
commenter also states that the exemption for PRDs with low potential to
emit is unlawful because the CAA directs the EPA to establish limits
that apply on a continuous basis for each HAP a source emits,
regardless of the amount emitted. The commenter adds that it should be
easy for PRDs to comply with the limits if they truly have low
emissions.
Response: The EPA disagrees with the commenter that the proposed
work practice is not a standard applicable to the affected source at
all times. Under CAA section 112(h), work practices are a form of
emissions standard applicable to affected units. Actuation events from
PRDs that vent to the atmosphere are irregular in time, duration,
amount, cause, and effect. Attempts to capture such emissions may be
potentially dangerous to workers, the public, and the environment. The
EPA's work practice standards require a series of preventive measures
\14\ and the use of diagnostic tools to prevent recurrence of such
events, coupled with a clearly defined basis for enforcement action
when there is a failure to prevent actuation event recurrence under the
[[Page 41693]]
defined circumstances. This work practice standard represents the
practice employed by the best performing sources and is the MACT floor.
The MACT floor is not merely after-the-fact recordkeeping requirements
to document PRD actuation events without penalty. The PRDs at affected
facilities are subject to continuous monitoring, and, in addition to
other potential bases for finding a violation as described in 40 CFR
63.7923(f), each PRD actuation is a violation if the cause is poor
maintenance or operator error.
---------------------------------------------------------------------------
\14\ See 84 FR 46153 (September 3, 2019) for a discussion of
requirements under 40 CFR part 68, Chemical Accident Prevention
Provisions for PRDs.
---------------------------------------------------------------------------
The EPA disagrees with the comments regarding force majeure events.
Force majeure events, which result in pressure release actuation
events, must be accounted for under 40 CFR 63.7923(c). The definition
of force majeure narrows the scope of such events to natural disasters;
acts of war or terrorism; loss of a utility external to the Site
Remediation unit (e.g., external power curtailment), excluding power
curtailment due to an interruptible service agreement; and fire or
explosion originating at a near or adjoining facility outside of the
Site Remediation affected source that impacts the Site Remediation
affected source's ability to operate. Therefore, a force majeure event
would never be due to operator error or poor maintenance (see 40 CFR
63.7923(f)(1)) and must be absolutely beyond the power or ability of
the source to prevent. We believe that the narrow scope of force
majeure is such that a second event, from a single pressure relief
device in a 3-year period would be highly unlikely to be due to the
same force majeure event for the same equipment. (See 40 CFR
63.7923(f)(2)). Similarly, we believe that it is highly unlikely that
in a 3-year period, three force majeure events of any type would occur
for the same equipment. Finally, the source must satisfy the
Administrator that the event was beyond the control of the owner or
operator, because the decision to accept the claim of force majeure is
solely within the discretion of the Administrator. Thus, the force
majeure provisions are an intrinsic part of the work practice standard
and are not as the commenter maintains an exemption from that standard.
The EPA disagrees with the comments regarding the exemption for
certain types of PRDs identified in 40 CFR 63.7923(e). We modeled the
applicability of the PRD provisions after the Petroleum Refinery rule,
40 CFR part 63, subpart CC. That ``beyond-the-floor'' analysis
determined that it was not cost effective to include control of these
PRDs as part of the work practice standard for PRDs, and we do not have
information to conclude that this analysis would be any different for
Site Remediation sources. However, these PRDs may be regulated under
other provisions of the MACT. We note that, if the PRD is on any
equipment subject to the equipment leaks requirements at 40 CFR
63.7920-7922, then the PRD is also subject to those same requirements,
and owners and operators are still required to monitor the PRD after
the release to verify the device is operating with an instrument
reading of less than 500 ppm. Such PRDs are subject to repair
requirements if a leak is found.
Comment: Several commenters requested clarification that the PRDs
covered by the work practices are only those associated with the Site
Remediation equipment leaks affected sources (i.e., only PRDs that are
in service for 300 or more hours per year and that contain or contact
remediation material having a concentration of total HAP listed in
Table 1 equal to or greater than 10 percent by weight).
Response: The EPA did not intend for the PRD actuation work
practice requirements to only apply to PRDs in contact with remediation
material with HAP content (for those HAPs listed in Table 1 to subpart
GGGGG) equal to or greater than 10 percent by weight and that are in
service for 300 hours per year or more. The PRD work practice also
applies to PRDs protecting any affected units subject to this subpart
(with the exception of containers), including RMMUs under 40 CFR
63.7882(a)(2). Thus, PRDs are subject to the PRD work practice if they
are protecting process vents, tanks, surface impoundments, separators,
transfer systems, or closed-vent systems and control devices--
regardless of whether such units meet the 40 CFR 63.7882(a)(3)
thresholds for equipment leak requirements. Note that PRDs are not
subject to the work practice standard if they are on containers as
defined at 40 CFR 63.7957, which are subject to the requirements of 40
CFR 63.7900-7903. The PRD standards must work in conjunction with the
emission limits for all such affected units to ensure that a standard
applies at all times, including during malfunction periods. The
exemption suggested by the commenter would leave PRD actuation events
from certain affected units subject to no standards during
malfunctions. Certain RMMUs (40 CFR 63.7886) may be exempt from control
requirements based on the criteria in 40 CFR 63.7886(d). A PRD
protecting equipment found to be exempt under 40 CFR 63.7886(d) would
likewise be exempt from PRD standards, because the unit the PRD is
protecting is not subject to control requirements.
The commenter is correct that a PRD as a member of the set of
equipment subject to 40 CFR 63.7882(a)(3) would not be subject to LDAR
requirements for ``equipment leaks'' if the PRD ``at rest'' (meaning
not in actuation) meets either of the criteria in 40 CFR 63.7882(a)(3),
that is, either: (1) The HAP content of the remediation material is
less than 10 percent by weight; or (2) the equipment in question is
used less than 300 hours per year. The applicable requirements to
ensure a PRD has been repaired or re-sets properly after actuation are
found in 40 CFR 63.7923(a)(1) and (2). The corresponding recordkeeping
for such PRDs that are exempt from LDAR while at rest but subject to
PRD work practices in activation are found at 40 CFR 63.7950(b)(11).
Comment: Several commenters remarked that the EPA should have
provided a burden estimate for certain requirements. One commenter
pointed out that the EPA did not include a burden estimate for
implementation and reporting for the new PRD work practice requirements
and submittal of the PRD Notice of Compliance Status. Several
commenters stated that the EPA has assumed that sources have a system
already in place that is capable of identifying and recording the time
and duration of each pressure release from a PRD and of notifying
operators that a pressure release is occurring, and remarked that
sources actually often do not have systems like this in place unless
they are required by regulation; therefore, there will be a cost to
implement this proposed requirement. One commenter noted that one
company has five PRDs that vent to the atmosphere potentially subject
to the proposed requirements, and that none of these currently have
monitors in place. The commenter also said that some facilities with
PRD monitors are not set up to communicate with the control room or are
not capable of determining the duration of a release. One commenter
estimated that the cost to install a new monitoring system will be
approximately $15,000 per PRD.
One commenter expressed that the EPA has not included time for
facilities to develop procedures to estimate and report the amount of
excess emissions when a deviation from the new requirements of 40 CFR
63.7951(b) occurs or to develop procedures for the new deviation
recordkeeping requirements at 40 CFR 63.7952.
Response: The EPA disagrees that it failed to provide an estimate
at proposal as to the cost and burdens associated with the work
practice standard. However, we have adjusted that estimate as discussed
below, and we
[[Page 41694]]
have appropriately estimated the costs and burdens associated with
implementation and reporting for the PRD work practice standard. At
proposal, we assumed that any facility subject to the proposed PRD
requirements would likely experience one PRD actuation event every 3
years, which would require an analysis of the event's cause. The EPA
estimated an additional cost to implement the analysis of PRD actuation
events for affected facilities that was reflected in the burden
estimate at proposal. Upon consideration of the comment regarding the
PRD Notification of Compliance Status, we have made a description of
the PRD monitoring system part of the semiannual compliance report. It
may have been unclear at proposal whether this one-time notification
would be part of the submittal of the next semiannual report, for which
we already have estimated a burden to complete. We have clarified that
this notification is submitted with the semiannual compliance report.
The description of the monitoring system must be updated in subsequent
reports only if changes are made. With respect to monitoring, the EPA
has revised our burden estimate to include the cost of additional
monitoring for sources that do not already have adequate monitoring for
PRDs. We have estimated that half of the affected facilities must
acquire between 1 and 5 monitors to meet the new requirement, at an
estimated annualized cost of $30,000 for the entire source category.
For more information regarding the revised PRD monitoring burden
estimate, see the memorandum, Pressure Relief Device Monitoring Impacts
for the Site Remediation Source Category, available in the docket for
this action.
Regarding deviation recordkeeping and reporting, we are providing
additional time to develop emissions estimation and reporting
procedures. The compliance date for existing affected sources for the
revised SSM requirements other than General Provisions, 40 CFR 63.6(e)
and (f)(1), is 180 days after the effective date of the standard. The
requirements for electronic reporting requirements, the revised routine
maintenance provisions, the operating and pressure management
requirements for PRDs, and the revised requirements regarding bypasses
and closure devices on pressure tanks is 180 days after the effective
date of the standard.
4. What is the rationale for our final approach for the amendments
pursuant to CAA sections 112(d)(2) and (3)?
To ensure a standard continuously applies during malfunctions that
result in emissions from a PRD actuation event, we proposed work
practices and other provisions for PRDs and bypass lines on closed vent
systems. Based on comments received on the proposed provisions, we have
revised the proposed work practice and associated monitoring
requirements for PRDs. For the reasons provided in the responses to
comments above, we have revised the proposed PRD provisions to exclude
PRDs on containers from the PRD work practice standards and monitoring
requirements and added language to 40 CFR 63.7882 to help clarify when
a PRD is subject to equipment leak requirements and when it is subject
to the PRD actuation event work practice requirements. Additionally,
based on information provided by commenters, we have revised the
economic analysis for the adoption of the proposed PRD monitoring
requirements to reflect the purchase of monitoring equipment for some
facilities rather than assuming all facilities already have adequate
monitoring systems.
D. Other Issues and Changes Made to the Site Remediation NESHAP
1. Standards for Inorganic and Metal HAP Emissions
a. What did we propose for inorganic and metal HAP emissions?
In the May 13, 2016, proposal on reconsideration, the EPA stated
that it would consider the issue of regulating metals and inorganic HAP
emissions during the risk review (81 FR 29824). In the September 3,
2019, proposal, the EPA proposed to not set standards for metals and
inorganic HAP from Site Remediation sources subject to the Site
Remediation NESHAP because the Agency did not have data indicating that
site remediation sources subject to the rule emit these pollutants. The
EPA requested data demonstrating whether or not any affected Site
Remediation sources emit inorganic or metal HAP.
b. How did the decision regarding inorganic and metal HAP emissions
change since proposal?
In this final action, we have not made any changes to the proposed
decision related to inorganic HAP and metal emissions standards.
c. What key comments did we receive regarding inorganic and metal HAP,
and what are our responses?
Comment: One commenter observed that of over 200 Site Remediations
in the country, the EPA found data for only six facilities. The
commenter claimed that the EPA has nearly complete ignorance about
actual Site Remediation emissions due to a failure by the EPA to
collect the necessary data and asserts that claiming a lack of data
without adequate enquiry does not excuse the Agency from the
requirements of the CAA to set emission standards for each HAP a source
category emits. The commenter added that data for the source category,
including exempt facilities, clearly shows that Site Remediations do
emit specific and substantial quantities of inorganic and metal HAP,
citing EPA's residual risk assessments in the docket at proposal. In
contrast, several other commenters observed that the risk assessment
and the EPA's data for this source category do not demonstrate that
inorganic HAP and HAP metals are emitted from affected facilities and
agree with the EPA's decision not to set standards for these
pollutants. Two of these commenters also note that metals are the HAP
driving risks; however, this is an assumption of the model plant
approach employed in conducting the risk assessment. The commenters
stated that these HAP are likely not emitted, and the actual risks are
likely much lower than the EPA estimates.
Response: The NEI is the basis for establishing emission profiles
for the Site Remediation source category and many EPA residual RTRs
performed or are in progress within the Agency. The NEI is a
comprehensive national database operated by the regulated community,
state agencies, and the EPA to have data available for research and
analysis, public information, and rulemaking. In the case of the Site
Remediation RTR, to perform the risk assessment, the EPA used data
submissions from approximately 220 facilities (102 affected facilities
and 118 exempt facilities) that submitted over 55,000 records of
pollutant emissions for over 4,000 emission units at the entire
facilities (i.e., not just units subject to the Site Remediation
NESHAP). The NEI provides the best information available to the EPA
regarding emissions from the Site Remediation source category.
Of the affected sources, the EPA did not find any affected
facilities that reported Site Remediation emissions of metals and found
only one facility that emitted any other inorganic HAP, which
[[Page 41695]]
was asbestos. Upon further investigation of the asbestos emissions at
this facility, the EPA discovered that the Site Remediation at this
facility is subject to other rules applicable to asbestos cleanups,
including 40 CFR part 61, subpart M, the Asbestos NESHAP. The EPA has
determined that since the asbestos emissions are already regulated by
another NESHAP in this instance, it is not necessary to regulate those
emissions separately in the Site Remediation NESHAP.
The EPA disagrees with the commenter's assertion that exempt
facilities emit substantial quantities of inorganic HAP and metals. The
emissions reported in the NEI for exempt facilities shows a total of
0.04 tpy of HAP metal emissions, all of which are from one facility,
and 1.3 tpy of other inorganic HAP emissions, with 97 percent of these
emissions from one facility. Thus, while some exempt facilities emit
limited quantities of metal and inorganic HAP, the nature of Site
Remediations, which are highly site-specific and vary widely in
remediation materials treated, treatment methods and equipment, and
emissions, does not suggest that emissions of metal and inorganic HAP
are common in Site Remediations, are emitted in large quantities, or
would be expected from affected facilities. Therefore, without further
evidence to support the existence of metal or inorganic HAP emission
from affected facilities, the EPA has determined it is not necessary to
develop emissions standards for these pollutants for this source
category.
We agree with commenters that the risk assessment, which used a
model approach to attribute emissions to the Site Remediation portion
of a facility where the NEI did not include Site Remediation emissions,
likely overstates the emissions of some HAP from the Site Remediation
portions of the facilities. Where this is true, risk from those HAP
would be overstated in the risk assessment results.
As we stated at proposal, to address the limited data on Site
Remediation emissions for these 96 facilities, the EPA developed a
model plant approach for its risk assessment. A model plant approach is
commonly used in other EPA actions. The EPA developed a profile of Site
Remediation emissions for each facility by applying an emissions factor
based on emissions from the entire facility, including its non-category
emissions from primary processes. Some of these non-category emission
sources emit metal and inorganic HAP, thus leading to an attribution of
a fraction of those emissions at a facility to the Site Remediation
category by virtue of the use of the emissions factor. Thus, the model
plant data used for modeling risk reflect metal and inorganic emissions
solely because they are emitted by non-category sources elsewhere in
the facility. The tables in Residual Risk Assessment for Facilities
Exempt from the Site Remediation Source Category in Support of the Risk
and Technology Review 2019 Proposed Rule (see Docket ID Item No. EPA-
HQ-OAR-2018-0833-0028, p. 37-43) cited by the commenter do not
specifically distinguish which compounds cited by the commenter are
facility-wide non-category emissions adapted to the model plant and
therefore not actual emissions from site remediation activity, from
those pollutants emitted by site remediation activity. With the
exception of HCl, the compounds cited by the commenter are facility-
wide non-category emissions, and not emitted by site remediation
activity. See section IV. A.3 of this preamble for our discussion on
HCl. The commenter's assertion that data for the source category shows
that site remediations emit specific and substantial quantities of
inorganic and metal HAP is not actually supported by the data cited by
the commenter.
d. What is the rationale for our final decision regarding inorganic and
metal HAP?
For the reasons provided above and in the preamble for the proposed
rule, we are finalizing the proposed decision to not set standards for
metals and inorganic HAP from Site Remediation sources.
2. SSM
a. What did we propose for SSM?
We proposed amendments to the Site Remediation NESHAP to remove or
revise provisions related to SSM that are not consistent with the
requirement that the standards apply at all times.
b. How did the amendments regarding SSM change since proposal?
For SSM, the Site Remediation NESHAP at 40 CFR 63.7925(b)(1) allows
a facility to bypass control devices for up to 240 hours per year to
perform planned routine maintenance of the closed-vent system or
control device in situations when the routine maintenance cannot be
performed during periods that the control device is shut down. To
ensure that emissions standards apply at all times, we proposed to
revise 40 CFR 63.7925(b)(1) to require the control device to be
operating whenever gases or vapors containing HAP are vented through
the closed-vent system to the control device. Based on comments
received regarding these requirements, we have revised these proposed
requirements as they apply to storage tanks. The revised requirements
will allow a facility to bypass control devices on storage tanks for up
to 240 hours per year to perform planned routine maintenance of the
closed-vent system or control device in situations when the routine
maintenance cannot be performed during periods that the control device
is shut down, and they are restricted from filling the tank for those
240 hours. More information concerning SSM is in the preamble to the
proposed rule (84 FR 46161; September 3, 2019). We also are clarifying
the compliance dates for changes in the SSM provisions. See section
III.F of this preamble for compliance dates.
c. What key comments did we receive regarding SSM, and what are our
responses?
We received several comments regarding SSM. We received one comment
that HAP concentrations may be higher in remediation material at the
startup of remediation activities, one comment that the removal of the
SSM exemption is not necessary to be consistent with the Sierra Club
vs. EPA decision, and one comment generally supporting the proposed SSM
revisions. One commenter generally supported the revisions but opposed
what they characterized as ``exemptions'' provided for PRDs during
process malfunctions. Other commenters disagreed with the proposed
changes related to periods of planned routine maintenance in 40 CFR
63.7925(b)(1) as they would affect tanks. Our responses to these
comments can be found in the Response to Comments document in the
docket. In addition to comments on SSM, we also received comment on the
topic of periods for planned routine maintenance. A summary of these
comments and our response is below.
Comment: Several commenters requested that the EPA retain an
allowance for maintenance of control devices for tanks and add the work
practice to the Site Remediation NESHAP that was finalized in the Amino
and Phenolic Resins (APR) NESHAP RTR Reconsideration in October 2018.
The commenters explained that this work practice allows closed vent
systems on tanks to be bypassed for up to 240 hours per year for
routine maintenance but prohibits sources from increasing the level of
material in the tank during that time to minimize emissions by ensuring
no working losses occur. Another commenter requested that the EPA
[[Page 41696]]
retain the current routine maintenance provision that allows all
closed-vent system or control devices to be bypassed for up to 240
hours per year to perform routine maintenance. This commenter stated
that the EPA has not provided any justification or analysis of the
costs or emissions impact associated with the proposed change.
Response: In the proposed rule, we removed the exemption from
emissions standards for periods of SSM in accordance with a decision of
the Court, Sierra Club v. EPA, 551 F.3d 1019 (DC Cir. 2008), cert.
denied, 130 S. Ct. 1735 (U.S. 2010). This decision stated that the EPA
must provide standards that are in place at all times, even during
periods of SSM. Thus, we also removed the provision at 40 CFR
63.7925(b)(1) that allowed a control device to be bypassed for up to
240 hours per year for the performance of planned routine maintenance
of the closed vent system or control device (i.e., 240-hour routine
maintenance exemption). As a result, the emissions limits, including
those for tanks, in the proposed revised Site Remediation NESHAP would
apply at all times.
While emissions from most equipment can be eliminated completely
during routine maintenance of a control device, simply by not operating
the process during those times, the same is not true for a tank. For a
fixed roof tank complying with the NESHAP by routing emissions through
a closed vent system to a control device, the stored material in the
tank will continue to emit volatile compounds when the control device
is not operating. The only ways for these tanks to avoid such emissions
are to empty and degas the tank prior to the maintenance activity. It
is possible that emptying and degassing a tank could result in greater
emissions than would result from emissions from the tank during a 240-
hour period. At proposal, we did not consider this emissions potential.
Taking this factor into account, we decided to examine whether separate
MACT standards should be established for periods of planned routine
maintenance of the emission control system for the vent on a fixed roof
tank at a new or existing source.
We began our examination by reviewing the title V permits for each
facility subject to the Site Remediation NESHAP. In this review, we
searched for facilities that had tanks subject to the emissions
standards of the Site Remediation NESHAP and for any permit
requirements pertaining to periods of routine maintenance of a control
device for a tank. From this review, several facilities were found to
have tanks subject to the Site Remediation NESHAP emission standards.
While the current provisions of the Site Remediation NESHAP minimize
emissions by limiting the duration of the bypass of a control device
for planned routine maintenance to 240 hours per year, no additional
permit conditions were found for these facilities for periods of time
when the tank control device was not operating. We also reviewed other
NESHAP to examine the requirements that apply to similar tanks. From
the review of these NESHAP, we found that the Hazardous Organic NESHAP
(HON) and several other NESHAP, including, but not limited to, those
for Group I Polymers and Resins, Group IV Polymers and Resins, OSWRO,
Pharmaceuticals Production, and Pesticide Active Ingredient Production
with similar vapor pressure and threshold capacities have provisions
that minimize HAP emissions during periods of planned routine
maintenance. These provisions minimize HAP emissions by limiting the
duration of planned routine maintenance to 240 hours per year. The
Pharmaceuticals Production and Pesticide Active Ingredient Production
NESHAP also allow a facility to request an extension of up to an
additional 120 hours per year on the condition that no material is
added to the tank during such requested extension period. The Amino and
Phenolic Resins NESHAP includes the 240-hour provision described above
and also prohibits sources from increasing the level of material in
tanks during that time to minimize emissions. With these provisions,
fixed roof tanks' emissions are limited to breathing losses, and the
tanks do not need to be emptied and degassed to perform routine
maintenance. Based on our review of these permits and NESHAP, we have
determined that the MACT floor level of control for fixed roof tank
vents at existing Site Remediation sources is the minimization of
emissions by limiting the duration of planned routine maintenance
periods in which the control device may be bypassed to 240 hours per
year. Also based on this review, we identified one above-the-floor
option, which is to add a work practice to prohibit the addition of
material to the tank during the planned routine maintenance period when
the tank control device is bypassed.\15\
---------------------------------------------------------------------------
\15\ Impacts Associated with the Routine Maintenance Provisions
for Storage Tanks in the Site Remediation Source Category.
Memorandum from Lesley Stobert, SC&A, to Matt Witosky, available in
the docket for this action, Docket ID No. EPA HQ-OAR-2018-0833.
---------------------------------------------------------------------------
We evaluated the impacts of the identified beyond-the-floor control
option. We estimate that there are one to 10 facilities in the category
that would need to control one or more tanks during periods when the
primary emission control system is undergoing planned routine
maintenance. We have assumed an equal distribution of one to five tanks
at 10 facilities, for a total of 30 tanks in the source category. To
comply with the work practice of not adding material to the tank during
planned routine maintenance periods when the tank control device is
bypassed, we anticipate no additional equipment would be needed and no
additional costs would be incurred. We estimate this option would
reduce emissions by up 76 lbs./year per tank and 2,280 lbs./year (1.1
tpy) for the source category (i.e., 30 tanks).
Based on our analysis, the identified beyond-the-floor option is
reasonable, given the level of HAP emissions reduction that would be
achieved with this work practice and the absence of additional costs.
Accordingly, we are revising the Site Remediation MACT standards to
allow owners or operators of fixed roof vessels at new and existing
affected Site Remediation facilities to perform planned routine
maintenance of the emission control system for up to 240 hours per
year, provided there are no working losses from the tank during that
time.
This work practice standard is being established in accordance with
CAA section 112(h). We note that the tank requirements in this rule
were originally promulgated as CAA section 112(h) standards, which
established two control options. One option is for the installation of
a floating roof pursuant to 40 CFR part 63, subpart WW. This option is
a combination of design, equipment, work practice, and operational
standards. The other option is to install a conveyance system (pursuant
to 40 CFR part 63, subpart DD) and route the emissions to a control
device that achieves a 95-percent reduction in HAP emissions or that
achieves a specific outlet HAP concentration. This second option is a
combination of design standards, equipment standards, operational
standards, and a percent reduction or outlet concentration. See the
preamble to the original rulemaking for 40 CFR part 63, subpart GGGGG
at 67 FR 49398 (July 30, 2002). The work practice requirement added in
this action also fulfills the purposes of section 112(h)(1) of the CAA,
which calls on the Administrator to include requirements in work
practice standards sufficient to assure the proper operation and
[[Page 41697]]
maintenance of the design or equipment. The added work practice
standard allows for the planned routine maintenance of the control
device and minimizes emissions during such periods of planned routine
maintenance, consistent with the requirements of CAA section 112(h)(1)
by eliminating working losses during planned routine maintenance of the
control device. For breathing losses, we have determined that it is not
practicable due to technological and economic limitations, to measure
these emissions during periods of planned routine maintenance to
establish a numeric limit based upon the best performing sources. The
breathing losses during the planned routine maintenance of the control
system are highly dependent on the volume of the vapor space and the
weather conditions during that time. Specialized flow meters (such as
mass flow meters) would likely be needed in order to accurately measure
any flow during these variable, no-to-low flow conditions. Measurement
costs for these times would be economically impracticable, particularly
in light of the small quantity of emissions. In addition, we are not
aware of any measurement of breathing loss HAP emissions from a fixed
roof storage vessel in the field.
d. What is the rationale for our final amendments regarding SSM?
With one exception, we are finalizing the provisions for periods of
SSM provisions as proposed. The SSM-related provision regarding planned
routine maintenance of control systems for storage tanks has been
revised since proposal based on consideration of comments received
during the public comment period. As explained in the comment response
above in section 2.c, we reviewed available Site Remediation permits
and the conditions of other NESHAP with similar provisions, and we
determined that it is appropriate to adopt a work practice standard to
allow owners or operators of fixed roof vessels at new and existing
affected Site Remediation facilities to perform planned routine
maintenance of the emission control system for up to 240 hours per
year, provided there are no working losses from the tank during that
time.
3. Electronic Reporting
a. What did we propose for electronic reporting?
As stated in the preamble to the proposed rule, to facilitate the
demonstration and determination of compliance and simplify data entry,
the EPA proposed to require owners and operators of Site Remediation
facilities to submit electronic copies of required performance test
reports, performance evaluation reports, and semi-annual compliance
reports through the EPA's CDX using CEDRI. The EPA identified at
proposal two broad circumstances in which electronic reporting
extensions may be provided. These situations include outages of the
EPA's CDX or CEDRI and force majeure events.
Additionally, for semi-annual summary compliance reports, the
proposed rule required that owners and operators use a spreadsheet
template to submit information to CEDRI. The EPA provided a draft
version of the template for this report in the docket for the proposed
rulemaking and requested comment on the content, layout, and overall
design of the template.
b. How did the amendments regarding electronic reporting change since
proposal?
Regarding electronic reporting, the proposed requirements to submit
electronic copies of required performance test reports, performance
evaluation reports, and semi-annual compliance reports have not
changed. However, we have made a few corrections and clarifications to
the draft spreadsheet template provided at proposal for use in
submitting semi-annual summary compliance reports to CEDRI.
c. What key comments did we receive regarding electronic reporting, and
what are our responses?
Comment: One commenter supported the EPA's proposal for electronic
reporting but does not support the proposed reporting exemption
provisions, which the commenter noted the EPA describes as
``extensions,'' for CEDRI outages or force majeure events. The
commenter stated that the provisions do not set a new firm deadline to
submit the required report or a deadline to request an extension of the
reporting deadline, and the EPA must set a deadline, such as 10 days.
The commenter asserted that this leads to a broad and vague mechanism
by which a facility could evade reporting and compliance with the
emissions standards. The commenter stated that by not including a new
deadline, the provision does not provide for an extension, but rather
provides an exemption from the reporting requirements and potentially
from meeting the emissions standards. Additionally, the commenter
remarked that the EPA did not provide a reasoned basis for this
provision, and it appears there is no evidence that either type of
event has caused any problems with electronic reporting in the past.
Response: The EPA notes that there is no exception or exemption to
reporting, only a method for requesting an extension of the reporting
deadline. There is no predetermined timeframe for the length of
extension that can be granted, as this is something best determined by
the Administrator when reviewing the circumstances surrounding the
request. Different circumstances may require a different length of
extension for electronic reporting. For example, a tropical storm may
delay electronic reporting for a day, but a Hurricane Katrina scale
event may delay electronic reporting much longer, especially if the
facility has no power, and, as such, the owner or operator has no
ability to access electronically stored data or submit reports
electronically. The Administrator will be the most knowledgeable on the
events leading to the request for extension and will assess whether an
extension is appropriate, and, if so, on a reasonable length. The
Administrator may even request that the report be sent in hardcopy
until electronic reporting can be resumed. While no new fixed duration
deadline is set, the regulation does require that the report be
submitted electronically as soon as possible after the outage is
resolved or after the force majeure event occurs. For these reasons,
the EPA is not adding a firm deadline for reporting when the
Administrator accepts a claim of force majeure or EPA system outage and
instead leaves the deadline for the extension to the discretion of the
Administrator.
d. What is the rationale for our final amendments regarding electronic
reporting?
We are finalizing the proposed provisions regarding electronic
reporting, however, the final spreadsheet template to be used in
submitting semi-annual summary compliance reports to CEDRI has been
revised based on comments received during the public comment period.
4. Open-Ended Valves and Lines
a. What did we propose for OELs?
We proposed to add a paragraph to 40 CFR 63.7920(b) to clarify what
``seal the open end'' means for OELs under the Site Remediation NESHAP.
This clarification was intended to reduce uncertainty for the owner or
operator as to whether compliance is being achieved. The proposed
clarification explained that, for the purpose of
[[Page 41698]]
complying with the requirements of 40 CFR 63.1014(b)(1) of 40 CFR part
63, subpart TT or 40 CFR 63.1033(b)(1) of subpart UU, as applicable,
Site Remediation OELs are ``sealed'' by the cap, blind flange, plug or
second valve when instrument monitoring of the OELs conducted according
to EPA Method 21 of 40 CFR part 60, appendix A indicates no readings of
500 ppm or greater.
We also proposed that OELs that are in an emergency shutdown
system, and which are designed to open automatically, be equipped with
either a flow indicator or a seal or locking device since 40 CFR part
63, subparts TT and UU exempt these OELs from the requirements to be
equipped with a cap, blind flange, plug, or second valve that seals the
open end. Additionally, we proposed recordkeeping and reporting
requirements for these OELs.
b. How did the amendments regarding OELs change since proposal?
The EPA is not finalizing the proposed provisions related to OELs.
These requirements include those of proposed 40 CFR 63.7920(b)(3)(i)
that were intended to clarify what ``seal the open end'' means for
OELs; the proposed requirements of 40 CFR 63.7920(b)(3)(ii), which
specified that certain OELS in an emergency shutdown system be equipped
with either a flow indicator or a seal or locking device; and the
related proposed recordkeeping and reporting requirements for these
OELs.
c. What key comments did we receive regarding OELs, and what are our
responses?
Comment: Several commenters asserted that the proposal to amend the
rule to clarify that open-ended valves and lines are only sealed if an
EPA Method 21 instrument reading is less than 500 ppm is inconsistent
with other equipment leak rulemakings under 40 CFR parts 60 and 63. The
commenters oppose the EPA's proposal to clarify what ``seal the open
end'' means for open-ended valves and lines, with one commenter noting
that with the low pressure piping in Site Remediation equipment, leaks
from caps or plugs are minimal, and the existing requirements are
sufficient. Another commenter stated that this proposed change would
add new, costly, and burdensome work practice requirements, which are
not discussed in the preamble or the docket. The commenters also
claimed that this clarification calls for demonstrating <500 ppm
leakage by monitoring, without changing the requirement to have the
open-ended line capped or plugged and without specifying any specific
monitoring requirements. Further, one commenter remarked that the
requirement to cap OELs was never an emissions standard but has always
been considered a work practice in the form of an equipment standard.
By establishing this equipment standard, the commenter said the EPA
expressly rejected the idea that a capped open-ended line should be
treated as a potentially leaking component that should be subject to an
LDAR-like periodic leak detection requirement. The commenter remarked
that imposing an emissions standard would transform the work practice
into a numeric emissions limitation. Commenters also stated that by
claiming this change is only a clarification of current requirements,
the EPA has attempted to bypass the need to cite a CAA authorization
for this change to the standard or meet the process requirements
associated with such a change, including providing emission reduction,
cost, and burden estimates in the record. These commenters asserted
that the EPA must show that imposing a new 500 ppm emissions limit is
justified, including an assessment of costs and an explanation of how
the costs are reasonable in light of the expected emissions reductions.
In additional remarks on the topic, some commenters noted that proposed
monitoring of OELs was not finalized for 40 CFR part 60, subparts VV or
VVa due to the low-cost effectiveness of the requirements in relation
to VOC emissions, which would likely have been even less cost effective
when considering only HAP. In addition, one commenter provided
historical information regarding OELs in which the EPA did not require
LDAR and only require equipment standards for subpart VV and subpart H
of part 63 (the HON rule). Several commenters stated that if additional
OEL requirements can be shown to be justified, the requirements should
take a traditional equipment leak approach in which monitoring is
performed and that a reading above a certain level, such as 500 ppm, is
an action level for repair rather than a violation. One commenter added
that in this approach, a missing OEL cap or plug would not be a
deviation unless a reading determines that a leak above the defined
threshold is occurring.
Some commenters added that this ``clarification'' in the Site
Remediation NESHAP would appear to be a clarification to all equipment
leak rules and permits containing similar language. The commenters
noted that this proposal does not notify other industries subject to 40
CFR part 63, subparts TT and UU of this change. In order to impose this
new standard, one commenter stated that the EPA should identify the CAA
authority for this action, propose amendments to all rules referencing
40 CFR subparts TT and UU (or propose amendments to subparts TT and UU,
instead) and provide cost burden and emission impact estimates for this
change for all impacted rules.
Response: The EPA disagrees that the proposal changed the current
requirements, which consist of an equipment standard to equip the OEL
with a cap, blind flange, plug, or second valve and an operational
standard that the open end is ``sealed'' by that equipment at all
times, except during operations requiring process fluid flow or during
maintenance. See 40 CFR 63.1014(b)(1) and 40 CFR 63.1033(b)(1). As
stated in the preamble to the proposed rule (see 84 FR 46165; September
3, 2019), the purpose of the proposed definition for ``sealed'' was
intended to provide compliance certainty with the codified operational
requirement that the OEL is ``sealed'' for the Site Remediation source
category. However, upon review of these comments, the EPA agrees that
additional consideration of the proposed change would be appropriate
because there are multiple source categories that cross-reference the
same equipment and operational requirements for OELs. We continue to
believe that it is important that the standard to seal the OEL includes
a clear mechanism for a source to demonstrate compliance with that
requirement. Therefore, the EPA intends to continue to evaluate
appropriate means of compliance certainty for OELs, including the term
``sealed,'' and is not finalizing any revisions to the OEL standards
applicable to Site Remediation in this action. In the meantime, both
the equipment standard that the OEL is equipped with a cap, blind
flange, plug, or second valve, and the operational standard requiring
that this equipment seal the open end of the valve or line, continue to
apply.
d. What is the rationale for our final decision regarding OELs?
Considering comments received during the public comment period, the
EPA is not finalizing the proposed provisions for OELs. These proposed
provisions were intended to clarify what ``seal the open end'' means
for OELs, would have required certain OELS in an emergency shutdown
system to be equipped with a flow indicator or a seal or locking
device, and would have
[[Page 41699]]
required related recordkeeping and reporting requirements for these
OELs.
Since OELs are present at many facilities, additional consideration
of the proposed change is appropriate because there are multiple source
categories that cross-reference the same equipment and operational
requirements for OELs. We continue to believe it is important that the
standard to seal the OEL includes a clear mechanism for a source to
demonstrate compliance with that requirement. Therefore, the EPA
intends to continue to evaluate appropriate means of compliance
certainty for OELs, including the term ``sealed,'' and is not
finalizing any revisions to the OEL standards applicable to Site
Remediation in this action.
The EPA emission estimates are based on reported emissions, and we
did not estimate HAP reductions from the proposed approach that we are
not finalizing. For this reason, the decision to not finalize the OEL
provisions has no impact on estimated emissions, risks, or decisions
related to risk.
5. Technical Corrections
a. What technical corrections did we propose?
We proposed several miscellaneous minor changes to improve the
clarity of the Site Remediation NESHAP requirements. These proposed
changes included:
Adding citations in 40 CFR 63.14 to 40 CFR 63.7944 for the
two following consensus standards: American Petroleum Institute (API)
Publication 2517, Evaporative Loss From External Floating-Roof Tanks,
and American Society for Testing and Materials (ASTM) Method D2879-83.
Correcting citation errors. These include correcting the
reference in 40 CFR 63.7942 to be 40 CFR 63.7(a)(3) rather than 40 CFR
63.7(3); correcting the reference in 40 CFR 63.7941 to be 40 CFR
7890(b) rather than 40 CFR 63.7980(a)(1)(i); and correcting the
references in 40 CFR 63.7901(a) and (b)(1), and 40 CFR 63.7903(a) and
(b) to be 40 CFR 63.7900 rather than 40 CFR 63.7990.
b. How did the technical corrections change since proposal?
We have not made any changes to the proposed technical corrections.
However, we have added other technical corrections to the final rule.
These include the following:
The reporting requirement in 40 CFR 63.7951(b)(10)(i) did
not specify which information should be reported with respect to a leak
found under the PRD provisions. The EPA has specified that sources
should report the number of times that a leak is detected during the
reporting period.
The reporting requirement in 40 CFR 63.7951(b)(10)(ii) was
revised to clarify that the source is required to include a notation
that the required monitoring was performed.
The reporting requirement in 40 CFR 63.7951(b)(10)(iii)(B)
was revised to require that the source report total HAP, rather than
each HAP, to be consistent with the provisions in 40 CFR 63.7923(d).
The reference to the requirement to submit a Notification
of Compliance Status in 40 CFR 63.7951 at proposal has been revised for
clarity.
c. What is the rationale for our final technical corrections?
These corrections have been made to correct errors, provide
consistency of terms and add clarity to the rule.
e. Other Comments
Comment: A commenter recommended modifying 40 CFR 63.7885(b)(2) to
address systems with process vents that are associated with gaseous
systems, noting that the current regulation only provides a parts per
million by weight (ppmw) value.
Response: In 40 CFR 63.7882, process vents are defined as the
entire group of process vents associated with the in-situ and ex-situ
remediation processes used at the site to remove, destroy, degrade,
transform, or immobilize hazardous substances in the remediation
material subject to remediation, which would include process vents
associated with gaseous systems. The standard in 40 CFR 63.7885(b)(2),
average volatile organic hazardous air pollutants (VOHAP) concentration
of the material, is on a mass-weighted basis, ppmw. This concentration
is determined by collection and analysis of a sample by one of the
methods listed in 40 CFR 63.694(b)(2)(ii). These methods determine, on
a mass-weighted basis, the average VOHAP concentration in ppmw. As the
methods to determine the average VOHAP concentration are in terms of
mass, it is appropriate for the applicability provisions for process
vents to be in the same terms. Therefore, we have not modified the
requirements of 40 CFR 63.7885(b)(2).
V. Summary of Cost, Environmental, and Economic Impacts and Additional
Analyses Conducted
A. What are the affected facilities?
We estimate that there are approximately 63 major source Site
Remediation facilities. Based on available permit information, 33
facilities are expected to be subject to a limited set of the rule
requirements under 40 CFR 63.7881(c) due to the low annual quantity of
HAP contained in the remediation material excavated, extracted, pumped,
or otherwise removed during the Site Remediations conducted at the
facilities. These facilities are only required to prepare and maintain
written documentation to support the determination that the total
annual quantity of the HAP contained in the remediation material
excavated, extracted, pumped, or otherwise removed at the facility is
less than 1 megagram per year. They are not subject to any other
emissions limits, work practices, monitoring, reporting, or
recordkeeping requirements. While new Site Remediations are likely to
be conducted in the future, we are currently not aware of any specific
new Site Remediation facilities that will be subject to the Site
Remediation NESHAP.
B. What are the air quality impacts?
For equipment leaks, we are revising the equipment leak thresholds
for pumps and valves for facilities complying with 40 CFR part 63,
subpart TT. We estimate the HAP emission reduction for this change to
be approximately 4.7 tpy. We anticipate a reduction of up to 1.1 tpy of
HAP emissions from the revised requirements for planned routine
maintenance, which eliminate the routine maintenance exemption for all
affected units, and, for storage tank emissions control systems only,
provide a work practice standard. We do not anticipate any HAP emission
reduction from the requirement to electronically report the results of
emissions testing. For the revisions to the MACT standards establishing
a work practice standard for actuation of PRDs in remediation material
service, we were not able to quantify the possible emission reductions,
so none are included in our assessment of air quality impacts.
Therefore, the total HAP emission reductions for the final rule
revisions for the Site Remediation source category are estimated to be
5.8 tpy.
C. What are the cost impacts?
For equipment leaks, we are revising the equipment leak thresholds
for pumps and valves for facilities complying with 40 CFR part 63,
subpart TT. We estimate the nationwide capital costs to be $26,000 and
the annual costs to be $10,000. We do not anticipate any quantifiable
capital or annual costs for our requirements to electronically report
the results of emissions testing. For the
[[Page 41700]]
requirements to monitor PRDs, we estimate the nationwide capital costs
to be $162,000 and the annual costs to be $29,500. For PRDs, we are
also requiring facilities to conduct analyses of the causes of PRD
pressure release actuation events and to implement corrective measures.
We estimate the nationwide annualized costs for the analysis of
actuation events to be $13,000. This cost represents the estimated
labor hours we anticipate would be required to determine the cause of a
typical actuation event and to implement any corrective measure
suggested by the analysis of the cause. We estimate an increase in
reporting and recordkeeping associated with the requirements for
equipment leaks and PRDs of approximately $7,000 per year nationwide.
Therefore, the total capital costs for the regulatory changes being
finalized in this action for the Site Remediation source category are
approximately $188,000, and the total annualized costs are
approximately $60,000.
D. What are the economic impacts?
Economic impact analyses focus on changes in market prices and
output levels. If changes in market prices and output levels in the
primary markets are significant enough, impacts on other markets may
also be examined. Both the magnitude of costs needed to comply with a
rule and the distribution of these costs among affected facilities can
have a role in determining how the market will change in response to a
rule. The total capital costs associated with this rule are estimated
to be approximately $188,000, and the estimated annualized cost is
approximately $60,000. We expect these costs to be borne by 30
facilities, with an average annualized cost of approximately $2,000 per
facility per year. These costs are not expected to result in a
significant market impact, regardless of whether they are passed on to
the purchaser or absorbed by the firms.
E. What are the benefits?
We have estimated that this action will achieve HAP emissions
reductions of 5.8 tpy. The revised standards will result in reductions
in the actual and MACT-allowable emissions of HAP and may reduce the
actual and potential cancer risks and noncancer health effects due to
emissions of HAP from this source category, as discussed in the
proposal preamble (See 84 FR 46158; September 3, 2019). We have not
quantified the monetary benefits associated with these reductions;
however, these avoided emissions will result in improvements in air
quality and reduced negative health effects associated with exposure to
air pollution from these emissions.
F. What analysis of environmental justice did we conduct?
The EPA is making 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 in the United States. The EPA has established policies
regarding the integration of environmental justice into the Agency's
rulemaking efforts, including recommendations for the consideration and
conduct of analyses to evaluate potential environmental justice
concerns during the development of a rule.
Following these recommendations, to gain a better understanding of
the source category and near source populations, the EPA conducted a
demographic analysis for Site Remediation facilities to identify any
overrepresentation of minority, low income, or indigenous populations.
This analysis only gives an indication of the prevalence of sub-
populations that may be exposed to air pollution from the sources; it
does not identify the demographic characteristics of the most affected
individuals or communities, nor does it quantify the level of risk
faced by those individuals or communities. The EPA has determined that
this final rule will not have disproportionately high and adverse human
health or environmental effects on minority, low income, or indigenous
populations. Additionally, the final changes to the NESHAP increase the
level of environmental protection for all affected populations by
reducing emissions from equipment leaks and from storage tanks during
periods of planned routine maintenance of emissions control systems,
and these revisions do not cause any disproportionately high and
adverse human health or environmental effects on any population,
including any minority, low income, or indigenous populations. Further
details concerning the demographic analysis are presented in the
memorandum titled, Risk and Technology Review--Analysis of Demographic
Factors For Populations Living Near Site Remediation Source Category
Operations, a copy of which is available in the docket for this action.
G. What analysis of children's environmental health did we conduct?
As part of the health and risk assessments, as well as the
demographic analysis conducted for this action, risks to infants and
children were assessed. These analyses are documented in the Residual
Risk Assessment for the Site Remediation Source Category in Support of
the March 2020 Risk and Technology Review Final Rule and the Risk and
Technology Review--Analysis of Demographic Factors for Populations
Living Near Site Remediation Source Category Operations documents and
are available in the docket for this action.
The results of the demographic analysis show that the average
percentage of children 17 years and younger in close proximity to Site
Remediation facilities is approximately the same as the percentage of
the national population in this age group. Consistent with the EPA's
Policy on Evaluating Health Risks to Children, we conducted inhalation
and multipathway risk assessments for the Site Remediation source
category, considering risk to infants and children.\16\ Children are
exposed to chemicals emitted to the atmosphere via two primary routes:
either directly via inhalation, or indirectly via ingestion or dermal
contact with various media that have been contaminated with the emitted
chemicals. The EPA considers the possibility that children might be
more sensitive than adults to toxic chemicals, including chemical
carcinogens. For our inhalation risk assessment, several carcinogens
emitted by facilities in this source category have a mutagenic mode of
action. For these compounds, we applied the age-dependent adjustment
factors (ADAF) described in the EPA's Supplemental Guidance for
Assessing Susceptibility from Early-Life Exposure to Carcinogens.\17\
This adjustment has the effect of increasing the estimated lifetime
risks for these pollutants by a factor of 1.6. For one group of these
chemicals with a mutagenic mode of action, polycyclic organic matter
(POM), only a small fraction of the total emissions were reported as
individual compounds. The EPA expresses
[[Page 41701]]
carcinogenic potency of POM relative to the carcinogenic potency of
benzo[a]pyrene, based on evidence that carcinogenic POM has the same
mutagenic mode of action as does benzo[a]pyrene. The EPA's Science
Policy Council recommends applying the ADAF to all carcinogenic
compounds for which risk estimates are based on potency relative to
benzo[a]pyrene. Accordingly, we have applied the ADAF to the
benzo[a]pyrene-equivalent mass portion of all POM mixtures. For our
multipathway screening assessment (i.e., ingestion), we assessed risks
for adults and various age groups of children. Children's exposures are
expected to differ from exposures of adults due to differences in body
weights, ingestion rates, dietary preferences and other factors. It is
important, therefore, to evaluate the contribution of exposures during
childhood to total lifetime risk using appropriate exposure factor
values, applying ADAF as appropriate. The EPA developed a health
protective exposure scenario whereby the receptor, at various
lifestages, receives ingestion exposure via both the farm food chain
and the fish ingestion pathways. The analysis revealed that fish
ingestion is the dominant exposure pathway across all age groups for
several pollutants, including POM. For POM, the farm food chain also is
a major route of exposure, with beef and dairy contributing
significantly to the lifetime average daily dose. Preliminary
calculations of estimated dermal exposure and risk from these
pollutants showed that the dermal exposure route is not a significant
risk pathway relative to ingestion exposures. Based on the analyses
described above, the EPA has determined that the changes to this rule,
which will reduce emissions of HAP by over 5 tpy, will lead to reduced
risk to children and infants.
---------------------------------------------------------------------------
\16\ Policy on Evaluating Health Risks to Children, U.S.
Environmental Protection Agency, Washington, DC. May 2014. Available
at https://www2.epa.gov/sites/production/files/2014-05/documents/1995_childrens_health_policy_statement.pdf.
\17\ Supplemental Guidance for Assessing Susceptibility from
Early-Life Exposure to Carcinogens. Risk Assessment Forum, U.S.
Environmental Protection Agency, Washington, DC. EPA/630/R-03/003F.
March 2005. Available at https://www.epa.gov/raf/publications/pdfs/childrens_supplement_final.pdf.
---------------------------------------------------------------------------
VI. Statutory and Executive Order Reviews
Additional information about these statutes and Executive Orders
can be found at https://www.epa.gov/laws-regulations/laws-and-executive-orders.
A. Executive Orders 12866: Regulatory Planning and Review and Executive
Order 13563: Improving Regulation and Regulatory Review
This action is not a significant regulatory action and was,
therefore, not submitted to the Office of Management and Budget (OMB)
for review.
B. Executive Order 13771: Reducing Regulations and Controlling
Regulatory Costs
This action is not an Executive Order 13771 regulatory action
because this action is not significant under Executive Order 12866.
C. Paperwork Reduction Act (PRA)
The information collection activities in this rule have been
submitted for approval to the OMB under the PRA. The Information
Collection Request (ICR) document that the EPA prepared has been
assigned EPA ICR number 2062.09. You can find a copy of the ICR in the
docket for this rule, and it is briefly summarized here. The
information collection requirements are not enforceable until OMB
approves them.
The information requirements in this rulemaking are based on the
notification, recordkeeping, and reporting requirements in the NESHAP
General Provisions (40 CFR part 63, subpart A), which are mandatory for
all operators subject to national emission standards. These
notifications, reports, and records are essential in determining
compliance, and are specifically authorized by CAA section 114 (42
U.S.C. 7414). All information submitted to the EPA pursuant to the
recordkeeping and reporting requirements for which a claim of
confidentiality is made is safeguarded according to agency policies set
forth in 40 CFR part 2, subpart B.
Respondents/affected entities: Unlike a specific industry sector or
type of business, the respondents potentially affected by this ICR
cannot be easily or definitively identified. Potentially, the Site
Remediation rule may be applicable to any type of business or facility
at which a Site Remediation is conducted to clean up media contaminated
with organic HAP when the remediation activities are performed, the
authority under which the remediation activities are performed, and the
magnitude of the HAP in the remediation material meets the
applicability criteria specified in the rule. A Site Remediation that
is subject to this rule potentially may be conducted at any type of
privately-owned or government-owned facility at which contamination has
occurred due to past events or current activities at the facility. For
Site Remediation performed at sites where the facility has been
abandoned and there is no owner, a government agency may have
responsibility for the cleanup.
Respondent's obligation to respond: Mandatory (42 U.S.C. 7414).
Estimated number of respondents: 30 total for the source category.
These facilities are already respondents and no facilities are expected
to become respondents as a result of this action.
Frequency of response: Semiannual.
Total estimated burden: 19,700 total hours (per year) for the
source category, of which 310 hours are estimated as a result of this
action. Burden is defined at 5 CFR 1320.3(b).
Total estimated cost: The total estimated cost of the rule is $1.55
million (per year) for the source category. This includes $288,000
total annualized capital or operation and maintenance costs. We
estimate that $188,000 of the $288,000 in total annualized capital or
operation and maintenance costs is a result of this action.
Recordkeeping and reporting costs of approximately $20,000 estimated as
a result of this action are included in the $1.55 million in total
costs.
An agency may not conduct or sponsor, and a person is not required
to respond to, a collection of information unless it displays a
currently valid OMB control number. The OMB control numbers for the
EPA's regulations in 40 CFR are listed in 40 CFR part 9. When OMB
approves this ICR, the Agency will announce that approval in the
Federal Register and publish a technical amendment to 40 CFR part 9 to
display the OMB control number for the approved information collection
activities contained in this final rule.
D. Regulatory Flexibility Act (RFA)
I certify that this action will not have a significant economic
impact on a substantial number of small entities under the RFA. The
small entities subject to the requirements of this action are chemical
and refining companies. The Agency has determined that two small
entities, representing approximately 7 percent of the total number of
entities subject to the rule, may experience an impact of less than 0.1
percent of revenues. Details of this analysis are presented in the
docket for this action (Docket ID No. EPA-HQ-OAR-2018-0833).
E. Unfunded Mandates Reform Act (UMRA)
This action does not contain an unfunded mandate of $100 million or
more as described in UMRA, 2 U.S.C. 1531-1538, and does not
significantly or uniquely affect small governments. This action imposes
no enforceable duty on any state, local, or tribal governments, or the
private sector.
F. Executive Order 13132: Federalism
This action does not have federalism implications. It will not have
substantial
[[Page 41702]]
direct effects on the states, on the relationship between the national
government and the states, or on the distribution of power and
responsibilities among the various levels of government.
G. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
This action does not have tribal implications, as specified in
Executive Order 13175 (65 FR 67249, November 9, 2000). There are no
Site Remediation facilities that are owned or operated by tribal
governments. Thus, Executive Order 13175 does not apply to this action.
H. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
This action is not subject to Executive Order 13045 because it is
not economically significant as defined in Executive Order 12866, and
because the EPA does not believe the environmental health or safety
risks addressed by this action present a disproportionate risk to
children. This action's health and risk assessments are contained in
the Residual Risk Assessment for the Site Remediation Source Category
in Support of the 2020 Risk and Technology Review Final Rule document,
which is available in the docket for this action, and are discussed in
sections III.A and IV.A of this preamble.
I. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
This action is not subject to Executive Order 13211, because it is
not a significant regulatory action under Executive Order 12866.
J. National Technology Transfer and Advancement Act (NTTAA) and 1 CFR
part 51
This action involves technical standards. The EPA is formalizing
the incorporation of two technical standards that were included in the
October 2003 rule for which the EPA had previously not formally
requested the Office of the Federal Register to include in 40 CFR 63.14
with a reference back to the sections in 40 CFR part 63, subpart GGGGG.
These two standards were already incorporated in 40 CFR 63.14 and were
formally requested for other rules. These standards are API Publication
2517, ``Evaporative Loss from External Floating-Roof Tanks,'' Third
Edition, February 1989, and ASTM D2879-83, ``Standard Method for Vapor
Pressure-Temperature Relationship and Initial Decomposition Temperature
of Liquids by Isoteniscope.'' Sources subject to the Site Remediation
NESHAP must determine the average total VOHAP concentration of a
remediation material using either direct measurement or by knowledge of
the material. These methods may be used to determine the average VOHAP
concentration of remediation material. These analyses are used to
determine control requirements for compliance with applicable
standards. While the API Publication 2517 is used to determine
emissions from floating roof tanks, an important component in
determining these emissions is the vapor pressure of the material
stored in the tank. Therefore, this publication includes widely used
methods for determining the maximum true vapor pressure of HAP in
liquids stored at ambient temperature and is available to the public
for purchase from the reseller IHS Markit Standards Store through their
website at https://global.ihs.com/. The ASTM D2879-83 method is also
used to determine the maximum true vapor pressure of HAP in liquids
stored at ambient temperature, and it is available to the public for
free viewing online in the Reading Room section on ASTM's website at
https://www.astm.org/READINGLIBRARY/. Hardcopies and printable versions
are also available for purchase from ASTM. Additional information can
be found at https://www.api.org/ and https://www.astm.org/Standard/standardsandpublications.html.
K. Executive Order 12898: Federal Actions to Address Environmental
Justice in Minority Populations and Low-Income Populations
The EPA believes that this action does not have disproportionately
high and adverse human health or environmental effects on minority
populations, low-income populations and/or indigenous peoples, as
specified in Executive Order 12898 (59 FR 7629, February 16, 1994)
because it increases the level of environmental protection for all
affected populations without having any disproportionately high and
adverse human health or environmental effects on any population,
including any minority, low income, or indigenous populations. The
results of the demographic analysis completed by the EPA are presented
in the memorandum titled Risk and Technology Review--Analysis of
Demographic Factors for Populations Living Near Site Remediation Source
Category Operations, which is available in the docket for this action
(Docket ID No. EPA-HQ-OAR-2018-0833) and are discussed in section V.F
of this preamble.
L. Congressional Review Act (CRA)
This action is subject to the CRA, and the EPA will submit a rule
report to each House of the Congress and to the Comptroller General of
the United States. This action is not a ``major rule'' as defined by 5
U.S.C. 804(2).
List of Subjects in 40 CFR Part 63
Environmental protection, Administrative practice and procedures,
Air pollution control, Hazardous substances, Incorporation by
reference, Intergovernmental relations, Reporting and recordkeeping
requirements.
Dated: March 12, 2020.
Andrew R. Wheeler,
Administrator.
For the reasons set forth in the preamble, the EPA amends 40 CFR
part 63 as follows:
PART 63--NATIONAL EMISSION STANDARDS FOR HAZARDOUS AIR POLLUTANTS
FOR SOURCE CATEGORIES
0
1. The authority citation for part 63 continues to read as follows:
Authority: 42 U.S.C. 7401 et seq.
0
2. Section 63.14 is amended by revising paragraphs (c)(1) and (h)(31)
to read as follows:
Sec. 63.14 Incorporations by reference.
* * * * *
(c) * * *
(1) API Publication 2517, Evaporative Loss from External Floating-
Roof Tanks, Third Edition, February 1989, IBR approved for Sec. Sec.
63.111, 63.1402, 63.2406 and 63.7944.
Note 1 to paragraph (c)(1): API Publication 2517 available
through reseller HIS Markit at https://global.ihs.com/
* * * * *
(h) * * *
(31) ASTM D2879-83, Standard Method for Vapor Pressure-Temperature
Relationship and Initial Decomposition Temperature of Liquids by
Isoteniscope, Approved November 28, 1983, IBR approved for Sec. Sec.
63.111, 63.1402, 63.2406, 63.7944, and 63.12005.
* * * * *
Subpart GGGGG--National Emission Standards for Hazardous Air
Pollutants: Site Remediation
0
3. Section 63.7882 is amended by revising paragraph (a) introductory
text
[[Page 41703]]
and adding paragraph (a)(4) to read as follows:
Sec. 63.7882 What site remediation sources at my facility does this
subpart affect?
(a) This subpart applies to each new, reconstructed, or existing
affected source for your Site Remediation as designated by paragraphs
(a)(1) through (4) of this section.
* * * * *
(4) Pressure relief devices. The affected source is any pressure
relief device in remediation material service, as defined in Sec.
63.7957. Pressure relief devices meeting the specifications of
paragraph (a)(3) of this section are also part of an equipment leaks
affected source.
* * * * *
0
4. Section 63.7883 is amended by revising paragraphs (a), (b)
introductory text, (c) introductory text, and (d) introductory text and
adding paragraph (f) to read as follows:
Sec. 63.7883 When do I have to comply with this subpart?
(a) If you have an existing affected source, you must comply with
each emission limitation, work practice standard, and operation and
maintenance requirement in this subpart that applies to you no later
than October 9, 2006, except as provided in paragraph (f) of this
section.
(b) If you have a new affected source that manages remediation
material other than a radioactive mixed waste as defined in Sec.
63.7957, then you must meet the compliance date specified in paragraph
(b)(1) or (2) of this section, as applicable to your affected source,
except as provided in paragraph (f) of this section.
* * * * *
(c) If you have a new affected source that manages remediation
material that is a radioactive mixed waste as defined in Sec. 63.7957,
then you must meet the compliance date specified in paragraph (c)(1) or
(2) of this section, as applicable to your affected source, except as
provided in paragraph (f) of this section.
* * * * *
(d) If your facility is an area source that increases its emissions
or its potential to emit such that it becomes a major source of HAP as
defined in Sec. 63.2, then you must meet the compliance dates
specified in paragraphs (d)(1) and (2) of this section, except as
provided in paragraph (f) of this section.
* * * * *
(f) If the affected source's initial startup date is on or before
September 3, 2019, you must comply with the requirements specified in
paragraphs (f)(1) through (5) of this section by the dates specified in
those paragraphs. If the affected source's initial startup date is
after September 3, 2019, you must comply with all of the applicable
requirements of this subpart upon initial startup or July 10, 2020,
whichever is later.
(1) You must comply with the equipment leak requirements of Sec.
63.7920(b)(3), (d), and (e) on or before July 10, 2021.
(2) You must comply with the pressure relief device requirements of
Sec. 63.7923(a) on or before January 6, 2021.
(3) You must comply with the pressure relief device requirements of
Sec. 63.7923(b) through (f) on or before January 10, 2022.
(4) You must comply with the pressure tank closure device reporting
and recordkeeping requirements of Sec. Sec. 63.7951(b)(11) and
63.7952(a)(7) on or before January 6, 2021.
(5) You must comply with the electronic reporting requirements of
Sec. 63.7951(e) through (h) on or before January 6, 2021.
0
5. Section 63.7895 is amended by revising paragraph (c) to read as
follows:
Sec. 63.7895 What emissions limitations and work practice standards
must I meet for tanks?
* * * * *
(c) If you use Tank Level 1 controls, you must install and operate
a fixed roof according to the requirements in Sec. 63.902, with the
exceptions specified in paragraphs (c)(1) and (2) of this section. As
an alternative to using this fixed roof, you may choose to use one of
Tank Level 2 controls in paragraph (d) of this section.
(1) Where Sec. 63.902(c)(2) provides an exception for a spring-
loaded pressure-vacuum relief valve, conservation vent, or similar type
of pressure relief device which vents to the atmosphere, for any source
for the purposes of this subpart, only a conservation vent is eligible
for the exception after January 6, 2021. If your initial startup date
is after September 3, 2019, the exception for a spring-loaded pressure-
vacuum relief valve, conservation vent, or similar type of pressure
relief device does not apply, with the exception of a conservation
vent, for the purposes of this subpart after July 10, 2020.
(2) The provisions of Sec. 63.902(c)(3) do not apply for the
purposes of this subpart if your initial startup date is after
September 3, 2019; for any source the provisions of Sec. 63.902(c)(3)
do not apply for the purposes of this subpart after January 6, 2021.
* * * * *
0
6. Section 63.7896 is amended by revising paragraphs (c)(1) and (3) and
(f)(1) to read as follows:
Sec. 63.7896 How do I demonstrate initial compliance with the
emissions limitations and work practice standards for tanks?
* * * * *
(c) * * *
(1) Each tank using Tank Level 1 controls is equipped with a fixed
roof and closure devices according to the requirements in Sec.
63.902(b) and (c), with the exceptions specified in Sec. 63.7895(c)(1)
and (2), and you have records documenting the design.
* * * * *
(3) You will operate the fixed roof and closure devices according
to the requirements in Sec. 63.902, with the exceptions specified in
Sec. 63.7895(c)(1) and (2).
* * * * *
(f) * * *
(1) Each tank is equipped with a fixed roof and closure devices
according to the requirements in Sec. 63.685(g), with the exceptions
specified in Sec. 63.7895(c)(1) and (2), and you have records
documenting the design.
* * * * *
0
7. Section 63.7898 is amended by revising paragraph (c)(1) to read as
follows:
Sec. 63.7898 How do I demonstrate continuous compliance with the
emissions limitations and work practice standards for tanks?
* * * * *
(c) * * *
(1) Operating and maintaining the fixed roof and closure devices
according to the requirements in Sec. 63.902(c), with the exceptions
specified in Sec. 63.7895(c)(1) and (2).
* * * * *
0
8. Section 63.7900 is amended by revising paragraphs (b)(1) through
(3), (c), and (d) to read as follows:
Sec. 63.7900 What emissions limitations and work practice standards
must I meet for containers?
* * * * *
(b) * * *
(1) If the design capacity of your container is less than or equal
to 0.46 m\3\, then you must use controls according to the standards for
Container Level 1 controls as specified in Sec. 63.922. As an
alternative, you may choose to use controls according to either of the
standards for Container Level 2 controls as specified in Sec. 63.923.
Sec. 63.922(d)(4)
[[Page 41704]]
and (5) do not apply for the purposes of this subpart if your initial
startup date is after September 3, 2019; Sec. 63.922(d)(4) and (5) do
not apply for the purposes of this subpart for any source after January
6, 2021.
(2) If the design capacity of your container is greater than 0.46
m3, then you must use controls according to the standards for Container
Level 2 controls as specified in Sec. 63.923 except as provided for in
paragraph (b)(3) of this section. Sec. 63.923(d)(4) and (5) do not
apply for the purposes of this subpart if your initial startup date is
after September 3, 2019; Sec. 63.923(d)(4) and (5) do not apply for
the purposes of this subpart for any source after January 6, 2021.
(3) As an alternative to meeting the standards in paragraph (b)(2)
of this section for containers with a capacity greater than 0.46 m3, if
you determine that either of the conditions in paragraph (b)(3)(i) or
(ii) apply to the remediation material placed in your container, then
you may use controls according to the standards for Container Level 1
controls as specified in Sec. 63.922. Sec. 63.922(d)(4) and (5) do
not apply for the purposes of this subpart if your initial startup date
is after September 3, 2019; Sec. 63.922(d)(4) and (5) do not apply for
the purposes of this subpart for any source after January 6, 2021.
* * * * *
(c) At times when a container having a design capacity greater than
0.1 m3 is used for treatment of a remediation material by a waste
stabilization process as defined in Sec. 63.7957, you must control air
emissions from the container during the process whenever the
remediation material in the container is exposed to the atmosphere
according to the standards for Container Level 3 controls as specified
in Sec. 63.924. You must meet the emissions limitations and work
practice standards in Sec. 63.7925 that apply to your closed vent
system and control device. Sec. 63.924(d) does not apply for the
purposes of this subpart if your initial startup date is after
September 3, 2019; Sec. 63.924(d) does not apply for the purposes of
this subpart for any source after January 6, 2021.
(d) As an alternative to meeting the requirements in paragraph (b)
of this section, you may choose to use controls on your container
according to the standards for Container Level 3 controls as specified
in Sec. 63.924. You must meet the emissions limitations and work
practice standards in Sec. 63.7925 that apply to your closed vent
system and control device. Sec. 63.924(d) does not apply for the
purposes of this subpart if your initial startup date is after
September 3, 2019; Sec. 63.924(d) does not apply for the purposes of
this subpart for any source after January 6, 2021.
* * * * *
0
9. Section 63.7901 is amended by revising paragraphs (a), (b)(1),
(c)(2), and (d)(3) to read as follows:
Sec. 63.7901 How do I demonstrate initial compliance with the
emissions limitations and work practice standards for containers?
(a) You must demonstrate initial compliance with the emissions
limitations and work practice standards in Sec. 63.7900 that apply to
your affected containers by meeting the requirements in paragraphs (b)
through (e) of this section, as applicable to your containers.
(b) * * *
(1) You have determined the applicable container control levels
specified in Sec. 63.7900 for the containers to be used for your Site
Remediation.
* * * * *
(c) * * *
(2) You will operate each container cover and closure device
according to the requirements in Sec. 63.922(d), with the exceptions
specified in Sec. 63.7900(b)(1).
(d) * * *
(3) You will operate and maintain the container covers and closure
devices according to the requirements in Sec. 63.923(d), with the
exceptions specified in Sec. 63.7900(b)(2).
* * * * *
0
10. Section 63.7903 is amended by revising paragraphs (a), (b)
introductory text, (c)(1), and (d)(2) to read as follows:
Sec. 63.7903 How do I demonstrate continuous compliance with the
emissions limitations and work practice standards for containers?
(a) You must demonstrate continuous compliance with the emissions
limitations and work practice standards in Sec. 63.7900 applicable to
your affected containers by meeting the requirements in paragraphs (b)
through (e) of this section.
(b) You must demonstrate continuous compliance with the requirement
to determine the applicable container control level specified in Sec.
63.7900(b) for each affected tank by meeting the requirements in
paragraphs (b)(1) through (3) of this section.
* * * * *
(c) * * *
(1) Operating and maintaining covers for each container according
to the requirements in Sec. 63.922(d), with the exceptions specified
in Sec. 63.7900(b)(1).
* * * * *
(d) * * *
(2) Operating and maintaining container covers according to the
requirements in Sec. 63.923(d), with the exceptions specified in Sec.
63.7900(b)(2).
* * * * *
0
11. Section 63.7905 is amended by revising paragraphs (b)(1) and (2) to
read as follows:
Sec. 63.7905 What emissions limitations or work practice standards
must I meet for surface impoundments?
* * * * *
(b) * * *
(1) Install and operate a floating membrane cover according to the
requirements in Sec. 63.942. Sec. 63.942(c)(2) and (3) do not apply
for the purposes of this subpart if your initial startup date is after
September 3, 2019; Sec. 63.942(c)(2) and (3) do not apply for the
purposes of this subpart for any source after January 6, 2021; or
(2) Install and operate a cover vented through a closed vent system
to a control device according to the requirements in Sec. 63.943. You
must meet the emissions limitations and work practice standards in
Sec. 63.7925 that apply to your closed vent system and control device.
Sec. 63.943(c)(2) does not apply for the purposes of this subpart if
your initial startup date is after September 3, 2019; Sec.
63.943(c)(2) does not apply for the purposes of this subpart for any
source after January 6, 2021.
* * * * *
0
12. Section 63.7906 is amended by revising paragraphs (b)(2) and (c)(2)
to read as follows:
Sec. 63.7906 How do I demonstrate initial compliance with the
emissions limitations or work practice standards for surface
impoundments?
* * * * *
(b) * * *
(2) You will operate the cover and closure devices according to the
requirements in Sec. 63.942(c), with the exceptions specified in Sec.
63.7905(b)(1).
* * * * *
(c) * * *
(2) You will operate the cover and closure devices according to the
requirements in Sec. 63.943(c), with the exceptions specified in Sec.
63.7905(b)(2).
* * * * *
0
13. Section 63.7908 is amended by revising paragraphs (b)(1) and (c)(1)
to read as follows:
Sec. 63.7908 How do I demonstrate continuous compliance with the
emissions limitations and work practice standards for surface
impoundments?
* * * * *
[[Page 41705]]
(b) * * *
(1) Operating and maintaining the floating membrane cover and
closure devices according to the requirements in Sec. 63.942(c), with
the exceptions specified in Sec. 63.7905(b)(1).
* * * * *
(c) * * *
(1) Operating and maintaining the floating membrane cover and
closure devices according to the requirements in Sec. 63.943(c), with
the exceptions specified in Sec. 63.7905(b)(2).
* * * * *
0
14. Section 63.7910 is amended by revising paragraphs (b)(1) through
(3) to read as follows:
Sec. 63.7910 What emissions limitations and work practice standards
must I meet for separators?
* * * * *
(b) * * *
(1) Install and operate a floating roof according to the
requirements in Sec. 63.1043. For portions of the separator where it
is infeasible to install and operate a floating roof, such as over a
weir mechanism, you must comply with the requirements specified in
paragraph (b)(2) of this section. Sec. 63.1043(c)(2) does not apply
for the purposes of this subpart if your initial startup date is after
September 3, 2019; Sec. 63.1043(c)(2) does not apply for the purposes
of this subpart for any source after January 6, 2021.
(2) Install and operate a fixed roof vented through a closed vent
system to a control device according to the requirements in Sec.
63.1044. You must meet the emissions limitations and work practice
standards in Sec. 63.7925 that apply to your closed vent system and
control device. Sec. 63.1044(c)(2) does not apply for the purposes of
this subpart if your initial startup date is after September 3, 2019;
Sec. 63.1044(c)(2) does not apply for the purposes of this subpart for
any source after January 6, 2021.
(3) Install and operate a pressurized separator according to the
requirements in Sec. 63.1045. Sec. 63.1045(b)(3)(i) does not apply
for the purposes of this subpart if your initial startup date is after
September 3, 2019; Sec. 63.1045(b)(3)(i) does not apply for the
purposes of this subpart for any source after January 6, 2021.
* * * * *
0
15. Section 63.7911 is amended by revising paragraphs (b)(2), (c)(2),
and (d)(2) to read as follows:
Sec. 63.7911 How do I demonstrate initial compliance with the
emissions limitations and work practice standards for separators?
* * * * *
(b) * * *
(2) You will operate the floating roof and closure devices
according to the requirements in Sec. 63.1043(c), with the exceptions
specified in Sec. 63.7910(b)(1).
(c) * * *
(2) You will operate the fixed roof and its closure devices
according to the requirements in Sec. 63.1042(c). Sec. 63.1042(c)(3)
does not apply for the purposes of this subpart if your initial date is
after September 3, 2019; Sec. 63.1042(c)(3) does not apply for the
purposes of this subpart for any source after January 6, 2021.
* * * * *
(d) * * *
(2) You will operate the pressurized separator as a closed system
according to the requirements in Sec. 63.1045(b)(3), with the
exceptions specified in Sec. 63.7910(b)(3).
0
16. Section 63.7912 is amended by revising paragraph (c) to read as
follows:
Sec. 63.7912 What are my inspection and monitoring requirements for
separators?
* * * * *
(c) If you use a pressurized separator that operates as a closed
system according to Sec. 63.7910(b)(3), you must visually inspect each
pressurized separator and closure devices for defects at least annually
to ensure they are operating according to the design requirements in
Sec. 63.1045(b), with the exceptions specified in Sec. 63.7910(b)(3).
0
17. Section 63.7913 is amended by revising paragraphs (c)(1) and (d)(1)
to read as follows:
Sec. 63.7913 How do I demonstrate continuous compliance with the
emissions limitations and work practice standards for separators?
* * * * *
(c) * * *
(1) Operating and maintaining the fixed roof and its closure
devices according to the requirements in Sec. 63.1042, with the
exceptions specified in Sec. 63.7911(c)(2).
* * * * *
(d) * * *
(1) Operating the pressurized separator at all times according to
the requirements in Sec. 63.1045, with the exceptions specified in
Sec. 63.7910(b)(3).
* * * * *
0
18. Revise the undesignated center heading for Sec. Sec. 63.7920
through 63.7922 to read as follows:
Equipment Leaks and Pressure Relief Devices
0
19. Section 63.7920 is amended by:
0
a. Revising paragraph (b)(1);
0
b. Adding paragraph (b)(3);
0
c. Redesignating paragraph (d) as paragraph (f); and
0
d. Adding new paragraph (d) and paragraph (e).
The additions and revisions read as follows:
Sec. 63.7920 What emissions limitations and work practice standards
must I meet for equipment leaks?
* * * * *
(b) * * *
(1) Control equipment leaks according to all applicable
requirements under 40 CFR part 63, subpart TT--National Emission
Standards for Equipment Leaks--Control Level 1, with the differences
noted in paragraph (b)(3) of this section for the purposes of this
subpart; or
* * * * *
(3)(i) For the purpose of complying with the requirements of Sec.
63.1006(b)(2), the instrument reading that defines a leak is 500 parts
per million or greater.
(ii) For the purpose of complying with the requirements of Sec.
63.1007(b)(2), the instrument reading that defines a leak is 5,000
parts per million or greater for pumps handling polymerizing monomers;
2,000 parts per million or greater for pumps in food/medical service;
and 1,000 parts per million or greater for all other pumps.
* * * * *
(d) For the purposes of this subpart, the requirements of Sec.
63.7920(e) of this subpart apply rather than those of Sec. 63.1030 or
of Sec. 63.1011, as applicable, for pressure relief devices in gas and
vapor service. The requirements of Sec. 63.7920(e) of this subpart
apply rather than those of Sec. 63.1029 or of Sec. 63.1010, as
applicable, for pressure relief devices in liquid service.
(e) Operate each pressure relief device under normal operating
conditions, as indicated by an instrument reading of less than 500 ppm
above the background level as detected by the method specified in Sec.
63.1004(b) or Sec. 63.1023(b), as applicable.
* * * * *
0
20. Section 63.7923 is added before the undesignated center heading
``Closed Vent Systems and Control Devices'' to read as follows:
Sec. 63.7923 What monitoring and work practice standards must I meet
for pressure relief devices?
(a) For each pressure relief device in remediation material
service, you must
[[Page 41706]]
comply with either paragraph (a)(1) or (2) of this section following a
pressure release actuation event, as applicable.
(1) If the pressure relief device does not consist of or include a
rupture disk, return the pressure relief device to the normal operating
conditions specified in Sec. 63.7920(e) as soon as practicable and
conduct instrument monitoring by the method specified in Sec.
63.1004(b) or Sec. 63.1023(b), as applicable, no later than 5 calendar
days after the pressure release device returns to remediation material
service following a pressure release actuation event, except as
provided in Sec. 63.1024(d) or of Sec. 63.1005(c), as applicable.
(2) If the pressure relief device consists of or includes a rupture
disk, except as provided in Sec. 63.1024(d) or Sec. 63.1005(c), as
applicable, install a replacement disk as soon as practicable but no
later than 5 calendar days after the pressure release actuation event.
(b) Except for the pressure relief devices described in paragraph
(e) of this section, you must comply with the requirements of
paragraphs (c) and (d) of this section for each pressure relief device
in remediation material service.
(c) Equip each pressure relief device in remediation material
service with a device(s) or use a monitoring system sufficient to
indicate a pressure release to the atmosphere. The device or monitoring
system may be either specific to the pressure release device itself or
may be associated with the process system or piping. Examples of these
types of devices or monitoring systems include, but are not limited to,
a rupture disk indicator, magnetic sensor, motion detector on the
pressure relief valve stem, flow monitor, pressure monitor, or
parametric monitoring system. The device(s) or monitoring systems must
be capable of meeting the requirements specified in paragraphs (c)(1)
through (3) of this section.
(1) Identifying the pressure release;
(2) Recording the time and duration of each pressure release; and
(3) Notifying operators immediately that a pressure release is
occurring.
(d) If any pressure relief device in remediation material service
releases directly to the atmosphere as a result of a pressure release
actuation event, follow the requirements of paragraphs (d)(1) through
(6) of this section.
(1) Calculate the quantity of HAP listed in Table 1 of this subpart
released during each pressure release actuation event. Calculations may
be based on data from the pressure relief device monitoring alone or in
combination with process parameter monitoring data and process
knowledge.
(2) Determine the total number of pressure release actuation events
that occurred during the calendar year for each pressure relief device.
(3) Determine the total number of pressure release actuation events
for each pressure relief device for which the analysis conducted as
required by paragraph (d)(4) of this section concluded that the
pressure release was due to a force majeure event, as defined in Sec.
63.7957.
(4) Complete an analysis to determine the source, nature and cause
of each pressure release actuation event as soon as practicable, but no
later than 45 days after a pressure release actuation event.
(5) Identify corrective measures to prevent future such pressure
release actuation events as soon as practicable, but no later than 45
days after a pressure release actuation event.
(6) Implement the corrective measure(s) identified as required by
paragraph (d)(5) of this section within 45 days of the pressure release
actuation event or as soon thereafter as practicable. For corrective
measures that cannot be fully implemented within 45 days following the
pressure release actuation event, you must record the corrective
measure(s) completed to date, and, for measure(s) not already
completed, a schedule for implementation, including proposed
commencement and completion dates, no later than 45 days following the
pressure release actuation event.
(e) The pressure relief devices listed in paragraphs (e)(1) through
(6) are not subject to the requirements in paragraph (c) or (d) of this
section.
(1) Pressure relief devices designed and operated to route all
pressure releases through a closed vent system to a drain system
meeting the requirements of Sec. Sec. 63.7915-63.7918, or to a fuel
gas system, process or control device meeting the requirements of
Sec. Sec. 63.7925 through 63.7928.
(2) Pressure relief devices in heavy liquid service, as defined in
Sec. 63.1001 or Sec. 63.1020, as applicable.
(3) Thermal expansion relief valves.
(4) Pilot-operated pressure relief devices where the primary
release valve is routed through a closed vent system to a control
device or back into the process, to the fuel gas system, or to a drain
system.
(5) Balanced bellows pressure relief devices where the primary
release valve is routed through a closed vent system to a control
device or back into the process, to the fuel gas system, or to a drain
system.
(6) Pressure relief devices on containers, as defined in Sec.
63.7957.
(f) Except for the pressure relief devices described in paragraph
(e) of this section, it is a violation of the requirements of
paragraphs (c) and (d) of this section for any pressure relief device
in remediation material service to release directly to the atmosphere
as a result of a pressure release actuation event(s) described in
paragraphs (f)(1) through (3) of this section.
(1) Any pressure release actuation event for which the cause of the
event determined as required by paragraph (d)(4) of this section was
determined to be operator error or poor maintenance.
(2) A second pressure release actuation event, not including force
majeure events, from a single pressure relief device in a 3 calendar-
year period for the same cause for the same equipment.
(3) A third pressure release actuation event, not including force
majeure events, from a single pressure relief device in a 3 calendar-
year period for any reason.
0
21. Section 63.7925 is amended by revising paragraph (b) to read as
follows:
Sec. 63.7925 What emissions limitations and work practice standards
must I meet for closed vent systems and control devices?
* * * * *
(b) You must comply with paragraph (b)(2) of this section, and
paragraph (b)(1) of this section does not apply, if your initial
startup date is after September 3, 2019. If your initial startup date
was on or before September 3, 2019, you must comply with paragraph
(b)(1) or (2) of this section until January 7, 2021, and after that
date, you must comply with paragraph (b)(2) of this section, and
paragraph (b)(1) of this section does not apply.
(1) Whenever gases or vapors containing HAP are vented through the
closed-vent system to the control device, the control device must be
operating except at those times listed in either paragraph (b)(1)(i) or
(ii) of this section.
(i) The control device may be bypassed for the purpose of
performing planned routine maintenance of the closed-vent system or
control device in situations when the routine maintenance cannot be
performed during periods that the emission point vented to the control
device is shutdown. On an annual basis, the total time that the closed-
vent system or control device is bypassed to perform routine
maintenance must not exceed 240 hours per each calendar year.
(ii) The control device may be bypassed for the purpose of
correcting a malfunction of the closed-vent system or control device.
You must perform the
[[Page 41707]]
adjustments or repairs necessary to correct the malfunction as soon as
practicable after the malfunction is detected.
(2) Whenever gases or vapors containing HAP are vented through the
closed-vent system to the control device, the control device must be
operating, except that the control device on a tank may be bypassed for
the purpose of performing planned routine maintenance of the control
device. When the tank control device is bypassed, the owner or operator
must comply with paragraphs (b)(2)(i) through (iii) of this section.
(i) The control device may only be bypassed when the planned
routine maintenance cannot be performed during periods that tank
emissions are vented to the control device.
(ii) On an annual basis, the total time that the closed-vent system
or control device is bypassed to perform routine maintenance must not
exceed 240 hours per each calendar year.
(iii) The level of material in the tank must not be increased
during periods that the closed-vent system or control device is
bypassed to perform planned routine maintenance.
* * * * *
0
22. Section 63.7935 is amended by:
0
a. Revising paragraphs (a) through (c), (e), and (f);
0
b. Adding paragraphs (g)(4) and (5); and
0
c. Revising paragraphs (h)(1) through (3) to read as follows:
Sec. 63.7935 What are my general requirements for complying with
this subpart?
(a) If your initial startup was on or before September 3, 2019, you
must be in compliance with the emissions limitations (including
operating limits) and the work practice standards in this subpart at
all times, except, until January 6, 2021, during periods of startup,
shutdown, and malfunction. If your initial startup was after September
3, 2019, then as of July 10, 2020, and for all sources, after January
6, 2021, you must be in compliance with the emission limitations
(including operating limits) and the work practice standards in this
subpart at all times.
(b) If your initial startup was on or before September 3, 2019,
then until January 6, 2021, you must operate and maintain your affected
source, including air pollution control and monitoring equipment,
according to the provisions in Sec. 63.6(e)(1)(i). If your initial
startup was after September 3, 2019, then as of July 10, 2020, and for
all sources after January 6, 2021, at all times, you must operate and
maintain any affected source, including associated air pollution
control equipment and monitoring equipment, in a manner consistent with
safety and good air pollution control practices for minimizing
emissions. The general duty to minimize emissions does not require you
to make any further efforts to reduce emissions if levels required by
the applicable standard have been achieved. Determination of whether a
source is operating in compliance with operation and maintenance
requirements will be based on information available to the
Administrator which may include, but is not limited to, monitoring
results, review of operation and maintenance procedures, review of
operation and maintenance records, and inspection of the source.
(c) If your initial startup date was on or before September 3,
2019, then until January 6, 2021, you must develop a written startup,
shutdown, and malfunction plan (SSMP) according to the provisions in
Sec. 63.6(e)(3), and a SSMP is not required after January 6, 2021. No
SSMP is required for any source for which the initial startup date is
after September 3, 2019.
* * * * *
(e) You must report each instance in which you did not meet each
emissions limitation and each operating limit that applies to you. You
must also report each instance in which you did not meet the
requirements for work practice standards that apply to you. These
instances are deviations from the emissions limitations and work
practice standards in this subpart. These deviations must be reported
according to the requirements in Sec. 63.7951.
(f) If your initial start date was on or before September 3, 2019,
consistent with Sec. Sec. 63.6(e) and 63.7(e)(1), then until January
6, 2021, deviations that occur during a period of startup, shutdown, or
malfunction are not violations if you demonstrate to the
Administrator's satisfaction that you were operating in accordance with
Sec. 63.6(e)(1). We will determine whether deviations that occur
during a period of startup, shutdown, or malfunction are violations,
according to the provisions in Sec. 63.6(e). If your initial startup
was after September 3, 2019, then as of July 10, 2020, and for all
sources after January 6, 2021, you must be in compliance with the
emission limitations in this subpart at all times (unless a longer
timeframe for compliance is expressly provided in this subpart), and we
will determine whether deviations that occur during a period of
startup, shutdown, or malfunction are violations according to the
provisions in Sec. 63.7935(a) and (b).
* * * * *
(g) * * *
(4) Continuous monitoring system (CMS) operation and maintenance
requirements in accordance with Sec. 63.7945.
(5) CMS data collection in accordance with Sec. 63.7946.
(h) * * *
(1) If your initial startup was on or before September 3, 2019,
then until January 6, 2021, you must address ongoing operation and
maintenance (O&M) procedures in accordance with the general
requirements of Sec. 63.8(c)(1), (3), (4)(ii), (7), and (8). If your
initial startup was after September 3, 2019, then as of July 10, 2020,
and for all sources after January 6, 2021, you must address ongoing O&M
procedures in accordance with the general requirements of Sec.
63.8(c)(1)(ii), (c)(3), (c)(4)(ii), and (c)(7) and (8).
(2) If your initial startup was on or before September 3, 2019,
then until January 6, 2021, you must address ongoing data quality
assurance procedures in accordance with the general requirements of
Sec. 63.8(d). If your initial startup was after September 3, 2019,
then as of July 10, 2020, and for all sources after January 6, 2021,
you must address ongoing data quality assurance procedures in
accordance with the general requirements of Sec. 63.8(d) except for
the requirements related to startup, shutdown, and malfunction plans
referenced in Sec. 63.8(d)(3). The owner or operator shall keep these
written procedures on record for the life of the affected source or
until the affected source is no longer subject to the provisions of
this part, to be made available for inspection, upon request, by the
Administrator. If the performance evaluation plan is revised, the owner
or operator shall keep previous (i.e., superseded) versions of the
performance evaluation plan on record to be made available for
inspection, upon request, by the Administrator, for a period of 5 years
after each revision to the plan. The program of corrective action
should be included in the plan required under Sec. 63.8(d)(2).
(3) If your initial startup was on or before September 3, 2019,
then until January 6, 2021, you must address ongoing recordkeeping and
reporting procedures in accordance with the general requirements of
Sec. 63.10(c), (e)(1), and (e)(2)(i). If your initial startup was
after September 3, 2019, then as of July 10, 2020, and for all sources
after January 6, 2021, you must address ongoing recordkeeping and
reporting
[[Page 41708]]
procedures in accordance with the general requirements of Sec.
63.10(c)(1) through (14), (e)(1), and (e)(2)(i).
* * * * *
0
23. Section 63.7941 is amended by revising paragraphs (b)(2) and (b)(4)
introductory text to read as follows:
Sec. 63.7941 How do I conduct a performance test, design evaluation,
or other type of initial compliance demonstration?
* * * * *
(b) * * *
(2) If your initial startup date was on or before September 3,
2019, then until January 6, 2021, you must conduct each performance
test under representative conditions according to the requirements in
Sec. 63.7(e)(1). If your initial startup date is after September 3,
2019, then as of July 10, 2020, and for all sources after January 6,
2021, you must conduct each performance test under conditions
representative of normal operations. You may not conduct performance
tests during periods of startup, shutdown, or malfunction. The owner or
operator must record the process information that is necessary to
document operating conditions during the test and include in such
record an explanation to support that such conditions represent normal
operation. Upon request, the owner or operator shall make available to
the Administrator such records as may be necessary to determine the
conditions of performance tests.
* * * * *
(4) Follow the procedures in paragraphs (b)(4)(i) through (iii) of
this section to determine compliance with the facility-wide total
organic mass emissions rate in Sec. 63.7890(b).
* * * * *
0
24. Section 63.7942 is revised to read as follows:
Sec. 63.7942 When must I conduct subsequent performance tests?
For non-flare control devices, you must conduct performance tests
at any time the EPA requires you to according to Sec. 63.7(a)(3).
0
25. Section 63.7943 is amended by revising paragraph (d) to read as
follows:
Sec. 63.7943 How do I determine the average VOHAP concentration of
my remediation material?
* * * * *
(d) In the event that you and we disagree on a determination using
knowledge of the average total VOHAP concentration for a remediation
material, then the results from a determination of VOHAP concentration
using direct measurement by EPA Method 305 in 40 CFR part 60, appendix
A, as specified in paragraph (b) of this section, will be used to
determine compliance with the applicable requirements of this subpart.
We may perform or require that you perform this determination using
direct measurement.
0
26. Section 63.7944 is amended:
0
a. In paragraph (b)(2)(ii), immediately before the end semicolon, by
adding ``(incorporated by reference, see Sec. 63.14)'';
0
b. In paragraph (b)(2)(iv), by removing the words ``Method 2879-83''
and adding in their place ``D2879-83 (incorporated by reference, see
Sec. 63.14)''; and
0
c. Revising paragraph (d).
The revision reads as follows:
Sec. 63.7944 How do I determine the maximum HAP vapor pressure of my
remediation material?
* * * * *
(d) In the event that you and us disagree on a determination using
knowledge of the maximum HAP vapor pressure of the remediation
material, then the results from a determination of maximum HAP vapor
pressure using direct measurement by EPA Method 25E in 40 CFR part 60,
appendix A, as specified in paragraph (b) of this section, will be used
to determine compliance with the applicable requirements of this
subpart. We may perform or require that you perform this determination
using direct measurement.
0
27. Section 63.7945 is amended by adding paragraph (d) to read as
follows:
Sec. 63.7945 What are my monitoring installation, operation, and
maintenance requirements?
* * * * *
(d) Failure to meet the requirements of paragraphs (a)(1) through
(4) of this section is a deviation and must be reported according to
the requirements in Sec. 63.7951(b)(7).
0
28. Section 63.7951 is amended by:
0
a. Adding paragraphs (a)(6) and (7);
0
b. Revising paragraphs (b)(4), (b)(7) introductory text, (b)(7)(ii),
(b)(8) introductory text, and (b)(8)(i), (iv), and (vi),
0
d. Adding paragraphs (b)(10) and (11);
0
e. Revising paragraph (c); and
0
d. Adding paragraphs (e) through (h).
The additions and revisions read as follows:
Sec. 63.7951 What reports must I submit and when?
(a) * * *
(6) For pressure relief devices in remediation material service
subject to the requirements of Sec. 63.7923, submit a description of
the device or monitoring system to be implemented, including the
pressure relief devices and process parameters to be monitored, and a
description of the alarms or other methods by which operators will be
notified of a pressure release. If your initial startup date was on or
before September 3, 2019, then this information must be submitted with
the next semi-annual periodic compliance report. If your initial
startup date is after September 3, 2019, this information must be
submitted in the first periodic compliance report. The information must
be updated in subsequent reports if changes are made.
(7) Semi-annual compliance reports must be submitted according to
paragraph (f) of this section.
(b) * * *
(4) If your initial startup date was on or before September 3,
2019, then until January 6, 2021, if you had a startup, shutdown, or
malfunction during the reporting period and you took actions consistent
with your SSMP, the compliance report must include the information in
Sec. 63.10(d)(5)(i). If your initial startup date is after September
3, 2019, then as of July 10, 2020, and for all sources after January 6,
2021, an SSMP and the information in Sec. 63.10(d)(5)(i) is not
required.
* * * * *
(7) For each deviation from an emissions limitation (including an
operating limit) that occurs at an affected source for which you are
not using a continuous monitoring system (including a CPMS or CEMS) to
comply with an emissions limitation or work practice standard required
in this subpart, the compliance report must contain the information
specified in paragraphs (b)(1) through (3) and (b)(7)(i) and (ii) of
this section.
* * * * *
(ii) Information on the number of deviations. For each deviation,
include the date, time, and duration, a list of the affected sources or
equipment, an estimate of the quantity of each regulated pollutant
emitted over any emission limit, a description of the method used to
estimate the emissions, the actions taken to minimize emissions, the
cause of the deviation (including unknown cause), as applicable, and
the corrective actions taken to return the affected unit to its normal
or usual manner of operation.
* * * * *
(8) For each deviation from an emissions limitation (including an
operating limit) or work practice standard occurring at an affected
source
[[Page 41709]]
where you are using a continuous monitoring system (including a CPMS or
CEMS) to comply with the emissions limitations or work practice
standard in this subpart, you must include the information specified in
paragraphs (b)(1) through (3) and (b)(8)(i) through (xi) of this
section.
(i) Information on the number of deviations. For each deviation,
include the date, time, and duration, a list of the affected sources or
equipment, an estimate of the quantity of each regulated pollutant
emitted over any emission limit, a description of the method used to
estimate the emissions, the actions taken to minimize emissions, the
cause of the deviation (including unknown cause), as applicable, and
the corrective actions taken to return the affected unit to its normal
or usual manner of operation.
* * * * *
(iv) For each deviation caused when the daily average value of a
monitored operating parameter is less than the minimum operating
parameter limit (or, if applicable, greater than the maximum operating
parameter limit), the report must include the daily average values of
the monitored parameter, the applicable operating parameter limit, and
the date and duration of the period that the deviation occurred. For
each deviation caused by lack of monitoring data, the report must
include the date and duration of period when the monitoring data were
not collected and the reason why the data were not collected.
* * * * *
(vi) A breakdown of the total duration of the deviations during the
reporting period into those that are due to control equipment problems,
process problems, other known causes, and unknown causes.
* * * * *
(10) For pressure relief devices in remediation material service,
compliance reports must include the information specified in paragraphs
(b)(10)(i) through (iii) of this section.
(i) For pressure relief devices in remediation material service
subject to Sec. 63.7920(e), report the number of occurrences of an
instrument reading of 500 ppm above the background level or greater, if
detected more than 5 days after a pressure release.
(ii) For pressure relief devices in remediation service subject to
Sec. 63.7923(c), report confirmation, yes or no, that the monitoring
required to show compliance was conducted during the reporting period.
(iii) For pressure relief devices in remediation material service
subject to Sec. 63.7923(d), report each pressure release to the
atmosphere, including the following information:
(A) The date, time, and duration of the pressure release actuation
event.
(B) An estimate of the mass quantity of total HAP listed in Table 1
of this subpart emitted during the pressure release actuation event and
the method used for determining this quantity.
(C) The source, nature and cause of the pressure release actuation
event.
(D) The actions taken to prevent this pressure release actuation
event.
(E) The measures implemented during the reporting period to prevent
future such pressure release actuation events, and, if applicable, the
implementation schedule for planned corrective actions to be
implemented subsequent to the reporting period.
(11) Pressure tank closure device or bypass deviation information.
Compliance reports must include the information specified in paragraph
(b)(11)(iv) of this section when any of the conditions in paragraphs
(b)(11)(i) through (iii) of this section are met.
(i) Any pressure tank closure device, as specified in specified in
Sec. 63.7895(d)(4), has released to the atmosphere.
(ii) Any closed vent system that includes bypass devices that could
divert a vent a stream away from the control device and into the
atmosphere, as specified in Sec. 63.7927(a)(2), has released directly
to the atmosphere.
(iii) Any open-ended valve or line in an emergency shutdown system
which is designed to open automatically in the event of a process
upset, as specified in Sec. 63.1014(c) or Sec. 63.1033(c), has
released directly to the atmosphere.
(iv) The compliance report must include the information specified
in paragraphs (b)(11)(iv)(A) through (E) of this section.
(A) The source, nature and cause of the release.
(B) The date, time and duration of the discharge.
(C) An estimate of the quantity of total HAP listed in Table 1 of
this subpart emitted during the release and the method used for
determining this quantity.
(D) The actions taken to prevent this release.
(E) The measures adopted to prevent future such releases.
(c) Immediate startup, shutdown, and malfunction report. If your
initial startup was on or before September 3, 2019, then until January
6, 2021, if you had a startup, shutdown, or malfunction during the
semiannual reporting period that was not consistent with your SSMP, you
must submit an immediate startup, shutdown and malfunction report
according to the requirements of Sec. 63.10(d)(5)(ii). If your initial
startup date is after September 3, 2019, then as of July 10, 2020, and
for all sources after January 6, 2021, an immediate startup, shutdown,
and malfunction report is not required.
* * * * *
(e) Performance Test and CMS Performance Evaluation Reports. Within
60 days after the date of completing each performance test or
continuous monitoring system (CMS) performance evaluation (as defined
in Sec. 63.2) required by this subpart, the owner or operator must
submit the results of the performance test or performance evaluation
according to the manner specified by either paragraph (e)(1) or (2) of
this section.
(1) Data collected using test methods supported by the EPA's
Electronic Reporting Tool (ERT) as listed on the EPA's ERT website
(https://www.epa.gov/electronic-reporting-air-emissions/electronic-reporting-tool-ert) at the time of the test. Submit the results of the
performance test or the performance evaluation of CMS measuring
relative accuracy test audit (RATA) pollutants to the EPA via the
Compliance and Emissions Data Reporting Interface (CEDRI), which can be
accessed through the EPA's Central Data Exchange (CDX) (https://cdx.epa.gov/). The data must be submitted in a file format generated
through the use of the EPA's ERT. Alternatively, you may submit an
electronic file consistent with the extensible markup language (XML)
schema listed on the EPA's ERT website.
(2) Data collected using test methods that are not supported by the
EPA's ERT as listed on the EPA's ERT website at the time of the test.
The results of the performance test or the performance evaluation of
CMS measuring RATA pollutants by methods that are not supported by the
ERT must be included as an attachment in the ERT or an alternate
electronic file consistent with the XML schema listed on the EPA's ERT
website. The results of the performance test or the performance
evaluation of CMS measuring RATA pollutants by methods that are not
supported by the ERT, must be included as an attachment in the ERT or
an alternate electronic file consistent with the XML schema listed on
the EPA's ERT website. Submit the ERT generated package or alternative
file to the EPA via CEDRI.
(f) Submitting reports electronically. If you are required to
submit reports following the procedure specified in
[[Page 41710]]
this paragraph, you must submit reports to the EPA via CEDRI, which can
be accessed through the EPA's CDX (https://cdx.epa.gov/). You must use
the appropriate electronic report template on the CEDRI website
(https://www.epa.gov/electronic-reporting-air-emissions/compliance-and-emissions-data-reporting-interface-cedri) for this subpart. The report
must be submitted by the deadline specified in this subpart, regardless
of the method in which the report is submitted. If you claim some of
the information required to be submitted via CEDRI is confidential
business information (CBI), submit a complete report, including
information claimed to be CBI, to the EPA. The report must be generated
using the appropriate form on the CEDRI website. Submit the file on a
compact disc, flash drive, or other commonly used electronic storage
medium and clearly mark the medium as CBI. Mail the electronic medium
to U.S. EPA/OAQPS/CORE CBI Office, Attention: Group Leader, Measurement
Policy Group, MD C404-02, 4930 Old Page Rd., Durham, NC 27703. The same
file with the CBI omitted must be submitted to the EPA via the EPA's
CDX as described earlier in this paragraph.
(g) Claims of EPA system outage. If you are required to
electronically submit a report through CEDRI in the EPA's CDX, you may
assert a claim of EPA system outage for failure to timely comply with
the reporting requirement. To assert a claim of EPA system outage, you
must meet the requirements outlined in paragraphs (g)(1) through (7) of
this section.
(1) You must have been or will be precluded from accessing CEDRI
and submitting a required report within the time prescribed due to an
outage of either the EPA's CEDRI or CDX systems.
(2) The outage must have occurred within the period of time
beginning five business days prior to the date that the submission is
due.
(3) The outage may be planned or unplanned.
(4) You must submit notification to the Administrator in writing as
soon as possible following the date you first knew, or through due
diligence should have known, that the event may cause or has caused a
delay in reporting.
(5) You must provide to the Administrator a written description
identifying:
(i) The date(s) and time(s) when CDX or CEDRI was accessed and the
system was unavailable;
(ii) A rationale for attributing the delay in reporting beyond the
regulatory deadline to EPA system outage;
(iii) Measures taken or to be taken to minimize the delay in
reporting; and
(iv) The date by which you propose to report, or if you have
already met the reporting requirement at the time of the notification,
the date you reported.
(6) The decision to accept the claim of EPA system outage and allow
an extension to the reporting deadline is solely within the discretion
of the Administrator.
(7) In any circumstance, the report must be submitted
electronically as soon as possible after the outage is resolved.
(h) Claims of force majeure. If you are required to electronically
submit a report through CEDRI in the EPA's CDX, you may assert a claim
of force majeure for failure to timely comply with the reporting
requirement. To assert a claim of force majuere, you must meet the
requirements outlined in paragraphs (h)(1) through (5) of this section.
(1) You may submit a claim if a force majeure event is about to
occur, occurs, or has occurred or there are lingering effects from such
an event within the period of time beginning five business days prior
to the date the submission is due. For the purposes of this section, a
force majeure event is defined as an event that will be or has been
caused by circumstances beyond the control of the affected facility,
its contractors, or any entity controlled by the affected facility that
prevents you from complying with the requirement to submit a report
electronically within the time period prescribed. Examples of such
events are acts of nature (e.g., hurricanes, earthquakes, or floods),
acts of war or terrorism, or equipment failure or safety hazard beyond
the control of the affected facility (e.g., large scale power outage).
(2) You must submit notification to the Administrator in writing as
soon as possible following the date you first knew, or through due
diligence should have known, that the event may cause or has caused a
delay in reporting.
(3) You must provide to the Administrator:
(i) A written description of the force majeure event;
(ii) A rationale for attributing the delay in reporting beyond the
regulatory deadline to the force majeure event;
(iii) Measures taken or to be taken to minimize the delay in
reporting; and
(iv) The date by which you propose to report, or if you have
already met the reporting requirement at the time of the notification,
the date you reported.
(4) The decision to accept the claim of force majeure and allow an
extension to the reporting deadline is solely within the discretion of
the Administrator.
(5) In any circumstance, the reporting must occur as soon as
possible after the force majeure event occurs.
0
29. Section 63.7952 is amended by:
0
a. Revising paragraph (a)(2);
0
b. Redesignating paragraphs (a)(3) and (4) as paragraphs (a)(9) and
(10);
0
c. Adding new paragraph (a)(3) and paragraphs (a)(4) through (8) and
(e).
The revision and additions read as follows:
Sec. 63.7952 What records must I keep?
(a) * * *
(2) If your initial startup date is on or before September 3, 2019,
you must continue to keep any records specified in Sec.
63.6(e)(3)(iii) through (v) related to startup, shutdown, and
malfunction.
(3) If your initial startup was after September 3, 2019, then as of
July 10, 2020, and for all sources after January 6, 2021, for each
deviation from an emissions limitation (including an operating limit)
or work practice standard occurring at an affected source, you must
record information on the number of deviations. For each deviation,
include the date, time, and duration, a list of the affected sources or
equipment, an estimate of the quantity of each regulated pollutant
emitted over any emission limit, a description of the method used to
estimate the emissions, the actions taken to minimize emissions, the
cause of the deviation (including unknown cause), as applicable, and
the corrective actions taken to return the affected unit to its normal
or usual manner of operation.
(4) For pressure relief devices in remediation material service,
keep records of the information specified in paragraphs (a)(4)(i)
through (iii) of this section, as applicable.
(i) A list of identification numbers for pressure relief devices
that are not subject to the requirements of Sec. 63.7923(c) and (d)
under the provisions of Sec. 63.7923(e).
(ii) A list of identification numbers for pressure relief devices
subject to the requirements of Sec. 63.7923(a), (c), and (d) that do
not consist of or include a rupture disk.
(iii) A list of identification numbers for pressure relief devices
subject to the requirements of Sec. 63.7923(a), (c), and (d) equipped
with rupture disks.
(5) For pressure relief devices in remediation material service
subject to Sec. 63.7923(d), keep records of each pressure release
event to the atmosphere as specified in paragraphs (a)(5)(i) through
(viii) of this section.
(i)The date, time, and duration of the pressure release event.
[[Page 41711]]
(ii) The dates and results of the EPA Method 21 of 40 CFR part 60,
appendix A, monitoring following a pressure release event, if
applicable. The results of each monitoring event shall include the
measured background level and the maximum instrument reading measured
at each pressure relief device.
(iii) The dates replacement rupture disks were installed following
a pressure release event, if applicable.
(iv) An estimate of the mass quantity of total HAP listed in Table
1 of this subpart emitted during the pressure release event and the
method used for determining this quantity.
(v) The source, nature and cause of the pressure release event,
including an identification of the affected pressure relief device(s)
and a statement noting whether the event resulted from the same
cause(s) identified following a previous pressure release event.
(vi) The corrective measures identified to prevent future such
pressure release events, or an explanation of why corrective measures
are not necessary.
(vii) The actions taken to prevent this pressure release event.
(viii) Records of the corrective measures implemented, including a
description of the corrective measure(s) completed within the first 45
days following a pressure release event, and, if applicable, the
implementation schedule for planned corrective measures to be
implemented subsequent to the first 45 days following the pressure
release event, including proposed commencement and completion dates.
(6) Records of the number of pressure release events during each
calendar year and the number of those events for which the cause was
determined to be a force majeure event. Keep these records for the
current calendar year and the past 5 calendar years.
(7)(i) For pressure tank closure devices, as specified in Sec.
63.7895(d)(4), keep records of each release to the atmosphere,
including the information specified in paragraphs (a)(7)(iii)(A)
through (G) of this section.
(ii) For each closed vent system that includes bypass devices that
could divert a stream away from the control device and into the
atmosphere, as specified in Sec. 63.7927(a)(2), and each open-ended
valve or line in an emergency shutdown system which is designed to open
automatically in the event of a process upset, as specified in Sec.
63.1014(c) or Sec. 63.1033(c), keep records of each release to the
atmosphere, including the information specified in paragraphs
(a)(7)(iii)(A) though (G) of this section.
(iii)(A) The source, nature, and cause of the release.
(B) The date, time, and duration of the release.
(C) An estimate of the quantity of HAP listed in Table 1 of this
subpart emitted during the release and the calculations used for
determining this quantity.
(D) The actions taken to prevent this release.
(E) The measures adopted to prevent future such release.
(F) Hourly records of whether the bypass flow indicator specified
under Sec. 63.7927(a)(2)(i) was operating and whether a diversion was
detected at any time during the hour, as well as records of the times
of all periods when the vent stream is diverted from the control device
or the flow indicator is not operating.
(G) Where a seal mechanism is used to comply with Sec.
63.7927(a)(2)(ii), hourly records of flow are not required. In such
cases, you must record that the monthly visual inspection of the seals
or closure mechanism has been done and record the duration of all
periods when the seal mechanism is broken, the bypass line valve
position has changed, or the key for a lock-and-key type lock has been
checked out, and records of any car-seal that has broken.
(8) A record of the fluid level at the beginning and end of each
maintenance period during which the tank is subject to Sec.
63.7925(b)(3).
* * * * *
(e) Any records required to be maintained by this part that are
submitted electronically via the EPA's CEDRI may be maintained in
electronic format. This ability to maintain electronic copies does not
affect the requirement for facilities to make records, data, and
reports available upon request to a delegated air agency or the EPA as
part of an on-site compliance evaluation.
30. Section 63.7956 is amended by adding paragraph (c)(5) to read
as follows:
* * * * *
(c) * * *
(5) Approval of an alternative to any electronic reporting to the
EPA required by this subpart.
0
31. Section 63.7957 is amended by:
0
a. Adding in alphabetical order a definition for ``Bypass'';
0
b. Revising the definition of ``Deviation'';
0
c. Adding in alphabetical order definitions for ``Force majeure'',
``Pressure release actuation event'', and ``Pressure relief device or
valve'';
0
d. Revising the definition of ``Process vent''; and
0
e. Removing the definition of ``Safety device''.
The additions and revisions read as follows:
Sec. 63.7957 What definitions apply to this subpart?
* * * * *
Bypass means diverting a process vent or closed vent system stream
to the atmosphere such that it does not first pass through an emission
control device.
* * * * *
Deviation means any instance in which an affected source subject to
this subpart, or an owner or operator of such a source:
(1) Fails to meet any requirement or obligation established by this
subpart, including but not limited to any emissions limitation
(including any operating limit), or work practice standard;
(2) Fails to meet any term or condition that is adopted to
implement an applicable requirement in this subpart and that is
included in the operating permit for any affected source required to
obtain such a permit; or
(3) Fails to meet any emissions limitation, (including any
operating limit), or work practice standard in this subpart regardless
of whether or not such failure is permitted by this subpart.
* * * * *
Force majeure event means a release of HAP directly to the
atmosphere from a pressure relief device that is demonstrated to the
satisfaction of the Administrator to result from an event beyond the
owner or operator's control, such as natural disasters; acts of war or
terrorism; loss of a utility external to the Site Remediation unit
(e.g., external power curtailment), excluding power curtailment due to
an interruptible service agreement; and fire or explosion originating
at a near or adjoining facility outside of the Site Remediation
affected source that impacts the Site Remediation affected source's
ability to operate.
* * * * *
Pressure release actuation event means the emission of materials
resulting from the system pressure being greater than the set pressure
of the pressure relief device. This release can be one release or a
series of releases over a short time period.
Pressure relief device or valve means a safety device used to
prevent operating pressures from exceeding the maximum allowable
working pressure of the process equipment. A common pressure relief
device is a spring-loaded pressure relief valve. Devices that are
[[Page 41712]]
actuated either by a pressure of less than or equal to 2.5 pounds per
square inch gauge or by a vacuum are not pressure relief devices.
* * * * *
Process vent means any open-ended pipe, stack, duct, or other
opening intended to allow the passage of gases, vapors, or fumes to the
atmosphere and this passage is caused by mechanical means (such as
compressors, vacuum-producing systems or fans) or by process-related
means (such as volatilization produced by heating). For the purposes of
this subpart, a process vent is neither a pressure relief device (as
defined in this section) nor a stack, duct or other opening used to
exhaust combustion products from a boiler, furnace, heater,
incinerator, or other combustion device.
* * * * *
0
32. Table 3 to subpart GGGGG of part 63 is revised to read as follows:
Table 3 to Subpart GGGGG of Part 63--Applicability of General
Provisions to Subpart GGGGG
As stated in Sec. 63.7940, you must comply with the applicable
General Provisions requirements according to the following table:
----------------------------------------------------------------------------------------------------------------
Applies to subpart
Citation Subject Brief description GGGGG
----------------------------------------------------------------------------------------------------------------
Sec. 63.1....................... Applicability.......... Initial Applicability Yes.
Determination;
Applicability After
Standard Established;
Permit Requirements;
Extensions, Notifications.
Sec. 63.2....................... Definitions............ Definitions for part 63 Yes.
standards.
Sec. 63.3....................... Units and Abbreviations Units and abbreviations for Yes.
part 63 standards.
Sec. 63.4....................... Prohibited Activities.. Prohibited Activities; Yes.
Compliance date;
Circumvention,
Severability.
Sec. 63.5....................... Construction/ Applicability; Yes.
Reconstruction. applications; approvals.
Sec. 63.6(a).................... Applicability.......... General Provisions (GP) Yes.
apply unless compliance
extension GP apply to area
sources that become major.
Sec. 63.6(b)(1)-(4)............. Compliance Dates for Standards apply at Yes.
New and Reconstructed effective date; 3 years
sources. after effective date; upon
startup; 10 years after
construction or
reconstruction commences
for 112(f).
Sec. 63.6(b)(5)................. Notification........... Must notify if commenced Yes.
construction or
reconstruction after
proposal.
Sec. 63.6(b)(6)................. [Reserved]............. ........................... ......................
Sec. 63.6(b)(7)................. Compliance Dates for Area sources that become Yes.
New and Reconstructed major must comply with
Area Sources That major source standards
Become Major. immediately upon becoming
major, regardless of
whether required to comply
when they were an area
source.
Sec. 63.6(c)(1)-(2)............. Compliance Dates for Comply according to date in Yes.
Existing Sources. subpart, which must be no
later than 3 years after
effective date. For 112(f)
standards, comply within
90 days of effective date
unless compliance
extension.
Sec. 63.6(c)(3)-(4)............. [Reserved]............. ........................... ......................
Sec. 63.6(c)(5)................. Compliance Dates for Area sources that become Yes.
Existing Area Sources major must comply with
That Become Major. major source standards by
date indicated in subpart
or by equivalent time
period (for example, 3
years).
Sec. 63.6(d).................... [Reserved]............. ........................... ......................
Sec. 63.6(e)(1)-(2)............. Operation & Maintenance ........................... No, see Sec.
63.7935(b).
Sec. 63.6(e)(3)................. Startup, Shutdown, and ........................... No, see Sec.
Malfunction Plan 63.7935(c).
(SSMP).
Sec. 63.6(f)(1)................. Compliance Except ........................... No, see Sec.
During SSM. 63.7935(b).
Sec. 63.6(f)(2)-(3)............. Methods for Determining Compliance based on Yes.
Compliance. performance test,
operation and maintenance
plans, records, inspection.
Sec. 63.6(g)(1)-(3)............. Alternative Standard... Procedures for getting an Yes.
alternative standard.
Sec. 63.6(h).................... Opacity/Visible Requirements for opacity No. No opacity
Emissions (VE) and visible emissions standards.
Standards. limits.
Sec. 63.6(i)(1)-(14)............ Compliance Extension... Procedures and criteria for Yes.
Administrator to grant
compliance extension.
Sec. 63.6(j).................... Presidential Compliance President may exempt source Yes.
Exemption. category from requirement
to comply with final rule.
Sec. 63.7(a)(1)-(2)............. Performance Test Dates. Dates for Conducting Yes.
Initial Performance
Testing and Other
Compliance Demonstrations.
Must conduct 180 days
after first subject to
final rule.
Sec. 63.7(a)(3)................. CAA Section 114 Administrator may require a Yes.
Authority. performance test under CAA
section 114 at any time.
Sec. 63.7(b)(1)................. Notification of Must notify Administrator Yes.
Performance Test. 60 days before the test.
Sec. 63.7(b)(2)................. Notification of If rescheduling a Yes.
Rescheduling. performance test is
necessary, must notify
Administrator 5 days
before scheduled date of
rescheduled date.
Sec. 63.7(c).................... Quality Assurance/Test Requirement to submit site- Yes.
Plan. specific test plan 60 days
before the test or on date
Administrator agrees with:
Test plan approval
procedures; performance
audit requirements;
internal and external QA
procedures for testing.
Sec. 63.7(d).................... Testing Facilities..... Requirements for testing Yes.
facilities.
Sec. 63.7(e)(1)................. Conditions for Performance tests must be No, see Sec.
Conducting Performance conducted under 63.7941(b)(2).
Tests. representative conditions.
Cannot conduct performance
tests during SSM. Not a
violation to exceed
standard during SSM.
Sec. 63.7(e)(2)................. Conditions for Must conduct according to Yes.
Conducting Performance rule and EPA test methods
Tests. unless Administrator
approves alternative.
Sec. 63.7(e)(3)................. Test Run Duration...... Must have three test runs Yes.
of at least one hour each.
Compliance is based on
arithmetic mean of three
runs. Conditions when data
from an additional test
run can be used.
Sec. 63.7(f).................... Alternative Test Method Procedures by which Yes.
Administrator can grant
approval to use an
alternative test method.
Sec. 63.7(g).................... Performance Test Data Must include raw data in Yes.
Analysis. performance test report.
Must submit performance
test data 60 days after
end of test with the
Notification of Compliance
Status. Keep data for 5
years.
Sec. 63.7(h).................... Waiver of Tests........ Procedures for Yes.
Administrator to waive
performance test.
Sec. 63.8(a)(1)................. Applicability of Subject to all monitoring Yes.
Monitoring requirements in standard.
Requirements.
Sec. 63.8(a)(2)................. Performance Performance Specifications Yes.
Specifications. in appendix B of part 60
apply.
Sec. 63.8(a)(3)................. [Reserved]............. ........................... ......................
[[Page 41713]]
Sec. 63.8(a)(4)................. Monitoring with Flares. Unless your rule says Yes.
otherwise, the
requirements for flares in
63.11 apply.
Sec. 63.8(b)(1)................. Monitoring............. Must conduct monitoring Yes.
according to standard
unless Administrator
approves alternative.
Sec. 63.8(b)(2)-(3)............. Multiple Effluents and Specific requirements for Yes.
Multiple Monitoring installing monitoring
Systems. systems. Must install on
each effluent before it is
combined and before it is
released to the atmosphere
unless Administrator
approves otherwise. If
more than one monitoring
system on an emissions
point, must report all
monitoring system results,
unless one monitoring
system is a backup.
Sec. 63.8(c)(1)................. Monitoring System Maintain monitoring system Yes.
Operation and in a manner consistent
Maintenance. with good air pollution
control practices.
Sec. 63.8(c)(1)(i).............. Monitoring System Operate and maintain system No, see Sec.
Operation. as specified in Sec. 63.7935(b).
63.6(e)(1).
Sec. 63.8(c)(1)(ii)............. Monitoring System Keep part for routine Yes.
Repair. repairs available.
Sec. 63.8(c)(1)(iii)............ Monitoring System SSM Develop an SSM Plan for the No, see Sec.
Plan. monitoring system. 63.7935(h)(1).
Sec. 63.8(c)(2)-(3)............. Monitoring System Must install to get Yes.
Installation. representative emissions
and parameter
measurements. Must verify
operational status before
or at performance test.
Sec. 63.8(c)(4)................. Continuous Monitoring CMS must be operating No.
System (CMS) except during breakdown,
Requirements. out-of-control, repair,
maintenance, and high-
level calibration drifts.
Sec. 63.8(c)(4)(i)-(ii)......... Continuous Monitoring COMS must have a minimum of Yes. However, COMS are
System (CMS) one cycle of sampling and not applicable.
Requirements. analysis for each Requirements for CPMS
successive 10-second are listed in Sec.
period and one cycle of Sec. 63.7900 and
data recording for each 63.7913.
successive 6-minute
period. CEMS must have a
minimum of one cycle of
operation for each
successive 15-minute
period.
Sec. 63.8(c)(5)................. COMS Minimum Procedures COMS minimum procedures.... No.
Sec. 63.8(c)(6)................. CMS Requirements....... Zero and High level Yes.
calibration check However requirements
requirements. for CPMS are
addressed in Sec.
63.7927.
Sec. 63.8(c)(7)-(8)............. CMS Requirements....... Out-of-control periods, Yes.
including reporting.
Sec. 63.8(d).................... CMS Quality Control.... Requirements for CMS Yes.
quality control, including
calibration, etc. Must
keep quality control plan
on record for 5 years.
Keep old versions for 5
years after revisions.
Sec. 63.8(e).................... CMS Performance Notification, performance Yes.
Evaluation. evaluation test plan,
reports.
Sec. 63.8(f)(1)-(5)............. Alternative Monitoring Procedures for Yes.
Method. Administrator to approve
alternative monitoring.
Sec. 63.8(f)(6)................. Alternative to Relative Procedures for No.
Accuracy Test. Administrator to approve
alternative relative
accuracy tests for CEMS.
Sec. 63.8(g)(1)-(4)............. Data Reduction......... COMS 6-minute averages Yes. However, COMS are
calculated over at least not applicable.
36 evenly spaced data Requirements for CPMS
points. CEMS 1-hour are addressed in Sec.
averages computed over at Sec. 63.7900 and
least four equally spaced 63.7913.
data points.
Sec. 63.8(g)(5)................. Data Reduction......... Data that cannot be used in No.
computing averages for
CEMS and COMS.
Sec. 63.9(a).................... Notification Applicability and State Yes.
Requirements. Delegation.
Sec. 63.9(b)(1)-(5)............. Initial Notifications.. Submit notification 120 Yes.
days after effective date.
Notification of intent to
construct/reconstruct;
Notification of
commencement of construct/
reconstruct; Notification
of startup. Contents of
each.
Sec. 63.9(c).................... Request for Compliance Can request if cannot Yes.
Extension. comply by date or if
installed BACT/LAER.
Sec. 63.9(d).................... Notification of Special For sources that commence Yes.
Compliance construction between
Requirements for New proposal and promulgation
Source. and want to comply 3 years
after effective date.
Sec. 63.9(e).................... Notification of Notify Administrator 60 Yes.
Performance Test. days prior.
Sec. 63.9(f).................... Notification of VE/ Notify Administrator 30 No.
Opacity Test. days prior.
Sec. 63.9(g).................... Additional Notification of performance Yes. However, there
Notifications When evaluation. Notification are no opacity
Using CMS. using COMS data. standards.
Notification that exceeded
criterion for relative
accuracy.
Sec. 63.9(h)(1)-(6)............. Notification of Contents. Due 60 days after Yes.
Compliance Status. end of performance test or
other initial compliance
demonstration, except for
opacity/VE, which are due
30 days after. When to
submit to Federal vs.
State authority.
Sec. 63.9(i).................... Adjustment of Submittal Procedures for Yes.
Deadlines. Administrator to approve
change in when
notifications must be
submitted.
Sec. 63.9(j).................... Change in Previous Must submit within 15 days Yes.
Information. after the change.
Sec. 63.10(a)................... Recordkeeping/Reporting Applies to all, unless Yes.
compliance extension. When
to submit to Federal vs.
State authority.
Procedures for owners of
more than 1 source.
Sec. 63.10(b)(1)................ Recordkeeping/Reporting General Requirements. Keep Yes.
all records readily
available. Keep for 5
years.
Sec. 63.10(b)(2)(i) and (ii).... Records related to SSM. Exceedance of emission No, for new sources
limit during startup, for which initial
shutdown or malfunction. startup is after
September 3, 2019.
Yes, for all other
affected sources
before January 7,
2021, and No
thereafter.
Sec. 63.10(b)(2)(iii)........... Maintenance Records.... Maintenance on air Yes.
pollution control
equipment..
Sec. 63.10(b)(2)(iv) and (v).... Records related to SSM. Actions during SSM......... No, for new sources
for which initial
startup is after
September 3, 2019.
Yes, for all other
affected sources
before January 7,
2021, and No
thereafter.
Sec. 63.10(b)(2)(vi) and (x-xi). CMS Records............ Malfunctions, inoperative, Yes.
out-of-control.
Calibration checks.
Adjustments, maintenance.
[[Page 41714]]
Sec. 63.10(b)(2)(vii)-(ix)...... Records................ Measurements to demonstrate Yes.
compliance with emissions
limitations. Performance
test, performance
evaluation, and visible
emissions observation
results. Measurements to
determine conditions of
performance tests and
performance evaluations.
Sec. 63.10(b)(2)(xii)........... Records................ Records when under waiver.. Yes.
Sec. 63.10(b)(2)(xiii).......... Records................ Records when using No.
alternative to relative
accuracy test.
Sec. 63.10(b)(2)(xiv)........... Records................ All documentation Yes.
supporting Initial
Notification and
Notification of Compliance
Status.
Sec. 63.10(b)(3)................ Records................ Applicability Yes.
Determinations.
Sec. 63.10(c)................... Records................ Additional Records for CMS. No.
Sec. 63.10(d)(1)................ General Reporting Requirement to report...... Yes.
Requirements.
Sec. 63.10(d)(2)................ Report of Performance When to submit to Federal Yes.
Test Results. or State authority.
Sec. 63.10(d)(3)................ Reporting Opacity or VE What to report and when.... No.
Observations.
Sec. 63.10(d)(4)................ Progress Reports....... Must submit progress Yes.
reports on schedule if
under compliance extension.
Sec. 63.10(d)(5)................ Startup, Shutdown, and Contents and submission.... No, see Sec.
Malfunction Reports. 63.7951(b)(4).
Sec. 63.10(e)(1)-(2)............ Additional CMS Reports. Must report results for Yes. However, COMS are
each CEM on a unit Written not applicable.
copy of performance
evaluation Three copies of
COMS performance
evaluation.
Sec. 63.10(e)(3)................ Reports................ Excess Emissions Reports... No.
Sec. 63.10(e)(3)(i-iii)......... Reports................ Schedule for reporting No.
excess emissions and
parameter monitor
exceedance (now defined as
deviations).
Sec. 63.10(e)(3)(iv-v).......... Excess Emissions Requirement to revert to No.
Reports. quarterly submission if
there is an excess
emissions and parameter
monitor exceedance (now
defined as deviations).
Provision to request
semiannual reporting after
compliance for one year.
Submit report by 30th day
following end of quarter
or calendar half. If there
has not been an exceedance
or excess emissions (now
defined as deviations),
report contents is a
statement that there have
been no deviations.
Sec. 63.10(e)(3)(iv-v).......... Excess Emissions Must submit report No.
Reports. containing all of the
information in Sec. Sec.
63.10(c)(5-13) and
63.8(c)(7-8).
Sec. 63.10(e)(3)(vi-viii)....... Excess Emissions Report Requirements for reporting No.
and Summary Report. excess emissions for CMSs
(now called deviations).
Requires all of the
information in Sec. Sec.
63.10(c)(5-13) and
63.8(c)(7-8).
Sec. 63.10(e)(4)................ Reporting COMS data.... Must submit COMS data with No.
performance test data.
Sec. 63.10(f)................... Waiver for Procedures for Yes.
Recordkeeping/ Administrator to waive.
Reporting.
Sec. 63.11...................... Control and work Requirements for flares and Yes.
practice requirements. alternative work practice
for equipment leaks.
Sec. 63.12...................... Delegation............. State authority to enforce Yes.
standards.
Sec. 63.13...................... Addresses.............. Addresses where reports, Yes, only applicable
notifications, and to those reports not
requests are sent. required to be
submitted
electronically.
Sec. 63.14...................... Incorporation by Test methods incorporated Yes.
Reference. by reference.
Sec. 63.15...................... Availability of Public and confidential Yes.
Information. information.
----------------------------------------------------------------------------------------------------------------
[FR Doc. 2020-05896 Filed 7-9-20; 8:45 am]
BILLING CODE 6560-50-P