Oil and Natural Gas Sector: Emission Standards for New, Reconstructed, and Modified Sources Reconsideration, 57398-57460 [2020-18115]
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Federal Register / Vol. 85, No. 179 / Tuesday, September 15, 2020 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 60
[EPA–HQ–OAR–2017–0483; FRL–10013–60–
OAR]
RIN 2060–AT54
Oil and Natural Gas Sector: Emission
Standards for New, Reconstructed,
and Modified Sources Reconsideration
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
This action finalizes
amendments to the new source
performance standards (NSPS) for the
oil and natural gas sector. The
Environmental Protection Agency (EPA)
granted reconsideration on the fugitive
emissions requirements, well site
pneumatic pump standards,
requirements for certification of closed
vent systems (CVS) by a professional
engineer (PE), and the provisions to
apply for the use of an alternative means
of emission limitation (AMEL). This
final action includes amendments as a
result of the EPA’s reconsideration of
the issues associated with the above
mentioned four subject areas and other
issues raised in the reconsideration
petitions for the NSPS, as well as
amendments to streamline the
implementation of the rule. This action
also includes technical corrections and
additional clarifying language in the
regulatory text and/or preamble where
the EPA concludes further clarification
is warranted.
DATES: This final rule is effective on
November 16, 2020.
ADDRESSES: The EPA has established a
docket for this action under Docket ID
No. EPA–HQ–OAR–2017–0483. 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 electronically
through https://www.regulations.gov.
Out of an abundance of caution for
members of the public and our staff, the
EPA Docket Center and Reading Room
are closed to the public, with limited
exceptions, to reduce the risk of
transmitting COVID–19. Our Docket
Center staff will continue to provide
remote customer service via email,
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SUMMARY:
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phone, and webform. For further
information and updates on EPA Docket
Center services, please visit us online at
https://www.epa.gov/dockets. The EPA
continues to carefully and continuously
monitor information from the Center for
Disease Control, local area health
departments, and our Federal partners
so that we can respond rapidly as
conditions change regarding COVID–19.
FOR FURTHER INFORMATION CONTACT: For
questions about this action, contact Ms.
Karen Marsh, 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–
1065; fax number: (919) 541–0516; and
email address: marsh.karen@epa.gov.
SUPPLEMENTARY INFORMATION:
Preamble acronyms and
abbreviations. A number of acronyms
and terms are used in this preamble.
While this may not be an exhaustive
list, to ease the reading of this preamble
and for reference purposes, the
following terms and acronyms are
defined:
AMEL Alternative Means of Emission
Limitation
ANSI American National Standards
Institute
AVO Auditory, Visual, and Olfactory
boe Barrels of Oil Equivalent
BSER Best System of Emissions Reduction
CAA Clean Air Act
CAPP Canadian Association of Petroleum
Producers
CEDRI Compliance and Emissions Data
Reporting Interface
CFR Code of Federal Regulations
CO2 Eq. Carbon dioxide equivalent
CPI Consumer Price Indices
CVS Closed Vent System
DOE Department of Energy
EAV Equivalent Annualized Value
EPA Environmental Protection Agency
FEAST Fugitive Emissions Abatement
Simulation Toolkit
GHG Greenhouse Gases
GHGI Greenhouse Gas Inventory
HAP Hazardous Air Pollutant(s)
ITRC Interstate Technology and Regulatory
Council
LDAR Leak Detection and Repair
METEC Methane Emissions Technology
Evaluation Center
NEMS National Energy Modeling System
NSPS New Source Performance Standards
NSSN National Standards System Network
NTTAA National Technology Transfer and
Advancement Act
OGI Optical Gas Imaging
OMB Office of Management and Budget
PE Professional Engineer
PRA Paperwork Reduction Act
PRD Pressure Relief Device
PRV Pressure Relief Valve
PTE Potential To Emit
PV Present Value
REC Reduced Emissions Completion
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RFA Regulatory Flexibility Act
RIA Regulatory Impact Analysis
RTC Responses to Comments
SOCMI Synthetic Organic Chemicals
Manufacturing Industry
The Court United States Court of Appeals
for the District of Columbia Circuit
tpy Tons Per Year
TSD Technical Support Document
UIC Underground Injection Control
UMRA Unfunded Mandates Reform Act
VOC Volatile Organic Compounds
Organization of this document. The
information presented in this preamble
is presented as follows:
I. Executive Summary
A. Purpose of the Regulatory Action
B. Summary of the Major Provisions of
This Final Rule
C. Costs and Benefits
II. General Information
A. Does this action apply to me?
B. Where can I get a copy of this
document?
C. What is the Agency’s authority for
taking this action?
D. Judicial Review
III. Background
IV. Summary of the Final Standards
A. Well Completions
B. Pneumatic Pumps
C. Storage Vessels
D. CVS
E. Fugitive Emissions at Well Sites and
Compressor Stations
F. AMEL
G. Onshore Natural Gas Processing Plants
H. Sweetening Units
I. Recordkeeping and Reporting
J. Technical Corrections and Clarifications
V. Significant Changes Since Proposal
A. Storage Vessels
B. Fugitive Emissions at Well Sites and
Compressor Stations
C. AMEL
VI. Summary of Significant Comments and
Responses
A. Major Comments Concerning Storage
Vessels
B. Major Comments Concerning Fugitive
Emissions at Well Sites and Compressor
Stations
C. Major Comments Concerning AMELs
VII. Impacts of These Final Amendments
A. What are the air impacts?
B. What are the energy impacts?
C. What are the compliance cost
reductions?
D. What are the economic and employment
impacts?
E. What are the forgone benefits?
VIII. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
B. Executive Order 13771: Reducing
Regulations and Controlling Regulatory
Costs
C. Paperwork Reduction Act (PRA)
D. Regulatory Flexibility Act (RFA)
E. Unfunded Mandates Reform Act
(UMRA)
F. Executive Order 13132: Federalism
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G. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
H. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
I. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
J. National Technology Transfer and
Advancement Act (NTTAA)
K. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
L. Congressional Review Act (CRA)
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I. Executive Summary
A. Purpose of the Regulatory Action
The purpose of this action is to
finalize amendments to the NSPS for the
Crude Oil and Natural Gas Production
source category (located at 40 Code of
Federal Regulations (CFR) part 60,
subpart OOOOa) based on the EPA’s
reconsideration of those standards. On
June 3, 2016, the EPA published a final
rule titled ‘‘Oil and Natural Gas Sector:
Emission Standards for New,
Reconstructed, and Modified Sources;
Final Rule,’’ at 81 FR 35824 (‘‘2016
NSPS subpart OOOOa’’). The 2016
NSPS subpart OOOOa set the standards
for reducing emissions of greenhouse
gases (GHG), in the form of limitations
on methane, and volatile organic
compounds (VOC) from the oil and
natural gas sources constructed,
modified, or reconstructed after
September 15, 2015.1 Following
promulgation of the final rule, the
Administrator received petitions for
reconsideration of several provisions of
the 2016 NSPS subpart OOOOa.2 The
EPA granted reconsideration on four
issues: (1) The applicability of the
fugitive emissions requirements to low
production well sites, (2) the process
and criteria for requesting approval of
an AMEL, (3) the well site pneumatic
pump standards, and (4) the
requirements for certification of CVS by
a PE. On October 15, 2018, the EPA
published a proposed rulemaking titled
‘‘Oil and Natural Gas Sector: Emission
Standards for New, Reconstructed, and
Modified Sources Reconsideration,’’ in
which we proposed amendments to the
2016 NSPS subpart OOOOa to address
the issues for which reconsideration
was granted, as well as other
implementation issues and technical
corrections. 83 FR 52056. After
considering public comments and new
data submitted by the commenters, the
1 Docket
ID No. EPA–HQ–OAR–2010–0505.
of the petitions are provided in Docket
ID No. EPA–HQ–OAR–2017–0483.
2 Copies
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EPA is finalizing certain amendments to
the 2016 NSPS subpart OOOOa as
proposed, finalizing other amendments
with changes from the proposal in
response to comments and new data
that were received, and not finalizing
some of the proposed amendments in
response to comments and new data
that were received.
In addition to the amendments
described above, this action includes
amendments to address other issues
raised in the reconsideration petitions
for the 2016 NSPS subpart OOOOa and
to clarify and streamline
implementation of the rule. These
amendments relate to the following
provisions: Well completions (location
of a separator during flowback,
screenouts, and coil tubing cleanouts),
onshore natural gas processing plants
(definition of capital expenditure and
monitoring), storage vessels
(applicability), and general clarifications
(certifying official and recordkeeping
and reporting). Lastly, in addition to the
amendments addressing reconsideration
and implementation issues, the EPA is
finalizing technical corrections of
inadvertent errors in the 2016 NSPS
subpart OOOOa.
In addition to this action, the EPA has
published a separate final rule in the
Federal Register of Monday, September
14, 2020, that finalizes additional
amendments to the 2016 NSPS subpart
OOOOa which are not addressed by this
action. That separate final rule, titled
‘‘Oil and Natural Gas Sector: Emission
Standards for New, Reconstructed, and
Modified Sources Review: Final Rule’’
(FRL–10013–44–OAR; FR Doc. 2020–
18114) is herein referred to as the
‘‘Review Rule.’’ Specifically, the Review
Rule removes sources in the
transmission and storage segment from
the source category by revising the
definition of the Crude Oil and Natural
Gas Production source category,
rescinds the standards (including both
the VOC and methane requirements)
applicable to those sources, and
rescinds the methane-specific
requirements of the NSPS applicable to
sources in the production and
processing segments. For further
information about these additional
amendments, see the final rule
published in the Rules and Regulations
section of the Federal Register of
Monday, September 14, 2020. Please
refer to the Regulatory Impact Analysis
(RIA) for both this action and the
Review Rule to see the combined
impacts of both actions.
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B. Summary of the Major Provisions of
This Final Rule
Provided below is a summary of each
key amendment, clarification, or
correction made to the 2016 NSPS
subpart OOOOa that is included in this
final action.
Well completions. The EPA is
finalizing its proposed amendment to 40
CFR 60.5375a(a)(1)(iii) to allow the
separator to be nearby during flowback,
but the separator must be available and
ready for use as soon as it is technically
feasible for the separator to function. We
are also amending 40 CFR
60.5375a(a)(1)(i) to clarify that the
separator that is required during the
initial flowback stage may be a
production separator as long as it is
designed to accommodate flowback.
Finally, we are amending the definition
of flowback at 40 CFR 60.5430a to
exclude screenouts, coil tubing
cleanouts, and plug drill outs. As
explained in the preamble to the
proposed rulemaking, these are
functional processes that allow for
flowback to begin; as such, they are not
part of the flowback. 83 FR 52082.
Pneumatic pumps. The EPA is
finalizing an amendment to extend the
exemption from control where it is
technically infeasible to route
pneumatic pump emissions to a control
device. The final rule extends this
exemption to all pneumatic pump
affected facilities at all well sites by
removing the reference to greenfield
sites in 40 CFR 60.5393a(b) and the
greenfield site definition from 40 CFR
60.5430a. Additionally, in order to
qualify for the technical infeasibility
exemption, the 2016 NSPS subpart
OOOOa requires certification by a
qualified PE that routing a pneumatic
pump to a control device or a process
is technically infeasible. 40 CFR
60.5393a(b)(5). This final rule allows
certification of technical infeasibility by
either a qualified PE or an in-house
engineer with expertise on the design
and operation of the pneumatic pump.
Storage vessels. This final rule
amends the applicability criteria for
storage vessel affected facilities by
establishing criteria for calculating
potential for VOC emissions under
different scenarios. Specifically, for
individual storage vessels that are part
of a controlled tank battery (i.e., two or
more storage vessels manifolded
together with piping such that all vapors
are shared between the headspace of the
storage vessels, and where emissions are
routed through a CVS to a process or a
control device with a destruction
efficiency of at least 95.0 percent for
VOC emissions) that is subject to a
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legally and practicably enforceable
limit, potential VOC emissions may be
determined by averaging the emissions
from the entire tank battery across the
number of storage vessels in the battery.
For a controlled tank battery described
above, if the average per storage vessel
VOC emissions are greater than 6 tons
per year (tpy), then all storage vessels in
that battery are storage vessel affected
facilities. For individual storage vessels
that do not meet the criteria described
above, the potential VOC emissions is
determined according to the proposed
criteria, which the EPA is finalizing in
this action; where the VOC emissions
are greater than 6 tpy, the storage vessel
is an affected facility.
CVS. This final rule incorporates the
option for owners and operators to
demonstrate that the pneumatic pump
CVS is operated with no detectable
emissions by (1) an annual inspection
using EPA Method 21 of appendix A–
7 of part 60 (‘‘Method 21’’), (2) monthly
audio/visual/olfactory (AVO)
monitoring, or (3) optical gas imaging
(OGI) monitoring at the frequencies
specified for fugitive monitoring.
Additionally, this final rule incorporates
the option for a storage vessel CVS to be
monitored by either monthly AVO
monitoring or OGI monitoring at the
frequencies specified for fugitive
monitoring. Finally, this final rule
allows for certification of the CVS
design and capacity assessment by
either a qualified PE or an in-house
engineer with expertise on the design
and operation of the CVS.
Fugitive emissions requirements. The
EPA is finalizing several amendments to
the requirements for the collection of
fugitive emissions components at well
sites and compressor stations. The
monitoring frequencies in this final rule
are semiannual for well sites and
compressor stations, and annual for well
sites and compressor stations located on
the Alaska North Slope. The final rule
excludes low production well sites
(where the total combined oil and
natural gas production for the well site
is at or below 15 barrels of oil
equivalent (boe) per day) from fugitive
emissions monitoring, as long as they
maintain the records specified in the
final rule to demonstrate that their total
well site production is at or below 15
boe per day. A low production well site
that subsequently produces above this
threshold is required to comply with the
fugitive emissions requirements.
This final rule also finalizes separate
initial monitoring requirements for the
Alaska North Slope compressor stations,
as proposed. Compressor stations
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located on the Alaska North Slope that
start up between September and March
must conduct initial monitoring within
6 months of startup or by June 30,
whichever is later; compressor stations
that start up between April and August
must conduct initial monitoring within
90 days of startup. This final rule
revises the initial monitoring
requirement for well sites and
compressor stations not located on the
Alaska North Slope by requiring initial
monitoring within 90 days of startup.
Additionally, this final rule allows
fugitive monitoring to stop when all
major production and processing
equipment is removed from a well site
such that it becomes a wellhead-only
well site.
In addition to the amendments related
to monitoring frequencies, the final rule
(1) specifies the events that constitute
modifications to an existing separate
tank battery surface site (which is a
‘‘well site’’ for purposes of well site
fugitive emissions requirements); (2)
revises the repair requirements to
specify that a first attempt at repair must
be made within 30 days of identifying
fugitive emissions and final repair must
be made within 30 days of the first
attempt at repair; (3) amends the
definition of a well site to exclude thirdparty equipment located downstream of
the custody meter assembly and
Underground Injection Control (UIC)
Class I non-hazardous and UIC Class II
disposal wells from the fugitive
emissions requirements; and (4) revises
the requirements for the monitoring
plan, recordkeeping, and reporting
associated with the fugitive emissions
requirements.
AMEL. This final rule amends the
provisions for application of an AMEL
for emerging technologies or for existing
state fugitive emissions programs.
Additionally, this final rule provides
alternative fugitive emissions standards
for well sites and compressor stations
located in specific states.
Onshore natural gas processing
plants. This final rule revises the
definition of ‘‘capital expenditure’’ at 40
CFR 60.5430a by replacing the equation
used to determine the percent of
replacement cost, ‘‘Y’’, with one that is
based on the ratio of consumer price
indices (CPI). Additionally, this final
rule exempts components that are in
VOC service for less than 300 hours/
year from monitoring. The EPA is also
revising the equipment leak standards
for onshore natural gas processing
plants (40 CFR 60.5400a) to include the
same initial compliance provision that
is in the original equipment leak
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standards for onshore natural gas
processing plants. 40 CFR part 60,
subpart KKK. That provision, which is
codified at 40 CFR 60.632(a), requires
compliance ‘‘as soon as practicable but
no later than 180 days after initial
startup.’’ The EPA has not been able to
find a record explaining or otherwise
indicating that we intended to change
this initial compliance deadline for the
leak standards at onshore natural gas
processing plants when NSPS subparts
OOOO and OOOOa were promulgated;
accordingly, in these amendments to
NSPS subpart OOOOa, the EPA is
adding this provision back into the leak
standards for onshore natural gas
processing plants in NSPS subpart
OOOOa at 40 CFR 60.5400a.
Sweetening units. This final rule
revises the affected facility description
for the sulfur dioxide (SO2) standards to
correctly define such affected facilities
as any onshore sweetening unit that
processes natural gas produced from
either onshore or offshore wells at 40
CFR 60.5365a(g).
C. Costs and Benefits
The EPA has projected the
compliance cost reductions, emissions
changes, and forgone benefits that may
result from the final reconsideration.
The projected cost reductions and
forgone benefits are presented in detail
in the RIA accompanying this final rule.
The RIA focuses on the elements of the
final rule—the provisions related to
fugitive emissions requirements and
certification by a PE—that are likely to
result in quantifiable cost or emissions
changes compared to a baseline that
includes the 2016 NSPS subpart OOOOa
requirements. We estimated the effects
of this final rule for all sources that are
projected to change compliance
activities under this action for the
analysis years 2021 through 2030. The
RIA also presents the present value (PV)
and equivalent annualized value (EAV)
of costs, benefits, and net benefits of this
action in 2016 dollars.
A summary of the key results of this
final rule is presented in Table 1. Table
1 presents the PV and EAV, estimated
using discount rates of 7 and 3 percent,
of the changes in benefits, costs, and net
benefits, as well as the change in
emissions under the final rule. Here, the
EPA refers to the cost reductions as the
‘‘benefits’’ of this rule and the forgone
benefits as the ‘‘costs’’ of this rule in
Table 1. The net benefits are the benefits
(cost reductions) minus the costs
(forgone benefits).
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TABLE 1—COST REDUCTIONS, FORGONE BENEFITS AND FORGONE EMISSIONS REDUCTIONS OF THE FINAL RULE, 2021
THROUGH 2030
[Millions 2016$]
7-Percent discount rate
PV
Benefits (Total Cost Reductions) .....................................................................
Costs (Forgone Benefits) .................................................................................
Net Benefits 1 ...................................................................................................
EAV
$750
19
730
Emissions .........................................................................................................
Methane (short tons) ................................................................................
VOC (short tons) ......................................................................................
Hazardous Air Pollutant(s) (HAP) (short tons) .........................................
Methane (million metric tons carbon dioxide equivalent (CO2 Eq.)) ...............
3-Percent discount rate
PV
$100
2.5
97
EAV
$950
71
880
$110
8.1
100
Forgone Reductions
450,000
120,000
4,700
10
Note: Estimates are rounded to two significant digits and may not sum due to independent rounding.
This final rule is expected to result in
benefits (compliance cost reductions)
for affected owners and operators. The
PV of these benefits (cost reductions),
discounted at a 7-percent rate, is
estimated to be about $750 million, with
an EAV of about $100 million (Table 1).
Under a 3-percent discount rate, the PV
of cost reductions is $950 million, with
an EAV of $110 million (Table 1).
The estimated costs (forgone benefits)
include the monetized climate effects of
the projected increase in methane
emissions under the final rule. The PV
of these climate-related costs (forgone
benefits), discounted at a 7-percent rate,
is estimated to be about $19 million,
with an EAV of about $2.5 million
(Table 1). Under a 3-percent discount
rate, the PV of the climate-related costs
(forgone benefits) is about $71 million,
with an EAV of about $8.1 million
(Table 1). The EPA also expects that
there will be increases in VOC and HAP
emissions under the proposal. While the
EPA expects that the forgone VOC
emission reductions may also degrade
air quality and adversely affect health
and welfare effects associated with
exposure to ozone, particulate matter
with a diameter of 2.5 micrometers or
less (PM2.5), and HAP, we did not
quantify these effects at this time. This
omission should not imply that these
forgone benefits do not exist. To the
extent that the EPA were to quantify
these ozone and particulate matter (PM)
impacts, the Agency would estimate the
number and value of avoided premature
deaths and illnesses using an approach
detailed in the Particulate Matter
National Ambient Air Quality Standards
(NAAQS) and Ozone NAAQS RIA (U.S.
EPA, 2012; U.S. EPA, 2015). Such an
analysis would account for the
distribution of air pollution-attributable
risks among populations most
vulnerable and susceptible to PM2.5 and
ozone exposure.
The PV of the net benefits of this rule,
discounted at a 7-percent rate, is
estimated to be about $730 million, with
an EAV of about $97 million (Table 1).
Under a 3-percent discount rate, the PV
of net benefits is about $880 million,
with an EAV of about $100 million
(Table 1).
II. General Information
A. Does this action apply to me?
Categories and entities potentially
affected by this action include:
TABLE 2—INDUSTRIAL SOURCE CATEGORIES AFFECTED BY THIS ACTION
Category
NAICS code 1
Industry .......................................................................................
211120
211130
221210
486110
486210
........................
........................
Federal Government ...................................................................
State/local/tribal government ......................................................
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1 North
Examples of regulated entities
Crude Petroleum Extraction.
Natural Gas Extraction.
Natural Gas Distribution.
Pipeline Distribution of Crude Oil.
Pipeline Transportation of Natural Gas.
Not affected.
Not affected.
American Industry Classification System.
This table is not intended to be
exhaustive, but rather provides a guide
for readers regarding entities likely to be
regulated by this action. Other types of
entities not listed in the table could also
be affected by this action. To determine
whether your entity is affected by this
action, you should carefully examine
the applicability criteria found in the
final rule. If you have questions
regarding the applicability of this action
to a particular entity, consult the person
listed in the FOR FURTHER INFORMATION
CONTACT section, your air permitting
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authority, or your EPA Regional
representative listed in 40 CFR 60.4
(General Provisions).
B. Where can I get a copy of this
document?
This final action is available in the
docket at https://www.regulations.gov/,
Docket ID No. EPA–HQ–OAR–2017–
0483. Additionally, following signature
by the Administrator, the EPA will post
a copy of this final action at https://
www.epa.gov/controlling-air-pollutionoil-and-natural-gas-industry. This
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website provides information on all of
the EPA’s actions related to control of
air pollution in the oil and natural gas
industry. Following publication in the
Federal Register, the EPA will post the
Federal Register version of the final rule
and key technical documents at this
same website. A redline version of the
regulatory language that incorporates
the final changes in this action is
available in the docket for this action
(Docket ID No. EPA–HQ–OAR–2017–
0483).
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C. What is the Agency’s authority for
taking this action?
This action, which finalizes
amendments to the 2016 NSPS subpart
OOOOa, is based on the same legal
authorities that the EPA relied upon for
the original promulgation of the 2016
NSPS subpart OOOOa. The EPA
promulgated the 2016 NSPS subpart
OOOOa pursuant to its standard-setting
authority under section 111(b)(1)(B) of
the Clean Air Act (CAA) and in
accordance with the rulemaking
procedures in section 307(d) of the
CAA. Section 111(b)(1)(B) of the CAA
requires the EPA to issue ‘‘standards of
performance’’ for new sources in a
category listed by the Administrator
based on a finding that the category of
stationary sources causes or contributes
significantly to air pollution which may
reasonably be anticipated to endanger
public health or welfare. In the Review
Rule (published in the Federal Register
of Monday, September 14, 2020), the
EPA has interpreted CAA section
111(b)(1)(B) to require a determination
that the emissions of any air pollutant
not already subject to an NSPS for the
source category (or evaluated in
association with the listing of the source
category) cause or contribute
significantly to air pollution which may
reasonably be anticipated to endanger
public health or welfare. CAA section
111(a)(1) defines ‘‘a standard of
performance’’ as ‘‘a standard for
emissions of air pollutants which
reflects the degree of emission
limitation achievable through the
application of the best system of
emission reduction which (taking into
account the cost of achieving such
reduction and any nonair quality health
and environmental impact and energy
requirement) the Administrator
determines has been adequately
demonstrated.’’ The standard that the
EPA develops, based on the best system
of emission reduction (BSER) is
commonly a numerical emission limit,
expressed as a performance level (e.g., a
rate-based standard). However, CAA
section 111(h)(1) authorizes the
Administrator to promulgate a work
practice standard or other requirements,
which reflect the best technological
system of continuous emission
reduction, if it is not feasible to
prescribe or enforce a standard of
performance. This action includes
amendments to the fugitive emissions
standards for well sites and compressor
stations, which are work practice
standards promulgated pursuant to CAA
section 111(h)(1). 81 FR 35829.
The final amendments in this
document result from the EPA’s
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reconsideration of various aspects of the
2016 NSPS subpart OOOOa. Agencies
have inherent authority to reconsider
past decisions and to revise, replace, or
repeal a decision to the extent permitted
by law and supported by a reasoned
explanation. FCC v. Fox Televisions
Stations, Inc., 556 U.S. 502, 515 (2009);
Motor Vehicle Mfrs. Ass’n v. State Farm
Mutual Auto. Ins. Co., 463 U.S. 29, 42
(1983) (‘‘State Farm’’). ‘‘The power to
decide in the first instance carries with
it the power to reconsider.’’ Trujillo v.
Gen. Elec. Co., 621 F.2d 1084, 1086
(10th Cir. 1980); see also, United Gas
Improvement Co. v. Callery Properties,
Inc., 382 U.S. 223, 229 (1965); Mazaleski
v. Treusdell, 562 F.2d 701, 720 (D.C. Cir.
1977).
D. Judicial Review
Under section 307(b)(1) of the CAA,
judicial review of this final rule is
available only by filing a petition for
review in the United Stated Court of
Appeals for the District of Columbia
Circuit by November 16, 2020.
Moreover, under section 307(b)(2) of the
CAA, the requirements established by
this final rule may not be challenged
separately in any civil or criminal
proceedings brought by the EPA to
enforce these requirements. Section
307(d)(7)(B) of the CAA further provides
that ‘‘[o]nly an objection to a rule or
procedure which was raised 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
convene a proceeding for
reconsideration, ‘‘[i]f the person raising
an objection can demonstrate to the EPA
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 to
us should submit a Petition for
Reconsideration to the Office of the
Administrator, U.S. EPA, Room 3000,
EPA WJC, 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.
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III. Background
On June 3, 2016, the EPA published
a final rule titled ‘‘Oil and Natural Gas
Sector: Emission Standards for New,
Reconstructed, and Modified Source;
Final Rule,’’ at 81 FR 35824 (‘‘2016
NSPS subpart OOOOa’’). The 2016
NSPS subpart OOOOa established
standards of performance for GHG and
VOC emissions from new, modified, and
reconstructed sources in the oil and
natural gas sector. For further
information on the 2016 NSPS subpart
OOOOa, see 81 FR 35824 (June 3, 2016)
and associated Docket ID No. EPA–HQ–
OAR–2010–0505. Following
promulgation of the final rule, the
Administrator received petitions for
reconsideration of several provisions of
the 2016 NSPS subpart OOOOa. Copies
of the petitions are provided in the
docket for this final rule (Docket ID No.
EPA–HQ–OAR–2017–0483). Several
states and industry associations also
sought judicial review of the rule, and
that litigation is currently being held in
abeyance. American Petroleum Institute,
et al. v. EPA, No. 13–1108 (D.C. Cir.)
(and consolidated cases).
In a letter to the petitioners dated
April 18, 2017, the EPA granted
reconsideration of the fugitive emissions
requirements at well sites and
compressor stations.3 In a subsequent
notification, the EPA granted
reconsideration of two additional issues:
Well site pneumatic pump standards
and the requirements for certification of
CVS by a PE.4 On October 15, 2018, the
EPA proposed amendments and
clarifications to address the issues
under reconsideration, as well as issues
related to the implementation of the
2016 NSPS subpart OOOOa that have
come to the EPA’s attention. During this
rulemaking, the EPA reviewed
additional information, including
information in the annual compliance
reports submitted for the 2016 NSPS
subpart OOOOa and on costs associated
with fugitive emissions monitoring. The
additional information has allowed the
EPA to more accurately assess the
emission reductions and costs
associated with the fugitive emissions
requirements of the 2016 NSPS subpart
OOOOa before evaluating revisions in
this rulemaking. Further, the EPA used
the additional information to update the
overall burden estimates for the 2016
NSPS subpart OOOOa, thus, providing
a more accurate baseline on which to
compare any burden reductions
achieved through this final rule. Upon
review of the updated cost estimates,
3 See Docket ID Item No. EPA–HQ–OAR–2010–
0505–7730.
4 82 FR 25730.
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the EPA concludes the burden of the
2016 NSPS subpart OOOOa was
underestimated, and this rulemaking
provided an opportunity to reduce the
burden of the rule, particularly related
to the recordkeeping and reporting
requirements. This action finalizes
amendments that would significantly
reduce the recordkeeping and reporting
burden of the rule while continuing to
assure compliance. This action also
addresses several other implementation
issues that were raised following
promulgation of the 2016 NSPS subpart
OOOOa. The EPA is addressing these
issues at the same time to provide
clarity and certainty for the public and
the regulated community regarding
these requirements.
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IV. Summary of the Final Standards
This final rule amends certain
requirements in the 2016 NSPS subpart
OOOOa, as discussed in this section.
These amendments are effective on
November 16, 2020. Therefore, the
standards in NSPS subpart OOOOa
change from that date forward.
Accordingly, after November 16, 2020,
all affected facilities that commenced
construction, reconstruction, or
modification after September 18, 2015
must comply with the 2016 NSPS
subpart OOOOa as amended; the
previous requirements no longer apply.
A. Well Completions
The 2016 NSPS subpart OOOOa
requires that the owner or operator of a
well affected facility have a separator on
site during the entire flowback period.
40 CFR 60.5375a(a)(1)(iii). The EPA
proposed and received supportive
comments on allowing the separator to
be located in close enough proximity to
the well site for use as soon as sufficient
flowback is present for the separator to
function. Consistent with the proposal,
this final rule amends 40 CFR
60.5375a(a)(1)(iii) to allow the separator
to be at a nearby centralized facility or
well pad that services the well affected
facility during flowback as long as the
separator can be utilized as soon as it is
technically feasible for the separator to
function. The EPA is also amending 40
CFR 60.5375a(a)(1)(i) to clarify that the
separator that is required during the
initial flowback stage may be a
production separator as long as it is also
designed to accommodate flowback.
The October 15, 2018, proposal also
included proposed amendments to the
definition of flowback. The 2016 NSPS
subpart OOOOa, 40 CFR 60.5430a
defines flowback as the process of
allowing fluids and entrained solids to
flow from a well following a treatment,
either in preparation for a subsequent
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phase of treatment of in preparation for
cleanup and returning the well to
production. The term flowback also
means the fluids and entrained solids
that emerge from a well during the
flowback process. The flowback period
begins when material introduced into
the well during the treatment returns to
the surface following hydraulic
fracturing or refracturing. The flowback
period ends when either the well is shut
in and permanently disconnected from
the flowback equipment or at the startup
of production. The flowback period
includes the initial flowback stage and
the separation flowback stage.
In the October 15, 2018, proposed
rulemaking, the EPA explained that
screenouts, coil tubing cleanouts, and
plug drill outs are functional processes
that allow for flowback to begin; as
such, they are not part of the flowback.
83 FR 52082. The proposed rulemaking
included definitions for screenouts, coil
tubing cleanouts, and plug drill outs, as
proposed. Specifically, a screenout is an
attempt to clear proppant from the
wellbore in order to dislodge the
proppant out of the well. A coil tubing
cleanout is a process where an operator
runs a string of coil tubing to the packed
proppant within a well and jets the well
to dislodge the proppant and provide
sufficient lift energy to flow it to the
surface. A plug drill-out is the removal
of a plug (or plugs) that was used to
isolate different sections of the well.
The EPA proposed to exclude
screenouts, coil tubing cleanouts, and
plug drill outs from the definition of
flowback. This final rule amends the
definition of flowback and finalizes the
definitions for screenouts, coil tubing
cleanouts, and plug drill outs, as
proposed.
This final rule does not include a
definition for a permanent separator.
The EPA proposed such a definition in
conjunction with our proposal to
streamline reporting and recordkeeping
requirements for flowback routed
through production separators (which
we referred to as ‘‘permanent
separators’’ in the proposed
rulemaking). As explained in the
preamble to the proposed rulemaking,
when a production separator is used for
both well completions and production,
the production separator is connected at
the onset of the flowback and stays on
after flowback and at the startup of
production; in that event, certain
reporting and recordkeeping
requirements associated with well
completions (e.g., information about
when a separator is hooked up or
disconnected during flowback) would
be unnecessary. 83 FR 52082. We,
therefore, proposed to remove such
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unnecessary data reporting and
recordkeeping requirements when a
‘‘permanent separator’’ (as defined in
the proposed rulemaking) is used for
flowback. Upon further review, we
learned that the term ‘‘permanent
separator,’’ as defined in our proposed
rulemaking, does not accurately
describe production separators that are
also used during flowback because such
production separators may not be
permanent fixtures of a site. Therefore,
while the final rule streamlines
reporting and recordkeeping
requirements for flowback routed
through production separators, on the
condition that those separators are
designed to accommodate flowback, it
does not include the term ‘‘permanent
separator’’ or the proposed definition.
The details of these streamlined
elements are provided in section IV.I.1
of this preamble.
B. Pneumatic Pumps
Under the 2016 NSPS subpart
OOOOa, a pneumatic pump located at a
non-greenfield site is not required to
reduce its emissions by 95 percent if it
is technically infeasible to route the
pneumatic pump to a control device or
process. This final rule expands the
technical infeasibility exemption to
pneumatic pumps at all well sites by
removing the reference to greenfield site
in 40 CFR 60.5393a(b) and the
associated definition of greenfield site at
40 CFR 60.5430a. For the 2016 NSPS
subpart OOOOa, the EPA concluded
that circumstances that could otherwise
make control of a pneumatic pump
technically infeasible at an existing
location could be addressed in the
design and construction of a new site.
In the proposal, the EPA explained
petitioners’ concerns that, even at
greenfield sites, certain scenarios
present circumstances where the control
of a pneumatic pump may be
technically infeasible despite the site
being newly designed and constructed.
83 FR 52061. We, therefore, proposed to
expand the technical infeasibility
provision to apply to pneumatic pumps
at all well sites and solicited comments
on scenarios where routing a pump to
a control device or process would be
technically infeasible at greenfield sites.
The EPA received numerous comments
in support of the proposal. After
consideration of the comments and
further review of the standards, this
action finalizes the proposed exemption
from control if it is technically
infeasible to route emissions from a
pneumatic pump to a control device at
all well sites, including greenfield sites.
In addition to the reasons specified in
the proposal, the EPA has reevaluated
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the 2016 NSPS subpart OOOOa
standards for pneumatic pumps, and it
is clear that the EPA did not intend to
require the installation of a control
device for the sole purpose of
controlling emissions from a pneumatic
pump, even at greenfield sites.
Furthermore, in the 2016 NSPS subpart
OOOOa, the assessment of technical
infeasibility for a pneumatic pump is
conducted within the context of an
existing control device, not a control
device that might be installed to also
accommodate the pneumatic pump
emissions. Therefore, the EPA
concludes that when determining
technical feasibility at any site, the
technical feasibility is determined for
the routing of pneumatic pump
emissions to the controls which are
needed for the processes at the site.
Moreover, while it is likely uncommon
that an owner or operator cannot design
a greenfield site with a control device to
reduce pneumatic pump emissions (e.g.,
because the design from conception
would be able to include necessary
scenarios), the EPA cannot account for
every scenario that may occur,
especially given the potential
intermittent nature of pneumatic pump
emissions. Therefore, the EPA agrees
with Petitioners and numerous
commenters that it is appropriate to
allow the owner or operator to
demonstrate that it is technically
infeasible to route pneumatic pump
emissions to a control device or a
process at any well site. The owner or
operator must justify and provide
professional or in-house engineering
certification for any site where the
control of pneumatic pump emissions is
technically infeasible. The expansion of
the technical infeasibility provision is
reflected in 40 CFR 60.5393a(b), where
we are removing paragraphs (b)(1) and
(2).
In addition, we are amending
paragraph (b)(5) to state that boilers and
process heaters are not control devices
for the purposes of the pneumatic pump
standards. Two commenters stated that
boilers and process heaters located at
well sites are not inherently designed
for the control of emissions and raised
concerns that routing pneumatic pump
emissions to these devices may result in
frequent safety trips and burner flame
instability (i.e., high temperature limit
shutdowns, loss of flame signal, etc.).5
The comments further contend that
requiring the technical infeasibility
evaluation for every boiler and process
heater located at a wellsite would result
in unnecessary administrative burden
5 See Docket ID Item Nos. EPA–HQ–OAR–2017–
0483–0781 and EPA–HQ–OAR–2017–0483–0801.
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since each such evaluation would be
raising the same concerns described
above. The EPA agrees with the
commenters and has revised the
standards to state that boilers and
process heaters are not considered
control devices for the purposes of
controlling pneumatic pump emissions.
Additionally, the EPA is finalizing
revisions to the certification
requirements for the determination that
it is technically infeasible to route
emissions from pneumatic pumps to a
control device or process. The 2016
NSPS subpart OOOOa requires
certification of technical infeasibility by
a qualified PE; however, the EPA
proposed allowing this certification by
either a PE or an in-house engineer
because in-house engineers may be
more knowledgeable about site design
and control than a third-party PE. After
considering the comments, some
supporting and some opposing the
proposal, the EPA continues to believe
that certification by an in-house
engineer is appropriate. We are,
therefore, amending the rule to allow
certification of technical infeasibility by
either a PE or an in-house engineer with
expertise on the design and operation of
the pneumatic pump.
C. Storage Vessels
The storage vessel standards apply to
individual storage vessels with the
potential for VOC emissions of 6 tpy or
greater. The 2016 NSPS subpart OOOOa
requires a calculation of the potential
for VOC emissions from individual
storage vessels. In the proposal, the EPA
sought to address instances where
storage vessels are designed and
operated as a manifolded battery and to
address questions regarding where
averaging emissions may be appropriate
for the calculation of potential for VOC
emissions. This final rule addresses the
challenges of calculating the potential
for VOC emissions from individual
storage vessels that are part of a
controlled battery by specifying separate
calculation requirements for these
storage vessels. Specifically, the final
rule allows owners and operators to
average the emissions across the number
of storage vessels in a controlled battery
provided that specific design and
operational criteria are met. These
specific design and operational criteria
include requirements to manifold the
vessels such that all vapors are shared
between the headspace of the storage
vessels and route the collected vapors
through a CVS to a process or a control
device with a destruction efficiency of
at least 95.0 percent for VOC emissions,
and must be included in legally and
practicably enforceable limits in a
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permit or other requirement established
under a Federal, state, local, or tribal
authority. Under the final rule, if these
criteria are met, the owner or operator
may calculate the average emissions
from the individual storage vessels in
that battery to determine if the average
emissions are greater than 6 tpy. If the
average emissions are greater than 6 tpy,
then each of the individual storage
vessels in that battery is a storage vessel
affected facility. However, if the average
emissions are less than 6 tpy, then none
of the storage vessels in that battery are
a storage vessel affected facility.
In addition, the final rule finalizes the
proposed methods for calculating the
potential for VOC emissions for storage
vessels that do not meet the design and
operational criteria specified above.
Those storage vessels include individual
storage vessels, as well as manifolded
storage vessels that do not meet the
criteria specified (e.g., less than 95percent control). These storage vessels
must determine applicability by
calculating their potential for VOC
emissions in accordance with the
methods specified in this final rule. The
calculation of the potential for VOC
emissions may take into account legally
and practically enforceable limits on
storage vessels but must be determined
on an individual storage vessel basis
without averaging emissions across the
number of storage vessels at the site,
even if the storage vessels are
manifolded together. If the potential for
VOC emissions from the individual
storage vessel is greater than 6 tpy, then
that storage vessel is a storage vessel
affected facility. If the potential for VOC
emissions from the individual storage
vessel is less than 6 tpy, then that
storage vessel is not a storage vessel
affected facility.
The EPA is also amending the
applicability criteria to clarify how
owners and operators must determine
the potential for VOC emissions for
storage vessels located at onshore
natural gas processing plants and
compressor stations. The 2016 NSPS
subpart OOOOa specifies that the
calculation is based on the first 30 days
of production to an individual storage
vessel. We received comments on the
proposal that this production period is
not an accurate reflection of the
potential for VOC emissions from
storage vessels not located at a well site.
Specifically, onshore natural gas
processing plants and compressor
stations are designed to process or
transport a specific capacity of gas from
multiple sites upstream of these
facilities. The design capacity is based
on planned growth with additional sites
coming online over time, which means
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the storage vessels at gas processing
plants and compressor stations do not
receive the maximum throughput for
which they are designed during the first
30 days of their operation. For these
storage vessels, the commenters
indicated they have been utilizing
forecasting to predict future throughput
and emissions when applying for an
operating permit. The EPA agrees that
the language in the 2016 NSPS subpart
OOOOa does not appropriately capture
the information needed to make an
informed applicability determination for
these storage vessels. Therefore, we are
revising the final rule to clarify that, for
storage vessels located at onshore
natural gas processing plants and
compressor stations, the potential for
VOC emissions may be determined
based on the emission limit or
throughput limit (as an input for
calculating the potential for VOC
emissions), established in a legally and
practicably enforceable limit, or based
on the projected maximum average
daily throughput determined using
generally accepted engineering models,
such as process simulations based on
representative or actual liquid analysis
to determine volumetric condensate
rates from the storage vessels based on
the maximum gas throughput capacity
of each facility.
D. CVS
The 2016 NSPS subpart OOOOa
requires that CVS be operated with no
detectable emissions, as demonstrated
through specific monitoring
requirements associated with the
specific affected facilities (i.e., storage
vessels, pneumatic pumps, centrifugal
compressors, and reciprocating
compressors). In the October 15, 2018,
proposal, the EPA proposed amending
the requirements for CVS associated
with pneumatic pumps to require
monthly AVO monitoring instead of the
required annual Method 21 monitoring,
thereby aligning the demonstration
requirements for pneumatic pumps with
those for storage vessels. 83 FR 52083.
The EPA received comments
recommending (1) retaining annual
Method 21 as an option and (2)
including OGI monitoring as an
additional option because OGI is
already being used to monitor fugitive
emissions components at the well site
and the CVS can readily be monitored
at the same time. Based on these public
comments, the EPA is amending the
requirements for these no detectable
emissions demonstrations for CVS for
pneumatic pumps, with some changes
from the proposal. Specifically, we are
incorporating the option to demonstrate
the pneumatic pump CVS is operated
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with no detectable emissions by an
annual inspection using Method 21,
monthly AVO monitoring, or OGI
monitoring at the frequencies specified
in section IV.E of this preamble.
The 2016 NSPS subpart OOOOa
requires monthly AVO inspections on
CVS for storage vessels to demonstrate
operation with no detectable emissions.
Similar to CVS for pneumatic pumps,
the EPA is adding OGI monitoring at the
frequencies specified in section IV.E of
this preamble as another option for
demonstrating no detectable emissions
from CVS for storage vessels.
While the final rule provides these
options for demonstrating the operation
of the CVS with no detectable
emissions, it is important to note that
any detection with AVO or any visual
image when using OGI is considered an
indication of detected emissions. It is
not the EPA’s intent to allow owners
and operators to conduct an inspection
using OGI that results in the visual
image of emissions, and then follow that
inspection with AVO to conclude no
emissions are present. If any of the
options specified result in detected
emissions, the standard of ‘‘no
detectable emissions’’ is not met.
Additionally, the EPA is finalizing
revisions to the certification
requirements for CVS design.
Specifically, we are amending the rule
to allow either a PE or an in-house
engineer with expertise on the design
and operation of the CVS to certify the
design and operation will meet the
requirement to route all vapors to the
control device or back to the process.
E. Fugitive Emissions at Well Sites and
Compressor Stations
1. Monitoring Frequency
The 2016 NSPS subpart OOOOa
requires semiannual monitoring and
quarterly monitoring for fugitive
emissions at well sites and compressor
stations, respectively. The EPA
proposed amending these monitoring
frequencies as follows: (1) Annual
monitoring for well sites with total
combined production greater than 15
boe per day, (2) biennial monitoring for
well sites with total combined
production at or below 15 boe per day,
and (3) co-proposed semiannual and
annual monitoring for compressor
stations. Additionally, the EPA
proposed to allow owners and operators
to stop monitoring at well sites when all
of the major production and processing
equipment is removed, such that the
well site becomes a wellhead-only well
site. After considering the comments
and additional data, we are not
finalizing the proposed changes to the
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monitoring frequencies for fugitive
emissions components at well sites and
compressor stations, with two
exceptions explained below. The
required fugitive monitoring frequencies
for the collection of fugitive emissions
components located at a well site or
compressor station are as follows:
• Semiannual monitoring for well
sites, excluding well sites with total
production for the site at or below 15
boe per day (herein referred to as ‘‘low
production well sites’’) and well sites on
the Alaska North Slope;
• Semiannual monitoring for
compressor stations, excluding those on
the Alaska North Slope;
• Annual monitoring for well sites
(excluding low production well sites)
and compressor stations located on the
Alaska North Slope; and
• Monitoring may be stopped once all
major production and processing
equipment is removed from a well site
such that it contains only one or more
wellheads.
• Low production well sites are
excluded from fugitive monitoring
requirements as long as the total
production of the well site remains at or
below 15 boe per day, as determined on
a rolling 12-month basis and
demonstrated by the records specified
in the final rule. To determine if a well
site is a low production well site, the
EPA is finalizing the following
calculation periods:
Æ For a well site that newly triggers
the fugitive emissions requirements of
the NSPS after the effective date of the
rule, or a well site that triggered the
2016 NSPS subpart OOOOa
requirements within 11 months prior to
the effective date of the rule but does
not have 12-months’ worth of
production data, the total well site
production calculation is based on the
first 30 days of production;
Æ For a well site subject to the
fugitive emissions requirements that
subsequently has production decline,
the total well site production
calculation is based on a rolling 12month average;
Æ For a well site that has previously
been determined to be low production
but later takes an action (e.g., drills a
new well, performs a well workover,
etc.) that may increase production, the
total well site production calculation is
based on the first 30 days of production
following completion of the action. This
re-determination must be completed at
any time an action occurs, regardless of
the original startup of production date.
2. Modification
The October 15, 2018, proposal did
not propose amendments to the events
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that constitute modifications of the
collection of fugitive emissions
components located at a well site or a
compressor station but did take
comment on whether additional
clarification is necessary. The EPA’s
consideration of the comments received
did not result in changes to
modifications for well sites and
compressor stations, therefore, this final
rule retains the events currently
identified in the 2016 NSPS subpart
OOOOa that qualify as modifications of
the collection of fugitive emissions
components located at a well site or a
compressor station.
The 2016 NSPS subpart OOOOa
specifies that, for the purposes of
fugitive emissions components at a well
site, a modification occurs when (1) a
new well is drilled at an existing well
site, (2) a well is hydraulically fractured
at an existing well site, or (3) a well is
hydraulically refractured at an existing
well site. 40 CFR 60.5365a(i). Because
this provision does not specifically
address modifications of a well site that
is a separate tank battery surface site,
the EPA proposed language to address
modifications of separate tank battery
surface sites. Specifically, the EPA
proposed that a modification of a well
site that is a separate tank battery
surface site occurs when (1) any of the
actions listed above for well sites occurs
at an existing separate tank battery
surface site, (2) a well modified as
described above sends production to an
existing separate tank battery surface
site, or (3) a well site subject to the
fugitive emissions requirements
removes all major production and
processing equipment such that it
becomes a wellhead-only well site and
sends production to an existing separate
tank battery surface site. After
considering the comments received
related to the proposed modification
language relevant for separate tank
battery surface sites, the EPA is
finalizing this provision as proposed.
3. Initial Monitoring for Well Sites and
Compressor Stations
The 2016 NSPS subpart OOOOa
requires fugitive emissions monitoring
to begin within 60 days of startup of
production (for well sites) or startup of
a compressor station. The October 15,
2018, proposal did not propose any
change to this requirement but solicited
comment identifying specific reasons
why a change might be appropriate. 83
FR 52075. We received comments
stating that well sites and compressor
stations do not achieve normal
operating conditions within the first 60
days of startup. Commenters suggested
a range of options from 90 days to 180
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days. Based on these comments, the
EPA agrees that maintaining the
requirement to conduct initial
monitoring within 60 days of startup
would not provide as effective of a
survey as providing additional time to
allow the well site or compressor station
to reach normal operating conditions.
The purpose of the initial monitoring is
to identify any issues associated with
installation and startup of the well site
or compressor station. By providing
sufficient time to allow owners and
operators to conduct the initial
monitoring survey during normal
operating conditions, the EPA expects
that there will be more opportunity to
identify and repair sources of fugitive
emissions, whereas, a partially
operating site may result in missed
emissions that remain unrepaired for a
longer period of time. The additional 30
days provided in this final rule will still
allow for identification and mitigation
of fugitive emissions in a timely
manner. Therefore, the final rule
requires that initial monitoring be
completed within 90 days after the
startup of production for well sites and
90 days after the startup of a compressor
station. Additionally, for low
production well sites that take an action
which subsequently increases
production above 15 boe per day based
on the first 30 days of production
following the action, the final rule
requires that initial monitoring be
completed within 90 days after the
startup of production following the
action.
4. Repair Requirements
This final rule amends the fugitive
emissions repair requirements. The
2016 NSPS subpart OOOOa requires
repair within 30 days of identifying
fugitive emissions and a resurvey to
verify that the repair was successful
within 30 days of the repair. In the
proposal, the EPA proposed to require a
first attempt at repair within 30 days of
identifying fugitive emissions and final
repair, including the resurvey to verify
repair, within 60 days of identifying
fugitive emissions. We proposed these
revisions because stakeholders raised
questions on whether emissions
identified during the resurvey would
result in noncompliance with the repair
requirement. The EPA agreed that
repairs should be verified as successful
prior to the repair deadline, therefore,
we proposed a definition of repair that
includes the resurvey. The net result of
the proposal was that sources would
have up to 60 days to complete repairs,
which was an increase from the 2016
NSPS subpart OOOOa requirement of 30
days. We received comments from
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owners and operators that a total of 60
days was not necessary to complete a
successful repair, therefore, this final
rule amends the fugitive emissions
repair requirements with changes from
the proposal. Specifically, we are
finalizing the proposal that a first
attempt at repair is required within 30
days of identifying fugitive emissions
and requiring final repair within 30
days of the first attempt at repair. While
this final rule would still allow up to a
total of 60 days to complete repairs,
several owners and operators indicated
in their comments that the majority of
repairs are completed onsite during the
time of the monitoring survey. We are
also finalizing as proposed definitions
for the terms ‘‘first attempt at repair’’
and ‘‘repaired.’’ Specifically, the
definition of ‘‘repaired’’ includes the
verification of successful repair through
a resurvey of the fugitive emissions
component.
The EPA is also amending the
requirements for when delayed repairs
must be completed. The 2016 NSPS
subpart OOOOa, as amended on March
12, 2018,6 specifies that where the
repair of a fugitive emissions
component is ‘‘technically infeasible,
would require a vent blowdown, a
compressor station shutdown, a well
shutdown or well shut-in, or would be
unsafe to repair during operation of the
unit, the repair must be completed
during the next scheduled compressor
station shutdown, well shutdown, well
shut-in, after a planned vent blowdown,
or within 2 years, whichever is
earlier.’’ 7 The EPA did not propose any
additional revisions to this provision,
but solicited comment on whether
additional changes were necessary. 83
FR 52076. We received comments
expressing concerns with requiring
repairs during the next scheduled
compressor station shutdown, without
regard to whether the shutdown is for
maintenance purposes. The commenters
stated that repairs must be scheduled
and that where a planned shutdown is
for reasons other than scheduled
maintenance, completion of the repairs
during that shutdown may be difficult
and disrupt gas transmission. The EPA
agrees that requiring the completion of
delayed repairs only during those
scheduled compressor station
shutdowns where maintenance
activities are scheduled is reasonable
and anticipates that these maintenance
shutdowns occur on a regular schedule.
Therefore, the final rule requires
completion of delayed repairs during
the ‘‘next scheduled compressor station
6 83
7 40
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shutdown for maintenance, scheduled
well shutdown, scheduled well shut-in,
after a scheduled vent blowdown, or
within 2 years, whichever is earliest.’’
5. Definitions Related to Fugitive
Emissions at Well Sites and Compressor
Stations
The EPA is finalizing, as proposed,
amendments to the definition of well
site, for purposes of fugitive emissions
monitoring, to exclude equipment
owned by third parties and oilfield
wastewater disposal wells (referred to as
saltwater disposal wells in the
proposal). Additionally, based on
information received in public
comments, the EPA is also amending
the definition to exclude oilfield
disposal wells used for solid waste
disposal. The amended definition for
‘‘well site’’ excludes third party
equipment from the fugitive emissions
requirements by excluding ‘‘the flange
immediately upstream of the custody
meter assembly and equipment,
including fugitive emissions
components located downstream of this
flange.’’ To clarify this exclusion, the
final rule defines ‘‘custody meter’’ as the
meter where natural gas or hydrocarbon
liquids are measured for sales, transfers,
and/or royalty determination, and the
‘‘custody meter assembly’’ as an
assembly of fugitive emissions
components, including the custody
meter, valves, flanges, and connectors
necessary for the proper operation of the
custody meter, as proposed. The
exclusion does not extend to other
third-party equipment at a well site that
is not associated with the custody meter
and custody meter assembly (e.g.,
dehydrators).
This final rule further amends the
definition of a well site to exclude UIC
Class I oilfield disposal wells and UIC
Class II oilfield wastewater disposal
wells. The EPA proposed excluding UIC
Class II oilfield wastewater disposal
wells because of our understanding that
they have negligible fugitive emissions.
83 FR 52077. Commenters suggested
that we also should exclude UIC Class
I oilfield disposal wells for the same
reasons. Both types of disposal wells are
permitted through UIC programs under
the Safe Drinking Water Act for surface
and groundwater protection. The EPA
agrees with the commenters that the
potential fugitive methane and VOC
emissions from UIC Class I oilfield
disposal wells are low. Therefore, the
final rule includes a definition for UIC
Class I oilfield disposal wells. The
definition for a UIC Class I oilfield
disposal well is a well with a UIC Class
I permit that meets the definition in 40
CFR 144.6(a)(2) and receives eligible
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fluids from oil and natural gas
exploration and production operations.
Additionally, the EPA is finalizing, as
proposed, the definition of UIC Class II
oilfield wastewater disposal wells. The
definition for a UIC Class II oilfield
wastewater disposal well is a well with
a UIC Class II permit where wastewater
resulting from oil and natural gas
production operations is injected into
underground porous rock formations
not productive of oil or gas, and sealed
above and below by unbroken,
impermeable strata. Consequently, UIC
Class I and UIC Class II disposal
facilities without wells that produce oil
or natural gas are not considered well
sites for the purposes of fugitive
emissions requirements.
The EPA is also finalizing, as
proposed, the definition of startup of
production as it relates to fugitive
emissions requirements. Specifically,
startup of production is defined as the
beginning of initial flow following the
end of flowback when there is
continuous recovery of salable quality
gas and separation and recovery of any
crude oil, condensate or produced
water, except as otherwise provided
herein. For the purposes of the fugitive
monitoring requirements of § 60.5397a,
startup of production means the
beginning of the continuous recovery of
salable quality gas and separation and
recovery of any crude oil, condensate or
produced water.
F. AMEL
1. Incorporation of Emerging
Technologies
The EPA is amending the application
requirements for requesting the use of
an AMEL for well completions,
reciprocating compressors, and the
collection of fugitive emissions
components located at a well site or
compressor station. Applications for an
AMEL may be submitted by, among
others, owners or operators of affected
facilities, manufacturers or vendors of
leak detection technologies, or trade
associations. The application must
provide sufficient information to
demonstrate that the AMEL achieves
emission reductions at least equivalent
to the work practice standards in this
rule. At a minimum, the application
should include field data that
encompass seasonal variations, and may
be supplemented with modeling
analyses, test data, and/or other
documentation. The specific work
practice(s), including performance
methods, quality assurance, the
threshold that triggers action, and the
mitigation thresholds are also required
as part of the application. For example,
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for a technology designed to detect
fugitive emissions, information such as
the detection criteria that indicate
fugitive emissions requiring repair, the
time to complete repairs, and any
methods used to verify successful repair
would be required.
2. Incorporation of State Fugitive
Emissions Programs
This final rule includes alternative
fugitive emissions standards for specific
state fugitive emissions programs that
the EPA has concluded are at least
equivalent to the fugitive emissions
monitoring and repair requirements at
40 CFR 60.5397a(e), (f), (g), and (h).
These alternative fugitive emissions
standards may be adopted for certain
individual well sites or compressor
stations that are subject to fugitive
emissions monitoring and repair so long
as the source complies with specified
Federal requirements applicable to each
approved alternative state program. For
example, a well site that is subject to the
requirements of Pennsylvania General
Permit 5A, section G, effective August 8,
2018, could comply with those
standards in lieu of the monitoring,
repair, recordkeeping, and reporting
requirements in the NSPS. However, the
company must develop and maintain a
fugitive emissions monitoring plan, as
required in 40 CFR 60.5397a(c) and (d),
and must monitor all of the fugitive
emissions components, as defined in 40
CFR 60.5430a, regardless of the
components that must be monitored
under the alternative standard.
Additionally, the facility must submit,
as an attachment to its annual report for
NSPS subpart OOOOa, the report that is
submitted to its state in the format
submitted to the state, or the
information required in the report for
NSPS subpart OOOOa if the state report
does not include site-level monitoring
and repair information. If a well site is
located in the state but is not subject to
the state requirements for monitoring
and repair (i.e., not obligated to monitor
or repair fugitive emissions), then the
well site must continue to comply with
the requirements of 40 CFR 60.5397a in
its entirety.
In addition to providing alternative
fugitive emissions standards for well
sites and compressor stations located in
California, Colorado, Ohio,
Pennsylvania, and Texas, and well sites
in Utah, these amendments provide
application requirements to request
alternative fugitive emissions standards
as state, local, and tribal programs
continue to develop. Applications for
alternative fugitive emissions standards
based on state, local, or tribal programs
may be submitted by any interested
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person, including individuals,
corporations, partnerships, associations,
states, or municipalities. Similar to the
applications for AMEL for emerging
technologies, the application must
include sufficient information to
demonstrate that the alternative fugitive
emissions standards achieve emissions
reductions at least equivalent to the
fugitive emissions monitoring and
repair requirements in this rule. At a
minimum, the application must include
the monitoring instrument, monitoring
procedures, monitoring frequency,
definition of fugitive emissions
requiring repair, repair requirements,
recordkeeping, and reporting
requirements. If any of the sections of
the regulations or permits approved as
alternative fugitive emissions standards
are changed at a later date, the state
must follow the procedures outlined in
40 CFR 60.5399a to apply for a new
evaluation of equivalency.
between the original date of
construction of the process unit and the
date of the project which adds
equipment to the process unit.
G. Onshore Natural Gas Processing
Plants
3. Initial Compliance Period
The EPA is amending NSPS subpart
OOOOa to specify that the initial
compliance deadline for the equipment
leak standards for onshore natural gas
processing plants is 180 days.
Specifically, the EPA is including in
NSPS subpart OOOOa the provision
requiring compliance ‘‘as soon as
practicable, but no later than 180 days
after initial startup’’ that is already in 40
CFR 60.632(a), which is part of subpart
KKK of the part, ‘‘Standards of
Performance for Equipment Leaks of
VOC from Onshore Natural Gas
Processing Plants for which
Construction, Reconstruction, or
Modification Commenced After January
20, 1984, and on or before August 23,
2011’’ (NSPS subpart KKK). In 2012, the
EPA revised the standards in NSPS
subpart KKK with the promulgation of
NSPS subpart OOOO 8 by lowering the
leak definition for valves from 10,000
parts per million (ppm) to 500 ppm and
requiring the monitoring of connectors.
77 FR 49490, 49498. While no changes
to the compliance deadlines were made
or discussed in NSPS subpart OOOO, 40
CFR 60.632(a) was not included in
NSPS subpart OOOO and, as a result,
was also not included in NSPS subpart
OOOOa. During the rulemaking for
NSPS subpart OOOOa, the EPA
declined a request to include the
language in 40 CFR 60.632(a) in NSPS
subpart OOOOa, explaining that such
inclusion was not necessary because
NSPS subpart OOOOa already
1. Capital Expenditure
The EPA is amending the definition of
‘‘capital expenditure’’ at 40 CFR
50.5430a by replacing the equation used
to determine the percent of replacement
cost, ‘‘Y.’’ The 2016 NSPS subpart
OOOOa contains a definition for ‘‘Y’’
that would result in an error, thus,
making it difficult to determine whether
a capital expenditure had occurred. The
EPA proposed to revise the base year in
the equation for ‘‘Y’’ with the year 2015
and to define ‘‘Y’’ as equal to 1 for
facilities constructed in the year 2015.
Additionally, we solicited comment on
an alternative approach that would
utilize CPI. While the EPA proposed
these specific amendments to the
equation used to determine the value of
‘‘Y,’’ we received public comments that
supported the alternative approach
which would more appropriately reflect
inflation than the original equation. The
EPA solicited comment on this
alternative and is finalizing the
alternative because we agree it is
appropriate. The final equation for ‘‘Y’’
is based on the CPI, where ‘‘Y’’ equals
the CPI of the date of construction
divided by the most recently available
CPI of the date of the project, or ‘‘CPIN/
CPIPD.’’ Further, the final rule specifies
that the ‘‘annual average of the
consumer price index for all urban
consumers (CPI–U), U.S. city average,
all items’’ must be used for determining
the CPI of the year of construction, and
the ‘‘CPI–U, U.S. city average, all items’’
must be used for determining the CPI of
the date of the project. This amendment
clarifies that the comparison of costs is
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2. Equipment in VOC Service Less Than
300 Hours per Year (hr/yr)
The October 15, 2018, proposal
included an exemption from the
requirements for equipment leaks at
onshore natural gas processing plants.
Specifically, the EPA proposed an
exemption from monitoring for
equipment that an owner or operator
designates as being in VOC service less
than 300 hr/yr. 83 FR 52086. The EPA
received comments supporting this
proposed exemption; therefore, we are
amending the final rule as proposed.
This exemption applies to equipment at
onshore natural gas processing plants
that is used only during emergencies,
used as a backup, or that is in service
only during startup and shutdown.
8 ‘‘Standards of Performance for Crude Oil and
Natural Gas Production, Transmission and
Distribution for Which Construction, Modification
or Reconstruction Commenced After August 23,
2011, and on or before September 18, 2015.’’
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incorporates by reference a similar
statement (i.e., 40 CFR 60.482–1a(a))
which requires each owner and operator
to ‘‘demonstrate compliance . . . within
180 days of initial startup,’’ 80 FR
56593, 56647–8. In reassessing the
issue, the EPA notes that NSPS subpart
KKK includes both 40 CFR 60.632(a)
and 40 CFR 60.482–1(a), a provision
that is the same as 40 CFR 60.482–1a(a),
suggesting that at the time of
promulgation of NSPS subpart KKK, the
EPA did not think that 40 CFR 60.482–
1(a) (and 40 CFR 60.482–1a(a)) make 40
CFR 60.632(a) redundant or
unnecessary. To remain consistent with
NSPS subpart KKK, the EPA is
amending NSPS subpart OOOOa to
include a provision similar to 40 CFR
60.632(a).
The final rule requires monitoring to
begin as soon as practicable, but no later
than 180 days after the initial startup of
a new, modified, or reconstructed
process unit at an onshore natural gas
processing plant. Once started,
monitoring must continue with the
required schedule. For example, if
pumps are monitored by month 3 of the
initial startup period, then monthly
monitoring is required from that point
forward. This initial compliance period
is different than the compliance
requirements for newly added pumps
and valves within a process unit that is
already subject to a leak detection and
repair (LDAR) program. Initial
monitoring for those newly added
pumps and valves is required within 30
days of the startup of the pump or valve
(i.e., when the equipment is first in VOC
service).
H. Sweetening Units
This final rule revises the
applicability criteria for the SO2
standards for sweetening units to
correctly define an affected facility as
any onshore sweetening unit that
processes natural gas produced from
either onshore or offshore wells.
Sweetening units are used to convert
hydrogen sulfide (H2S) in acid gases
(i.e., H2S and CO2) that are separated
from natural gas by a sweetening
process (e.g., amine treatment) into
elemental sulfur in the Claus process.9
These units can exist anywhere in the
production and processing segment of
the source category, including as standalone processing facilities that do not
extract or fractionate natural gas liquids
from field gas. The SO2 standards for
onshore sweetening units were first
promulgated in 1985 and codified in 40
CFR part 60, subpart LLL. In 2012,
9 See Docket ID Item No. EPA–HQ–OAR–2010–
0505–0045.
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based on our review of the standards,
the EPA tightened the SO2 standards,
which were codified in NSPS subpart
OOOO and later carried over to NSPS
subpart OOOOa. In the process of
finalizing this current rulemaking to
amend NSPS subpart OOOOa, the EPA
discovered that NSPS subpart OOOOa
inexplicably limits the applicability of
the SO2 standards to only those
sweetening units that are located at
onshore natural gas processing plants,
which NSPS subpart OOOOa defines as
‘‘any processing site engaged in the
extraction of natural gas liquids from
field gas, fractionation of mixed natural
gas liquids to natural gas products, or
both. . . .’’ 40 CFR 60.5430a. NSPS
subpart LLL did not contain this
limitation, and the EPA did not offer
any rationale for creating it during the
promulgation of either NSPS subpart
OOOO or NSPS subpart OOOOa, nor
can we identify any reason why the
extraction of natural gas liquids relates
in any way to the SO2 standards such
that the standards should only apply to
sweetening units located at onshore
natural gas processing plants engaged in
extraction or fractionation activities.
Sweetening units emit SO2 in the same
manner, regardless of whether they are
located at an onshore natural gas
processing plant or at processing
facilities without extraction or
fractionation activities. Therefore, the
EPA concludes that the limitation was
made in error and is now correcting the
error by revising the affected facility
description for the SO2 standards to
include all onshore sweetening units
that process natural gas produced from
either onshore or offshore wells.
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I. Recordkeeping and Reporting
The EPA is amending NSPS subpart
OOOOa to streamline the recordkeeping
and reporting requirements as discussed
below for the specified affected
facilities. These amendments reflect
consideration of the public comments
received on the proposal.
1. Well Completions
For each well site affected facility that
routes flowback entirely through one or
more production separators, owners and
operators are only required to record
and report the following elements:
• Well Completion ID;
• Latitude and longitude of the well
in decimal degrees to an accuracy and
precision of five (5) decimals of a degree
using North American Datum of 1983;
• U.S. Well ID;
• The date and time of the onset of
flowback following hydraulic fracturing
or refracturing or identification that the
well immediately starts production; and
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• The date and time of the startup of
production.
For periods where salable gas is
unable to be separated, owners and
operators will also be required to record
and report the date and time of onset of
flowback, the duration and disposition
of recovery, the duration of combustion
and venting (if applicable), reasons for
venting (if applicable), and deviations.
2. Fugitive Emissions at Well Sites and
Compressor Stations
For each collection of fugitive
emissions components located at a well
site or compressor station, the EPA is
amending the recordkeeping and
reporting requirements as follows:
• Revise the requirements in 40 CFR
60.5397a(d)(1) to require inclusion of
procedures that ensure all fugitive
emissions components are monitored
during each survey within the
monitoring plan.
• Remove the requirement to
maintain records of a digital photo of
each monitoring survey performed,
captured from the OGI instrument used
for monitoring.
• Remove the requirement to
maintain records of the number and
type of fugitive emissions components
or digital photo of fugitive emissions
components that are not repaired during
the monitoring survey. These records
are not required once repair is
completed and verified with a resurvey.
• Require records of the total well site
production for low production well
sites.
• Require records of the date of first
attempt at repair and date of successful
repair.
• Revise reporting to specify the type
of site (i.e., well site, low production
well site, or compressor station) and
when the well site changes status to a
wellhead-only well site.
• Remove requirement to report the
name or ID of operator performing the
monitoring survey.
• Remove requirement to report the
number and type of difficult-to-monitor
and unsafe-to-monitor components that
are monitored during each monitoring
survey.
• Remove requirement to report the
ambient temperature, sky conditions,
and maximum wind speed.
• Remove requirement to report the
date of successful repair.
• Remove requirement to report the
type of instrument used for resurvey.
In addition to streamlining the
recordkeeping and reporting
requirements, the EPA is also finalizing
the form that is used for submitting
annual reports through the Compliance
and Emissions Data Reporting Interface
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57409
(CEDRI) with this final rule. Per the
requirement in 40 CFR 60.5420a(b)(11),
affected facilities must submit all
subsequent reports via CEDRI, once the
form has been available in CEDRI for at
least 90 calendar days. The EPA
anticipates that the deadline to begin
submitting subsequent annual reports
required by 40 CFR 60.5420a(b) through
CEDRI will be [INSERT DATE 90 DAYS
AFTER DATE OF PUBLICATION IN
THE FEDERAL REGISTER]. However,
owners and operators should verify the
date that the form becomes available in
CEDRI by checking the ‘‘Initial
Availability Date’’ listed on the CEDRI
website (https://www.epa.gov/
electronic-reporting-air-emissions/
cedri).
J. Technical Corrections and
Clarifications
The EPA is revising NSPS subpart
OOOOa to include the following
technical corrections and clarifications.
• Revise 40 CFR 60.5385a(a)(1),
60.5410a(c)(1), 60.5415a(c)(1), and
60.5420a(b)(4)(i) and (c)(3)(i) to clarify
that hours or months of operation at
reciprocating compressor facilities must
be measured beginning with the date of
initial startup, the effective date of the
requirement (August 2, 2016), or the last
rod packing replacement, whichever is
latest.
• Revise 40 CFR 60.5393a(b)(3)(ii) to
correctly cross-reference paragraph
(b)(3)(i) of that section.
• Revise 40 CFR 60.5397a(c)(8) to
clarify the calibration requirements
when Method 21 of appendix A–7 to
part 60 is used for fugitive emissions
monitoring.
• Revise 40 CFR 60.5397a(d)(3) to
correctly cross-reference paragraphs
(g)(3) and (4) of that section.
• Revise 40 CFR 60.5401a(e) to
remove the word ‘‘routine’’ to clarify
that pumps in light liquid service,
valves in gas/vapor service and light
liquid service, and pressure relief
devices in gas/vapor service within a
process unit at an onshore natural gas
processing plant located on the Alaska
North Slope are not subject to any
monitoring requirements.
• Revise 40 CFR 60.5410a(e) to
correctly reference pneumatic pump
affected facilities located at a well site
as opposed to pneumatic pump affected
facilities not located at a natural gas
processing plant (which would include
those not at a well site). This correction
reflects that the 2016 NSPS subpart
OOOOa did not finalize requirements
for pneumatic pumps at gathering and
boosting compressor stations. 81 FR
35850.
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• Revise 40 CFR 60.5411a(a)(1) to
remove the reference to § 60.5412a(a)
and (c) for reciprocating compressor
affected facilities.
• Revise 40 CFR 60.5411a(d)(1) to
remove the reference to storage vessels,
as this paragraph applies to all the
sources listed in 40 CFR 60.5411a(d),
not only storage vessels.
• Revise 40 CFR 60.5412a(a)(1) and
(d)(1)(iv) to clarify that all boilers and
process heaters used as control devices
on centrifugal compressors and storage
vessels must introduce the vent stream
into the flame zone. Additionally, revise
40 CFR 60.5412a(a)(1)(iv) and
(d)(1)(iv)(D) to clarify that the vent
stream must be introduced with the
primary fuel or as the primary fuel to
meet the performance requirement
option. This is consistent with the
performance testing exemption in 40
CFR 60.5413a and continuous
monitoring exemption in 40 CFR
60.5417a for boilers and process heaters
that introduce the vent stream with the
primary fuel or as the primary fuel.
• Revise 40 CFR 60.5412a(c) to
correctly reference both paragraphs
(c)(1) and (2) of that section, for
managing carbon in a carbon adsorption
system.
• Revise 40 CFR 60.5413a(d)(5)(i) to
reference fused silica-coated stainless
steel evacuated canisters instead of a
specific name brand product.
• Revise 40 CFR 60.5413a(d)(9)(iii) to
clarify the basis for the total
hydrocarbon span for the alternative
range is propane, just as the basis for the
recommended total hydrocarbon span is
propane.
• Revise 40 CFR 60.5413a(d)(12) to
clarify that all data elements must be
submitted for each test run.
• Revise 40 CFR 60.5415a(b)(3) to
reference all applicable reporting and
recordkeeping requirements.
• Revise 40 CFR 60.5416a(a)(4) to
correctly cross-reference 40 CFR
60.5411a(a)(3)(ii).
• Revise 40 CFR 60.5417a(a) to clarify
requirements for controls not
specifically listed in paragraph (d) of
that section.
• Revise 40 CFR 60.5422a(b) to
correctly cross-reference 40 CFR
60.487a(b)(1) through (3) and (b)(5).
• Revise 40 CFR 60.5422a(c) to
correctly cross-reference 40 CFR
60.487a(c)(2)(i) through (iv) and
(c)(2)(vii) through (viii).
• Revise 40 CFR 60.5423a(b) to
simplify the reporting language and
clarify what data are required in the
report of excess emissions for
sweetening unit affected facilities.
• Revise 40 CFR 60.5430a to remove
the phrase ‘‘including but not limited
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to’’ from the ‘‘fugitive emissions
component’’ definition. During the 2016
NSPS subpart OOOOa rulemaking, we
stated in a response to comment that we
are removing this phrase,10 but we did
not do so in that rulemaking and are
finalizing that change in this final rule.
• Revise 40 CFR 60.5430a to remove
the phrase ‘‘at the sales meter’’ from the
‘‘low pressure well’’ definition to clarify
that when determining the low pressure
status of a well, pressure is measured
within the flow line, rather than at the
sales meter.
• Revise Table 3 to correctly indicate
that the performance tests in 40 CFR
60.8 do not apply to pneumatic pump
affected facilities.
• Revise Table 3 to include the
collection of fugitive emissions
components at a well site and the
collection of fugitive emissions
components at a compressor station in
the list of exclusions for notification of
reconstruction.
• Revise 40 CFR 60.5393a(f),
60.5410a(e)(8), 60.5411a(e), 60.5415a(b)
introductory text and (b)(4),
60.5416a(d), 60.5420a(b) introductory
text and (b)(13), and introductory text in
§§ 60.5411a and 60.5416a, to remove
language associated with the
administrative stay we issued under
section (d)(7)(B) of the CAA in ‘‘Oil and
Natural Gas Sector: Emission Standards
for New, Reconstructed, and Modified
Sources; Grant of Reconsideration and
Partial Stay’’ (June 5, 2017). The
administrative stay was vacated by the
U.S. Court of Appeals for the District Of
Columbia Circuit on July 3, 2017.
V. Significant Changes Since Proposal
This section identifies significant
changes since the proposed rulemaking.
These changes reflect the EPA’s
consideration of over 500,000 comments
submitted on the proposal and other
information received since the proposal.
In this section, we discuss the
significant changes since proposal by
affected facility type and the rationales
for those changes. Additional
information related to these changes,
such as specific comments and our
responses, is in section VI of this
preamble and in materials available in
the docket.11
A. Storage Vessels
In the October 15, 2018, proposal, the
EPA proposed clarifications on how to
calculate the potential for VOC
emissions for purposes of determining
10 See Docket ID Item No. EPA–HQ–OAR–2010–
0505–7632, Chapter 4, page 4–319.
11 See Response to Comments (RTC) document
and technical support documents (TSD) in Docket
ID No. EPA–HQ–OAR–2017–0483.
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whether a storage vessel has the
potential for 6 tpy or more of VOC
emissions and, therefore, is an affected
facility subject to the storage vessels
standards under the 2016 NSPS subpart
OOOOa. Specifically, the EPA proposed
amendments to the definition of
‘‘maximum average daily throughput’’
that provided distinct methodologies for
calculating the throughput of an
individual storage vessel based on how
throughput is measured and recorded.
We proposed the amendments because
owners and operators continued to
express confusion over how to calculate
this throughput.
Numerous commenters 12 expressed
objections to several aspects of the
proposed amendments, particularly to
the EPA’s assumption that averaging
emissions across storage vessels in a
controlled battery would underestimate
a storage vessel’s potential VOC
emissions. The commenters explained
why averaging across storage vessels in
controlled batteries has a sound basis in
engineering and addresses the EPA’s
concern about flash emissions, which
constitute most of the emissions from
storage vessels.
Specifically, the commenters pointed
out that tank batteries typically share
vapor space (the tank volume above the
liquid) and joint piping used to collect
generated vapors, which are then routed
back to a process or conveyed to a
control device, when one is used, or
vented through one common pressure
relief valve (PRV). For purposes of this
discussion, the EPA considers this
configuration as a manifolded system
that collects and routes vapors across
the headspace. (This is different than
liquid manifolded systems where
liquids can be introduced to any tank in
the system.) The commenters noted that
vapors flow both into and out of each
tank within the battery and into
overflow piping on a continuous basis,
and vapors will always flow from high
pressure areas to low pressure areas
when flow is mechanically unrestricted.
The commenters explained that, in this
configuration, the flash emissions from
the first tank will flow into the other
tanks and vent line space associated
with the battery until the total pressure
in the system exceeds the back-pressure
of the flare or other control device, or
in systems without controls, the PRV.
12 See Docket ID Item Nos. EPA–HQ–OAR–2017–
0483–0773, EPA–HQ–OAR–2017–0483–0775, EPA–
HQ–OAR–2017–0483–0780, EPA–HQ–OAR–2017–
0483–0801, EPA–HQ–OAR–2017–0483–0996, EPA–
HQ–OAR–2017–0483–0999, EPA–HQ–OAR–2017–
0483–1006, EPA–HQ–OAR–2017–0483–1009, EPA–
HQ–OAR–2017–0483–1236, EPA–HQ–OAR–2017–
0483–1243, EPA–HQ–OAR–2017–0483–1248, EPA–
HQ–OAR–2017–0483–1261, EPA–HQ–OAR–2017–
0483–1343, and EPA–HQ–OAR–2017–0483–1578.
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The commenters asserted that only then
will the emissions (i.e., the vapors) be
released from the PRV if uncontrolled;
routed back to a process; or combusted
by the control equipment. Therefore, the
commenters suggested that because the
vapors from individual storage vessels
are comingled and not individually
emitted from the originating storage
vessels, it is appropriate to allow
sources to average the emissions across
the number of storage vessels in the
controlled battery in order to attribute
emissions to individual storage vessels.
After considering these comments and
subsequent conversations with the
commenters,13 the EPA reevaluated the
proposal. Based on this review, the EPA
agrees with the commenters that, in
certain situations, averaging emissions
across a controlled battery may be
appropriate for purposes of determining
whether to subject the storage vessels in
the tank battery to the storage vessel
standards in NSPS subpart OOOOa.
In order to fully understand where
averaging of emissions across a
controlled battery may be appropriate,
under this final rule, for purposes of
determining whether to subject the
storage vessels in the controlled battery
to the storage vessel standards in NSPS
subpart OOOOa, the EPA considered the
level of control that would be achieved
where uncontrolled potential emissions
are greater than 6 tpy. The standards in
the 2016 NSPS subpart OOOOa require
reducing uncontrolled emissions from
individual storage vessel affected
facilities by 95.0 percent.
For controlled batteries, as liquids are
introduced to a storage vessel in the
system, the vapors transfer to the
piping, or common header, enter the
common vapor space, and commingle
with vapors from other storage vessels
in the manifolded system. When the
combined vapor pressure in the
common header reaches a specified set
point, the vapors are typically conveyed
through a CVS to either a vapor recovery
unit (which routes vapors back to a
process) or a control device. Where this
controlled battery is designed and
operated to route the vapors in this
manner, emissions from an individual
storage vessel within the controlled
battery are indistinguishable from
emissions from other storage vessels
within the controlled battery; each
individual storage vessel does not
directly emit (e.g., flash emissions) to
the atmosphere. These controlled
batteries are typically subject to specific
13 See Memoranda for March 27, 2019 Meeting
with American Petroleum Institute, April 9, 2019
Meeting with Hess, and May 1, 2019 Meeting with
GPA Midstream located at Docket ID No. EPA–HQ–
OAR–2017–0483.
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design and operational criteria through
a legally and practicably enforceable
limit (e.g., through permits or other
requirements established through
Federal, state, local, or tribal authority).
To the extent that the control, through
the battery’s design and operation,
already reduces 95 percent or more of
the VOC emissions, no additional
emission reductions would be achieved
by subjecting each individual storage
vessel in the controlled battery
operating under legally and practicably
enforceable limits to the storage vessel
standards in the 2016 NSPS subpart
OOOOa. However, the 2016 NSPS
subpart OOOOa considers any storage
vessel with the potential for VOC
emissions greater than 6 tpy, including
those with legally and practicably
enforceable limits, a storage vessel
affected facility. This final rule does not
change that 6 tpy applicability
threshold, but it does include specific
criteria that must be included in the
legally and practicably enforceable limit
before averaging of emissions will be
allowed for the purposes of determining
whether the potential for VOC
emissions from the individual storage
vessels in a controlled tank battery is
above the 6 tpy threshold. Specifically,
the legally and practicably enforceable
limit must require the storage vessels to
be (1) manifolded together with piping
such that all vapors are shared among
the headspaces of the storage vessels, (2)
equipped with a CVS that is designed,
operated, and maintained to route
vapors back to the process or to a
control device, and (3) designed and
operated to route vapors back to the
process or to a control device that
reduces VOC emissions by at least 95.0
percent. The EPA concludes that
averaging emissions across the number
of storage vessels in a controlled battery
subject to the design and operational
criteria specified above, through a
legally and practicably enforceable
limit, is the appropriate way to
determine if the storage vessels in that
battery are affected facilities under
NSPS subpart OOOOa. Where the
average VOC emissions across the
number of storage vessels in the
controlled battery is 6 tpy or greater, all
of the storage vessels in the controlled
battery are storage vessel affected
facilities and subject to the requirements
for storage vessels in NSPS subpart
OOOOa. However, where the average
emissions are less than 6 tpy, none of
the storage vessels in the controlled
battery are storage vessels affected
facilities.
For storage vessels that do not meet
all of the design and operational criteria
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specified in this final rule, which
includes single storage vessels (whether
controlled or not) and storage vessels
that are connected in some way but do
not meet all of the criteria described
above, the final rule requires owners
and operators to calculate the potential
for VOC emissions on an individual
storage vessel basis to determine if the
storage vessel is a storage vessel affected
facility, as proposed. Where the
potential for VOC emissions from a
storage vessel is 6 tpy or greater, the
storage vessel is a storage vessel affected
facility. We have not revised the BSER
for storage vessel affected facilities; as a
result, the storage vessel standards in
the 2016 NSPS subpart OOOOa remain
applicable to these storage vessels if
their potential for VOC emissions is 6
tpy or greater, based on each individual
storage vessel and without averaging
across the storage vessels at the site.
The final rule continues to require
that an owner or operator calculate the
potential for VOC emissions using
generally accepted methods for
estimating emissions based on the
maximum average daily throughput. In
this final rule, the EPA is amending the
definition of maximum average daily
throughput to specify how to determine
throughput for the calculation of the
potential for VOC emissions.
Specifically, this amended definition
specifies how storage vessels that
commence construction, reconstruction,
or modification after the effective date
of this final rule must determine the
throughput to each individual storage
vessel in order to calculate the potential
for VOC emissions. This definition is
relevant to the individual storage
vessels or connected storage vessels that
do not meet the specified design and
operational criteria defined for
controlled tank batteries (i.e., tank
batteries that are allowed to average
emissions across the tanks in the
battery).
In summary, this final rule amends
the definition of ‘‘maximum average
daily throughput,’’ to specify how the
potential for VOC emissions are
calculated. Additionally, this final rule
allows for a calculation of the average
VOC emissions to determine the
applicability of the storage vessel
standards to storage vessels in
controlled batteries where specific
design and operational criteria are
incorporated as legally and practicably
enforceable requirements into a permit
or other requirement established under
Federal, state, local, or tribal authority.
The specific design and operational
criteria are as follows: (1) The storage
vessels are manifolded together with
piping such that all vapors are shared
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between the headspace of the storage
vessels, (2) the storage vessels are
equipped with a CVS that is designed,
operated, and maintained to route
collected vapors back to the process or
to a control device, and (3) collected
vapors are routed to a process or a
control device that achieves at least
95.0-percent control of VOC emissions.
If the potential for VOC emissions (or
average emissions where applicable) is
greater than or equal to 6 tpy, the
storage vessel is a storage vessel
affective facility.
The amendments discussed above,
including the definition of ‘‘maximum
average daily throughput,’’ apply to
storage vessels that commence
construction, reconstruction, or
modification after the effective date of
this final rule, which is November 16,
2020. Owners and operators of storage
vessels that commenced construction,
reconstruction, or modification after
September 18, 2015, and on or before
November 16, 2020 may still have
uncertainty regarding whether they
determined their applicability
appropriately. If so, these owners and
operators should contact the EPA if they
have questions regarding how they
previously determined applicability for
these sources.
B. Fugitive Emissions at Well Sites and
Compressor Stations
The October 15, 2018, proposal
included various proposed amendments
to the fugitive emissions standards. Two
major aspects of those proposed
amendments were (1) reduction in the
monitoring frequency for well sites and
compressor stations and (2) revisions to
the monitoring plan, recordkeeping, and
reporting requirements. This final rule
includes changes from the proposal in
both areas. First, the EPA is not
finalizing the proposed annual
monitoring frequency at non-low
production well sites. As explained in
more detail below, the EPA concluded
that the three areas of uncertainty that
were the basis for proposing
amendments to the monitoring
frequencies for well sites and
compressor stations did not result in an
overestimate of the cost-effectiveness of
the monitoring frequencies in the 2016
NSPS subpart OOOOa, and semiannual
monitoring remains cost effective based
on the revised cost estimates for well
sites with total production greater than
15 boe per day, which are presented in
the TSD for this final rule. Therefore,
the final rule retains semiannual
monitoring for well sites with total
production greater than 15 boe per day.
Additionally, the EPA is neither
finalizing the proposed biennial
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monitoring frequency at low production
well sites (i.e., well sites with total
production at or below 15 boe per day)
nor retaining the current semiannual
monitoring requirement because
monitoring is not cost effective at any
frequency for these well sites based on
the revised cost estimates. Instead, the
final rule requires that a low production
well site either maintain its total
production at or below 15 boe per day
or conduct semiannual monitoring. This
requirement applies to well sites that
produce at or below 15 boe per day
during the first 30 days of production,
as well as those sites that experience a
decline in production where the total
production for the well site, based on a
rolling 12-month average, is at or below
15 boe per day, as demonstrated by the
records required in the final rule.
Further, the EPA is finalizing the coproposed semiannual monitoring
frequency for gathering and boosting
compressor stations. As explained in
more detail below in section V.B.4 of
the preamble, based on our comparison
of the cost-effectiveness of semiannual
and quarterly monitoring and
consideration of other cost-related
factors, we are finalizing semiannual
monitoring for gathering and boosting
compressor stations. This final rule does
not address fugitive emissions
monitoring for transmission and storage
compressor stations because the Review
Rule (published in the Federal Register
of Monday, September 14, 2020) revises
the source category by removing sources
in the transmission and storage segment
from the category. As such, the Review
Rule rescinds the GHG and VOC
standards for sources in the
transmission and storage segment.
Regardless, the TSD for this final action
does include relevant updates to the
model plants for the transmission and
storage compressor stations.
The revised cost estimates for fugitive
monitoring of well sites and gathering
and boosting compressor stations rely
on updates the EPA made to the model
plants, including updates that address
the areas of uncertainty that we
identified in the October 15, 2018,
proposal, as well as the revisions to the
monitoring plan, recordkeeping, and
reporting requirements we are making
in this final rule, which reduce
administrative burden without
compromising our ability to determine
compliance with the standards. This
section describes the analyses and
resulting amendments to the fugitive
emissions standards in this final rule.
1. Areas of Uncertainty
In the 2016 NSPS subpart OOOOa, the
EPA concluded that a fugitive emissions
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monitoring and repair program that
includes semiannual OGI monitoring at
well sites and quarterly monitoring at
compressor stations and the repair of
any components identified with fugitive
emissions was the BSER for the
collection of fugitive emissions
components at well sites and
compressor stations.14 81 FR 35826.
While the EPA continued to maintain
that OGI is the BSER for reducing
fugitive emissions at well sites and
compressor stations in the October 15,
2018, proposal, we proposed less
frequent monitoring after identifying
three areas of uncertainty that led to
concerns that we might have
overestimated the emission reductions,
and, therefore, cost effectiveness, of the
monitoring frequencies specified in the
2016 NSPS subpart OOOOa. We
solicited comments on these three areas
of uncertainty, as well as additional
information, so that we could better
assess the emission reductions that
occur at different monitoring
frequencies. Additional detailed
discussion on the areas of uncertainty is
available in the TSD for this final rule.15
In the October 15, 2018, proposal,
regarding the EPA’s cost analysis in the
2016 NSPS subpart OOOOa, we stated
that the ‘‘EPA identified three areas of
the analysis that raise concerns
regarding the emissions reductions: (1)
The percent emission reduction
achieved by OGI, (2) the occurrence rate
of fugitive emissions at different
monitoring frequencies, and (3) the
initial percentage of fugitive emissions
components identified with fugitive
emissions.’’ 83 FR 52063. Given these
areas of concern, we solicited
information to further refine our
analysis and reduce or eliminate these
uncertainties. Several commenters
provided information that the EPA used
to evaluate each of these areas for this
final rule.
Reductions using OGI. In the October
15, 2018, proposal, the EPA maintained
the estimates for emissions reductions
achieved when using OGI at any type of
site, which are 30 percent for biennial
monitoring, 40 percent for annual
monitoring, 60 percent for semiannual
monitoring, and 80 percent for quarterly
monitoring. As stated in the proposal,
one stakeholder asserted that annual
monitoring was more appropriate for
compressor stations than the required
quarterly monitoring. This stakeholder
stated that the estimated control
14 The rule allows the use of Method 21 as an
alternative to OGI but did not conclude Method 21
was BSER because OGI was found to be more cost
effective. See 81 FR 35856.
15 See TSD located at Docket ID No. EPA–HQ–
OAR–2017–0483.
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efficiency for quarterly monitoring
should be 90 percent (instead of 80
percent) and annual monitoring should
be 80 percent (instead of 40 percent),
based on the stakeholder’s
interpretation of results from a study
conducted by the Canadian Association
of Petroleum Producers (CAPP).16 In
response to this information, the EPA
reviewed the CAPP report and was
unable to conclude that annual OGI
monitoring would achieve 80-percent
emissions reductions, as stated by the
stakeholder.17 In its submission of
public comments on the proposal, and
in subsequent clarifying discussions, the
stakeholder continued to assert that the
EPA had understated the emissions
reductions achieved with annual
monitoring.18 As discussed in the
TSD,19 we have reevaluated the
information provided in the CAPP
report and are still unable to conclude
that the CAPP report demonstrates that
annual OGI monitoring would achieve
80-percent emissions reductions. In
brief, we concluded that the results of
the CAPP report indicate that quarterly
monitoring could achieve 92-percent
emission reductions while annual
monitoring could achieve 56-percent
emission reductions based on
attributing the recommended
frequencies at which the components at
compressor stations should be
monitored to the emissions reported for
those component types. However, as
stated in our discussion in the TSD,
these emissions reductions may also be
due to factors such as improved
emissions factors and not actual
emissions reductions resulting from
monitoring and repair.
Another commenter provided
information related to the emissions
reductions achieved when using OGI at
the various monitoring frequencies.20
The commenter referenced a study
performed by Dr. Arvind Ravikumar as
supporting the EPA’s estimates of
emissions reductions for annual and
semiannual monitoring using OGI.21
This study utilized the Fugitive
16 CAPP, ‘‘Update of Fugitive Equipment Leak
Emission Factors,’’ prepared for CAPP by
Clearstone Engineering, Ltd., February 2014.
17 See memorandum, ‘‘EPA Analysis of Fugitive
Emissions Data Provided by Interstate Natural Gas
Association of America (INGAA),’’ located at
Docket ID Item No. EPA–HQ–OAR–2017–0483–
0060. August 21, 2018.
18 See Docket ID Item No. EPA–HQ–OAR–2017–
0483–1002 and Memorandum for the April 30, 2019
Meeting with INGAA, located at Docket ID No.
EPA–HQ–OAR–2017–0483.
19 See TSD, section 2.4.1.1 for more details at
Docket ID No. EPA–HQ–OAR–2017–0483.
20 See Docket ID Item No. EPA–HQ–OAR–2017–
0483–2041.
21 See Appendix D to Docket ID Item No. EPA–
HQ–OAR–2017–0483–2041.
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Emissions Abatement Simulation
Toolkit (FEAST) model that was
developed by Stanford University to
simulate emissions reductions achieved
at the various monitoring frequencies.
The study used information from the
EPA’s model plant analysis for the 2016
NSPS subpart OOOOa, including the
site-level baseline emissions. Emissions
reductions were estimated at 32 percent
for annual monitoring, 54 percent for
semiannual monitoring, and 70 percent
for quarterly monitoring, which the EPA
considers to be comparable to the EPA’s
estimated reduction efficiencies for OGI
at these monitoring frequencies.
Finally, the EPA updated its analysis
of emissions reductions using Method
21 for comparison to the estimated
reductions using OGI. As previously
stated in the proposal TSD,22 data from
the Synthetic Organic Chemicals
Manufacturing Industry (SOCMI) in the
1995 Equipment Leak Protocol
Document (1995 Protocol) was used to
estimate the Method 21 effectiveness at
the various monitoring frequencies. In
the proposal TSD, we stated, ‘‘it is not
possible to correlate OGI detection
capabilities with a Method 21
instrument reading, provided in ppm.
However, based on the EPA’s current
understanding of OGI technology and
the types of hydrocarbons found at oil
and natural gas well sites and
compressor stations, the emission
reductions from an OGI monitoring and
repair program likely correlate to a
Method 21 monitoring and repair
program with a fugitive emissions
definition somewhere between 2,000 to
10,000 ppm.’’ 23 We received comments
asserting that the EPA inappropriately
used Method 21 effectiveness estimates
based on SOCMI to justify the emissions
reductions for OGI. In response to these
comments, the EPA updated the Method
21 effectiveness estimates using
information for the oil and gas industry,
as described in the TSD for this final
rule.24 The revised analysis estimates
emissions reductions when using
Method 21 to be 40 percent for annual
monitoring, 54 percent for semiannual
monitoring, and 67 percent for quarterly
monitoring, when using the average
reductions achieved at leak definitions
of 500 ppm and 10,000 ppm. While not
a direct comparison, the EPA estimates
emission reductions using OGI would
likely be higher because OGI will detect
large emissions, such as emissions from
22 See Docket ID Item No. EPA–HQ–OAR–2017–
0483–0040.
23 See Docket ID Item No. EPA–HQ–OAR–2017–
0483–0040, at page 25.
24 See TSD at Docket ID No. EPA–HQ–OAR–
2017–0483.
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57413
thief hatches on controlled storage
vessels, that Method 21 would
otherwise not detect.
In conclusion, the EPA performed
detailed analyses of the CAPP studies,
the FEAST model results, and the
updated Method 21 estimates to
determine whether changes to the
estimated effectiveness of OGI
monitoring is appropriate. Based on
these analyses, we conclude that the
estimated effectiveness percentages of
OGI monitoring at the various
frequencies are appropriate and do not
need adjustment.
Leak occurrence rates. The second
uncertainty identified in the October 15,
2018, proposal relates to the occurrence
rate of fugitive emissions, or the
percentage of components identified
with fugitive emissions during each
survey. In the proposal, the EPA stated,
‘‘because the model plants assume that
the percentage of components found
with fugitive emissions is the same
regardless of the monitoring frequency,
we acknowledge that we may have
overestimated the total number of
fugitive emissions components
identified during each of the more
frequent monitoring cycles.’’ 83 FR
52064. There are numerous ways the
number of leaking components could
impact the cost effectiveness of
monitoring, including (1) the amount of
baseline emissions, (2) the potential
emission reductions, and (3) the number
of repairs required.
In the 2016 analysis, the EPA
assumed that each monitoring survey at
a well site would identify four
components with fugitive emissions.
That is, when a site is monitored
annually, we estimated four total
components leaking for that year, but if
that same site were monitored
semiannually, we estimated eight total
components leaking for that year.
However, we have found that a constant
leak occurrence rate is not reflected in
our analysis of Method 21 monitoring,
the information provided through
comments on the proposal, or a review
of the annual compliance reports
submitted to the EPA for the NSPS
subpart OOOOa. Rather, the information
demonstrates that occurrence rates
differ based on monitoring frequency.
For example, the information we
reviewed in the annual compliance
reports for well site fugitive emissions
components demonstrated that, on
average, three components were
identified as leaking where only one
survey had taken place in a 12-month
period, and two components were
identified as leaking, per survey, where
more than one survey had occurred in
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a 12-month period.25 These values are
similar to those provided by two
commenters that provided detailed
information on the number of
components identified with fugitive
emissions at different monitoring
frequencies.26 Therefore, we updated
the well site model plant analysis to
include an average of three components
per annual survey and two components
per semiannual survey (for a total of
four repairs annually).27
In the 2016 analysis, the EPA assigned
each type of compressor station (i.e.,
gathering and boosting, transmission,
and storage) a specific leak occurrence
rate. While annual compliance reports
were submitted for compressor stations
complying with NSPS subpart OOOOa,
it was not possible to determine which
stations were which type. However, for
gathering and boosting compressor
stations, detailed information was
provided by GPA Midstream.28 While
the number of reported leaks varied
widely in the dataset, the EPA’s analysis
of the data demonstrated that, on
average, 11 components were identified
as leaking during a 12-month period,
with monitoring frequencies ranging
from monthly to annually.29 Therefore,
we assumed that a total of 11
components, on average, would be
identified as leaking over the course of
a full year’s worth of monitoring,
regardless of monitoring frequency. That
is, we assumed that if monitoring occurs
semiannually, on average, 11
components will be leaking over the
course of the two surveys in that year.
This estimate takes into account the
reported variation in the number of
components identified as leaking during
each survey. For example, a gathering
and boosting compressor station that is
monitoring quarterly may identify the
following number of components as
leaking: Three components in Quarter 1;
two components in Quarter 2; four
components in Quarter 3; and two
components in Quarter 4. If that same
gathering and boosting compressor
station were monitored annually, then
all 11 components would be identified
during the one annual survey. This is
different than the assumption used in
25 See TSD located at Docket ID No. EPA–HQ–
OAR–2017–0483.
26 See Docket ID Item Nos. EPA–HQ–OAR–2017–
0483–0801 and EPA–HQ–OAR–2017–0483–2041.
27 The 2016 model plant analysis included an
evaluation of quarterly monitoring for well sites.
Because semiannual monitoring is required, it was
not possible to determine the quarterly occurrence
rate for well sites using this information. See TSD
for additional analysis.
28 See Docket ID Item No. EPA–HQ–OAR–2017–
0483–1261.
29 See TSD located at Docket ID No. EPA–HQ–
OAR–2017–0483.
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the 2016 NSPS subpart OOOOa.
Utilizing the estimate of 11 components
identified as leaking over the course of
1 year provides an annual estimate of
the repair costs for gathering and
boosting compressor stations which is
independent of the monitoring survey
costs. That is, on average, the same
number of repairs are made in a single
year, regardless of the frequency of
surveys, which helps account for the
variability presented in the dataset.
In summary, the EPA is no longer
using a linear function for occurrence
rates as we did in the proposal or the
2016 NSPS subpart OOOOa. Instead, we
have based occurrence rates on available
information that is specific to fugitive
emissions monitoring frequencies for
each type of facility. Specifically, we
estimate a total of two repairs (leaking
components) at the annual monitoring
frequency and three repairs at the
semiannual monitoring frequency for
well sites. For gathering and boosting
compressor stations we estimate that, on
average, 11 repairs are necessary over
the course of a year. This updated
analysis more directly reflects the
reality that leak occurrence rates are not
linear between frequencies and more
appropriately estimates the number of
repairs (and, thus, emission reductions
and costs) at more frequent monitoring.
Thus, the EPA no longer considers leak
occurrence rates to raise uncertainties
with the analysis or to overestimate
emissions.
Initial leak rate. The final uncertainty
raised in the October 15, 2018, proposal
was the initial percentage of
components identified with fugitive
emissions (‘‘initial leak rate’’). While the
EPA did not use an initial leak rate in
our estimate of the baseline emissions,
one commenter noted that initial leak
rate should be considered a key element
for understanding potential baseline
emissions. The commenter stated its
belief that the emissions factor the EPA
used to estimate baseline emissions was
calculated using an initial leak rate that
was too high, thus, biasing the baseline
emissions (and the resulting emission
reductions) high.30
In the 2016 NSPS subpart OOOOa
TSD, the EPA stated incorrectly that the
model plant analysis assumed an initial
leak rate of 1.18 percent.31 One
commenter pointed out that this initial
leak rate, which was also cited in the
October 15, 2018, proposal, was not the
actual estimate used for the model plant
analysis. The commenter is correct on
30 See Docket ID Item No. EPA–HQ–OAR–2017–
0483–0801.
31 See Docket ID Item No. EPA–HQ–OAR–2010–
0505–7631.
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this point. The uncontrolled emissions
factors for non-thief hatch fugitive
emission components the EPA used to
estimate model plant emissions are
based on Table 2–4 of the Protocol for
Equipment Leak Emission Estimates
(‘‘Protocol Document’’).32 While the
initial leak rates that are inherent in
these emissions factors are not
specifically stated in the Protocol
Document, the commenter performed a
back-calculation of the fraction of
leaking components using Table 5–7 of
the Protocol Document and the
weighted leak fraction for all
components using the number of each
component per model plant. That result,
with which the EPA agrees, shows that
when using Method 21 and a leak
definition of 500 ppm, the estimated
initial leak rate is 2.5%, and when using
Method 21 and a leak definition of
10,000 ppm, the estimated initial leak
rate is 1.65 percent.33 However, the
initial leak rate is only one contributing
factor to baseline emissions. Another
contributing factor is the magnitude of
emissions.
While several commenters 34 provided
information on the number or
percentage of components identified
with fugitive emissions, no commenters
provided component-level information
on the magnitude of those emissions.35
In June 2019, a study was published in
Elementa that examined fugitive
emissions from 67 oil and natural gas
well sites and gathering and boosting
compressor stations in the Western
U.S.36 As discussed in the TSD, the
study included quantification of fugitive
emissions from components located at
well sites and gathering and boosting
compressor stations. The EPA evaluated
the measured fugitive emissions from
that study for central production, well
production, and well site facilities, as
defined by the study. We then evaluated
the average emissions across those three
site types to compare those emissions to
32 See U.S. EPA, ‘‘1995 Protocol for Equipment
Leak Emission Estimates Emission Standards’’
located at Docket ID Item No. EPA–HQ–OAR–2017–
0483–0002.
33 See memorandum, ‘‘Summary of Data Received
on the October 15, 2018 Proposed Amendments to
40 CFR part 60, subpart OOOOa Related to Model
Plant Fugitive Emissions.’’ February 10, 2020.
34 See, for example, Docket ID Item Nos. EPA–
HQ–OAR–2017–0483–0801, EPA–HQ–OAR–2017–
0483–1261, and EPA–HQ–OAR–2017–0483–2041.
35 See memorandum, ‘‘Summary of Data Received
on the October 15, 2018 Proposed Amendments to
40 CFR part 60, subpart OOOOa Related to Model
Plant Fugitive Emissions.’’ February 10, 2020.
36 See Pasci, A.P., Ferrara, T., Schwan, K.,
Tupper, P., Lev-On, M., Smith, R., and Ritter, K.,
2019. ‘‘Equipment Leak Detection and
Quantification at 67 Oil and Gas Sites in the
Western United States.’’ Elem Sci Anth, 7(1), p.29
located at https://doi.org/10.1525/elementa.368.
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2. Recordkeeping, Reporting, and Other
Administrative Burden Associated With
the Fugitive Emissions Program
In addition to proposing reduced
monitoring frequencies, the EPA
proposed amending the monitoring plan
requirements in the 2016 NSPS subpart
OOOOa. Specifically, we proposed
these amendments to address concerns
that the requirements, such as the site
map and observation path, resulted in
significant costs that increase over time
due to the increase in the number of
facilities subject to the requirements
each year. The EPA proposed allowing
alternatives to the site map and
observation path that would also ensure
that all fugitive components at a site are
monitored. 83 FR 52078 and 9. The EPA
received comments expressing concern
that, in addition to the costs associated
with the development and necessary
updates of the monitoring plan, the EPA
had underestimated the administrative
burden associated with the extensive
recordkeeping and reporting
requirements of the fugitive emissions
standards in the 2016 NSPS subpart
OOOOa. These commenters stated that
this burden represents the largest cost of
the fugitive emissions program in the
2016 NSPS subpart OOOOa.37 In the
October 15, 2018, proposed rulemaking,
the EPA proposed to streamline certain
recordkeeping and reporting
requirements in the 2016 NSPS subpart
OOOOa to reduce burden on the
industry, including the fugitive
emissions recordkeeping and reporting.
83 FR 52059. In response to these
comments, the EPA re-evaluated the
fugitive emissions program, with a focus
on identifying areas to reduce
unnecessary administrative burden and
provide flexibility for future innovation,
while retaining sufficient recordkeeping
and reporting requirements to assure
that affected facilities are complying
with the standards. After concluding
this re-evaluation, we found that certain
requirements were unnecessary and
burdensome.
First, we examined the commenters’
assertion and supporting information
that the EPA underestimated the
recordkeeping and reporting costs in
both the 2016 NSPS subpart OOOOa
and the October 15, 2018, proposal. To
better understand the commenters’
statements regarding the recordkeeping
and reporting costs associated with the
2016 NSPS subpart OOOOa, we
reviewed the specific recordkeeping and
reporting requirements for the fugitive
emissions program, including the
monitoring plan. Based on this review,
we agree with the commenters that the
recordkeeping and reporting burden was
underestimated in both the 2016 NSPS
subpart OOOOa and the October 15,
2018, proposal, as described below.
In the October 15, 2018, proposal, we
had proposed reducing certain
monitoring frequencies. While we
updated portions of the model plant
analysis for fugitive emissions to reflect
these proposed changes, we did not
make specific changes related to
recordkeeping and reporting costs. As
shown in the proposal TSD,38 we
estimated that the development of a
monitoring plan was a one-time cost of
$3,672 per company-defined area,
which is estimated as consisting of 22
well sites or seven gathering and
boosting compressor stations. We
estimated reporting costs to be at $245
per site per year.
Second, we reevaluated the cost
burden of the recordkeeping and
reporting requirements associated with
the fugitive emissions standards in the
2016 NSPS subpart OOOOa prior to
considering any additional changes to
those standards that might further
reduce the cost burden. This step was
necessary to provide a correct baseline
for comparison when evaluating the
burden reductions associated with
potential changes to the standards.
37 See Docket ID Item No. EPA–HQ–OAR–2017–
0483–0016.
38 See TSD at Docket ID Item No. EPA–HQ–OAR–
2017–0483–0040.
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the estimated emissions using the
average emissions factors from the EPA
Protocol Document. The average well
site emissions measured in the study
were comparable to the model plant
well site emissions. Therefore, the EPA
determined that the use of the emissions
factors from the 1995 Protocol
Document was still appropriate and has
maintained use of these average
emissions factors in the model plant
analyses supporting this final rule.
In conclusion, we identified three
areas of potential uncertainty in the
October 15, 2018, proposal: (1) The
effectiveness of OGI at the various
frequencies, (2) the leak occurrence rate
for each survey, and (3) the initial leak
rate. The EPA was concerned that we
might have overestimated the emission
reductions from the monitoring
frequencies in the 2016 NSPS subpart
OOOOa due to these three areas of
uncertainties. However, after evaluating
the data provided by commenters and
making the appropriate revisions to our
model plant analysis, the EPA no longer
believes that these three areas create
uncertainty or resulted in an
overestimation of emissions reductions.
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57415
Before considering the information
provided in the comments, we removed
certain line items from the previous
analysis as described. We removed the
initial and subsequent planning
activities because these items were not
clearly representative of actual
recordkeeping activities that are
associated with the fugitive emissions
requirements of the rule (e.g., records
management systems, tracking
components, data review, etc.). We also
removed the cost associated with
notification of initial compliance status
because such notification is not required
under the 2016 NSPS subpart OOOOa.
Next, we considered the comments and
information received on our estimate of
the cost to develop a monitoring plan
under the 2016 NSPS subpart OOOOa.
One commenter provided information
on the range of costs that have been
incurred by owners and operators to
develop a monitoring plan since the rule
has been in place.39 These estimated
costs range from $5,600 to $8,800,
which is more than our estimate of
$3,672. In examining the information
provided by the commenter in further
detail, we note that hourly rates are
higher than the standard labor rate used
in EPA’s calculations, which would
attribute to the difference in costs. Next,
commenters dispute our assumption
that the monitoring plan is a one-time
cost for the company. Several
commenters stated while most of the
monitoring plan is associated with a
one-time cost, the required site map and
observation path require frequent
updates as the equipment at the site
changes. One of these commenters
provided an estimate of the cost to
develop the initial site map and
observation path for an individual site,
and the cost of updating these items for
each monitoring survey.40 This
information provided estimates that
companies have already spent
approximately $650 developing the
individual site map and observation
path for each site and an additional
$150 updating these items for each
monitoring survey. Based on this
information, we agree it is appropriate
to account for the necessary updates for
39 See Docket ID No. EPA–HQ–OAR–2017–0483;
EPA’s ‘‘Oil and Natural Gas Sector: Emission
Standards for New, Reconstructed, and Modified
Sources Reconsideration; Proposed Rule’’; 83 FR
52056 (October 15, 2018). Dated May 22, 2019,
located at Docket ID No. EPA–HQ–OAR–2017–
0483.
40 See Docket ID No. EPA–HQ–OAR–2017–0483;
EPA’s ‘‘Oil and Natural Gas Sector: Emission
Standards for New, Reconstructed, and Modified
Sources Reconsideration; Proposed Rule’’; 83 FR
52056 (October 15, 2018). Dated May 22, 2019,
located at Docket ID No. EPA–HQ–OAR–2017–
0483.
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the site map and observation path when
estimating the cost burden of the rule.
Therefore, we split the monitoring plan
costs into three items in our model plant
analysis: (1) Develop company-wide
fugitive emissions monitoring plan, (2)
develop site-specific fugitive monitoring
plan (i.e., site map and observation
path), and (3) management of change
(site map and observation path).
Additionally, we applied hourly rates,
based on information provided by the
commenter, to estimate costs instead of
using the flat cost values provided. The
updated estimates associated with
developing a monitoring plan for well
sites under the existing standards are
$2,448 to develop the general companywide monitoring plan (assumes 22 well
sites), $400 to develop the site map and
observation path for each site, and $184
to update the individual site map and
observation path annually (based on
semiannual monitoring). This would
result in a total cost for development of
the monitoring plan for the 22 well site
company-defined area of $15,296,
including updates to the site map and
observation path at the semiannual
surveys conducted that first year. For
gathering and boosting compressor
stations, we estimate it costs $1,530 to
develop a company-wide monitoring
plan (assumes seven stations per plan),
$400 to develop the site map and
observation path for each site, and $367
to update the individual site map and
observation path annually (based on
quarterly monitoring). This would result
in a total cost of $6,899 for development
of the monitoring plan for the seven
gathering and boosting compressor
station company-defined area, including
updates to the site map and observation
path at the quarterly surveys conducted
that first year. Based on available
information, we believe these costs are
representative of the costs to develop
and maintain the monitoring plan as
required in the 2016 NSPS subpart
OOOOa.
We then examined the recordkeeping
costs associated with the fugitive
emissions requirements. As stated
above, we were unable to locate clearly
defined estimates for recordkeeping
costs for the 2016 NSPS subpart
OOOOa, therefore, all costs are new in
our baseline estimate of the actual cost
of the existing standards and are based
on information received from
commenters and previous information
collected by the Agency for similar
programs. There are extensive records
required for each survey that is
performed, regardless of the frequency;
therefore, we recognize that appropriate
data management is critical to ensuring
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compliance with the standards. As
explained in the TSD for this final
rule,41 we evaluated costs for the set-up
for a database system, which ranged
from commercially available options to
customized systems. Because there are
commercial systems currently available
that allow owners and operators to
maintain records in compliance with
the standards, we did not find it
appropriate to apply customized system
costs to determine an average or range
of costs. Therefore, our initial database
set-up fee is estimated as $18,607 for 22
well sites and seven gathering and
boosting compressor stations. In
addition to this initial set-up fee, we
recognize that there are annual licensing
fees that include technical support and
updates to software. Therefore, we have
incorporated an ongoing annual fee of
approximately $470. Finally, there is
recordkeeping associated with tracking
observed fugitive emissions and repairs,
such as scheduling repairs and quality
control of the data. Based on
information provided by commenters,42
we estimate additional recordkeeping
costs at $430 for well sites and $860 for
gathering and boosting compressor
stations.
Finally, we evaluated the current
estimate for reporting costs associated
with the 2016 NSPS subpart OOOOa.
One commenter asserted they spent over
500 hours reporting information through
the Compliance and Emissions Data
Reporting Interface (CEDRI) for their
sources.43 We examined the information
reported to CEDRI for this commenter
and concluded they have reported
information for approximately 100 well
sites, which would equate to 5 hours per
site. This is comparable to our estimate
of 4 hours per well site; therefore, we
did not update the cost estimate for
reporting associated with the 2016
NSPS subpart OOOOa.
In summary, we updated the cost
burden estimates for recordkeeping
based on the 2016 NSPS subpart
OOOOa. As updated, the annualized
recordkeeping and reporting costs for
the existing rule, on a per site basis, are
approximately $1,500 per well site and
$2,500 per gathering and boosting
compressor station. These costs
41 See TSD at Docket ID No. EPA–HQ–OAR–
2017–0483.
42 See Re: Docket ID No. EPA–HQ–OAR–2017–
0483; EPA’s ‘‘Oil and Natural Gas Sector: Emission
Standards for New, Reconstructed, and Modified
Sources Reconsideration; Proposed Rule’’; 83 FR
52056 (October 15, 2018). Dated May 22, 2019,
located at Docket ID No. EPA–HQ–OAR–2017–
0483. See memorandum for May 1, 2019 meeting
with GPA Midstream located at Docket ID No. EPA–
HQ–OAR–2017–0483.
43 See Docket ID Item No. EPA–HQ–OAR–2017–
0483–0757.
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represent the baseline from which any
changes to the cost burden for reporting
and recordkeeping requirements in this
final rule are compared. It is important
to note that while these costs represent
the costs for each individual site, the
EPA estimates that currently there are
over 40,000 well sites and 1,250
compressor stations currently subject to
the fugitive emissions requirements in
the 2016 NSPS subpart OOOOa. When
multiplied, the total annualized costs to
the industry is estimated to exceed $60
million per year.
After updating the recordkeeping and
reporting costs for the existing
requirements, we evaluated requests by
commenters recommending specific
changes to those requirements. Several
commenters requested removal of or
amendments to specific line items.
These included items such as the site
map and observation path requirement
in the monitoring plan, records related
to the date and repair method for each
repair attempt, and name of the operator
performing the survey. After further
review of the specific requirements, for
the reasons explained below, we agree
with the commenters that some of the
items are not critical or are redundant
for demonstrating compliance and,
therefore, are an unnecessary burden.
We are amending the monitoring plan
by removing the requirement for a site
map and observation path when OGI is
used to perform fugitive emissions
surveys. This requirement was in place
to ensure that all fugitive emissions
components could and would be imaged
during each survey. As explained in the
TSD,44 we agree with the commenters
that a site map and observation path are
only one way to ensure all components
are imaged. We are replacing the
specified site map and observation path
with a requirement to include
procedures to ensure that all fugitive
emissions components are monitored
during each survey in the monitoring
plan. These procedures may include a
site map and observation path, an
inventory, or narrative of the location of
each fugitive emissions component, but
may also include other procedures not
listed here. These company-defined
procedures are consistent with other
requirements for procedures in the
monitoring plan, such as the
requirement for procedures for
determining the maximum viewing
distance and maintaining this viewing
distance during a survey. As previously
stated, we had not accurately accounted
for the ongoing cost of updating the site
map and observation path as changes
44 See TSD at Docket ID No. EPA–HQ–OAR–
2017–0483.
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occur at the site. Based on information
provided by one commenter, we
estimate this amendment will save each
site $580 with the semiannual
monitoring frequency. These cost
reductions are based on an initial cost
of $400 to develop the site map and
observation path, plus $180 to update
the site map or observation path each
year, based on a semiannual monitoring
frequency.
We are not finalizing the proposed
recordkeeping requirement to keep
records of each repair attempt. Instead,
the final rule requires maintaining a
record only for the first attempt at repair
and the completion of repair. Other
interim repair attempts are not
necessary for demonstrating compliance
with the repair requirements.
Additionally, we are removing the
requirement to maintain records of the
number and type of components not
repaired during the monitoring survey.
The 2016 NSPS subpart OOOOa
required maintaining a record of the
number and type of components found
with fugitive emissions that were not
repaired during the monitoring survey.
After further review, this information
can be derived from, and is, therefore,
redundant to, other records of the
survey date and repair dates required for
all fugitive emissions components.
While it is difficult to quantify the
reduction in cost burden of the removal
of these records, we have estimated a
reduction in cost of 25 percent, or $107
per site per year as discussed in the
TSD.
We are also amending the reporting
requirements to streamline reporting
based on comments received and further
reconsideration of what information is
essential to demonstrate compliance
with the standards. First, as we are
finalizing the electronic reporting form
for the annual report required by 40 CFR
60.5420a(b) concurrently with this
action, we are updating the CEDRI
reporting template to reflect the
streamlined reporting requirements in
this final action and ease review of the
information contained within the form.
Specifically, for reporting compliance
with the fugitive emissions
requirements, we have created
dropdown menus for the operator to
select the type of site for which they are
reporting (i.e., well site or compressor
station), to indicate whether the well
site changed status to a wellhead-only
well site during the reporting period,
and identify any approved alternative
fugitive emissions standard that was
used during the reporting period for the
site. Second, we are removing specific
items from the annual report as listed in
section IV.I.3 of this preamble. We are
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removing the requirement to report the
name or unique ID of the operator
performing the survey; however, this
information must be maintained in the
record, similar to the LDAR
requirements for onshore natural gas
processing plants. We are removing the
requirement to report the number and
type of difficult-to-monitor and unsafeto-monitor components that were
monitored during the specified survey.
This information is required to be kept
in the record, and the type and number
of these components would already be
included in the reported number and
type of components found with fugitive
emissions during the survey. The date of
successful repair is being removed from
the report because we already require
owners and operators to report the
number and type of fugitive emissions
not repaired on time. The date of
successful repair will be maintained in
the record. Finally, the type of
instrument used for the resurvey is
being removed from the report because
the rule allows either OGI or Method 21
(analyzer or a soap bubbles test). The
information is required to be kept in the
record. Similar to the recordkeeping
changes identified in the previous
paragraph, it is difficult to estimate the
reduced cost burden of each of these
individual items. That said, as shown in
the TSD, we have estimated a burden
reduction of 25 percent, or $61 per site
per annual report.
In summary, the amendments to the
recordkeeping and reporting
requirements in this final rule will
reduce the recordkeeping and reporting
burden for NSPS subpart OOOOa. The
estimated annualized recordkeeping and
reporting costs for this final rule, on a
per site basis, are approximately $1,100
per well site and $1,750 per gathering
and boosting compressor station. This
results in an annualized burden
reduction of approximately 27 percent
for well sites and 30 percent for
gathering and boosting compressor
stations.45
3. Additional Updates to the Model
Plants
We also received information from
commenters that suggested additional
updates beyond those already discussed
above. These included the major
equipment counts and survey costs. A
detailed discussion of these updates,
which we agree are necessary, is
provided in the TSD.46 A summary of
these updates is provided below.
45 See TSD for additional information on the
estimated cost burden at the individual site level at
Docket ID No. EPA–HQ–OAR–2017–0483.
46 See TSD at Docket ID No. EPA–HQ–OAR–
2017–0483.
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Well sites. In the October 15, 2018,
proposal, we maintained the assumed
flat contractor fee of $600 per survey.
However, information from commenters
suggested this may be an overestimate of
survey costs if an hourly rate were used.
To examine this comment, we analyzed
the CEDRI reports, and evaluated the
survey times that were reported. Based
on this information, we estimated it
takes operators 3.4 hours to complete a
survey at a well site, including the
travel time to and from the well site.
This is based on an average survey time
of approximately 1.4 hours. The travel
time considers travel between sites and
the shared travel of mobilizing a
monitoring operator. We applied an
hourly rate of $134 based on the
Regulatory Analysis performed by the
Colorado Department of Public Health
and Environment in support of
Colorado’s Regulation 7.47 We believe
this more accurately reflects the costs of
performing the survey than the
previously assumed flat rate of $600.
Low production well sites. The low
production well site model plants (i.e.,
well sites with total production at or
below 15 boe per day) were updated
after further review of the Fort Worth
Study, updates to the Greenhouse Gas
Inventory (GHGI), and based on
comments received. First, the counts of
wellheads, separators, meters/piping,
and dehydrators were recalculated after
removing well sites that listed no
production on the day prior to
emissions measurements during the Fort
Worth Study. This resulted in a
decrease in the number of separators
and meters/piping for the low
production gas well pad. The scaling
factors were also updated based on
these revisions and applied to low
production oil well pads and low
production associated gas well pads.
Further discussion on these changes are
in the TSD. Like the well sites discussed
above, we maintained the estimate of
one controlled storage vessel per low
production well site. One commenter
provided some preliminary information
regarding component counts, specific to
valves and storage vessels, but also
stated in their comments that the
information was not representative.48
Therefore, as discussed in the TSD, it
was not appropriate to revise the model
plants using information this
commenter provided. We also
47 Colorado Department of Public Health and
Environment, ‘‘Regulatory Analysis for Proposed
Revisions to Colorado Air Quality Control
Commission Regulation Numbers 3, 6, and 7’’ (5
CCR 1001–5, 5 CCR 1001–8, and CCR 1001–9),
February 2014.
48 See Docket ID Item No. EPA–HQ–OAR–2017–
0483–1006.
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performed an analysis of the survey
time and found that on average, the
surveys for low production well sites
were approximately 30 minutes. After
accounting for travel time, we estimate
that each survey of a low production
well site takes 2.4 hours. We applied the
same hourly rate of $134 to estimate the
total cost of each survey.
Gathering and boosting compressor
stations. Information of average
equipment counts were provided by
GPA Midstream for gathering and
boosting compressor stations.49 We
updated the model plant estimate to use
this information. Specifically, we
revised the estimated number of
separators from 11 to five, meter/piping
from seven to six, gathering compressors
from five to three, in-line heaters from
seven to one, and dehydrators from five
to one, which reduces the baseline
emissions estimated for the compressor
station. We maintained the cost for the
survey of $2,300 because the commenter
indicated this was appropriate based on
implementation of the rule.
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4. Cost Effectiveness of Fugitive
Emissions Requirements
With the revisions discussed in
sections V.B.1 through 3 of this
preamble incorporated in the model
plants, we reexamined the costs and
emission reductions for various
monitoring frequencies to determine the
updated costs of control. In evaluating
the costs for this final rule, we also
reexamined the decisions made in the
2016 NSPS subpart OOOOa for
comparison. In the 2016 NSPS subpart
OOOOa, we evaluated the controls
under different approaches, namely a
single pollutant approach and
multipollutant approach.50 Further, we
stated that a frequency is considered
cost effective if the cost of control for
any one scenario of methane (without
consideration of VOC), VOC (without
consideration of methane), or the
combination of both pollutants is cost
effective.51 That is, if the cost of control
49 See Docket Item ID No. EPA–HQ–OAR–2017–
0483–1261.
50 See 80 FR 56616. Under the single pollutant
approach, we assign all costs to the reduction of one
pollutant and zero costs for all other pollutants
simultaneously reduced. Under the multipollutant
approach, we allocate the annualized costs across
the pollutant reductions addressed by the control
option in proportion to the relative percentage
reduction of each pollutant controlled. For
purposes of the multipollutant approach, we
assume that emissions of methane and VOC are
controlled at the same time, therefore, half of the
cost is apportioned to the methane emission
reductions and half of the cost is apportioned to
VOC emission reductions. In this evaluation, we
examined both approaches across the range of
identified monitoring frequencies, annual,
semiannual, and quarterly.
51 See 80 FR 56617.
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for reducing VOC, where all costs are
attributed to VOC control and zero to
methane control, is cost effective, then
that frequency is cost effective
regardless of the methane-only or
multipollutant costs.
In the Review Rule, finalized in the
Federal Register of Monday, September
14, 2020, we are rescinding the methane
standards for NSPS subpart OOOOa.
Therefore, in this final rule, we
examined the cost effectiveness for the
control of VOC emissions only. For each
frequency evaluated in this final rule,
we examined the total cost effectiveness
of each monitoring frequency (i.e., the
cost of control for each frequency from
a baseline of no monitoring). This is
consistent with how costs were
examined in the 2016 NSPS subpart
OOOOa. For the reason explained in the
preamble to the October 15, 2018,
proposal, in addition to evaluating the
total cost effectiveness of the different
monitoring frequencies, this final rule
also considers incremental cost (i.e., the
additional cost to achieve the next
increment of emission reduction) to be
an appropriate tool for assessing the
effects of different stringency levels of
control costs.52 83 FR 52070. It is
important to note that the 2016 NSPS
subpart OOOOa analysis did not present
the incremental costs between each of
the monitoring frequencies evaluated.
The TSD supporting this final rule
presents the cost of control for annual,
semiannual, and quarterly monitoring
frequencies for well sites producing
greater than 15 boe per day and
compressor stations, and biennial,
annual, and semiannual monitoring
frequencies for low production well
sites.
When examining the costs of each
monitoring frequency, we recognized
that a significant percentage of the costs
are independent of the monitoring
frequency. That is, when annualized,
the recordkeeping and reporting costs
remain unchanged as monitoring
frequencies increase. For example, the
annualized cost of semiannual
monitoring is approximately 20 percent
higher than the annualized cost of
annual monitoring at well sites.
However, the cost effectiveness of the
annual monitoring is a higher $/ton
reduced because semiannual monitoring
52 See also, ‘‘Standards of Performance for
Equipment Leaks of VOC in the Synthetic Organic
Chemical Manufacturing Industry (SOCMI);
Standards of Performance for Equipment Leaks of
VOC in Petroleum Refineries‘‘; 72 FR 64860, 64864
(‘‘2007 NSPS subparts VV and VVa’’) (in its BSER
analysis, the EPA evaluated the additional cost and
emission reduction from lowering the leak
definition for valves and determined that the
additional emission reduction for SOCMI, at
$5,700/ton of VOC, is not cost effective.)
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results in approximately 50 percent
more emissions reductions than annual
monitoring. Therefore, while more
frequent monitoring does increase the
costs of surveys for the year, the bulk of
the costs are realized regardless of
monitoring frequency. In other words,
whereas we assumed during the
proposal that reduced monitoring
frequencies would lead to large cost
savings, the analyses we performed for
this final rule demonstrate that
monitoring frequency is not the most
significant factor in the overall cost of
the fugitive emissions requirements.
Below we present the costs of control
for the monitoring frequencies at the
model plants for well sites, low
production well sites, and compressor
stations.
Table 3 presents the costs of control
for VOC emissions at the monitoring
frequencies evaluated in this final rule
and compares those costs to the costs
presented for the 2016 NSPS subpart
OOOOa. With the updates to the model
plants discussed in section V.B.1
through 3 of this preamble, the EPA
estimates that the semiannual
monitoring currently required by the
2016 NSPS subpart OOOOa for well
sites has a cost-effectiveness value of
$4,324/ton of VOC emissions reduced.
This value is $1,135/ton less than was
estimated for semiannual monitoring in
2016, after adjusting for inflation.
Therefore, we have determined that
semiannual monitoring remains cost
effective for well sites producing greater
than 15 boe per day. We also considered
the incremental cost effectiveness of
semiannual monitoring compared to
annual monitoring. This analysis
showed that it cost $2,666/ton of
additional VOC emissions reduced
between the annual and semiannual
monitoring frequencies. This cost is
very reasonable and, therefore, further
supports retaining semiannual
monitoring. Finally, the EPA notes that,
while we did not propose or take
comment on quarterly monitoring for
well sites, this monitoring frequency
results in a total cost of control of
$4,725/ton of VOC emissions reduced,
which is also less than the inflationadjusted cost-effectiveness value for
quarterly monitoring that was calculated
in 2016. However, the incremental cost
to reduce additional emissions by going
from semiannual monitoring to
quarterly monitoring is $5,927/ton,
which is a value that is higher than the
EPA has previously found to be cost
effective in the past.53
53 See 2007 NSPS subparts VV and VVa, 72 FR
64864, cited in the 2016 NSPS subpart OOOOa final
rule, 80 FR 56636. See TSD for additional analysis
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TABLE 3—COST-EFFECTIVENESS OF CONTROL FOR WELL SITES SUBJECT TO FUGITIVE EMISSIONS STANDARDS UNDER
SUBPART OOOOA OF 40 CFR PART 60
Cost effectiveness
($/ton VOC)
Monitoring frequency
2020 TSD
total cost
effectiveness 2
2016 TSD
total cost
effectiveness 1
Annual ..................................................................................................................
Semiannual ..........................................................................................................
Quarterly ..............................................................................................................
$4,723
5,459
7,559
$5,153
4,324
4,725
2020 TSD
incremental
cost
effectiveness
2,666
5,927
1 Values
from the 2016 TSD have been adjusted for inflation for comparison purposes.
2 As discussed in section V.B of this preamble, the EPA received comments that our original 2016 estimates were low, especially for recordkeeping and reporting burden. The 2020 estimates include adjustments to the 2016 estimates based on this information (which is higher than the
2016 TSD) plus include streamlined recordkeeping and reporting as well as other updates. In addition, the revised analysis found that the majority of the costs of the fugitive requirements are annual costs and do not vary with the monitoring frequency. That is, the recordkeeping and reporting burden remain consistent regardless of the monitoring frequency and the cost of each survey is not directly proportional to the incremental emissions reductions achieved at more frequent surveys. This is further explained in section V.B.2 of this preamble. Hence, Table 3
shows an increase in cost effectiveness for the annual monitoring frequency, but a decrease in the cost effectiveness for the semiannual and
quarterly cost effectiveness from the 2020 TSD. In contrast, the 2016 values presented here are directly from the 2016 TSD and have not been
adjusted based on our new analysis of what the 2016 rule cost.
As shown in the EPA’s revised model
plant analysis in the TSD for this final
rule, and consistent with the October
15, 2018, proposal, there is sufficient
evidence that low production well sites
are different than well sites with higher
production and, therefore, warrant a
separate evaluation of the cost of
control. The EPA did not include a
separate analysis of low production well
sites in the 2016 NSPS subpart OOOOa.
Therefore, all costs presented above for
well sites from the 2016 analysis also
would apply to low production well
sites. The EPA proposed biennial
monitoring of low production well sites
(i.e., well sites with total production at
or below 15 boe per day). Based on the
revised cost analysis, the EPA estimates
that the proposed biennial monitoring
frequency has a cost effectiveness of
$6,061/ton of VOC emissions reduced.
In addition, we estimate that annual
monitoring would cost $7,577/ton VOC,
and semiannual monitoring currently
required by the 2016 NSPS subpart
OOOOa has a cost of $6,116/ton of VOC
emissions reduced. All of these values
are higher than the inflation-adjusted
value of $5,459/ton VOC that was
estimated for semiannual monitoring at
well sites in 2016. Further, all of these
costs are higher than a value the EPA
has previously stated is not cost
effective.54 Therefore, we have
determined that none of the monitoring
frequencies are cost effective for low
production well sites. Table 4 provides
a summary of the costs of control for
low production well sites.
TABLE 4—COST-EFFECTIVENESS OF CONTROL FOR LOW PRODUCTION WELL SITES SUBJECT TO FUGITIVE EMISSIONS
STANDARDS UNDER SUBPART OOOOA OF 40 CFR PART 60
Cost effectiveness
($/ton VOC)
Monitoring frequency
2016 TSD
total cost
effectiveness 1
Biennial 3 ..............................................................................................................
Annual ..................................................................................................................
Semiannual ..........................................................................................................
2020 TSD
total cost
effectiveness 2
N/A
$4,723
5,459
$6,061
7,577
6,116
2020 TSD
incremental
cost
effectiveness
$12,125
3,192
1 Values
from the 2016 TSD have been adjusted for inflation for comparison purposes.
discussed in section V.B of this preamble, the EPA received comments that our original 2016 estimates were low, especially for recordkeeping and reporting burden. The 2020 estimates include adjustments to the 2016 estimates based on this information (which is higher than the
2016 TSD) plus include streamlined recordkeeping and reporting as well as other updates. In addition, the revised analysis found that the majority of the costs of the fugitive requirements are annual costs and do not vary with the monitoring frequency. That is, the recordkeeping and reporting burden remain consistent regardless of the monitoring frequency and the cost of each survey is not directly proportional to the incremental emissions reductions achieved at more frequent surveys. This is further explained in section V.B.2 of this preamble. Further, low production well site model plants were not developed as part of the 2016 rulemaking. Therefore, the 2016 values presented here were for all well sites,
without consideration of production. Hence, Table 4 shows an increase in cost effectiveness for the monitoring frequencies presented. In contrast, the 2016 values presented here are directly from the 2016 TSD and have not been adjusted based on our new analysis of what the 2016
rule cost.
3 Biennial monitoring was not evaluated in 2016, therefore, no cost effectiveness is presented in Table 4.
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2 As
Further, while this final rule does not
have to consider the costs of controlling
methane emissions, the EPA did
evaluate those costs. The costs for all of
the monitoring frequencies evaluated for
low production well sites are greater
and cost information, located at Docket ID No.
EPA–HQ–OAR–2017–0483.
54 See 2007 NSPS subparts VV and VVa, 72 FR
64864, cited in the 2016 NSPS subpart OOOOa final
rule, 80 FR 56636. See TSD for additional analysis
and cost information, located at Docket ID No.
EPA–HQ–OAR–2017–0483.
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than the highest value for methane that
the EPA determined to be reasonable in
the 2016 NSPS subpart OOOOa for both
methane only and under the
multipollutant approach.55 In the 2015
proposal for NSPS subpart OOOOa, the
EPA stated that a cost of control of $738
per ton of methane reduced did not
appear excessive when all costs are
assigned to methane reduction and zero
to VOC reduction. 80 FR 56624. Based
on the revised analysis, the costs of
control of methane emissions under the
single pollutant approach for low
production well sites are more than
double this value of $738 per ton at all
of the monitoring frequencies evaluated.
This value is also exceeded under a
multipollutant approach where methane
reduction only assumes half the cost, as
explained in the TSD.56 Therefore, even
if we had not rescinded the methane
standards in the Review Rule, we would
still conclude that fugitive emissions
monitoring, at any of the frequencies
evaluated, is not cost effective for low
production well sites.
While we are concluding that fugitive
emissions monitoring is not cost
effective for low production well sites,
production at these well sites could
potentially increase to greater than 15
boe per day, rendering monitoring to be
cost effective. For example, a new well
may be drilled at a well site, or the
existing wells may be refractured to
increase the production levels. When
these actions occur, the final rule
requires a new 30-day calculation of the
total well site production. If the total
production remains at or below 15 boe
per day, no monitoring is required as
long as the owner or operator continues
to maintain the production at these low
levels. However, if the total production
following one of these actions has
increased to greater than 15 boe per day,
the owner or operator must begin
monitoring for fugitive emissions within
90 days of the startup of production
following such action, the same as the
requirement for a modified well site.
Therefore, under the final rule, low
production well sites remain affected
facilities; however, they have the option
of maintaining production at or below
15 boe per day on a continuous basis
instead of implementing the fugitive
monitoring requirement.
55 See Section 2.5.1.1 of the TSD for additional
information.
56 For the multipollutant approach, the emissions
of each pollutant are calculated based on the
relative percentage of each pollutant in the gas
emitted. Since the same control is applied to the gas
emitted, the cost is divided in half to attribute the
costs of control equally between the two pollutants
(methane and VOC).
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There are three timeframes in which
we are requiring sources to calculate the
total production from the well site.
First, there are well sites that have not
yet triggered the requirements in NSPS
subpart OOOOa, which are those
constructed, reconstructed, or modified
after this final rule becomes effective.
The owner or operator of such a well
site has the option to calculate the total
well site production based on the first
30 days of production. If the total
production from all of the wells at the
well site is at or below 15 boe per day
(combined for both oil and natural gas
produced at the site), then the owner or
operator of the well site may either
maintain production at or below this
threshold on a rolling 12-month average
or begin the fugitive emissions program.
The owner or operator must comply
with one of these two requirements at
any and all times. If the total production
of the well site is above 15 boe per day
as determined in the first 30 days of
production, then the site must begin the
fugitive emissions program, including
completing the initial monitoring within
90 days of startup of production.
Recognizing that there are some well
sites that have triggered the fugitive
emissions requirements that may not
have 12-months’ worth of production
data yet but are already able to
demonstrate they are low production,
the final rule contains a provision to
allow the owner or operator to use
production records based on the first 30
days of production after becoming
subject to the NSPS to determine if the
well site is low production. This
determination must be made by
December 14, 2020. After that date, the
owner or operator may use the rolling
12-month average, as described next, for
demonstrating the well site is low
production.
Next, recognizing that production
declines over time, we are also allowing
an option for owners or operators
subject to the monitoring requirement to
determine whether the total production
for the well site declines to 15 boe per
day or below when calculated on a
rolling 12-month average. If the total
well site production is at or below this
threshold on a rolling 12-month average,
then the owner or operator has the
option to stop fugitive monitoring and
instead maintain total well site
production below this threshold. The
owner or operator must comply with
either the fugitive monitoring
requirement or maintain total well site
production below this threshold at any
and all times.
Finally, the EPA is aware that a low
production well site could later increase
production due to subsequent activities,
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as discussed above. For example,
owners or operators commonly take
actions to increase production as
production declines or continue to drill
new wells after the initial startup of
production of the well site. If
production subsequently increases to
greater than 15 boe per day, it would be
cost effective to implement the fugitive
emissions monitoring requirement. In
light of the above, the final rule requires
that any well site that is not conducting
fugitive emissions monitoring because
total well site production is at or below
the threshold must redetermine the total
well site production following any of
the following actions: A new well is
drilled, a well is hydraulically fractured
or re-fractured, a well is stimulated in
any manner for the purpose of
increasing production (including well
workovers), or a well at the well site is
shut-in for the purposes of increasing
production from the well site. These
well sites must recalculate the total well
site production based on the first 30
days of production following the
completion of that action. It is
inappropriate to continue to utilize a
rolling 12-month average because the
production in the 11 months prior to the
action that increased production would
bias the average low. Like well sites
constructed, reconstructed, or modified
after this final rule, these well sites must
recalculate the total well site production
based on the first 30 days of production
following the completion of that action
to increase production.
We have not calculated the impacts of
the production calculation because
owners and operators are already
required to track production for other
purposes, regardless of environmental
regulation, and we do not anticipate any
additional burden associated with these
records for purposes of this rule.
The final rule also requires
semiannual monitoring of gathering and
boosting compressor stations. As with
fugitive monitoring of well sites, based
on the revised cost analysis in the TSD
for the final rule, the EPA reexamined
the costs and emission reductions,
including incremental cost and
emission reductions, for various
monitoring frequencies. In the October
15, 2018, proposed rulemaking, the EPA
co-proposed annual and semiannual
monitoring of fugitive emissions at all
compressor stations. As previously
discussed, the 2016 NSPS subpart
OOOOa requires quarterly monitoring
for compressor stations, including
gathering and boosting stations,
transmission stations, and storage
stations. Therefore, the 2016
determination that quarterly monitoring
was cost effective was based on the
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weighted average of the costeffectiveness values for all of those
station types. In the Review Rule, which
was finalized in the Federal Register of
Monday, September 14, 2020, the EPA
has removed the transmission and
storage segments from the Crude Oil and
Natural Gas Production source category
and rescinded the standards for those
sources. As a consequence, only
gathering and boosting compressor
stations remain subject to the standards
of NSPS subpart OOOOa.
After updating the compressor station
model plants, the EPA estimates that the
quarterly monitoring currently required
by the 2016 NSPS subpart OOOOa has
a cost effectiveness of $3,221/ton of
VOC emissions reduced at gathering and
boosting compressor stations. The EPA
also considered the incremental cost
effectiveness of going from semiannual
monitoring to quarterly monitoring.
This analysis showed that it cost
$4,988/ton of additional VOC emissions
reduced between the semiannual and
quarterly monitoring frequencies. These
values (total and incremental) are
considered cost-effective for VOC
reduction based on past EPA decisions,
including the 2016 rulemaking.
However, the incremental cost of
$4,988/ton of additional VOC reduced is
on the high end of the range that we had
previously found to be cost-effective for
VOC.57 In contrast, semiannual
monitoring is very cost-effective, at a
total cost of $2,632/ton and incremental
cost of $2,501/ton between annual and
semiannual monitoring to reduce an
additional 2,156 tons of VOC per year.58
We further note that moving from
annual to semiannual monitoring
achieves the same incremental
reduction in VOC emissions as moving
from semiannual to quarterly
monitoring (2,156 tons/year) but at half
the cost per ton of additional VOC
reduced ($2,501/ton instead of $4,988/
ton). Moreover, additional factors
influence our evaluation of the
appropriateness of selecting quarterly
monitoring as compared to semiannual
monitoring for compressor stations. In
particular, the oil and gas industry is
currently experiencing significant
financial hardship that may weigh
against the appropriateness of imposing
the additional costs associated with
more frequent monitoring.59 The EPA
also acknowledges that there are
potential efficiencies, and potential cost
savings, with applying the same
monitoring frequencies for well sites
and compressor stations,60 In light of all
of these considerations, the EPA thinks
it is reasonable to forgo quarterly
monitoring and choose semiannual
monitoring as the BSER for compressor
stations. Table 5 provides a summary
57421
and comparison of these costs per ton of
VOC reduced.
While this final rule does not have to
consider the cost-effectiveness of
controlling methane emissions, the EPA
did evaluate those costs per ton of
methane reduced. As discussed above
for low production well sites, the
highest costs per ton of methane
reduced that we have found to be costeffective in the past is $738/ton.
Assigning all costs to methane (under
the single pollutant approach) results in
a total cost per ton of $895/ton and
incremental cost per ton of $1,387/ton
of methane reduced for quarterly
monitoring, which almost doubles the
highest cost per ton of methane reduced
that we had previously found to be costeffective ($738/ton). Under the
multipollutant approach, the
incremental cost per ton of additional
methane reduced is $695/ton. While
this incremental cost per ton is costeffective, it is also at the high end of the
range. Therefore, based on these costs
per ton of methane reduced and
considering the current financial
hardships being experienced across the
oil and gas industry, we would have
similarly required semiannual
monitoring even if methane had
remained a regulated pollutant.
TABLE 5—COST-EFFECTIVENESS OF CONTROL FOR COMPRESSOR STATIONS SUBJECT TO FUGITIVE EMISSIONS
STANDARDS UNDER SUBPART OOOOA OF 40 CFR PART 60
Cost effectiveness
($/ton VOC)
Monitoring
frequency
Gathering and boosting stations
2016 TSD
total cost
effectiveness 1
Annual .......................................
Semiannual ...............................
Quarterly ....................................
2020 TSD
total cost
effectiveness 2
$2,105
2,443
3,391
$2,698
2,632
3,221
Compressor station weighted-average
2020 TSD
incremental cost
effectiveness
2016 TSD
total cost
effectiveness 1
................................
$2,501
4,988
2020 TSD
total cost
effectiveness
$3,278
3,682
5,006
$3,606
3,341
3,908
2020 TSD
incremental cost
effectiveness
................................
$2,811
5,607
1 Values
from the 2016 TSD have been adjusted for inflation for comparison purposes.
2 As discussed in section V.B of this preamble, the EPA received comments that our original 2016 estimates were low, especially for recordkeeping and reporting
burden. The 2020 estimates include adjustments to the 2016 estimates based on this information (which is higher than the 2016 TSD) plus include streamlined recordkeeping and reporting as well as other updates. In addition, the revised analysis found that the majority of the costs of the fugitive requirements are annual costs
and do not vary with the monitoring frequency. That is, the recordkeeping and reporting burden remain consistent regardless of the monitoring frequency and the cost
of each survey is not directly proportional to the incremental emissions reductions achieved at more frequent surveys. This is further explained in section V.B.2 of this
preamble. Hence, Table 5 shows an increase in cost effectiveness for the annual and semiannual monitoring frequencies, but a decrease in the cost effectiveness for
the quarterly cost effectiveness from the 2020 TSD. In contrast, the 2016 values presented here are directly from the 2016 TSD and have not been adjusted based
on our new analysis of what the 2016 rule cost.
C. AMEL
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The 2016 NSPS subpart OOOOa
contains provisions for requesting an
57 See 2007 NSPS subparts VV and VVa, 72 FR
64864, cited in the 2016 NSPS subpart OOOOa final
rule, 80 FR 56636. See TSD for additional analysis
and cost information, located at Docket ID No.
EPA–HQ–OAR–2017–0483.
58 See Table 2–35f of the TSD located at Docket
ID No. EPA–HQ–OAR–2017–0483.
59 See Iyke, B. N., 2020. ‘‘COVID–19: The reaction
of US oil and gas producers to the pandemic.’’
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AMEL for specific work practice
standards covering well completions,
reciprocating compressors, and the
collection of fugitive emissions
components at well sites and
compressor stations. While written with
emerging technologies as the focus, the
provisions in the 2016 NSPS subpart
Energy RESEARCH LETTERS, 1(2), located at
https://erl.scholasticahq.com/article/13912.pdf.
See Gil-Alana, L. A., & Monge, M., 2020. ‘‘Crude
Oil Prices and COVID–19: Persistence of the
Shock.’’ Energy RESEARCH LETTERS, 1(1), located
at https://doi.org/10.46557/001c.13200.
See Sharif, et al., 2020. ‘‘COVID–19 pandemic, oil
prices, stock market, geopolitical risk and policy
uncertainty nexus in the US economy: Fresh
evidence from the wavelet-based approach.’’
International Review of Financial Analysis, 70,
7101496, located at https://doi.org/10.1016/
j.irfa.2020.101496.
60 See Docket ID Nos. EPA–HQ–OAR–2017–
0483–0755 and EPA–HQ–OAR–2017–0483–0773.
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OOOOa could also be used for state
programs, though the application
requirements were unclear on certain
points. Therefore, the EPA proposed
amendments to the application
requirements as they relate to emerging
technologies in order to streamline the
application process, and proposed a
new section to address state programs,
including proposed alternative fugitive
emissions standards based on our
review of existing state programs. This
section describes changes, based on
information provided in public
comments, to the AMEL provisions.
1. Emerging Technologies
The EPA continues to recognize that
new technologies are expected to enter
the market soon that could locate
sources of fugitive emissions sooner and
at lower costs than the current
technologies required by the 2016 NSPS
subpart OOOOa. While the EPA
established a foundation for approving
the use of these emerging technologies
in the 2016 NSPS subpart OOOOa, we
proposed specific revisions in the
October 15, 2018, proposal to help
streamline the application requirements
and process. Specifically, we proposed
to allow owners and operators to apply
for an AMEL on their own, or in
conjunction with manufacturers or
vendors and trade associations. We also
proposed to allow the use of test data,
modeling analyses, and other
documentation to support field test
data, provided seasonal variations are
accounted for in the analyses. While we
received many supportive comments on
these specific proposed amendments,
we also received comments asserting
that the application process is still too
restrictive and burdensome to promote
innovation.
First, the commenters stated that
applications seeking approval of an
alternative should be accepted by the
EPA from manufacturers and vendors
independently of owners and operators.
We have reviewed the information
provided by the commenters and agree
that it is appropriate in the context of
the revisions to 40 CFR 60.5398a to
remove language that previously
indicated from whom the Administrator
would consider applications under that
section because section 111(h)(3) of the
CAA states ‘‘any person’’ can request an
AMEL, and if they establish to the
satisfaction of the Administrator that the
AMEL will achieve emission reductions
that are at least equivalent with the
requirements of the rule, then the
Administrator will allow the alternative.
While the final rule allows any person
to submit an application for an AMEL
under this provision, the final rule still
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includes the minimum information that
must be included in each application in
order for the EPA to make a
determination of equivalency and, thus,
be able to approve an alternative. This
final rule requires applications for these
AMEL to include site-specific
information to demonstrate equivalent
emissions reductions, as well as sitespecific procedures for ensuring
continuous compliance.
Next, the commenters generally
supported the proposal to allow the use
of test data, modeling analyses, and
other documentation to support field
test data. In addition to their support of
these supplemental data, commenters
also requested that the final rule allow
the use of information collected during
testing at controlled testing facilities to
be considered in lieu of site-specific
field testing. The EPA considered
whether it would be appropriate to
allow this information and has concerns
related to the representativeness of the
information when compared to actual
operating sites. For example, we are
aware of one controlled testing facility
located in the U.S., the Methane
Emissions Technology Evaluation
Center (METEC) located in Fort Collins,
Colorado.61 That facility is equipped
with several different configurations of
well pads using equipment that was
donated from the oil and natural gas
industry. The test well pads do not
produce or process field gas; in fact,
none of the equipment that is onsite is
in contact with field gas. Instead,
METEC utilizes compressed natural gas
that is transported from offsite in order
to create controlled leaks. In
establishing controlled leaks, METEC
uses tubing with leak points near typical
leak interfaces to simulate a leak;
however, these releases are not operated
at pressures or temperatures that are
typically encountered at an operating
well site in the field. While we agree
that testing at a controlled testing
facility such as the METEC site can be
helpful to understanding how a
technology may perform, and the
information gathered from such
controlled test sites can be useful in
supplementing other data, it is
inappropriate to rely solely on the
information collected at these types of
facilities as being representative of how
the technology would perform at an
operating well site or compressor
station. At this time, the EPA does not
believe that it can determine the efficacy
of a monitoring or detection technology
where demonstrations take place only
under controlled conditions. By
61 See https://energy.colostate.edu/metec for more
information on the METEC facility.
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extension, the EPA would be unable to
determine the validity of whether an
alternative indeed achieves equivalent
emissions reductions if only presented
with data from testing at a controlled
testing facility. Therefore, we are
finalizing amendments that require field
test data, but that allow the use of test
data, modeling analyses, data collected
at controlled testing facilities, and other
documentation to support and
supplement field test data.
Next, we solicited comment on
whether groups of sites within a specific
area that are operated by the same
operator could be grouped under a
single AMEL. We received comments
that discussed this broad application of
alternatives in two distinct ways: (1)
Allowing the aggregation of emission
sources beyond the individual site in
order to demonstrate equivalent
emission reductions, and (2) allowing
the use of approved AMELs at future
sites that are designed and operated
under the conditions specified in the
approved AMEL. We evaluated both
types of broad approval options raised
in the comments by considering the
definitions in the existing rule and the
AMEL provisions of section 111(h)(3) of
the CAA.
In the first instance, we evaluated
whether it would be appropriate to
allow the aggregation of emission
sources beyond the individual site when
evaluating the equivalency of an
alternative. Specifically, we considered
whether an applicant for an AMEL
related to fugitive emissions monitoring
could aggregate the total fugitive
emissions across multiple sites within a
specific geographic area, such as a
basin, in order to demonstrate the
requested AMEL would achieve at least
equivalent emission reductions as the
NSPS requirements for fugitive
emissions monitoring and repair at an
individual site. The work practice
standards for the collection of fugitive
emissions components at a well site or
at a compressor station were established
pursuant to section 111(h) of the CAA,
which allows an opportunity for an
AMEL. In accordance with section
111(h)(3) of the CAA, a source may use
an approved AMEL for purposes of
compliance with the established work
practice. The commenters stated that the
generic use of the word ‘‘source’’ allows
aggregation of fugitive emissions
components amongst multiple sites and
is not limited to single sites. The EPA
does not agree that aggregating fugitive
emissions across multiple sites is a
viable method to determine equivalency
with the NSPS provided the definitions
of affected facility in NSPS subpart
OOOOa related to the collection of
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fugitive emissions components. NSPS
subpart OOOOa defines the ‘‘source’’
that is subject to the work practice
standards for fugitive emissions as the
‘‘collection of fugitive emissions
components at a well site’’ and the
‘‘collection of fugitive emissions
components at a compressor station’’ in
40 CFR 60.5365a(i) and (j). These terms
specify single-site applicability for the
work practice standard. Because the rule
does not define an affected facility or a
source to be a geographic area, such as
a basin, it is the EPA’s determination
that a demonstration of equivalent
emission reductions for purposes of
evaluating alternatives to the BSER has
been based on the fugitive emissions at
a single site, and not an aggregation of
emissions across multiple well sites,
compressor stations, or a combination of
these two site types with an averaging
or trading program akin to what the EPA
has referred to in the past as a ‘‘bubble’’
approach. For further discussion on this
topic, see section VI.C.2 of this
preamble.
The second point raised by
commenters was that requiring sitespecific approvals (i.e., AMELs that list
specific well sites or compressor
stations) would result in unnecessary
burden as new sites with the same
owner or operator, similar equipment,
operating conditions, and in the same
geographic area (e.g., basin) are
constructed. According to commenters,
this unnecessary burden results from
the need for the owner or operator to
apply for an AMEL for each of these
sites in the future, even though the
AMEL would be identical to the
previously approved AMELs for similar
sites. We agree with the commenters
that it is possible that AMELs could,
where appropriate, be approved for
future use at sites not included in the
original application as discussed below.
Commenters also encouraged the EPA to
consider the potential for AMELs
applicable to specific types of facilities
with different owners or operators
within an industry category or
geographic region.
While the EPA is not amending 40
CFR 60.5398a at this time to address
broad approvals of AMEL applications,
we do recognize that the Agency has
discretion in certain circumstances to
allow for broad approval of alternatives
via several different paths. First, for
example, an applicant could submit an
AMEL application for an alternative
technology (and associated work
practice) that includes specific site
characteristics under which the
technology (and associated work
practice) has been tested and that
demonstrates equivalent reductions to
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the standards in the NSPS. The
application would include an
explanation of these characteristics (e.g.,
characteristics of the formation,
operating conditions at the site, type of
equipment and processes located at the
site, and variables that affect
performance of the technology or work
practice) and a request that the EPA
consider broad approval of the
application such that sites (including
those subject to the NSPS at the time of
application and future sites) that meet
the same characteristics could utilize
the same approved alternative without
the need for additional application to
the EPA. The scope of such an approval
might be limited based on any number
of conditions as appropriate (such as
those mentioned above). The EPA
believes that, depending on the facts of
the application, some type of broad
approval may be a feasible path forward,
but we will need to evaluate the
information specific to the application
in hand once received. As of the date of
this final rule, the EPA has received no
applications for AMELs to be able to
determine if additional amendments
(beyond those in this final rule) are
necessary for such a situation, and how
such potential amendments might be
drafted to facilitate such broad
approvals. In summary, if the applicant
believes that it is appropriate to apply
the alternative to more sites than those
listed in the application because the
proposed alternative can achieve
equivalency for other sites, then the
applicant should state this intent and
make this demonstration to the EPA
within the application. If provided with
sufficient information, explanation,
justification, and documentation, the
EPA may determine under what defined
conditions, if any, it is appropriate to
allow the use of the alternative once
approved at any site meeting those
conditions, including sites constructed
in the future.
Second, the EPA is interested in
developing a framework in the future for
AMEL requests that share similar
characteristics (e.g., technologies) in
order to streamline both applications
and approvals. While the EPA has not
received applications related to the
work practice standards in the 2016
NSPS subpart OOOOa, we have
evaluated and approved AMELs for
other sources in a few instances for one
specific control technology, pressure
assisted multi-point flares (for further
information, see the EPA rulemaking
Docket ID No. EPA–HQ–OAR–2014–
0783). In the course of reviewing those
applications, the EPA was able to
establish testing criteria for this
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particular control technology to
demonstrate equivalency with the
underlying operational standards (i.e.,
98-percent control efficiency) as well as
other certain design, equipment, and
work practice standards, which, if met,
would help streamline approval of
applications submitted after that point.
The EPA is committed to working with
stakeholders to develop testing criteria
for technologies and work practices for
NSPS subpart OOOOa. However, due to
the variability of this sector, as well as
the wide-ranging array of technologies
currently being pursued for
development, we are unable to amend
the language within this rule and
provide such a framework at this time.
For the pressure assisted multi-point
flares, the EPA developed the testing
framework in conjunction with an
application and with stakeholder
feedback from the first AMEL requests
received and approved for that
particular technology. We have not yet
reached that critical first step of an
application being submitted to the EPA
to determine what testing framework
might be appropriate, or how that
framework might be technology familyspecific (e.g., continuous point
monitors, aerial surveys, mobile
equipment). We encourage interested
stakeholders to continue engaging with
us early in any application process so
additional streamlining measures can be
evaluated. The EPA is committed to
improving this process of evaluating
emerging technologies and may publish
another request for information
regarding technology innovation and the
application process.
Third, if an applicant can demonstrate
that a technology has very broad
applicability across the entire industry,
then, in addition to exploring the
possibility of an AMEL, the EPA also
would consider whether to undertake a
rulemaking process to amend NSPS
subpart OOOOa to allow for widespread
use of the technology. As always, the
EPA will review each application
individually to determine if it has
demonstrated that the alternative will
achieve equivalent or greater emission
reductions than the work practice
standard the alternative would replace.
In summary, we are finalizing
amendments to the application
requirements for an AMEL in 40 CFR
60.5398a. We are allowing applications
from any person. Further, we are
allowing the use of supplemental data,
such as test data, data collected at
controlled testing facilities, modeling
analyses, and other relevant
documentation, to support field data
that are collected to demonstrate the
emissions reductions achieved. While
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we are not amending the rule to
specifically state an approved AMEL
can be used for future sources, we
recognize that it may be possible, where
appropriate, for the EPA to establish
specific conditions during the AMEL
process under which an approved
alternative may be applied at sites not
specifically listed in the application.
2. State Fugitive Emissions Programs
To reduce duplicative burdens to the
industry related to the fugitive
emissions requirements, the EPA
proposed alternative fugitive emissions
standards for well sites and compressor
stations located in specific states. These
alternative standards were proposed
based on the EPA’s review of the
monitoring and repair requirements of
the individual state fugitive emissions
requirements 62 relevant to well sites
and compressor stations. In the
proposal, we stated that a well site or
compressor station, located in the
specified state, could elect to comply
with the specified state program as an
alternative to the monitoring, repair,
and recordkeeping requirements in the
NSPS. However, these sites would be
required to monitor all fugitive
emissions components, as defined in the
NSPS, comply with the requirement to
develop a monitoring plan, and report
the information required by the NSPS
because the sites remain affected
facilities.
Similar to the proposed amendments
for emerging technologies, we received
support for the proposed amendments
for state programs. However, some
commenters stated that the EPA should
recognize the approved state programs
as wholly equivalent to the NSPS,
including for all reporting and
recordkeeping requirements. The
commenters indicated that the EPA’s
equivalency determination still leaves
the regulated community in certain
states subject to duplicative
requirements. They added that
complying with two different reporting
and recordkeeping schemes for the same
site is very burdensome and provided
no environmental benefit.
For the proposal, we evaluated 14
existing state programs to determine
whether they are equivalent to the
fugitive emissions requirements in 40
CFR 60.5397a. That evaluation included
a qualitative comparison of the fugitive
emissions components covered by the
state programs, monitoring instruments,
leak or fugitive emissions definitions,
monitoring frequencies, repair
requirements, and recordkeeping
62 Note,
several states refer to the fugitive
emissions standards as LDAR.
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requirements to the requirements of the
NSPS.63 However, at the time of the
proposal, the EPA had not evaluated the
reporting requirements of the 14
individual state programs. We have
completed that evaluation for this final
rule for the state programs that we
proposed as alternative standards and
the results of that evaluation are
discussed in more detail in section
VI.C.2 of this preamble. We also
updated the overall analysis of
equivalency.64 Through this additional
evaluation, we concluded that the
recordkeeping and reporting
requirements of the various state
programs do not need to be exactly
equivalent to the requirements of the
NSPS subpart OOOOa because the
purpose of recordkeeping and reporting
requirements is to ensure compliance
with whatever standards apply.
Obviously, the state programs we
evaluated are not identical to the NSPS,
so it stands to reason that their
associated recordkeeping and reporting
requirements might differ. Therefore,
when evaluating the recordkeeping and
reporting requirements in the individual
state programs, we focused our review
on the elements of those requirements
that we deemed essential to a
demonstration of compliance with the
individual alternative standards. Sites
remain subject to the NSPS, because the
alternative standards are standards
within the NSPS, therefore, compliance
demonstrations are necessary through
recordkeeping and reporting.
At a minimum, the EPA requires
reports to include information that
allows a demonstration of compliance
for all fugitive emissions components
(as defined in 40 CFR 60.5430a) at the
individual site level (i.e., well site or
compressor station). This means the
report must provide information on
each individual monitoring survey
conducted at each well site or
compressor station adopting the
alternative fugitive emissions standards.
We reviewed the reports required under
state law for the six states for which we
are finalizing alternative fugitive
emissions standards (i.e., California,
Colorado, Ohio, Pennsylvania, Texas,
and Utah) to determine (1) if site-level
information is required in the reports
and (2) if the information reported
63 See memorandum, ‘‘Equivalency of State
Fugitive Emissions Programs for Well Sites and
Compressor Stations to Final Standards at 40 CFR
part 60, subpart OOOOa,’’ located at Docket ID No.
EPA–HQ–OAR–2017–0483. January 17, 2020.
64 See memorandum, ‘‘Equivalency of State
Fugitive Emissions Programs for Well Sites and
Compressor Stations to Final Standards at 40 CFR
part 60, subpart OOOOa,’’ located at Docket ID No.
EPA–HQ–OAR–2017–0483. January 17, 2020.
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demonstrates compliance through
inclusion of elements such as the date
of the survey, monitoring instrument
used, information for each identified
fugitive emission, repair information,
and delayed repair information. For
three of the six states (California, Ohio,
and Pennsylvania) where we are
finalizing alternative standards, the
required state reports are site-specific
and include information that will
demonstrate compliance with the
alternative standards. For the other
three states (Colorado, Texas, and Utah),
site-specific reporting is not required, or
will not demonstrate compliance with
the alternative standards. Therefore, the
sites adopting the alternative standards
for Colorado, Texas, and Utah, would
need to provide the site-specific reports
required in 40 CFR 60.5420a(b)(7). As
discussed in detail in section V.B.2 of
this preamble, the EPA is amending the
recordkeeping and reporting
requirements related to the fugitive
emissions requirements. The result of
these amendments is an annualized
burden reduction of approximately 27
percent for well sites and 30 percent for
gathering and boosting compressor
stations, and those same burden
reductions will be realized by sites in
these three states.65
For the three states that do not require
site-specific reporting, we reviewed the
state’s recordkeeping requirements to
determine if any additional records
would be necessary for reporting the
required information under the NSPS.
We found that for each of the three
states, the records are very similar to, if
not the same as, the information
required under the NSPS. Given that
additional records beyond those
required by the state are not necessary,
the EPA concludes that there is no
duplicative recordkeeping burden
associated with compliance with these
alternative standards. This, in addition
to the significant reduction in reporting
burden discussed in section V.B.2 of
this preamble, allows the EPA to
conclude the submission of the reports
required in 40 CFR 60.5420a(b)(7)
presents minimal burden for sites in
Colorado, Texas, and Utah.
Therefore, to summarize, the final
rule requires reporting of information to
demonstrate site-level compliance with
the alternative fugitive emissions
standards as follows:
• Where the state report includes sitespecific information for each fugitive
emissions survey that demonstrates
compliance with the alternative
65 See TSD for additional information on the
estimated cost burden at the individual site level at
Docket ID No. EPA–HQ–OAR–2017–0483.
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standard, the owner or operator has the
option to either (a) provide the EPA
with a copy of the state report, in the
format in which is it submitted to the
state, based on the following order of
preference: (1) As a binary file; (2) as an
Extensible Markup Language (XML)
schema; (3) as a searchable portable
document format (PDF); or (4) as a
scanned PDF of a hard copy, or (b)
provide the report required by 40 CFR
60.5420a(b)(7)(i) and (ii) to the EPA in
accordance with the applicable
reporting procedures.
• Where the state report does not
include site-specific information for
each fugitive emissions survey, the
owner or operator must report the
information required by 40 CFR
60.5420a(b)(7)(i) and (ii) to the EPA in
accordance with the procedures
applicable to such a submission.
Any owner or operator has the option
to complete the information required by
40 CFR 60.5420a(b)(7) in lieu of
submitting a copy of the state report. As
described in section IV.I of this
preamble, electronic reporting through
CEDRI is now required for all reports
under 40 CFR 60.5420a(b). Thus, the
EPA is requiring electronic submission
of reports for the alternative fugitive
emissions requirements, regardless of
whether the state continues to allow
paper copy submissions.
The EPA believes that adoption of
these alternative standards will further
reduce the burden of the fugitive
emissions standards on the industry
from this rule. No additional
recordkeeping beyond that required by
the alternative standard is necessary.
Additional justification for the EPA’s
decision to adopt these state programs
as alternative fugitive emission
standards is provided in the
memorandum 66 summarizing the EPA’s
review of each state program’s
requirements and in section VI of this
preamble.
We note that one commenter
expressed concern over the proposed
state equivalency determinations and
noted that several of the programs
evaluated have specific applicability
thresholds where the standards only
apply to a subset of sources, whereas the
NSPS applies to all new, modified, or
reconstructed sources.67 We agree that
the applicability thresholds for these
state programs are different from the
NSPS, but we do not agree that
66 See memorandum, ‘‘Equivalency of State
Fugitive Emissions Programs for Well Sites and
Compressor Stations to Final Standards at 40 CFR
part 60, subpart OOOOa,’’ located at Docket ID No.
EPA–HQ–OAR–2017–0483. January 17, 2020.
67 See Docket ID Item No. EPA–HQ–OAR–2017–
0483–2041.
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additional regulatory text is necessary to
address this concern. The regulatory
thresholds included in state programs
that limit or reduce monitoring and
repair requirements do not affect the
requirements for sources subject to the
NSPS. Therefore, if a site subject to the
NSPS is not also subject to the state
program because of the state-specific
applicability threshold, the site would
still be required to comply with the
requirements of the NSPS. Where
appropriate, we have amended the
regulatory text to clearly define the
requirements of the alternative standard.
More discussion of this comment and
our response is provided in section
VI.C.2 of this preamble.
VI. Summary of Significant Comments
and Responses
This section summarizes the
significant comments on the proposed
amendments and our responses to those
comments. Additional comments and
responses are summarized in the RTC
document available in the docket.
A. Major Comments Concerning Storage
Vessels
The EPA received numerous
comments on the proposed amendments
to the definition of ‘‘maximum average
daily throughput,’’ which is key in the
determination of storage vessel affected
facility status under the 2016 NSPS
subpart OOOOa. Many of the comments
we received were related to manifolded
storage vessel systems. The EPA
considered those comments and is
finalizing changes to the rule to address
a subset of these manifolded storage
vessel systems (i.e., controlled storage
vessel batteries as described in section
V.A of this preamble). A more detailed
summary of the comments regarding
controlled storage vessel batteries, and
our responses to those comments, is
available in the RTC document for this
action (see Chapter 6).68
In addition to the comments the EPA
received on controlled storage vessel
batteries, we also received other
comments related to storage vessel
applicability determination criteria.
Below is a discussion related to three of
these topics: (1) The use of legally and
practicably enforceable limits that
maintain VOC emissions from storage
vessels below 6 tpy, (2) the calculation
of maximum average daily throughput
based only on the days of actual
production in the first 30 days, and (3)
the determination of maximum average
daily throughput for storage vessels at
gathering and boosting compressor
68 See Chapter 6 of the RTC document located at
Docket ID No. EPA–HQ–OAR–2017–0483.
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stations, onshore natural gas processing
plants, and transmission and storage
compressor stations.
Comment: Some commenters stated
that the EPA proposed additional
parameters on what constitutes a
‘‘legally and practicably enforceable’’
limit; and, therefore, heightened the
standard for allowing use of such limit
in estimating a storage vessel’s potential
VOC emissions for purposes of
determining applicability of the storage
vessel standards at 40 CFR 60.5395a.
Specifically, the commenters took issue
with the statement in the preamble to
the October 15, 2018, proposed
rulemaking where the EPA stated ‘‘only
limits that meet certain enforceability
criteria may be used to restrict a
source’s potential to emit, and the
permit or requirement must include
sufficient compliance assurance terms
and conditions such that the source
cannot lawfully exceed the limit.’’ 83 FR
52085. One commenter claimed that
these additional criteria (1) conflict with
prior EPA statements made during
earlier oil and gas NSPS rulemakings;
(2) conflict with the EPA’s traditional
practice of deferring to states regarding
the appropriate mechanisms for limiting
potential to emit (PTE); (3) raise
concerns about how this new
interpretation/approach would apply in
the title V and New Source Review/
Prevention of Significant Deterioration
context where operators are relying on
the same control requirements to limit
their PTE; (4) raise significant concerns
about retroactive application; and (5)
ignore that the requirements for fugitive
components under the 2016 NSPS
subpart OOOOa are not tied to storage
tank applicability and apply regardless
of whether a storage tank is an affected
facility under the rule.
Commenters also cited the EPA’s
‘‘enforceability criteria’’ guidance,
which was first introduced in 1995, and
asserted that the EPA’s proposed
additional criteria were not consistent
with that guidance. One commenter was
concerned that the EPA’s proposal not
only conflicted with the Agency’s
traditional and consistent practice, it
also threatened to subject sources to the
NSPS that already determined their
potential for VOC emissions was below
the 6 tpy threshold by using the EPA’s
prior guidance.
Response: The EPA disagrees with the
commenters because we did not propose
additional parameters on what would
constitute a legally and practicably
enforceable limit. Rather, in the
proposal preamble, the EPA simply
summarized its position on this matter
based on the existing substantial body of
EPA guidance and administrative
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decisions relating to potential emissions
and emissions limits. As the EPA
explained, limits that meet certain
enforceability criteria may be used to
restrict a source’s potential emissions.
For example, any such emission limit
must be enforceable as a practical
matter, which requires that the permit
or requirement specifies how emissions
will be measured or determined for
purposes of demonstrating compliance
with the limit. The permit or
requirement must also include sufficient
terms and conditions such that the
source cannot lawfully exceed the limit
(e.g., monitoring, recordkeeping, and
reporting). For additional information
and a summary of the EPA’s position on
establishing legally and practicably
enforceable limits on potential
emissions, including examples of
‘‘enforceability criteria,’’ see In the
Matter of Yuhuang Chemical Inc.
Methanol Plant St. James Parish,
Louisiana, Order on Petition No. VI–
2015–03 (August 31, 2016) at 13–15.
Comment: Under the 2016 NSPS
subpart OOOOa, the applicability of the
storage vessel standards is based on a
single storage vessel’s potential for VOC
emissions, which is calculated using the
storage vessel’s ‘‘maximum average
daily throughput.’’ While ‘‘maximum
average daily throughput’’ is defined in
40 CFR 60.5430a of the 2016 NSPS
subpart OOOOa, several stakeholders
indicated that clarification of this
definition was needed. As a result, the
EPA proposed a revised definition. 83
FR 52106. The EPA received several
comments related to the proposed
definition, which requires that
‘‘production to a single storage vessel
must be averaged over the number of
days production was actually sent to
that storage vessel.’’ Most of the
commenters objected to this proposed
definition, claiming that it would be
more appropriate to average over the
entire 30-day evaluation period rather
than only those days when production
was sent to the storage vessel. With
regard to tank batteries, one commenter
asserted that the proposed definition
would not result in an accurate estimate
of the potential emissions from
individual storage vessels because it
would overestimate the total amount of
production that each tank could receive
over the 30-day evaluation period.
Further, the commenter stated that the
proposed definition would significantly
overestimate the volume of flow to the
tank battery as a whole when
compounded across multiple tanks and
extrapolated across an entire year.
Multiple commenters also generally
stated that the EPA’s proposed
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definition failed to account for the fact
that maximum well production has a
limit based on what the wells can
produce. However, the EPA did receive
one comment that agreed with the
proposed definition and that owners
and operators should not be able to
include days where the storage vessel
does not receive production when
determining storage vessel applicability.
Response: The EPA disagrees with the
comments suggesting that ‘‘maximum
average daily throughput’’ should be
determined by averaging across the full
30-day evaluation period instead of the
days when production is actually sent to
an individual storage vessel during that
period. As stated in the proposal, the
maximum average daily throughput
‘‘was intended to represent the
maximum of the average daily
production rates in the first 30-day
period to each individual storage
vessel,’’ 83 FR 52084, which is not the
same as an average daily production rate
based on averaging total production
across a full 30-day period. As
explained further in the proposal, in all
possible scenarios for determining the
daily production, only the number of
days in which production is sent to the
individual storage vessel is used for
averaging, which may be less than the
full 30 days in the evaluation period.
Indeed, including days where no
production was received would reduce
the maximum average daily throughput
to an individual storage vessel under
any of the scenarios described in the
proposal. 83 FR 52084. The commenters
did not explain how averaging actual
throughput to a storage vessel across the
full 30 days would accurately reflect the
‘‘maximum average daily production
rates,’’ therefore, we do not agree with
the commenters’ suggestion to use this
value for the purpose of determining a
storage vessel’s potential for VOC
emissions.
The EPA also disagrees with
comments suggesting that the EPA’s
proposed definition would overestimate
the potential for VOC emissions for
individual storage vessels in a tank
battery by failing to account for the
overall production to the tank battery
during the 30-day period. In addition to
the definition of ‘‘maximum average
daily throughput’’ which provided for
two operational scenarios, the EPA
further explained in the proposal how to
determine the daily or average daily
throughput, from which the maximum
average daily throughput is determined,
depending on how throughput is
measured. 83 FR 52084. The EPA’s
proposed definition is based on either
the daily (i.e., directly measured via
automated level gauging or daily
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manual gauging) or average daily (i.e.,
manual gauging at the start and end of
loadouts which occur over more than
one day) throughput routed to a storage
vessel while receiving production; the
fact that the storage vessel is receiving
that amount daily clearly indicates that
it has the potential to do so. The total
throughput to the entire tank battery
during the 30-day period is not germane
to this determination. Because there are
likely multiple daily throughput or
average daily throughput values for an
individual storage vessel during the 30day evaluation period, the maximum of
those values is used to calculate the
potential for VOC emissions, thus, the
use of the term ‘‘maximum average daily
throughput.’’
While the EPA is finalizing the
definition of ‘‘maximum average daily
throughput’’ as proposed, we note that
the final rule provides other
mechanisms for determining a storage
vessel’s applicability without having to
calculate the maximum average daily
throughput. Specifically, the final rule
allows owners and operators of
controlled tank batteries meeting
specified criteria to average VOC
emissions across the number of storage
vessels in the tank battery to determine
applicability for the individual storage
vessels in the battery. Also, as provided
in the 2016 NSPS subpart OOOOa, and
unchanged by this final rule, if a facility
has a legally and practicably enforceable
limit that restricts production to an
individual storage vessel, then it is
acceptable to use this restricted
production level as the maximum
average daily throughput for that
individual storage vessel.
Comment: Commenters stated that the
methods for determining the potential
for VOC emissions from storage vessels
in the 2016 NSPS subpart OOOOa were
not appropriate for storage vessels
located at compressor stations
(including gathering and boosting
compressor stations) and onshore
natural gas processing plants, and they
indicated that the proposed revisions to
40 CFR 60.5365a(e) and the definition of
maximum average daily throughput did
not alleviate this problem. More
specifically, commenters noted that the
2016 NSPS subpart OOOOa is clear that
storage vessels at well sites must
determine the potential for VOC
emissions based on the maximum
average daily throughput based on the
first 30 days that liquids are sent to the
storage vessel. The commenter noted
that storage vessels at compressor
stations and onshore natural gas
processing plants are designed to
receive liquids from multiple well sites
that may start up production over a
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longer period of time. Because these
storage vessels may not experience the
same peak in throughput to the storage
vessels during the first 30-days of
receiving liquids as storage vessels at
well sites, the commenter indicated that
owners or operators may underestimate
the potential emissions using the
throughput for the first 30 days.
Therefore, commenters requested that
the EPA clarify the appropriate time
period for calculating the maximum
average daily throughput for storage
vessels at facilities located downstream
of well sites. Alternatively, commenters
suggested that storage vessels at
gathering and boosting compressor
stations be allowed to use generally
accepted engineering models that
project future throughput. The
commenters explained that compressor
stations (including gathering and
boosting compressor stations) and
onshore natural gas processing plants
typically utilize process simulations
based on representative or actual liquid
analysis to determine potential VOC
emissions and volumetric condensate
rates from the storage vessels based on
the maximum gas throughput capacity
of each facility. These generally
accepted engineering models and
calculation methodologies are then
utilized to obtain Federal, state, local, or
tribal authority issued permits to set
legally and practicably enforceable
limits to maintain potential VOC
emissions from storage vessels at less
than 6 tpy. The commenter requested
that the EPA allow use of these
generally accepted models and
calculation methodologies to project
future maximum throughput volumes.
Response: The EPA agrees with these
commenters that potential VOC
emissions from storage vessels at
facilities downstream of well sites
should not be determined based on the
first 30 days that liquids are sent to
those storage vessels as they are
unlikely to experience the same peak in
throughput during that period as storage
vessels at well sites. It is the EPA’s
understanding, based on the
information provided by the
commenters and subsequent
conversations,69 that these midstream
and downstream storage vessels may
continue to see an increase in
throughput as additional upstream well
sites begin sending fluids to these
compressor stations and onshore natural
gas processing plants. Based on the
EPA’s review and understanding of the
generally accepted engineering models
69 See memorandum for ‘‘May 1, 2019 Meeting
with GPA Midstream,’’ located at Docket ID No.
EPA–HQ–OAR–2017–0483.
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for projecting future throughput to a
storage vessel, the EPA agrees that these
engineering models are appropriate for
projecting the maximum throughput for
purposes of calculating the potential for
VOC emissions from storage vessels
located downstream of well sites.
Based on the above reasons, the EPA
is amending the 2016 NSPS subpart
OOOOa to specifically provide the
following two options for determining
the potential for VOC emissions from
storage vessels at facilities downstream
of well sites. The first option, which is
already allowed in the 2016 NSPS
subpart OOOOa, allows owners or
operators to take into account
throughput and/or emission limits
incorporated as legally and practicably
enforceable limits in a permit or other
requirement established under a
Federal, state, local, or tribal authority.
The second option allows the use of
generally accepted engineering models
(e.g., volumetric condensate rates from
the storage vessels based on the
maximum gas throughput capacity of
each producing facility) to project the
maximum throughput used to calculate
the potential for VOC emissions.
B. Major Comments Concerning Fugitive
Emissions at Well Sites and Compressor
Stations
In section V.B of this preamble, we
discuss the significant changes from the
proposal to this final rule related to the
fugitive emissions requirements for well
sites and compressor stations. The
discussions in section V.B of this
preamble include a summary of the
major comments and our responses
related to those changes. Specifically,
section V.B of this preamble discusses
the following topics: (1) The three areas
of uncertainty potentially affecting the
cost-effectiveness analysis that were
identified in the October 15, 2018,
proposal; (2) recordkeeping, reporting,
and other administrative burden from
the fugitive emissions requirements; (3)
other updates to the model plants; and
(4) cost effectiveness of fugitive
emissions requirements. We also
discuss our re-evaluation of BSER after
consideration of all these topics.
In addition to the topics discussed in
section V.B of this preamble, the EPA
received comments on other aspects
related to the fugitive emissions
requirements. This section provides a
discussion of comments and our
responses regarding the following three
topics: (1) The EPA’s model plant
analysis for low production well sites;
(2) the effect of system pressure on
fugitive emissions at low production
well sites; and (3) monitoring of
compressors at compressor stations
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when operating and not in standby
mode. More detailed summaries and
additional comments on the fugitive
emissions requirements are included in
Chapter 8 of the RTC document
included in the rulemaking docket for
this action.
Comment: The EPA created model
plants representing low production well
sites for purposes of analyzing the
emissions and costs of a fugitive
emissions monitoring and repair
program at these types of well sites. In
the proposal, we also acknowledged that
operating pressures and production
volumes are factors that can cause
changes in the fugitive emissions at a
well site. 83 FR 52067. However, the
EPA was unable to incorporate these
factors into the emission estimates in
the model plants, and, therefore,
developed model plants that relied on
equipment and component counts to
analyze fugitive emissions from low
production well sites.
Some industry commenters disagreed
with the use of model plants that rely
on component counts alone to estimate
fugitive emissions from low production
wells due to differences in the type and
size of equipment and operating
conditions (e.g., operating pressure) at
low production well sites. The
commenters did agree that it is
reasonable to associate the number of
components to the potential for leaks.
However, the commenters continued to
maintain that emissions from low
production wells are inherently
different from large production wells
because of the basic physics of
production and how operators change
the physical equipment as production
warrants. Commenters indicated that
the fugitive emissions factors used by
the EPA, which were developed for
generally predicting emission levels,
account for different types of fugitive
emission components, but do not factor
in the amount of production or line
pressure.
Response: As stated in the proposal,
the EPA continues to recognize that
variations in equipment, operating
conditions, and geological aspects
across the country at low production
well sites may affect fugitive emissions
from low production well sites. As
described in section V.B of this
preamble, we have made updates to the
low production well site model plants
and re-evaluated the emissions and
costs of fugitive emissions monitoring
and repair requirements at low
production well sites. Based on this
updated analysis, the EPA concludes
that fugitive emissions monitoring and
repair is not cost effective at any
monitoring frequency for low
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production well sites. See section V.B of
this preamble for additional discussion.
Comment: The EPA received
additional comments and data related to
the low production well site model
plants developed and analyzed for the
proposal. One commenter conducted a
brief survey of its member companies’
gas well site operations in 13 states and
provided low production well site
component counts. This commenter
pointed out that the majority of
emissions (around 80 percent) from the
low production well site model plants
are from valves and storage vessel thief
hatches. Therefore, the commenter only
provided counts of these components,
along with the number of wellheads.
This commenter explained that the data
show fewer wellheads and valves than
assumed in the proposal model plant for
low production gas well sites. The
commenter stated that it did not
consider the data to be fully
representative of low production well
sites nationwide; nevertheless, relying
on the difference in component counts,
the commenter claimed that the EPA
overestimated the fugitive emissions in
the low production model plants used
for the proposal.
Response: While the commenter
specifically stated that it did not
consider the data to be fully
representative of low production well
sites nationwide, we reviewed the
information and compared it to the low
production well site model plants used
for the proposal analysis. Specifically,
we compared the weighted-average
component counts of the information
provided by the commenter to the EPA’s
low production well site model plant.
The information provided by the
commenter showed that the weightedaverage number of storage vessels was
approximately the same as that used in
the EPA model plant, the number of
well heads was half (one versus two in
the EPA model plant), and the number
of valves was just under 25 percent (23
versus 100 in the EPA model plant). If
the model plant was modified with
these adjusted component counts, the
overall difference in emissions would be
just over 50 percent.
After consideration of this
information, the EPA concluded it
provides an insufficient basis to revise
the low production well site model
plant component counts because the
information was limited to valves,
connectors, and storage vessels at a
sample of sites the commenter admitted
were not fully representative of low
production well sites. However, as
discussed above in section V.B of this
preamble, we did conduct further
review of the data originally used to
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develop the model plant parameters, as
well as GHGI data. That review resulted
in a 35-percent decrease in the number
of valves for the low production gas
well site model plant, as well as
decreases in the numbers of the other
components. More detailed information
on our analysis of the component count
information submitted by commenters is
contained in a technical
memorandum.70 As shown in the
revised model plant analysis, a fugitive
emissions monitoring program is not
cost effective for low production well
sites at any of the frequencies analyzed.
Comment: The EPA proposed
defining low production well sites as
sites where the average combined oil
and natural gas production for the wells
at the site is at or below 15 boe per day
averaged over the first 30 days of
production. 83 FR 52093. Several
commenters recommended changing the
definition of a low production well site
to be based on the U.S. Tax Code
definition of stripper wells. These
commenters also recommended using
12 months of production to determine if
a site is low production because most
well sites newly affected by NSPS
subpart OOOOa will not meet the
definition based on the first 30 days of
production and because production
declines over time such that eventually
all well sites become low production.
Response: The EPA has not adopted
the stripper well definition for purposes
of determining if a well site is low
production in this action because the
U.S. Tax Code definition applies to
individual wells, not well sites. The
fugitive emissions standards apply to
the collection of fugitive emissions
components located at a well site.
Adoption of the stripper well definition
could result in a scenario where one
well at the site is considered low
production but the other wells are not,
which is inconsistent with the affected
facility definition for fugitive emissions
components, where the entire site is
treated as one unit. Therefore, the
calculation of production for purposes
of determining if the well site is low
production is based on the total well
site production and not the individual
well production averaged across the
number of wells at the well site.
However, the EPA does agree with the
commenters that determination of low
production status based solely on the
first 30 days of production does not
account for decline in production over
time. Therefore, the final rule specifies
70 Memorandum. ‘‘Summary of Data Received on
the October 15, 2018 Proposed Amendments to 40
CFR Part 60, subpart OOOOa Related to Model
Plant Fugitive Emissions.’’ February 10, 2020.
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that a low production well site is a well
site with total well site production of oil
and natural gas at or below 15 boe per
day. This calculation can be based on
the first 30 days of production for
determining initial applicability to the
rule and based on a rolling 12-month
average to account for production
decline. See section V.B of this
preamble for additional discussion.
Comment: Commenters urged the EPA
to use the Department of Energy (DOE)
research program 71 announced on
October 23, 2018, to determine more
accurate assessments of low production
well emissions. The commenters
asserted that the DOE study provides
the EPA the opportunity to collect direct
emissions data on fugitive emissions at
low production well sites. The
commenters concluded that these data
would provide the EPA with a baseline
that shows the distinctions between
large wells and low production wells
and the differences that may exist
between types of wells and between
production regions.
Response: The EPA is regularly
updated on the DOE program and
provides technical input on many
projects. However, data from the DOEfunded study on low production wells
are not currently available. The
conclusions made in this final rule are
based on currently available
information, which includes many data
sources that cover low production wells,
such as DrillingInfo, Greenhouse Gas
Reporting Program, and other emission
measurement studies. As discussed in
this section and in section V.B of this
preamble, the EPA agrees that existing
information shows that low production
well sites may have lower emissions
than well sites with higher production.
As such, the final rule has separate
requirements for well sites with total
production at or below 15 boe per day,
instead of the required fugitive
emissions monitoring program
(including semiannual monitoring) for
well sites above this production
threshold.
Comment: In addition to co-proposing
annual monitoring of fugitive emissions
components located at a compressor
station, the EPA proposed a requirement
that each compressor at the station must
be monitored at least once per calendar
year when it is operating. The EPA also
solicited comment regarding the effect
the compressor operating mode has on
fugitive emissions and the proposal to
require at least one monitoring a year
during times that are representative of
operating conditions for the compressor
station.
71 https://www.netl.doe.gov/node/5775.
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Several industry commenters opposed
the EPA’s proposal to require that each
compressor be monitored while in
operation (i.e., not in stand-by mode),
because if the station is subject to
annual monitoring (which was coproposed), this requirement would
result in a requirement for every
compressor to be operating during the
monitoring survey, even if all of the
compressors are not needed at that time
to move gas downstream. The
commenters believed that the result of
this requirement would be the
generation of emissions from
compressor blowdowns following the
monitoring survey in order to return the
compressors to the operating modes
they were in prior to the survey. The
requirement would also create
unnecessary recordkeeping and
scheduling complexity/burden,
according to commenters. Requiring
equipment to be monitored in a specific
mode of operation, especially at less
frequent monitoring than quarterly,
would increase overall emissions if that
equipment must change its operational
status solely to fulfill that requirement.
These commenters recommended that
the EPA allow operators to conduct
surveys with facility operations as they
are found when the survey is
conducted.
However, another commenter stated
that its data suggests that it is important
to conduct monitoring on fully
operating compressors to maximize the
number of leaks detected. The
commenter stated that beyond these
data, it is also simply common sense
that as the ratio of pressurized to
depressurized components increases, so
will the number of leaks detected
(depressurized components do not leak).
One of the problems is that operation
modes vary seasonally at each
compressor station, and within each
compressor station, the operating modes
of each unit can vary daily based on
demand. The commenter asserted that
the current quarterly compressor
monitoring frequency creates a higher
probability of conducting a survey
where each compressor is monitored in
a pressurized mode at least once per
year. If the EPA moved to less frequent
monitoring, the commenter
recommended that there should be some
condition to ensure that a reasonable
effort is made to schedule the surveys
during a time of peak operation.
Response: The EPA reviewed the
input provided by the commenters.
While we agree with the one commenter
that the opportunity for fugitive
emissions is greater when a compressor
is pressurized and operating, the EPA is
not finalizing the proposed requirement
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that each compressor must be monitored
while in operation (i.e., not in stand-by
mode) at least annually. The EPA has
specified in the final rule that the
monitoring survey of fugitive emissions
components at a gathering and boosting
compressor station is semiannual after
the initial survey and subsequent
semiannual monitoring surveys must be
conducted at least every 4 to 7 months.
Therefore, as pointed out by the
commenter, the likelihood that all
monitoring events in a year will be
when a specific individual compressor
is not operating is relatively low. For the
reason stated above, this final rule does
not require monitoring of each
individual compressor at the station
while it is in operation (i.e., not in
stand-by mode) at least once per
calendar year.
However, the EPA does conclude that
it is important that the operating mode
during the monitoring survey be
recorded. While we would not expect
that owners or operators would modify
their operating schedules to avoid
monitoring when the compressor is
operating, or that they would purposely
schedule every monitoring event during
shutdown periods, we believe that this
record would inform the Agency if this
were occurring and, if so, how often.
This information will provide valuable
points for future analyses on leak rates
and operating modes. Therefore, the
final rule requires that owners and
operators keep a record of the operating
mode of each compressor at the time of
the monitoring survey.
C. Major Comments Concerning AMELs
1. Emerging Technologies
The EPA received comments related
to AMELs for emerging technologies on
several topics. The comments received
by the EPA that resulted in significant
rule changes are discussed in section
V.C.1 of this preamble, along with our
response and rationale for the changes.
The specific topics were (1) who can
submit an AMEL application, (2) what
data can or must be included in an
AMEL application, and (3) what broader
applications of alternatives are
permitted. Further details on comments
related to the broader applications of
AMEL technology, specifically on the
issues of applying AMEL to multiple
similar sites or to categories of sources,
are provided below along with the
EPA’s responses. Other comments, and
more detailed comments covering the
topics discussed in this preamble
related to emerging technologies can be
found in the RTC document available in
the docket, along with EPA’s responses.
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Comment: In the proposal, the EPA
reiterated its position that AMEL
approvals would be made on a sitespecific basis but noted that applicants
could include multiple sites within one
application as necessary. Many
commenters disagreed with that
proposal, stating that the EPA should
allow approved AMELs to apply more
broadly to multiple sites, basin-wide,
industry-wide, or even based on nationwide efficacy. Commenters asserted that
restricting AMEL approval to a specific
site is inconsistent with the EPA’s past
practice for OGI, in which the EPA
determined that OGI achieves emission
reductions equivalent to Method 21 for
several industries and source categories
in a single rulemaking.72 Some
commenters feared that the site-specific
approval process that includes Federal
Register notice and comment
requirements is so onerous that it will
stifle innovation in new technology, and
another noted that its customers have
indicated that they would not apply for
an AMEL if approval is site-specific.
Commenters pointed out that the sitespecific approval process could create a
crush of AMEL applications for
hundreds or thousands of sites, but the
applications would be limited to only
the technologies previously approved or
most likely to be approved as AMEL.
In response to the EPA’s concern that
alternative technologies may need to be
adjusted for site-specific conditions,
such as gas compositions, allowable
emissions, or the landscape, several
commenters suggested that the EPA
could account for factors affecting
variability, such as the weather or
landscaping, by imposing conditions for
the use of the technology and/or require
periodic instrument checks, calibration
records, or other actions to ensure
equivalent emission reductions are
achieved within the approved AMEL.
The commenters also noted that if there
is concern about allowable emissions
impacting the usability of a particular
technology, that technology may only be
approvable for use as an approach to
direct inspection efforts, but this factor
would not affect the ability for it to be
approved for that use at multiple sites.
Response: The EPA does not seek to
stifle innovation of emerging
technologies. In fact, the Agency is
actively involved in many multistakeholder groups aimed at developing
frameworks and criteria that will
promote the development of possible
alternatives. As such, the EPA strongly
encourages interested parties to discuss
possible alternatives with the Agency.
72 See the Alternative Work Practice located at 40
CFR 60.18(g), (h), and (i).
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However, the EPA disagrees that this
final rule should be the vehicle used to
make determinations about any
particular technology because the
proposed rulemaking did not evaluate
any specific technology. The EPA also
disagrees that this rule is inconsistent
with the EPA’s past practice for OGI, in
which the EPA allowed the use of OGI
as an alternative to Method 21 for
several industries and source categories
in a single rulemaking.73 The EPA notes
that while the AMEL process provided
for in CAA section 111(h)(3) contains
elements similar to a rulemaking (such
as notice and opportunity for public
hearing), approval of an alternative does
not always require rulemaking. If a
technology is developed that could be
broadly applied to oil and gas sites as
an alternative to what is required in
NSPS subpart OOOOa, it may be more
appropriate to incorporate such a
technology into the rule through a
formal rulemaking process so that every
affected facility can make use of that
alternative.
As discussed in section V.C.1 of this
preamble, the EPA agrees that in some
circumstances, it may be appropriate to
apply an approved AMEL to multiple
sites, including future sites. If the
applicant of an AMEL believes that it is
appropriate to apply the alternative to
more sites than those listed in the
application, the applicant should
specify this within the application and
provide any characteristics or variables
that are applicable to the type of sites
where the equivalency demonstration is
being made. Specifically, the applicant
should provide relevant information,
including any specific conditions (e.g.,
technology-specific variables that affect
performance), procedures (e.g., specific
work practice that will be followed to
identify emissions and make repairs), or
site characteristics under which the
alternative must be applied (e.g.,
formation variables, site operating
conditions, equipment at the site, etc.),
to demonstrate equivalence with the
emissions reductions that would be
achieved under the requirements of the
NSPS. The EPA will evaluate these
defined conditions and additional
conditions, if any, under which it might
be appropriate to allow future use of the
alternative once approved via the AMEL
process. For example, the EPA might
approve the use of a specific fugitive
emissions detection technology that
operates with the same performance
under specific work practice
requirements, environmental
conditions, and site configurations and
operations. In that example, the EPA
73 See
40 CFR 60.18(g), (h), and (i).
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might determine it is appropriate to
approve the AMEL and define the
specific parameters (e.g., environmental
conditions, site configurations, and
operations) within the approval to allow
the use of that alternative at sites
meeting those same conditions without
the need for additional future
application to the EPA. However, each
of these determinations would
necessarily be made on a case-by-case
basis provided the application contains
all necessary information to make such
a broad determination for applicability
of the AMEL. Given that these
determinations are made on facts and
showings that are specific to each
proposed alternative, the EPA has
determined that the best course forward
is for an applicant to submit an
application seeking a broadly applicable
AMEL and for the Agency to then use
its evaluation of that application as a
template for future applications, thereby
streamlining the process.
Comment: Several commenters stated
that the EPA should approve the use of
alternative technologies under the
Agencies’ AMEL authority for broad
categories of sources subject to NSPS
subpart OOOOa, such as fugitive
emissions components across multiple
sites. They remarked that there is
nothing in the statute that requires the
EPA to set source-specific AMELs, and
the EPA’s position regarding the
necessity of source-by-source
applications and approvals for AMEL is
incorrectly taken from a narrow reading
of the language of CAA section
111(h)(3). The commenters stated that,
while the language of CAA section
111(h)(3) provides that an AMEL is
permitted to be used ‘‘by the source’’ for
purposes of compliance, the EPA’s
reading of this provision to disallow the
granting of AMEL for use by multiple
sources is inconsistent with the NSPS
approach of developing standards for
whole categories of sources.
Some commenters said that because
an AMEL will serve as a replacement for
a category-wide CAA section 111(h)(1)
standard, a demonstration that an AMEL
will achieve an emission reduction at
least equivalent to a CAA section
111(h)(1) standard could be made on a
category-wide basis and be applied to an
entire source category. These
commenters suggested that allowing for
source category-wide AMEL
determinations would be consistent
with the overall structure of CAA
section 111 and its focus on categorywide standards under CAA sections
111(b) and (h)(1) and with the limitation
prohibiting the EPA from imposing
specific technological emission
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reduction requirements pursuant to
CAA section 111(b)(5).
These commenters further stated that
the EPA’s regulation implementing CAA
section 112(h)(3) recognizes that the
EPA is authorized to approve an AMEL
for ‘‘source(s) or category(ies) of sources
on which the alternative means will
achieve equivalent emission
reductions.’’ 74 They contended that,
given the similarities between the
programs authorized under CAA section
111 and CAA section 112, and
particularly the similarity of CAA
sections 111(h)(3) and 112(h)(3), the
EPA should adopt a policy of applying
an AMEL to source categories for CAA
section 111(h)(3) in the same manner as
it has done with respect to CAA section
112(h)(3). They noted that in other
rules, such as the visibility provisions
that require the best available retrofit
technology (BART), the EPA’s rules
allow the EPA and the states to
authorize BART alternatives that can
apply to groups of sources and that
allow emission averaging across
sources, even over wide regions, rather
than imposing source-specific emission
limits or source-specific alternatives to
such limits. The commenters stated that
if alternatives to emission limits (or
work practice standards) for groups of
sources under these provisions are
permissible despite the continued
references to the term ‘‘source’’ in the
statutory language, then a source
category-wide AMEL is surely
permissible under CAA section
111(h)(3).
Response: On the first point raised by
commenters, and as explained in the
EPA’s response above, the EPA agrees
that in some instances broad use of an
approved alternative may be
appropriate. The current construct of
the AMEL application process in NSPS
subpart OOOOa does not prevent the
EPA from taking this path as suggested
by the commenters.
The commenters also suggest that the
EPA should apply AMEL to a source
category in the same manner in which
the EPA has done for applications
submitted through section 112(h)(3) of
the CAA. While the EPA has approved
AMEL for sources subject to standards
under section 112 of the CAA, these
approvals have been made on a sitespecific basis, in which each application
specifically lists the facilities that are
applying for approval. Further, while
similar, CAA section 112(h)(3) does not
apply for purposes of demonstrating
equivalence with work practice
standards in the NSPS.
74 See
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For purposes of evaluating whether an
alternative to fugitives monitoring
provides at least equivalent emission
reductions as the applicable standards
in the context of NSPS subpart OOOOa,
the EPA asserts that the emissions from
an individual site are the only
appropriate measure for comparison.
First, the BSER determination for the
collection of fugitive emissions
components is based on a single well
site, or a single compressor station, not
a collection of well sites and/or
compressor stations, and not the
emissions of the entire source category.
The source category for which NSPS
subpart OOOOa sets standards of
performance under CAA section 111 is
the Crude Oil and Natural Gas
Production source category. This
category is defined in 40 CFR 60.5430a
as crude oil production, which includes
the well and extends to the point of
custody transfer to the crude oil
transmission pipeline or any other
forms of transportation; and natural gas
production and processing, which
includes the well and extend to, but
does not include, the point of custody
transfer to the natural gas transmission
and storage segment.75 Within this
source category, the EPA has set
standards of performance (BSER) for
individual affected facilities. These
affected facilities are the only emission
sources within the Crude Oil and
Natural Gas Production source category
for which these NSPS apply and are
defined in 40 CFR 60.5365a.
Specifically, the EPA has defined the
collection of fugitive emissions
components at a well site and the
collection of fugitive emissions
components at a compressor station as
individual affected facilities in the rule.
Affected facilities are defined at the
individual site level, and not as the
collection of fugitive emissions
components across multiple sites, or a
collection of sources within a basin.
Further, the standards that apply to
these affected facilities are specific to
the individual well site or compressor
station, as defined in 40 CFR 60.5365a(i)
and (j) and 40 CFR 60.5397a. For
example, the collection of fugitive
emissions components at an existing
well site become subject to the fugitive
emissions requirements when (1) a new
well is drilled at that well site, (2) an
existing well at that well site is
hydraulically fractured, or (3) an
existing well at that well site is
hydraulically refractured. In all three
75 See the Review Rule published in the Federal
Register of Monday, September 14, 2020 and
supporting information located at Docket ID No.
EPA–HQ–OAR–2017–0757.
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cases, the event that triggers the
requirements for an existing well site
are based on site-specific changes, and
not changes at other nearby sites.
Drilling a new well at a well site within
the same basin, for instance, does not
trigger the fugitive emissions
requirements for all well sites located in
that basin.
When establishing the requirements
for the collection of fugitive emissions
components, the EPA limited the
applicability to individual well sites or
compressor stations. The work practice
standards set in accordance with section
111(h)(1) of the CAA were established
for the collection of fugitive emissions
components at an individual well site or
compressor station. Since the NSPS
does not define the emission source
subject to BSER as a basin, or other
aggregation of emission points, the EPA
finds it inappropriate to evaluate
alternatives that seek to implement such
a definition. As a practical matter, the
EPA concludes that any determination
of equivalent emission reductions
through an AMEL under section
111(h)(3), or for an alternative work
practice under section 111(h)(1), of the
CAA for these NSPS should be
determined at the same affected facility
level (i.e., collection of fugitive
emissions components at a well site or
at a compressor station) as the original
work practice standards.
Similar to the EPA’s explanation in
the Affordable Clean Energy rule
(‘‘ACE’’), here the EPA does not need to
determine whether it would have
reasonable grounds to define ‘‘source’’
for purposes of the fugitive emissions
monitoring work practice standard as a
geographic area, such as a basin.
Because these NSPS define an affected
facility for this purpose as the collection
of fugitive emissions components at a
well site, and the collection of fugitive
emissions components at a compressor
station, the EPA does not think it is
appropriate for AMEL applications to
accommodate the averaging of
emissions.76
Second, it is unclear whether the
commenters are suggesting that such
aggregation would take into account
emissions from sources within a basin
not subject to these NSPS, such as
existing oil and gas well sites or
compressor stations, or sources that
emit VOC that are included in a
different source category. In response to
this point, the EPA directs commenters
to the discussion of CAA section 111,
generation shifting, and emission offsets
76 See 81 FR 32520, 32556 and 57 (July 8, 2019)
(section titled ‘‘Averaging and Trading’’).
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57431
included in ACE.77 ‘‘[T]he plain
language of CAA section 111 does not
authorize the EPA to select as the BSER
a system that is premised on application
to the source category as a whole or to
entities entirely outside the regulated
source category.’’ 78 This principle also
applies in the context of evaluating
alternatives to the established BSER.
Lastly, commenters suggest that
averaging should be appropriate here
because the EPA allows averaging in its
BART program. However, that
comparison is not appropriate because it
fails to consider differences between
BART and the BSER for this NSPS. The
BART requirement is just one
component of a larger strategy to make
reasonable progress towards the
national goal of remedying visibility
impairment in certain areas. The EPA
determined in the BART context that if
a state can demonstrate that an
alternative strategy, such as an
emissions trading scheme, will be even
more effective at improving visibility,
such a ‘‘better-than-BART’’ strategy may
be adopted to fulfill the role that would
otherwise by filled by BART. However,
in the context of this NSPS there is less
flexibility on this point than in the
BART program because, as explained
above, there are no other components to
reducing emissions aside from the
BSER, the BSER is not based on
reasonable progress, and this NSPS does
not define the emission source subject
to BSER as a basin or other aggregation
of emission points.
2. State Fugitive Emissions Programs
The EPA received comments related
to the alternative fugitive emissions
standards on several topics. The
comments received by the EPA that
resulted in significant rule changes are
discussed in section V.C.2 of this
preamble, along with our response and
rationale for the changes. Specifically,
these topics were related to whether the
state regulations/requirements
determined to be alternative fugitive
standards to NSPS subpart OOOOa
fugitive requirements will provide
adequate coverage of the emission
sources in the state and the potential for
duplicative reporting and recordkeeping
requirements. Further details on
comments related to these topics are
provided below, along with other
significant comments and the EPA’s
responses. Other comments, and more
detailed comments covering the topics
discussed in this preamble, related to
the state fugitive monitoring programs
can be found in the RTC document
77 Id.
78 Id.
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available in the docket, along with the
EPA’s responses.
Comment: The EPA proposed
alternative fugitive emissions standards
based on our determination that certain
states had existing requirements
equivalent to the proposed fugitive
emissions requirements. These
determinations were based on
qualitative assessments comparing
various aspects of the requirements,
such as monitoring frequencies and
repair deadlines. Two commenters
stated that the equivalency
determinations must be quantitative if
the EPA wants to set alternative
standards because they are similar to
AMELs. The commenters indicated that
the Agency’s analysis evaluated whether
a state has regulations that are similar to
the EPA’s regulations, rather than
whether the emissions reductions
achieved by those regulations are
quantitatively equivalent. One of the
commenters stated that the EPA’s
qualitative comparison is legally
insufficient because it does not meet the
statutory requirement that an applicant
‘‘establish’’ that an AMEL ‘‘will
achieve’’ reductions in emissions ‘‘at
least equivalent to’’ the reduction
achieved under the Federal standards.79
This commenter stated that, without a
quantitative comparison, it is
impossible to determine whether an
AMEL will achieve at least an
equivalent reduction in pollutant
emissions. The commenter further notes
that past AMEL approvals under this
provision were based on detailed
quantitative determinations for each
facility to determine the exact emissions
levels that would be achievable at that
facility, and then those levels were
compared to the emissions levels
achievable under the present NSPS. The
commenter stated that the EPA’s policy
changes in how equivalency is
determined are inconsistent with the
requirements of section 111(h) of the
CAA and also stated that the EPA’s
approach of ‘‘combining . . . aspects of
the state requirements to formulate
alternatives,’’ 80 to determine
equivalency is not a permissible or
reasonable approach. The commenter
noted that while some aspects of a statelevel program may be more protective
than the corresponding Federal
requirements, others may not be, and
the commenter stated that qualitative
comparisons cannot determine the net
effects of program elements that point in
opposite directions.
Response: The EPA agrees that in
some instances when the EPA is
79 See
80 See
CAA section 111(h)(3).
83 FR 52081.
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evaluating an alternative, it would be
preferable to use a quantitative analysis,
but we do not agree that such analysis
is necessary or prudent in this instance
for determining the equivalency of
fugitive emissions requirements in state
regulations. The CAA does not require
the EPA to conduct a quantitative
analysis to evaluate an alternative
standard or to determine whether that
alternative is equivalent to the
underlying standard. Work practice
standards under section 111(h)(1) of the
CAA are set when ‘‘it is not feasible to
prescribe or enforce a standard of
performance.’’ Section 111(h)(2) of the
CAA further defines that the phrase not
feasible to prescribe or enforce a
standard of performance means any
situation in which the Administrator
determines that: (A) A pollutant or
pollutants cannot be emitted through a
conveyance designed and constructed to
emit or capture such pollutant; or (B)
the application of measurement
methodology to a particular class of
sources is not practicable due to
technological or economic limitations.
Fugitive emissions are not quantified
within the rule, and the technologies
used in this rule to detect fugitive
emissions do not quantify the actual
emissions that are detected and then
remediated through repair. Further,
even if direct quantification were
possible through the currently approved
technologies, those quantified emissions
would only represent the fugitive
emissions detected on that specific day
and would not offer information related
to how long those emissions were
present prior to detection, or account for
any emissions that occur between
monitoring surveys. Due to the factspecific circumstances of the work
practice standard in the existing rule, it
is not practical for the EPA to conduct
an accurate and meaningful quantitative
analysis of the alternatives. It is also not
necessary for the EPA to conduct a
quantitative analysis. The statute does
not require a quantitative analysis.
Therefore, the most practical way to
evaluate the equivalence of a fugitive
emissions monitoring and repair
program is through the site-specific
qualitative comparison that we used. It
is the EPA’s determination that the
analysis, which evaluates the types of
components monitored, the frequency of
monitoring, the detection instrument,
the threshold that triggers repairs, and
the repair deadline, is sufficient and
appropriate for demonstrating that the
six programs identified as alternative
fugitive standards are equivalent to the
fugitive emissions requirements of
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NSPS subpart OOOOa.81 Therefore, we
have not conducted a quantitative
analysis of the individual state programs
that are finalized in this action as
alternative standards.
Comment: One commenter performed
its own quantitative assessment of the
state programs that the EPA proposed as
equivalent to NSPS subpart OOOOa
with the October 15, 2018, proposal.
From this analysis, the commenter
stated that it found differences in the
applicability thresholds for several of
the state programs, which results in the
state programs (combined) covering
only 34 percent of the total wells that
would be covered by the proposal or the
2016 NSPS subpart OOOOa in these
states. The commenter also stated that
state programs vary in stringency and
may not reduce emissions to the same
level as the EPA standards, such as the
Ohio and Texas provisions that allow
for inspection frequency to decrease
based on the percentage of components
leaking. The commenter asserted that its
assessment demonstrates that both the
Ohio and Texas programs reduce
emissions to a lesser extent than the
proposed requirements, while California
and Colorado meet the emission
reduction levels accomplished by the
proposal. Overall, the commenter said
that the state programs will achieve a
reduction of methane emissions that is
36 percent less than the reduction that
would be achieved by the amendments
proposed on October 15, 2018. When
compared to the 2016 NSPS subpart
OOOOa requirements, the commenter
said that the state programs would
result in 58 percent less emissions
reductions. The commenter remarked
that these findings demonstrate that
these state programs are not equivalent
to either the proposal or the 2016 NSPS
subpart OOOOa. Another commenter
also remarked that the California Air
Resources Board has performed a
preliminary assessment of state
programs against the 2016 NSPS subpart
OOOOa and found that only the
California, Colorado, Pennsylvania,
Utah, and Texas programs (within
narrow parameters) are likely to be
equivalent.
Response: The EPA reviewed the
analysis provided by the commenter but
notes that the analysis appears to
include an incorrect assumption.
Specifically, the commenter stated that
only 34 percent of the wells covered by
the fugitive emissions requirements in
NSPS subpart OOOOa and that are also
81 See memorandum, ‘‘Equivalency of State
Fugitive Emissions Programs for Well Sites and
Compressor Stations to Final Standards at 40 CFR
part 60, subpart OOOOa,’’ located at Docket ID No.
EPA–HQ–OAR–2017–0483. January 17, 2020.
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located in one of the six states with
proposed alternative fugitive standards
would actually be subject to those
alternative fugitive standards. This is
not correct. The assumption by the
commenter is that the alternative
standards are deficient because not all
of the sites that are currently subject to
NSPS subpart OOOOa would be
required to monitor and, thus, reduce
fugitive emissions. This assumption is
incorrect. The applicability criteria
found in NSPS subpart OOOOa will
continue to apply regardless of the
state’s applicability criteria.
Using Texas as an example, the
commenters stated that only 5 percent
of the sites that are subject to NSPS
subpart OOOOa would have monitoring
requirements under the alternative
fugitive standards for well sites located
in Texas. While this percentage may
represent those sites in Texas that can
utilize the alternative, this does not
mean that the other 95 percent of sites
escape regulation under the NSPS. If a
well site is subject to the Texas
standards, then that well site may opt to
comply with those State-level standards
as an alternative to certain Federal
fugitive emissions requirements in
NSPS subpart OOOOa. However, if a
well site located in Texas is not subject
to the State-level requirements and is
subject to the NSPS (95 percent of the
sites according to the commenter), then
the alternative standard would not be
available to that site, and monitoring
would be required through the
requirements in NSPS subpart OOOOa.
Put another way, the alternatives
included in this final rule do not alter
the applicability criteria of the NSPS for
any sites. If a well site in Texas was
required to comply with the NSPS
before the alternative was approved,
then that site is still required to comply
with the NSPS, but the final rule affords
certain sites an alternative way to
demonstrate that compliance with the
NSPS, if they so choose. Moreover,
regardless of whether the site complies
with the fugitive emissions
requirements in NSPS subpart OOOOa,
or the alternative fugitive standards for
their state, they must conduct the
specific monitoring and repair for the
NSPS subpart OOOOa defined fugitive
emissions components at a well site or
compressor station, as applicable.
Comment: Several commenters
asserted that the EPA should recognize
the approved state programs as wholly
equivalent to the fugitive emissions
requirements in the NSPS and fully
delegate the implementation of those
fugitive emissions requirements to those
states, including the states’
recordkeeping and reporting
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requirements. The commenters noted
that the EPA is requiring operators to
use the fugitive emission component
definition from the 2016 NSPS subpart
OOOOa and the 2016 NSPS subpart
OOOOa reporting and monitoring plan.
Two of the commenters observed that
they are required to comply with both
the state requirements and Federal
fugitive emissions programs
concurrently. The commenters stated
that complying with two different
recordkeeping and reporting schemes
for the same site is very burdensome
with no added benefit for the
environment. Sites that operate where
they are subject to both the NSPS and
a state program will sometimes be
required to keep two very similar sets of
records to comply with both standards.
Likewise, sites in this situation may be
required to report similar overlapping
information to both the Federal system
and a state system. According to
commenters, this overlap in
recordkeeping and reporting (and
sometimes in monitoring plans) creates
redundant work that unnecessarily
consumes resources. The commenters
go on to assert that requiring the Federal
reporting and monitoring plan defeats
the purpose and any benefit from the
EPA approving state programs and
suggest that if a state program is not
adequate in the EPA’s opinion, then the
EPA should address the issue with the
individual state, so it can be approved
in whole. Commenters added that as an
alternative, the EPA could require that
the fugitive emissions component
definition from NSPS subpart OOOOa
be used when following an alternative
standard, even if the state program
definitions differ, but the EPA should
not require any duplicative
administrative burden.
Further, the commenters stated that
CAA Section 111 fits squarely within
the cooperative federalism tradition,
with CAA section 111(c) expressly
calling on states to develop ‘‘a
procedure for implementing and
enforcing standards of performance for
new sources’’ and calling on the
Administrator to delegate ‘‘any
authority he has . . . to implement and
enforce such standards.’’ 82 Two
commenters noted that the EPA did not
evaluate the equivalency of state
reporting requirements or monitoring
plans and, thus, did not propose any
alternative standards for these aspects of
the NSPS subpart OOOOa fugitive
emissions requirements. These
commenters stated that the exclusion of
state reporting and monitoring plan
requirements from the EPA’s
82 See
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equivalency evaluation leaves the
regulated community in certain states
subject to potentially duplicative
regulation.
Response: It is unclear to the EPA
what commenters mean by ‘‘wholly
equivalent’’ and ‘‘fully delegate,’’ but we
are providing a response based on our
interpretation that commenters are
requesting approved alternative
standards only require recordkeeping
and reporting to the individual states
and not to the EPA. After considering
the comments provided, the EPA
reviewed the recordkeeping and
reporting requirements for each of the
six states that were proposed for
alternative fugitive standards in the
October 15, 2018, proposal (California,
Colorado, Ohio, Pennsylvania, Texas,
and Utah). For California, Ohio, and
Pennsylvania, the EPA was able to
identify site-specific reporting
requirements in the state reports which,
while not identical to the reporting for
NSPS subpart OOOOa, were determined
to be appropriate to demonstrate
compliance with the alternative fugitive
standards for those states. Therefore, in
this final rule, we are allowing well sites
and compressor stations located in
California, Ohio, and Pennsylvania that
adopt the alternative fugitive standards
to electronically submit a copy of the
report that is submitted to their state as
specified in 40 CFR 60.5420a(b)(7)(iii).
As discussed in section V.C of this
preamble, this report must be submitted
in the format in which it was submitted
to the state, noting the following order
of preference: (1) As a binary file, (2) as
a XML schema, (3) as a searchable PDF,
or (4) as a scanned PDF of a hard copy.
In reviewing the reporting
requirements for Colorado, we noted
that the report is a fillable form to the
state that summarizes all monitoring
events for that year at the companylevel. Therefore, no site-specific
information is available. We then
reviewed the recordkeeping forms for
Colorado to identify what information is
required for the individual sites and
compared that information to the
required annual report for NSPS subpart
OOOOa. We identified one
recordkeeping element required by
NSPS subpart OOOOa that was not
already included in the recordkeeping
requirements for Colorado: Deviations
from certain requirements in the
monitoring plan. Given that the Federal
monitoring plan, and deviations from
that plan, are still required for all sites
that adopt the alternative fugitive
standards, there are no additional
recordkeeping elements that would be
needed beyond what the State already
requires. While the EPA has determined
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that the Colorado program for fugitive
emissions requirements is an acceptable
alternative to NSPS subpart OOOOa, the
company-level reports in Colorado are
insufficient to demonstrate compliance
for individual sites. Therefore, we are
still requiring that well sites and
compressor stations located in Colorado
that adopt the alternative fugitive
standard must report the information
required by NSPS subpart OOOOa for
fugitive emissions components at well
sites and compressor stations.
Our review of the Texas reporting
requirements found that sites only
report information when fugitive
emissions are found. While this may be
appropriate for demonstrating
compliance to the State, it is not
adequate information for the EPA to
ensure compliance with the alternative
fugitive standards for well sites and
compressor stations located in Texas.
Similar to Colorado, we examined the
recordkeeping requirements and found
that sites located in the State are already
required by the State to keep records
that facilitate the reporting required by
NSPS subpart OOOOa for fugitive
emissions components at well sites and
compressor stations. Therefore, we are
requiring that well sites and compressor
stations located in Texas that adopt the
alternative fugitive standards must
report the information required in NSPS
subpart OOOOa.
Finally, the requirements in Utah do
not include reporting. Similar to
Colorado and Texas, we reviewed the
recordkeeping requirements. For Utah,
sites must keep records of the
monitoring plan and the monitoring
surveys. We found these records are
similar to the information that is
required in the NSPS subpart OOOOa
report for fugitive emissions
components and would not require
additional recordkeeping. Therefore, we
are requiring that well sites located in
Utah that adopt the alternative fugitive
standards must report the information
required in NSPS subpart OOOOa.
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VII. Impacts of These Final
Amendments
A. What are the air impacts?
The EPA projected that, from 2021 to
2030, relative to the baseline, the final
rule will forgo about 450,000 short tons
of methane emissions reductions (10
million tons CO2 Eq.), 120,000 short
tons of VOC emissions reductions, and
4,700 short tons of HAP emission
reductions from facilities affected by
this reconsideration. The EPA estimated
regulatory impacts beginning in 2021 as
it is the first full year of implementation
of this rule. The EPA estimated impacts
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through 2030 to illustrate the
accumulating effects of this rule over a
longer period. The EPA did not estimate
impacts after 2030 for reasons including
limited information, as explained in the
RIA.
B. What are the energy impacts?
There will likely be minimal change
in emissions control energy
requirements resulting from this rule.
Additionally, this final action continues
to encourage the use of emission
controls that recover hydrocarbon
products that can be used on-site as fuel
or reprocessed within the production
process for sale. The energy impacts
described in this section are those
energy requirements associated with the
operation of emission control devices.
Potential impacts on the national energy
economy from the rule are discussed in
the economic impacts section.
C. What are the compliance cost
reductions?
The PV of the regulatory compliance
cost reduction associated with this final
rule over the 2021 to 2030 period was
estimated to be $800 million (in 2016
dollars) using a 7-percent discount rate
and $1.0 billion using a 3-percent
discount rate. The EAV (rounded to two
significant figures) of these cost
reductions is estimated to be $110
million per year using either a 7-percent
or 3-percent discount rate.
These estimates do not, however,
include the forgone producer revenues
associated with the decrease in the
recovery of saleable natural gas, though
some of the compliance actions required
in the baseline would likely have
captured saleable product that would
have otherwise been emitted to the
atmosphere. Estimates of the value of
the recovered product were included in
previous regulatory analyses as
offsetting compliance costs. Because of
the deregulatory nature of this final
action, the EPA projected a reduction in
the recovery of saleable product. Using
the 2020 Annual Energy Outlook (AEO)
projection of natural gas prices to
estimate the value of the change in the
recovered gas at the wellhead projected
to result from the final action, the EPA
estimated a PV of regulatory compliance
cost reductions of the final rule over the
2021 to 2030 period of $750 million
using a 7-percent discount rate and $950
million using a 3-percent discount rate.
The corresponding estimates of the EAV
of cost reductions after accounting for
the forgone revenues were $100 million
per year using a 7-percent discount rate
and $110 million per year using a 3percent discount rate.
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D. What are the economic and
employment impacts?
The EPA used the National Energy
Modeling System (NEMS) to estimate
the impacts of the 2016 NSPS subpart
OOOOa on the U.S. energy system. The
NEMS is a publicly available model of
the U.S. energy economy developed and
maintained by the U.S. Energy
Information Administration and is used
to produce the AEO, a reference
publication that provides detailed
projections of the U.S. energy economy.
The EPA estimated small impacts on
crude oil and natural gas markets of the
2016 NSPS subpart OOOOa rule over
the 2020 to 2025 period. This final rule
will result in a decrease in total
compliance costs relative to the
baseline. Therefore, the EPA expects
that this rule will partially reduce the
impacts estimated for the 2016 NSPS
subpart OOOOa in the 2016 NSPS
subpart OOOOa RIA.
Executive Order 13563 directs Federal
agencies to consider the effect of
regulations on job creation and
employment. According to the
Executive order, ‘‘our regulatory system
must protect public health, welfare,
safety, and our environment while
promoting economic growth,
innovation, competitiveness, and job
creation. It must be based on the best
available science.’’ (Executive Order
13563, 2011). While a standalone
analysis of employment impacts is not
included in a standard benefit-cost
analysis, such an analysis is of concern
in the current economic climate given
continued interest in the employment
impact of regulations such as this final
rule. The EPA estimated the changes in
compliance-related labor impacts due to
the changes finalized in this rule. As
presented in the RIA for this action, the
EPA projected there will be reductions
in the labor required for compliancerelated activities associated with the
2016 NSPS subpart OOOOa
requirements relating to fugitive
emissions monitoring and certifications
of CVS.
E. What are the forgone benefits?
The EPA expects forgone climate and
health benefits due to the forgone
emissions reductions projected under
this final rule. The EPA estimated the
forgone domestic climate benefits from
the forgone methane emissions
reductions using an interim measure of
the domestic social cost of methane (SCCH4). The SC-CH4 estimates used here
were developed under Executive Order
13783 for use in regulatory analyses
until an improved estimate of the
impacts of climate change to the U.S.
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can be developed based on the best
available science and economics.
Executive Order 13783 directed
agencies to ensure that estimates of the
social cost of GHG used in regulatory
analyses ‘‘are based on the best available
science and economics’’ and are
consistent with the guidance contained
in Office of Management and Budget
(OMB) Circular A–4, ‘‘including with
respect to the consideration of domestic
versus international impacts and the
consideration of appropriate discount
rates’’ (Executive Order 13783, Section
5(c)). In addition, Executive Order
13783 withdrew the TSDs and the
August 2016 Addendum to these TSDs
describing the global social cost of GHG
estimates developed under the prior
Administration as no longer
representative of government policy.
The withdrawn TSDs and Addendum
were developed by an interagency
working group that included the EPA
and other executive branch entities and
were used in the 2016 NSPS subpart
OOOOa RIA.
The EPA estimated the PV of the
forgone domestic climate benefits over
the 2021 to 2030 period to be $19
million under a 7-percent discount rate
and $71 million under a 3-percent
discount rate. The EAV of these forgone
benefits is estimated $2.5 million per
year under a 7-percent discount rate and
$8.1 million per year under a 3-percent
discount rate. These values represent
only a partial accounting of domestic
climate impacts from methane
emissions and do not account for health
effects of ozone exposure from the
increase in methane emissions.
Under the final rule, the EPA expects
that forgone VOC emission reductions
will degrade air quality and are likely to
adversely affect health and welfare
associated with exposure to ozone,
PM2.5, and HAP, but we did not quantify
these effects at this time due to the data
limitations described below. This
omission should not imply that these
forgone benefits may not exist; rather, it
reflects the inherent difficulties in
accurately modeling the direct and
indirect impacts of the projected
reductions in emissions for this
industrial sector. To the extent that the
EPA were to quantify these ozone and
PM impacts, it would estimate the
number and value of avoided premature
deaths and illnesses using an approach
detailed in the Particulate Matter
NAAQS and Ozone NAAQS RIAs.83 84
83 U.S. EPA. December 2012. ‘‘Regulatory Impact
Analysis for the Final Revisions to the National
Ambient Air Quality Standards for Particulate
Matter.’’ EPA–452/R–12–005. Office of Air Quality
Planning and Standards, Health and Environmental
Impacts Division. https://www3.epa.gov/ttnecas1/
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This approach relies on full-form air
quality modeling. The Agency is
committed to assessing ways of
conducting full-form air quality
modeling for the oil and natural gas
sector that would be suitable for use in
regulatory analysis in the context of
NSPS, including ways to address the
uncertainties regarding the scope and
magnitude of VOC emissions.
When quantifying the incidence and
economic value of the human health
impacts of air quality changes, the
Agency sometimes relies upon
alternative approaches to using fullform air quality modeling, called
reduced-form techniques, often reported
as ‘‘benefit-per-ton’’ values that relate
air pollution impacts to changes in air
pollutant precursor emissions.85 A
small, but growing, literature
characterizes the air quality and health
impacts from the oil and natural gas
sector.86 87 88 The Agency feels more
work needs to be done to vet the
analysis and methodologies for all
potential approaches for valuing the
health effects of VOC emissions before
they are used in regulatory analysis, but
is committed to continuing this work.
Recently, the EPA systematically
compared the changes in benefits, and
concentrations where available, from its
benefit-per-ton technique and other
reduced-form techniques to the changes
in benefits and concentrations derived
from full-form photochemical model
representation of a few different specific
emissions scenarios.89 The Agency’s
regdata/RIAs/finalria.pdf. Accessed January 9,
2020.
84 U.S. U.S. EPA. September 2015. ‘‘Regulatory
Impact Analysis of the Final Revisions to the
National Ambient Air Quality Standards for
Ground-Level Ozone.’’ EPA–452/R–15–007. Office
of Air Quality Planning and Standards, Health and
Environmental Impacts Division. https://
www3.epa.gov/ttnecas1/docs/20151001ria.pdf.
Accessed January 9, 2020.
85 U.S. EPA. 2018. ‘‘Technical Support Document:
Estimating the Benefit per Ton of Reducing PM2.5
Precursors from 17 Sectors.’’ February. https://
www.epa.gov/sites/production/files/2018-02/
documents/sourceapportionmentbpttsd_2018.pdf.
Accessed January 9, 2020.
86 Fann, N., K.R. Baker, E.A.W. Chan, A. Eyth, A.
Macpherson, E. Miller, and J. Snyder. 2018.
‘‘Assessing Human Health PM2.5 and Ozone Impacts
from U.S. Oil and Natural Gas Sector Emissions in
2025.’’ Environmental Science and Technology
52(15):8095–8103.
87 Litovitz, A., A. Curtright, S. Abramzon, N.
Burger, and C. Samaras. 2013. ‘‘Estimation of
Regional Air-Quality Damages from Marcellus Shale
Natural Gas Extraction in Pennsylvania.’’
Environmental Research Letters 8(1), 014017.
88 Loomis, J. and M. Haefele. 2017. ‘‘Quantifying
Market and Non-market Benefits and Costs of
Hydraulic Fracturing in the United States: A
Summary of the Literature.’’ Ecological Economics
138:160–167.
89 This analysis compared the benefits estimated
using full-form photochemical air quality modeling
simulations (CMAQ and CAMx) against four
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57435
goal was to create a methodology by
which investigators could better
understand the suitability of alternative
reduced-form air quality modeling
techniques for estimating the health
impacts of criteria pollutant emissions
changes in the EPA’s benefit-cost
analysis, including the extent to which
reduced form models may over- or
under-estimate benefits (compared to
full-scale modeling) under different
scenarios and air quality concentrations.
The EPA Science Advisory Board (SAB)
recently convened a panel to review this
report.90 In particular, the SAB will
assess the techniques the Agency used
to appraise these tools; the Agency’s
approach for depicting the results of
reduced-form tools; and, steps the
Agency might take for improving the
reliability of reduced-form techniques
for use in future RIAs.
VIII. Statutory and Executive Order
Reviews
Additional information about these
statutes and Executive orders can be
found at https://www.epa.gov/lawsregulations/laws-and-executive-orders.
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
This action is an economically
significant regulatory action that was
submitted to OMB for review. Any
changes made in response to OMB
recommendations have been
documented in the docket. The EPA
prepared an analysis of the potential
costs and benefits associated with this
action. This RIA is available in the
docket. The RIA describes in detail the
basis for the EPA’s assumptions and
characterizes the various sources of
uncertainties affecting the estimates
below.
Table 6 shows the present value and
equivalent annualized value of the
costs, benefits, and net benefits of the
final rule for the 2021 to 2030 period
relative to the baseline using discount
rates of 7 and 3 percent, respectively.
The table also shows the total forgone
emission reductions projected from
2021 to 2030 relative to the baseline. In
the following table, we refer to the
compliance cost reductions as the
‘‘benefits’’ and the forgone benefits as
the ‘‘costs’’ of this final action. The net
benefits are the benefits (total cost
reduced-form tools, including: InMAP; AP2/3;
EASIUR and the EPA’s benefit-per-ton.
90 85 FR 23823 (April 29, 2020).
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reductions) minus the costs (forgone
domestic climate benefits).
TABLE 6—SUMMARY OF THE PRESENT VALUE AND EQUIVALENT ANNUALIZED VALUE OF THE MONETIZED FORGONE
BENEFITS, COST REDUCTIONS, AND NET BENEFITS FROM 2021 TO 2030, 7-PERCENT AND 3-PERCENT DISCOUNT RATES
[Millions of 2016$]
7-Percent
discount rate
PV
Benefits (Total Cost Reductions) .....................................................................
Compliance Cost Reductions ..........................................................................
Forgone Value of Product Recovery ...............................................................
Costs (Forgone Domestic Climate Benefits) ...................................................
Net Benefits .....................................................................................................
Non-monetized Forgone Benefits ....................................................................
3-Percent
discount rate
EAV
$750
800
44
19
730
PV
$100
110
5.9
2.5
97
EAV
$950
1,000
57
71
880
$110
110
6.5
8.1
100
Non-monetized climate impacts from increases in methane
emissions.
Health effects of PM2.5 and ozone exposure from an increase of
about 120,000 short tons of VOC from 2021 through 2030.
Health effects of HAP exposure from an increase of about 4,700
short tons of HAP from 2021 through 2030.
Health effects of ozone exposure from an increase of about
450,000 short tons of methane from 2021 through 2030.
Visibility impairment.
Vegetation effects.
Note: Estimates are rounded to two significant digits and may not sum due to independent rounding.
B. Executive Order 13771: Reducing
Regulations and Controlling Regulatory
Costs
This action is considered an
Executive Order 13771 deregulatory
action. Details on the estimated cost
reductions of this final rule can be
found in the EPA’s analysis of the
potential costs and benefits associated
with this action.
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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
2523.04, Control Number 2060–0721.
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.
A summary of the information
collection activities previously
submitted to the OMB for the final
action titled ‘‘Standards of Performance
for Crude Oil and Natural Gas Facilities
for which Construction, Modification, or
Reconstruction Commenced After
September 18, 2015’’ (2016 NSPS
subpart OOOOa), under the PRA, and
assigned OMB Control Number 2060–
0721, can be found at 81 FR 35890. You
can find a copy of the 2016 ICR in the
2016 NSPS subpart OOOOa docket
(EPA–HQ–OAR–2010–0505–7626). The
EPA is revising the information
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collection activities as a result of the
amendments in this final rule. You can
find a copy of the revised ICR in the
docket for this rule (EPA–HQ–OAR–
2017–0483), and it is briefly
summarized here.
Comments were received on the
October 15, 2018 (83 FR 52056)
proposed rulemaking indicating that the
recordkeeping and reporting burden for
the 2016 NSPS subpart OOOOa was
significantly underestimated, as
discussed in section V.B.2 of this
preamble. After consideration of these
comments, the EPA updated the
assessment of the recordkeeping and
reporting burden for the 2016 NSPS
subpart OOOOa. The updated 2016
NSPS subpart OOOOa ICR was used as
the ‘‘baseline’’ from which changes in
the Review Rule published in the
Federal Register of Monday, September
14, 2020 were compared. Additional
information on the Review Rule can be
found at Docket ID No. EPA–HQ–OAR–
2017–0757.
This final rule includes additional
revisions to the information collection
activities for NSPS subpart OOOOa.
Respondents/affected entities:
Owners or operators of onshore oil and
natural gas affected facilities.
Respondent’s obligation to respond:
Mandatory.
Estimated number of respondents:
519.
Frequency of response: Annually or
semiannually, depending on the
requirement.
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Total estimated burden: 1,124,965
hours. Burden is defined at 5 CFR
1320.3(b).
Total estimated cost: $215,874,903,
includes $2,681,370 annualized capital
or operation and maintenance 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. In making this
determination, the impact of concern is
any significant adverse economic
impact on small entities. An agency may
certify that a rule will not have a
significant economic impact on a
substantial number of small entities if
the rule relieves regulatory burden, has
no net burden, or otherwise has a
positive economic effect on the small
entities subject to the rule. This is a
deregulatory action, and the burden on
all entities affected by this final rule,
including small entities, is reduced
compared to the 2016 NSPS subpart
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OOOOa. See the RIA for details. We
have, therefore, concluded that this
action will relieve regulatory burden for
all directly regulated small entities.
E. Unfunded Mandates Reform Act
(UMRA)
This action does not contain any
unfunded mandate as described in
UMRA, 2 U.S.C. 1531–1538, and does
not significantly or uniquely affect small
governments. The action imposes no
enforceable duty on any state, local, or
tribal governments, or the private sector.
F. Executive Order 13132: Federalism
This action does not have federalism
implications. It will not have substantial
direct effects on the states, on the
relationship between the National
Government and the states, or on the
distribution of power and
responsibilities among the various
levels of government.
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G. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This action does not have tribal
implications, as specified in Executive
Order 13175. It will not have substantial
direct effects on tribal governments, on
the relationship between the Federal
Government and Indian tribes, or on the
distribution of power and
responsibilities between the Federal
Government and Indian tribes, as
specified in Executive Order 13175.
Thus, Executive Order 13175 does not
apply to this action.
H. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
This action is not subject to Executive
Order 13045 because the EPA does not
believe the environmental health risks
or safety risks addressed by this action
present a disproportionate risk to
children. While children may
experience forgone benefits as a result of
this action, the potential forgone
emission reductions (and related
benefits) from the final amendments are
small compared to the overall emission
reductions (and related benefits) from
the 2016 NSPS subpart OOOOa.
This final action does not affect the
level of public health and
environmental protection already being
provided by existing NAAQS and other
mechanisms in the CAA. This action
does not affect applicable local, state, or
Federal permitting or air quality
management programs that will
continue to address areas with degraded
air quality and maintain the air quality
in areas meeting current standards.
Areas that need to reduce criteria air
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pollution to meet the NAAQS will still
need to rely on control strategies to
reduce emissions. The EPA does not
believe this decrease in emission
reductions projected from this action
will have a disproportionate adverse
effect on children’s health.
I. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
This action is not a ‘‘significant
energy action’’ because it is not likely to
have a significant adverse effect on the
supply, distribution, or use of energy. In
the RIA accompanying the 2016 NSPS
subpart OOOOa, the EPA used the
NEMS to estimate the impacts of the
2016 NSPS subpart OOOOa on the
United States energy system. The EPA
estimated small impacts of that rule
over the 2020 to 2025 period relative to
the baseline for that rule. This final rule
is estimated to result in a decrease in
total compliance costs, with the
reduction in costs affecting a subset of
the affected entities under NSPS subpart
OOOOa. Therefore, the EPA expects that
this deregulatory action will reduce the
impacts estimated for the final NSPS in
the 2016 RIA and, as such, is not a
significant energy action.
J. National Technology Transfer and
Advancement Act (NTTAA)
This action involves technical
standards.91 Therefore, the EPA
conducted searches for the Oil and
Natural Gas Sector: Emission Standards
for New, Reconstructed, and Modified
Sources Reconsideration through the
Enhanced National Standards Systems
Network (NSSN) Database managed by
the American National Standards
Institute (ANSI). Searches were
conducted for EPA Methods 1, 1A, 2,
2A, 2C, 2D, 3A, 3B, 3C, 4, 6, 10, 15, 16,
16A, 18, 21, 22, and 25A of 40 CFR part
60, appendix A. No applicable
voluntary consensus standards (VCS)
were identified for EPA Methods 1A,
2A, 2D, 21, and 22 and none were
brought to its attention in comments.
All potential standards were reviewed
to determine the practicality of the VCS
for this rule.
Two VCS were identified as an
acceptable alternative to the EPA test
methods for the purpose of this rule.
First, ANSI/ASME PTC 19–10–1981,
91 These technical standards are the same as those
previously finalized at 40 CFR part 60, subpart
OOOOa (81 FR 35824). 2016 NSPS subpart OOOOa
also previously incorporated by reference 10
technical standards. The incorporation by reference
remains unchanged in this action. See Docket ID
Item Nos. EPA–HQ–OAR–2010–0505–7657 and
EPA–HQ–OAR–2010–0505–7658.
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‘‘Flue and Exhaust Gas Analyses (Part
10),’’ was identified to be used in lieu
of EPA Methods 3B, 6, 6A, 6B, 15A, and
16A manual portions only and not the
instrumental portion. This standard
includes manual and instructional
methods of analysis for carbon dioxide,
carbon monoxide, hydrogen sulfide,
nitrogen oxides, oxygen, and SO2.
Second, ASTM D6420–99 (2010), ‘‘Test
Method for Determination of Gaseous
Organic Compounds by Direct Interface
Gas Chromatography/Mass
Spectrometry,’’ is an acceptable
alternative to EPA Method 18 with the
following caveats; only use when the
target compounds are all known and the
target compounds are all listed in ASTM
D6420 as measurable. ASTM D6420
should never be specified as a total VOC
Method. (ASTM D6420–99 (2010) is not
incorporated by reference in 40 CFR
part 60.) The search identified 19 VCS
that were potentially applicable for this
rule in lieu of the EPA reference
methods. However, these have been
determined to not be practical due to
lack of equivalency, documentation,
validation of data, and other important
technical and policy considerations. For
additional information, please see the
memorandum, ‘‘Voluntary Consensus
Standard Results for Oil and Natural
Gas Sector: Emission Standards for
New, Reconstructed, and Modified
Sources Reconsideration,’’ located at
Docket ID No. EPA–HQ–OAR–2017–
0483.
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).
While these communities may
experience forgone benefits as a result of
this action, the potential forgone
emission reductions (and related
benefits) from the final amendments are
small compared to the overall emission
reductions (and related benefits) from
the 2016 NSPS subpart OOOOa. The
amendments in this final action will
decrease the projected emission
reductions of the rule it revises by a
small degree. Based on the revisions in
this final rule, for the year 2025, we
estimate a decrease in the projected
emissions reductions anticipated by the
2016 NSPS subpart OOOOa in the
production and processing segments of
about 12 to 15 percent for methane and
about 7 to 9 percent for VOC.
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Moreover, this action does not affect
the level of public health and
environmental protection already being
provided by existing NAAQS, including
ozone and PM2.5, and other mechanisms
in the CAA. This action does not affect
applicable local, state, or Federal
permitting or air quality management
programs that will continue to address
areas with degraded air quality and
maintain the air quality in areas meeting
current standards. Areas that need to
reduce criteria air pollution to meet the
NAAQS will still need to rely on control
strategies to reduce emissions.
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 a ‘‘major rule’’ as
defined by 5 U.S.C. 804(2).
List of Subjects in 40 CFR Part 60
Environmental protection,
Administrative practice and procedure,
Air pollution control, Reporting and
recordkeeping.
Andrew Wheeler,
Administrator.
For the reasons set out in the
preamble, 40 CFR part 60 is amended as
follows:
PART 60—STANDARDS OF
PERFORMANCE FOR NEW
STATIONARY SOURCES
1. The authority citation for part 60
continues to read as follows:
■
Authority: 42 U.S.C. 7401 et seq.
Subpart OOOOa—Standards of
Performance for Crude Oil and Natural
Gas Facilities for Which Construction,
Modification or Reconstruction
Commenced After September 18, 2015
2. Section 60.5360a is amended by
revising paragraph (a) to read as follows:
■
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§ 60.5360a
subpart?
What is the purpose of this
(a) This subpart establishes emission
standards and compliance schedules for
the control of volatile organic
compounds (VOC) and sulfur dioxide
(SO2) emissions from affected facilities
in the crude oil and natural gas
production source category that
commence construction, modification,
or reconstruction after September 18,
2015.
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■ 3. Section 60.5365a is amended by
revising paragraphs (e), (f) introductory
text, (g) introductory text, and (g)(1) and
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adding paragraph (i)(4) to read as
follows:
§ 60.5365a
Am I subject to this subpart?
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*
*
(e) Each storage vessel affected
facility, which is a single storage vessel
as specified in paragraph (e)(1), (2), or
(3) of this section.
(1) A single storage vessel that
commenced construction,
reconstruction, or modification after
September 18, 2015, and on or before
November 16, 2020, is a storage vessel
affected facility if its potential for VOC
emissions is equal to or greater than 6
tons per year (tpy) as determined
according to this paragraph (e)(1). The
potential for VOC emissions must be
calculated using a generally accepted
model or calculation methodology,
based on the maximum average daily
throughput (as defined in § 60.5430a)
determined for a 30-day period prior to
the applicable emission determination
deadline specified in paragraphs (e)(2)(i)
and (ii) of this section, except as
provided in paragraph (e)(5)(iv). The
determination may take into account
requirements under a legally and
practicably enforceable limit in an
operating permit or other requirement
established under a Federal, state, local,
or tribal authority.
(2) Except as specified in paragraph
(e)(3) of this section, a single storage
vessel that commenced construction,
reconstruction or modification after
November 16, 2020, is a storage vessel
affected facility if the potential for VOC
emissions is equal to or greater than 6
tpy as determined according to
paragraph (e)(2)(i) or (ii) of this section,
except as provided in paragraph
(e)(5)(iv) of this section. The
determination may take into account
requirements under a legally and
practicably enforceable limit in an
operating permit or other requirement
established under a Federal, state, local,
or tribal authority. The potential for
VOC emissions is calculated on an
individual storage vessel basis and is
not averaged across the number of
storage vessels at the site.
(i) For each storage vessel receiving
liquids pursuant to the standards for
well affected facilities in § 60.5375a,
including wells subject to § 60.5375a(f),
you must determine the potential for
VOC emissions within 30 days after
startup of production of the well, except
as provided in paragraph (e)(5)(iv) of
this section. The potential for VOC
emissions must be calculated for each
individual storage vessel using a
generally accepted model or calculation
methodology, based on the maximum
average daily throughput, as defined in
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§ 60.5430a, determined for a 30-day
period of production.
(ii) For each storage vessel located at
a compressor station or onshore natural
gas processing plant, you must
determine the potential for VOC
emissions prior to startup of the
compressor station or onshore natural
gas processing plant using either
method described in paragraph
(e)(2)(ii)(A) or (B) of this section.
(A) Determine the potential for VOC
emissions using a generally accepted
model or calculation methodology and
based on the throughput established in
a legally and practicably enforceable
limit in an operating permit or other
requirement established under a
Federal, state, local, or tribal authority;
or
(B) Determine the potential for VOC
emissions using a generally accepted
model or calculation methodology and
based on projected maximum average
daily throughput. Maximum average
daily throughput is determined using a
generally accepted engineering model
(e.g., volumetric condensate rates from
the storage vessels based on the
maximum gas throughput capacity of
each producing facility) to project the
maximum average daily throughput for
the storage vessel.
(3) If a storage vessel battery, which
consists of two or more storage vessels,
meets all of the design and operational
criteria specified in paragraphs (e)(3)(i)
through (iv) of this section through
legally and practicably enforceable
standards in a permit or other
requirement established under Federal,
state, local, or tribal authority, then each
storage vessel in such storage vessel
battery is a storage vessel affected
facility.
(i) The storage vessels must be
manifolded together with piping such
that all vapors are shared among the
headspaces of the storage vessels;
(ii) The storage vessels must be
equipped with a closed vent system that
is designed, operated, and maintained to
route the vapors back to the process or
to a control device;
(iii) The vapors collected in paragraph
(e)(3)(i) of this section must be routed
back to the process or to a control
device that reduces VOC emissions by at
least 95.0 percent; and
(iv) The VOC emissions, averaged
across the number of storage vessels in
the battery meeting all of the criteria of
paragraphs (e)(3)(i) through (iii) of this
section, are equal to or greater than 6
tpy.
(v) If a storage vessel battery meeting
all of the criteria specified in paragraphs
(e)(3)(i) through (iii) of this section
through legally and practicably
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enforceable standards in a permit or
other requirements established under
Federal, state, local, or tribal authority,
emits less than 6 tpy of VOC emissions
averaged across the number of storage
vessels in the battery, none of the
storage vessels in the battery are storage
vessel affected facilities.
(4) A storage vessel affected facility
that subsequently has its potential for
VOC emissions decrease to less than 6
tpy shall remain an affected facility
under this subpart.
(5) For storage vessels not subject to
a legally and practicably enforceable
limit in an operating permit or other
requirement established under Federal,
state, local, or tribal authority, any
vapor from the storage vessel that is
recovered and routed to a process
through a VRU designed and operated
as specified in this section is not
required to be included in the
determination of potential for VOC
emissions for purposes of determining
affected facility status, provided you
comply with the requirements in
paragraphs (e)(5)(i) through (iv) of this
section.
(i) You meet the cover requirements
specified in § 60.5411a(b).
(ii) You meet the closed vent system
requirements specified in § 60.5411a(c)
and (d).
(iii) You must maintain records that
document compliance with paragraphs
(e)(5)(i) and (ii) of this section.
(iv) In the event of removal of
apparatus that recovers and routes vapor
to a process, or operation that is
inconsistent with the conditions
specified in paragraphs (e)(5)(i) and (ii)
of this section, you must determine the
storage vessel’s potential for VOC
emissions according to this section
within 30 days of such removal or
operation.
(6) The requirements of this paragraph
(e)(6) apply to each storage vessel
affected facility immediately upon
startup, startup of production, or return
to service. A storage vessel affected
facility that is reconnected to the
original source of liquids is a storage
vessel affected facility subject to the
same requirements that applied before
being removed from service. Any
storage vessel that is used to replace any
storage vessel affected facility is subject
to the same requirements that applied to
the storage vessel affected facility being
replaced.
(7) A storage vessel with a capacity
greater than 100,000 gallons used to
recycle water that has been passed
through two stage separation is not a
storage vessel affected facility.
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(f) The group of all equipment within
a process unit at an onshore natural gas
processing plant is an affected facility.
*
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(g) Sweetening units located at
onshore natural gas processing plants
that commenced construction,
modification, or reconstruction after
September 18, 2015, and on or before
November 16, 2020, and sweetening
units that commence construction,
modification, or reconstruction after
November 16, 2020.
(1) Each sweetening unit that
processes natural gas produced from
either onshore or offshore wells is an
affected facility; and
*
*
*
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*
(i) * * *
(4) For purposes of § 60.5397a, a
‘‘modification’’ to an existing source
separate tank battery surface site occurs
when:
(i) Any of the actions in paragraphs
(i)(3)(i) through (iii) of this section
occurs at an existing source separate
tank battery surface site;
(ii) A well sending production to an
existing source separate tank battery site
is modified, as defined in paragraphs
(i)(3)(i) through (iii) of this section; or
(iii) A well site subject to the
requirements in § 60.5397a removes all
major production and processing
equipment, as defined in § 60.5430a,
such that it becomes a wellhead only
well site and sends production to an
existing source separate tank battery
surface site.
*
*
*
*
*
■ 4. Section 60.5375a is amended by
revising paragraphs (a)(1)(i), (a)(1)(iii)
introductory text, and (f)(3)(ii) and
adding paragraph (f)(4) to read as
follows:
57439
well completions. The separator must be
available and ready for use to comply
with paragraph (a)(1)(ii) of this section
during the entirety of the flowback
period, except as provided in
paragraphs (a)(1)(iii)(A) through (C) of
this section.
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*
*
*
*
(f) * * *
(3) * * *
(ii) Route all flowback into one or
more well completion vessels and
commence operation of a separator
unless it is technically infeasible for a
separator to function. Any gas present in
the flowback before the separator can
function is not subject to control under
this section. Capture and direct
recovered gas to a completion
combustion device, except in conditions
that may result in a fire hazard or
explosion, or where high heat emissions
from a completion combustion device
may negatively impact tundra,
permafrost, or waterways. Completion
combustion devices must be equipped
with a reliable continuous pilot flame.
(4) You must submit the notification
as specified in § 60.5420a(a)(2), submit
annual reports as specified in
§ 60.5420a(b)(1) and (2) and maintain
records specified in § 60.5420a(c)(1)(iii)
for each wildcat and delineation well.
You must submit the notification as
specified in § 60.5420a(a)(2), submit
annual reports as specified in
§ 60.5420a(b)(1) and (2), and maintain
records as specified in
§ 60.5420a(c)(1)(iii) and (vii) for each
low pressure well.
*
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*
■ 5. Section 60.5385a is amended by
revising paragraph (a)(1) to read as
follows:
§ 60.5375a What VOC standards apply to
well affected facilities?
§ 60.5385a What VOC standards apply to
reciprocating compressor affected
facilities?
*
*
*
*
*
*
(a) * * *
(1) * * *
(i) During the initial flowback stage,
route the flowback into one or more
well completion vessels or storage
vessels and commence operation of a
separator unless it is technically
infeasible for a separator to function.
The separator may be a production
separator, but the production separator
also must be designed to accommodate
flowback. Any gas present in the initial
flowback stage is not subject to control
under this section.
*
*
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*
*
(iii) You must have the separator
onsite or otherwise available for use at
a centralized facility or well pad that
services the well affected facility during
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*
*
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*
(a) * * *
(1) On or before the compressor has
operated for 26,000 hours. The number
of hours of operation must be
continuously monitored beginning upon
initial startup of your reciprocating
compressor affected facility, August 2,
2016, or the date of the most recent
reciprocating compressor rod packing
replacement, whichever is latest.
*
*
*
*
*
■ 6. Section 60.5393a is amended by
revising paragraphs (b) and (c) and
removing paragraph (f) to read as
follows:
§ 60.5393a What VOC standards apply to
pneumatic pump affected facilities?
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(b) For each pneumatic pump affected
facility at a well site you must reduce
natural gas emissions by 95.0 percent,
except as provided in paragraphs (b)(3),
(4), and (5) of this section.
(1)–(2) [Reserved]
(3) You are not required to install a
control device solely for the purpose of
complying with the 95.0 percent
reduction requirement of paragraph (b)
of this section. If you do not have a
control device installed on site by the
compliance date and you do not have
the ability to route to a process, then
you must comply instead with the
provisions of paragraphs (b)(3)(i) and (ii)
of this section. For the purposes of this
section, boilers and process heaters are
not considered control devices. In
addition, routing emissions from
pneumatic pump discharges to boilers
and process heaters is not considered
routing to a process.
(i) Submit a certification in
accordance with § 60.5420a(b)(8)(i)(A)
in your next annual report, certifying
that there is no available control device
or process on site and maintain the
records in § 60.5420a(c)(16)(i) and (ii).
(ii) If you subsequently install a
control device or have the ability to
route to a process, you are no longer
required to comply with paragraph
(b)(3)(i) of this section and must submit
the information in § 60.5420a(b)(8)(ii) in
your next annual report and maintain
the records in § 60.5420a(c)(16)(i), (ii),
and (iii). You must be in compliance
with the requirements of paragraph (b)
of this section within 30 days of startup
of the control device or within 30 days
of the ability to route to a process.
(4) If the control device available on
site is unable to achieve a 95-percent
reduction and there is no ability to route
the emissions to a process, you must
still route the pneumatic pump affected
facility’s emissions to that control
device. If you route the pneumatic
pump affected facility to a control
device installed on site that is designed
to achieve less than a 95-percent
reduction, you must submit the
information specified in
§ 60.5420a(b)(8)(i)(C) in your next
annual report and maintain the records
in § 60.5420a(c)(16)(iii).
(5) If an owner or operator
determines, through an engineering
assessment, that routing a pneumatic
pump to a control device or a process
is technically infeasible, the
requirements specified in paragraphs
(b)(5)(i) through (iv) of this section must
be met.
(i) The owner or operator shall
conduct the assessment of technical
infeasibility in accordance with the
criteria in paragraph (b)(5)(iii) of this
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section and have it certified by either a
qualified professional engineer or an inhouse engineer with expertise on the
design and operation of the pneumatic
pump in accordance with paragraph
(b)(5)(ii) of this section.
(ii) The following certification, signed
and dated by the qualified professional
engineer or in-house engineer, shall
state: ‘‘I certify that the assessment of
technical infeasibility was prepared
under my direction or supervision. I
further certify that the assessment was
conducted and this report was prepared
pursuant to the requirements of
§ 60.5393a(b)(5)(iii). Based on my
professional knowledge and experience,
and inquiry of personnel involved in the
assessment, the certification submitted
herein is true, accurate, and complete.’’
(iii) The assessment of technical
infeasibility to route emissions from the
pneumatic pump to an existing control
device onsite or to a process shall
include, but is not limited to, safety
considerations, distance from the
control device or process, pressure
losses and differentials in the closed
vent system, and the ability of the
control device or process to handle the
pneumatic pump emissions which are
routed to them. The assessment of
technical infeasibility shall be prepared
under the direction or supervision of the
qualified professional engineer or inhouse engineer who signs the
certification in accordance with
paragraph (b)(5)(ii) of this section.
(iv) The owner or operator shall
maintain the records specified in
§ 60.5420a(c)(16)(iv).
(6) If the pneumatic pump is routed
to a control device or a process and the
control device or process is
subsequently removed from the location
or is no longer available, you are no
longer required to be in compliance
with the requirements of paragraph (b)
of this section, and instead must comply
with paragraph (b)(3) of this section and
report the change in the next annual
report in accordance with
§ 60.5420a(b)(8)(ii).
(c) If you use a control device or route
to a process to reduce emissions, you
must connect the pneumatic pump
affected facility through a closed vent
system that meets the requirements of
§§ 60.5411a(d) and (e), 60.5415a(b)(3),
and 60.5416a(d).
*
*
*
*
*
■ 7. Section 60.5395a is amended by
revising the introductory text to read as
follows:
§ 60.5395a What VOC standards apply to
storage vessel affected facilities?
Each storage vessel affected facility
must comply with the VOC standards in
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this section, except as provided in
paragraph (e) of this section.
*
*
*
*
*
■ 8. Section 60.5397a is amended by
revising paragraphs (a), (c)(2), (c)(7)(i)
introductory text, and (c)(8)
introductory text, adding paragraph
(c)(8)(iii), and revising paragraphs (d),
(f), (g) introductory text, (g)(1), (2), and
(5), and (h) to read as follows:
§ 60.5397a What fugitive emissions VOC
standards apply to the affected facility
which is the collection of fugitive emissions
components at a well site and the affected
facility which is the collection of fugitive
emissions components at a compressor
station?
*
*
*
*
*
(a) You must comply with paragraph
(a)(1) of this section, unless your
affected facility under § 60.5365a(i) (i.e.,
the collection of fugitive emissions
components at a well site) meets the
conditions specified in either paragraph
(a)(1)(i) or (ii) of this section. If your
affected facility under § 60.5365a(i) (i.e.,
the collection of fugitive emissions
components at a well site) meets the
conditions specified in either paragraph
(a)(1)(i) or (ii) of this section, you must
comply with either paragraph (a)(1) or
(2) of this section.
(1) You must monitor all fugitive
emission components, as defined in
§ 60.5430a, in accordance with
paragraphs (b) through (g) of this
section. You must repair all sources of
fugitive emissions in accordance with
paragraph (h) of this section. You must
keep records in accordance with
paragraph (i) of this section and report
in accordance with paragraph (j) of this
section. For purposes of this section,
fugitive emissions are defined as any
visible emission from a fugitive
emissions component observed using
optical gas imaging or an instrument
reading of 500 parts per million (ppm)
or greater using Method 21 of appendix
A–7 to this part.
(i) First 30-day production. For the
collection of fugitive emissions
components at a well site, where the
total production of the well site is at or
below 15 barrels of oil equivalent (boe)
per day for the first 30 days of
production, according to § 60.5415a(j),
you must comply with the provisions of
either paragraph (a)(1) or (2) of this
section. Except as provided in this
paragraph (a)(1)(i), the calculation must
be performed within 45 days of the end
of the first 30 days of production. To
convert gas production to equivalent
barrels of oil, divide the cubic feet of gas
produced by 6,000. For well sites that
commenced construction,
reconstruction, or modification between
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October 15, 2019, and November 16,
2020, the owner or operator may use the
records of the first 30 days of
production after becoming subject to
this subpart, if available, to determine if
the total well site production is at or
below 15 boe per day, provided this
determination is completed by
December 14, 2020.
(ii) Well site production decline. For
the collection of fugitive emissions
components at a well site, where, at any
time, the total production of the well
site is at or below 15 boe per day based
on a rolling 12-month average, you must
comply with the provisions of either
paragraph (a)(1) or (2) of this section. To
convert gas production to equivalent
barrels of oil, divide the cubic feet of gas
produced by 6,000.
(2) You must maintain the total
production for the well site at or below
15 boe per day based on a rolling 12month average, according to
§§ 60.5410a(k) and 60.5415a(i), comply
with the reporting requirements in
§ 60.5420a(b)(7)(i)(C), and the
recordkeeping requirements in
§ 60.5420a(c)(15)(ii), until such time
that you perform any of the actions in
paragraphs (a)(2)(i) through (v) of this
section. If any of the actions listed in
paragraphs (a)(2)(i) through (v) of this
section occur, you must comply with
paragraph (a)(3) of this section.
(i) A new well is drilled at the well
site;
(ii) A well at the well site is
hydraulically fractured;
(iii) A well at the well site is
hydraulically refractured;
(iv) A well at the well site is
stimulated in any manner for the
purpose of increasing production,
including well workovers; or
(v) A well at the well site is shut-in
for the purpose of increasing production
from the well.
(3) You must determine the total
production for the well site for the first
30 days after any of the actions listed in
paragraphs (a)(2)(i) through (v) of this
section is completed, according to
§ 60.5415a(j), comply with paragraph
(a)(3)(i) or (ii) of this section, the
reporting requirements in
§ 60.5420a(b)(7)(i)(C), and the
recordkeeping requirements in
§ 60.5420a(c)(15)(iii).
(i) If the total production for the well
site is at or below 15 boe per day for the
first 30 days after the action is
completed, according to § 60.5415a(j),
you must either continue to comply
with paragraph (a)(2) of this section or
comply with paragraph (a)(1) of this
section.
(ii) If the total production for the well
site is greater than 15 boe per day for the
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first 30 days after the action is
completed, according to § 60.5415a(j),
you must comply with paragraph (a)(1)
of this section and conduct an initial
monitoring survey for the collection of
fugitive emissions components at the
well site in accordance with the same
schedule as for modified well sites as
specified in § 60.5397a(f)(1).
*
*
*
*
*
(c) * * *
(2) Technique for determining fugitive
emissions (i.e., Method 21 of appendix
A–7 to this part or optical gas imaging
meeting the requirements in paragraphs
(c)(7)(i) through (vii) of this section).
*
*
*
*
*
(7) * * *
(i) Verification that your optical gas
imaging equipment meets the
specifications of paragraphs (c)(7)(i)(A)
and (B) of this section. This verification
is an initial verification, and may either
be performed by the facility, by the
manufacturer, or by a third party. For
the purposes of complying with the
fugitive emissions monitoring program
with optical gas imaging, a fugitive
emission is defined as any visible
emissions observed using optical gas
imaging.
*
*
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*
*
(8) If you are using Method 21 of
appendix A–7 of this part, your plan
must also include the elements
specified in paragraphs (c)(8)(i) through
(iii) of this section. For the purposes of
complying with the fugitive emissions
monitoring program using Method 21 of
appendix A–7 of this part a fugitive
emission is defined as an instrument
reading of 500 ppm or greater.
*
*
*
*
*
(iii) Procedures for calibration. The
instrument must be calibrated before
use each day of its use by the
procedures specified in Method 21 of
appendix A–7 of this part. At a
minimum, you must also conduct
precision tests at the interval specified
in Method 21 of appendix A–7 of this
part, Section 8.1.2, and a calibration
drift assessment at the end of each
monitoring day. The calibration drift
assessment must be conducted as
specified in paragraph (c)(8)(iii)(A) of
this section. Corrective action for drift
assessments is specified in paragraphs
(c)(8)(iii)(B) and (C) of this section.
(A) Check the instrument using the
same calibration gas that was used to
calibrate the instrument before use.
Follow the procedures specified in
Method 21 of appendix A–7 of this part,
Section 10.1, except do not adjust the
meter readout to correspond to the
calibration gas value. If multiple scales
are used, record the instrument reading
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for each scale used. Divide the
arithmetic difference of the initial and
post-test calibration response by the
corresponding calibration gas value for
each scale and multiply by 100 to
express the calibration drift as a
percentage.
(B) If a calibration drift assessment
shows a negative drift of more than 10
percent, then all equipment with
instrument readings between the
fugitive emission definition multiplied
by (100 minus the percent of negative
drift/divided by 100) and the fugitive
emission definition that was monitored
since the last calibration must be remonitored.
(C) If any calibration drift assessment
shows a positive drift of more than 10
percent from the initial calibration
value, then, at the owner/operator’s
discretion, all equipment with
instrument readings above the fugitive
emission definition and below the
fugitive emission definition multiplied
by (100 plus the percent of positive
drift/divided by 100) monitored since
the last calibration may be re-monitored.
(d) Each fugitive emissions
monitoring plan must include the
elements specified in paragraphs (d)(1)
through (3) of this section, at a
minimum, as applicable.
(1) If you are using optical gas
imaging, your plan must include
procedures to ensure that all fugitive
emissions components are monitored
during each survey. Example
procedures include, but are not limited
to, a sitemap with an observation path,
a written narrative of where the fugitive
emissions components are located and
how they will be monitored, or an
inventory of fugitive emissions
components.
(2) If you are using Method 21 of
appendix A–7 of this part, your plan
must include a list of fugitive emissions
components to be monitored and
method for determining the location of
fugitive emissions components to be
monitored in the field (e.g., tagging,
identification on a process and
instrumentation diagram, etc.).
(3) Your fugitive emissions
monitoring plan must include the
written plan developed for all of the
fugitive emissions components
designated as difficult-to-monitor in
accordance with paragraph (g)(3) of this
section, and the written plan for fugitive
emissions components designated as
unsafe-to-monitor in accordance with
paragraph (g)(4) of this section.
*
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(f)(1) You must conduct an initial
monitoring survey within 90 days of the
startup of production, as defined in
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§ 60.5430a, for each collection of
fugitive emissions components at a new
well site or by June 3, 2017, whichever
is later. For a modified collection of
fugitive emissions components at a well
site, the initial monitoring survey must
be conducted within 90 days of the
startup of production for each collection
of fugitive emissions components after
the modification or by June 3, 2017,
whichever is later. Notwithstanding the
preceding deadlines, for each collection
of fugitive emissions components at a
well site located on the Alaskan North
Slope, as defined in § 60.5430a, that
starts up production between September
and March, you must conduct an initial
monitoring survey within 6 months of
the startup of production for a new well
site, within 6 months of the first day of
production after a modification of the
collection of fugitive emission
components, or by the following June
30, whichever is latest.
(2) You must conduct an initial
monitoring survey within 90 days of the
startup of a new compressor station for
each collection of fugitive emissions
components at the new compressor
station or by June 3, 2017, whichever is
later. For a modified collection of
fugitive emissions components at a
compressor station, the initial
monitoring survey must be conducted
within 90 days of the modification or by
June 3, 2017, whichever is later.
Notwithstanding the preceding
deadlines, for each collection of fugitive
emissions components at a new
compressor station located on the
Alaskan North Slope that starts up
between September and March, you
must conduct an initial monitoring
survey within 6 months of the startup
date for new compressor stations,
within 6 months of the modification, or
by the following June 30, whichever is
latest.
(g) A monitoring survey of each
collection of fugitive emissions
components at a well site or at a
compressor station must be performed
at the frequencies specified in
paragraphs (g)(1) and (2) of this section,
with the exceptions noted in paragraphs
(g)(3) through (5) of this section.
(1) Except as provided in this
paragraph (g)(1), a monitoring survey of
each collection of fugitive emissions
components at a well site must be
conducted at least semiannually after
the initial survey. Consecutive
semiannual monitoring surveys must be
conducted at least 4 months apart and
no more than 7 months apart. A
monitoring survey of each collection of
fugitive emissions components at a well
site located on the Alaskan North Slope
must be conducted at least annually.
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Consecutive annual monitoring surveys
must be conducted at least 9 months
apart and no more than 13 months
apart.
(2) Except as provided in this
paragraph (g)(2), a monitoring survey of
the collection of fugitive emissions
components at a compressor station
must be conducted at least
semiannually after the initial survey.
Consecutive semiannual monitoring
surveys must be conducted at least 4
months apart and no more than 7
months apart. A monitoring survey of
the collection of fugitive emissions
components at a compressor station
located on the Alaskan North Slope
must be conducted at least annually.
Consecutive annual monitoring surveys
must be conducted at least 9 months
apart and no more than 13 months
apart.
*
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*
(5) You are no longer required to
comply with the requirements of
paragraph (g)(1) of this section when the
owner or operator removes all major
production and processing equipment,
as defined in § 60.5430a, such that the
well site becomes a wellhead only well
site. If any major production and
processing equipment is subsequently
added to the well site, then the owner
or operator must comply with the
requirements in paragraphs (f)(1) and
(g)(1) of this section.
(h) Each identified source of fugitive
emissions shall be repaired, as defined
in § 60.5430a, in accordance with
paragraphs (h)(1) and (2) of this section.
(1) A first attempt at repair shall be
made no later than 30 calendar days
after detection of the fugitive emissions.
(2) Repair shall be completed as soon
as practicable, but no later than 30
calendar days after the first attempt at
repair as required in paragraph (h)(1) of
this section.
(3) If the repair is technically
infeasible, would require a vent
blowdown, a compressor station
shutdown, a well shutdown or well
shut-in, or would be unsafe to repair
during operation of the unit, the repair
must be completed during the next
scheduled compressor station shutdown
for maintenance, scheduled well
shutdown, scheduled well shut-in, after
a scheduled vent blowdown, or within
2 years, whichever is earliest. For
purposes of this paragraph (h)(3), a vent
blowdown is the opening of one or more
blowdown valves to depressurize major
production and processing equipment,
other than a storage vessel.
(4) Each identified source of fugitive
emissions must be resurveyed to
complete repair according to the
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requirements in paragraphs (h)(4)(i)
through (iv) of this section, to ensure
that there are no fugitive emissions.
(i) The operator may resurvey the
fugitive emissions components to verify
repair using either Method 21 of
appendix A–7 of this part or optical gas
imaging.
(ii) For each repair that cannot be
made during the monitoring survey
when the fugitive emissions are initially
found, a digital photograph must be
taken of that component or the
component must be tagged during the
monitoring survey when the fugitives
were initially found for identification
purposes and subsequent repair. The
digital photograph must include the
date that the photograph was taken and
must clearly identify the component by
location within the site (e.g., the latitude
and longitude of the component or by
other descriptive landmarks visible in
the picture).
(iii) Operators that use Method 21 of
appendix A–7 of this part to resurvey
the repaired fugitive emissions
components are subject to the resurvey
provisions specified in paragraphs
(h)(4)(iii)(A) and (B) of this section.
(A) A fugitive emissions component is
repaired when the Method 21
instrument indicates a concentration of
less than 500 ppm above background or
when no soap bubbles are observed
when the alternative screening
procedures specified in section 8.3.3 of
Method 21 of appendix A–7 of this part
are used.
(B) Operators must use the Method 21
monitoring requirements specified in
paragraph (c)(8)(ii) of this section or the
alternative screening procedures
specified in section 8.3.3 of Method 21
of appendix A–7 of this part.
(iv) Operators that use optical gas
imaging to resurvey the repaired fugitive
emissions components, are subject to
the resurvey provisions specified in
paragraphs (h)(4)(iv)(A) and (B) of this
section.
(A) A fugitive emissions component is
repaired when the optical gas imaging
instrument shows no indication of
visible emissions.
(B) Operators must use the optical gas
imaging monitoring requirements
specified in paragraph (c)(7) of this
section.
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9. Section 60.5398a is revised to read
as follows:
■
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§ 60.5398a What are the alternative means
of emission limitations for VOC from well
completions, reciprocating compressors,
the collection of fugitive emissions
components at a well site and the collection
of fugitive emissions components at a
compressor station?
(a) If, in the Administrator’s
judgment, an alternative means of
emission limitation will achieve a
reduction in VOC emissions at least
equivalent to the reduction in VOC
emissions achieved under § 60.5375a,
§ 60.5385a, or § 60.5397a, the
Administrator will publish, in the
Federal Register, a notice permitting the
use of that alternative means for the
purpose of compliance with § 60.5375a,
§ 60.5385a, or § 60.5397a. The authority
to approve an alternative means of
emission limitation is retained by the
Administrator and shall not be
delegated to States under section 111(c)
of the Clean Air Act (CAA).
(b) Any notice under paragraph (a) of
this section must be published only
after notice and an opportunity for a
public hearing.
(c) Determination of equivalence to
the design, equipment, work practice, or
operational requirements of this section
will be evaluated by the following
guidelines:
(1) The applicant must provide
information that is sufficient for
demonstrating the alternative means of
emission limitation achieves emission
reductions that are at least equivalent to
the emission reductions that would be
achieved by complying with the
relevant standards. At a minimum, the
application must include the following
information:
(i) Details of the specific equipment or
components that would be included in
the alternative.
(ii) A description of the alternative
work practice, including, as appropriate,
the monitoring method, monitoring
instrument or measurement technology,
and the data quality indicators for
precision and bias.
(iii) The method detection limit of the
technology, technique, or process and a
description of the procedures used to
determine the method detection limit.
At a minimum, the applicant must
collect, verify, and submit field data
encompassing seasonal variations to
support the determination of the
method detection limit. The field data
may be supplemented with modeling
analyses, controlled test site data, or
other documentation.
(iv) Any initial and ongoing quality
assurance/quality control measures
necessary for maintaining the
technology, technique, or process, and
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the timeframes for conducting such
measures.
(v) Frequency of measurements. For
continuous monitoring techniques, the
minimum data availability.
(vi) Any restrictions for using the
technology, technique, or process.
(vii) Initial and continuous
compliance procedures, including
recordkeeping and reporting, if the
compliance procedures are different
than those specified in this subpart.
(2) For each technology, technique, or
process for which a determination of
equivalency is requested, the
application must provide a
demonstration that the emission
reduction achieved by the alternative
means of emission limitation is at least
equivalent to the emission reduction
that would be achieved by complying
with the relevant standards in this
subpart.
(d) Any alternative means of emission
limitations approved under this section
shall constitute a required work
practice, equipment, design, or
operational standard within the
meaning of section 111(h)(1) of the
CAA.
■ 10. Add § 60.5399a to read as follows:
§ 60.5399a What alternative fugitive
emissions standards apply to the affected
facility which is the collection of fugitive
emissions components at a well site and
the affected facility which is the collection
of fugitive emissions components at a
compressor station: Equivalency with state,
local, and tribal programs?
This section provides alternative
fugitive emissions standards based on
programs under state, local, or tribal
authorities for the collection of fugitive
emissions components, as defined in
§ 60.5430a, located at well sites and
compressor stations. Paragraphs (a)
through (e) of this section outline the
procedure for submittal and approval of
alternative fugitive emissions standards.
Paragraphs (f) through (n) provide
approved alternative fugitive emissions
standards. The terms ‘‘fugitive
emissions components’’ and ‘‘repaired’’
are defined in § 60.5430a and must be
applied to the alternative fugitive
emissions standards in this section. The
requirements for a monitoring plan as
specified in § 60.5397a(c) and (d) apply
to the alternative fugitive emissions
standards in this section.
(a) Alternative fugitive emissions
standards. If, in the Administrator’s
judgment, an alternative fugitive
emissions standard will achieve a
reduction in VOC emissions at least
equivalent to the reductions achieved
under § 60.5397a, the Administrator
will publish, in the Federal Register, a
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notice permitting use of the alternative
fugitive emissions standard for the
purpose of compliance with § 60.5397a.
The authority to approve alternative
fugitive emissions standards is retained
by the Administrator and shall not be
delegated to States under section 111(c)
of the CAA.
(b) Notice. Any notice under
paragraph (a) of this section will be
published only after notice and an
opportunity for public hearing.
(c) Evaluation guidelines.
Determination of alternative fugitive
emissions standards to the design,
equipment, work practice, or
operational requirements of § 60.5397a
will be evaluated by the following
guidelines:
(1) The monitoring instrument,
including the monitoring procedure;
(2) The monitoring frequency;
(3) The fugitive emissions definition;
(4) The repair requirements; and
(5) The recordkeeping and reporting
requirements.
(d) Approval of alternative fugitive
emissions standard. Any alternative
fugitive emissions standard approved
under this section shall:
(1) Constitute a required design,
equipment, work practice, or
operational standard within the
meaning of section 111(h)(1) of the
CAA; and
(2) Be made available for use by any
owner or operator in meeting the
relevant standards and requirements
established for affected facilities under
§ 60.5397a.
(e) Notification. (1) An owner or
operator must notify the Administrator
of adoption of the alternative fugitive
emissions standards within the first
annual report following implementation
of the alternative fugitive emissions
standard, as specified in
§ 60.5420a(a)(3).
(2) An owner or operator
implementing one of the alternative
fugitive emissions standards must
submit the reports specified in
§ 60.5420a(b)(7)(iii). An owner or
operator must also maintain the records
specified by the specific alternative
fugitive emissions standard for a period
of at least 5 years.
(f) Alternative fugitive emissions
requirements for the collection of
fugitive emissions components located
at a well site or a compressor station in
the State of California. An affected
facility, which is the collection of
fugitive emissions components, as
defined in § 60.5430a, located at a well
site or a compressor station in the State
of California may elect to reduce VOC
emissions through compliance with the
monitoring, repair, and recordkeeping
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requirements in the California Code of
Regulations, title 17, sections 95665–
95667, effective January 1, 2020, as an
alternative to complying with the
requirements in § 60.5397a(f)(1) and (2),
(g)(1) through (4), (h), and (i). The
information specified in
§ 60.5420a(b)(7)(iii)(A) and the
information specified in either
§ 60.5420a(b)(7)(iii)(B) or (C) may be
provided as an alternative to the
requirements in § 60.5397a(j).
(g) Alternative fugitive emissions
requirements for the collection of
fugitive emissions components located
at a well site or a compressor station in
the State of Colorado. An affected
facility, which is the collection of
fugitive emissions components, as
defined in § 60.5430a, located at a well
site or a compressor station in the State
of Colorado may elect to comply with
the monitoring, repair, and
recordkeeping requirements in Colorado
Regulation 7, Part D, section I.L or II.E,
effective February 14, 2020, for well
sites and compressor stations, as an
alternative to complying with the
requirements in § 60.5397a(f)(1) and (2),
(g)(1) through (4), (h), and (i), provided
the monitoring instrument used is an
optical gas imaging or a Method 21
instrument (see appendix A–7 of this
part). Monitoring must be conducted on
at least a semiannual basis for well sites
and compressor stations. If using the
alternative in this paragraph (g), the
information specified in
§ 60.5420a(b)(7)(iii)(A) and (C) must be
provided in lieu of the requirements in
§ 60.5397a(j).
(h) Alternative fugitive emissions
requirements for the collection of
fugitive emissions components located
at a well site in the State of Ohio. An
affected facility, which is the collection
of fugitive emissions components, as
defined in § 60.5430a, located at a well
site in the State of Ohio may elect to
comply with the monitoring, repair, and
recordkeeping requirements in Ohio
General Permits 12.1, Section C.5 and
12.2, Section C.5, effective April 14,
2014, as an alternative to complying
with the requirements in
§ 60.5397a(f)(1), (g)(1), (3), and (4), (h),
and (i), provided the monitoring
instrument used is optical gas imaging
or a Method 21 instrument (see
appendix A–7 of this part) with a leak
definition and reading of 500 ppm or
greater. Monitoring must be conducted
on at least a semiannual basis and skip
periods cannot be applied. The
information specified in
§ 60.5420a(b)(7)(iii)(A) and the
information specified in either
§ 60.5420a(b)(7)(iii)(B) or (C) may be
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provided as an alternative to the
requirements in § 60.5397a(j).
(i) Alternative fugitive emissions
requirements for the collection of
fugitive emissions components located
at a compressor station in the State of
Ohio. An affected facility, which is the
collection of fugitive emissions
components, as defined in § 60.5430a,
located at a compressor station in the
State of Ohio may elect to comply with
the monitoring, repair, and
recordkeeping requirements in Ohio
General Permit 18.1, effective February
7, 2017, as an alternative to complying
with the requirements in
§ 60.5397a(f)(2), (g)(2) through (4), (h),
and (i), provided the monitoring
instrument used is optical gas imaging
or a Method 21 instrument (see
appendix A–7 of this part) with a leak
definition and reading of 500 ppm or
greater. Monitoring must be conducted
on at least a semiannual basis and skip
periods cannot be applied. The
information specified in
§ 60.5420a(b)(7)(iii)(A) and the
information specified in either
§ 60.5420a(b)(7)(iii)(B) or (C) may be
provided as an alternative to the
requirements in § 60.5397a(j).
(j) Alternative fugitive emissions
requirements for the collection of
fugitive emissions components located
at a well site in the State of
Pennsylvania. An affected facility,
which is the collection of fugitive
emissions components, as defined in
§ 60.5430a, located at a well site in the
State of Pennsylvania may elect to
comply with the monitoring, repair, and
recordkeeping requirements in
Pennsylvania General Permit 5A,
section G, effective August 8, 2018, as
an alternative to complying with the
requirements in § 60.5397a(f)(2), (g)(2)
through (4), (h), and (i), provided the
monitoring instrument used is an
optical gas imaging or a Method 21
instrument (see appendix A–7 of this
part). The information specified in
§ 60.5420a(b)(7)(iii)(A) and the
information specified in either
§ 60.5420a(b)(7)(iii)(B) or (C) may be
provided as an alternative to the
requirements in § 60.5397a(j).
(k) Alternative fugitive emissions
requirements for the collection of
fugitive emissions components located
at a compressor station in the State of
Pennsylvania. An affected facility,
which is the collection of fugitive
emissions components, as defined in
§ 60.5430a, located at a compressor
station in the State of Pennsylvania may
elect to comply with the monitoring,
repair, and recordkeeping requirements
in Pennsylvania General Permit 5,
section G, effective August 8, 2018, as
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an alternative to complying with the
requirements in § 60.5397a(f)(2), (g)(2)
through (4), (h), and (i), provided the
monitoring instrument used is an
optical gas imaging or a Method 21
instrument (see appendix A–7 of this
part). The information specified in
§ 60.5420a(b)(7)(iii)(A) and the
information specified in either
§ 60.5420a(b)(7)(iii)(B) or (C) may be
provided as an alternative to the
requirements in § 60.5397a(j).
(l) Alternative fugitive emissions
requirements for the collection of
fugitive emissions components located
at a well site in the State of Texas. An
affected facility, which is the collection
of fugitive emissions components, as
defined in § 60.5430a, located at a well
site in the State of Texas may elect to
comply with the monitoring, repair, and
recordkeeping requirements in the Air
Quality Standard Permit for Oil and Gas
Handling and Production Facilities,
section (e)(6), effective November 8,
2012, or at 30 Texas Administrative
Code section 116.620, effective
September 4, 2000, as an alternative to
complying with the requirements in
§ 60.5397a(f)(2), (g)(2) through (4), (h),
and (i), provided the monitoring
instrument used is optical gas imaging
or a Method 21 instrument (see
appendix A–7 of this part) with a leak
definition and reading of 500 ppm or
greater. Monitoring must be conducted
on at least a semiannual basis and skip
periods may not be applied. If using the
requirement in this paragraph (l), the
information specified in
§ 60.5420a(b)(7)(iii)(A) and (C) must be
provided in lieu of the requirements in
§ 60.5397a(j).
(m) Alternative fugitive emissions
requirements for the collection of
fugitive emissions components located
at a compressor station in the State of
Texas. An affected facility, which is the
collection of fugitive emissions
components, as defined in § 60.5430a,
located at a compressor in the State of
Texas may elect to comply with the
monitoring, repair, and recordkeeping
requirements in the Air Quality
Standard Permit for Oil and Gas
Handling and Production Facilities,
section (e)(6), effective November 8,
2012, or at 30 Texas Administrative
Code section 116.620, effective
September 4, 2000, as an alternative to
complying with the requirements in
§ 60.5397a(f)(2), (g)(2) through (4), (h),
and (i), provided the monitoring
instrument used is optical gas imaging
or a Method 21 instrument (see
appendix A–7 of this part) with a leak
definition and reading of 500 ppm or
greater. Monitoring must be conducted
on at least a semiannual basis and skip
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periods may not be applied. If using the
alternative in this paragraph (m), the
information specified in
§ 60.5420a(b)(7)(iii)(A) and (C) must be
provided in lieu of the requirements in
§ 60.5397a(j).
(n) Alternative fugitive emissions
requirements for the collection of
fugitive emissions components located
at a well site in the State of Utah. An
affected facility, which is the collection
of fugitive emissions components, as
defined in § 60.5430a, and is required to
control emissions in accordance with
Utah Administrative Code R307–506
and R307–507, located at a well site in
the State of Utah may elect to comply
with the monitoring, repair, and
recordkeeping requirements in the Utah
Administrative Code R307–509,
effective March 2, 2018, as an
alternative to complying with the
requirements in § 60.5397a(f)(2), (g)(2)
through (4), (h), and (i). If using the
alternative in this paragraph (n), the
information specified in
§ 60.5420a(b)(7)(iii)(A) and (C) must be
provided in lieu of the requirements in
§ 60.5397a(j).
■ 11. Section 60.5400a is amended by
revising the introductory text and
paragraph (a) to read as follows:
§ 60.5400a What equipment leak VOC
standards apply to affected facilities at an
onshore natural gas processing plant?
This section applies to the group of all
equipment, except compressors, within
a process unit located at an onshore
natural gas processing plant.
(a) You must comply with the
requirements of §§ 60.482–1a(a), (b), (d),
and (e), 60.482–2a, and 60.482–4a
through 60.482–11a, except as provided
in § 60.5401a, as soon as practicable but
no later than 180 days after the initial
startup of the process unit.
*
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*
*
*
■ 12. Section 60.5401a is amended by
revising paragraphs (e) and (g) to read as
follows:
§ 60.5401a What are the exceptions to the
equipment leak VOC standards for affected
facilities at onshore natural gas processing
plants?
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(e) Pumps in light liquid service,
valves in gas/vapor and light liquid
service, pressure relief devices in gas/
vapor service, and connectors in gas/
vapor service and in light liquid service
within a process unit that is located in
the Alaskan North Slope are exempt
from the monitoring requirements of
§§ 60.482–2a(a)(1), 60.482–7a(a), and
60.482–11a(a) and paragraph (b)(1) of
this section.
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(g) An owner or operator may use the
following provisions instead of
§ 60.485a(b)(2): A calibration drift
assessment shall be performed, at a
minimum, at the end of each monitoring
day. Check the instrument using the
same calibration gas(es) that were used
to calibrate the instrument before use.
Follow the procedures specified in
Method 21 of appendix A–7 of this part,
Section 10.1, except do not adjust the
meter readout to correspond to the
calibration gas value. Record the
instrument reading for each scale used
as specified in § 60.486a(e)(8). For each
scale, divide the arithmetic difference of
the most recent calibration and the posttest calibration response by the
corresponding calibration gas value, and
multiply by 100 to express the
calibration drift as a percentage. If any
calibration drift assessment shows a
negative drift of more than 10 percent
from the most recent calibration
response, then all equipment monitored
since the last calibration with
instrument readings below the
appropriate leak definition and above
the leak definition multiplied by (100
minus the percent of negative drift/
divided by 100) must be re-monitored.
If any calibration drift assessment shows
a positive drift of more than 10 percent
from the most recent calibration
response, then, at the owner/operator’s
discretion, all equipment since the last
calibration with instrument readings
above the appropriate leak definition
and below the leak definition multiplied
by (100 plus the percent of positive
drift/divided by 100) may be remonitored.
■ 13. Section 60.5405a is amended by
revising the section heading to read as
follows:
§ 60.5405a What standards apply to
sweetening unit affected facilities?
*
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*
*
14. Section 60.5406a is amended by
revising the section heading to read as
follows:
■
§ 60.5406a What test methods and
procedures must I use for my sweetening
unit affected facilities?
*
*
*
*
*
15. Section 60.5407a is amended by
revising the section heading and
paragraph (a) introductory text to read
as follows:
■
§ 60.5407a What are the requirements for
monitoring of emissions and operations
from my sweetening unit affected facilities?
(a) If your sweetening unit affected
facility is subject to the provisions of
§ 60.5405a(a) or (b) you must install,
calibrate, maintain, and operate
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monitoring devices or perform
measurements to determine the
following operations information on a
daily basis:
*
*
*
*
*
■ 16. Section 60.5410a is amended by:
■ a. Revising the section heading,
introductory text, and paragraphs (c)(1)
and (e)(2) through (5);
■ b. Removing paragraph (e)(8);
■ c. Revising paragraphs (g)
introductory text, (g)(3), (h), (j)
introductory text, and (j)(1); and
■ d. Adding paragraph (k).
The revisions and addition read as
follows:
§ 60.5410a How do I demonstrate initial
compliance with the standards for my well,
centrifugal compressor, reciprocating
compressor, pneumatic controller,
pneumatic pump, storage vessel, collection
of fugitive emissions components at a well
site, collection of fugitive emissions
components at a compressor station, and
equipment leaks at onshore natural gas
processing plants and sweetening unit
affected facilities?
You must determine initial
compliance with the standards for each
affected facility using the requirements
in paragraphs (a) through (k) of this
section. Except as otherwise provided in
this section, the initial compliance
period begins on August 2, 2016, or
upon initial startup, whichever is later,
and ends no later than 1 year after the
initial startup date for your affected
facility or no later than 1 year after
August 2, 2016. The initial compliance
period may be less than 1 full year.
*
*
*
*
*
(c) * * *
(1) If complying with § 60.5385a(a)(1)
or (2), during the initial compliance
period, you must continuously monitor
the number of hours of operation or
track the number of months since initial
startup, since August 2, 2016, or since
the last rod packing replacement,
whichever is latest.
*
*
*
*
*
(e) * * *
(2) If you own or operate a pneumatic
pump affected facility located at a well
site, you must reduce emissions in
accordance with § 60.5393a(b)(1) or (2),
and you must collect the pneumatic
pump emissions through a closed vent
system that meets the requirements of
§ 60.5411a(d) and (e).
(3) If you own or operate a pneumatic
pump affected facility located at a well
site and there is no control device or
process available on site, you must
submit the certification in
§ 60.5420a(b)(8)(i)(A).
(4) If you own or operate a pneumatic
pump affected facility located at a well
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site, and you are unable to route to an
existing control device or to a process
due to technical infeasibility, you must
submit the certification in
§ 60.5420a(b)(8)(i)(B).
(5) If you own or operate a pneumatic
pump affected facility located at a well
site and you reduce emissions in
accordance with § 60.5393a(b)(4), you
must collect the pneumatic pump
emissions through a closed vent system
that meets the requirements of
§ 60.5411a(d) and (e).
*
*
*
*
*
(g) For sweetening unit affected
facilities, initial compliance is
demonstrated according to paragraphs
(g)(1) through (3) of this section.
*
*
*
*
*
(3) You must submit the results of
paragraphs (g)(1) and (2) of this section
in the initial annual report submitted for
your sweetening unit affected facilities.
(h) For each storage vessel affected
facility you must comply with
paragraphs (h)(1) through (6) of this
section. Except as otherwise provided in
this paragraph (h), you must
demonstrate initial compliance by
August 2, 2016, or within 60 days after
startup, whichever is later.
(1) You must determine the potential
VOC emission rate as specified in
§ 60.5365a(e).
(2) You must reduce VOC emissions
in accordance with § 60.5395a(a).
(3) If you use a control device to
reduce emissions, you must equip the
storage vessel with a cover that meets
the requirements of § 60.5411a(b) and is
connected through a closed vent system
that meets the requirements of
§ 60.5411a(c) and (d) to a control device
that meets the conditions specified in
§ 60.5412a(d) within 60 days after
startup for storage vessels constructed,
modified, or reconstructed at well sites
with no other wells in production, or
upon startup for storage vessels
constructed, modified, or reconstructed
at well sites with one or more wells
already in production.
(4) You must conduct an initial
performance test as required in
§ 60.5413a within 180 days after initial
startup or within 180 days of August 2,
2016, whichever is later, and you must
comply with the continuous compliance
requirements in § 60.5415a(e).
(5) You must submit the information
required for your storage vessel affected
facility in your initial annual report as
specified in § 60.5420a(b)(1) and (6).
(6) You must maintain the records
required for your storage vessel affected
facility, as specified in § 60.5420a(c)(5)
through (8), (12) through (14), and (17),
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as applicable, for each storage vessel
affected facility.
*
*
*
*
*
(j) To achieve initial compliance with
the fugitive emission standards for each
collection of fugitive emissions
components at a well site and each
collection of fugitive emissions
components at a compressor station you
must comply with paragraphs (j)(1)
through (5) of this section.
(1) You must develop a fugitive
emissions monitoring plan as required
in § 60.5397a(b), (c), and (d).
*
*
*
*
*
(k) To demonstrate initial compliance
with the requirement to maintain the
total well site production at or below 15
boe per day based on a rolling 12-month
average, as specified in § 60.5397a(a)(2),
you must comply with paragraphs (k)(1)
through (3) of this section.
(1) You must demonstrate that the
total daily combined oil and natural gas
production for all wells at the well site
is at or below 15 boe per day, based on
a 12-month average from the previous
12 months of operation, according to
paragraphs (k)(1)(i) through (iii) of this
section within 45 days of the end of
each month. The rolling 12-month
average of the total well site production
determined according to paragraph
(k)(1)(iii) of this section must be at or
below 15 boe per day.
(i) Determine the daily combined oil
and natural gas production for each
individual well at the well site for the
month. To convert gas production to
equivalent barrels of oil, divide the
cubic feet of gas produced by 6,000.
(ii) Sum the daily production for each
individual well at the well site to
determine the total well site production
and divide by the number of days in the
month. This is the average daily total
well site production for the month.
(iii) Use the result determined in
paragraph (k)(1)(ii) of this section and
average with the daily total well site
production values determined for each
of the preceding 11 months to calculate
the rolling 12-month average of the total
well site production.
(2) You must maintain records as
specified in § 60.5420a(c)(15)(ii).
(3) You must submit compliance
information in the initial and
subsequent annual reports as specified
in § 60.5420a(b)(7)(i)(C) and (b)(7)(iv).
17. Section 60.5411a is amended by
revising the introductory text and
paragraphs (a) introductory text, (a)(1),
(c)(1) and (2), (d)(1), and (e) to read as
follows:
■
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§ 60.5411a What additional requirements
must I meet to determine initial compliance
for my covers and closed vent systems
routing emissions from centrifugal
compressor wet seal fluid degassing
systems, reciprocating compressors,
pneumatic pumps and storage vessels?
You must meet the applicable
requirements of this section for each
cover and closed vent system used to
comply with the emission standards for
your centrifugal compressor wet seal
degassing systems, reciprocating
compressors, pneumatic pumps, and
storage vessels.
(a) Closed vent system requirements
for reciprocating compressors and
centrifugal compressor wet seal
degassing systems.
(1) You must design the closed vent
system to route all gases, vapors, and
fumes emitted from the reciprocating
compressor rod packing emissions
collection system to a process. You must
design the closed vent system to route
all gases, vapors, and fumes emitted
from the centrifugal compressor wet seal
fluid degassing system to a process or a
control device that meets the
requirements specified in § 60.5412a(a)
through (c).
*
*
*
*
*
(c) * * *
(1) You must design the closed vent
system to route all gases, vapors, and
fumes emitted from the material in the
storage vessel affected facility to a
control device that meets the
requirements specified in § 60.5412a(c)
and (d), or to a process.
(2) You must design and operate a
closed vent system with no detectable
emissions, as determined using
olfactory, visual, and auditory
inspections or optical gas imaging
inspections as specified in
§ 60.5416a(c).
*
*
*
*
*
(d) * * *
(1) You must conduct an assessment
that the closed vent system is of
sufficient design and capacity to ensure
that all emissions from the affected
facility are routed to the control device
and that the control device is of
sufficient design and capacity to
accommodate all emissions from the
affected facility, and have it certified by
a qualified professional engineer or an
in-house engineer with expertise on the
design and operation of the closed vent
system in accordance with paragraphs
(d)(1)(i) and (ii) of this section.
(i) You must provide the following
certification, signed and dated by a
qualified professional engineer or an inhouse engineer: ‘‘I certify that the closed
vent system design and capacity
assessment was prepared under my
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direction or supervision. I further certify
that the closed vent system design and
capacity assessment was conducted and
this report was prepared pursuant to the
requirements of subpart OOOOa of 40
CFR part 60. Based on my professional
knowledge and experience, and inquiry
of personnel involved in the assessment,
the certification submitted herein is
true, accurate, and complete.’’
(ii) The assessment shall be prepared
under the direction or supervision of a
qualified professional engineer or an inhouse engineer who signs the
certification in paragraph (d)(1)(i) of this
section.
*
*
*
*
*
(e) Closed vent system requirements
for pneumatic pump affected facilities
using a control device or routing
emissions to a process.
(1) You must design the closed vent
system to route all gases, vapors, and
fumes emitted from the pneumatic
pump to a control device or a process.
(2) You must design and operate a
closed vent system with no detectable
emissions, as demonstrated by
§ 60.5416a(b), olfactory, visual, and
auditory inspections or optical gas
imaging inspections as specified in
§ 60.5416a(d).
(3) You must meet the requirements
specified in paragraphs (e)(3)(i) and (ii)
of this section if the closed vent system
contains one or more bypass devices
that could be used to divert all or a
portion of the gases, vapors, or fumes
from entering the control device or to a
process.
(i) Except as provided in paragraph
(e)(3)(ii) of this section, you must
comply with either paragraph
(e)(3)(i)(A) or (B) of this section for each
bypass device.
(A) You must properly install,
calibrate, maintain, and operate a flow
indicator at the inlet to the bypass
device that could divert the stream away
from the control device or process to the
atmosphere that sounds an alarm, or
initiates notification via remote alarm to
the nearest field office, when the bypass
device is open such that the stream is
being, or could be, diverted away from
the control device or process to the
atmosphere. You must maintain records
of each time the alarm is activated
according to § 60.5420a(c)(8).
(B) You must secure the bypass device
valve installed at the inlet to the bypass
device in the non-diverting position
using a car-seal or a lock-and-key type
configuration.
(ii) Low leg drains, high point bleeds,
analyzer vents, open-ended valves or
lines, and safety devices are not subject
to the requirements of paragraph (e)(3)(i)
of this section.
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18. Section 60.5412a is amended by
revising paragraphs (a)(1) introductory
text, (a)(1)(iv), (c) introductory text,
(d)(1)(iv) introductory text, and
(d)(1)(iv)(D) to read as follows:
■
§ 60.5412a What additional requirements
must I meet for determining initial
compliance with control devices used to
comply with the emission standards for my
centrifugal compressor, and storage vessel
affected facilities?
*
*
*
*
*
(a) * * *
(1) Each combustion device (e.g.,
thermal vapor incinerator, catalytic
vapor incinerator, boiler, or process
heater) must be designed and operated
in accordance with one of the
performance requirements specified in
paragraphs (a)(1)(i) through (iv) of this
section. If a boiler or process heater is
used as the control device, then you
must introduce the vent stream into the
flame zone of the boiler or process
heater.
*
*
*
*
*
(iv) You must introduce the vent
stream with the primary fuel or use the
vent stream as the primary fuel in a
boiler or process heater.
*
*
*
*
*
(c) For each carbon adsorption system
used as a control device to meet the
requirements of paragraph (a)(2) or
(d)(2) of this section, you must manage
the carbon in accordance with the
requirements specified in paragraphs
(c)(1) and (2) of this section.
*
*
*
*
*
(d) * * *
(1) * * *
(iv) Each enclosed combustion control
device (e.g., thermal vapor incinerator,
catalytic vapor incinerator, boiler, or
process heater) must be designed and
operated in accordance with one of the
performance requirements specified in
paragraphs (d)(1)(iv)(A) through (D) of
this section. If a boiler or process heater
is used as the control device, then you
must introduce the vent stream into the
flame zone of the boiler or process
heater.
*
*
*
*
*
(D) You must introduce the vent
stream with the primary fuel or use the
vent stream as the primary fuel in a
boiler or process heater.
*
*
*
*
*
19. Section 60.5413a is amended by
revising paragraphs (d)(5)(i)
introductory text, (d)(9)(iii), and (d)(12)
introductory text to read as follows:
■
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§ 60.5413a What are the performance
testing procedures for control devices used
to demonstrate compliance at my
centrifugal compressor and storage vessel
affected facilities?
*
*
*
*
*
(d) * * *
(5) * * *
(i) At the inlet gas sampling location,
securely connect a fused silica-coated
stainless steel evacuated canister fitted
with a flow controller sufficient to fill
the canister over a 3-hour period. Filling
must be conducted as specified in
paragraphs (d)(5)(i)(A) through (C) of
this section.
*
*
*
*
*
(9) * * *
(iii) A 0–10 parts per million by
volume-wet (ppmvw) (as propane)
measurement range is preferred; as an
alternative a 0–30 ppmvw (as propane)
measurement range may be used.
*
*
*
*
*
(12) The owner or operator of a
combustion control device model tested
under this paragraph (d)(12) must
submit the information listed in
paragraphs (d)(12)(i) through (vi) of this
section for each test run in the test
report required by this section in
accordance with § 60.5420a(b)(10).
Owners or operators who claim that any
of the performance test information
being submitted is confidential business
information (CBI) must submit a
complete file including information
claimed to be CBI, on a compact disc,
flash drive, or other commonly used
electronic storage media to the EPA. The
electronic media must be clearly marked
as CBI and mailed to Attn: CBI
Document Control Officer; Office of Air
Quality Planning and Standards
(OAQPS), Room 521; 109 T.W.
Alexander Drive; Research Triangle
Park, NC 27711. The same file with the
CBI omitted must be submitted to Oil_
and_Gas_PT@EPA.GOV.
*
*
*
*
*
20. Section 60.5415a is amended by:
a. Revising the section heading and
paragraphs (b) introductory text and
(b)(3);
■ b. Removing paragraph (b)(4);
■ c. Revising paragraphs (c)(1), (g)
introductory text, (h) introductory text,
and (h)(2); and
■ d. Adding paragraphs (i) and (j).
The revisions and additions read as
follows:
■
■
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§ 60.5415a How do I demonstrate
continuous compliance with the standards
for my well, centrifugal compressor,
reciprocating compressor, pneumatic
controller, pneumatic pump, storage vessel,
collection of fugitive emissions
components at a well site, and collection of
fugitive emissions components at a
compressor station affected facilities,
equipment leaks at onshore natural gas
processing plants and sweetening unit
affected facilities?
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*
*
*
*
*
(b) For each centrifugal compressor
affected facility and each pneumatic
pump affected facility, you must
demonstrate continuous compliance
according to paragraph (b)(3) of this
section. For each centrifugal compressor
affected facility, you also must
demonstrate continuous compliance
according to paragraphs (b)(1) and (2) of
this section.
*
*
*
*
*
(3) You must submit the annual
reports required by § 60.5420a(b)(1), (3),
and (8) and maintain the records as
specified in § 60.5420a(c)(2), (6) through
(11), (16), and (17), as applicable.
*
*
*
*
*
(c) * * *
(1) You must continuously monitor
the number of hours of operation for
each reciprocating compressor affected
facility or track the number of months
since initial startup, since August 2,
2016, or since the date of the most
recent reciprocating compressor rod
packing replacement, whichever is
latest.
*
*
*
*
*
(g) For each sweetening unit affected
facility, you must demonstrate
continuous compliance with the
standards for SO2 specified in
§ 60.5405a(b) according to paragraphs
(g)(1) and (2) of this section.
*
*
*
*
*
(h) For each collection of fugitive
emissions components at a well site and
each collection of fugitive emissions
components at a compressor station,
you must demonstrate continuous
compliance with the fugitive emission
standards specified in § 60.5397a(a)(1)
according to paragraphs (h)(1) through
(4) of this section.
*
*
*
*
*
(2) You must repair each identified
source of fugitive emissions as required
in § 60.5397a(h).
*
*
*
*
*
(i) For each collection of fugitive
emissions components at a well site
complying with § 60.5397a(a)(2), you
must demonstrate continuous
compliance according to paragraphs
(i)(1) through (4) of this section. You
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must perform the calculations shown in
paragraphs (i)(1) through (4) of this
section within 45 days of the end of
each month. The rolling 12-month
average of the total well site production
determined according to paragraph (i)(4)
of this section must be at or below 15
boe per day.
(1) Begin with the most recent 12month average.
(2) Determine the daily combined oil
and natural gas production of each
individual well at the well site for the
month. To convert gas production to
equivalent barrels of oil, divide the
cubic feet of gas produced by 6,000.
(3) Sum the daily production for each
individual well at the well site and
divide by the number of days in the
month. This is the average daily total
well site production for the month.
(4) Use the result determined in
paragraph (i)(3) of this section and
average with the daily total well site
production values determined for each
of the preceding 11 months to calculate
the rolling 12-month average of the total
well site production.
(j) To demonstrate that the well site
produced at or below 15 boe per day for
the first 30 days after startup of
production as specified in § 60.5397a(3),
you must calculate the daily production
for each individual well at the well site
during the first 30 days of production
after completing any action listed in
§ 60.5397a(a)(2)(i) through (v) and sum
the individual well production values to
obtain the total well site production.
The calculation must be performed
within 45 days of the end of the first 30
days of production after completing any
action listed in § 60.5397a(a)(2)(i)
through (v). To convert gas production
to equivalent barrels of oil, divide cubic
feet of gas produced by 6,000.
■ 21. Section 60.5416a is amended by
revising the introductory text and
paragraphs (a) introductory text, (a)(4)
introductory text, (b) introductory text,
(c) introductory text, (c)(1), and (c)(2)
introductory text, adding paragraph
(c)(2)(iv), and revising paragraph (d) to
read as follows:
§ 60.5416a What are the initial and
continuous cover and closed vent system
inspection and monitoring requirements for
my centrifugal compressor, reciprocating
compressor, pneumatic pump, and storage
vessel affected facilities?
For each closed vent system or cover
at your centrifugal compressor,
reciprocating compressor, pneumatic
pump, and storage vessel affected
facilities, you must comply with the
applicable requirements of paragraphs
(a) through (d) of this section.
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(a) Inspections for closed vent systems
and covers installed on each centrifugal
compressor or reciprocating compressor
affected facility. Except as provided in
paragraphs (b)(11) and (12) of this
section, you must inspect each closed
vent system according to the procedures
and schedule specified in paragraphs
(a)(1) and (2) of this section, inspect
each cover according to the procedures
and schedule specified in paragraph
(a)(3) of this section, and inspect each
bypass device according to the
procedures of paragraph (a)(4) of this
section.
*
*
*
*
*
(4) For each bypass device, except as
provided for in § 60.5411a(a)(3)(ii), you
must meet the requirements of
paragraph (a)(4)(i) or (ii) of this section.
*
*
*
*
*
(b) No detectable emissions test
methods and procedures. If you are
required to conduct an inspection of a
closed vent system or cover at your
centrifugal compressor or reciprocating
compressor affected facility as specified
in paragraph (a)(1), (2), or (3) of this
section, you must meet the requirements
of paragraphs (b)(1) through (13) of this
section.
*
*
*
*
*
(c) Cover and closed vent system
inspections for storage vessel affected
facilities. If you install a control device
or route emissions to a process, you
must comply with the inspection and
recordkeeping requirements for each
closed vent system and cover as
specified in paragraphs (c)(1) and (2) of
this section. You must also comply with
the requirements of paragraphs (c)(3)
through (7) of this section.
(1) Closed vent system inspections.
For each closed vent system, you must
conduct an inspection as specified in
paragraphs (c)(1)(i) through (iii) or
paragraph (c)(1)(iv) of this section.
(i) You must maintain records of the
inspection results as specified in
§ 60.5420a(c)(6).
(ii) Conduct olfactory, visual, and
auditory inspections at least once every
calendar month for defects that could
result in air emissions. Defects include,
but are not limited to, visible cracks,
holes, or gaps in piping; loose
connections; liquid leaks; or broken or
missing caps or other closure devices.
(iii) Monthly inspections must be
separated by at least 14 calendar days.
(iv) Conduct optical gas imaging
inspections for any visible emissions at
the same frequency as the frequency for
the collection of fugitive emissions
components located at the same type of
site, as specified in § 60.5397a(g)(1).
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(2) Cover inspections. For each cover,
you must conduct inspections as
specified in paragraphs (c)(2)(i) through
(iii) or paragraph (c)(2)(iv) of this
section.
*
*
*
*
*
(iv) Conduct optical gas imaging
inspections for any visible emissions at
the same frequency as the frequency for
the collection of fugitive emissions
components located at the same type of
site, as specified in § 60.5397a(g)(1).
*
*
*
*
*
(d) Closed vent system inspections for
pneumatic pump affected facilities. If
you install a control device or route
emissions to a process, you must
comply with the inspection and
recordkeeping requirements for each
closed vent system as specified in
paragraph (d)(1) of this section. You
must also comply with the requirements
of paragraphs (c)(3) through (7) of this
section.
(1) For each closed vent system, you
must conduct an inspection as specified
in paragraphs (d)(1)(i) through (iii),
paragraph (d)(1)(iv), or paragraph
(d)(1)(v) of this section.
(i) You must maintain records of the
inspection results as specified in
§ 60.5420a(c)(6).
(ii) Conduct olfactory, visual, and
auditory inspections at least once every
calendar month for defects that could
result in air emissions. Defects include,
but are not limited to, visible cracks,
holes, or gaps in piping; loose
connections; liquid leaks; or broken or
missing caps or other closure devices.
(iii) Monthly inspections must be
separated by at least 14 calendar days.
(iv) Conduct optical gas imaging
inspections for any visible emissions at
the same frequency as the frequency for
the collection of fugitive components
located at the same type of site, as
specified in § 60.5397a(g)(1).
(v) Conduct inspections as specified
in paragraphs (a)(1) and (2) of this
section.
(2) [Reserved]
■ 22. Section 60.5417a is amended by
revising the introductory text and
paragraph (a) to read as follows:
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§ 60.5417a What are the continuous
control device monitoring requirements for
my centrifugal compressor and storage
vessel affected facilities?
You must meet the applicable
requirements of this section to
demonstrate continuous compliance for
each control device used to meet
emission standards for your storage
vessel affected facility or centrifugal
compressor affected facility.
(a) For each control device used to
comply with the emission reduction
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standard for centrifugal compressor
affected facilities in § 60.5380a(a)(1),
you must install and operate a
continuous parameter monitoring
system for each control device as
specified in paragraphs (c) through (g) of
this section, except as provided for in
paragraph (b) of this section. If you
install and operate a flare in accordance
with § 60.5412a(a)(3), you are exempt
from the requirements of paragraphs (e)
and (f) of this section. If you install and
operate an enclosed combustion device
or control device which is not
specifically listed in paragraph (d) of
this section, you must demonstrate
continuous compliance according to
paragraphs (h)(1) through (4) of this
section.
*
*
*
*
*
■ 23. Revise § 60.5420a to read as
follows:
§ 60.5420a What are my notification,
reporting, and recordkeeping
requirements?
(a) Notifications. You must submit the
notifications according to paragraphs
(a)(1) and (2) of this section if you own
or operate one or more of the affected
facilities specified in § 60.5365a that
was constructed, modified, or
reconstructed during the reporting
period.
(1) If you own or operate an affected
facility that is the group of all
equipment within a process unit at an
onshore natural gas processing plant, or
a sweetening unit, you must submit the
notifications required in §§ 60.7(a)(1),
(3), and (4) and 60.15(d). If you own or
operate a well, centrifugal compressor,
reciprocating compressor, pneumatic
controller, pneumatic pump, storage
vessel, collection of fugitive emissions
components at a well site, or collection
of fugitive emissions components at a
compressor station, you are not required
to submit the notifications required in
§§ 60.7(a)(1), (3), and (4) and 60.15(d).
(2)(i) If you own or operate a well
affected facility, you must submit a
notification to the Administrator no
later than 2 days prior to the
commencement of each well completion
operation listing the anticipated date of
the well completion operation. The
notification shall include contact
information for the owner or operator;
the United States Well Number; the
latitude and longitude coordinates for
each well in decimal degrees to an
accuracy and precision of five (5)
decimals of a degree using the North
American Datum of 1983; and the
planned date of the beginning of
flowback. You may submit the
notification in writing or in electronic
format.
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(ii) If you are subject to state
regulations that require advance
notification of well completions and
you have met those notification
requirements, then you are considered
to have met the advance notification
requirements of paragraph (a)(2)(i) of
this section.
(3) An owner or operator electing to
comply with the provisions of
§ 60.5399a shall notify the
Administrator of the alternative fugitive
emissions standard selected within the
annual report, as specified in paragraph
(b)(7) of this section.
(b) Reporting requirements. You must
submit annual reports containing the
information specified in paragraphs
(b)(1) through (8) and (12) of this section
and performance test reports as
specified in paragraph (b)(9) or (10) of
this section, if applicable. You must
submit annual reports following the
procedure specified in paragraph (b)(11)
of this section. The initial annual report
is due no later than 90 days after the end
of the initial compliance period as
determined according to § 60.5410a.
Subsequent annual reports are due no
later than same date each year as the
initial annual report. If you own or
operate more than one affected facility,
you may submit one report for multiple
affected facilities provided the report
contains all of the information required
as specified in paragraphs (b)(1) through
(8) and (12) of this section. Annual
reports may coincide with title V reports
as long as all the required elements of
the annual report are included. You may
arrange with the Administrator a
common schedule on which reports
required by this part may be submitted
as long as the schedule does not extend
the reporting period.
(1) The general information specified
in paragraphs (b)(1)(i) through (iv) of
this section is required for all reports.
(i) The company name, facility site
name associated with the affected
facility, U.S. Well ID or U.S. Well ID
associated with the affected facility, if
applicable, and address of the affected
facility. If an address is not available for
the site, include a description of the site
location and provide the latitude and
longitude coordinates of the site in
decimal degrees to an accuracy and
precision of five (5) decimals of a degree
using the North American Datum of
1983.
(ii) An identification of each affected
facility being included in the annual
report.
(iii) Beginning and ending dates of the
reporting period.
(iv) A certification by a certifying
official of truth, accuracy, and
completeness. This certification shall
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state that, based on information and
belief formed after reasonable inquiry,
the statements and information in the
document are true, accurate, and
complete.
(2) For each well affected facility that
is subject to § 60.5375a(a) or (f), the
records of each well completion
operation conducted during the
reporting period, including the
information specified in paragraphs
(b)(2)(i) through (xiv) of this section, if
applicable. In lieu of submitting the
records specified in paragraphs (b)(2)(i)
through (xiv) of this section, the owner
or operator may submit a list of each
well completion with hydraulic
fracturing completed during the
reporting period, and the digital
photograph required by paragraph
(c)(1)(v) of this section for each well
completion. For each well affected
facility that routes flowback entirely
through one or more production
separators, only the records specified in
paragraphs (b)(2)(i) through (iv) and (vi)
of this section are required to be
reported. For periods where salable gas
is unable to be separated, the records
specified in paragraphs (b)(2)(iv) and
(viii) through (xii) of this section must
also be reported, as applicable. For each
well affected facility that is subject to
§ 60.5375a(g), the record specified in
paragraph (b)(2)(xv) of this section is
required to be reported.
(i) Well Completion ID.
(ii) Latitude and longitude of the well
in decimal degrees to an accuracy and
precision of five (5) decimals of a degree
using North American Datum of 1983.
(iii) U.S. Well ID.
(iv) The date and time of the onset of
flowback following hydraulic fracturing
or refracturing or identification that the
well immediately starts production.
(v) The date and time of each attempt
to direct flowback to a separator as
required in § 60.5375a(a)(1)(ii).
(vi) The date and time that the well
was shut in and the flowback equipment
was permanently disconnected, or the
startup of production.
(vii) The duration (in hours) of
flowback.
(viii) The duration (in hours) of
recovery and disposition of recovery
(i.e., routed to the gas flow line or
collection system, re-injected into the
well or another well, used as an onsite
fuel source, or used for another useful
purpose that a purchased fuel or raw
material would serve).
(ix) The duration (in hours) of
combustion.
(x) The duration (in hours) of venting.
(xi) The specific reasons for venting in
lieu of capture or combustion.
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(xii) For any deviations recorded as
specified in paragraph (c)(1)(ii) of this
section, the date and time the deviation
began, the duration of the deviation, and
a description of the deviation.
(xiii) For each well affected facility
subject to § 60.5375a(f), a record of the
well type (i.e., wildcat well, delineation
well, or low pressure well (as defined
§ 60.5430a)) and supporting inputs and
calculations, if applicable.
(xiv) For each well affected facility for
which you claim an exception under
§ 60.5375a(a)(3), the specific exception
claimed and reasons why the well meets
the claimed exception.
(xv) For each well affected facility
with less than 300 scf of gas per stock
tank barrel of oil produced, the
supporting analysis that was performed
in order the make that claim, including
but not limited to, GOR values for
established leases and data from wells
in the same basin and field.
(3) For each centrifugal compressor
affected facility, the information
specified in paragraphs (b)(3)(i) through
(v) of this section.
(i) An identification of each
centrifugal compressor using a wet seal
system constructed, modified, or
reconstructed during the reporting
period.
(ii) For each deviation that occurred
during the reporting period and
recorded as specified in paragraph (c)(2)
of this section, the date and time the
deviation began, the duration of the
deviation, and a description of the
deviation.
(iii) If required to comply with
§ 60.5380a(a)(2), the information in
paragraphs (b)(3)(iii)(A) through (C) of
this section.
(A) Dates of each inspection required
under § 60.5416a(a) and (b);
(B) Each defect or leak identified
during each inspection, date of repair or
the date of anticipated repair if the
repair is delayed; and
(C) Date and time of each bypass
alarm or each instance the key is
checked out if you are subject to the
bypass requirements of § 60.5416a(a)(4).
(iv) If complying with § 60.5380a(a)(1)
with a control device tested under
§ 60.5413a(d) which meets the criteria
in § 60.5413a(d)(11) and (e), the
information in paragraphs (b)(3)(iv)(A)
through (D) of this section.
(A) Identification of the compressor
with the control device.
(B) Make, model, and date of purchase
of the control device.
(C) For each instance where the inlet
gas flow rate exceeds the manufacturer’s
listed maximum gas flow rate, where
there is no indication of the presence of
a pilot flame, or where visible emissions
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exceeded 1 minute in any 15-minute
period, include the date and time the
deviation began, the duration of the
deviation, and a description of the
deviation.
(D) For each visible emissions test
following return to operation from a
maintenance or repair activity, the date
of the visible emissions test, the length
of the test, and the amount of time for
which visible emissions were present.
(v) If complying with § 60.5380a(a)(1)
with a control device not tested under
§ 60.5413a(d), identification of the
compressor with the tested control
device, the date the performance test
was conducted, and pollutant(s) tested.
Submit the performance test report
following the procedures specified in
paragraph (b)(9) of this section.
(4) For each reciprocating compressor
affected facility, the information
specified in paragraphs (b)(4)(i) through
(iii) of this section.
(i) The cumulative number of hours of
operation or the number of months
since initial startup, since August 2,
2016, or since the previous
reciprocating compressor rod packing
replacement, whichever is latest.
Alternatively, a statement that
emissions from the rod packing are
being routed to a process through a
closed vent system under negative
pressure.
(ii) If applicable, for each deviation
that occurred during the reporting
period and recorded as specified in
paragraph (c)(3)(iii) of this section, the
date and time the deviation began,
duration of the deviation and a
description of the deviation.
(iii) If required to comply with
§ 60.5385a(a)(3), the information in
paragraphs (b)(4)(iii)(A) through (C) of
this section.
(A) Dates of each inspection required
under § 60.5416a(a) and (b);
(B) Each defect or leak identified
during each inspection, and date of
repair or date of anticipated repair if
repair is delayed; and
(C) Date and time of each bypass
alarm or each instance the key is
checked out if you are subject to the
bypass requirements of § 60.5416a(a)(4).
(5) For each pneumatic controller
affected facility, the information
specified in paragraphs (b)(5)(i) through
(iii) of this section.
(i) An identification of each
pneumatic controller constructed,
modified, or reconstructed during the
reporting period, including the month
and year of installation, reconstruction
or modification and identification
information that allows traceability to
the records required in paragraph
(c)(4)(iii) or (iv) of this section.
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(ii) If applicable, reason why the use
of pneumatic controller affected
facilities with a natural gas bleed rate
greater than the applicable standard are
required.
(iii) For each instance where the
pneumatic controller was not operated
in compliance with the requirements
specified in § 60.5390a, a description of
the deviation, the date and time the
deviation began, and the duration of the
deviation.
(6) For each storage vessel affected
facility, the information in paragraphs
(b)(6)(i) through (ix) of this section.
(i) An identification, including the
location, of each storage vessel affected
facility for which construction,
modification, or reconstruction
commenced during the reporting period.
The location of the storage vessel shall
be in latitude and longitude coordinates
in decimal degrees to an accuracy and
precision of five (5) decimals of a degree
using the North American Datum of
1983.
(ii) Documentation of the VOC
emission rate determination according
to § 60.5365a(e)(1) for each storage
vessel that became an affected facility
during the reporting period or is
returned to service during the reporting
period.
(iii) For each deviation that occurred
during the reporting period and
recorded as specified in paragraph (c)(5)
of this section, the date and time the
deviation began, duration of the
deviation and a description of the
deviation.
(iv) A statement that you have met the
requirements specified in
§ 60.5410a(h)(2) and (3).
(v) For each storage vessel
constructed, modified, reconstructed, or
returned to service during the reporting
period complying with § 60.5395a(a)(2)
with a control device tested under
§ 60.5413a(d) which meets the criteria
in § 60.5413a(d)(11) and (e), the
information in paragraphs (b)(6)(v)(A)
through (D) of this section.
(A) Identification of the storage vessel
with the control device.
(B) Make, model, and date of purchase
of the control device.
(C) For each instance where the inlet
gas flow rate exceeds the manufacturer’s
listed maximum gas flow rate, where
there is no indication of the presence of
a pilot flame, or where visible emissions
exceeded 1 minute in any 15-minute
period, include the date and time the
deviation began, the duration of the
deviation, and a description of the
deviation.
(D) For each visible emissions test
following return to operation from a
maintenance or repair activity, the date
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of the visible emissions test, the length
of the test, and the amount of time for
which visible emissions were present.
(vi) If complying with § 60.5395a(a)(2)
with a control device not tested under
§ 60.5413a(d), identification of the
storage vessel with the tested control
device, the date the performance test
was conducted, and pollutant(s) tested.
Submit the performance test report
following the procedures specified in
paragraph (b)(9) of this section.
(vii) If required to comply with
§ 60.5395a(b)(1), the information in
paragraphs (b)(6)(vii)(A) through (C) of
this section.
(A) Dates of each inspection required
under § 60.5416a(c);
(B) Each defect or leak identified
during each inspection, and date of
repair or date of anticipated repair if
repair is delayed; and
(C) Date and time of each bypass
alarm or each instance the key is
checked out if you are subject to the
bypass requirements of § 60.5416a(c)(3).
(viii) You must identify each storage
vessel affected facility that is removed
from service during the reporting period
as specified in § 60.5395a(c)(1)(ii),
including the date the storage vessel
affected facility was removed from
service.
(ix) You must identify each storage
vessel affected facility returned to
service during the reporting period as
specified in § 60.5395a(c)(3), including
the date the storage vessel affected
facility was returned to service.
(7) For the collection of fugitive
emissions components at each well site
and the collection of fugitive emissions
components at each compressor station,
report the information specified in
paragraphs (b)(7)(i) through (iii) of this
section, as applicable.
(i)(A) Designation of the type of site
(i.e., well site or compressor station) at
which the collection of fugitive
emissions components is located.
(B) For each collection of fugitive
emissions components at a well site that
became an affected facility during the
reporting period, you must include the
date of the startup of production or the
date of the first day of production after
modification. For each collection of
fugitive emissions components at a
compressor station that became an
affected facility during the reporting
period, you must include the date of
startup or the date of modification.
(C) For each collection of fugitive
emissions components at a well site that
meets the conditions specified in either
§ 60.5397a(a)(1)(i) or (ii), you must
specify the well site is a low production
well site and submit the total
production for the well site.
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(D) For each collection of fugitive
emissions components at a well site
where during the reporting period you
complete the removal of all major
production and processing equipment
such that the well site contains only one
or more wellheads, you must include
the date of the change to status as a
wellhead only well site.
(E) For each collection of fugitive
emissions components at a well site
where you previously reported under
paragraph (b)(7)(i)(C) of this section the
removal of all major production and
processing equipment and during the
reporting period major production and
processing equipment is added back to
the well site, the date that the first piece
of major production and processing
equipment is added back to the well
site.
(ii) For each fugitive emissions
monitoring survey performed during the
annual reporting period, the information
specified in paragraphs (b)(7)(ii)(A)
through (G) of this section.
(A) Date of the survey.
(B) Monitoring instrument used.
(C) Any deviations from the
monitoring plan elements under
§ 60.5397a(c)(1), (2), and (7) and (c)(8)(i)
or a statement that there were no
deviations from these elements of the
monitoring plan.
(D) Number and type of components
for which fugitive emissions were
detected.
(E) Number and type of fugitive
emissions components that were not
repaired as required in § 60.5397a(h).
(F) Number and type of fugitive
emission components (including
designation as difficult-to-monitor or
unsafe-to-monitor, if applicable) on
delay of repair and explanation for each
delay of repair.
(G) Date of planned shutdown(s) that
occurred during the reporting period if
there are any components that have
been placed on delay of repair.
(iii) For each collection of fugitive
emissions components at a well site or
collection of fugitive emissions
components at a compressor station
complying with an alternative fugitive
emissions standard under § 60.5399a, in
lieu of the information specified in
paragraphs (b)(7)(i) and (ii) of this
section, you must provide the
information specified in paragraphs
(b)(7)(iii)(A) through (C) of this section.
(A) The alternative standard with
which you are complying.
(B) The site-specific reports specified
by the specific alternative fugitive
emissions standard, submitted in the
format in which they were submitted to
the state, local, or tribal authority. If the
report is in hard copy, you must scan
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the document and submit it as an
electronic attachment to the annual
report required in paragraph (b) of this
section.
(C) If the report specified by the
specific alternative fugitive emissions
standard is not site-specific, you must
submit the information specified in
paragraphs (b)(7)(i) and (ii) of this
section for each individual site
complying with the alternative
standard.
(8) For each pneumatic pump affected
facility, the information specified in
paragraphs (b)(8)(i) through (iv) of this
section.
(i) For each pneumatic pump that is
constructed, modified or reconstructed
during the reporting period, you must
provide certification that the pneumatic
pump meets one of the conditions
described in paragraph (b)(8)(i)(A), (B),
or (C) of this section.
(A) No control device or process is
available on site.
(B) A control device or process is
available on site and the owner or
operator has determined in accordance
with § 60.5393a(b)(5) that it is
technically infeasible to capture and
route the emissions to the control device
or process.
(C) Emissions from the pneumatic
pump are routed to a control device or
process. If the control device is designed
to achieve less than 95 percent
emissions reduction, specify the percent
emissions reductions the control device
is designed to achieve.
(ii) For any pneumatic pump affected
facility which has been previously
reported as required under paragraph
(b)(8)(i) of this section and for which a
change in the reported condition has
occurred during the reporting period,
provide the identification of the
pneumatic pump affected facility and
the date it was previously reported and
a certification that the pneumatic pump
meets one of the conditions described in
paragraph (b)(8)(ii)(A), (B), (C), or (D) of
this section.
(A) A control device has been added
to the location and the pneumatic pump
now reports according to paragraph
(b)(8)(i)(C) of this section.
(B) A control device has been added
to the location and the pneumatic pump
affected facility now reports according
to paragraph (b)(8)(i)(B) of this section.
(C) A control device or process has
been removed from the location or
otherwise is no longer available and the
pneumatic pump affected facility now
report according to paragraph
(b)(8)(i)(A) of this section.
(D) A control device or process has
been removed from the location or is
otherwise no longer available and the
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owner or operator has determined in
accordance with § 60.5393a(b)(5)
through an engineering evaluation that
it is technically infeasible to capture
and route the emissions to another
control device or process.
(iii) For each deviation that occurred
during the reporting period and
recorded as specified in paragraph
(c)(16)(ii) of this section, the date and
time the deviation began, duration of
the deviation, and a description of the
deviation.
(iv) If required to comply with
§ 60.5393a(b), the information in
paragraphs (b)(8)(iv)(A) through (C) of
this section.
(A) Dates of each inspection required
under § 60.5416a(d);
(B) Each defect or leak identified
during each inspection, and date of
repair or date of anticipated repair if
repair is delayed; and
(C) Date and time of each bypass
alarm or each instance the key is
checked out if you are subject to the
bypass requirements of § 60.5416a(c)(3).
(9) Within 60 days after the date of
completing each performance test (see
§ 60.8) required by this subpart, except
testing conducted by the manufacturer
as specified in § 60.5413a(d), you must
submit the results of the performance
test following the procedure specified in
either paragraph (b)(9)(i) or (ii) of this
section.
(i) For 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/electronicreporting-air-emissions/electronicreporting-tool-ert) at the time of the test,
you must submit the results of the
performance test to the EPA via the
Compliance and Emissions Data
Reporting Interface (CEDRI), except as
outlined in this paragraph (b)(9)(i).
(CEDRI can be accessed through the
EPA’s Central Data Exchange (CDX)
(https://cdx.epa.gov/).) The EPA will
make all the information submitted
through CEDRI available to the public
without further notice to you. Do not
use CEDRI to submit information you
claim as confidential business
information (CBI). Anything submitted
using CEDRI cannot later be claimed
CBI. Performance test data must be
submitted in a file format generated
through the use of the EPA’s ERT or an
alternate electronic file format
consistent with the extensible markup
language (XML) schema listed on the
EPA’s ERT website. Although we do not
expect persons to assert a claim of CBI,
if you wish to assert a CBI claim, you
must submit a complete file generated
through the use of the EPA’s ERT or an
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alternate electronic file consistent with
the XML schema listed on the EPA’s
ERT website, including information
claimed to be CBI, on a compact disc,
flash drive, or other commonly used
electronic storage media to the EPA. The
electronic media must be clearly marked
as CBI and mailed 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 ERT or alternate
file with the CBI omitted must be
submitted to the EPA via the EPA’s CDX
as described earlier in this paragraph
(b)(9)(i). All CBI claims must be asserted
at the time of submission. Furthermore,
under CAA section 114(c), emissions
data is not entitled to confidential
treatment, and the EPA is required to
make emissions data available to the
public. Thus, emissions data will not be
protected as CBI and will be made
publicly available.
(ii) For 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, you must
submit the results of the performance
test to the Administrator at the
appropriate address listed in § 60.4.
(10) For combustion control devices
tested by the manufacturer in
accordance with § 60.5413a(d), an
electronic copy of the performance test
results required by § 60.5413a(d) shall
be submitted via email to Oil_and_Gas_
PT@EPA.GOV unless the test results for
that model of combustion control device
are posted at the following website:
epa.gov/airquality/oilandgas/.
(11) You must submit reports to the
EPA via CEDRI, except as outlined in
this paragraph (b)(11). (CEDRI can be
accessed through the EPA’s CDX
(https://cdx.epa.gov/).) The EPA will
make all the information submitted
through CEDRI available to the public
without further notice to you. Do not
use CEDRI to submit information you
claim as CBI. Anything submitted using
CEDRI cannot later be claimed CBI. You
must use the appropriate electronic
report in CEDRI for this subpart or an
alternate electronic file format
consistent with the extensible markup
language (XML) schema listed on the
CEDRI website (https://www.epa.gov/
electronic-reporting-air-emissions/cedri/
). If the reporting form specific to this
subpart is not available in CEDRI at the
time that the report is due, you must
submit the report to the Administrator
at the appropriate address listed in
§ 60.4. Once the form has been available
in CEDRI for at least 90 calendar days,
you must begin submitting all
subsequent reports via CEDRI. The
reports must be submitted by the
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deadlines specified in this subpart,
regardless of the method in which the
reports are submitted. Although we do
not expect persons to assert a claim of
CBI, if you wish to assert a CBI claim,
submit a complete report generated
using the appropriate form in CEDRI or
an alternate electronic file consistent
with the XML schema listed on the
EPA’s CEDRI website, including
information claimed to be CBI, on a
compact disc, flash drive, or other
commonly used electronic storage
medium to the EPA. The electronic
medium shall be clearly marked as CBI
and mailed to U.S. EPA/OAQPS/CORE
CBI Office, Attention: Group Leader,
Fuels and Incineration Group, MD
C404–02, 4930 Old Page Rd., Durham,
NC 27703. The same file with the CBI
omitted shall be submitted to the EPA
via CEDRI. All CBI claims must be
asserted at the time of submission.
Furthermore, under CAA section 114(c),
emissions data is not entitled to
confidential treatment, and the EPA is
required to make emissions data
available to the public. Thus, emissions
data will not be protected as CBI and
will be made publicly available.
(12) You must submit the certification
signed by the qualified professional
engineer or in-house engineer according
to § 60.5411a(d) for each closed vent
system routing to a control device or
process.
(13) 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
(b)(13)(i) through (vii) of this section.
(i) 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.
(ii) The outage must have occurred
within the period of time beginning 5
business days prior to the date that the
submission is due.
(iii) The outage may be planned or
unplanned.
(iv) 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 caused a delay in reporting.
(v) You must provide to the
Administrator a written description
identifying:
(A) The date(s) and time(s) when CDX
or CEDRI was accessed and the system
was unavailable;
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(B) A rationale for attributing the
delay in reporting beyond the regulatory
deadline to the EPA system outage;
(C) Measures taken or to be taken to
minimize the delay in reporting; and
(D) 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.
(vi) 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.
(vii) In any circumstance, the report
must be submitted electronically as
soon as possible after the outage is
resolved.
(14) If you are required to
electronically submit a report through
CEDRI in the EPA’s CDX, the owner or
operator may assert a claim of force
majeure for failure to timely comply
with the reporting requirement. To
assert a claim of force majeure, you
must meet the requirements outlined in
paragraphs (b)(14)(i) through (v) of this
section.
(i) 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 5 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).
(ii) 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 caused a delay in reporting.
(iii) You must provide to the
Administrator:
(A) A written description of the force
majeure event;
(B) A rationale for attributing the
delay in reporting beyond the regulatory
deadline to the force majeure event;
(C) Measures taken or to be taken to
minimize the delay in reporting; and
(D) 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.
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(iv) 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.
(v) In any circumstance, the reporting
must occur as soon as possible after the
force majeure event occurs.
(c) Recordkeeping requirements. You
must maintain the records identified as
specified in § 60.7(f) and in paragraphs
(c)(1) through (18) of this section. All
records required by this subpart must be
maintained either onsite or at the
nearest local field office for at least 5
years. Any records required to be
maintained by this subpart that are
submitted electronically via the EPA’s
CDX may be maintained in electronic
format.
(1) The records for each well affected
facility as specified in paragraphs
(c)(1)(i) through (vii) of this section, as
applicable. For each well affected
facility for which you make a claim that
the well affected facility is not subject
to the requirements for well
completions pursuant to § 60.5375a(g),
you must maintain the record in
paragraph (c)(1)(vi) of this section, only.
For each well affected facility that
routes flowback entirely through one or
more production separators that are
designed to accommodate flowback,
only records of the United States Well
Number, the latitude and longitude of
the well in decimal degrees to an
accuracy and precision of five (5)
decimals of a degree using North
American Datum of 1983, the Well
Completion ID, and the date and time of
startup of production are required. For
periods where salable gas is unable to be
separated, records of the date and time
of onset of flowback, the duration and
disposition of recovery, the duration of
combustion and venting (if applicable),
reasons for venting (if applicable), and
deviations are required.
(i) Records identifying each well
completion operation for each well
affected facility.
(ii) Records of deviations in cases
where well completion operations with
hydraulic fracturing were not performed
in compliance with the requirements
specified in § 60.5375a, including the
date and time the deviation began, the
duration of the deviation, and a
description of the deviation.
(iii) You must maintain the records
specified in paragraphs (c)(1)(iii)(A)
through (C) of this section.
(A) For each well affected facility
required to comply with the
requirements of § 60.5375a(a), you must
record: The latitude and longitude of the
well in decimal degrees to an accuracy
and precision of five (5) decimals of a
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degree using North American Datum of
1983; the United States Well Number;
the date and time of the onset of
flowback following hydraulic fracturing
or refracturing; the date and time of
each attempt to direct flowback to a
separator as required in
§ 60.5375a(a)(1)(ii); the date and time of
each occurrence of returning to the
initial flowback stage under
§ 60.5375a(a)(1)(i); and the date and
time that the well was shut in and the
flowback equipment was permanently
disconnected, or the startup of
production; the duration of flowback;
duration of recovery and disposition of
recovery (i.e., routed to the gas flow line
or collection system, re-injected into the
well or another well, used as an onsite
fuel source, or used for another useful
purpose that a purchased fuel or raw
material would serve); duration of
combustion; duration of venting; and
specific reasons for venting in lieu of
capture or combustion. The duration
must be specified in hours. In addition,
for wells where it is technically
infeasible to route the recovered gas as
specified in § 60.5375a(a)(1)(ii), you
must record the reasons for the claim of
technical infeasibility with respect to all
four options provided in
§ 60.5375a(a)(1)(ii).
(B) For each well affected facility
required to comply with the
requirements of § 60.5375a(f), you must
record: Latitude and longitude of the
well in decimal degrees to an accuracy
and precision of five (5) decimals of a
degree using North American Datum of
1983; the United States Well Number;
the date and time of the onset of
flowback following hydraulic fracturing
or refracturing; the date and time that
the well was shut in and the flowback
equipment was permanently
disconnected, or the startup of
production; the duration of flowback;
duration of recovery and disposition of
recovery (i.e., routed to the gas flow line
or collection system, re-injected into the
well or another well, used as an onsite
fuel source, or used for another useful
purpose that a purchased fuel or raw
material would serve); duration of
combustion; duration of venting; and
specific reasons for venting in lieu of
capture or combustion. The duration
must be specified in hours.
(C) For each well affected facility for
which you make a claim that it meets
the criteria of § 60.5375a(a)(1)(iii)(A),
you must maintain the following:
(1) The latitude and longitude of the
well in decimal degrees to an accuracy
and precision of five (5) decimals of a
degree using North American Datum of
1983; the United States Well Number;
the date and time of the onset of
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flowback following hydraulic fracturing
or refracturing; the date and time that
the well was shut in and the flowback
equipment was permanently
disconnected, or the startup of
production; the duration of flowback;
duration of recovery and disposition of
recovery (i.e., routed to the gas flow line
or collection system, re-injected into the
well or another well, used as an onsite
fuel source, or used for another useful
purpose that a purchased fuel or raw
material would serve); duration of
combustion; duration of venting; and
specific reasons for venting in lieu of
capture or combustion. The duration
must be specified in hours.
(2) If applicable, records that the
conditions of § 60.5375a(a)(1)(iii)(A) are
no longer met and that the well
completion operation has been stopped
and a separator installed. The records
shall include the date and time the well
completion operation was stopped and
the date and time the separator was
installed.
(3) A record of the claim signed by the
certifying official that no liquids
collection is at the well site. The claim
must include a certification by a
certifying official of truth, accuracy, and
completeness. This certification shall
state that, based on information and
belief formed after reasonable inquiry,
the statements and information in the
document are true, accurate, and
complete.
(iv) For each well affected facility for
which you claim an exception under
§ 60.5375a(a)(3), you must record: The
latitude and longitude of the well in
decimal degrees to an accuracy and
precision of five (5) decimals of a degree
using North American Datum of 1983;
the United States Well Number; the
specific exception claimed; the starting
date and ending date for the period the
well operated under the exception; and
an explanation of why the well meets
the claimed exception.
(v) For each well affected facility
required to comply with both
§ 60.5375a(a)(1) and (3), if you are using
a digital photograph in lieu of the
records required in paragraphs (c)(1)(i)
through (iv) of this section, you must
retain the records of the digital
photograph as specified in
§ 60.5410a(a)(4).
(vi) For each well affected facility for
which you make a claim that the well
affected facility is not subject to the well
completion standards according to
§ 60.5375a(g), you must maintain:
(A) A record of the analysis that was
performed in order the make that claim,
including but not limited to, GOR
values for established leases and data
from wells in the same basin and field;
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(B) the latitude and longitude of the
well in decimal degrees to an accuracy
and precision of five (5) decimals of a
degree using North American Datum of
1983; the United States Well Number;
(C) A record of the claim signed by
the certifying official. The claim must
include a certification by a certifying
official of truth, accuracy, and
completeness. This certification shall
state that, based on information and
belief formed after reasonable inquiry,
the statements and information in the
document are true, accurate, and
complete.
(vii) For each well affected facility
subject to § 60.5375a(f), a record of the
well type (i.e., wildcat well, delineation
well, or low pressure well (as defined
§ 60.5430a)) and supporting inputs and
calculations, if applicable.
(2) For each centrifugal compressor
affected facility, you must maintain
records of deviations in cases where the
centrifugal compressor was not operated
in compliance with the requirements
specified in § 60.5380a, including a
description of each deviation, the date
and time each deviation began and the
duration of each deviation. Except as
specified in paragraph (c)(2)(viii) of this
section, you must maintain the records
in paragraphs (c)(2)(i) through (vii) of
this section for each control device
tested under § 60.5413a(d) which meets
the criteria in § 60.5413a(d)(11) and (e)
and used to comply with
§ 60.5380a(a)(1) for each centrifugal
compressor.
(i) Make, model, and serial number of
purchased device.
(ii) Date of purchase.
(iii) Copy of purchase order.
(iv) Location of the centrifugal
compressor and control device in
latitude and longitude coordinates in
decimal degrees to an accuracy and
precision of five (5) decimals of a degree
using the North American Datum of
1983.
(v) Inlet gas flow rate.
(vi) Records of continuous
compliance requirements in
§ 60.5413a(e) as specified in paragraphs
(c)(2)(vi)(A) through (E) of this section.
(A) Records that the pilot flame is
present at all times of operation.
(B) Records that the device was
operated with no visible emissions
except for periods not to exceed a total
of 1 minute during any 15-minute
period.
(C) Records of the maintenance and
repair log.
(D) Records of the visible emissions
test following return to operation from
a maintenance or repair activity,
including the date of the visible
emissions test, the length of the test, and
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the amount of time for which visible
emissions were present.
(E) Records of the manufacturer’s
written operating instructions,
procedures, and maintenance schedule
to ensure good air pollution control
practices for minimizing emissions.
(vii) Records of deviations for
instances where the inlet gas flow rate
exceeds the manufacturer’s listed
maximum gas flow rate, where there is
no indication of the presence of a pilot
flame, or where visible emissions
exceeded 1 minute in any 15-minute
period, including a description of the
deviation, the date and time the
deviation began, and the duration of the
deviation.
(viii) As an alternative to the
requirements of paragraph (c)(2)(iv) of
this section, you may maintain records
of one or more digital photographs with
the date the photograph was taken and
the latitude and longitude of the
centrifugal compressor and control
device imbedded within or stored with
the digital file. As an alternative to
imbedded latitude and longitude within
the digital photograph, the digital
photograph may consist of a photograph
of the centrifugal compressor and
control device with a photograph of a
separately operating GPS device within
the same digital picture, provided the
latitude and longitude output of the GPS
unit can be clearly read in the digital
photograph.
(3) For each reciprocating compressor
affected facility, you must maintain the
records in paragraphs (c)(3)(i) through
(iii) of this section.
(i) Records of the cumulative number
of hours of operation or number of
months since initial startup, since
August 2, 2016, or since the previous
replacement of the reciprocating
compressor rod packing, whichever is
latest. Alternatively, a statement that
emissions from the rod packing are
being routed to a process through a
closed vent system under negative
pressure.
(ii) Records of the date and time of
each reciprocating compressor rod
packing replacement, or date of
installation of a rod packing emissions
collection system and closed vent
system as specified in § 60.5385a(a)(3).
(iii) Records of deviations in cases
where the reciprocating compressor was
not operated in compliance with the
requirements specified in § 60.5385a,
including the date and time the
deviation began, duration of the
deviation, and a description of the
deviation.
(4) For each pneumatic controller
affected facility, you must maintain the
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records identified in paragraphs (c)(4)(i)
through (v) of this section, as applicable.
(i) Records of the month and year of
installation, reconstruction, or
modification, location in latitude and
longitude coordinates in decimal
degrees to an accuracy and precision of
five (5) decimals of a degree using the
North American Datum of 1983,
identification information that allows
traceability to the records required in
paragraph (c)(4)(iii) or (iv) of this
section and manufacturer specifications
for each pneumatic controller
constructed, modified, or reconstructed.
(ii) Records of the demonstration that
the use of pneumatic controller affected
facilities with a natural gas bleed rate
greater than the applicable standard are
required and the reasons why.
(iii) If the pneumatic controller is not
located at a natural gas processing plant,
records of the manufacturer’s
specifications indicating that the
controller is designed such that natural
gas bleed rate is less than or equal to 6
standard cubic feet per hour.
(iv) If the pneumatic controller is
located at a natural gas processing plant,
records of the documentation that the
natural gas bleed rate is zero.
(v) For each instance where the
pneumatic controller was not operated
in compliance with the requirements
specified in § 60.5390a, a description of
the deviation, the date and time the
deviation began, and the duration of the
deviation.
(5) For each storage vessel affected
facility, you must maintain the records
identified in paragraphs (c)(5)(i) through
(vii) of this section.
(i) If required to reduce emissions by
complying with § 60.5395a(a)(2), the
records specified in §§ 60.5420a(c)(6)
through (8) and 60.5416a(c)(6)(ii) and
(c)(7)(ii). You must maintain the records
in paragraph (c)(5)(vi) of this section for
each control device tested under
§ 60.5413a(d) which meets the criteria
in § 60.5413a(d)(11) and (e) and used to
comply with § 60.5395a(a)(2) for each
storage vessel.
(ii) Records of each VOC emissions
determination for each storage vessel
affected facility made under
§ 60.5365a(e) including identification of
the model or calculation methodology
used to calculate the VOC emission rate.
(iii) For each instance where the
storage vessel was not operated in
compliance with the requirements
specified in §§ 60.5395a, 60.5411a,
60.5412a, and 60.5413a, as applicable, a
description of the deviation, the date
and time each deviation began, and the
duration of the deviation.
(iv) For storage vessels that are skidmounted or permanently attached to
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something that is mobile (such as
trucks, railcars, barges or ships), records
indicating the number of consecutive
days that the vessel is located at a site
in the crude oil and natural gas
production source category. If a storage
vessel is removed from a site and,
within 30 days, is either returned to the
site or replaced by another storage
vessel at the site to serve the same or
similar function, then the entire period
since the original storage vessel was first
located at the site, including the days
when the storage vessel was removed,
will be added to the count towards the
number of consecutive days.
(v) You must maintain records of the
identification and location in latitude
and longitude coordinates in decimal
degrees to an accuracy and precision of
five (5) decimals of a degree using the
North American Datum of 1983 of each
storage vessel affected facility.
(vi) Except as specified in paragraph
(c)(5)(vi)(G) of this section, you must
maintain the records specified in
paragraphs (c)(5)(vi)(A) through (H) of
this section for each control device
tested under § 60.5413a(d) which meets
the criteria in § 60.5413a(d)(11) and (e)
and used to comply with
§ 60.5395a(a)(2) for each storage vessel.
(A) Make, model, and serial number
of purchased device.
(B) Date of purchase.
(C) Copy of purchase order.
(D) Location of the control device in
latitude and longitude coordinates in
decimal degrees to an accuracy and
precision of five (5) decimals of a degree
using the North American Datum of
1983.
(E) Inlet gas flow rate.
(F) Records of continuous compliance
requirements in § 60.5413a(e) as
specified in paragraphs (c)(5)(vi)(F)(1)
through (5) of this section.
(1) Records that the pilot flame is
present at all times of operation.
(2) Records that the device was
operated with no visible emissions
except for periods not to exceed a total
of 1 minute during any 15-minute
period.
(3) Records of the maintenance and
repair log.
(4) Records of the visible emissions
test following return to operation from
a maintenance or repair activity,
including the date of the visible
emissions test, the length of the test, and
the amount of time for which visible
emissions were present.
(5) Records of the manufacturer’s
written operating instructions,
procedures, and maintenance schedule
to ensure good air pollution control
practices for minimizing emissions.
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(G) Records of deviations for instances
where the inlet gas flow rate exceeds the
manufacturer’s listed maximum gas
flow rate, where there is no indication
of the presence of a pilot flame, or
where visible emissions exceeded 1
minute in any 15-minute period,
including a description of the deviation,
the date and time the deviation began,
and the duration of the deviation.
(H) As an alternative to the
requirements of paragraph (c)(5)(vi)(D)
of this section, you may maintain
records of one or more digital
photographs with the date the
photograph was taken and the latitude
and longitude of the storage vessel and
control device imbedded within or
stored with the digital file. As an
alternative to imbedded latitude and
longitude within the digital photograph,
the digital photograph may consist of a
photograph of the storage vessel and
control device with a photograph of a
separately operating GPS device within
the same digital picture, provided the
latitude and longitude output of the GPS
unit can be clearly read in the digital
photograph.
(vii) Records of the date that each
storage vessel affected facility is
removed from service and returned to
service, as applicable.
(6) Records of each closed vent system
inspection required under
§ 60.5416a(a)(1) and (2) and (b) for
centrifugal compressors and
reciprocating compressors,
§ 60.5416a(c)(1) for storage vessels, or
§ 60.5416a(e) for pneumatic pumps as
required in paragraphs (c)(6)(i) through
(iii) of this section.
(i) A record of each closed vent
system inspection or no detectable
emissions monitoring survey. You must
include an identification number for
each closed vent system (or other
unique identification description
selected by you) and the date of the
inspection.
(ii) For each defect or leak detected
during inspections required by
§ 60.5416a(a)(1) and (2), (b), (c)(1), or
(d), you must record the location of the
defect or leak, a description of the defect
or the maximum concentration reading
obtained if using Method 21 of
appendix A–7 of this part, the date of
detection, and the date the repair to
correct the defect or leak is completed.
(iii) If repair of the defect is delayed
as described in § 60.5416a(b)(10), you
must record the reason for the delay and
the date you expect to complete the
repair.
(7) A record of each cover inspection
required under § 60.5416a(a)(3) for
centrifugal or reciprocating compressors
or § 60.5416a(c)(2) for storage vessels as
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required in paragraphs (c)(7)(i) through
(iii) of this section.
(i) A record of each cover inspection.
You must include an identification
number for each cover (or other unique
identification description selected by
you) and the date of the inspection.
(ii) For each defect detected during
inspections required by § 60.5416a(a)(3)
or (c)(2), you must record the location
of the defect, a description of the defect,
the date of detection, the corrective
action taken the repair the defect, and
the date the repair to correct the defect
is completed.
(iii) If repair of the defect is delayed
as described in § 60.5416a(b)(10) or
(c)(5), you must record the reason for
the delay and the date you expect to
complete the repair.
(8) If you are subject to the bypass
requirements of § 60.5416a(a)(4) for
centrifugal compressors or reciprocating
compressors, or § 60.5416a(c)(3) for
storage vessels or pneumatic pumps,
you must prepare and maintain a record
of each inspection or a record of each
time the key is checked out or a record
of each time the alarm is sounded.
(9) [Reserved]
(10) For each centrifugal compressor
or pneumatic pump affected facility,
records of the schedule for carbon
replacement (as determined by the
design analysis requirements of
§ 60.5413a(c)(2) or (3)) and records of
each carbon replacement as specified in
§ 60.5412a(c)(1).
(11) For each centrifugal compressor
affected facility subject to the control
device requirements of § 60.5412a(a),
(b), and (c), records of minimum and
maximum operating parameter values,
continuous parameter monitoring
system data, calculated averages of
continuous parameter monitoring
system data, results of all compliance
calculations, and results of all
inspections.
(12) For each carbon adsorber
installed on storage vessel affected
facilities, records of the schedule for
carbon replacement (as determined by
the design analysis requirements of
§ 60.5412a(d)(2)) and records of each
carbon replacement as specified in
§ 60.5412a(c)(1).
(13) For each storage vessel affected
facility subject to the control device
requirements of § 60.5412a(c) and (d),
you must maintain records of the
inspections, including any corrective
actions taken, the manufacturers’
operating instructions, procedures and
maintenance schedule as specified in
§ 60.5417a(h)(3). You must maintain
records of EPA Method 22 of appendix
A–7 of this part, section 11 results,
which include: Company, location,
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company representative (name of the
person performing the observation), sky
conditions, process unit (type of control
device), clock start time, observation
period duration (in minutes and
seconds), accumulated emission time
(in minutes and seconds), and clock end
time. You may create your own form
including the above information or use
Figure 22–1 in EPA Method 22 of
appendix A–7 of this part.
Manufacturer’s operating instructions,
procedures and maintenance schedule
must be available for inspection.
(14) A log of records as specified in
§ 60.5412a(d)(1)(iii), for all inspection,
repair, and maintenance activities for
each control device failing the visible
emissions test.
(15) For each collection of fugitive
emissions components at a well site and
each collection of fugitive emissions
components at a compressor station,
maintain the records identified in
paragraphs (c)(15)(i) through (viii) of
this section.
(i) The date of the startup of
production or the date of the first day
of production after modification for
each collection of fugitive emissions
components at a well site and the date
of startup or the date of modification for
each collection of fugitive emissions
components at a compressor station.
(ii) For each collection of fugitive
emissions components at a well site
complying with § 60.5397a(a)(2), you
must maintain records of the daily
production and calculations
demonstrating that the rolling 12-month
average is at or below 15 boe per day no
later than 12 months before complying
with § 60.5397a(a)(2).
(iii) For each collection of fugitive
emissions components at a well site
complying with § 60.5397a(a)(3)(i), you
must keep records of daily production
and calculations for the first 30 days
after completion of any action listed in
§ 60.5397a(a)(2)(i) through (v)
demonstrating that total production
from the well site is at or below 15 boe
per day, or maintain records
demonstrating the rolling 12-month
average total production for the well site
is at or below 15 boe per day.
(iv) For each collection of fugitive
emissions components at a well site
complying with § 60.5397a(a)(3)(ii), you
must keep the records specified in
paragraphs (c)(15)(i), (vi), and (vii) of
this section.
(v) For each collection of fugitive
emissions components at a well site
where you complete the removal of all
major production and processing
equipment such that the well site
contains only one or more wellheads,
record the date the well site completes
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the removal of all major production and
processing equipment from the well
site, and, if the well site is still
producing, record the well ID or
separate tank battery ID receiving the
production from the well site. If major
production and processing equipment is
subsequently added back to the well
site, record the date that the first piece
of major production and processing
equipment is added back to the well
site.
(vi) The fugitive emissions monitoring
plan as required in § 60.5397a(b), (c),
and (d).
(vii) The records of each monitoring
survey as specified in paragraphs
(c)(15)(vii)(A) through (I) of this section.
(A) Date of the survey.
(B) Beginning and end time of the
survey.
(C) Name of operator(s), training, and
experience of the operator(s) performing
the survey.
(D) Monitoring instrument used.
(E) Fugitive emissions component
identification when Method 21 of
appendix A–7 of this part is used to
perform the monitoring survey.
(F) Ambient temperature, sky
conditions, and maximum wind speed
at the time of the survey. For
compressor stations, operating mode of
each compressor (i.e., operating,
standby pressurized, and not operatingdepressurized modes) at the station at
the time of the survey.
(G) Any deviations from the
monitoring plan or a statement that
there were no deviations from the
monitoring plan.
(H) Records of calibrations for the
instrument used during the monitoring
survey.
(I) Documentation of each fugitive
emission detected during the
monitoring survey, including the
information specified in paragraphs
(c)(15)(vii)(I)(1) through (8) of this
section.
(1) Location of each fugitive emission
identified.
(2) Type of fugitive emissions
component, including designation as
difficult-to-monitor or unsafe-tomonitor, if applicable.
(3) If Method 21 of appendix A–7 of
this part is used for detection, record the
component ID and instrument reading.
(4) For each repair that cannot be
made during the monitoring survey
when the fugitive emissions are initially
found, a digital photograph or video
must be taken of that component or the
component must be tagged for
identification purposes. The digital
photograph must include the date that
the photograph was taken and must
clearly identify the component by
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location within the site (e.g., the latitude
and longitude of the component or by
other descriptive landmarks visible in
the picture). The digital photograph or
identification (e.g., tag) may be removed
after the repair is completed, including
verification of repair with the resurvey.
(5) The date of first attempt at repair
of the fugitive emissions component(s).
(6) The date of successful repair of the
fugitive emissions component,
including the resurvey to verify repair
and instrument used for the resurvey.
(7) Identification of each fugitive
emission component placed on delay of
repair and explanation for each delay of
repair
(8) Date of planned shutdowns that
occur while there are any components
that have been placed on delay of repair.
(viii) For each collection of fugitive
emissions components at a well site or
collection of fugitive emissions
components at a compressor station
complying with an alternative means of
emissions limitation under § 60.5399a,
you must maintain the records specified
by the specific alternative fugitive
emissions standard for a period of at
least 5 years.
(16) For each pneumatic pump
affected facility, you must maintain the
records identified in paragraphs
(c)(16)(i) through (v) of this section.
(i) Records of the date, location, and
manufacturer specifications for each
pneumatic pump constructed, modified,
or reconstructed.
(ii) Records of deviations in cases
where the pneumatic pump was not
operated in compliance with the
requirements specified in § 60.5393a,
including the date and time the
deviation began, duration of the
deviation, and a description of the
deviation.
(iii) Records on the control device
used for control of emissions from a
pneumatic pump including the
installation date, and manufacturer’s
specifications. If the control device is
designed to achieve less than 95-percent
emission reduction, maintain records of
the design evaluation or manufacturer’s
specifications which indicate the
percentage reduction the control device
is designed to achieve.
(iv) Records substantiating a claim
according to § 60.5393a(b)(5) that it is
technically infeasible to capture and
route emissions from a pneumatic pump
to a control device or process; including
the certification according to
§ 60.5393a(b)(5)(ii) and the records of
the engineering assessment of technical
infeasibility performed according to
§ 60.5393a(b)(5)(iii).
(v) You must retain copies of all
certifications, engineering assessments,
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and related records for a period of five
years and make them available if
directed by the implementing agency.
(17) For each closed vent system
routing to a control device or process,
the records of the assessment conducted
according to § 60.5411a(d):
(i) A copy of the assessment
conducted according to § 60.5411a(d)(1);
(ii) A copy of the certification
according to § 60.5411a(d)(1)(i); and
(iii) The owner or operator shall retain
copies of all certifications, assessments,
and any related records for a period of
5 years, and make them available if
directed by the delegated authority.
(18) A copy of each performance test
submitted under paragraph (b)(9) of this
section.
■ 24. Section 60.5422a is amended by
revising paragraphs (a), (b), and (c)
introductory text to read as follows:
§ 60.5422a What are my additional
reporting requirements for my affected
facility subject to VOC requirements for
onshore natural gas processing plants?
(a) You must comply with the
requirements of paragraphs (b) and (c) of
this section in addition to the
requirements of § 60.487a(a), (b)(1)
through (3) and (5), and (c)(2)(i) through
(iv) and (vii) through (viii). You must
submit semiannual reports to the EPA
via the Compliance and Emissions Data
Reporting Interface (CEDRI). (CEDRI can
be accessed through the EPA’s Central
Data Exchange (CDX) (https://
cdx.epa.gov/).) Use the appropriate
electronic report in CEDRI for this
subpart or an alternate electronic file
format consistent with the extensible
markup language (XML) schema listed
on the CEDRI website (https://
www3.epa.gov/ttn/chief/cedri/). If the
reporting form specific to this subpart is
not available in CEDRI at the time that
the report is due, submit the report to
the Administrator at the appropriate
address listed in § 60.4. Once the form
has been available in CEDRI for at least
90 days, you must begin submitting all
subsequent reports via CEDRI. The
report must be submitted by the
deadline specified in this subpart,
regardless of the method in which the
report is submitted.
(b) An owner or operator must
include the following information in the
initial semiannual report in addition to
the information required in
§ 60.487a(b)(1) through (3) and (5):
Number of pressure relief devices
subject to the requirements of
§ 60.5401a(b) except for those pressure
relief devices designated for no
detectable emissions under the
provisions of § 60.482–4a(a) and those
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pressure relief devices complying with
§ 60.482–4a(c).
(c) An owner or operator must include
the information specified in paragraphs
(c)(1) and (2) of this section in all
semiannual reports in addition to the
information required in
§ 60.487a(c)(2)(i) through (iv) and (vii)
through (viii):
*
*
*
*
*
■ 25. Section 60.5423a is amended by
revising the section heading and
paragraph (b) introductory text and
adding paragraph (b)(3) to read as
follows:
§ 60.5423a What additional recordkeeping
and reporting requirements apply to my
sweetening unit affected facilities?
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(b) You must submit a report of excess
emissions to the Administrator in your
annual report if you had excess
emissions during the reporting period.
The procedures for submitting annual
reports are located in § 60.5420a(b). For
the purpose of these reports, excess
emissions are defined as specified in
paragraphs (b)(1) and (2) of this section.
The report must contain the information
specified in paragraph (b)(3) of this
section.
*
*
*
*
*
(3) For each period of excess
emissions during the reporting period,
include the following information in
your report:
(i) The date and time of
commencement and completion of each
period of excess emissions;
(ii) The required minimum efficiency
(Z) and the actual average sulfur
emissions reduction (R) for periods
defined in paragraph (b)(1) of this
section; and
(iii) The appropriate operating
temperature and the actual average
temperature of the gases leaving the
combustion zone for periods defined in
paragraph (b)(2) of this section.
*
*
*
*
*
■ 26. Section 60.5430a is amended by:
■ a. Revising the definitions for ‘‘Capital
expenditure’’ and ‘‘Certifying official’’;
■ b. Adding in alphabetical order the
definitions for ‘‘Coil tubing cleanout,’’
‘‘Custody meter,’’ ‘‘Custody meter
assembly,’’ and ‘‘First attempt at
repair’’;
■ c. Revising the definitions for
‘‘Flowback’’ and ‘‘Fugitive emissions
component’’;
■ d. Removing the definitions for ‘‘Gas
processing plant process unit’’ and
‘‘Greenfield site’’;
■ e. Revising the definition of ‘‘Low
pressure well’’;
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f. Adding in alphabetical order the
definition for ‘‘Major production and
processing equipment’’;
■ g. Revising the definition for
‘‘Maximum average daily throughput’’;
■ h. Adding in alphabetical order the
definitions for ‘‘Plug drill-out,’’
‘‘Repaired,’’ and ‘‘Screenout’’;
■ i. Revising the definition for ‘‘Startup
of production’’;
■ j. Adding in alphabetical order the
definitions for ‘‘UIC Class I oilfield
disposal well’’ and ‘‘UIC Class II oilfield
disposal well’’;
■ k. Revising the definition for ‘‘Well
site’’; and
■ l. Adding in alphabetical order the
definition for ‘‘Wellhead only well site’’.
The revisions and additions read as
follows:
■
§ 60.5430a
subpart?
What definitions apply to this
*
*
*
*
*
Capital expenditure means, in
addition to the definition in 40 CFR
60.2, an expenditure for a physical or
operational change to an existing facility
that:
(1) Exceeds P, the product of the
facility’s replacement cost, R, and an
adjusted annual asset guideline repair
allowance, A, as reflected by the
following equation: P = R × A, where:
(i) The adjusted annual asset
guideline repair allowance, A, is the
product of the percent of the
replacement cost, Y, and the applicable
basic annual asset guideline repair
allowance, B, divided by 100 as
reflected by the following equation: A =
Y × (B ÷ 100);
(ii) The percent Y is determined from
the following equation: Y = (CPI of date
of construction/most recently available
CPI of date of project), where the ‘‘CPI–
U, U.S. city average, all items’’ must be
used for each CPI value; and
(iii) The applicable basic annual asset
guideline repair allowance, B, is 4.5.
*
*
*
*
*
Certifying official means one of the
following:
(1) For a corporation: A president,
secretary, treasurer, or vice-president of
the corporation in charge of a principal
business function, or any other person
who performs similar policy or
decision-making functions for the
corporation, or a duly authorized
representative of such person if the
representative is responsible for the
overall operation of one or more
manufacturing, production, or operating
facilities with an affected facility subject
to this subpart and either:
(i) The facilities employ more than
250 persons or have gross annual sales
or expenditures exceeding $25 million
(in second quarter 1980 dollars); or
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(ii) The Administrator is notified of
such delegation of authority prior to the
exercise of that authority. The
Administrator reserves the right to
evaluate such delegation;
(2) For a partnership (including but
not limited to general partnerships,
limited partnerships, and limited
liability partnerships) or sole
proprietorship: A general partner or the
proprietor, respectively. If a general
partner is a corporation, the provisions
of paragraph (1) of this definition apply;
(3) For a municipality, State, Federal,
or other public agency: Either a
principal executive officer or ranking
elected official. For the purposes of this
part, a principal executive officer of a
Federal agency includes the chief
executive officer having responsibility
for the overall operations of a principal
geographic unit of the agency (e.g., a
Regional Administrator of EPA); or
(4) For affected facilities:
(i) The designated representative in so
far as actions, standards, requirements,
or prohibitions under title IV of the
CAA or the regulations promulgated
thereunder are concerned; or
(ii) The designated representative for
any other purposes under this part.
Coil tubing cleanout means the
process where an operator runs a string
of coil tubing to the packed proppant
within a well and jets the well to
dislodge the proppant and provide
sufficient lift energy to flow it to the
surface. Coil tubing cleanout includes
mechanical methods to remove solids
and/or debris from a wellbore.
*
*
*
*
*
Custody meter means the meter where
natural gas or hydrocarbon liquids are
measured for sales, transfers, and/or
royalty determination.
Custody meter assembly means an
assembly of fugitive emissions
components, including the custody
meter, valves, flanges, and connectors
necessary for the proper operation of the
custody meter.
*
*
*
*
*
First attempt at repair means, for the
purposes of fugitive emissions
components, an action taken for the
purpose of stopping or reducing fugitive
emissions to the atmosphere. First
attempts at repair include, but are not
limited to, the following practices where
practicable and appropriate: Tightening
bonnet bolts; replacing bonnet bolts;
tightening packing gland nuts; or
injecting lubricant into lubricated
packing.
*
*
*
*
*
Flowback means the process of
allowing fluids and entrained solids to
flow from a well following a treatment,
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either in preparation for a subsequent
phase of treatment or in preparation for
cleanup and returning the well to
production. The term flowback also
means the fluids and entrained solids
that emerge from a well during the
flowback process. The flowback period
begins when material introduced into
the well during the treatment returns to
the surface following hydraulic
fracturing or refracturing. The flowback
period ends when either the well is shut
in and permanently disconnected from
the flowback equipment or at the startup
of production. The flowback period
includes the initial flowback stage and
the separation flowback stage.
Screenouts, coil tubing cleanouts, and
plug drill-outs are not considered part of
the flowback process.
Fugitive emissions component means
any component that has the potential to
emit fugitive emissions of VOC at a well
site or compressor station, including
valves, connectors, pressure relief
devices, open-ended lines, flanges,
covers and closed vent systems not
subject to § 60.5411 or § 60.5411a, thief
hatches or other openings on a
controlled storage vessel not subject to
§ 60.5395 or § 60.5395a, compressors,
instruments, and meters. Devices that
vent as part of normal operations, such
as natural gas-driven pneumatic
controllers or natural gas-driven pumps,
are not fugitive emissions components,
insofar as the natural gas discharged
from the device’s vent is not considered
a fugitive emission. Emissions
originating from other than the device’s
vent, such as the thief hatch on a
controlled storage vessel, would be
considered fugitive emissions.
*
*
*
*
*
Low pressure well means a well that
satisfies at least one of the following
conditions:
(1) The static pressure at the wellhead
following fracturing but prior to the
onset of flowback is less than the flow
line pressure;
(2) The pressure of flowback fluid
immediately before it enters the flow
line, as determined under § 60.5432a, is
less than the flow line pressure; or
(3) Flowback of the fracture fluids
will not occur without the use of
artificial lift equipment.
Major production and processing
equipment means reciprocating or
centrifugal compressors, glycol
dehydrators, heater/treaters, separators,
and storage vessels collecting crude oil,
condensate, intermediate hydrocarbon
liquids, or produced water, for the
purpose of determining whether a well
site is a wellhead only well site.
Maximum average daily throughput
means the following:
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(1) For storage vessels that
commenced construction,
reconstruction, or modification after
September 18, 2015, and on and before
November 16, 2020, maximum average
daily throughput means the earliest
calculation of daily average throughput
during the 30-day PTE evaluation
period employing generally accepted
methods.
(2) For storage vessels that
commenced construction,
reconstruction, or modification after
November 16, 2020, maximum average
daily throughput means the earliest
calculation of daily average throughput,
determined as described in paragraph
(3) or (4) of this definition, to an
individual storage vessel over the days
that production is routed to that storage
vessel during the 30-day PTE evaluation
period employing generally accepted
methods specified in § 60.5365a(e)(1).
(3) If throughput to the individual
storage vessel is measured on a daily
basis (e.g., via level gauge automation or
daily manual gauging), the maximum
average daily throughput is the average
of all daily throughputs for days on
which throughput was routed to that
storage vessel during the 30-day
evaluation period; or
(4) If throughput to the individual
storage vessel is not measured on a daily
basis (e.g., via manual gauging at the
start and end of loadouts), the maximum
average daily throughput is the highest,
of the average daily throughputs,
determined for any production period to
that storage vessel during the 30-day
evaluation period, as determined by
averaging total throughput to that
storage vessel over each production
period. A production period begins
when production begins to be routed to
a storage vessel and ends either when
throughput is routed away from that
storage vessel or when a loadout occurs
from that storage vessel, whichever
happens first. Regardless of the
determination methodology, operators
must not include days during which
throughput is not routed to an
individual storage vessel when
calculating maximum average daily
throughput for that storage vessel.
*
*
*
*
*
Plug drill-out means the removal of a
plug (or plugs) that was used to isolate
different sections of the well.
*
*
*
*
*
Repaired means, for the purposes of
fugitive emissions components, that
fugitive emissions components are
adjusted, replaced, or otherwise altered,
in order to eliminate fugitive emissions
as defined in § 60.5397a and resurveyed
as specified in § 60.5397a(h)(4) and it is
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verified that emissions from the fugitive
emissions components are below the
applicable fugitive emissions definition.
*
*
*
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*
Screenout means an attempt to clear
proppant from the wellbore to dislodge
the proppant out of the well.
*
*
*
*
*
Startup of production means the
beginning of initial flow following the
end of flowback when there is
continuous recovery of salable quality
gas and separation and recovery of any
crude oil, condensate, or produced
water, except as otherwise provided in
this definition. For the purposes of the
fugitive monitoring requirements of
§ 60.5397a, startup of production means
the beginning of the continuous
recovery of salable quality gas and
separation and recovery of any crude
oil, condensate, or produced water.
*
*
*
*
*
UIC Class I oilfield disposal well
means a well with a UIC Class I permit
that meets the definition in 40 CFR
144.6(a)(2) and receives eligible fluids
from oil and natural gas exploration and
production operations.
UIC Class II oilfield disposal well
means a well with a UIC Class II permit
where wastewater resulting from oil and
natural gas production operations is
injected into underground porous rock
formations not productive of oil or gas,
and sealed above and below by
unbroken, impermeable strata.
*
*
*
*
*
Well site means one or more surface
sites that are constructed for the drilling
and subsequent operation of any oil
well, natural gas well, or injection well.
For purposes of the fugitive emissions
standards at § 60.5397a, well site also
means a separate tank battery surface
site collecting crude oil, condensate,
intermediate hydrocarbon liquids, or
produced water from wells not located
at the well site (e.g., centralized tank
batteries). Also, for the purposes of the
fugitive emissions standards at
§ 60.5397a, a well site does not include:
(1) UIC Class II oilfield disposal wells
and disposal facilities;
(2) UIC Class I oilfield disposal wells;
and
(3) The flange immediately upstream
of the custody meter assembly and
equipment, including fugitive emissions
components, located downstream of this
flange.
*
*
*
*
*
Wellhead only well site means, for the
purposes of the fugitive emissions
standards at § 60.5397a, a well site that
contains one or more wellheads and no
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major production and processing
equipment.
*
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*
27. Table 3 to subpart OOOOa of part
60 is amended by revising the entries for
§§ 60.8 and 60.15 to read as follows:
■
TABLE 3 TO SUBPART OOOOa OF PART 60—APPLICABILITY OF GENERAL PROVISIONS TO SUBPART OOOOa
General
provisions
citation
Subject of citation
Applies to
subpart?
Explanation
*
§ 60.8 ................
*
Performance tests ........
*
Yes ................
*
*
*
*
Except that the format of performance test reports is described in § 60.5420a(b).
Performance testing is required for control devices used on storage vessels,
centrifugal compressors, and pneumatic pumps, except that performance testing
is not required for a control device used solely on pneumatic pump(s).
*
§ 60.15 ..............
*
Reconstruction .............
*
Yes ................
*
*
*
*
Except that § 60.15(d) does not apply to wells, pneumatic controllers, pneumatic
pumps, centrifugal compressors, reciprocating compressors, storage vessels, or
the collection of fugitive emissions components at a well site or the collection of
fugitive emissions components at a compressor station.
*
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[FR Doc. 2020–18115 Filed 9–10–20; 8:45 am]
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Agencies
[Federal Register Volume 85, Number 179 (Tuesday, September 15, 2020)]
[Rules and Regulations]
[Pages 57398-57460]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2020-18115]
[[Page 57397]]
Vol. 85
Tuesday,
No. 179
September 15, 2020
Part III
Environmental Protection Agency
-----------------------------------------------------------------------
40 CFR Part 60
Oil and Natural Gas Sector: Emission Standards for New, Reconstructed,
and Modified Sources Reconsideration; Final Rule
Federal Register / Vol. 85 , No. 179 / Tuesday, September 15, 2020 /
Rules and Regulations
[[Page 57398]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 60
[EPA-HQ-OAR-2017-0483; FRL-10013-60-OAR]
RIN 2060-AT54
Oil and Natural Gas Sector: Emission Standards for New,
Reconstructed, and Modified Sources Reconsideration
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: This action finalizes amendments to the new source performance
standards (NSPS) for the oil and natural gas sector. The Environmental
Protection Agency (EPA) granted reconsideration on the fugitive
emissions requirements, well site pneumatic pump standards,
requirements for certification of closed vent systems (CVS) by a
professional engineer (PE), and the provisions to apply for the use of
an alternative means of emission limitation (AMEL). This final action
includes amendments as a result of the EPA's reconsideration of the
issues associated with the above mentioned four subject areas and other
issues raised in the reconsideration petitions for the NSPS, as well as
amendments to streamline the implementation of the rule. This action
also includes technical corrections and additional clarifying language
in the regulatory text and/or preamble where the EPA concludes further
clarification is warranted.
DATES: This final rule is effective on November 16, 2020.
ADDRESSES: The EPA has established a docket for this action under
Docket ID No. EPA-HQ-OAR-2017-0483. 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 electronically
through https://www.regulations.gov. Out of an abundance of caution for
members of the public and our staff, the EPA Docket Center and Reading
Room are closed to the public, with limited exceptions, to reduce the
risk of transmitting COVID-19. Our Docket Center staff will continue to
provide remote customer service via email, phone, and webform. For
further information and updates on EPA Docket Center services, please
visit us online at https://www.epa.gov/dockets. The EPA continues to
carefully and continuously monitor information from the Center for
Disease Control, local area health departments, and our Federal
partners so that we can respond rapidly as conditions change regarding
COVID-19.
FOR FURTHER INFORMATION CONTACT: For questions about this action,
contact Ms. Karen Marsh, 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) 541-1065; fax number: (919) 541-0516; and email
address: [email protected].
SUPPLEMENTARY INFORMATION:
Preamble acronyms and abbreviations. A number of acronyms and terms
are used in this preamble. While this may not be an exhaustive list, to
ease the reading of this preamble and for reference purposes, the
following terms and acronyms are defined:
AMEL Alternative Means of Emission Limitation
ANSI American National Standards Institute
AVO Auditory, Visual, and Olfactory
boe Barrels of Oil Equivalent
BSER Best System of Emissions Reduction
CAA Clean Air Act
CAPP Canadian Association of Petroleum Producers
CEDRI Compliance and Emissions Data Reporting Interface
CFR Code of Federal Regulations
CO2 Eq. Carbon dioxide equivalent
CPI Consumer Price Indices
CVS Closed Vent System
DOE Department of Energy
EAV Equivalent Annualized Value
EPA Environmental Protection Agency
FEAST Fugitive Emissions Abatement Simulation Toolkit
GHG Greenhouse Gases
GHGI Greenhouse Gas Inventory
HAP Hazardous Air Pollutant(s)
ITRC Interstate Technology and Regulatory Council
LDAR Leak Detection and Repair
METEC Methane Emissions Technology Evaluation Center
NEMS National Energy Modeling System
NSPS New Source Performance Standards
NSSN National Standards System Network
NTTAA National Technology Transfer and Advancement Act
OGI Optical Gas Imaging
OMB Office of Management and Budget
PE Professional Engineer
PRA Paperwork Reduction Act
PRD Pressure Relief Device
PRV Pressure Relief Valve
PTE Potential To Emit
PV Present Value
REC Reduced Emissions Completion
RFA Regulatory Flexibility Act
RIA Regulatory Impact Analysis
RTC Responses to Comments
SOCMI Synthetic Organic Chemicals Manufacturing Industry
The Court United States Court of Appeals for the District of
Columbia Circuit
tpy Tons Per Year
TSD Technical Support Document
UIC Underground Injection Control
UMRA Unfunded Mandates Reform Act
VOC Volatile Organic Compounds
Organization of this document. The information presented in this
preamble is presented as follows:
I. Executive Summary
A. Purpose of the Regulatory Action
B. Summary of the Major Provisions of This Final Rule
C. Costs and Benefits
II. General Information
A. Does this action apply to me?
B. Where can I get a copy of this document?
C. What is the Agency's authority for taking this action?
D. Judicial Review
III. Background
IV. Summary of the Final Standards
A. Well Completions
B. Pneumatic Pumps
C. Storage Vessels
D. CVS
E. Fugitive Emissions at Well Sites and Compressor Stations
F. AMEL
G. Onshore Natural Gas Processing Plants
H. Sweetening Units
I. Recordkeeping and Reporting
J. Technical Corrections and Clarifications
V. Significant Changes Since Proposal
A. Storage Vessels
B. Fugitive Emissions at Well Sites and Compressor Stations
C. AMEL
VI. Summary of Significant Comments and Responses
A. Major Comments Concerning Storage Vessels
B. Major Comments Concerning Fugitive Emissions at Well Sites
and Compressor Stations
C. Major Comments Concerning AMELs
VII. Impacts of These Final Amendments
A. What are the air impacts?
B. What are the energy impacts?
C. What are the compliance cost reductions?
D. What are the economic and employment impacts?
E. What are the forgone benefits?
VIII. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review and
Executive Order 13563: Improving Regulation and Regulatory Review
B. Executive Order 13771: Reducing Regulations and Controlling
Regulatory Costs
C. Paperwork Reduction Act (PRA)
D. Regulatory Flexibility Act (RFA)
E. Unfunded Mandates Reform Act (UMRA)
F. Executive Order 13132: Federalism
[[Page 57399]]
G. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments
H. Executive Order 13045: Protection of Children From
Environmental Health Risks and Safety Risks
I. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
J. National Technology Transfer and Advancement Act (NTTAA)
K. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
L. Congressional Review Act (CRA)
I. Executive Summary
A. Purpose of the Regulatory Action
The purpose of this action is to finalize amendments to the NSPS
for the Crude Oil and Natural Gas Production source category (located
at 40 Code of Federal Regulations (CFR) part 60, subpart OOOOa) based
on the EPA's reconsideration of those standards. On June 3, 2016, the
EPA published a final rule titled ``Oil and Natural Gas Sector:
Emission Standards for New, Reconstructed, and Modified Sources; Final
Rule,'' at 81 FR 35824 (``2016 NSPS subpart OOOOa''). The 2016 NSPS
subpart OOOOa set the standards for reducing emissions of greenhouse
gases (GHG), in the form of limitations on methane, and volatile
organic compounds (VOC) from the oil and natural gas sources
constructed, modified, or reconstructed after September 15, 2015.\1\
Following promulgation of the final rule, the Administrator received
petitions for reconsideration of several provisions of the 2016 NSPS
subpart OOOOa.\2\ The EPA granted reconsideration on four issues: (1)
The applicability of the fugitive emissions requirements to low
production well sites, (2) the process and criteria for requesting
approval of an AMEL, (3) the well site pneumatic pump standards, and
(4) the requirements for certification of CVS by a PE. On October 15,
2018, the EPA published a proposed rulemaking titled ``Oil and Natural
Gas Sector: Emission Standards for New, Reconstructed, and Modified
Sources Reconsideration,'' in which we proposed amendments to the 2016
NSPS subpart OOOOa to address the issues for which reconsideration was
granted, as well as other implementation issues and technical
corrections. 83 FR 52056. After considering public comments and new
data submitted by the commenters, the EPA is finalizing certain
amendments to the 2016 NSPS subpart OOOOa as proposed, finalizing other
amendments with changes from the proposal in response to comments and
new data that were received, and not finalizing some of the proposed
amendments in response to comments and new data that were received.
---------------------------------------------------------------------------
\1\ Docket ID No. EPA-HQ-OAR-2010-0505.
\2\ Copies of the petitions are provided in Docket ID No. EPA-
HQ-OAR-2017-0483.
---------------------------------------------------------------------------
In addition to the amendments described above, this action includes
amendments to address other issues raised in the reconsideration
petitions for the 2016 NSPS subpart OOOOa and to clarify and streamline
implementation of the rule. These amendments relate to the following
provisions: Well completions (location of a separator during flowback,
screenouts, and coil tubing cleanouts), onshore natural gas processing
plants (definition of capital expenditure and monitoring), storage
vessels (applicability), and general clarifications (certifying
official and recordkeeping and reporting). Lastly, in addition to the
amendments addressing reconsideration and implementation issues, the
EPA is finalizing technical corrections of inadvertent errors in the
2016 NSPS subpart OOOOa.
In addition to this action, the EPA has published a separate final
rule in the Federal Register of Monday, September 14, 2020, that
finalizes additional amendments to the 2016 NSPS subpart OOOOa which
are not addressed by this action. That separate final rule, titled
``Oil and Natural Gas Sector: Emission Standards for New,
Reconstructed, and Modified Sources Review: Final Rule'' (FRL-10013-44-
OAR; FR Doc. 2020-18114) is herein referred to as the ``Review Rule.''
Specifically, the Review Rule removes sources in the transmission and
storage segment from the source category by revising the definition of
the Crude Oil and Natural Gas Production source category, rescinds the
standards (including both the VOC and methane requirements) applicable
to those sources, and rescinds the methane-specific requirements of the
NSPS applicable to sources in the production and processing segments.
For further information about these additional amendments, see the
final rule published in the Rules and Regulations section of the
Federal Register of Monday, September 14, 2020. Please refer to the
Regulatory Impact Analysis (RIA) for both this action and the Review
Rule to see the combined impacts of both actions.
B. Summary of the Major Provisions of This Final Rule
Provided below is a summary of each key amendment, clarification,
or correction made to the 2016 NSPS subpart OOOOa that is included in
this final action.
Well completions. The EPA is finalizing its proposed amendment to
40 CFR 60.5375a(a)(1)(iii) to allow the separator to be nearby during
flowback, but the separator must be available and ready for use as soon
as it is technically feasible for the separator to function. We are
also amending 40 CFR 60.5375a(a)(1)(i) to clarify that the separator
that is required during the initial flowback stage may be a production
separator as long as it is designed to accommodate flowback. Finally,
we are amending the definition of flowback at 40 CFR 60.5430a to
exclude screenouts, coil tubing cleanouts, and plug drill outs. As
explained in the preamble to the proposed rulemaking, these are
functional processes that allow for flowback to begin; as such, they
are not part of the flowback. 83 FR 52082.
Pneumatic pumps. The EPA is finalizing an amendment to extend the
exemption from control where it is technically infeasible to route
pneumatic pump emissions to a control device. The final rule extends
this exemption to all pneumatic pump affected facilities at all well
sites by removing the reference to greenfield sites in 40 CFR
60.5393a(b) and the greenfield site definition from 40 CFR 60.5430a.
Additionally, in order to qualify for the technical infeasibility
exemption, the 2016 NSPS subpart OOOOa requires certification by a
qualified PE that routing a pneumatic pump to a control device or a
process is technically infeasible. 40 CFR 60.5393a(b)(5). This final
rule allows certification of technical infeasibility by either a
qualified PE or an in-house engineer with expertise on the design and
operation of the pneumatic pump.
Storage vessels. This final rule amends the applicability criteria
for storage vessel affected facilities by establishing criteria for
calculating potential for VOC emissions under different scenarios.
Specifically, for individual storage vessels that are part of a
controlled tank battery (i.e., two or more storage vessels manifolded
together with piping such that all vapors are shared between the
headspace of the storage vessels, and where emissions are routed
through a CVS to a process or a control device with a destruction
efficiency of at least 95.0 percent for VOC emissions) that is subject
to a
[[Page 57400]]
legally and practicably enforceable limit, potential VOC emissions may
be determined by averaging the emissions from the entire tank battery
across the number of storage vessels in the battery. For a controlled
tank battery described above, if the average per storage vessel VOC
emissions are greater than 6 tons per year (tpy), then all storage
vessels in that battery are storage vessel affected facilities. For
individual storage vessels that do not meet the criteria described
above, the potential VOC emissions is determined according to the
proposed criteria, which the EPA is finalizing in this action; where
the VOC emissions are greater than 6 tpy, the storage vessel is an
affected facility.
CVS. This final rule incorporates the option for owners and
operators to demonstrate that the pneumatic pump CVS is operated with
no detectable emissions by (1) an annual inspection using EPA Method 21
of appendix A-7 of part 60 (``Method 21''), (2) monthly audio/visual/
olfactory (AVO) monitoring, or (3) optical gas imaging (OGI) monitoring
at the frequencies specified for fugitive monitoring. Additionally,
this final rule incorporates the option for a storage vessel CVS to be
monitored by either monthly AVO monitoring or OGI monitoring at the
frequencies specified for fugitive monitoring. Finally, this final rule
allows for certification of the CVS design and capacity assessment by
either a qualified PE or an in-house engineer with expertise on the
design and operation of the CVS.
Fugitive emissions requirements. The EPA is finalizing several
amendments to the requirements for the collection of fugitive emissions
components at well sites and compressor stations. The monitoring
frequencies in this final rule are semiannual for well sites and
compressor stations, and annual for well sites and compressor stations
located on the Alaska North Slope. The final rule excludes low
production well sites (where the total combined oil and natural gas
production for the well site is at or below 15 barrels of oil
equivalent (boe) per day) from fugitive emissions monitoring, as long
as they maintain the records specified in the final rule to demonstrate
that their total well site production is at or below 15 boe per day. A
low production well site that subsequently produces above this
threshold is required to comply with the fugitive emissions
requirements.
This final rule also finalizes separate initial monitoring
requirements for the Alaska North Slope compressor stations, as
proposed. Compressor stations located on the Alaska North Slope that
start up between September and March must conduct initial monitoring
within 6 months of startup or by June 30, whichever is later;
compressor stations that start up between April and August must conduct
initial monitoring within 90 days of startup. This final rule revises
the initial monitoring requirement for well sites and compressor
stations not located on the Alaska North Slope by requiring initial
monitoring within 90 days of startup. Additionally, this final rule
allows fugitive monitoring to stop when all major production and
processing equipment is removed from a well site such that it becomes a
wellhead-only well site.
In addition to the amendments related to monitoring frequencies,
the final rule (1) specifies the events that constitute modifications
to an existing separate tank battery surface site (which is a ``well
site'' for purposes of well site fugitive emissions requirements); (2)
revises the repair requirements to specify that a first attempt at
repair must be made within 30 days of identifying fugitive emissions
and final repair must be made within 30 days of the first attempt at
repair; (3) amends the definition of a well site to exclude third-party
equipment located downstream of the custody meter assembly and
Underground Injection Control (UIC) Class I non-hazardous and UIC Class
II disposal wells from the fugitive emissions requirements; and (4)
revises the requirements for the monitoring plan, recordkeeping, and
reporting associated with the fugitive emissions requirements.
AMEL. This final rule amends the provisions for application of an
AMEL for emerging technologies or for existing state fugitive emissions
programs. Additionally, this final rule provides alternative fugitive
emissions standards for well sites and compressor stations located in
specific states.
Onshore natural gas processing plants. This final rule revises the
definition of ``capital expenditure'' at 40 CFR 60.5430a by replacing
the equation used to determine the percent of replacement cost, ``Y'',
with one that is based on the ratio of consumer price indices (CPI).
Additionally, this final rule exempts components that are in VOC
service for less than 300 hours/year from monitoring. The EPA is also
revising the equipment leak standards for onshore natural gas
processing plants (40 CFR 60.5400a) to include the same initial
compliance provision that is in the original equipment leak standards
for onshore natural gas processing plants. 40 CFR part 60, subpart KKK.
That provision, which is codified at 40 CFR 60.632(a), requires
compliance ``as soon as practicable but no later than 180 days after
initial startup.'' The EPA has not been able to find a record
explaining or otherwise indicating that we intended to change this
initial compliance deadline for the leak standards at onshore natural
gas processing plants when NSPS subparts OOOO and OOOOa were
promulgated; accordingly, in these amendments to NSPS subpart OOOOa,
the EPA is adding this provision back into the leak standards for
onshore natural gas processing plants in NSPS subpart OOOOa at 40 CFR
60.5400a.
Sweetening units. This final rule revises the affected facility
description for the sulfur dioxide (SO2) standards to
correctly define such affected facilities as any onshore sweetening
unit that processes natural gas produced from either onshore or
offshore wells at 40 CFR 60.5365a(g).
C. Costs and Benefits
The EPA has projected the compliance cost reductions, emissions
changes, and forgone benefits that may result from the final
reconsideration. The projected cost reductions and forgone benefits are
presented in detail in the RIA accompanying this final rule. The RIA
focuses on the elements of the final rule--the provisions related to
fugitive emissions requirements and certification by a PE--that are
likely to result in quantifiable cost or emissions changes compared to
a baseline that includes the 2016 NSPS subpart OOOOa requirements. We
estimated the effects of this final rule for all sources that are
projected to change compliance activities under this action for the
analysis years 2021 through 2030. The RIA also presents the present
value (PV) and equivalent annualized value (EAV) of costs, benefits,
and net benefits of this action in 2016 dollars.
A summary of the key results of this final rule is presented in
Table 1. Table 1 presents the PV and EAV, estimated using discount
rates of 7 and 3 percent, of the changes in benefits, costs, and net
benefits, as well as the change in emissions under the final rule.
Here, the EPA refers to the cost reductions as the ``benefits'' of this
rule and the forgone benefits as the ``costs'' of this rule in Table 1.
The net benefits are the benefits (cost reductions) minus the costs
(forgone benefits).
[[Page 57401]]
Table 1--Cost Reductions, Forgone Benefits and Forgone Emissions Reductions of the Final Rule, 2021 Through 2030
[Millions 2016$]
----------------------------------------------------------------------------------------------------------------
7-Percent discount rate 3-Percent discount rate
---------------------------------------------------------------
PV EAV PV EAV
----------------------------------------------------------------------------------------------------------------
Benefits (Total Cost Reductions)................ $750 $100 $950 $110
Costs (Forgone Benefits)........................ 19 2.5 71 8.1
Net Benefits \1\................................ 730 97 880 100
---------------------------------------------------------------
Emissions....................................... Forgone Reductions
Methane (short tons)........................ 450,000
VOC (short tons)............................ 120,000
Hazardous Air Pollutant(s) (HAP) (short
tons)...................................... 4,700
Methane (million metric tons carbon dioxide
equivalent (CO2 Eq.)).......................... 10
----------------------------------------------------------------------------------------------------------------
Note: Estimates are rounded to two significant digits and may not sum due to independent rounding.
This final rule is expected to result in benefits (compliance cost
reductions) for affected owners and operators. The PV of these benefits
(cost reductions), discounted at a 7-percent rate, is estimated to be
about $750 million, with an EAV of about $100 million (Table 1). Under
a 3-percent discount rate, the PV of cost reductions is $950 million,
with an EAV of $110 million (Table 1).
The estimated costs (forgone benefits) include the monetized
climate effects of the projected increase in methane emissions under
the final rule. The PV of these climate-related costs (forgone
benefits), discounted at a 7-percent rate, is estimated to be about $19
million, with an EAV of about $2.5 million (Table 1). Under a 3-percent
discount rate, the PV of the climate-related costs (forgone benefits)
is about $71 million, with an EAV of about $8.1 million (Table 1). The
EPA also expects that there will be increases in VOC and HAP emissions
under the proposal. While the EPA expects that the forgone VOC emission
reductions may also degrade air quality and adversely affect health and
welfare effects associated with exposure to ozone, particulate matter
with a diameter of 2.5 micrometers or less (PM2.5), and HAP,
we did not quantify these effects at this time. This omission should
not imply that these forgone benefits do not exist. To the extent that
the EPA were to quantify these ozone and particulate matter (PM)
impacts, the Agency would estimate the number and value of avoided
premature deaths and illnesses using an approach detailed in the
Particulate Matter National Ambient Air Quality Standards (NAAQS) and
Ozone NAAQS RIA (U.S. EPA, 2012; U.S. EPA, 2015). Such an analysis
would account for the distribution of air pollution-attributable risks
among populations most vulnerable and susceptible to PM2.5
and ozone exposure.
The PV of the net benefits of this rule, discounted at a 7-percent
rate, is estimated to be about $730 million, with an EAV of about $97
million (Table 1). Under a 3-percent discount rate, the PV of net
benefits is about $880 million, with an EAV of about $100 million
(Table 1).
II. General Information
A. Does this action apply to me?
Categories and entities potentially affected by this action
include:
Table 2--Industrial Source Categories Affected by This Action
------------------------------------------------------------------------
Examples of
Category NAICS code \1\ regulated entities
------------------------------------------------------------------------
Industry.......................... 211120 Crude Petroleum
Extraction.
211130 Natural Gas
Extraction.
221210 Natural Gas
Distribution.
486110 Pipeline
Distribution of
Crude Oil.
486210 Pipeline
Transportation of
Natural Gas.
Federal Government................ .............. Not affected.
State/local/tribal government..... .............. Not affected.
------------------------------------------------------------------------
\1\ North American Industry Classification System.
This table is not intended to be exhaustive, but rather provides a
guide for readers regarding entities likely to be regulated by this
action. Other types of entities not listed in the table could also be
affected by this action. To determine whether your entity is affected
by this action, you should carefully examine the applicability criteria
found in the final rule. If you have questions regarding the
applicability of this action to a particular entity, consult the person
listed in the FOR FURTHER INFORMATION CONTACT section, your air
permitting authority, or your EPA Regional representative listed in 40
CFR 60.4 (General Provisions).
B. Where can I get a copy of this document?
This final action is available in the docket at https://www.regulations.gov/, Docket ID No. EPA-HQ-OAR-2017-0483. Additionally,
following signature by the Administrator, the EPA will post a copy of
this final action at https://www.epa.gov/controlling-air-pollution-oil-and-natural-gas-industry. This website provides information on all of
the EPA's actions related to control of air pollution in the oil and
natural gas industry. Following publication in the Federal Register,
the EPA will post the Federal Register version of the final rule and
key technical documents at this same website. A redline version of the
regulatory language that incorporates the final changes in this action
is available in the docket for this action (Docket ID No. EPA-HQ-OAR-
2017-0483).
[[Page 57402]]
C. What is the Agency's authority for taking this action?
This action, which finalizes amendments to the 2016 NSPS subpart
OOOOa, is based on the same legal authorities that the EPA relied upon
for the original promulgation of the 2016 NSPS subpart OOOOa. The EPA
promulgated the 2016 NSPS subpart OOOOa pursuant to its standard-
setting authority under section 111(b)(1)(B) of the Clean Air Act (CAA)
and in accordance with the rulemaking procedures in section 307(d) of
the CAA. Section 111(b)(1)(B) of the CAA requires the EPA to issue
``standards of performance'' for new sources in a category listed by
the Administrator based on a finding that the category of stationary
sources causes or contributes significantly to air pollution which may
reasonably be anticipated to endanger public health or welfare. In the
Review Rule (published in the Federal Register of Monday, September 14,
2020), the EPA has interpreted CAA section 111(b)(1)(B) to require a
determination that the emissions of any air pollutant not already
subject to an NSPS for the source category (or evaluated in association
with the listing of the source category) cause or contribute
significantly to air pollution which may reasonably be anticipated to
endanger public health or welfare. CAA section 111(a)(1) defines ``a
standard of performance'' as ``a standard for emissions of air
pollutants which reflects the degree of emission limitation achievable
through the application of the best system of emission reduction which
(taking into account the cost of achieving such reduction and any
nonair quality health and environmental impact and energy requirement)
the Administrator determines has been adequately demonstrated.'' The
standard that the EPA develops, based on the best system of emission
reduction (BSER) is commonly a numerical emission limit, expressed as a
performance level (e.g., a rate-based standard). However, CAA section
111(h)(1) authorizes the Administrator to promulgate a work practice
standard or other requirements, which reflect the best technological
system of continuous emission reduction, if it is not feasible to
prescribe or enforce a standard of performance. This action includes
amendments to the fugitive emissions standards for well sites and
compressor stations, which are work practice standards promulgated
pursuant to CAA section 111(h)(1). 81 FR 35829.
The final amendments in this document result from the EPA's
reconsideration of various aspects of the 2016 NSPS subpart OOOOa.
Agencies have inherent authority to reconsider past decisions and to
revise, replace, or repeal a decision to the extent permitted by law
and supported by a reasoned explanation. FCC v. Fox Televisions
Stations, Inc., 556 U.S. 502, 515 (2009); Motor Vehicle Mfrs. Ass'n v.
State Farm Mutual Auto. Ins. Co., 463 U.S. 29, 42 (1983) (``State
Farm''). ``The power to decide in the first instance carries with it
the power to reconsider.'' Trujillo v. Gen. Elec. Co., 621 F.2d 1084,
1086 (10th Cir. 1980); see also, United Gas Improvement Co. v. Callery
Properties, Inc., 382 U.S. 223, 229 (1965); Mazaleski v. Treusdell, 562
F.2d 701, 720 (D.C. Cir. 1977).
D. Judicial Review
Under section 307(b)(1) of the CAA, judicial review of this final
rule is available only by filing a petition for review in the United
Stated Court of Appeals for the District of Columbia Circuit by
November 16, 2020. Moreover, under section 307(b)(2) of the CAA, the
requirements established by this final rule may not be challenged
separately in any civil or criminal proceedings brought by the EPA to
enforce these requirements. Section 307(d)(7)(B) of the CAA further
provides that ``[o]nly an objection to a rule or procedure which was
raised 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 convene a
proceeding for reconsideration, ``[i]f the person raising an objection
can demonstrate to the EPA 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 to us should submit a Petition for
Reconsideration to the Office of the Administrator, U.S. EPA, Room
3000, EPA WJC, 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.
III. Background
On June 3, 2016, the EPA published a final rule titled ``Oil and
Natural Gas Sector: Emission Standards for New, Reconstructed, and
Modified Source; Final Rule,'' at 81 FR 35824 (``2016 NSPS subpart
OOOOa''). The 2016 NSPS subpart OOOOa established standards of
performance for GHG and VOC emissions from new, modified, and
reconstructed sources in the oil and natural gas sector. For further
information on the 2016 NSPS subpart OOOOa, see 81 FR 35824 (June 3,
2016) and associated Docket ID No. EPA-HQ-OAR-2010-0505. Following
promulgation of the final rule, the Administrator received petitions
for reconsideration of several provisions of the 2016 NSPS subpart
OOOOa. Copies of the petitions are provided in the docket for this
final rule (Docket ID No. EPA-HQ-OAR-2017-0483). Several states and
industry associations also sought judicial review of the rule, and that
litigation is currently being held in abeyance. American Petroleum
Institute, et al. v. EPA, No. 13-1108 (D.C. Cir.) (and consolidated
cases).
In a letter to the petitioners dated April 18, 2017, the EPA
granted reconsideration of the fugitive emissions requirements at well
sites and compressor stations.\3\ In a subsequent notification, the EPA
granted reconsideration of two additional issues: Well site pneumatic
pump standards and the requirements for certification of CVS by a
PE.\4\ On October 15, 2018, the EPA proposed amendments and
clarifications to address the issues under reconsideration, as well as
issues related to the implementation of the 2016 NSPS subpart OOOOa
that have come to the EPA's attention. During this rulemaking, the EPA
reviewed additional information, including information in the annual
compliance reports submitted for the 2016 NSPS subpart OOOOa and on
costs associated with fugitive emissions monitoring. The additional
information has allowed the EPA to more accurately assess the emission
reductions and costs associated with the fugitive emissions
requirements of the 2016 NSPS subpart OOOOa before evaluating revisions
in this rulemaking. Further, the EPA used the additional information to
update the overall burden estimates for the 2016 NSPS subpart OOOOa,
thus, providing a more accurate baseline on which to compare any burden
reductions achieved through this final rule. Upon review of the updated
cost estimates,
[[Page 57403]]
the EPA concludes the burden of the 2016 NSPS subpart OOOOa was
underestimated, and this rulemaking provided an opportunity to reduce
the burden of the rule, particularly related to the recordkeeping and
reporting requirements. This action finalizes amendments that would
significantly reduce the recordkeeping and reporting burden of the rule
while continuing to assure compliance. This action also addresses
several other implementation issues that were raised following
promulgation of the 2016 NSPS subpart OOOOa. The EPA is addressing
these issues at the same time to provide clarity and certainty for the
public and the regulated community regarding these requirements.
---------------------------------------------------------------------------
\3\ See Docket ID Item No. EPA-HQ-OAR-2010-0505-7730.
\4\ 82 FR 25730.
---------------------------------------------------------------------------
IV. Summary of the Final Standards
This final rule amends certain requirements in the 2016 NSPS
subpart OOOOa, as discussed in this section. These amendments are
effective on November 16, 2020. Therefore, the standards in NSPS
subpart OOOOa change from that date forward. Accordingly, after
November 16, 2020, all affected facilities that commenced construction,
reconstruction, or modification after September 18, 2015 must comply
with the 2016 NSPS subpart OOOOa as amended; the previous requirements
no longer apply.
A. Well Completions
The 2016 NSPS subpart OOOOa requires that the owner or operator of
a well affected facility have a separator on site during the entire
flowback period. 40 CFR 60.5375a(a)(1)(iii). The EPA proposed and
received supportive comments on allowing the separator to be located in
close enough proximity to the well site for use as soon as sufficient
flowback is present for the separator to function. Consistent with the
proposal, this final rule amends 40 CFR 60.5375a(a)(1)(iii) to allow
the separator to be at a nearby centralized facility or well pad that
services the well affected facility during flowback as long as the
separator can be utilized as soon as it is technically feasible for the
separator to function. The EPA is also amending 40 CFR
60.5375a(a)(1)(i) to clarify that the separator that is required during
the initial flowback stage may be a production separator as long as it
is also designed to accommodate flowback.
The October 15, 2018, proposal also included proposed amendments to
the definition of flowback. The 2016 NSPS subpart OOOOa, 40 CFR
60.5430a defines flowback as the process of allowing fluids and
entrained solids to flow from a well following a treatment, either in
preparation for a subsequent phase of treatment of in preparation for
cleanup and returning the well to production. The term flowback also
means the fluids and entrained solids that emerge from a well during
the flowback process. The flowback period begins when material
introduced into the well during the treatment returns to the surface
following hydraulic fracturing or refracturing. The flowback period
ends when either the well is shut in and permanently disconnected from
the flowback equipment or at the startup of production. The flowback
period includes the initial flowback stage and the separation flowback
stage.
In the October 15, 2018, proposed rulemaking, the EPA explained
that screenouts, coil tubing cleanouts, and plug drill outs are
functional processes that allow for flowback to begin; as such, they
are not part of the flowback. 83 FR 52082. The proposed rulemaking
included definitions for screenouts, coil tubing cleanouts, and plug
drill outs, as proposed. Specifically, a screenout is an attempt to
clear proppant from the wellbore in order to dislodge the proppant out
of the well. A coil tubing cleanout is a process where an operator runs
a string of coil tubing to the packed proppant within a well and jets
the well to dislodge the proppant and provide sufficient lift energy to
flow it to the surface. A plug drill-out is the removal of a plug (or
plugs) that was used to isolate different sections of the well. The EPA
proposed to exclude screenouts, coil tubing cleanouts, and plug drill
outs from the definition of flowback. This final rule amends the
definition of flowback and finalizes the definitions for screenouts,
coil tubing cleanouts, and plug drill outs, as proposed.
This final rule does not include a definition for a permanent
separator. The EPA proposed such a definition in conjunction with our
proposal to streamline reporting and recordkeeping requirements for
flowback routed through production separators (which we referred to as
``permanent separators'' in the proposed rulemaking). As explained in
the preamble to the proposed rulemaking, when a production separator is
used for both well completions and production, the production separator
is connected at the onset of the flowback and stays on after flowback
and at the startup of production; in that event, certain reporting and
recordkeeping requirements associated with well completions (e.g.,
information about when a separator is hooked up or disconnected during
flowback) would be unnecessary. 83 FR 52082. We, therefore, proposed to
remove such unnecessary data reporting and recordkeeping requirements
when a ``permanent separator'' (as defined in the proposed rulemaking)
is used for flowback. Upon further review, we learned that the term
``permanent separator,'' as defined in our proposed rulemaking, does
not accurately describe production separators that are also used during
flowback because such production separators may not be permanent
fixtures of a site. Therefore, while the final rule streamlines
reporting and recordkeeping requirements for flowback routed through
production separators, on the condition that those separators are
designed to accommodate flowback, it does not include the term
``permanent separator'' or the proposed definition. The details of
these streamlined elements are provided in section IV.I.1 of this
preamble.
B. Pneumatic Pumps
Under the 2016 NSPS subpart OOOOa, a pneumatic pump located at a
non-greenfield site is not required to reduce its emissions by 95
percent if it is technically infeasible to route the pneumatic pump to
a control device or process. This final rule expands the technical
infeasibility exemption to pneumatic pumps at all well sites by
removing the reference to greenfield site in 40 CFR 60.5393a(b) and the
associated definition of greenfield site at 40 CFR 60.5430a. For the
2016 NSPS subpart OOOOa, the EPA concluded that circumstances that
could otherwise make control of a pneumatic pump technically infeasible
at an existing location could be addressed in the design and
construction of a new site. In the proposal, the EPA explained
petitioners' concerns that, even at greenfield sites, certain scenarios
present circumstances where the control of a pneumatic pump may be
technically infeasible despite the site being newly designed and
constructed. 83 FR 52061. We, therefore, proposed to expand the
technical infeasibility provision to apply to pneumatic pumps at all
well sites and solicited comments on scenarios where routing a pump to
a control device or process would be technically infeasible at
greenfield sites. The EPA received numerous comments in support of the
proposal. After consideration of the comments and further review of the
standards, this action finalizes the proposed exemption from control if
it is technically infeasible to route emissions from a pneumatic pump
to a control device at all well sites, including greenfield sites. In
addition to the reasons specified in the proposal, the EPA has
reevaluated
[[Page 57404]]
the 2016 NSPS subpart OOOOa standards for pneumatic pumps, and it is
clear that the EPA did not intend to require the installation of a
control device for the sole purpose of controlling emissions from a
pneumatic pump, even at greenfield sites. Furthermore, in the 2016 NSPS
subpart OOOOa, the assessment of technical infeasibility for a
pneumatic pump is conducted within the context of an existing control
device, not a control device that might be installed to also
accommodate the pneumatic pump emissions. Therefore, the EPA concludes
that when determining technical feasibility at any site, the technical
feasibility is determined for the routing of pneumatic pump emissions
to the controls which are needed for the processes at the site.
Moreover, while it is likely uncommon that an owner or operator cannot
design a greenfield site with a control device to reduce pneumatic pump
emissions (e.g., because the design from conception would be able to
include necessary scenarios), the EPA cannot account for every scenario
that may occur, especially given the potential intermittent nature of
pneumatic pump emissions. Therefore, the EPA agrees with Petitioners
and numerous commenters that it is appropriate to allow the owner or
operator to demonstrate that it is technically infeasible to route
pneumatic pump emissions to a control device or a process at any well
site. The owner or operator must justify and provide professional or
in-house engineering certification for any site where the control of
pneumatic pump emissions is technically infeasible. The expansion of
the technical infeasibility provision is reflected in 40 CFR
60.5393a(b), where we are removing paragraphs (b)(1) and (2).
In addition, we are amending paragraph (b)(5) to state that boilers
and process heaters are not control devices for the purposes of the
pneumatic pump standards. Two commenters stated that boilers and
process heaters located at well sites are not inherently designed for
the control of emissions and raised concerns that routing pneumatic
pump emissions to these devices may result in frequent safety trips and
burner flame instability (i.e., high temperature limit shutdowns, loss
of flame signal, etc.).\5\ The comments further contend that requiring
the technical infeasibility evaluation for every boiler and process
heater located at a wellsite would result in unnecessary administrative
burden since each such evaluation would be raising the same concerns
described above. The EPA agrees with the commenters and has revised the
standards to state that boilers and process heaters are not considered
control devices for the purposes of controlling pneumatic pump
emissions.
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\5\ See Docket ID Item Nos. EPA-HQ-OAR-2017-0483-0781 and EPA-
HQ-OAR-2017-0483-0801.
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Additionally, the EPA is finalizing revisions to the certification
requirements for the determination that it is technically infeasible to
route emissions from pneumatic pumps to a control device or process.
The 2016 NSPS subpart OOOOa requires certification of technical
infeasibility by a qualified PE; however, the EPA proposed allowing
this certification by either a PE or an in-house engineer because in-
house engineers may be more knowledgeable about site design and control
than a third-party PE. After considering the comments, some supporting
and some opposing the proposal, the EPA continues to believe that
certification by an in-house engineer is appropriate. We are,
therefore, amending the rule to allow certification of technical
infeasibility by either a PE or an in-house engineer with expertise on
the design and operation of the pneumatic pump.
C. Storage Vessels
The storage vessel standards apply to individual storage vessels
with the potential for VOC emissions of 6 tpy or greater. The 2016 NSPS
subpart OOOOa requires a calculation of the potential for VOC emissions
from individual storage vessels. In the proposal, the EPA sought to
address instances where storage vessels are designed and operated as a
manifolded battery and to address questions regarding where averaging
emissions may be appropriate for the calculation of potential for VOC
emissions. This final rule addresses the challenges of calculating the
potential for VOC emissions from individual storage vessels that are
part of a controlled battery by specifying separate calculation
requirements for these storage vessels. Specifically, the final rule
allows owners and operators to average the emissions across the number
of storage vessels in a controlled battery provided that specific
design and operational criteria are met. These specific design and
operational criteria include requirements to manifold the vessels such
that all vapors are shared between the headspace of the storage vessels
and route the collected vapors through a CVS to a process or a control
device with a destruction efficiency of at least 95.0 percent for VOC
emissions, and must be included in legally and practicably enforceable
limits in a permit or other requirement established under a Federal,
state, local, or tribal authority. Under the final rule, if these
criteria are met, the owner or operator may calculate the average
emissions from the individual storage vessels in that battery to
determine if the average emissions are greater than 6 tpy. If the
average emissions are greater than 6 tpy, then each of the individual
storage vessels in that battery is a storage vessel affected facility.
However, if the average emissions are less than 6 tpy, then none of the
storage vessels in that battery are a storage vessel affected facility.
In addition, the final rule finalizes the proposed methods for
calculating the potential for VOC emissions for storage vessels that do
not meet the design and operational criteria specified above. Those
storage vessels include individual storage vessels, as well as
manifolded storage vessels that do not meet the criteria specified
(e.g., less than 95-percent control). These storage vessels must
determine applicability by calculating their potential for VOC
emissions in accordance with the methods specified in this final rule.
The calculation of the potential for VOC emissions may take into
account legally and practically enforceable limits on storage vessels
but must be determined on an individual storage vessel basis without
averaging emissions across the number of storage vessels at the site,
even if the storage vessels are manifolded together. If the potential
for VOC emissions from the individual storage vessel is greater than 6
tpy, then that storage vessel is a storage vessel affected facility. If
the potential for VOC emissions from the individual storage vessel is
less than 6 tpy, then that storage vessel is not a storage vessel
affected facility.
The EPA is also amending the applicability criteria to clarify how
owners and operators must determine the potential for VOC emissions for
storage vessels located at onshore natural gas processing plants and
compressor stations. The 2016 NSPS subpart OOOOa specifies that the
calculation is based on the first 30 days of production to an
individual storage vessel. We received comments on the proposal that
this production period is not an accurate reflection of the potential
for VOC emissions from storage vessels not located at a well site.
Specifically, onshore natural gas processing plants and compressor
stations are designed to process or transport a specific capacity of
gas from multiple sites upstream of these facilities. The design
capacity is based on planned growth with additional sites coming online
over time, which means
[[Page 57405]]
the storage vessels at gas processing plants and compressor stations do
not receive the maximum throughput for which they are designed during
the first 30 days of their operation. For these storage vessels, the
commenters indicated they have been utilizing forecasting to predict
future throughput and emissions when applying for an operating permit.
The EPA agrees that the language in the 2016 NSPS subpart OOOOa does
not appropriately capture the information needed to make an informed
applicability determination for these storage vessels. Therefore, we
are revising the final rule to clarify that, for storage vessels
located at onshore natural gas processing plants and compressor
stations, the potential for VOC emissions may be determined based on
the emission limit or throughput limit (as an input for calculating the
potential for VOC emissions), established in a legally and practicably
enforceable limit, or based on the projected maximum average daily
throughput determined using generally accepted engineering models, such
as process simulations based on representative or actual liquid
analysis to determine volumetric condensate rates from the storage
vessels based on the maximum gas throughput capacity of each facility.
D. CVS
The 2016 NSPS subpart OOOOa requires that CVS be operated with no
detectable emissions, as demonstrated through specific monitoring
requirements associated with the specific affected facilities (i.e.,
storage vessels, pneumatic pumps, centrifugal compressors, and
reciprocating compressors). In the October 15, 2018, proposal, the EPA
proposed amending the requirements for CVS associated with pneumatic
pumps to require monthly AVO monitoring instead of the required annual
Method 21 monitoring, thereby aligning the demonstration requirements
for pneumatic pumps with those for storage vessels. 83 FR 52083. The
EPA received comments recommending (1) retaining annual Method 21 as an
option and (2) including OGI monitoring as an additional option because
OGI is already being used to monitor fugitive emissions components at
the well site and the CVS can readily be monitored at the same time.
Based on these public comments, the EPA is amending the requirements
for these no detectable emissions demonstrations for CVS for pneumatic
pumps, with some changes from the proposal. Specifically, we are
incorporating the option to demonstrate the pneumatic pump CVS is
operated with no detectable emissions by an annual inspection using
Method 21, monthly AVO monitoring, or OGI monitoring at the frequencies
specified in section IV.E of this preamble.
The 2016 NSPS subpart OOOOa requires monthly AVO inspections on CVS
for storage vessels to demonstrate operation with no detectable
emissions. Similar to CVS for pneumatic pumps, the EPA is adding OGI
monitoring at the frequencies specified in section IV.E of this
preamble as another option for demonstrating no detectable emissions
from CVS for storage vessels.
While the final rule provides these options for demonstrating the
operation of the CVS with no detectable emissions, it is important to
note that any detection with AVO or any visual image when using OGI is
considered an indication of detected emissions. It is not the EPA's
intent to allow owners and operators to conduct an inspection using OGI
that results in the visual image of emissions, and then follow that
inspection with AVO to conclude no emissions are present. If any of the
options specified result in detected emissions, the standard of ``no
detectable emissions'' is not met.
Additionally, the EPA is finalizing revisions to the certification
requirements for CVS design. Specifically, we are amending the rule to
allow either a PE or an in-house engineer with expertise on the design
and operation of the CVS to certify the design and operation will meet
the requirement to route all vapors to the control device or back to
the process.
E. Fugitive Emissions at Well Sites and Compressor Stations
1. Monitoring Frequency
The 2016 NSPS subpart OOOOa requires semiannual monitoring and
quarterly monitoring for fugitive emissions at well sites and
compressor stations, respectively. The EPA proposed amending these
monitoring frequencies as follows: (1) Annual monitoring for well sites
with total combined production greater than 15 boe per day, (2)
biennial monitoring for well sites with total combined production at or
below 15 boe per day, and (3) co-proposed semiannual and annual
monitoring for compressor stations. Additionally, the EPA proposed to
allow owners and operators to stop monitoring at well sites when all of
the major production and processing equipment is removed, such that the
well site becomes a wellhead-only well site. After considering the
comments and additional data, we are not finalizing the proposed
changes to the monitoring frequencies for fugitive emissions components
at well sites and compressor stations, with two exceptions explained
below. The required fugitive monitoring frequencies for the collection
of fugitive emissions components located at a well site or compressor
station are as follows:
Semiannual monitoring for well sites, excluding well sites
with total production for the site at or below 15 boe per day (herein
referred to as ``low production well sites'') and well sites on the
Alaska North Slope;
Semiannual monitoring for compressor stations, excluding
those on the Alaska North Slope;
Annual monitoring for well sites (excluding low production
well sites) and compressor stations located on the Alaska North Slope;
and
Monitoring may be stopped once all major production and
processing equipment is removed from a well site such that it contains
only one or more wellheads.
Low production well sites are excluded from fugitive
monitoring requirements as long as the total production of the well
site remains at or below 15 boe per day, as determined on a rolling 12-
month basis and demonstrated by the records specified in the final
rule. To determine if a well site is a low production well site, the
EPA is finalizing the following calculation periods:
[cir] For a well site that newly triggers the fugitive emissions
requirements of the NSPS after the effective date of the rule, or a
well site that triggered the 2016 NSPS subpart OOOOa requirements
within 11 months prior to the effective date of the rule but does not
have 12-months' worth of production data, the total well site
production calculation is based on the first 30 days of production;
[cir] For a well site subject to the fugitive emissions
requirements that subsequently has production decline, the total well
site production calculation is based on a rolling 12-month average;
[cir] For a well site that has previously been determined to be low
production but later takes an action (e.g., drills a new well, performs
a well workover, etc.) that may increase production, the total well
site production calculation is based on the first 30 days of production
following completion of the action. This re-determination must be
completed at any time an action occurs, regardless of the original
startup of production date.
2. Modification
The October 15, 2018, proposal did not propose amendments to the
events
[[Page 57406]]
that constitute modifications of the collection of fugitive emissions
components located at a well site or a compressor station but did take
comment on whether additional clarification is necessary. The EPA's
consideration of the comments received did not result in changes to
modifications for well sites and compressor stations, therefore, this
final rule retains the events currently identified in the 2016 NSPS
subpart OOOOa that qualify as modifications of the collection of
fugitive emissions components located at a well site or a compressor
station.
The 2016 NSPS subpart OOOOa specifies that, for the purposes of
fugitive emissions components at a well site, a modification occurs
when (1) a new well is drilled at an existing well site, (2) a well is
hydraulically fractured at an existing well site, or (3) a well is
hydraulically refractured at an existing well site. 40 CFR 60.5365a(i).
Because this provision does not specifically address modifications of a
well site that is a separate tank battery surface site, the EPA
proposed language to address modifications of separate tank battery
surface sites. Specifically, the EPA proposed that a modification of a
well site that is a separate tank battery surface site occurs when (1)
any of the actions listed above for well sites occurs at an existing
separate tank battery surface site, (2) a well modified as described
above sends production to an existing separate tank battery surface
site, or (3) a well site subject to the fugitive emissions requirements
removes all major production and processing equipment such that it
becomes a wellhead-only well site and sends production to an existing
separate tank battery surface site. After considering the comments
received related to the proposed modification language relevant for
separate tank battery surface sites, the EPA is finalizing this
provision as proposed.
3. Initial Monitoring for Well Sites and Compressor Stations
The 2016 NSPS subpart OOOOa requires fugitive emissions monitoring
to begin within 60 days of startup of production (for well sites) or
startup of a compressor station. The October 15, 2018, proposal did not
propose any change to this requirement but solicited comment
identifying specific reasons why a change might be appropriate. 83 FR
52075. We received comments stating that well sites and compressor
stations do not achieve normal operating conditions within the first 60
days of startup. Commenters suggested a range of options from 90 days
to 180 days. Based on these comments, the EPA agrees that maintaining
the requirement to conduct initial monitoring within 60 days of startup
would not provide as effective of a survey as providing additional time
to allow the well site or compressor station to reach normal operating
conditions. The purpose of the initial monitoring is to identify any
issues associated with installation and startup of the well site or
compressor station. By providing sufficient time to allow owners and
operators to conduct the initial monitoring survey during normal
operating conditions, the EPA expects that there will be more
opportunity to identify and repair sources of fugitive emissions,
whereas, a partially operating site may result in missed emissions that
remain unrepaired for a longer period of time. The additional 30 days
provided in this final rule will still allow for identification and
mitigation of fugitive emissions in a timely manner. Therefore, the
final rule requires that initial monitoring be completed within 90 days
after the startup of production for well sites and 90 days after the
startup of a compressor station. Additionally, for low production well
sites that take an action which subsequently increases production above
15 boe per day based on the first 30 days of production following the
action, the final rule requires that initial monitoring be completed
within 90 days after the startup of production following the action.
4. Repair Requirements
This final rule amends the fugitive emissions repair requirements.
The 2016 NSPS subpart OOOOa requires repair within 30 days of
identifying fugitive emissions and a resurvey to verify that the repair
was successful within 30 days of the repair. In the proposal, the EPA
proposed to require a first attempt at repair within 30 days of
identifying fugitive emissions and final repair, including the resurvey
to verify repair, within 60 days of identifying fugitive emissions. We
proposed these revisions because stakeholders raised questions on
whether emissions identified during the resurvey would result in
noncompliance with the repair requirement. The EPA agreed that repairs
should be verified as successful prior to the repair deadline,
therefore, we proposed a definition of repair that includes the
resurvey. The net result of the proposal was that sources would have up
to 60 days to complete repairs, which was an increase from the 2016
NSPS subpart OOOOa requirement of 30 days. We received comments from
owners and operators that a total of 60 days was not necessary to
complete a successful repair, therefore, this final rule amends the
fugitive emissions repair requirements with changes from the proposal.
Specifically, we are finalizing the proposal that a first attempt at
repair is required within 30 days of identifying fugitive emissions and
requiring final repair within 30 days of the first attempt at repair.
While this final rule would still allow up to a total of 60 days to
complete repairs, several owners and operators indicated in their
comments that the majority of repairs are completed onsite during the
time of the monitoring survey. We are also finalizing as proposed
definitions for the terms ``first attempt at repair'' and ``repaired.''
Specifically, the definition of ``repaired'' includes the verification
of successful repair through a resurvey of the fugitive emissions
component.
The EPA is also amending the requirements for when delayed repairs
must be completed. The 2016 NSPS subpart OOOOa, as amended on March 12,
2018,\6\ specifies that where the repair of a fugitive emissions
component is ``technically infeasible, would require a vent blowdown, a
compressor station shutdown, a well shutdown or well shut-in, or would
be unsafe to repair during operation of the unit, the repair must be
completed during the next scheduled compressor station shutdown, well
shutdown, well shut-in, after a planned vent blowdown, or within 2
years, whichever is earlier.'' \7\ The EPA did not propose any
additional revisions to this provision, but solicited comment on
whether additional changes were necessary. 83 FR 52076. We received
comments expressing concerns with requiring repairs during the next
scheduled compressor station shutdown, without regard to whether the
shutdown is for maintenance purposes. The commenters stated that
repairs must be scheduled and that where a planned shutdown is for
reasons other than scheduled maintenance, completion of the repairs
during that shutdown may be difficult and disrupt gas transmission. The
EPA agrees that requiring the completion of delayed repairs only during
those scheduled compressor station shutdowns where maintenance
activities are scheduled is reasonable and anticipates that these
maintenance shutdowns occur on a regular schedule. Therefore, the final
rule requires completion of delayed repairs during the ``next scheduled
compressor station
[[Page 57407]]
shutdown for maintenance, scheduled well shutdown, scheduled well shut-
in, after a scheduled vent blowdown, or within 2 years, whichever is
earliest.''
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\6\ 83 FR 10638.
\7\ 40 CFR 60.5397a(h)(2).
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5. Definitions Related to Fugitive Emissions at Well Sites and
Compressor Stations
The EPA is finalizing, as proposed, amendments to the definition of
well site, for purposes of fugitive emissions monitoring, to exclude
equipment owned by third parties and oilfield wastewater disposal wells
(referred to as saltwater disposal wells in the proposal).
Additionally, based on information received in public comments, the EPA
is also amending the definition to exclude oilfield disposal wells used
for solid waste disposal. The amended definition for ``well site''
excludes third party equipment from the fugitive emissions requirements
by excluding ``the flange immediately upstream of the custody meter
assembly and equipment, including fugitive emissions components located
downstream of this flange.'' To clarify this exclusion, the final rule
defines ``custody meter'' as the meter where natural gas or hydrocarbon
liquids are measured for sales, transfers, and/or royalty
determination, and the ``custody meter assembly'' as an assembly of
fugitive emissions components, including the custody meter, valves,
flanges, and connectors necessary for the proper operation of the
custody meter, as proposed. The exclusion does not extend to other
third-party equipment at a well site that is not associated with the
custody meter and custody meter assembly (e.g., dehydrators).
This final rule further amends the definition of a well site to
exclude UIC Class I oilfield disposal wells and UIC Class II oilfield
wastewater disposal wells. The EPA proposed excluding UIC Class II
oilfield wastewater disposal wells because of our understanding that
they have negligible fugitive emissions. 83 FR 52077. Commenters
suggested that we also should exclude UIC Class I oilfield disposal
wells for the same reasons. Both types of disposal wells are permitted
through UIC programs under the Safe Drinking Water Act for surface and
groundwater protection. The EPA agrees with the commenters that the
potential fugitive methane and VOC emissions from UIC Class I oilfield
disposal wells are low. Therefore, the final rule includes a definition
for UIC Class I oilfield disposal wells. The definition for a UIC Class
I oilfield disposal well is a well with a UIC Class I permit that meets
the definition in 40 CFR 144.6(a)(2) and receives eligible fluids from
oil and natural gas exploration and production operations.
Additionally, the EPA is finalizing, as proposed, the definition of UIC
Class II oilfield wastewater disposal wells. The definition for a UIC
Class II oilfield wastewater disposal well is a well with a UIC Class
II permit where wastewater resulting from oil and natural gas
production operations is injected into underground porous rock
formations not productive of oil or gas, and sealed above and below by
unbroken, impermeable strata. Consequently, UIC Class I and UIC Class
II disposal facilities without wells that produce oil or natural gas
are not considered well sites for the purposes of fugitive emissions
requirements.
The EPA is also finalizing, as proposed, the definition of startup
of production as it relates to fugitive emissions requirements.
Specifically, startup of production is defined as the beginning of
initial flow following the end of flowback when there is continuous
recovery of salable quality gas and separation and recovery of any
crude oil, condensate or produced water, except as otherwise provided
herein. For the purposes of the fugitive monitoring requirements of
Sec. 60.5397a, startup of production means the beginning of the
continuous recovery of salable quality gas and separation and recovery
of any crude oil, condensate or produced water.
F. AMEL
1. Incorporation of Emerging Technologies
The EPA is amending the application requirements for requesting the
use of an AMEL for well completions, reciprocating compressors, and the
collection of fugitive emissions components located at a well site or
compressor station. Applications for an AMEL may be submitted by, among
others, owners or operators of affected facilities, manufacturers or
vendors of leak detection technologies, or trade associations. The
application must provide sufficient information to demonstrate that the
AMEL achieves emission reductions at least equivalent to the work
practice standards in this rule. At a minimum, the application should
include field data that encompass seasonal variations, and may be
supplemented with modeling analyses, test data, and/or other
documentation. The specific work practice(s), including performance
methods, quality assurance, the threshold that triggers action, and the
mitigation thresholds are also required as part of the application. For
example, for a technology designed to detect fugitive emissions,
information such as the detection criteria that indicate fugitive
emissions requiring repair, the time to complete repairs, and any
methods used to verify successful repair would be required.
2. Incorporation of State Fugitive Emissions Programs
This final rule includes alternative fugitive emissions standards
for specific state fugitive emissions programs that the EPA has
concluded are at least equivalent to the fugitive emissions monitoring
and repair requirements at 40 CFR 60.5397a(e), (f), (g), and (h). These
alternative fugitive emissions standards may be adopted for certain
individual well sites or compressor stations that are subject to
fugitive emissions monitoring and repair so long as the source complies
with specified Federal requirements applicable to each approved
alternative state program. For example, a well site that is subject to
the requirements of Pennsylvania General Permit 5A, section G,
effective August 8, 2018, could comply with those standards in lieu of
the monitoring, repair, recordkeeping, and reporting requirements in
the NSPS. However, the company must develop and maintain a fugitive
emissions monitoring plan, as required in 40 CFR 60.5397a(c) and (d),
and must monitor all of the fugitive emissions components, as defined
in 40 CFR 60.5430a, regardless of the components that must be monitored
under the alternative standard. Additionally, the facility must submit,
as an attachment to its annual report for NSPS subpart OOOOa, the
report that is submitted to its state in the format submitted to the
state, or the information required in the report for NSPS subpart OOOOa
if the state report does not include site-level monitoring and repair
information. If a well site is located in the state but is not subject
to the state requirements for monitoring and repair (i.e., not
obligated to monitor or repair fugitive emissions), then the well site
must continue to comply with the requirements of 40 CFR 60.5397a in its
entirety.
In addition to providing alternative fugitive emissions standards
for well sites and compressor stations located in California, Colorado,
Ohio, Pennsylvania, and Texas, and well sites in Utah, these amendments
provide application requirements to request alternative fugitive
emissions standards as state, local, and tribal programs continue to
develop. Applications for alternative fugitive emissions standards
based on state, local, or tribal programs may be submitted by any
interested
[[Page 57408]]
person, including individuals, corporations, partnerships,
associations, states, or municipalities. Similar to the applications
for AMEL for emerging technologies, the application must include
sufficient information to demonstrate that the alternative fugitive
emissions standards achieve emissions reductions at least equivalent to
the fugitive emissions monitoring and repair requirements in this rule.
At a minimum, the application must include the monitoring instrument,
monitoring procedures, monitoring frequency, definition of fugitive
emissions requiring repair, repair requirements, recordkeeping, and
reporting requirements. If any of the sections of the regulations or
permits approved as alternative fugitive emissions standards are
changed at a later date, the state must follow the procedures outlined
in 40 CFR 60.5399a to apply for a new evaluation of equivalency.
G. Onshore Natural Gas Processing Plants
1. Capital Expenditure
The EPA is amending the definition of ``capital expenditure'' at 40
CFR 50.5430a by replacing the equation used to determine the percent of
replacement cost, ``Y.'' The 2016 NSPS subpart OOOOa contains a
definition for ``Y'' that would result in an error, thus, making it
difficult to determine whether a capital expenditure had occurred. The
EPA proposed to revise the base year in the equation for ``Y'' with the
year 2015 and to define ``Y'' as equal to 1 for facilities constructed
in the year 2015. Additionally, we solicited comment on an alternative
approach that would utilize CPI. While the EPA proposed these specific
amendments to the equation used to determine the value of ``Y,'' we
received public comments that supported the alternative approach which
would more appropriately reflect inflation than the original equation.
The EPA solicited comment on this alternative and is finalizing the
alternative because we agree it is appropriate. The final equation for
``Y'' is based on the CPI, where ``Y'' equals the CPI of the date of
construction divided by the most recently available CPI of the date of
the project, or ``CPIN/CPIPD.'' Further, the
final rule specifies that the ``annual average of the consumer price
index for all urban consumers (CPI-U), U.S. city average, all items''
must be used for determining the CPI of the year of construction, and
the ``CPI-U, U.S. city average, all items'' must be used for
determining the CPI of the date of the project. This amendment
clarifies that the comparison of costs is between the original date of
construction of the process unit and the date of the project which adds
equipment to the process unit.
2. Equipment in VOC Service Less Than 300 Hours per Year (hr/yr)
The October 15, 2018, proposal included an exemption from the
requirements for equipment leaks at onshore natural gas processing
plants. Specifically, the EPA proposed an exemption from monitoring for
equipment that an owner or operator designates as being in VOC service
less than 300 hr/yr. 83 FR 52086. The EPA received comments supporting
this proposed exemption; therefore, we are amending the final rule as
proposed. This exemption applies to equipment at onshore natural gas
processing plants that is used only during emergencies, used as a
backup, or that is in service only during startup and shutdown.
3. Initial Compliance Period
The EPA is amending NSPS subpart OOOOa to specify that the initial
compliance deadline for the equipment leak standards for onshore
natural gas processing plants is 180 days. Specifically, the EPA is
including in NSPS subpart OOOOa the provision requiring compliance ``as
soon as practicable, but no later than 180 days after initial startup''
that is already in 40 CFR 60.632(a), which is part of subpart KKK of
the part, ``Standards of Performance for Equipment Leaks of VOC from
Onshore Natural Gas Processing Plants for which Construction,
Reconstruction, or Modification Commenced After January 20, 1984, and
on or before August 23, 2011'' (NSPS subpart KKK). In 2012, the EPA
revised the standards in NSPS subpart KKK with the promulgation of NSPS
subpart OOOO \8\ by lowering the leak definition for valves from 10,000
parts per million (ppm) to 500 ppm and requiring the monitoring of
connectors. 77 FR 49490, 49498. While no changes to the compliance
deadlines were made or discussed in NSPS subpart OOOO, 40 CFR 60.632(a)
was not included in NSPS subpart OOOO and, as a result, was also not
included in NSPS subpart OOOOa. During the rulemaking for NSPS subpart
OOOOa, the EPA declined a request to include the language in 40 CFR
60.632(a) in NSPS subpart OOOOa, explaining that such inclusion was not
necessary because NSPS subpart OOOOa already incorporates by reference
a similar statement (i.e., 40 CFR 60.482-1a(a)) which requires each
owner and operator to ``demonstrate compliance . . . within 180 days of
initial startup,'' 80 FR 56593, 56647-8. In reassessing the issue, the
EPA notes that NSPS subpart KKK includes both 40 CFR 60.632(a) and 40
CFR 60.482-1(a), a provision that is the same as 40 CFR 60.482-1a(a),
suggesting that at the time of promulgation of NSPS subpart KKK, the
EPA did not think that 40 CFR 60.482-1(a) (and 40 CFR 60.482-1a(a))
make 40 CFR 60.632(a) redundant or unnecessary. To remain consistent
with NSPS subpart KKK, the EPA is amending NSPS subpart OOOOa to
include a provision similar to 40 CFR 60.632(a).
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\8\ ``Standards of Performance for Crude Oil and Natural Gas
Production, Transmission and Distribution for Which Construction,
Modification or Reconstruction Commenced After August 23, 2011, and
on or before September 18, 2015.''
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The final rule requires monitoring to begin as soon as practicable,
but no later than 180 days after the initial startup of a new,
modified, or reconstructed process unit at an onshore natural gas
processing plant. Once started, monitoring must continue with the
required schedule. For example, if pumps are monitored by month 3 of
the initial startup period, then monthly monitoring is required from
that point forward. This initial compliance period is different than
the compliance requirements for newly added pumps and valves within a
process unit that is already subject to a leak detection and repair
(LDAR) program. Initial monitoring for those newly added pumps and
valves is required within 30 days of the startup of the pump or valve
(i.e., when the equipment is first in VOC service).
H. Sweetening Units
This final rule revises the applicability criteria for the
SO2 standards for sweetening units to correctly define an
affected facility as any onshore sweetening unit that processes natural
gas produced from either onshore or offshore wells. Sweetening units
are used to convert hydrogen sulfide (H2S) in acid gases
(i.e., H2S and CO2) that are separated from
natural gas by a sweetening process (e.g., amine treatment) into
elemental sulfur in the Claus process.\9\ These units can exist
anywhere in the production and processing segment of the source
category, including as stand-alone processing facilities that do not
extract or fractionate natural gas liquids from field gas. The
SO2 standards for onshore sweetening units were first
promulgated in 1985 and codified in 40 CFR part 60, subpart LLL. In
2012,
[[Page 57409]]
based on our review of the standards, the EPA tightened the
SO2 standards, which were codified in NSPS subpart OOOO and
later carried over to NSPS subpart OOOOa. In the process of finalizing
this current rulemaking to amend NSPS subpart OOOOa, the EPA discovered
that NSPS subpart OOOOa inexplicably limits the applicability of the
SO2 standards to only those sweetening units that are
located at onshore natural gas processing plants, which NSPS subpart
OOOOa defines as ``any processing site engaged in the extraction of
natural gas liquids from field gas, fractionation of mixed natural gas
liquids to natural gas products, or both. . . .'' 40 CFR 60.5430a. NSPS
subpart LLL did not contain this limitation, and the EPA did not offer
any rationale for creating it during the promulgation of either NSPS
subpart OOOO or NSPS subpart OOOOa, nor can we identify any reason why
the extraction of natural gas liquids relates in any way to the
SO2 standards such that the standards should only apply to
sweetening units located at onshore natural gas processing plants
engaged in extraction or fractionation activities. Sweetening units
emit SO2 in the same manner, regardless of whether they are
located at an onshore natural gas processing plant or at processing
facilities without extraction or fractionation activities. Therefore,
the EPA concludes that the limitation was made in error and is now
correcting the error by revising the affected facility description for
the SO2 standards to include all onshore sweetening units
that process natural gas produced from either onshore or offshore
wells.
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\9\ See Docket ID Item No. EPA-HQ-OAR-2010-0505-0045.
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I. Recordkeeping and Reporting
The EPA is amending NSPS subpart OOOOa to streamline the
recordkeeping and reporting requirements as discussed below for the
specified affected facilities. These amendments reflect consideration
of the public comments received on the proposal.
1. Well Completions
For each well site affected facility that routes flowback entirely
through one or more production separators, owners and operators are
only required to record and report the following elements:
Well Completion ID;
Latitude and longitude of the well in decimal degrees to
an accuracy and precision of five (5) decimals of a degree using North
American Datum of 1983;
U.S. Well ID;
The date and time of the onset of flowback following
hydraulic fracturing or refracturing or identification that the well
immediately starts production; and
The date and time of the startup of production.
For periods where salable gas is unable to be separated, owners and
operators will also be required to record and report the date and time
of onset of flowback, the duration and disposition of recovery, the
duration of combustion and venting (if applicable), reasons for venting
(if applicable), and deviations.
2. Fugitive Emissions at Well Sites and Compressor Stations
For each collection of fugitive emissions components located at a
well site or compressor station, the EPA is amending the recordkeeping
and reporting requirements as follows:
Revise the requirements in 40 CFR 60.5397a(d)(1) to
require inclusion of procedures that ensure all fugitive emissions
components are monitored during each survey within the monitoring plan.
Remove the requirement to maintain records of a digital
photo of each monitoring survey performed, captured from the OGI
instrument used for monitoring.
Remove the requirement to maintain records of the number
and type of fugitive emissions components or digital photo of fugitive
emissions components that are not repaired during the monitoring
survey. These records are not required once repair is completed and
verified with a resurvey.
Require records of the total well site production for low
production well sites.
Require records of the date of first attempt at repair and
date of successful repair.
Revise reporting to specify the type of site (i.e., well
site, low production well site, or compressor station) and when the
well site changes status to a wellhead-only well site.
Remove requirement to report the name or ID of operator
performing the monitoring survey.
Remove requirement to report the number and type of
difficult-to-monitor and unsafe-to-monitor components that are
monitored during each monitoring survey.
Remove requirement to report the ambient temperature, sky
conditions, and maximum wind speed.
Remove requirement to report the date of successful
repair.
Remove requirement to report the type of instrument used
for resurvey.
In addition to streamlining the recordkeeping and reporting
requirements, the EPA is also finalizing the form that is used for
submitting annual reports through the Compliance and Emissions Data
Reporting Interface (CEDRI) with this final rule. Per the requirement
in 40 CFR 60.5420a(b)(11), affected facilities must submit all
subsequent reports via CEDRI, once the form has been available in CEDRI
for at least 90 calendar days. The EPA anticipates that the deadline to
begin submitting subsequent annual reports required by 40 CFR
60.5420a(b) through CEDRI will be [INSERT DATE 90 DAYS AFTER DATE OF
PUBLICATION IN THE FEDERAL REGISTER]. However, owners and operators
should verify the date that the form becomes available in CEDRI by
checking the ``Initial Availability Date'' listed on the CEDRI website
(https://www.epa.gov/electronic-reporting-air-emissions/cedri).
J. Technical Corrections and Clarifications
The EPA is revising NSPS subpart OOOOa to include the following
technical corrections and clarifications.
Revise 40 CFR 60.5385a(a)(1), 60.5410a(c)(1),
60.5415a(c)(1), and 60.5420a(b)(4)(i) and (c)(3)(i) to clarify that
hours or months of operation at reciprocating compressor facilities
must be measured beginning with the date of initial startup, the
effective date of the requirement (August 2, 2016), or the last rod
packing replacement, whichever is latest.
Revise 40 CFR 60.5393a(b)(3)(ii) to correctly cross-
reference paragraph (b)(3)(i) of that section.
Revise 40 CFR 60.5397a(c)(8) to clarify the calibration
requirements when Method 21 of appendix A-7 to part 60 is used for
fugitive emissions monitoring.
Revise 40 CFR 60.5397a(d)(3) to correctly cross-reference
paragraphs (g)(3) and (4) of that section.
Revise 40 CFR 60.5401a(e) to remove the word ``routine''
to clarify that pumps in light liquid service, valves in gas/vapor
service and light liquid service, and pressure relief devices in gas/
vapor service within a process unit at an onshore natural gas
processing plant located on the Alaska North Slope are not subject to
any monitoring requirements.
Revise 40 CFR 60.5410a(e) to correctly reference pneumatic
pump affected facilities located at a well site as opposed to pneumatic
pump affected facilities not located at a natural gas processing plant
(which would include those not at a well site). This correction
reflects that the 2016 NSPS subpart OOOOa did not finalize requirements
for pneumatic pumps at gathering and boosting compressor stations. 81
FR 35850.
[[Page 57410]]
Revise 40 CFR 60.5411a(a)(1) to remove the reference to
Sec. 60.5412a(a) and (c) for reciprocating compressor affected
facilities.
Revise 40 CFR 60.5411a(d)(1) to remove the reference to
storage vessels, as this paragraph applies to all the sources listed in
40 CFR 60.5411a(d), not only storage vessels.
Revise 40 CFR 60.5412a(a)(1) and (d)(1)(iv) to clarify
that all boilers and process heaters used as control devices on
centrifugal compressors and storage vessels must introduce the vent
stream into the flame zone. Additionally, revise 40 CFR
60.5412a(a)(1)(iv) and (d)(1)(iv)(D) to clarify that the vent stream
must be introduced with the primary fuel or as the primary fuel to meet
the performance requirement option. This is consistent with the
performance testing exemption in 40 CFR 60.5413a and continuous
monitoring exemption in 40 CFR 60.5417a for boilers and process heaters
that introduce the vent stream with the primary fuel or as the primary
fuel.
Revise 40 CFR 60.5412a(c) to correctly reference both
paragraphs (c)(1) and (2) of that section, for managing carbon in a
carbon adsorption system.
Revise 40 CFR 60.5413a(d)(5)(i) to reference fused silica-
coated stainless steel evacuated canisters instead of a specific name
brand product.
Revise 40 CFR 60.5413a(d)(9)(iii) to clarify the basis for
the total hydrocarbon span for the alternative range is propane, just
as the basis for the recommended total hydrocarbon span is propane.
Revise 40 CFR 60.5413a(d)(12) to clarify that all data
elements must be submitted for each test run.
Revise 40 CFR 60.5415a(b)(3) to reference all applicable
reporting and recordkeeping requirements.
Revise 40 CFR 60.5416a(a)(4) to correctly cross-reference
40 CFR 60.5411a(a)(3)(ii).
Revise 40 CFR 60.5417a(a) to clarify requirements for
controls not specifically listed in paragraph (d) of that section.
Revise 40 CFR 60.5422a(b) to correctly cross-reference 40
CFR 60.487a(b)(1) through (3) and (b)(5).
Revise 40 CFR 60.5422a(c) to correctly cross-reference 40
CFR 60.487a(c)(2)(i) through (iv) and (c)(2)(vii) through (viii).
Revise 40 CFR 60.5423a(b) to simplify the reporting
language and clarify what data are required in the report of excess
emissions for sweetening unit affected facilities.
Revise 40 CFR 60.5430a to remove the phrase ``including
but not limited to'' from the ``fugitive emissions component''
definition. During the 2016 NSPS subpart OOOOa rulemaking, we stated in
a response to comment that we are removing this phrase,\10\ but we did
not do so in that rulemaking and are finalizing that change in this
final rule.
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\10\ See Docket ID Item No. EPA-HQ-OAR-2010-0505-7632, Chapter
4, page 4-319.
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Revise 40 CFR 60.5430a to remove the phrase ``at the sales
meter'' from the ``low pressure well'' definition to clarify that when
determining the low pressure status of a well, pressure is measured
within the flow line, rather than at the sales meter.
Revise Table 3 to correctly indicate that the performance
tests in 40 CFR 60.8 do not apply to pneumatic pump affected
facilities.
Revise Table 3 to include the collection of fugitive
emissions components at a well site and the collection of fugitive
emissions components at a compressor station in the list of exclusions
for notification of reconstruction.
Revise 40 CFR 60.5393a(f), 60.5410a(e)(8), 60.5411a(e),
60.5415a(b) introductory text and (b)(4), 60.5416a(d), 60.5420a(b)
introductory text and (b)(13), and introductory text in Sec. Sec.
60.5411a and 60.5416a, to remove language associated with the
administrative stay we issued under section (d)(7)(B) of the CAA in
``Oil and Natural Gas Sector: Emission Standards for New,
Reconstructed, and Modified Sources; Grant of Reconsideration and
Partial Stay'' (June 5, 2017). The administrative stay was vacated by
the U.S. Court of Appeals for the District Of Columbia Circuit on July
3, 2017.
V. Significant Changes Since Proposal
This section identifies significant changes since the proposed
rulemaking. These changes reflect the EPA's consideration of over
500,000 comments submitted on the proposal and other information
received since the proposal. In this section, we discuss the
significant changes since proposal by affected facility type and the
rationales for those changes. Additional information related to these
changes, such as specific comments and our responses, is in section VI
of this preamble and in materials available in the docket.\11\
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\11\ See Response to Comments (RTC) document and technical
support documents (TSD) in Docket ID No. EPA-HQ-OAR-2017-0483.
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A. Storage Vessels
In the October 15, 2018, proposal, the EPA proposed clarifications
on how to calculate the potential for VOC emissions for purposes of
determining whether a storage vessel has the potential for 6 tpy or
more of VOC emissions and, therefore, is an affected facility subject
to the storage vessels standards under the 2016 NSPS subpart OOOOa.
Specifically, the EPA proposed amendments to the definition of
``maximum average daily throughput'' that provided distinct
methodologies for calculating the throughput of an individual storage
vessel based on how throughput is measured and recorded. We proposed
the amendments because owners and operators continued to express
confusion over how to calculate this throughput.
Numerous commenters \12\ expressed objections to several aspects of
the proposed amendments, particularly to the EPA's assumption that
averaging emissions across storage vessels in a controlled battery
would underestimate a storage vessel's potential VOC emissions. The
commenters explained why averaging across storage vessels in controlled
batteries has a sound basis in engineering and addresses the EPA's
concern about flash emissions, which constitute most of the emissions
from storage vessels.
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\12\ See Docket ID Item Nos. EPA-HQ-OAR-2017-0483-0773, EPA-HQ-
OAR-2017-0483-0775, EPA-HQ-OAR-2017-0483-0780, EPA-HQ-OAR-2017-0483-
0801, EPA-HQ-OAR-2017-0483-0996, EPA-HQ-OAR-2017-0483-0999, EPA-HQ-
OAR-2017-0483-1006, EPA-HQ-OAR-2017-0483-1009, EPA-HQ-OAR-2017-0483-
1236, EPA-HQ-OAR-2017-0483-1243, EPA-HQ-OAR-2017-0483-1248, EPA-HQ-
OAR-2017-0483-1261, EPA-HQ-OAR-2017-0483-1343, and EPA-HQ-OAR-2017-
0483-1578.
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Specifically, the commenters pointed out that tank batteries
typically share vapor space (the tank volume above the liquid) and
joint piping used to collect generated vapors, which are then routed
back to a process or conveyed to a control device, when one is used, or
vented through one common pressure relief valve (PRV). For purposes of
this discussion, the EPA considers this configuration as a manifolded
system that collects and routes vapors across the headspace. (This is
different than liquid manifolded systems where liquids can be
introduced to any tank in the system.) The commenters noted that vapors
flow both into and out of each tank within the battery and into
overflow piping on a continuous basis, and vapors will always flow from
high pressure areas to low pressure areas when flow is mechanically
unrestricted. The commenters explained that, in this configuration, the
flash emissions from the first tank will flow into the other tanks and
vent line space associated with the battery until the total pressure in
the system exceeds the back-pressure of the flare or other control
device, or in systems without controls, the PRV.
[[Page 57411]]
The commenters asserted that only then will the emissions (i.e., the
vapors) be released from the PRV if uncontrolled; routed back to a
process; or combusted by the control equipment. Therefore, the
commenters suggested that because the vapors from individual storage
vessels are comingled and not individually emitted from the originating
storage vessels, it is appropriate to allow sources to average the
emissions across the number of storage vessels in the controlled
battery in order to attribute emissions to individual storage vessels.
After considering these comments and subsequent conversations with
the commenters,\13\ the EPA reevaluated the proposal. Based on this
review, the EPA agrees with the commenters that, in certain situations,
averaging emissions across a controlled battery may be appropriate for
purposes of determining whether to subject the storage vessels in the
tank battery to the storage vessel standards in NSPS subpart OOOOa.
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\13\ See Memoranda for March 27, 2019 Meeting with American
Petroleum Institute, April 9, 2019 Meeting with Hess, and May 1,
2019 Meeting with GPA Midstream located at Docket ID No. EPA-HQ-OAR-
2017-0483.
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In order to fully understand where averaging of emissions across a
controlled battery may be appropriate, under this final rule, for
purposes of determining whether to subject the storage vessels in the
controlled battery to the storage vessel standards in NSPS subpart
OOOOa, the EPA considered the level of control that would be achieved
where uncontrolled potential emissions are greater than 6 tpy. The
standards in the 2016 NSPS subpart OOOOa require reducing uncontrolled
emissions from individual storage vessel affected facilities by 95.0
percent.
For controlled batteries, as liquids are introduced to a storage
vessel in the system, the vapors transfer to the piping, or common
header, enter the common vapor space, and commingle with vapors from
other storage vessels in the manifolded system. When the combined vapor
pressure in the common header reaches a specified set point, the vapors
are typically conveyed through a CVS to either a vapor recovery unit
(which routes vapors back to a process) or a control device. Where this
controlled battery is designed and operated to route the vapors in this
manner, emissions from an individual storage vessel within the
controlled battery are indistinguishable from emissions from other
storage vessels within the controlled battery; each individual storage
vessel does not directly emit (e.g., flash emissions) to the
atmosphere. These controlled batteries are typically subject to
specific design and operational criteria through a legally and
practicably enforceable limit (e.g., through permits or other
requirements established through Federal, state, local, or tribal
authority). To the extent that the control, through the battery's
design and operation, already reduces 95 percent or more of the VOC
emissions, no additional emission reductions would be achieved by
subjecting each individual storage vessel in the controlled battery
operating under legally and practicably enforceable limits to the
storage vessel standards in the 2016 NSPS subpart OOOOa. However, the
2016 NSPS subpart OOOOa considers any storage vessel with the potential
for VOC emissions greater than 6 tpy, including those with legally and
practicably enforceable limits, a storage vessel affected facility.
This final rule does not change that 6 tpy applicability threshold, but
it does include specific criteria that must be included in the legally
and practicably enforceable limit before averaging of emissions will be
allowed for the purposes of determining whether the potential for VOC
emissions from the individual storage vessels in a controlled tank
battery is above the 6 tpy threshold. Specifically, the legally and
practicably enforceable limit must require the storage vessels to be
(1) manifolded together with piping such that all vapors are shared
among the headspaces of the storage vessels, (2) equipped with a CVS
that is designed, operated, and maintained to route vapors back to the
process or to a control device, and (3) designed and operated to route
vapors back to the process or to a control device that reduces VOC
emissions by at least 95.0 percent. The EPA concludes that averaging
emissions across the number of storage vessels in a controlled battery
subject to the design and operational criteria specified above, through
a legally and practicably enforceable limit, is the appropriate way to
determine if the storage vessels in that battery are affected
facilities under NSPS subpart OOOOa. Where the average VOC emissions
across the number of storage vessels in the controlled battery is 6 tpy
or greater, all of the storage vessels in the controlled battery are
storage vessel affected facilities and subject to the requirements for
storage vessels in NSPS subpart OOOOa. However, where the average
emissions are less than 6 tpy, none of the storage vessels in the
controlled battery are storage vessels affected facilities.
For storage vessels that do not meet all of the design and
operational criteria specified in this final rule, which includes
single storage vessels (whether controlled or not) and storage vessels
that are connected in some way but do not meet all of the criteria
described above, the final rule requires owners and operators to
calculate the potential for VOC emissions on an individual storage
vessel basis to determine if the storage vessel is a storage vessel
affected facility, as proposed. Where the potential for VOC emissions
from a storage vessel is 6 tpy or greater, the storage vessel is a
storage vessel affected facility. We have not revised the BSER for
storage vessel affected facilities; as a result, the storage vessel
standards in the 2016 NSPS subpart OOOOa remain applicable to these
storage vessels if their potential for VOC emissions is 6 tpy or
greater, based on each individual storage vessel and without averaging
across the storage vessels at the site.
The final rule continues to require that an owner or operator
calculate the potential for VOC emissions using generally accepted
methods for estimating emissions based on the maximum average daily
throughput. In this final rule, the EPA is amending the definition of
maximum average daily throughput to specify how to determine throughput
for the calculation of the potential for VOC emissions. Specifically,
this amended definition specifies how storage vessels that commence
construction, reconstruction, or modification after the effective date
of this final rule must determine the throughput to each individual
storage vessel in order to calculate the potential for VOC emissions.
This definition is relevant to the individual storage vessels or
connected storage vessels that do not meet the specified design and
operational criteria defined for controlled tank batteries (i.e., tank
batteries that are allowed to average emissions across the tanks in the
battery).
In summary, this final rule amends the definition of ``maximum
average daily throughput,'' to specify how the potential for VOC
emissions are calculated. Additionally, this final rule allows for a
calculation of the average VOC emissions to determine the applicability
of the storage vessel standards to storage vessels in controlled
batteries where specific design and operational criteria are
incorporated as legally and practicably enforceable requirements into a
permit or other requirement established under Federal, state, local, or
tribal authority. The specific design and operational criteria are as
follows: (1) The storage vessels are manifolded together with piping
such that all vapors are shared
[[Page 57412]]
between the headspace of the storage vessels, (2) the storage vessels
are equipped with a CVS that is designed, operated, and maintained to
route collected vapors back to the process or to a control device, and
(3) collected vapors are routed to a process or a control device that
achieves at least 95.0-percent control of VOC emissions. If the
potential for VOC emissions (or average emissions where applicable) is
greater than or equal to 6 tpy, the storage vessel is a storage vessel
affective facility.
The amendments discussed above, including the definition of
``maximum average daily throughput,'' apply to storage vessels that
commence construction, reconstruction, or modification after the
effective date of this final rule, which is November 16, 2020. Owners
and operators of storage vessels that commenced construction,
reconstruction, or modification after September 18, 2015, and on or
before November 16, 2020 may still have uncertainty regarding whether
they determined their applicability appropriately. If so, these owners
and operators should contact the EPA if they have questions regarding
how they previously determined applicability for these sources.
B. Fugitive Emissions at Well Sites and Compressor Stations
The October 15, 2018, proposal included various proposed amendments
to the fugitive emissions standards. Two major aspects of those
proposed amendments were (1) reduction in the monitoring frequency for
well sites and compressor stations and (2) revisions to the monitoring
plan, recordkeeping, and reporting requirements. This final rule
includes changes from the proposal in both areas. First, the EPA is not
finalizing the proposed annual monitoring frequency at non-low
production well sites. As explained in more detail below, the EPA
concluded that the three areas of uncertainty that were the basis for
proposing amendments to the monitoring frequencies for well sites and
compressor stations did not result in an overestimate of the cost-
effectiveness of the monitoring frequencies in the 2016 NSPS subpart
OOOOa, and semiannual monitoring remains cost effective based on the
revised cost estimates for well sites with total production greater
than 15 boe per day, which are presented in the TSD for this final
rule. Therefore, the final rule retains semiannual monitoring for well
sites with total production greater than 15 boe per day.
Additionally, the EPA is neither finalizing the proposed biennial
monitoring frequency at low production well sites (i.e., well sites
with total production at or below 15 boe per day) nor retaining the
current semiannual monitoring requirement because monitoring is not
cost effective at any frequency for these well sites based on the
revised cost estimates. Instead, the final rule requires that a low
production well site either maintain its total production at or below
15 boe per day or conduct semiannual monitoring. This requirement
applies to well sites that produce at or below 15 boe per day during
the first 30 days of production, as well as those sites that experience
a decline in production where the total production for the well site,
based on a rolling 12-month average, is at or below 15 boe per day, as
demonstrated by the records required in the final rule.
Further, the EPA is finalizing the co-proposed semiannual
monitoring frequency for gathering and boosting compressor stations. As
explained in more detail below in section V.B.4 of the preamble, based
on our comparison of the cost-effectiveness of semiannual and quarterly
monitoring and consideration of other cost-related factors, we are
finalizing semiannual monitoring for gathering and boosting compressor
stations. This final rule does not address fugitive emissions
monitoring for transmission and storage compressor stations because the
Review Rule (published in the Federal Register of Monday, September 14,
2020) revises the source category by removing sources in the
transmission and storage segment from the category. As such, the Review
Rule rescinds the GHG and VOC standards for sources in the transmission
and storage segment. Regardless, the TSD for this final action does
include relevant updates to the model plants for the transmission and
storage compressor stations.
The revised cost estimates for fugitive monitoring of well sites
and gathering and boosting compressor stations rely on updates the EPA
made to the model plants, including updates that address the areas of
uncertainty that we identified in the October 15, 2018, proposal, as
well as the revisions to the monitoring plan, recordkeeping, and
reporting requirements we are making in this final rule, which reduce
administrative burden without compromising our ability to determine
compliance with the standards. This section describes the analyses and
resulting amendments to the fugitive emissions standards in this final
rule.
1. Areas of Uncertainty
In the 2016 NSPS subpart OOOOa, the EPA concluded that a fugitive
emissions monitoring and repair program that includes semiannual OGI
monitoring at well sites and quarterly monitoring at compressor
stations and the repair of any components identified with fugitive
emissions was the BSER for the collection of fugitive emissions
components at well sites and compressor stations.\14\ 81 FR 35826.
While the EPA continued to maintain that OGI is the BSER for reducing
fugitive emissions at well sites and compressor stations in the October
15, 2018, proposal, we proposed less frequent monitoring after
identifying three areas of uncertainty that led to concerns that we
might have overestimated the emission reductions, and, therefore, cost
effectiveness, of the monitoring frequencies specified in the 2016 NSPS
subpart OOOOa. We solicited comments on these three areas of
uncertainty, as well as additional information, so that we could better
assess the emission reductions that occur at different monitoring
frequencies. Additional detailed discussion on the areas of uncertainty
is available in the TSD for this final rule.\15\
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\14\ The rule allows the use of Method 21 as an alternative to
OGI but did not conclude Method 21 was BSER because OGI was found to
be more cost effective. See 81 FR 35856.
\15\ See TSD located at Docket ID No. EPA-HQ-OAR-2017-0483.
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In the October 15, 2018, proposal, regarding the EPA's cost
analysis in the 2016 NSPS subpart OOOOa, we stated that the ``EPA
identified three areas of the analysis that raise concerns regarding
the emissions reductions: (1) The percent emission reduction achieved
by OGI, (2) the occurrence rate of fugitive emissions at different
monitoring frequencies, and (3) the initial percentage of fugitive
emissions components identified with fugitive emissions.'' 83 FR 52063.
Given these areas of concern, we solicited information to further
refine our analysis and reduce or eliminate these uncertainties.
Several commenters provided information that the EPA used to evaluate
each of these areas for this final rule.
Reductions using OGI. In the October 15, 2018, proposal, the EPA
maintained the estimates for emissions reductions achieved when using
OGI at any type of site, which are 30 percent for biennial monitoring,
40 percent for annual monitoring, 60 percent for semiannual monitoring,
and 80 percent for quarterly monitoring. As stated in the proposal, one
stakeholder asserted that annual monitoring was more appropriate for
compressor stations than the required quarterly monitoring. This
stakeholder stated that the estimated control
[[Page 57413]]
efficiency for quarterly monitoring should be 90 percent (instead of 80
percent) and annual monitoring should be 80 percent (instead of 40
percent), based on the stakeholder's interpretation of results from a
study conducted by the Canadian Association of Petroleum Producers
(CAPP).\16\ In response to this information, the EPA reviewed the CAPP
report and was unable to conclude that annual OGI monitoring would
achieve 80-percent emissions reductions, as stated by the
stakeholder.\17\ In its submission of public comments on the proposal,
and in subsequent clarifying discussions, the stakeholder continued to
assert that the EPA had understated the emissions reductions achieved
with annual monitoring.\18\ As discussed in the TSD,\19\ we have
reevaluated the information provided in the CAPP report and are still
unable to conclude that the CAPP report demonstrates that annual OGI
monitoring would achieve 80-percent emissions reductions. In brief, we
concluded that the results of the CAPP report indicate that quarterly
monitoring could achieve 92-percent emission reductions while annual
monitoring could achieve 56-percent emission reductions based on
attributing the recommended frequencies at which the components at
compressor stations should be monitored to the emissions reported for
those component types. However, as stated in our discussion in the TSD,
these emissions reductions may also be due to factors such as improved
emissions factors and not actual emissions reductions resulting from
monitoring and repair.
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\16\ CAPP, ``Update of Fugitive Equipment Leak Emission
Factors,'' prepared for CAPP by Clearstone Engineering, Ltd.,
February 2014.
\17\ See memorandum, ``EPA Analysis of Fugitive Emissions Data
Provided by Interstate Natural Gas Association of America (INGAA),''
located at Docket ID Item No. EPA-HQ-OAR-2017-0483-0060. August 21,
2018.
\18\ See Docket ID Item No. EPA-HQ-OAR-2017-0483-1002 and
Memorandum for the April 30, 2019 Meeting with INGAA, located at
Docket ID No. EPA-HQ-OAR-2017-0483.
\19\ See TSD, section 2.4.1.1 for more details at Docket ID No.
EPA-HQ-OAR-2017-0483.
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Another commenter provided information related to the emissions
reductions achieved when using OGI at the various monitoring
frequencies.\20\ The commenter referenced a study performed by Dr.
Arvind Ravikumar as supporting the EPA's estimates of emissions
reductions for annual and semiannual monitoring using OGI.\21\ This
study utilized the Fugitive Emissions Abatement Simulation Toolkit
(FEAST) model that was developed by Stanford University to simulate
emissions reductions achieved at the various monitoring frequencies.
The study used information from the EPA's model plant analysis for the
2016 NSPS subpart OOOOa, including the site-level baseline emissions.
Emissions reductions were estimated at 32 percent for annual
monitoring, 54 percent for semiannual monitoring, and 70 percent for
quarterly monitoring, which the EPA considers to be comparable to the
EPA's estimated reduction efficiencies for OGI at these monitoring
frequencies.
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\20\ See Docket ID Item No. EPA-HQ-OAR-2017-0483-2041.
\21\ See Appendix D to Docket ID Item No. EPA-HQ-OAR-2017-0483-
2041.
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Finally, the EPA updated its analysis of emissions reductions using
Method 21 for comparison to the estimated reductions using OGI. As
previously stated in the proposal TSD,\22\ data from the Synthetic
Organic Chemicals Manufacturing Industry (SOCMI) in the 1995 Equipment
Leak Protocol Document (1995 Protocol) was used to estimate the Method
21 effectiveness at the various monitoring frequencies. In the proposal
TSD, we stated, ``it is not possible to correlate OGI detection
capabilities with a Method 21 instrument reading, provided in ppm.
However, based on the EPA's current understanding of OGI technology and
the types of hydrocarbons found at oil and natural gas well sites and
compressor stations, the emission reductions from an OGI monitoring and
repair program likely correlate to a Method 21 monitoring and repair
program with a fugitive emissions definition somewhere between 2,000 to
10,000 ppm.'' \23\ We received comments asserting that the EPA
inappropriately used Method 21 effectiveness estimates based on SOCMI
to justify the emissions reductions for OGI. In response to these
comments, the EPA updated the Method 21 effectiveness estimates using
information for the oil and gas industry, as described in the TSD for
this final rule.\24\ The revised analysis estimates emissions
reductions when using Method 21 to be 40 percent for annual monitoring,
54 percent for semiannual monitoring, and 67 percent for quarterly
monitoring, when using the average reductions achieved at leak
definitions of 500 ppm and 10,000 ppm. While not a direct comparison,
the EPA estimates emission reductions using OGI would likely be higher
because OGI will detect large emissions, such as emissions from thief
hatches on controlled storage vessels, that Method 21 would otherwise
not detect.
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\22\ See Docket ID Item No. EPA-HQ-OAR-2017-0483-0040.
\23\ See Docket ID Item No. EPA-HQ-OAR-2017-0483-0040, at page
25.
\24\ See TSD at Docket ID No. EPA-HQ-OAR-2017-0483.
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In conclusion, the EPA performed detailed analyses of the CAPP
studies, the FEAST model results, and the updated Method 21 estimates
to determine whether changes to the estimated effectiveness of OGI
monitoring is appropriate. Based on these analyses, we conclude that
the estimated effectiveness percentages of OGI monitoring at the
various frequencies are appropriate and do not need adjustment.
Leak occurrence rates. The second uncertainty identified in the
October 15, 2018, proposal relates to the occurrence rate of fugitive
emissions, or the percentage of components identified with fugitive
emissions during each survey. In the proposal, the EPA stated,
``because the model plants assume that the percentage of components
found with fugitive emissions is the same regardless of the monitoring
frequency, we acknowledge that we may have overestimated the total
number of fugitive emissions components identified during each of the
more frequent monitoring cycles.'' 83 FR 52064. There are numerous ways
the number of leaking components could impact the cost effectiveness of
monitoring, including (1) the amount of baseline emissions, (2) the
potential emission reductions, and (3) the number of repairs required.
In the 2016 analysis, the EPA assumed that each monitoring survey
at a well site would identify four components with fugitive emissions.
That is, when a site is monitored annually, we estimated four total
components leaking for that year, but if that same site were monitored
semiannually, we estimated eight total components leaking for that
year. However, we have found that a constant leak occurrence rate is
not reflected in our analysis of Method 21 monitoring, the information
provided through comments on the proposal, or a review of the annual
compliance reports submitted to the EPA for the NSPS subpart OOOOa.
Rather, the information demonstrates that occurrence rates differ based
on monitoring frequency. For example, the information we reviewed in
the annual compliance reports for well site fugitive emissions
components demonstrated that, on average, three components were
identified as leaking where only one survey had taken place in a 12-
month period, and two components were identified as leaking, per
survey, where more than one survey had occurred in
[[Page 57414]]
a 12-month period.\25\ These values are similar to those provided by
two commenters that provided detailed information on the number of
components identified with fugitive emissions at different monitoring
frequencies.\26\ Therefore, we updated the well site model plant
analysis to include an average of three components per annual survey
and two components per semiannual survey (for a total of four repairs
annually).\27\
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\25\ See TSD located at Docket ID No. EPA-HQ-OAR-2017-0483.
\26\ See Docket ID Item Nos. EPA-HQ-OAR-2017-0483-0801 and EPA-
HQ-OAR-2017-0483-2041.
\27\ The 2016 model plant analysis included an evaluation of
quarterly monitoring for well sites. Because semiannual monitoring
is required, it was not possible to determine the quarterly
occurrence rate for well sites using this information. See TSD for
additional analysis.
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In the 2016 analysis, the EPA assigned each type of compressor
station (i.e., gathering and boosting, transmission, and storage) a
specific leak occurrence rate. While annual compliance reports were
submitted for compressor stations complying with NSPS subpart OOOOa, it
was not possible to determine which stations were which type. However,
for gathering and boosting compressor stations, detailed information
was provided by GPA Midstream.\28\ While the number of reported leaks
varied widely in the dataset, the EPA's analysis of the data
demonstrated that, on average, 11 components were identified as leaking
during a 12-month period, with monitoring frequencies ranging from
monthly to annually.\29\ Therefore, we assumed that a total of 11
components, on average, would be identified as leaking over the course
of a full year's worth of monitoring, regardless of monitoring
frequency. That is, we assumed that if monitoring occurs semiannually,
on average, 11 components will be leaking over the course of the two
surveys in that year. This estimate takes into account the reported
variation in the number of components identified as leaking during each
survey. For example, a gathering and boosting compressor station that
is monitoring quarterly may identify the following number of components
as leaking: Three components in Quarter 1; two components in Quarter 2;
four components in Quarter 3; and two components in Quarter 4. If that
same gathering and boosting compressor station were monitored annually,
then all 11 components would be identified during the one annual
survey. This is different than the assumption used in the 2016 NSPS
subpart OOOOa. Utilizing the estimate of 11 components identified as
leaking over the course of 1 year provides an annual estimate of the
repair costs for gathering and boosting compressor stations which is
independent of the monitoring survey costs. That is, on average, the
same number of repairs are made in a single year, regardless of the
frequency of surveys, which helps account for the variability presented
in the dataset.
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\28\ See Docket ID Item No. EPA-HQ-OAR-2017-0483-1261.
\29\ See TSD located at Docket ID No. EPA-HQ-OAR-2017-0483.
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In summary, the EPA is no longer using a linear function for
occurrence rates as we did in the proposal or the 2016 NSPS subpart
OOOOa. Instead, we have based occurrence rates on available information
that is specific to fugitive emissions monitoring frequencies for each
type of facility. Specifically, we estimate a total of two repairs
(leaking components) at the annual monitoring frequency and three
repairs at the semiannual monitoring frequency for well sites. For
gathering and boosting compressor stations we estimate that, on
average, 11 repairs are necessary over the course of a year. This
updated analysis more directly reflects the reality that leak
occurrence rates are not linear between frequencies and more
appropriately estimates the number of repairs (and, thus, emission
reductions and costs) at more frequent monitoring. Thus, the EPA no
longer considers leak occurrence rates to raise uncertainties with the
analysis or to overestimate emissions.
Initial leak rate. The final uncertainty raised in the October 15,
2018, proposal was the initial percentage of components identified with
fugitive emissions (``initial leak rate''). While the EPA did not use
an initial leak rate in our estimate of the baseline emissions, one
commenter noted that initial leak rate should be considered a key
element for understanding potential baseline emissions. The commenter
stated its belief that the emissions factor the EPA used to estimate
baseline emissions was calculated using an initial leak rate that was
too high, thus, biasing the baseline emissions (and the resulting
emission reductions) high.\30\
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\30\ See Docket ID Item No. EPA-HQ-OAR-2017-0483-0801.
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In the 2016 NSPS subpart OOOOa TSD, the EPA stated incorrectly that
the model plant analysis assumed an initial leak rate of 1.18
percent.\31\ One commenter pointed out that this initial leak rate,
which was also cited in the October 15, 2018, proposal, was not the
actual estimate used for the model plant analysis. The commenter is
correct on this point. The uncontrolled emissions factors for non-thief
hatch fugitive emission components the EPA used to estimate model plant
emissions are based on Table 2-4 of the Protocol for Equipment Leak
Emission Estimates (``Protocol Document'').\32\ While the initial leak
rates that are inherent in these emissions factors are not specifically
stated in the Protocol Document, the commenter performed a back-
calculation of the fraction of leaking components using Table 5-7 of
the Protocol Document and the weighted leak fraction for all components
using the number of each component per model plant. That result, with
which the EPA agrees, shows that when using Method 21 and a leak
definition of 500 ppm, the estimated initial leak rate is 2.5%, and
when using Method 21 and a leak definition of 10,000 ppm, the estimated
initial leak rate is 1.65 percent.\33\ However, the initial leak rate
is only one contributing factor to baseline emissions. Another
contributing factor is the magnitude of emissions.
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\31\ See Docket ID Item No. EPA-HQ-OAR-2010-0505-7631.
\32\ See U.S. EPA, ``1995 Protocol for Equipment Leak Emission
Estimates Emission Standards'' located at Docket ID Item No. EPA-HQ-
OAR-2017-0483-0002.
\33\ See memorandum, ``Summary of Data Received on the October
15, 2018 Proposed Amendments to 40 CFR part 60, subpart OOOOa
Related to Model Plant Fugitive Emissions.'' February 10, 2020.
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While several commenters \34\ provided information on the number or
percentage of components identified with fugitive emissions, no
commenters provided component-level information on the magnitude of
those emissions.\35\ In June 2019, a study was published in Elementa
that examined fugitive emissions from 67 oil and natural gas well sites
and gathering and boosting compressor stations in the Western U.S.\36\
As discussed in the TSD, the study included quantification of fugitive
emissions from components located at well sites and gathering and
boosting compressor stations. The EPA evaluated the measured fugitive
emissions from that study for central production, well production, and
well site facilities, as defined by the study. We then evaluated the
average emissions across those three site types to compare those
emissions to
[[Page 57415]]
the estimated emissions using the average emissions factors from the
EPA Protocol Document. The average well site emissions measured in the
study were comparable to the model plant well site emissions.
Therefore, the EPA determined that the use of the emissions factors
from the 1995 Protocol Document was still appropriate and has
maintained use of these average emissions factors in the model plant
analyses supporting this final rule.
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\34\ See, for example, Docket ID Item Nos. EPA-HQ-OAR-2017-0483-
0801, EPA-HQ-OAR-2017-0483-1261, and EPA-HQ-OAR-2017-0483-2041.
\35\ See memorandum, ``Summary of Data Received on the October
15, 2018 Proposed Amendments to 40 CFR part 60, subpart OOOOa
Related to Model Plant Fugitive Emissions.'' February 10, 2020.
\36\ See Pasci, A.P., Ferrara, T., Schwan, K., Tupper, P., Lev-
On, M., Smith, R., and Ritter, K., 2019. ``Equipment Leak Detection
and Quantification at 67 Oil and Gas Sites in the Western United
States.'' Elem Sci Anth, 7(1), p.29 located at https://doi.org/10.1525/elementa.368.
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In conclusion, we identified three areas of potential uncertainty
in the October 15, 2018, proposal: (1) The effectiveness of OGI at the
various frequencies, (2) the leak occurrence rate for each survey, and
(3) the initial leak rate. The EPA was concerned that we might have
overestimated the emission reductions from the monitoring frequencies
in the 2016 NSPS subpart OOOOa due to these three areas of
uncertainties. However, after evaluating the data provided by
commenters and making the appropriate revisions to our model plant
analysis, the EPA no longer believes that these three areas create
uncertainty or resulted in an overestimation of emissions reductions.
2. Recordkeeping, Reporting, and Other Administrative Burden Associated
With the Fugitive Emissions Program
In addition to proposing reduced monitoring frequencies, the EPA
proposed amending the monitoring plan requirements in the 2016 NSPS
subpart OOOOa. Specifically, we proposed these amendments to address
concerns that the requirements, such as the site map and observation
path, resulted in significant costs that increase over time due to the
increase in the number of facilities subject to the requirements each
year. The EPA proposed allowing alternatives to the site map and
observation path that would also ensure that all fugitive components at
a site are monitored. 83 FR 52078 and 9. The EPA received comments
expressing concern that, in addition to the costs associated with the
development and necessary updates of the monitoring plan, the EPA had
underestimated the administrative burden associated with the extensive
recordkeeping and reporting requirements of the fugitive emissions
standards in the 2016 NSPS subpart OOOOa. These commenters stated that
this burden represents the largest cost of the fugitive emissions
program in the 2016 NSPS subpart OOOOa.\37\ In the October 15, 2018,
proposed rulemaking, the EPA proposed to streamline certain
recordkeeping and reporting requirements in the 2016 NSPS subpart OOOOa
to reduce burden on the industry, including the fugitive emissions
recordkeeping and reporting. 83 FR 52059. In response to these
comments, the EPA re-evaluated the fugitive emissions program, with a
focus on identifying areas to reduce unnecessary administrative burden
and provide flexibility for future innovation, while retaining
sufficient recordkeeping and reporting requirements to assure that
affected facilities are complying with the standards. After concluding
this re-evaluation, we found that certain requirements were unnecessary
and burdensome.
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\37\ See Docket ID Item No. EPA-HQ-OAR-2017-0483-0016.
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First, we examined the commenters' assertion and supporting
information that the EPA underestimated the recordkeeping and reporting
costs in both the 2016 NSPS subpart OOOOa and the October 15, 2018,
proposal. To better understand the commenters' statements regarding the
recordkeeping and reporting costs associated with the 2016 NSPS subpart
OOOOa, we reviewed the specific recordkeeping and reporting
requirements for the fugitive emissions program, including the
monitoring plan. Based on this review, we agree with the commenters
that the recordkeeping and reporting burden was underestimated in both
the 2016 NSPS subpart OOOOa and the October 15, 2018, proposal, as
described below.
In the October 15, 2018, proposal, we had proposed reducing certain
monitoring frequencies. While we updated portions of the model plant
analysis for fugitive emissions to reflect these proposed changes, we
did not make specific changes related to recordkeeping and reporting
costs. As shown in the proposal TSD,\38\ we estimated that the
development of a monitoring plan was a one-time cost of $3,672 per
company-defined area, which is estimated as consisting of 22 well sites
or seven gathering and boosting compressor stations. We estimated
reporting costs to be at $245 per site per year.
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\38\ See TSD at Docket ID Item No. EPA-HQ-OAR-2017-0483-0040.
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Second, we reevaluated the cost burden of the recordkeeping and
reporting requirements associated with the fugitive emissions standards
in the 2016 NSPS subpart OOOOa prior to considering any additional
changes to those standards that might further reduce the cost burden.
This step was necessary to provide a correct baseline for comparison
when evaluating the burden reductions associated with potential changes
to the standards.
Before considering the information provided in the comments, we
removed certain line items from the previous analysis as described. We
removed the initial and subsequent planning activities because these
items were not clearly representative of actual recordkeeping
activities that are associated with the fugitive emissions requirements
of the rule (e.g., records management systems, tracking components,
data review, etc.). We also removed the cost associated with
notification of initial compliance status because such notification is
not required under the 2016 NSPS subpart OOOOa. Next, we considered the
comments and information received on our estimate of the cost to
develop a monitoring plan under the 2016 NSPS subpart OOOOa. One
commenter provided information on the range of costs that have been
incurred by owners and operators to develop a monitoring plan since the
rule has been in place.\39\ These estimated costs range from $5,600 to
$8,800, which is more than our estimate of $3,672. In examining the
information provided by the commenter in further detail, we note that
hourly rates are higher than the standard labor rate used in EPA's
calculations, which would attribute to the difference in costs. Next,
commenters dispute our assumption that the monitoring plan is a one-
time cost for the company. Several commenters stated while most of the
monitoring plan is associated with a one-time cost, the required site
map and observation path require frequent updates as the equipment at
the site changes. One of these commenters provided an estimate of the
cost to develop the initial site map and observation path for an
individual site, and the cost of updating these items for each
monitoring survey.\40\ This information provided estimates that
companies have already spent approximately $650 developing the
individual site map and observation path for each site and an
additional $150 updating these items for each monitoring survey. Based
on this information, we agree it is appropriate to account for the
necessary updates for
[[Page 57416]]
the site map and observation path when estimating the cost burden of
the rule. Therefore, we split the monitoring plan costs into three
items in our model plant analysis: (1) Develop company-wide fugitive
emissions monitoring plan, (2) develop site-specific fugitive
monitoring plan (i.e., site map and observation path), and (3)
management of change (site map and observation path). Additionally, we
applied hourly rates, based on information provided by the commenter,
to estimate costs instead of using the flat cost values provided. The
updated estimates associated with developing a monitoring plan for well
sites under the existing standards are $2,448 to develop the general
company-wide monitoring plan (assumes 22 well sites), $400 to develop
the site map and observation path for each site, and $184 to update the
individual site map and observation path annually (based on semiannual
monitoring). This would result in a total cost for development of the
monitoring plan for the 22 well site company-defined area of $15,296,
including updates to the site map and observation path at the
semiannual surveys conducted that first year. For gathering and
boosting compressor stations, we estimate it costs $1,530 to develop a
company-wide monitoring plan (assumes seven stations per plan), $400 to
develop the site map and observation path for each site, and $367 to
update the individual site map and observation path annually (based on
quarterly monitoring). This would result in a total cost of $6,899 for
development of the monitoring plan for the seven gathering and boosting
compressor station company-defined area, including updates to the site
map and observation path at the quarterly surveys conducted that first
year. Based on available information, we believe these costs are
representative of the costs to develop and maintain the monitoring plan
as required in the 2016 NSPS subpart OOOOa.
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\39\ See Docket ID No. EPA-HQ-OAR-2017-0483; EPA's ``Oil and
Natural Gas Sector: Emission Standards for New, Reconstructed, and
Modified Sources Reconsideration; Proposed Rule''; 83 FR 52056
(October 15, 2018). Dated May 22, 2019, located at Docket ID No.
EPA-HQ-OAR-2017-0483.
\40\ See Docket ID No. EPA-HQ-OAR-2017-0483; EPA's ``Oil and
Natural Gas Sector: Emission Standards for New, Reconstructed, and
Modified Sources Reconsideration; Proposed Rule''; 83 FR 52056
(October 15, 2018). Dated May 22, 2019, located at Docket ID No.
EPA-HQ-OAR-2017-0483.
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We then examined the recordkeeping costs associated with the
fugitive emissions requirements. As stated above, we were unable to
locate clearly defined estimates for recordkeeping costs for the 2016
NSPS subpart OOOOa, therefore, all costs are new in our baseline
estimate of the actual cost of the existing standards and are based on
information received from commenters and previous information collected
by the Agency for similar programs. There are extensive records
required for each survey that is performed, regardless of the
frequency; therefore, we recognize that appropriate data management is
critical to ensuring compliance with the standards. As explained in the
TSD for this final rule,\41\ we evaluated costs for the set-up for a
database system, which ranged from commercially available options to
customized systems. Because there are commercial systems currently
available that allow owners and operators to maintain records in
compliance with the standards, we did not find it appropriate to apply
customized system costs to determine an average or range of costs.
Therefore, our initial database set-up fee is estimated as $18,607 for
22 well sites and seven gathering and boosting compressor stations. In
addition to this initial set-up fee, we recognize that there are annual
licensing fees that include technical support and updates to software.
Therefore, we have incorporated an ongoing annual fee of approximately
$470. Finally, there is recordkeeping associated with tracking observed
fugitive emissions and repairs, such as scheduling repairs and quality
control of the data. Based on information provided by commenters,\42\
we estimate additional recordkeeping costs at $430 for well sites and
$860 for gathering and boosting compressor stations.
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\41\ See TSD at Docket ID No. EPA-HQ-OAR-2017-0483.
\42\ See Re: Docket ID No. EPA-HQ-OAR-2017-0483; EPA's ``Oil and
Natural Gas Sector: Emission Standards for New, Reconstructed, and
Modified Sources Reconsideration; Proposed Rule''; 83 FR 52056
(October 15, 2018). Dated May 22, 2019, located at Docket ID No.
EPA-HQ-OAR-2017-0483. See memorandum for May 1, 2019 meeting with
GPA Midstream located at Docket ID No. EPA-HQ-OAR-2017-0483.
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Finally, we evaluated the current estimate for reporting costs
associated with the 2016 NSPS subpart OOOOa. One commenter asserted
they spent over 500 hours reporting information through the Compliance
and Emissions Data Reporting Interface (CEDRI) for their sources.\43\
We examined the information reported to CEDRI for this commenter and
concluded they have reported information for approximately 100 well
sites, which would equate to 5 hours per site. This is comparable to
our estimate of 4 hours per well site; therefore, we did not update the
cost estimate for reporting associated with the 2016 NSPS subpart
OOOOa.
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\43\ See Docket ID Item No. EPA-HQ-OAR-2017-0483-0757.
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In summary, we updated the cost burden estimates for recordkeeping
based on the 2016 NSPS subpart OOOOa. As updated, the annualized
recordkeeping and reporting costs for the existing rule, on a per site
basis, are approximately $1,500 per well site and $2,500 per gathering
and boosting compressor station. These costs represent the baseline
from which any changes to the cost burden for reporting and
recordkeeping requirements in this final rule are compared. It is
important to note that while these costs represent the costs for each
individual site, the EPA estimates that currently there are over 40,000
well sites and 1,250 compressor stations currently subject to the
fugitive emissions requirements in the 2016 NSPS subpart OOOOa. When
multiplied, the total annualized costs to the industry is estimated to
exceed $60 million per year.
After updating the recordkeeping and reporting costs for the
existing requirements, we evaluated requests by commenters recommending
specific changes to those requirements. Several commenters requested
removal of or amendments to specific line items. These included items
such as the site map and observation path requirement in the monitoring
plan, records related to the date and repair method for each repair
attempt, and name of the operator performing the survey. After further
review of the specific requirements, for the reasons explained below,
we agree with the commenters that some of the items are not critical or
are redundant for demonstrating compliance and, therefore, are an
unnecessary burden.
We are amending the monitoring plan by removing the requirement for
a site map and observation path when OGI is used to perform fugitive
emissions surveys. This requirement was in place to ensure that all
fugitive emissions components could and would be imaged during each
survey. As explained in the TSD,\44\ we agree with the commenters that
a site map and observation path are only one way to ensure all
components are imaged. We are replacing the specified site map and
observation path with a requirement to include procedures to ensure
that all fugitive emissions components are monitored during each survey
in the monitoring plan. These procedures may include a site map and
observation path, an inventory, or narrative of the location of each
fugitive emissions component, but may also include other procedures not
listed here. These company-defined procedures are consistent with other
requirements for procedures in the monitoring plan, such as the
requirement for procedures for determining the maximum viewing distance
and maintaining this viewing distance during a survey. As previously
stated, we had not accurately accounted for the ongoing cost of
updating the site map and observation path as changes
[[Page 57417]]
occur at the site. Based on information provided by one commenter, we
estimate this amendment will save each site $580 with the semiannual
monitoring frequency. These cost reductions are based on an initial
cost of $400 to develop the site map and observation path, plus $180 to
update the site map or observation path each year, based on a
semiannual monitoring frequency.
---------------------------------------------------------------------------
\44\ See TSD at Docket ID No. EPA-HQ-OAR-2017-0483.
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We are not finalizing the proposed recordkeeping requirement to
keep records of each repair attempt. Instead, the final rule requires
maintaining a record only for the first attempt at repair and the
completion of repair. Other interim repair attempts are not necessary
for demonstrating compliance with the repair requirements.
Additionally, we are removing the requirement to maintain records of
the number and type of components not repaired during the monitoring
survey. The 2016 NSPS subpart OOOOa required maintaining a record of
the number and type of components found with fugitive emissions that
were not repaired during the monitoring survey. After further review,
this information can be derived from, and is, therefore, redundant to,
other records of the survey date and repair dates required for all
fugitive emissions components. While it is difficult to quantify the
reduction in cost burden of the removal of these records, we have
estimated a reduction in cost of 25 percent, or $107 per site per year
as discussed in the TSD.
We are also amending the reporting requirements to streamline
reporting based on comments received and further reconsideration of
what information is essential to demonstrate compliance with the
standards. First, as we are finalizing the electronic reporting form
for the annual report required by 40 CFR 60.5420a(b) concurrently with
this action, we are updating the CEDRI reporting template to reflect
the streamlined reporting requirements in this final action and ease
review of the information contained within the form. Specifically, for
reporting compliance with the fugitive emissions requirements, we have
created dropdown menus for the operator to select the type of site for
which they are reporting (i.e., well site or compressor station), to
indicate whether the well site changed status to a wellhead-only well
site during the reporting period, and identify any approved alternative
fugitive emissions standard that was used during the reporting period
for the site. Second, we are removing specific items from the annual
report as listed in section IV.I.3 of this preamble. We are removing
the requirement to report the name or unique ID of the operator
performing the survey; however, this information must be maintained in
the record, similar to the LDAR requirements for onshore natural gas
processing plants. We are removing the requirement to report the number
and type of difficult-to-monitor and unsafe-to-monitor components that
were monitored during the specified survey. This information is
required to be kept in the record, and the type and number of these
components would already be included in the reported number and type of
components found with fugitive emissions during the survey. The date of
successful repair is being removed from the report because we already
require owners and operators to report the number and type of fugitive
emissions not repaired on time. The date of successful repair will be
maintained in the record. Finally, the type of instrument used for the
resurvey is being removed from the report because the rule allows
either OGI or Method 21 (analyzer or a soap bubbles test). The
information is required to be kept in the record. Similar to the
recordkeeping changes identified in the previous paragraph, it is
difficult to estimate the reduced cost burden of each of these
individual items. That said, as shown in the TSD, we have estimated a
burden reduction of 25 percent, or $61 per site per annual report.
In summary, the amendments to the recordkeeping and reporting
requirements in this final rule will reduce the recordkeeping and
reporting burden for NSPS subpart OOOOa. The estimated annualized
recordkeeping and reporting costs for this final rule, on a per site
basis, are approximately $1,100 per well site and $1,750 per gathering
and boosting compressor station. This results in an annualized burden
reduction of approximately 27 percent for well sites and 30 percent for
gathering and boosting compressor stations.\45\
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\45\ See TSD for additional information on the estimated cost
burden at the individual site level at Docket ID No. EPA-HQ-OAR-
2017-0483.
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3. Additional Updates to the Model Plants
We also received information from commenters that suggested
additional updates beyond those already discussed above. These included
the major equipment counts and survey costs. A detailed discussion of
these updates, which we agree are necessary, is provided in the
TSD.\46\ A summary of these updates is provided below.
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\46\ See TSD at Docket ID No. EPA-HQ-OAR-2017-0483.
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Well sites. In the October 15, 2018, proposal, we maintained the
assumed flat contractor fee of $600 per survey. However, information
from commenters suggested this may be an overestimate of survey costs
if an hourly rate were used. To examine this comment, we analyzed the
CEDRI reports, and evaluated the survey times that were reported. Based
on this information, we estimated it takes operators 3.4 hours to
complete a survey at a well site, including the travel time to and from
the well site. This is based on an average survey time of approximately
1.4 hours. The travel time considers travel between sites and the
shared travel of mobilizing a monitoring operator. We applied an hourly
rate of $134 based on the Regulatory Analysis performed by the Colorado
Department of Public Health and Environment in support of Colorado's
Regulation 7.\47\ We believe this more accurately reflects the costs of
performing the survey than the previously assumed flat rate of $600.
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\47\ Colorado Department of Public Health and Environment,
``Regulatory Analysis for Proposed Revisions to Colorado Air Quality
Control Commission Regulation Numbers 3, 6, and 7'' (5 CCR 1001-5, 5
CCR 1001-8, and CCR 1001-9), February 2014.
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Low production well sites. The low production well site model
plants (i.e., well sites with total production at or below 15 boe per
day) were updated after further review of the Fort Worth Study, updates
to the Greenhouse Gas Inventory (GHGI), and based on comments received.
First, the counts of wellheads, separators, meters/piping, and
dehydrators were recalculated after removing well sites that listed no
production on the day prior to emissions measurements during the Fort
Worth Study. This resulted in a decrease in the number of separators
and meters/piping for the low production gas well pad. The scaling
factors were also updated based on these revisions and applied to low
production oil well pads and low production associated gas well pads.
Further discussion on these changes are in the TSD. Like the well sites
discussed above, we maintained the estimate of one controlled storage
vessel per low production well site. One commenter provided some
preliminary information regarding component counts, specific to valves
and storage vessels, but also stated in their comments that the
information was not representative.\48\ Therefore, as discussed in the
TSD, it was not appropriate to revise the model plants using
information this commenter provided. We also
[[Page 57418]]
performed an analysis of the survey time and found that on average, the
surveys for low production well sites were approximately 30 minutes.
After accounting for travel time, we estimate that each survey of a low
production well site takes 2.4 hours. We applied the same hourly rate
of $134 to estimate the total cost of each survey.
---------------------------------------------------------------------------
\48\ See Docket ID Item No. EPA-HQ-OAR-2017-0483-1006.
---------------------------------------------------------------------------
Gathering and boosting compressor stations. Information of average
equipment counts were provided by GPA Midstream for gathering and
boosting compressor stations.\49\ We updated the model plant estimate
to use this information. Specifically, we revised the estimated number
of separators from 11 to five, meter/piping from seven to six,
gathering compressors from five to three, in-line heaters from seven to
one, and dehydrators from five to one, which reduces the baseline
emissions estimated for the compressor station. We maintained the cost
for the survey of $2,300 because the commenter indicated this was
appropriate based on implementation of the rule.
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\49\ See Docket Item ID No. EPA-HQ-OAR-2017-0483-1261.
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4. Cost Effectiveness of Fugitive Emissions Requirements
With the revisions discussed in sections V.B.1 through 3 of this
preamble incorporated in the model plants, we reexamined the costs and
emission reductions for various monitoring frequencies to determine the
updated costs of control. In evaluating the costs for this final rule,
we also reexamined the decisions made in the 2016 NSPS subpart OOOOa
for comparison. In the 2016 NSPS subpart OOOOa, we evaluated the
controls under different approaches, namely a single pollutant approach
and multipollutant approach.\50\ Further, we stated that a frequency is
considered cost effective if the cost of control for any one scenario
of methane (without consideration of VOC), VOC (without consideration
of methane), or the combination of both pollutants is cost
effective.\51\ That is, if the cost of control for reducing VOC, where
all costs are attributed to VOC control and zero to methane control, is
cost effective, then that frequency is cost effective regardless of the
methane-only or multipollutant costs.
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\50\ See 80 FR 56616. Under the single pollutant approach, we
assign all costs to the reduction of one pollutant and zero costs
for all other pollutants simultaneously reduced. Under the
multipollutant approach, we allocate the annualized costs across the
pollutant reductions addressed by the control option in proportion
to the relative percentage reduction of each pollutant controlled.
For purposes of the multipollutant approach, we assume that
emissions of methane and VOC are controlled at the same time,
therefore, half of the cost is apportioned to the methane emission
reductions and half of the cost is apportioned to VOC emission
reductions. In this evaluation, we examined both approaches across
the range of identified monitoring frequencies, annual, semiannual,
and quarterly.
\51\ See 80 FR 56617.
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In the Review Rule, finalized in the Federal Register of Monday,
September 14, 2020, we are rescinding the methane standards for NSPS
subpart OOOOa. Therefore, in this final rule, we examined the cost
effectiveness for the control of VOC emissions only. For each frequency
evaluated in this final rule, we examined the total cost effectiveness
of each monitoring frequency (i.e., the cost of control for each
frequency from a baseline of no monitoring). This is consistent with
how costs were examined in the 2016 NSPS subpart OOOOa. For the reason
explained in the preamble to the October 15, 2018, proposal, in
addition to evaluating the total cost effectiveness of the different
monitoring frequencies, this final rule also considers incremental cost
(i.e., the additional cost to achieve the next increment of emission
reduction) to be an appropriate tool for assessing the effects of
different stringency levels of control costs.\52\ 83 FR 52070. It is
important to note that the 2016 NSPS subpart OOOOa analysis did not
present the incremental costs between each of the monitoring
frequencies evaluated. The TSD supporting this final rule presents the
cost of control for annual, semiannual, and quarterly monitoring
frequencies for well sites producing greater than 15 boe per day and
compressor stations, and biennial, annual, and semiannual monitoring
frequencies for low production well sites.
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\52\ See also, ``Standards of Performance for Equipment Leaks of
VOC in the Synthetic Organic Chemical Manufacturing Industry
(SOCMI); Standards of Performance for Equipment Leaks of VOC in
Petroleum Refineries``; 72 FR 64860, 64864 (``2007 NSPS subparts VV
and VVa'') (in its BSER analysis, the EPA evaluated the additional
cost and emission reduction from lowering the leak definition for
valves and determined that the additional emission reduction for
SOCMI, at $5,700/ton of VOC, is not cost effective.)
---------------------------------------------------------------------------
When examining the costs of each monitoring frequency, we
recognized that a significant percentage of the costs are independent
of the monitoring frequency. That is, when annualized, the
recordkeeping and reporting costs remain unchanged as monitoring
frequencies increase. For example, the annualized cost of semiannual
monitoring is approximately 20 percent higher than the annualized cost
of annual monitoring at well sites. However, the cost effectiveness of
the annual monitoring is a higher $/ton reduced because semiannual
monitoring results in approximately 50 percent more emissions
reductions than annual monitoring. Therefore, while more frequent
monitoring does increase the costs of surveys for the year, the bulk of
the costs are realized regardless of monitoring frequency. In other
words, whereas we assumed during the proposal that reduced monitoring
frequencies would lead to large cost savings, the analyses we performed
for this final rule demonstrate that monitoring frequency is not the
most significant factor in the overall cost of the fugitive emissions
requirements. Below we present the costs of control for the monitoring
frequencies at the model plants for well sites, low production well
sites, and compressor stations.
Table 3 presents the costs of control for VOC emissions at the
monitoring frequencies evaluated in this final rule and compares those
costs to the costs presented for the 2016 NSPS subpart OOOOa. With the
updates to the model plants discussed in section V.B.1 through 3 of
this preamble, the EPA estimates that the semiannual monitoring
currently required by the 2016 NSPS subpart OOOOa for well sites has a
cost-effectiveness value of $4,324/ton of VOC emissions reduced. This
value is $1,135/ton less than was estimated for semiannual monitoring
in 2016, after adjusting for inflation. Therefore, we have determined
that semiannual monitoring remains cost effective for well sites
producing greater than 15 boe per day. We also considered the
incremental cost effectiveness of semiannual monitoring compared to
annual monitoring. This analysis showed that it cost $2,666/ton of
additional VOC emissions reduced between the annual and semiannual
monitoring frequencies. This cost is very reasonable and, therefore,
further supports retaining semiannual monitoring. Finally, the EPA
notes that, while we did not propose or take comment on quarterly
monitoring for well sites, this monitoring frequency results in a total
cost of control of $4,725/ton of VOC emissions reduced, which is also
less than the inflation-adjusted cost-effectiveness value for quarterly
monitoring that was calculated in 2016. However, the incremental cost
to reduce additional emissions by going from semiannual monitoring to
quarterly monitoring is $5,927/ton, which is a value that is higher
than the EPA has previously found to be cost effective in the past.\53\
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\53\ See 2007 NSPS subparts VV and VVa, 72 FR 64864, cited in
the 2016 NSPS subpart OOOOa final rule, 80 FR 56636. See TSD for
additional analysis and cost information, located at Docket ID No.
EPA-HQ-OAR-2017-0483.
[[Page 57419]]
Table 3--Cost-Effectiveness of Control for Well Sites Subject to Fugitive Emissions Standards Under Subpart
OOOOA of 40 CFR Part 60
----------------------------------------------------------------------------------------------------------------
Cost effectiveness ($/ton VOC)
-----------------------------------------------------------
Monitoring frequency 2016 TSD total 2020 TSD total 2020 TSD
cost effectiveness cost effectiveness incremental cost
\1\ \2\ effectiveness
----------------------------------------------------------------------------------------------------------------
Annual.............................................. $4,723 $5,153
Semiannual.......................................... 5,459 4,324 2,666
Quarterly........................................... 7,559 4,725 5,927
----------------------------------------------------------------------------------------------------------------
\1\ Values from the 2016 TSD have been adjusted for inflation for comparison purposes.
\2\ As discussed in section V.B of this preamble, the EPA received comments that our original 2016 estimates
were low, especially for recordkeeping and reporting burden. The 2020 estimates include adjustments to the
2016 estimates based on this information (which is higher than the 2016 TSD) plus include streamlined
recordkeeping and reporting as well as other updates. In addition, the revised analysis found that the
majority of the costs of the fugitive requirements are annual costs and do not vary with the monitoring
frequency. That is, the recordkeeping and reporting burden remain consistent regardless of the monitoring
frequency and the cost of each survey is not directly proportional to the incremental emissions reductions
achieved at more frequent surveys. This is further explained in section V.B.2 of this preamble. Hence, Table 3
shows an increase in cost effectiveness for the annual monitoring frequency, but a decrease in the cost
effectiveness for the semiannual and quarterly cost effectiveness from the 2020 TSD. In contrast, the 2016
values presented here are directly from the 2016 TSD and have not been adjusted based on our new analysis of
what the 2016 rule cost.
As shown in the EPA's revised model plant analysis in the TSD for
this final rule, and consistent with the October 15, 2018, proposal,
there is sufficient evidence that low production well sites are
different than well sites with higher production and, therefore,
warrant a separate evaluation of the cost of control. The EPA did not
include a separate analysis of low production well sites in the 2016
NSPS subpart OOOOa. Therefore, all costs presented above for well sites
from the 2016 analysis also would apply to low production well sites.
The EPA proposed biennial monitoring of low production well sites
(i.e., well sites with total production at or below 15 boe per day).
Based on the revised cost analysis, the EPA estimates that the proposed
biennial monitoring frequency has a cost effectiveness of $6,061/ton of
VOC emissions reduced. In addition, we estimate that annual monitoring
would cost $7,577/ton VOC, and semiannual monitoring currently required
by the 2016 NSPS subpart OOOOa has a cost of $6,116/ton of VOC
emissions reduced. All of these values are higher than the inflation-
adjusted value of $5,459/ton VOC that was estimated for semiannual
monitoring at well sites in 2016. Further, all of these costs are
higher than a value the EPA has previously stated is not cost
effective.\54\ Therefore, we have determined that none of the
monitoring frequencies are cost effective for low production well
sites. Table 4 provides a summary of the costs of control for low
production well sites.
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\54\ See 2007 NSPS subparts VV and VVa, 72 FR 64864, cited in
the 2016 NSPS subpart OOOOa final rule, 80 FR 56636. See TSD for
additional analysis and cost information, located at Docket ID No.
EPA-HQ-OAR-2017-0483.
Table 4--Cost-Effectiveness of Control for Low Production Well Sites Subject to Fugitive Emissions Standards
Under Subpart OOOOA of 40 CFR Part 60
----------------------------------------------------------------------------------------------------------------
Cost effectiveness ($/ton VOC)
-----------------------------------------------------------
Monitoring frequency 2016 TSD total 2020 TSD total 2020 TSD
cost effectiveness cost effectiveness incremental cost
\1\ \2\ effectiveness
----------------------------------------------------------------------------------------------------------------
Biennial \3\........................................ N/A $6,061
Annual.............................................. $4,723 7,577 $12,125
Semiannual.......................................... 5,459 6,116 3,192
----------------------------------------------------------------------------------------------------------------
\1\ Values from the 2016 TSD have been adjusted for inflation for comparison purposes.
\2\ As discussed in section V.B of this preamble, the EPA received comments that our original 2016 estimates
were low, especially for recordkeeping and reporting burden. The 2020 estimates include adjustments to the
2016 estimates based on this information (which is higher than the 2016 TSD) plus include streamlined
recordkeeping and reporting as well as other updates. In addition, the revised analysis found that the
majority of the costs of the fugitive requirements are annual costs and do not vary with the monitoring
frequency. That is, the recordkeeping and reporting burden remain consistent regardless of the monitoring
frequency and the cost of each survey is not directly proportional to the incremental emissions reductions
achieved at more frequent surveys. This is further explained in section V.B.2 of this preamble. Further, low
production well site model plants were not developed as part of the 2016 rulemaking. Therefore, the 2016
values presented here were for all well sites, without consideration of production. Hence, Table 4 shows an
increase in cost effectiveness for the monitoring frequencies presented. In contrast, the 2016 values
presented here are directly from the 2016 TSD and have not been adjusted based on our new analysis of what the
2016 rule cost.
\3\ Biennial monitoring was not evaluated in 2016, therefore, no cost effectiveness is presented in Table 4.
Further, while this final rule does not have to consider the costs
of controlling methane emissions, the EPA did evaluate those costs. The
costs for all of the monitoring frequencies evaluated for low
production well sites are greater
[[Page 57420]]
than the highest value for methane that the EPA determined to be
reasonable in the 2016 NSPS subpart OOOOa for both methane only and
under the multipollutant approach.\55\ In the 2015 proposal for NSPS
subpart OOOOa, the EPA stated that a cost of control of $738 per ton of
methane reduced did not appear excessive when all costs are assigned to
methane reduction and zero to VOC reduction. 80 FR 56624. Based on the
revised analysis, the costs of control of methane emissions under the
single pollutant approach for low production well sites are more than
double this value of $738 per ton at all of the monitoring frequencies
evaluated. This value is also exceeded under a multipollutant approach
where methane reduction only assumes half the cost, as explained in the
TSD.\56\ Therefore, even if we had not rescinded the methane standards
in the Review Rule, we would still conclude that fugitive emissions
monitoring, at any of the frequencies evaluated, is not cost effective
for low production well sites.
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\55\ See Section 2.5.1.1 of the TSD for additional information.
\56\ For the multipollutant approach, the emissions of each
pollutant are calculated based on the relative percentage of each
pollutant in the gas emitted. Since the same control is applied to
the gas emitted, the cost is divided in half to attribute the costs
of control equally between the two pollutants (methane and VOC).
---------------------------------------------------------------------------
While we are concluding that fugitive emissions monitoring is not
cost effective for low production well sites, production at these well
sites could potentially increase to greater than 15 boe per day,
rendering monitoring to be cost effective. For example, a new well may
be drilled at a well site, or the existing wells may be refractured to
increase the production levels. When these actions occur, the final
rule requires a new 30-day calculation of the total well site
production. If the total production remains at or below 15 boe per day,
no monitoring is required as long as the owner or operator continues to
maintain the production at these low levels. However, if the total
production following one of these actions has increased to greater than
15 boe per day, the owner or operator must begin monitoring for
fugitive emissions within 90 days of the startup of production
following such action, the same as the requirement for a modified well
site. Therefore, under the final rule, low production well sites remain
affected facilities; however, they have the option of maintaining
production at or below 15 boe per day on a continuous basis instead of
implementing the fugitive monitoring requirement.
There are three timeframes in which we are requiring sources to
calculate the total production from the well site. First, there are
well sites that have not yet triggered the requirements in NSPS subpart
OOOOa, which are those constructed, reconstructed, or modified after
this final rule becomes effective. The owner or operator of such a well
site has the option to calculate the total well site production based
on the first 30 days of production. If the total production from all of
the wells at the well site is at or below 15 boe per day (combined for
both oil and natural gas produced at the site), then the owner or
operator of the well site may either maintain production at or below
this threshold on a rolling 12-month average or begin the fugitive
emissions program. The owner or operator must comply with one of these
two requirements at any and all times. If the total production of the
well site is above 15 boe per day as determined in the first 30 days of
production, then the site must begin the fugitive emissions program,
including completing the initial monitoring within 90 days of startup
of production. Recognizing that there are some well sites that have
triggered the fugitive emissions requirements that may not have 12-
months' worth of production data yet but are already able to
demonstrate they are low production, the final rule contains a
provision to allow the owner or operator to use production records
based on the first 30 days of production after becoming subject to the
NSPS to determine if the well site is low production. This
determination must be made by December 14, 2020. After that date, the
owner or operator may use the rolling 12-month average, as described
next, for demonstrating the well site is low production.
Next, recognizing that production declines over time, we are also
allowing an option for owners or operators subject to the monitoring
requirement to determine whether the total production for the well site
declines to 15 boe per day or below when calculated on a rolling 12-
month average. If the total well site production is at or below this
threshold on a rolling 12-month average, then the owner or operator has
the option to stop fugitive monitoring and instead maintain total well
site production below this threshold. The owner or operator must comply
with either the fugitive monitoring requirement or maintain total well
site production below this threshold at any and all times.
Finally, the EPA is aware that a low production well site could
later increase production due to subsequent activities, as discussed
above. For example, owners or operators commonly take actions to
increase production as production declines or continue to drill new
wells after the initial startup of production of the well site. If
production subsequently increases to greater than 15 boe per day, it
would be cost effective to implement the fugitive emissions monitoring
requirement. In light of the above, the final rule requires that any
well site that is not conducting fugitive emissions monitoring because
total well site production is at or below the threshold must
redetermine the total well site production following any of the
following actions: A new well is drilled, a well is hydraulically
fractured or re-fractured, a well is stimulated in any manner for the
purpose of increasing production (including well workovers), or a well
at the well site is shut-in for the purposes of increasing production
from the well site. These well sites must recalculate the total well
site production based on the first 30 days of production following the
completion of that action. It is inappropriate to continue to utilize a
rolling 12-month average because the production in the 11 months prior
to the action that increased production would bias the average low.
Like well sites constructed, reconstructed, or modified after this
final rule, these well sites must recalculate the total well site
production based on the first 30 days of production following the
completion of that action to increase production.
We have not calculated the impacts of the production calculation
because owners and operators are already required to track production
for other purposes, regardless of environmental regulation, and we do
not anticipate any additional burden associated with these records for
purposes of this rule.
The final rule also requires semiannual monitoring of gathering and
boosting compressor stations. As with fugitive monitoring of well
sites, based on the revised cost analysis in the TSD for the final
rule, the EPA reexamined the costs and emission reductions, including
incremental cost and emission reductions, for various monitoring
frequencies. In the October 15, 2018, proposed rulemaking, the EPA co-
proposed annual and semiannual monitoring of fugitive emissions at all
compressor stations. As previously discussed, the 2016 NSPS subpart
OOOOa requires quarterly monitoring for compressor stations, including
gathering and boosting stations, transmission stations, and storage
stations. Therefore, the 2016 determination that quarterly monitoring
was cost effective was based on the
[[Page 57421]]
weighted average of the cost-effectiveness values for all of those
station types. In the Review Rule, which was finalized in the Federal
Register of Monday, September 14, 2020, the EPA has removed the
transmission and storage segments from the Crude Oil and Natural Gas
Production source category and rescinded the standards for those
sources. As a consequence, only gathering and boosting compressor
stations remain subject to the standards of NSPS subpart OOOOa.
After updating the compressor station model plants, the EPA
estimates that the quarterly monitoring currently required by the 2016
NSPS subpart OOOOa has a cost effectiveness of $3,221/ton of VOC
emissions reduced at gathering and boosting compressor stations. The
EPA also considered the incremental cost effectiveness of going from
semiannual monitoring to quarterly monitoring. This analysis showed
that it cost $4,988/ton of additional VOC emissions reduced between the
semiannual and quarterly monitoring frequencies. These values (total
and incremental) are considered cost-effective for VOC reduction based
on past EPA decisions, including the 2016 rulemaking. However, the
incremental cost of $4,988/ton of additional VOC reduced is on the high
end of the range that we had previously found to be cost-effective for
VOC.\57\ In contrast, semiannual monitoring is very cost-effective, at
a total cost of $2,632/ton and incremental cost of $2,501/ton between
annual and semiannual monitoring to reduce an additional 2,156 tons of
VOC per year.\58\ We further note that moving from annual to semiannual
monitoring achieves the same incremental reduction in VOC emissions as
moving from semiannual to quarterly monitoring (2,156 tons/year) but at
half the cost per ton of additional VOC reduced ($2,501/ton instead of
$4,988/ton). Moreover, additional factors influence our evaluation of
the appropriateness of selecting quarterly monitoring as compared to
semiannual monitoring for compressor stations. In particular, the oil
and gas industry is currently experiencing significant financial
hardship that may weigh against the appropriateness of imposing the
additional costs associated with more frequent monitoring.\59\ The EPA
also acknowledges that there are potential efficiencies, and potential
cost savings, with applying the same monitoring frequencies for well
sites and compressor stations,\60\ In light of all of these
considerations, the EPA thinks it is reasonable to forgo quarterly
monitoring and choose semiannual monitoring as the BSER for compressor
stations. Table 5 provides a summary and comparison of these costs per
ton of VOC reduced.
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\57\ See 2007 NSPS subparts VV and VVa, 72 FR 64864, cited in
the 2016 NSPS subpart OOOOa final rule, 80 FR 56636. See TSD for
additional analysis and cost information, located at Docket ID No.
EPA-HQ-OAR-2017-0483.
\58\ See Table 2-35f of the TSD located at Docket ID No. EPA-HQ-
OAR-2017-0483.
\59\ See Iyke, B. N., 2020. ``COVID-19: The reaction of US oil
and gas producers to the pandemic.'' Energy RESEARCH LETTERS, 1(2),
located at https://erl.scholasticahq.com/article/13912.pdf.
See Gil-Alana, L. A., & Monge, M., 2020. ``Crude Oil Prices and
COVID-19: Persistence of the Shock.'' Energy RESEARCH LETTERS, 1(1),
located at https://doi.org/10.46557/001c.13200.
See Sharif, et al., 2020. ``COVID-19 pandemic, oil prices, stock
market, geopolitical risk and policy uncertainty nexus in the US
economy: Fresh evidence from the wavelet-based approach.''
International Review of Financial Analysis, 70, 7101496, located at
https://doi.org/10.1016/j.irfa.2020.101496.
\60\ See Docket ID Nos. EPA-HQ-OAR-2017-0483-0755 and EPA-HQ-
OAR-2017-0483-0773.
---------------------------------------------------------------------------
While this final rule does not have to consider the cost-
effectiveness of controlling methane emissions, the EPA did evaluate
those costs per ton of methane reduced. As discussed above for low
production well sites, the highest costs per ton of methane reduced
that we have found to be cost-effective in the past is $738/ton.
Assigning all costs to methane (under the single pollutant approach)
results in a total cost per ton of $895/ton and incremental cost per
ton of $1,387/ton of methane reduced for quarterly monitoring, which
almost doubles the highest cost per ton of methane reduced that we had
previously found to be cost-effective ($738/ton). Under the
multipollutant approach, the incremental cost per ton of additional
methane reduced is $695/ton. While this incremental cost per ton is
cost-effective, it is also at the high end of the range. Therefore,
based on these costs per ton of methane reduced and considering the
current financial hardships being experienced across the oil and gas
industry, we would have similarly required semiannual monitoring even
if methane had remained a regulated pollutant.
Table 5--Cost-Effectiveness of Control for Compressor Stations Subject to Fugitive Emissions Standards Under Subpart OOOOA of 40 CFR Part 60
--------------------------------------------------------------------------------------------------------------------------------------------------------
Cost effectiveness ($/ton VOC)
-----------------------------------------------------------------------------------------------------------------------
Gathering and boosting stations Compressor station weighted-average
Monitoring frequency -----------------------------------------------------------------------------------------------------------------------
2016 TSD total 2020 TSD total 2020 TSD 2016 TSD total 2020 TSD
cost effectiveness cost effectiveness incremental cost cost effectiveness 2020 TSD total incremental cost
\1\ \2\ effectiveness \1\ cost effectiveness effectiveness
--------------------------------------------------------------------------------------------------------------------------------------------------------
Annual.......................... $2,105 $2,698 .................. $3,278 $3,606 ..................
Semiannual...................... 2,443 2,632 $2,501 3,682 3,341 $2,811
Quarterly....................... 3,391 3,221 4,988 5,006 3,908 5,607
--------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ Values from the 2016 TSD have been adjusted for inflation for comparison purposes.
\2\ As discussed in section V.B of this preamble, the EPA received comments that our original 2016 estimates were low, especially for recordkeeping and
reporting burden. The 2020 estimates include adjustments to the 2016 estimates based on this information (which is higher than the 2016 TSD) plus
include streamlined recordkeeping and reporting as well as other updates. In addition, the revised analysis found that the majority of the costs of
the fugitive requirements are annual costs and do not vary with the monitoring frequency. That is, the recordkeeping and reporting burden remain
consistent regardless of the monitoring frequency and the cost of each survey is not directly proportional to the incremental emissions reductions
achieved at more frequent surveys. This is further explained in section V.B.2 of this preamble. Hence, Table 5 shows an increase in cost effectiveness
for the annual and semiannual monitoring frequencies, but a decrease in the cost effectiveness for the quarterly cost effectiveness from the 2020 TSD.
In contrast, the 2016 values presented here are directly from the 2016 TSD and have not been adjusted based on our new analysis of what the 2016 rule
cost.
C. AMEL
The 2016 NSPS subpart OOOOa contains provisions for requesting an
AMEL for specific work practice standards covering well completions,
reciprocating compressors, and the collection of fugitive emissions
components at well sites and compressor stations. While written with
emerging technologies as the focus, the provisions in the 2016 NSPS
subpart
[[Page 57422]]
OOOOa could also be used for state programs, though the application
requirements were unclear on certain points. Therefore, the EPA
proposed amendments to the application requirements as they relate to
emerging technologies in order to streamline the application process,
and proposed a new section to address state programs, including
proposed alternative fugitive emissions standards based on our review
of existing state programs. This section describes changes, based on
information provided in public comments, to the AMEL provisions.
1. Emerging Technologies
The EPA continues to recognize that new technologies are expected
to enter the market soon that could locate sources of fugitive
emissions sooner and at lower costs than the current technologies
required by the 2016 NSPS subpart OOOOa. While the EPA established a
foundation for approving the use of these emerging technologies in the
2016 NSPS subpart OOOOa, we proposed specific revisions in the October
15, 2018, proposal to help streamline the application requirements and
process. Specifically, we proposed to allow owners and operators to
apply for an AMEL on their own, or in conjunction with manufacturers or
vendors and trade associations. We also proposed to allow the use of
test data, modeling analyses, and other documentation to support field
test data, provided seasonal variations are accounted for in the
analyses. While we received many supportive comments on these specific
proposed amendments, we also received comments asserting that the
application process is still too restrictive and burdensome to promote
innovation.
First, the commenters stated that applications seeking approval of
an alternative should be accepted by the EPA from manufacturers and
vendors independently of owners and operators. We have reviewed the
information provided by the commenters and agree that it is appropriate
in the context of the revisions to 40 CFR 60.5398a to remove language
that previously indicated from whom the Administrator would consider
applications under that section because section 111(h)(3) of the CAA
states ``any person'' can request an AMEL, and if they establish to the
satisfaction of the Administrator that the AMEL will achieve emission
reductions that are at least equivalent with the requirements of the
rule, then the Administrator will allow the alternative. While the
final rule allows any person to submit an application for an AMEL under
this provision, the final rule still includes the minimum information
that must be included in each application in order for the EPA to make
a determination of equivalency and, thus, be able to approve an
alternative. This final rule requires applications for these AMEL to
include site-specific information to demonstrate equivalent emissions
reductions, as well as site-specific procedures for ensuring continuous
compliance.
Next, the commenters generally supported the proposal to allow the
use of test data, modeling analyses, and other documentation to support
field test data. In addition to their support of these supplemental
data, commenters also requested that the final rule allow the use of
information collected during testing at controlled testing facilities
to be considered in lieu of site-specific field testing. The EPA
considered whether it would be appropriate to allow this information
and has concerns related to the representativeness of the information
when compared to actual operating sites. For example, we are aware of
one controlled testing facility located in the U.S., the Methane
Emissions Technology Evaluation Center (METEC) located in Fort Collins,
Colorado.\61\ That facility is equipped with several different
configurations of well pads using equipment that was donated from the
oil and natural gas industry. The test well pads do not produce or
process field gas; in fact, none of the equipment that is onsite is in
contact with field gas. Instead, METEC utilizes compressed natural gas
that is transported from offsite in order to create controlled leaks.
In establishing controlled leaks, METEC uses tubing with leak points
near typical leak interfaces to simulate a leak; however, these
releases are not operated at pressures or temperatures that are
typically encountered at an operating well site in the field. While we
agree that testing at a controlled testing facility such as the METEC
site can be helpful to understanding how a technology may perform, and
the information gathered from such controlled test sites can be useful
in supplementing other data, it is inappropriate to rely solely on the
information collected at these types of facilities as being
representative of how the technology would perform at an operating well
site or compressor station. At this time, the EPA does not believe that
it can determine the efficacy of a monitoring or detection technology
where demonstrations take place only under controlled conditions. By
extension, the EPA would be unable to determine the validity of whether
an alternative indeed achieves equivalent emissions reductions if only
presented with data from testing at a controlled testing facility.
Therefore, we are finalizing amendments that require field test data,
but that allow the use of test data, modeling analyses, data collected
at controlled testing facilities, and other documentation to support
and supplement field test data.
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\61\ See https://energy.colostate.edu/metec for more information
on the METEC facility.
---------------------------------------------------------------------------
Next, we solicited comment on whether groups of sites within a
specific area that are operated by the same operator could be grouped
under a single AMEL. We received comments that discussed this broad
application of alternatives in two distinct ways: (1) Allowing the
aggregation of emission sources beyond the individual site in order to
demonstrate equivalent emission reductions, and (2) allowing the use of
approved AMELs at future sites that are designed and operated under the
conditions specified in the approved AMEL. We evaluated both types of
broad approval options raised in the comments by considering the
definitions in the existing rule and the AMEL provisions of section
111(h)(3) of the CAA.
In the first instance, we evaluated whether it would be appropriate
to allow the aggregation of emission sources beyond the individual site
when evaluating the equivalency of an alternative. Specifically, we
considered whether an applicant for an AMEL related to fugitive
emissions monitoring could aggregate the total fugitive emissions
across multiple sites within a specific geographic area, such as a
basin, in order to demonstrate the requested AMEL would achieve at
least equivalent emission reductions as the NSPS requirements for
fugitive emissions monitoring and repair at an individual site. The
work practice standards for the collection of fugitive emissions
components at a well site or at a compressor station were established
pursuant to section 111(h) of the CAA, which allows an opportunity for
an AMEL. In accordance with section 111(h)(3) of the CAA, a source may
use an approved AMEL for purposes of compliance with the established
work practice. The commenters stated that the generic use of the word
``source'' allows aggregation of fugitive emissions components amongst
multiple sites and is not limited to single sites. The EPA does not
agree that aggregating fugitive emissions across multiple sites is a
viable method to determine equivalency with the NSPS provided the
definitions of affected facility in NSPS subpart OOOOa related to the
collection of
[[Page 57423]]
fugitive emissions components. NSPS subpart OOOOa defines the
``source'' that is subject to the work practice standards for fugitive
emissions as the ``collection of fugitive emissions components at a
well site'' and the ``collection of fugitive emissions components at a
compressor station'' in 40 CFR 60.5365a(i) and (j). These terms specify
single-site applicability for the work practice standard. Because the
rule does not define an affected facility or a source to be a
geographic area, such as a basin, it is the EPA's determination that a
demonstration of equivalent emission reductions for purposes of
evaluating alternatives to the BSER has been based on the fugitive
emissions at a single site, and not an aggregation of emissions across
multiple well sites, compressor stations, or a combination of these two
site types with an averaging or trading program akin to what the EPA
has referred to in the past as a ``bubble'' approach. For further
discussion on this topic, see section VI.C.2 of this preamble.
The second point raised by commenters was that requiring site-
specific approvals (i.e., AMELs that list specific well sites or
compressor stations) would result in unnecessary burden as new sites
with the same owner or operator, similar equipment, operating
conditions, and in the same geographic area (e.g., basin) are
constructed. According to commenters, this unnecessary burden results
from the need for the owner or operator to apply for an AMEL for each
of these sites in the future, even though the AMEL would be identical
to the previously approved AMELs for similar sites. We agree with the
commenters that it is possible that AMELs could, where appropriate, be
approved for future use at sites not included in the original
application as discussed below. Commenters also encouraged the EPA to
consider the potential for AMELs applicable to specific types of
facilities with different owners or operators within an industry
category or geographic region.
While the EPA is not amending 40 CFR 60.5398a at this time to
address broad approvals of AMEL applications, we do recognize that the
Agency has discretion in certain circumstances to allow for broad
approval of alternatives via several different paths. First, for
example, an applicant could submit an AMEL application for an
alternative technology (and associated work practice) that includes
specific site characteristics under which the technology (and
associated work practice) has been tested and that demonstrates
equivalent reductions to the standards in the NSPS. The application
would include an explanation of these characteristics (e.g.,
characteristics of the formation, operating conditions at the site,
type of equipment and processes located at the site, and variables that
affect performance of the technology or work practice) and a request
that the EPA consider broad approval of the application such that sites
(including those subject to the NSPS at the time of application and
future sites) that meet the same characteristics could utilize the same
approved alternative without the need for additional application to the
EPA. The scope of such an approval might be limited based on any number
of conditions as appropriate (such as those mentioned above). The EPA
believes that, depending on the facts of the application, some type of
broad approval may be a feasible path forward, but we will need to
evaluate the information specific to the application in hand once
received. As of the date of this final rule, the EPA has received no
applications for AMELs to be able to determine if additional amendments
(beyond those in this final rule) are necessary for such a situation,
and how such potential amendments might be drafted to facilitate such
broad approvals. In summary, if the applicant believes that it is
appropriate to apply the alternative to more sites than those listed in
the application because the proposed alternative can achieve
equivalency for other sites, then the applicant should state this
intent and make this demonstration to the EPA within the application.
If provided with sufficient information, explanation, justification,
and documentation, the EPA may determine under what defined conditions,
if any, it is appropriate to allow the use of the alternative once
approved at any site meeting those conditions, including sites
constructed in the future.
Second, the EPA is interested in developing a framework in the
future for AMEL requests that share similar characteristics (e.g.,
technologies) in order to streamline both applications and approvals.
While the EPA has not received applications related to the work
practice standards in the 2016 NSPS subpart OOOOa, we have evaluated
and approved AMELs for other sources in a few instances for one
specific control technology, pressure assisted multi-point flares (for
further information, see the EPA rulemaking Docket ID No. EPA-HQ-OAR-
2014-0783). In the course of reviewing those applications, the EPA was
able to establish testing criteria for this particular control
technology to demonstrate equivalency with the underlying operational
standards (i.e., 98-percent control efficiency) as well as other
certain design, equipment, and work practice standards, which, if met,
would help streamline approval of applications submitted after that
point. The EPA is committed to working with stakeholders to develop
testing criteria for technologies and work practices for NSPS subpart
OOOOa. However, due to the variability of this sector, as well as the
wide-ranging array of technologies currently being pursued for
development, we are unable to amend the language within this rule and
provide such a framework at this time. For the pressure assisted multi-
point flares, the EPA developed the testing framework in conjunction
with an application and with stakeholder feedback from the first AMEL
requests received and approved for that particular technology. We have
not yet reached that critical first step of an application being
submitted to the EPA to determine what testing framework might be
appropriate, or how that framework might be technology family-specific
(e.g., continuous point monitors, aerial surveys, mobile equipment). We
encourage interested stakeholders to continue engaging with us early in
any application process so additional streamlining measures can be
evaluated. The EPA is committed to improving this process of evaluating
emerging technologies and may publish another request for information
regarding technology innovation and the application process.
Third, if an applicant can demonstrate that a technology has very
broad applicability across the entire industry, then, in addition to
exploring the possibility of an AMEL, the EPA also would consider
whether to undertake a rulemaking process to amend NSPS subpart OOOOa
to allow for widespread use of the technology. As always, the EPA will
review each application individually to determine if it has
demonstrated that the alternative will achieve equivalent or greater
emission reductions than the work practice standard the alternative
would replace.
In summary, we are finalizing amendments to the application
requirements for an AMEL in 40 CFR 60.5398a. We are allowing
applications from any person. Further, we are allowing the use of
supplemental data, such as test data, data collected at controlled
testing facilities, modeling analyses, and other relevant
documentation, to support field data that are collected to demonstrate
the emissions reductions achieved. While
[[Page 57424]]
we are not amending the rule to specifically state an approved AMEL can
be used for future sources, we recognize that it may be possible, where
appropriate, for the EPA to establish specific conditions during the
AMEL process under which an approved alternative may be applied at
sites not specifically listed in the application.
2. State Fugitive Emissions Programs
To reduce duplicative burdens to the industry related to the
fugitive emissions requirements, the EPA proposed alternative fugitive
emissions standards for well sites and compressor stations located in
specific states. These alternative standards were proposed based on the
EPA's review of the monitoring and repair requirements of the
individual state fugitive emissions requirements \62\ relevant to well
sites and compressor stations. In the proposal, we stated that a well
site or compressor station, located in the specified state, could elect
to comply with the specified state program as an alternative to the
monitoring, repair, and recordkeeping requirements in the NSPS.
However, these sites would be required to monitor all fugitive
emissions components, as defined in the NSPS, comply with the
requirement to develop a monitoring plan, and report the information
required by the NSPS because the sites remain affected facilities.
---------------------------------------------------------------------------
\62\ Note, several states refer to the fugitive emissions
standards as LDAR.
---------------------------------------------------------------------------
Similar to the proposed amendments for emerging technologies, we
received support for the proposed amendments for state programs.
However, some commenters stated that the EPA should recognize the
approved state programs as wholly equivalent to the NSPS, including for
all reporting and recordkeeping requirements. The commenters indicated
that the EPA's equivalency determination still leaves the regulated
community in certain states subject to duplicative requirements. They
added that complying with two different reporting and recordkeeping
schemes for the same site is very burdensome and provided no
environmental benefit.
For the proposal, we evaluated 14 existing state programs to
determine whether they are equivalent to the fugitive emissions
requirements in 40 CFR 60.5397a. That evaluation included a qualitative
comparison of the fugitive emissions components covered by the state
programs, monitoring instruments, leak or fugitive emissions
definitions, monitoring frequencies, repair requirements, and
recordkeeping requirements to the requirements of the NSPS.\63\
However, at the time of the proposal, the EPA had not evaluated the
reporting requirements of the 14 individual state programs. We have
completed that evaluation for this final rule for the state programs
that we proposed as alternative standards and the results of that
evaluation are discussed in more detail in section VI.C.2 of this
preamble. We also updated the overall analysis of equivalency.\64\
Through this additional evaluation, we concluded that the recordkeeping
and reporting requirements of the various state programs do not need to
be exactly equivalent to the requirements of the NSPS subpart OOOOa
because the purpose of recordkeeping and reporting requirements is to
ensure compliance with whatever standards apply. Obviously, the state
programs we evaluated are not identical to the NSPS, so it stands to
reason that their associated recordkeeping and reporting requirements
might differ. Therefore, when evaluating the recordkeeping and
reporting requirements in the individual state programs, we focused our
review on the elements of those requirements that we deemed essential
to a demonstration of compliance with the individual alternative
standards. Sites remain subject to the NSPS, because the alternative
standards are standards within the NSPS, therefore, compliance
demonstrations are necessary through recordkeeping and reporting.
---------------------------------------------------------------------------
\63\ See memorandum, ``Equivalency of State Fugitive Emissions
Programs for Well Sites and Compressor Stations to Final Standards
at 40 CFR part 60, subpart OOOOa,'' located at Docket ID No. EPA-HQ-
OAR-2017-0483. January 17, 2020.
\64\ See memorandum, ``Equivalency of State Fugitive Emissions
Programs for Well Sites and Compressor Stations to Final Standards
at 40 CFR part 60, subpart OOOOa,'' located at Docket ID No. EPA-HQ-
OAR-2017-0483. January 17, 2020.
---------------------------------------------------------------------------
At a minimum, the EPA requires reports to include information that
allows a demonstration of compliance for all fugitive emissions
components (as defined in 40 CFR 60.5430a) at the individual site level
(i.e., well site or compressor station). This means the report must
provide information on each individual monitoring survey conducted at
each well site or compressor station adopting the alternative fugitive
emissions standards. We reviewed the reports required under state law
for the six states for which we are finalizing alternative fugitive
emissions standards (i.e., California, Colorado, Ohio, Pennsylvania,
Texas, and Utah) to determine (1) if site-level information is required
in the reports and (2) if the information reported demonstrates
compliance through inclusion of elements such as the date of the
survey, monitoring instrument used, information for each identified
fugitive emission, repair information, and delayed repair information.
For three of the six states (California, Ohio, and Pennsylvania) where
we are finalizing alternative standards, the required state reports are
site-specific and include information that will demonstrate compliance
with the alternative standards. For the other three states (Colorado,
Texas, and Utah), site-specific reporting is not required, or will not
demonstrate compliance with the alternative standards. Therefore, the
sites adopting the alternative standards for Colorado, Texas, and Utah,
would need to provide the site-specific reports required in 40 CFR
60.5420a(b)(7). As discussed in detail in section V.B.2 of this
preamble, the EPA is amending the recordkeeping and reporting
requirements related to the fugitive emissions requirements. The result
of these amendments is an annualized burden reduction of approximately
27 percent for well sites and 30 percent for gathering and boosting
compressor stations, and those same burden reductions will be realized
by sites in these three states.\65\
---------------------------------------------------------------------------
\65\ See TSD for additional information on the estimated cost
burden at the individual site level at Docket ID No. EPA-HQ-OAR-
2017-0483.
---------------------------------------------------------------------------
For the three states that do not require site-specific reporting,
we reviewed the state's recordkeeping requirements to determine if any
additional records would be necessary for reporting the required
information under the NSPS. We found that for each of the three states,
the records are very similar to, if not the same as, the information
required under the NSPS. Given that additional records beyond those
required by the state are not necessary, the EPA concludes that there
is no duplicative recordkeeping burden associated with compliance with
these alternative standards. This, in addition to the significant
reduction in reporting burden discussed in section V.B.2 of this
preamble, allows the EPA to conclude the submission of the reports
required in 40 CFR 60.5420a(b)(7) presents minimal burden for sites in
Colorado, Texas, and Utah.
Therefore, to summarize, the final rule requires reporting of
information to demonstrate site-level compliance with the alternative
fugitive emissions standards as follows:
Where the state report includes site-specific information
for each fugitive emissions survey that demonstrates compliance with
the alternative
[[Page 57425]]
standard, the owner or operator has the option to either (a) provide
the EPA with a copy of the state report, in the format in which is it
submitted to the state, based on the following order of preference: (1)
As a binary file; (2) as an Extensible Markup Language (XML) schema;
(3) as a searchable portable document format (PDF); or (4) as a scanned
PDF of a hard copy, or (b) provide the report required by 40 CFR
60.5420a(b)(7)(i) and (ii) to the EPA in accordance with the applicable
reporting procedures.
Where the state report does not include site-specific
information for each fugitive emissions survey, the owner or operator
must report the information required by 40 CFR 60.5420a(b)(7)(i) and
(ii) to the EPA in accordance with the procedures applicable to such a
submission.
Any owner or operator has the option to complete the information
required by 40 CFR 60.5420a(b)(7) in lieu of submitting a copy of the
state report. As described in section IV.I of this preamble, electronic
reporting through CEDRI is now required for all reports under 40 CFR
60.5420a(b). Thus, the EPA is requiring electronic submission of
reports for the alternative fugitive emissions requirements, regardless
of whether the state continues to allow paper copy submissions.
The EPA believes that adoption of these alternative standards will
further reduce the burden of the fugitive emissions standards on the
industry from this rule. No additional recordkeeping beyond that
required by the alternative standard is necessary. Additional
justification for the EPA's decision to adopt these state programs as
alternative fugitive emission standards is provided in the memorandum
\66\ summarizing the EPA's review of each state program's requirements
and in section VI of this preamble.
---------------------------------------------------------------------------
\66\ See memorandum, ``Equivalency of State Fugitive Emissions
Programs for Well Sites and Compressor Stations to Final Standards
at 40 CFR part 60, subpart OOOOa,'' located at Docket ID No. EPA-HQ-
OAR-2017-0483. January 17, 2020.
---------------------------------------------------------------------------
We note that one commenter expressed concern over the proposed
state equivalency determinations and noted that several of the programs
evaluated have specific applicability thresholds where the standards
only apply to a subset of sources, whereas the NSPS applies to all new,
modified, or reconstructed sources.\67\ We agree that the applicability
thresholds for these state programs are different from the NSPS, but we
do not agree that additional regulatory text is necessary to address
this concern. The regulatory thresholds included in state programs that
limit or reduce monitoring and repair requirements do not affect the
requirements for sources subject to the NSPS. Therefore, if a site
subject to the NSPS is not also subject to the state program because of
the state-specific applicability threshold, the site would still be
required to comply with the requirements of the NSPS. Where
appropriate, we have amended the regulatory text to clearly define the
requirements of the alternative standard. More discussion of this
comment and our response is provided in section VI.C.2 of this
preamble.
---------------------------------------------------------------------------
\67\ See Docket ID Item No. EPA-HQ-OAR-2017-0483-2041.
---------------------------------------------------------------------------
VI. Summary of Significant Comments and Responses
This section summarizes the significant comments on the proposed
amendments and our responses to those comments. Additional comments and
responses are summarized in the RTC document available in the docket.
A. Major Comments Concerning Storage Vessels
The EPA received numerous comments on the proposed amendments to
the definition of ``maximum average daily throughput,'' which is key in
the determination of storage vessel affected facility status under the
2016 NSPS subpart OOOOa. Many of the comments we received were related
to manifolded storage vessel systems. The EPA considered those comments
and is finalizing changes to the rule to address a subset of these
manifolded storage vessel systems (i.e., controlled storage vessel
batteries as described in section V.A of this preamble). A more
detailed summary of the comments regarding controlled storage vessel
batteries, and our responses to those comments, is available in the RTC
document for this action (see Chapter 6).\68\
---------------------------------------------------------------------------
\68\ See Chapter 6 of the RTC document located at Docket ID No.
EPA-HQ-OAR-2017-0483.
---------------------------------------------------------------------------
In addition to the comments the EPA received on controlled storage
vessel batteries, we also received other comments related to storage
vessel applicability determination criteria. Below is a discussion
related to three of these topics: (1) The use of legally and
practicably enforceable limits that maintain VOC emissions from storage
vessels below 6 tpy, (2) the calculation of maximum average daily
throughput based only on the days of actual production in the first 30
days, and (3) the determination of maximum average daily throughput for
storage vessels at gathering and boosting compressor stations, onshore
natural gas processing plants, and transmission and storage compressor
stations.
Comment: Some commenters stated that the EPA proposed additional
parameters on what constitutes a ``legally and practicably
enforceable'' limit; and, therefore, heightened the standard for
allowing use of such limit in estimating a storage vessel's potential
VOC emissions for purposes of determining applicability of the storage
vessel standards at 40 CFR 60.5395a. Specifically, the commenters took
issue with the statement in the preamble to the October 15, 2018,
proposed rulemaking where the EPA stated ``only limits that meet
certain enforceability criteria may be used to restrict a source's
potential to emit, and the permit or requirement must include
sufficient compliance assurance terms and conditions such that the
source cannot lawfully exceed the limit.'' 83 FR 52085. One commenter
claimed that these additional criteria (1) conflict with prior EPA
statements made during earlier oil and gas NSPS rulemakings; (2)
conflict with the EPA's traditional practice of deferring to states
regarding the appropriate mechanisms for limiting potential to emit
(PTE); (3) raise concerns about how this new interpretation/approach
would apply in the title V and New Source Review/Prevention of
Significant Deterioration context where operators are relying on the
same control requirements to limit their PTE; (4) raise significant
concerns about retroactive application; and (5) ignore that the
requirements for fugitive components under the 2016 NSPS subpart OOOOa
are not tied to storage tank applicability and apply regardless of
whether a storage tank is an affected facility under the rule.
Commenters also cited the EPA's ``enforceability criteria''
guidance, which was first introduced in 1995, and asserted that the
EPA's proposed additional criteria were not consistent with that
guidance. One commenter was concerned that the EPA's proposal not only
conflicted with the Agency's traditional and consistent practice, it
also threatened to subject sources to the NSPS that already determined
their potential for VOC emissions was below the 6 tpy threshold by
using the EPA's prior guidance.
Response: The EPA disagrees with the commenters because we did not
propose additional parameters on what would constitute a legally and
practicably enforceable limit. Rather, in the proposal preamble, the
EPA simply summarized its position on this matter based on the existing
substantial body of EPA guidance and administrative
[[Page 57426]]
decisions relating to potential emissions and emissions limits. As the
EPA explained, limits that meet certain enforceability criteria may be
used to restrict a source's potential emissions. For example, any such
emission limit must be enforceable as a practical matter, which
requires that the permit or requirement specifies how emissions will be
measured or determined for purposes of demonstrating compliance with
the limit. The permit or requirement must also include sufficient terms
and conditions such that the source cannot lawfully exceed the limit
(e.g., monitoring, recordkeeping, and reporting). For additional
information and a summary of the EPA's position on establishing legally
and practicably enforceable limits on potential emissions, including
examples of ``enforceability criteria,'' see In the Matter of Yuhuang
Chemical Inc. Methanol Plant St. James Parish, Louisiana, Order on
Petition No. VI-2015-03 (August 31, 2016) at 13-15.
Comment: Under the 2016 NSPS subpart OOOOa, the applicability of
the storage vessel standards is based on a single storage vessel's
potential for VOC emissions, which is calculated using the storage
vessel's ``maximum average daily throughput.'' While ``maximum average
daily throughput'' is defined in 40 CFR 60.5430a of the 2016 NSPS
subpart OOOOa, several stakeholders indicated that clarification of
this definition was needed. As a result, the EPA proposed a revised
definition. 83 FR 52106. The EPA received several comments related to
the proposed definition, which requires that ``production to a single
storage vessel must be averaged over the number of days production was
actually sent to that storage vessel.'' Most of the commenters objected
to this proposed definition, claiming that it would be more appropriate
to average over the entire 30-day evaluation period rather than only
those days when production was sent to the storage vessel. With regard
to tank batteries, one commenter asserted that the proposed definition
would not result in an accurate estimate of the potential emissions
from individual storage vessels because it would overestimate the total
amount of production that each tank could receive over the 30-day
evaluation period. Further, the commenter stated that the proposed
definition would significantly overestimate the volume of flow to the
tank battery as a whole when compounded across multiple tanks and
extrapolated across an entire year. Multiple commenters also generally
stated that the EPA's proposed definition failed to account for the
fact that maximum well production has a limit based on what the wells
can produce. However, the EPA did receive one comment that agreed with
the proposed definition and that owners and operators should not be
able to include days where the storage vessel does not receive
production when determining storage vessel applicability.
Response: The EPA disagrees with the comments suggesting that
``maximum average daily throughput'' should be determined by averaging
across the full 30-day evaluation period instead of the days when
production is actually sent to an individual storage vessel during that
period. As stated in the proposal, the maximum average daily throughput
``was intended to represent the maximum of the average daily production
rates in the first 30-day period to each individual storage vessel,''
83 FR 52084, which is not the same as an average daily production rate
based on averaging total production across a full 30-day period. As
explained further in the proposal, in all possible scenarios for
determining the daily production, only the number of days in which
production is sent to the individual storage vessel is used for
averaging, which may be less than the full 30 days in the evaluation
period. Indeed, including days where no production was received would
reduce the maximum average daily throughput to an individual storage
vessel under any of the scenarios described in the proposal. 83 FR
52084. The commenters did not explain how averaging actual throughput
to a storage vessel across the full 30 days would accurately reflect
the ``maximum average daily production rates,'' therefore, we do not
agree with the commenters' suggestion to use this value for the purpose
of determining a storage vessel's potential for VOC emissions.
The EPA also disagrees with comments suggesting that the EPA's
proposed definition would overestimate the potential for VOC emissions
for individual storage vessels in a tank battery by failing to account
for the overall production to the tank battery during the 30-day
period. In addition to the definition of ``maximum average daily
throughput'' which provided for two operational scenarios, the EPA
further explained in the proposal how to determine the daily or average
daily throughput, from which the maximum average daily throughput is
determined, depending on how throughput is measured. 83 FR 52084. The
EPA's proposed definition is based on either the daily (i.e., directly
measured via automated level gauging or daily manual gauging) or
average daily (i.e., manual gauging at the start and end of loadouts
which occur over more than one day) throughput routed to a storage
vessel while receiving production; the fact that the storage vessel is
receiving that amount daily clearly indicates that it has the potential
to do so. The total throughput to the entire tank battery during the
30-day period is not germane to this determination. Because there are
likely multiple daily throughput or average daily throughput values for
an individual storage vessel during the 30-day evaluation period, the
maximum of those values is used to calculate the potential for VOC
emissions, thus, the use of the term ``maximum average daily
throughput.''
While the EPA is finalizing the definition of ``maximum average
daily throughput'' as proposed, we note that the final rule provides
other mechanisms for determining a storage vessel's applicability
without having to calculate the maximum average daily throughput.
Specifically, the final rule allows owners and operators of controlled
tank batteries meeting specified criteria to average VOC emissions
across the number of storage vessels in the tank battery to determine
applicability for the individual storage vessels in the battery. Also,
as provided in the 2016 NSPS subpart OOOOa, and unchanged by this final
rule, if a facility has a legally and practicably enforceable limit
that restricts production to an individual storage vessel, then it is
acceptable to use this restricted production level as the maximum
average daily throughput for that individual storage vessel.
Comment: Commenters stated that the methods for determining the
potential for VOC emissions from storage vessels in the 2016 NSPS
subpart OOOOa were not appropriate for storage vessels located at
compressor stations (including gathering and boosting compressor
stations) and onshore natural gas processing plants, and they indicated
that the proposed revisions to 40 CFR 60.5365a(e) and the definition of
maximum average daily throughput did not alleviate this problem. More
specifically, commenters noted that the 2016 NSPS subpart OOOOa is
clear that storage vessels at well sites must determine the potential
for VOC emissions based on the maximum average daily throughput based
on the first 30 days that liquids are sent to the storage vessel. The
commenter noted that storage vessels at compressor stations and onshore
natural gas processing plants are designed to receive liquids from
multiple well sites that may start up production over a
[[Page 57427]]
longer period of time. Because these storage vessels may not experience
the same peak in throughput to the storage vessels during the first 30-
days of receiving liquids as storage vessels at well sites, the
commenter indicated that owners or operators may underestimate the
potential emissions using the throughput for the first 30 days.
Therefore, commenters requested that the EPA clarify the appropriate
time period for calculating the maximum average daily throughput for
storage vessels at facilities located downstream of well sites.
Alternatively, commenters suggested that storage vessels at gathering
and boosting compressor stations be allowed to use generally accepted
engineering models that project future throughput. The commenters
explained that compressor stations (including gathering and boosting
compressor stations) and onshore natural gas processing plants
typically utilize process simulations based on representative or actual
liquid analysis to determine potential VOC emissions and volumetric
condensate rates from the storage vessels based on the maximum gas
throughput capacity of each facility. These generally accepted
engineering models and calculation methodologies are then utilized to
obtain Federal, state, local, or tribal authority issued permits to set
legally and practicably enforceable limits to maintain potential VOC
emissions from storage vessels at less than 6 tpy. The commenter
requested that the EPA allow use of these generally accepted models and
calculation methodologies to project future maximum throughput volumes.
Response: The EPA agrees with these commenters that potential VOC
emissions from storage vessels at facilities downstream of well sites
should not be determined based on the first 30 days that liquids are
sent to those storage vessels as they are unlikely to experience the
same peak in throughput during that period as storage vessels at well
sites. It is the EPA's understanding, based on the information provided
by the commenters and subsequent conversations,\69\ that these
midstream and downstream storage vessels may continue to see an
increase in throughput as additional upstream well sites begin sending
fluids to these compressor stations and onshore natural gas processing
plants. Based on the EPA's review and understanding of the generally
accepted engineering models for projecting future throughput to a
storage vessel, the EPA agrees that these engineering models are
appropriate for projecting the maximum throughput for purposes of
calculating the potential for VOC emissions from storage vessels
located downstream of well sites.
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\69\ See memorandum for ``May 1, 2019 Meeting with GPA
Midstream,'' located at Docket ID No. EPA-HQ-OAR-2017-0483.
---------------------------------------------------------------------------
Based on the above reasons, the EPA is amending the 2016 NSPS
subpart OOOOa to specifically provide the following two options for
determining the potential for VOC emissions from storage vessels at
facilities downstream of well sites. The first option, which is already
allowed in the 2016 NSPS subpart OOOOa, allows owners or operators to
take into account throughput and/or emission limits incorporated as
legally and practicably enforceable limits in a permit or other
requirement established under a Federal, state, local, or tribal
authority. The second option allows the use of generally accepted
engineering models (e.g., volumetric condensate rates from the storage
vessels based on the maximum gas throughput capacity of each producing
facility) to project the maximum throughput used to calculate the
potential for VOC emissions.
B. Major Comments Concerning Fugitive Emissions at Well Sites and
Compressor Stations
In section V.B of this preamble, we discuss the significant changes
from the proposal to this final rule related to the fugitive emissions
requirements for well sites and compressor stations. The discussions in
section V.B of this preamble include a summary of the major comments
and our responses related to those changes. Specifically, section V.B
of this preamble discusses the following topics: (1) The three areas of
uncertainty potentially affecting the cost-effectiveness analysis that
were identified in the October 15, 2018, proposal; (2) recordkeeping,
reporting, and other administrative burden from the fugitive emissions
requirements; (3) other updates to the model plants; and (4) cost
effectiveness of fugitive emissions requirements. We also discuss our
re-evaluation of BSER after consideration of all these topics.
In addition to the topics discussed in section V.B of this
preamble, the EPA received comments on other aspects related to the
fugitive emissions requirements. This section provides a discussion of
comments and our responses regarding the following three topics: (1)
The EPA's model plant analysis for low production well sites; (2) the
effect of system pressure on fugitive emissions at low production well
sites; and (3) monitoring of compressors at compressor stations when
operating and not in standby mode. More detailed summaries and
additional comments on the fugitive emissions requirements are included
in Chapter 8 of the RTC document included in the rulemaking docket for
this action.
Comment: The EPA created model plants representing low production
well sites for purposes of analyzing the emissions and costs of a
fugitive emissions monitoring and repair program at these types of well
sites. In the proposal, we also acknowledged that operating pressures
and production volumes are factors that can cause changes in the
fugitive emissions at a well site. 83 FR 52067. However, the EPA was
unable to incorporate these factors into the emission estimates in the
model plants, and, therefore, developed model plants that relied on
equipment and component counts to analyze fugitive emissions from low
production well sites.
Some industry commenters disagreed with the use of model plants
that rely on component counts alone to estimate fugitive emissions from
low production wells due to differences in the type and size of
equipment and operating conditions (e.g., operating pressure) at low
production well sites. The commenters did agree that it is reasonable
to associate the number of components to the potential for leaks.
However, the commenters continued to maintain that emissions from low
production wells are inherently different from large production wells
because of the basic physics of production and how operators change the
physical equipment as production warrants. Commenters indicated that
the fugitive emissions factors used by the EPA, which were developed
for generally predicting emission levels, account for different types
of fugitive emission components, but do not factor in the amount of
production or line pressure.
Response: As stated in the proposal, the EPA continues to recognize
that variations in equipment, operating conditions, and geological
aspects across the country at low production well sites may affect
fugitive emissions from low production well sites. As described in
section V.B of this preamble, we have made updates to the low
production well site model plants and re-evaluated the emissions and
costs of fugitive emissions monitoring and repair requirements at low
production well sites. Based on this updated analysis, the EPA
concludes that fugitive emissions monitoring and repair is not cost
effective at any monitoring frequency for low
[[Page 57428]]
production well sites. See section V.B of this preamble for additional
discussion.
Comment: The EPA received additional comments and data related to
the low production well site model plants developed and analyzed for
the proposal. One commenter conducted a brief survey of its member
companies' gas well site operations in 13 states and provided low
production well site component counts. This commenter pointed out that
the majority of emissions (around 80 percent) from the low production
well site model plants are from valves and storage vessel thief
hatches. Therefore, the commenter only provided counts of these
components, along with the number of wellheads. This commenter
explained that the data show fewer wellheads and valves than assumed in
the proposal model plant for low production gas well sites. The
commenter stated that it did not consider the data to be fully
representative of low production well sites nationwide; nevertheless,
relying on the difference in component counts, the commenter claimed
that the EPA overestimated the fugitive emissions in the low production
model plants used for the proposal.
Response: While the commenter specifically stated that it did not
consider the data to be fully representative of low production well
sites nationwide, we reviewed the information and compared it to the
low production well site model plants used for the proposal analysis.
Specifically, we compared the weighted-average component counts of the
information provided by the commenter to the EPA's low production well
site model plant. The information provided by the commenter showed that
the weighted-average number of storage vessels was approximately the
same as that used in the EPA model plant, the number of well heads was
half (one versus two in the EPA model plant), and the number of valves
was just under 25 percent (23 versus 100 in the EPA model plant). If
the model plant was modified with these adjusted component counts, the
overall difference in emissions would be just over 50 percent.
After consideration of this information, the EPA concluded it
provides an insufficient basis to revise the low production well site
model plant component counts because the information was limited to
valves, connectors, and storage vessels at a sample of sites the
commenter admitted were not fully representative of low production well
sites. However, as discussed above in section V.B of this preamble, we
did conduct further review of the data originally used to develop the
model plant parameters, as well as GHGI data. That review resulted in a
35-percent decrease in the number of valves for the low production gas
well site model plant, as well as decreases in the numbers of the other
components. More detailed information on our analysis of the component
count information submitted by commenters is contained in a technical
memorandum.\70\ As shown in the revised model plant analysis, a
fugitive emissions monitoring program is not cost effective for low
production well sites at any of the frequencies analyzed.
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\70\ Memorandum. ``Summary of Data Received on the October 15,
2018 Proposed Amendments to 40 CFR Part 60, subpart OOOOa Related to
Model Plant Fugitive Emissions.'' February 10, 2020.
---------------------------------------------------------------------------
Comment: The EPA proposed defining low production well sites as
sites where the average combined oil and natural gas production for the
wells at the site is at or below 15 boe per day averaged over the first
30 days of production. 83 FR 52093. Several commenters recommended
changing the definition of a low production well site to be based on
the U.S. Tax Code definition of stripper wells. These commenters also
recommended using 12 months of production to determine if a site is low
production because most well sites newly affected by NSPS subpart OOOOa
will not meet the definition based on the first 30 days of production
and because production declines over time such that eventually all well
sites become low production.
Response: The EPA has not adopted the stripper well definition for
purposes of determining if a well site is low production in this action
because the U.S. Tax Code definition applies to individual wells, not
well sites. The fugitive emissions standards apply to the collection of
fugitive emissions components located at a well site. Adoption of the
stripper well definition could result in a scenario where one well at
the site is considered low production but the other wells are not,
which is inconsistent with the affected facility definition for
fugitive emissions components, where the entire site is treated as one
unit. Therefore, the calculation of production for purposes of
determining if the well site is low production is based on the total
well site production and not the individual well production averaged
across the number of wells at the well site.
However, the EPA does agree with the commenters that determination
of low production status based solely on the first 30 days of
production does not account for decline in production over time.
Therefore, the final rule specifies that a low production well site is
a well site with total well site production of oil and natural gas at
or below 15 boe per day. This calculation can be based on the first 30
days of production for determining initial applicability to the rule
and based on a rolling 12-month average to account for production
decline. See section V.B of this preamble for additional discussion.
Comment: Commenters urged the EPA to use the Department of Energy
(DOE) research program \71\ announced on October 23, 2018, to determine
more accurate assessments of low production well emissions. The
commenters asserted that the DOE study provides the EPA the opportunity
to collect direct emissions data on fugitive emissions at low
production well sites. The commenters concluded that these data would
provide the EPA with a baseline that shows the distinctions between
large wells and low production wells and the differences that may exist
between types of wells and between production regions.
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\71\ https://www.netl.doe.gov/node/5775.
---------------------------------------------------------------------------
Response: The EPA is regularly updated on the DOE program and
provides technical input on many projects. However, data from the DOE-
funded study on low production wells are not currently available. The
conclusions made in this final rule are based on currently available
information, which includes many data sources that cover low production
wells, such as DrillingInfo, Greenhouse Gas Reporting Program, and
other emission measurement studies. As discussed in this section and in
section V.B of this preamble, the EPA agrees that existing information
shows that low production well sites may have lower emissions than well
sites with higher production. As such, the final rule has separate
requirements for well sites with total production at or below 15 boe
per day, instead of the required fugitive emissions monitoring program
(including semiannual monitoring) for well sites above this production
threshold.
Comment: In addition to co-proposing annual monitoring of fugitive
emissions components located at a compressor station, the EPA proposed
a requirement that each compressor at the station must be monitored at
least once per calendar year when it is operating. The EPA also
solicited comment regarding the effect the compressor operating mode
has on fugitive emissions and the proposal to require at least one
monitoring a year during times that are representative of operating
conditions for the compressor station.
[[Page 57429]]
Several industry commenters opposed the EPA's proposal to require
that each compressor be monitored while in operation (i.e., not in
stand[hyphen]by mode), because if the station is subject to annual
monitoring (which was co-proposed), this requirement would result in a
requirement for every compressor to be operating during the monitoring
survey, even if all of the compressors are not needed at that time to
move gas downstream. The commenters believed that the result of this
requirement would be the generation of emissions from compressor
blowdowns following the monitoring survey in order to return the
compressors to the operating modes they were in prior to the survey.
The requirement would also create unnecessary recordkeeping and
scheduling complexity/burden, according to commenters. Requiring
equipment to be monitored in a specific mode of operation, especially
at less frequent monitoring than quarterly, would increase overall
emissions if that equipment must change its operational status solely
to fulfill that requirement. These commenters recommended that the EPA
allow operators to conduct surveys with facility operations as they are
found when the survey is conducted.
However, another commenter stated that its data suggests that it is
important to conduct monitoring on fully operating compressors to
maximize the number of leaks detected. The commenter stated that beyond
these data, it is also simply common sense that as the ratio of
pressurized to depressurized components increases, so will the number
of leaks detected (depressurized components do not leak). One of the
problems is that operation modes vary seasonally at each compressor
station, and within each compressor station, the operating modes of
each unit can vary daily based on demand. The commenter asserted that
the current quarterly compressor monitoring frequency creates a higher
probability of conducting a survey where each compressor is monitored
in a pressurized mode at least once per year. If the EPA moved to less
frequent monitoring, the commenter recommended that there should be
some condition to ensure that a reasonable effort is made to schedule
the surveys during a time of peak operation.
Response: The EPA reviewed the input provided by the commenters.
While we agree with the one commenter that the opportunity for fugitive
emissions is greater when a compressor is pressurized and operating,
the EPA is not finalizing the proposed requirement that each compressor
must be monitored while in operation (i.e., not in stand-by mode) at
least annually. The EPA has specified in the final rule that the
monitoring survey of fugitive emissions components at a gathering and
boosting compressor station is semiannual after the initial survey and
subsequent semiannual monitoring surveys must be conducted at least
every 4 to 7 months. Therefore, as pointed out by the commenter, the
likelihood that all monitoring events in a year will be when a specific
individual compressor is not operating is relatively low. For the
reason stated above, this final rule does not require monitoring of
each individual compressor at the station while it is in operation
(i.e., not in stand-by mode) at least once per calendar year.
However, the EPA does conclude that it is important that the
operating mode during the monitoring survey be recorded. While we would
not expect that owners or operators would modify their operating
schedules to avoid monitoring when the compressor is operating, or that
they would purposely schedule every monitoring event during shutdown
periods, we believe that this record would inform the Agency if this
were occurring and, if so, how often. This information will provide
valuable points for future analyses on leak rates and operating modes.
Therefore, the final rule requires that owners and operators keep a
record of the operating mode of each compressor at the time of the
monitoring survey.
C. Major Comments Concerning AMELs
1. Emerging Technologies
The EPA received comments related to AMELs for emerging
technologies on several topics. The comments received by the EPA that
resulted in significant rule changes are discussed in section V.C.1 of
this preamble, along with our response and rationale for the changes.
The specific topics were (1) who can submit an AMEL application, (2)
what data can or must be included in an AMEL application, and (3) what
broader applications of alternatives are permitted. Further details on
comments related to the broader applications of AMEL technology,
specifically on the issues of applying AMEL to multiple similar sites
or to categories of sources, are provided below along with the EPA's
responses. Other comments, and more detailed comments covering the
topics discussed in this preamble related to emerging technologies can
be found in the RTC document available in the docket, along with EPA's
responses.
Comment: In the proposal, the EPA reiterated its position that AMEL
approvals would be made on a site-specific basis but noted that
applicants could include multiple sites within one application as
necessary. Many commenters disagreed with that proposal, stating that
the EPA should allow approved AMELs to apply more broadly to multiple
sites, basin-wide, industry-wide, or even based on nation-wide
efficacy. Commenters asserted that restricting AMEL approval to a
specific site is inconsistent with the EPA's past practice for OGI, in
which the EPA determined that OGI achieves emission reductions
equivalent to Method 21 for several industries and source categories in
a single rulemaking.\72\ Some commenters feared that the site-specific
approval process that includes Federal Register notice and comment
requirements is so onerous that it will stifle innovation in new
technology, and another noted that its customers have indicated that
they would not apply for an AMEL if approval is site-specific.
Commenters pointed out that the site-specific approval process could
create a crush of AMEL applications for hundreds or thousands of sites,
but the applications would be limited to only the technologies
previously approved or most likely to be approved as AMEL.
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\72\ See the Alternative Work Practice located at 40 CFR
60.18(g), (h), and (i).
---------------------------------------------------------------------------
In response to the EPA's concern that alternative technologies may
need to be adjusted for site-specific conditions, such as gas
compositions, allowable emissions, or the landscape, several commenters
suggested that the EPA could account for factors affecting variability,
such as the weather or landscaping, by imposing conditions for the use
of the technology and/or require periodic instrument checks,
calibration records, or other actions to ensure equivalent emission
reductions are achieved within the approved AMEL. The commenters also
noted that if there is concern about allowable emissions impacting the
usability of a particular technology, that technology may only be
approvable for use as an approach to direct inspection efforts, but
this factor would not affect the ability for it to be approved for that
use at multiple sites.
Response: The EPA does not seek to stifle innovation of emerging
technologies. In fact, the Agency is actively involved in many multi-
stakeholder groups aimed at developing frameworks and criteria that
will promote the development of possible alternatives. As such, the EPA
strongly encourages interested parties to discuss possible alternatives
with the Agency.
[[Page 57430]]
However, the EPA disagrees that this final rule should be the vehicle
used to make determinations about any particular technology because the
proposed rulemaking did not evaluate any specific technology. The EPA
also disagrees that this rule is inconsistent with the EPA's past
practice for OGI, in which the EPA allowed the use of OGI as an
alternative to Method 21 for several industries and source categories
in a single rulemaking.\73\ The EPA notes that while the AMEL process
provided for in CAA section 111(h)(3) contains elements similar to a
rulemaking (such as notice and opportunity for public hearing),
approval of an alternative does not always require rulemaking. If a
technology is developed that could be broadly applied to oil and gas
sites as an alternative to what is required in NSPS subpart OOOOa, it
may be more appropriate to incorporate such a technology into the rule
through a formal rulemaking process so that every affected facility can
make use of that alternative.
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\73\ See 40 CFR 60.18(g), (h), and (i).
---------------------------------------------------------------------------
As discussed in section V.C.1 of this preamble, the EPA agrees that
in some circumstances, it may be appropriate to apply an approved AMEL
to multiple sites, including future sites. If the applicant of an AMEL
believes that it is appropriate to apply the alternative to more sites
than those listed in the application, the applicant should specify this
within the application and provide any characteristics or variables
that are applicable to the type of sites where the equivalency
demonstration is being made. Specifically, the applicant should provide
relevant information, including any specific conditions (e.g.,
technology-specific variables that affect performance), procedures
(e.g., specific work practice that will be followed to identify
emissions and make repairs), or site characteristics under which the
alternative must be applied (e.g., formation variables, site operating
conditions, equipment at the site, etc.), to demonstrate equivalence
with the emissions reductions that would be achieved under the
requirements of the NSPS. The EPA will evaluate these defined
conditions and additional conditions, if any, under which it might be
appropriate to allow future use of the alternative once approved via
the AMEL process. For example, the EPA might approve the use of a
specific fugitive emissions detection technology that operates with the
same performance under specific work practice requirements,
environmental conditions, and site configurations and operations. In
that example, the EPA might determine it is appropriate to approve the
AMEL and define the specific parameters (e.g., environmental
conditions, site configurations, and operations) within the approval to
allow the use of that alternative at sites meeting those same
conditions without the need for additional future application to the
EPA. However, each of these determinations would necessarily be made on
a case-by-case basis provided the application contains all necessary
information to make such a broad determination for applicability of the
AMEL. Given that these determinations are made on facts and showings
that are specific to each proposed alternative, the EPA has determined
that the best course forward is for an applicant to submit an
application seeking a broadly applicable AMEL and for the Agency to
then use its evaluation of that application as a template for future
applications, thereby streamlining the process.
Comment: Several commenters stated that the EPA should approve the
use of alternative technologies under the Agencies' AMEL authority for
broad categories of sources subject to NSPS subpart OOOOa, such as
fugitive emissions components across multiple sites. They remarked that
there is nothing in the statute that requires the EPA to set source-
specific AMELs, and the EPA's position regarding the necessity of
source-by-source applications and approvals for AMEL is incorrectly
taken from a narrow reading of the language of CAA section 111(h)(3).
The commenters stated that, while the language of CAA section 111(h)(3)
provides that an AMEL is permitted to be used ``by the source'' for
purposes of compliance, the EPA's reading of this provision to disallow
the granting of AMEL for use by multiple sources is inconsistent with
the NSPS approach of developing standards for whole categories of
sources.
Some commenters said that because an AMEL will serve as a
replacement for a category-wide CAA section 111(h)(1) standard, a
demonstration that an AMEL will achieve an emission reduction at least
equivalent to a CAA section 111(h)(1) standard could be made on a
category-wide basis and be applied to an entire source category. These
commenters suggested that allowing for source category-wide AMEL
determinations would be consistent with the overall structure of CAA
section 111 and its focus on category-wide standards under CAA sections
111(b) and (h)(1) and with the limitation prohibiting the EPA from
imposing specific technological emission reduction requirements
pursuant to CAA section 111(b)(5).
These commenters further stated that the EPA's regulation
implementing CAA section 112(h)(3) recognizes that the EPA is
authorized to approve an AMEL for ``source(s) or category(ies) of
sources on which the alternative means will achieve equivalent emission
reductions.'' \74\ They contended that, given the similarities between
the programs authorized under CAA section 111 and CAA section 112, and
particularly the similarity of CAA sections 111(h)(3) and 112(h)(3),
the EPA should adopt a policy of applying an AMEL to source categories
for CAA section 111(h)(3) in the same manner as it has done with
respect to CAA section 112(h)(3). They noted that in other rules, such
as the visibility provisions that require the best available retrofit
technology (BART), the EPA's rules allow the EPA and the states to
authorize BART alternatives that can apply to groups of sources and
that allow emission averaging across sources, even over wide regions,
rather than imposing source-specific emission limits or source-specific
alternatives to such limits. The commenters stated that if alternatives
to emission limits (or work practice standards) for groups of sources
under these provisions are permissible despite the continued references
to the term ``source'' in the statutory language, then a source
category-wide AMEL is surely permissible under CAA section 111(h)(3).
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\74\ See 40 CFR 63.6(g)(1).
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Response: On the first point raised by commenters, and as explained
in the EPA's response above, the EPA agrees that in some instances
broad use of an approved alternative may be appropriate. The current
construct of the AMEL application process in NSPS subpart OOOOa does
not prevent the EPA from taking this path as suggested by the
commenters.
The commenters also suggest that the EPA should apply AMEL to a
source category in the same manner in which the EPA has done for
applications submitted through section 112(h)(3) of the CAA. While the
EPA has approved AMEL for sources subject to standards under section
112 of the CAA, these approvals have been made on a site-specific
basis, in which each application specifically lists the facilities that
are applying for approval. Further, while similar, CAA section
112(h)(3) does not apply for purposes of demonstrating equivalence with
work practice standards in the NSPS.
[[Page 57431]]
For purposes of evaluating whether an alternative to fugitives
monitoring provides at least equivalent emission reductions as the
applicable standards in the context of NSPS subpart OOOOa, the EPA
asserts that the emissions from an individual site are the only
appropriate measure for comparison. First, the BSER determination for
the collection of fugitive emissions components is based on a single
well site, or a single compressor station, not a collection of well
sites and/or compressor stations, and not the emissions of the entire
source category. The source category for which NSPS subpart OOOOa sets
standards of performance under CAA section 111 is the Crude Oil and
Natural Gas Production source category. This category is defined in 40
CFR 60.5430a as crude oil production, which includes the well and
extends to the point of custody transfer to the crude oil transmission
pipeline or any other forms of transportation; and natural gas
production and processing, which includes the well and extend to, but
does not include, the point of custody transfer to the natural gas
transmission and storage segment.\75\ Within this source category, the
EPA has set standards of performance (BSER) for individual affected
facilities. These affected facilities are the only emission sources
within the Crude Oil and Natural Gas Production source category for
which these NSPS apply and are defined in 40 CFR 60.5365a.
---------------------------------------------------------------------------
\75\ See the Review Rule published in the Federal Register of
Monday, September 14, 2020 and supporting information located at
Docket ID No. EPA-HQ-OAR-2017-0757.
---------------------------------------------------------------------------
Specifically, the EPA has defined the collection of fugitive
emissions components at a well site and the collection of fugitive
emissions components at a compressor station as individual affected
facilities in the rule. Affected facilities are defined at the
individual site level, and not as the collection of fugitive emissions
components across multiple sites, or a collection of sources within a
basin. Further, the standards that apply to these affected facilities
are specific to the individual well site or compressor station, as
defined in 40 CFR 60.5365a(i) and (j) and 40 CFR 60.5397a. For example,
the collection of fugitive emissions components at an existing well
site become subject to the fugitive emissions requirements when (1) a
new well is drilled at that well site, (2) an existing well at that
well site is hydraulically fractured, or (3) an existing well at that
well site is hydraulically refractured. In all three cases, the event
that triggers the requirements for an existing well site are based on
site-specific changes, and not changes at other nearby sites. Drilling
a new well at a well site within the same basin, for instance, does not
trigger the fugitive emissions requirements for all well sites located
in that basin.
When establishing the requirements for the collection of fugitive
emissions components, the EPA limited the applicability to individual
well sites or compressor stations. The work practice standards set in
accordance with section 111(h)(1) of the CAA were established for the
collection of fugitive emissions components at an individual well site
or compressor station. Since the NSPS does not define the emission
source subject to BSER as a basin, or other aggregation of emission
points, the EPA finds it inappropriate to evaluate alternatives that
seek to implement such a definition. As a practical matter, the EPA
concludes that any determination of equivalent emission reductions
through an AMEL under section 111(h)(3), or for an alternative work
practice under section 111(h)(1), of the CAA for these NSPS should be
determined at the same affected facility level (i.e., collection of
fugitive emissions components at a well site or at a compressor
station) as the original work practice standards.
Similar to the EPA's explanation in the Affordable Clean Energy
rule (``ACE''), here the EPA does not need to determine whether it
would have reasonable grounds to define ``source'' for purposes of the
fugitive emissions monitoring work practice standard as a geographic
area, such as a basin. Because these NSPS define an affected facility
for this purpose as the collection of fugitive emissions components at
a well site, and the collection of fugitive emissions components at a
compressor station, the EPA does not think it is appropriate for AMEL
applications to accommodate the averaging of emissions.\76\
---------------------------------------------------------------------------
\76\ See 81 FR 32520, 32556 and 57 (July 8, 2019) (section
titled ``Averaging and Trading'').
---------------------------------------------------------------------------
Second, it is unclear whether the commenters are suggesting that
such aggregation would take into account emissions from sources within
a basin not subject to these NSPS, such as existing oil and gas well
sites or compressor stations, or sources that emit VOC that are
included in a different source category. In response to this point, the
EPA directs commenters to the discussion of CAA section 111, generation
shifting, and emission offsets included in ACE.\77\ ``[T]he plain
language of CAA section 111 does not authorize the EPA to select as the
BSER a system that is premised on application to the source category as
a whole or to entities entirely outside the regulated source
category.'' \78\ This principle also applies in the context of
evaluating alternatives to the established BSER.
---------------------------------------------------------------------------
\77\ Id. at 32523-26.
\78\ Id. at 32524.
---------------------------------------------------------------------------
Lastly, commenters suggest that averaging should be appropriate
here because the EPA allows averaging in its BART program. However,
that comparison is not appropriate because it fails to consider
differences between BART and the BSER for this NSPS. The BART
requirement is just one component of a larger strategy to make
reasonable progress towards the national goal of remedying visibility
impairment in certain areas. The EPA determined in the BART context
that if a state can demonstrate that an alternative strategy, such as
an emissions trading scheme, will be even more effective at improving
visibility, such a ``better-than-BART'' strategy may be adopted to
fulfill the role that would otherwise by filled by BART. However, in
the context of this NSPS there is less flexibility on this point than
in the BART program because, as explained above, there are no other
components to reducing emissions aside from the BSER, the BSER is not
based on reasonable progress, and this NSPS does not define the
emission source subject to BSER as a basin or other aggregation of
emission points.
2. State Fugitive Emissions Programs
The EPA received comments related to the alternative fugitive
emissions standards on several topics. The comments received by the EPA
that resulted in significant rule changes are discussed in section
V.C.2 of this preamble, along with our response and rationale for the
changes. Specifically, these topics were related to whether the state
regulations/requirements determined to be alternative fugitive
standards to NSPS subpart OOOOa fugitive requirements will provide
adequate coverage of the emission sources in the state and the
potential for duplicative reporting and recordkeeping requirements.
Further details on comments related to these topics are provided below,
along with other significant comments and the EPA's responses. Other
comments, and more detailed comments covering the topics discussed in
this preamble, related to the state fugitive monitoring programs can be
found in the RTC document
[[Page 57432]]
available in the docket, along with the EPA's responses.
Comment: The EPA proposed alternative fugitive emissions standards
based on our determination that certain states had existing
requirements equivalent to the proposed fugitive emissions
requirements. These determinations were based on qualitative
assessments comparing various aspects of the requirements, such as
monitoring frequencies and repair deadlines. Two commenters stated that
the equivalency determinations must be quantitative if the EPA wants to
set alternative standards because they are similar to AMELs. The
commenters indicated that the Agency's analysis evaluated whether a
state has regulations that are similar to the EPA's regulations, rather
than whether the emissions reductions achieved by those regulations are
quantitatively equivalent. One of the commenters stated that the EPA's
qualitative comparison is legally insufficient because it does not meet
the statutory requirement that an applicant ``establish'' that an AMEL
``will achieve'' reductions in emissions ``at least equivalent to'' the
reduction achieved under the Federal standards.\79\ This commenter
stated that, without a quantitative comparison, it is impossible to
determine whether an AMEL will achieve at least an equivalent reduction
in pollutant emissions. The commenter further notes that past AMEL
approvals under this provision were based on detailed quantitative
determinations for each facility to determine the exact emissions
levels that would be achievable at that facility, and then those levels
were compared to the emissions levels achievable under the present
NSPS. The commenter stated that the EPA's policy changes in how
equivalency is determined are inconsistent with the requirements of
section 111(h) of the CAA and also stated that the EPA's approach of
``combining . . . aspects of the state requirements to formulate
alternatives,'' \80\ to determine equivalency is not a permissible or
reasonable approach. The commenter noted that while some aspects of a
state-level program may be more protective than the corresponding
Federal requirements, others may not be, and the commenter stated that
qualitative comparisons cannot determine the net effects of program
elements that point in opposite directions.
---------------------------------------------------------------------------
\79\ See CAA section 111(h)(3).
\80\ See 83 FR 52081.
---------------------------------------------------------------------------
Response: The EPA agrees that in some instances when the EPA is
evaluating an alternative, it would be preferable to use a quantitative
analysis, but we do not agree that such analysis is necessary or
prudent in this instance for determining the equivalency of fugitive
emissions requirements in state regulations. The CAA does not require
the EPA to conduct a quantitative analysis to evaluate an alternative
standard or to determine whether that alternative is equivalent to the
underlying standard. Work practice standards under section 111(h)(1) of
the CAA are set when ``it is not feasible to prescribe or enforce a
standard of performance.'' Section 111(h)(2) of the CAA further defines
that the phrase not feasible to prescribe or enforce a standard of
performance means any situation in which the Administrator determines
that: (A) A pollutant or pollutants cannot be emitted through a
conveyance designed and constructed to emit or capture such pollutant;
or (B) the application of measurement methodology to a particular class
of sources is not practicable due to technological or economic
limitations. Fugitive emissions are not quantified within the rule, and
the technologies used in this rule to detect fugitive emissions do not
quantify the actual emissions that are detected and then remediated
through repair. Further, even if direct quantification were possible
through the currently approved technologies, those quantified emissions
would only represent the fugitive emissions detected on that specific
day and would not offer information related to how long those emissions
were present prior to detection, or account for any emissions that
occur between monitoring surveys. Due to the fact-specific
circumstances of the work practice standard in the existing rule, it is
not practical for the EPA to conduct an accurate and meaningful
quantitative analysis of the alternatives. It is also not necessary for
the EPA to conduct a quantitative analysis. The statute does not
require a quantitative analysis. Therefore, the most practical way to
evaluate the equivalence of a fugitive emissions monitoring and repair
program is through the site-specific qualitative comparison that we
used. It is the EPA's determination that the analysis, which evaluates
the types of components monitored, the frequency of monitoring, the
detection instrument, the threshold that triggers repairs, and the
repair deadline, is sufficient and appropriate for demonstrating that
the six programs identified as alternative fugitive standards are
equivalent to the fugitive emissions requirements of NSPS subpart
OOOOa.\81\ Therefore, we have not conducted a quantitative analysis of
the individual state programs that are finalized in this action as
alternative standards.
---------------------------------------------------------------------------
\81\ See memorandum, ``Equivalency of State Fugitive Emissions
Programs for Well Sites and Compressor Stations to Final Standards
at 40 CFR part 60, subpart OOOOa,'' located at Docket ID No. EPA-HQ-
OAR-2017-0483. January 17, 2020.
---------------------------------------------------------------------------
Comment: One commenter performed its own quantitative assessment of
the state programs that the EPA proposed as equivalent to NSPS subpart
OOOOa with the October 15, 2018, proposal. From this analysis, the
commenter stated that it found differences in the applicability
thresholds for several of the state programs, which results in the
state programs (combined) covering only 34 percent of the total wells
that would be covered by the proposal or the 2016 NSPS subpart OOOOa in
these states. The commenter also stated that state programs vary in
stringency and may not reduce emissions to the same level as the EPA
standards, such as the Ohio and Texas provisions that allow for
inspection frequency to decrease based on the percentage of components
leaking. The commenter asserted that its assessment demonstrates that
both the Ohio and Texas programs reduce emissions to a lesser extent
than the proposed requirements, while California and Colorado meet the
emission reduction levels accomplished by the proposal. Overall, the
commenter said that the state programs will achieve a reduction of
methane emissions that is 36 percent less than the reduction that would
be achieved by the amendments proposed on October 15, 2018. When
compared to the 2016 NSPS subpart OOOOa requirements, the commenter
said that the state programs would result in 58 percent less emissions
reductions. The commenter remarked that these findings demonstrate that
these state programs are not equivalent to either the proposal or the
2016 NSPS subpart OOOOa. Another commenter also remarked that the
California Air Resources Board has performed a preliminary assessment
of state programs against the 2016 NSPS subpart OOOOa and found that
only the California, Colorado, Pennsylvania, Utah, and Texas programs
(within narrow parameters) are likely to be equivalent.
Response: The EPA reviewed the analysis provided by the commenter
but notes that the analysis appears to include an incorrect assumption.
Specifically, the commenter stated that only 34 percent of the wells
covered by the fugitive emissions requirements in NSPS subpart OOOOa
and that are also
[[Page 57433]]
located in one of the six states with proposed alternative fugitive
standards would actually be subject to those alternative fugitive
standards. This is not correct. The assumption by the commenter is that
the alternative standards are deficient because not all of the sites
that are currently subject to NSPS subpart OOOOa would be required to
monitor and, thus, reduce fugitive emissions. This assumption is
incorrect. The applicability criteria found in NSPS subpart OOOOa will
continue to apply regardless of the state's applicability criteria.
Using Texas as an example, the commenters stated that only 5
percent of the sites that are subject to NSPS subpart OOOOa would have
monitoring requirements under the alternative fugitive standards for
well sites located in Texas. While this percentage may represent those
sites in Texas that can utilize the alternative, this does not mean
that the other 95 percent of sites escape regulation under the NSPS. If
a well site is subject to the Texas standards, then that well site may
opt to comply with those State-level standards as an alternative to
certain Federal fugitive emissions requirements in NSPS subpart OOOOa.
However, if a well site located in Texas is not subject to the State-
level requirements and is subject to the NSPS (95 percent of the sites
according to the commenter), then the alternative standard would not be
available to that site, and monitoring would be required through the
requirements in NSPS subpart OOOOa. Put another way, the alternatives
included in this final rule do not alter the applicability criteria of
the NSPS for any sites. If a well site in Texas was required to comply
with the NSPS before the alternative was approved, then that site is
still required to comply with the NSPS, but the final rule affords
certain sites an alternative way to demonstrate that compliance with
the NSPS, if they so choose. Moreover, regardless of whether the site
complies with the fugitive emissions requirements in NSPS subpart
OOOOa, or the alternative fugitive standards for their state, they must
conduct the specific monitoring and repair for the NSPS subpart OOOOa
defined fugitive emissions components at a well site or compressor
station, as applicable.
Comment: Several commenters asserted that the EPA should recognize
the approved state programs as wholly equivalent to the fugitive
emissions requirements in the NSPS and fully delegate the
implementation of those fugitive emissions requirements to those
states, including the states' recordkeeping and reporting requirements.
The commenters noted that the EPA is requiring operators to use the
fugitive emission component definition from the 2016 NSPS subpart OOOOa
and the 2016 NSPS subpart OOOOa reporting and monitoring plan.
Two of the commenters observed that they are required to comply
with both the state requirements and Federal fugitive emissions
programs concurrently. The commenters stated that complying with two
different recordkeeping and reporting schemes for the same site is very
burdensome with no added benefit for the environment. Sites that
operate where they are subject to both the NSPS and a state program
will sometimes be required to keep two very similar sets of records to
comply with both standards. Likewise, sites in this situation may be
required to report similar overlapping information to both the Federal
system and a state system. According to commenters, this overlap in
recordkeeping and reporting (and sometimes in monitoring plans) creates
redundant work that unnecessarily consumes resources. The commenters go
on to assert that requiring the Federal reporting and monitoring plan
defeats the purpose and any benefit from the EPA approving state
programs and suggest that if a state program is not adequate in the
EPA's opinion, then the EPA should address the issue with the
individual state, so it can be approved in whole. Commenters added that
as an alternative, the EPA could require that the fugitive emissions
component definition from NSPS subpart OOOOa be used when following an
alternative standard, even if the state program definitions differ, but
the EPA should not require any duplicative administrative burden.
Further, the commenters stated that CAA Section 111 fits squarely
within the cooperative federalism tradition, with CAA section 111(c)
expressly calling on states to develop ``a procedure for implementing
and enforcing standards of performance for new sources'' and calling on
the Administrator to delegate ``any authority he has . . . to implement
and enforce such standards.'' \82\ Two commenters noted that the EPA
did not evaluate the equivalency of state reporting requirements or
monitoring plans and, thus, did not propose any alternative standards
for these aspects of the NSPS subpart OOOOa fugitive emissions
requirements. These commenters stated that the exclusion of state
reporting and monitoring plan requirements from the EPA's equivalency
evaluation leaves the regulated community in certain states subject to
potentially duplicative regulation.
---------------------------------------------------------------------------
\82\ See CAA section 111(c)(1).
---------------------------------------------------------------------------
Response: It is unclear to the EPA what commenters mean by ``wholly
equivalent'' and ``fully delegate,'' but we are providing a response
based on our interpretation that commenters are requesting approved
alternative standards only require recordkeeping and reporting to the
individual states and not to the EPA. After considering the comments
provided, the EPA reviewed the recordkeeping and reporting requirements
for each of the six states that were proposed for alternative fugitive
standards in the October 15, 2018, proposal (California, Colorado,
Ohio, Pennsylvania, Texas, and Utah). For California, Ohio, and
Pennsylvania, the EPA was able to identify site-specific reporting
requirements in the state reports which, while not identical to the
reporting for NSPS subpart OOOOa, were determined to be appropriate to
demonstrate compliance with the alternative fugitive standards for
those states. Therefore, in this final rule, we are allowing well sites
and compressor stations located in California, Ohio, and Pennsylvania
that adopt the alternative fugitive standards to electronically submit
a copy of the report that is submitted to their state as specified in
40 CFR 60.5420a(b)(7)(iii). As discussed in section V.C of this
preamble, this report must be submitted in the format in which it was
submitted to the state, noting the following order of preference: (1)
As a binary file, (2) as a XML schema, (3) as a searchable PDF, or (4)
as a scanned PDF of a hard copy.
In reviewing the reporting requirements for Colorado, we noted that
the report is a fillable form to the state that summarizes all
monitoring events for that year at the company-level. Therefore, no
site-specific information is available. We then reviewed the
recordkeeping forms for Colorado to identify what information is
required for the individual sites and compared that information to the
required annual report for NSPS subpart OOOOa. We identified one
recordkeeping element required by NSPS subpart OOOOa that was not
already included in the recordkeeping requirements for Colorado:
Deviations from certain requirements in the monitoring plan. Given that
the Federal monitoring plan, and deviations from that plan, are still
required for all sites that adopt the alternative fugitive standards,
there are no additional recordkeeping elements that would be needed
beyond what the State already requires. While the EPA has determined
[[Page 57434]]
that the Colorado program for fugitive emissions requirements is an
acceptable alternative to NSPS subpart OOOOa, the company-level reports
in Colorado are insufficient to demonstrate compliance for individual
sites. Therefore, we are still requiring that well sites and compressor
stations located in Colorado that adopt the alternative fugitive
standard must report the information required by NSPS subpart OOOOa for
fugitive emissions components at well sites and compressor stations.
Our review of the Texas reporting requirements found that sites
only report information when fugitive emissions are found. While this
may be appropriate for demonstrating compliance to the State, it is not
adequate information for the EPA to ensure compliance with the
alternative fugitive standards for well sites and compressor stations
located in Texas. Similar to Colorado, we examined the recordkeeping
requirements and found that sites located in the State are already
required by the State to keep records that facilitate the reporting
required by NSPS subpart OOOOa for fugitive emissions components at
well sites and compressor stations. Therefore, we are requiring that
well sites and compressor stations located in Texas that adopt the
alternative fugitive standards must report the information required in
NSPS subpart OOOOa.
Finally, the requirements in Utah do not include reporting. Similar
to Colorado and Texas, we reviewed the recordkeeping requirements. For
Utah, sites must keep records of the monitoring plan and the monitoring
surveys. We found these records are similar to the information that is
required in the NSPS subpart OOOOa report for fugitive emissions
components and would not require additional recordkeeping. Therefore,
we are requiring that well sites located in Utah that adopt the
alternative fugitive standards must report the information required in
NSPS subpart OOOOa.
VII. Impacts of These Final Amendments
A. What are the air impacts?
The EPA projected that, from 2021 to 2030, relative to the
baseline, the final rule will forgo about 450,000 short tons of methane
emissions reductions (10 million tons CO2 Eq.), 120,000
short tons of VOC emissions reductions, and 4,700 short tons of HAP
emission reductions from facilities affected by this reconsideration.
The EPA estimated regulatory impacts beginning in 2021 as it is the
first full year of implementation of this rule. The EPA estimated
impacts through 2030 to illustrate the accumulating effects of this
rule over a longer period. The EPA did not estimate impacts after 2030
for reasons including limited information, as explained in the RIA.
B. What are the energy impacts?
There will likely be minimal change in emissions control energy
requirements resulting from this rule. Additionally, this final action
continues to encourage the use of emission controls that recover
hydrocarbon products that can be used on-site as fuel or reprocessed
within the production process for sale. The energy impacts described in
this section are those energy requirements associated with the
operation of emission control devices. Potential impacts on the
national energy economy from the rule are discussed in the economic
impacts section.
C. What are the compliance cost reductions?
The PV of the regulatory compliance cost reduction associated with
this final rule over the 2021 to 2030 period was estimated to be $800
million (in 2016 dollars) using a 7-percent discount rate and $1.0
billion using a 3-percent discount rate. The EAV (rounded to two
significant figures) of these cost reductions is estimated to be $110
million per year using either a 7-percent or 3-percent discount rate.
These estimates do not, however, include the forgone producer
revenues associated with the decrease in the recovery of saleable
natural gas, though some of the compliance actions required in the
baseline would likely have captured saleable product that would have
otherwise been emitted to the atmosphere. Estimates of the value of the
recovered product were included in previous regulatory analyses as
offsetting compliance costs. Because of the deregulatory nature of this
final action, the EPA projected a reduction in the recovery of saleable
product. Using the 2020 Annual Energy Outlook (AEO) projection of
natural gas prices to estimate the value of the change in the recovered
gas at the wellhead projected to result from the final action, the EPA
estimated a PV of regulatory compliance cost reductions of the final
rule over the 2021 to 2030 period of $750 million using a 7-percent
discount rate and $950 million using a 3-percent discount rate. The
corresponding estimates of the EAV of cost reductions after accounting
for the forgone revenues were $100 million per year using a 7-percent
discount rate and $110 million per year using a 3-percent discount
rate.
D. What are the economic and employment impacts?
The EPA used the National Energy Modeling System (NEMS) to estimate
the impacts of the 2016 NSPS subpart OOOOa on the U.S. energy system.
The NEMS is a publicly available model of the U.S. energy economy
developed and maintained by the U.S. Energy Information Administration
and is used to produce the AEO, a reference publication that provides
detailed projections of the U.S. energy economy. The EPA estimated
small impacts on crude oil and natural gas markets of the 2016 NSPS
subpart OOOOa rule over the 2020 to 2025 period. This final rule will
result in a decrease in total compliance costs relative to the
baseline. Therefore, the EPA expects that this rule will partially
reduce the impacts estimated for the 2016 NSPS subpart OOOOa in the
2016 NSPS subpart OOOOa RIA.
Executive Order 13563 directs Federal agencies to consider the
effect of regulations on job creation and employment. According to the
Executive order, ``our regulatory system must protect public health,
welfare, safety, and our environment while promoting economic growth,
innovation, competitiveness, and job creation. It must be based on the
best available science.'' (Executive Order 13563, 2011). While a
standalone analysis of employment impacts is not included in a standard
benefit-cost analysis, such an analysis is of concern in the current
economic climate given continued interest in the employment impact of
regulations such as this final rule. The EPA estimated the changes in
compliance-related labor impacts due to the changes finalized in this
rule. As presented in the RIA for this action, the EPA projected there
will be reductions in the labor required for compliance-related
activities associated with the 2016 NSPS subpart OOOOa requirements
relating to fugitive emissions monitoring and certifications of CVS.
E. What are the forgone benefits?
The EPA expects forgone climate and health benefits due to the
forgone emissions reductions projected under this final rule. The EPA
estimated the forgone domestic climate benefits from the forgone
methane emissions reductions using an interim measure of the domestic
social cost of methane (SC-CH4). The SC-CH4
estimates used here were developed under Executive Order 13783 for use
in regulatory analyses until an improved estimate of the impacts of
climate change to the U.S.
[[Page 57435]]
can be developed based on the best available science and economics.
Executive Order 13783 directed agencies to ensure that estimates of the
social cost of GHG used in regulatory analyses ``are based on the best
available science and economics'' and are consistent with the guidance
contained in Office of Management and Budget (OMB) Circular A-4,
``including with respect to the consideration of domestic versus
international impacts and the consideration of appropriate discount
rates'' (Executive Order 13783, Section 5(c)). In addition, Executive
Order 13783 withdrew the TSDs and the August 2016 Addendum to these
TSDs describing the global social cost of GHG estimates developed under
the prior Administration as no longer representative of government
policy. The withdrawn TSDs and Addendum were developed by an
interagency working group that included the EPA and other executive
branch entities and were used in the 2016 NSPS subpart OOOOa RIA.
The EPA estimated the PV of the forgone domestic climate benefits
over the 2021 to 2030 period to be $19 million under a 7-percent
discount rate and $71 million under a 3-percent discount rate. The EAV
of these forgone benefits is estimated $2.5 million per year under a 7-
percent discount rate and $8.1 million per year under a 3-percent
discount rate. These values represent only a partial accounting of
domestic climate impacts from methane emissions and do not account for
health effects of ozone exposure from the increase in methane
emissions.
Under the final rule, the EPA expects that forgone VOC emission
reductions will degrade air quality and are likely to adversely affect
health and welfare associated with exposure to ozone, PM2.5,
and HAP, but we did not quantify these effects at this time due to the
data limitations described below. This omission should not imply that
these forgone benefits may not exist; rather, it reflects the inherent
difficulties in accurately modeling the direct and indirect impacts of
the projected reductions in emissions for this industrial sector. To
the extent that the EPA were to quantify these ozone and PM impacts, it
would estimate the number and value of avoided premature deaths and
illnesses using an approach detailed in the Particulate Matter NAAQS
and Ozone NAAQS RIAs.83 84 This approach relies on full-form
air quality modeling. The Agency is committed to assessing ways of
conducting full-form air quality modeling for the oil and natural gas
sector that would be suitable for use in regulatory analysis in the
context of NSPS, including ways to address the uncertainties regarding
the scope and magnitude of VOC emissions.
---------------------------------------------------------------------------
\83\ U.S. EPA. December 2012. ``Regulatory Impact Analysis for
the Final Revisions to the National Ambient Air Quality Standards
for Particulate Matter.'' EPA-452/R-12-005. Office of Air Quality
Planning and Standards, Health and Environmental Impacts Division.
https://www3.epa.gov/ttnecas1/regdata/RIAs/finalria.pdf. Accessed
January 9, 2020.
\84\ U.S. U.S. EPA. September 2015. ``Regulatory Impact Analysis
of the Final Revisions to the National Ambient Air Quality Standards
for Ground-Level Ozone.'' EPA-452/R-15-007. Office of Air Quality
Planning and Standards, Health and Environmental Impacts Division.
https://www3.epa.gov/ttnecas1/docs/20151001ria.pdf. Accessed January
9, 2020.
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When quantifying the incidence and economic value of the human
health impacts of air quality changes, the Agency sometimes relies upon
alternative approaches to using full-form air quality modeling, called
reduced-form techniques, often reported as ``benefit-per-ton'' values
that relate air pollution impacts to changes in air pollutant precursor
emissions.\85\ A small, but growing, literature characterizes the air
quality and health impacts from the oil and natural gas
sector.86 87 88 The Agency feels more work needs to be done
to vet the analysis and methodologies for all potential approaches for
valuing the health effects of VOC emissions before they are used in
regulatory analysis, but is committed to continuing this work.
Recently, the EPA systematically compared the changes in benefits, and
concentrations where available, from its benefit-per-ton technique and
other reduced-form techniques to the changes in benefits and
concentrations derived from full-form photochemical model
representation of a few different specific emissions scenarios.\89\ The
Agency's goal was to create a methodology by which investigators could
better understand the suitability of alternative reduced-form air
quality modeling techniques for estimating the health impacts of
criteria pollutant emissions changes in the EPA's benefit-cost
analysis, including the extent to which reduced form models may over-
or under-estimate benefits (compared to full-scale modeling) under
different scenarios and air quality concentrations. The EPA Science
Advisory Board (SAB) recently convened a panel to review this
report.\90\ In particular, the SAB will assess the techniques the
Agency used to appraise these tools; the Agency's approach for
depicting the results of reduced-form tools; and, steps the Agency
might take for improving the reliability of reduced-form techniques for
use in future RIAs.
---------------------------------------------------------------------------
\85\ U.S. EPA. 2018. ``Technical Support Document: Estimating
the Benefit per Ton of Reducing PM2.5 Precursors from 17
Sectors.'' February. https://www.epa.gov/sites/production/files/2018-02/documents/sourceapportionmentbpttsd_2018.pdf. Accessed
January 9, 2020.
\86\ Fann, N., K.R. Baker, E.A.W. Chan, A. Eyth, A. Macpherson,
E. Miller, and J. Snyder. 2018. ``Assessing Human Health
PM2.5 and Ozone Impacts from U.S. Oil and Natural Gas
Sector Emissions in 2025.'' Environmental Science and Technology
52(15):8095-8103.
\87\ Litovitz, A., A. Curtright, S. Abramzon, N. Burger, and C.
Samaras. 2013. ``Estimation of Regional Air-Quality Damages from
Marcellus Shale Natural Gas Extraction in Pennsylvania.''
Environmental Research Letters 8(1), 014017.
\88\ Loomis, J. and M. Haefele. 2017. ``Quantifying Market and
Non-market Benefits and Costs of Hydraulic Fracturing in the United
States: A Summary of the Literature.'' Ecological Economics 138:160-
167.
\89\ This analysis compared the benefits estimated using full-
form photochemical air quality modeling simulations (CMAQ and CAMx)
against four reduced-form tools, including: InMAP; AP2/3; EASIUR and
the EPA's benefit-per-ton.
\90\ 85 FR 23823 (April 29, 2020).
---------------------------------------------------------------------------
VIII. Statutory and Executive Order Reviews
Additional information about these statutes and Executive orders
can be found at https://www.epa.gov/laws-regulations/laws-and-executive-orders.
A. Executive Order 12866: Regulatory Planning and Review and Executive
Order 13563: Improving Regulation and Regulatory Review
This action is an economically significant regulatory action that
was submitted to OMB for review. Any changes made in response to OMB
recommendations have been documented in the docket. The EPA prepared an
analysis of the potential costs and benefits associated with this
action. This RIA is available in the docket. The RIA describes in
detail the basis for the EPA's assumptions and characterizes the
various sources of uncertainties affecting the estimates below.
Table 6 shows the present value and equivalent annualized value of
the costs, benefits, and net benefits of the final rule for the 2021 to
2030 period relative to the baseline using discount rates of 7 and 3
percent, respectively. The table also shows the total forgone emission
reductions projected from 2021 to 2030 relative to the baseline. In the
following table, we refer to the compliance cost reductions as the
``benefits'' and the forgone benefits as the ``costs'' of this final
action. The net benefits are the benefits (total cost
[[Page 57436]]
reductions) minus the costs (forgone domestic climate benefits).
Table 6--Summary of the Present Value and Equivalent Annualized Value of the Monetized Forgone Benefits, Cost
Reductions, and Net Benefits From 2021 to 2030, 7-Percent and 3-Percent Discount Rates
[Millions of 2016$]
----------------------------------------------------------------------------------------------------------------
7-Percent discount rate 3-Percent discount rate
---------------------------------------------------------------
PV EAV PV EAV
----------------------------------------------------------------------------------------------------------------
Benefits (Total Cost Reductions)................ $750 $100 $950 $110
Compliance Cost Reductions...................... 800 110 1,000 110
Forgone Value of Product Recovery............... 44 5.9 57 6.5
Costs (Forgone Domestic Climate Benefits)....... 19 2.5 71 8.1
Net Benefits.................................... 730 97 880 100
---------------------------------------------------------------
Non-monetized Forgone Benefits.................. Non-monetized climate impacts from increases in methane
emissions.
Health effects of PM2.5 and ozone exposure from an increase of
about 120,000 short tons of VOC from 2021 through 2030.
Health effects of HAP exposure from an increase of about 4,700
short tons of HAP from 2021 through 2030.
Health effects of ozone exposure from an increase of about
450,000 short tons of methane from 2021 through 2030.
Visibility impairment.
Vegetation effects.
----------------------------------------------------------------------------------------------------------------
Note: Estimates are rounded to two significant digits and may not sum due to independent rounding.
B. Executive Order 13771: Reducing Regulations and Controlling
Regulatory Costs
This action is considered an Executive Order 13771 deregulatory
action. Details on the estimated cost reductions of this final rule can
be found in the EPA's analysis of the potential costs and benefits
associated with this action.
C. Paperwork Reduction Act (PRA)
The information collection 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 2523.04, Control Number 2060-0721. 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.
A summary of the information collection activities previously
submitted to the OMB for the final action titled ``Standards of
Performance for Crude Oil and Natural Gas Facilities for which
Construction, Modification, or Reconstruction Commenced After September
18, 2015'' (2016 NSPS subpart OOOOa), under the PRA, and assigned OMB
Control Number 2060-0721, can be found at 81 FR 35890. You can find a
copy of the 2016 ICR in the 2016 NSPS subpart OOOOa docket (EPA-HQ-OAR-
2010-0505-7626). The EPA is revising the information collection
activities as a result of the amendments in this final rule. You can
find a copy of the revised ICR in the docket for this rule (EPA-HQ-OAR-
2017-0483), and it is briefly summarized here.
Comments were received on the October 15, 2018 (83 FR 52056)
proposed rulemaking indicating that the recordkeeping and reporting
burden for the 2016 NSPS subpart OOOOa was significantly
underestimated, as discussed in section V.B.2 of this preamble. After
consideration of these comments, the EPA updated the assessment of the
recordkeeping and reporting burden for the 2016 NSPS subpart OOOOa. The
updated 2016 NSPS subpart OOOOa ICR was used as the ``baseline'' from
which changes in the Review Rule published in the Federal Register of
Monday, September 14, 2020 were compared. Additional information on the
Review Rule can be found at Docket ID No. EPA-HQ-OAR-2017-0757.
This final rule includes additional revisions to the information
collection activities for NSPS subpart OOOOa.
Respondents/affected entities: Owners or operators of onshore oil
and natural gas affected facilities.
Respondent's obligation to respond: Mandatory.
Estimated number of respondents: 519.
Frequency of response: Annually or semiannually, depending on the
requirement.
Total estimated burden: 1,124,965 hours. Burden is defined at 5 CFR
1320.3(b).
Total estimated cost: $215,874,903, includes $2,681,370 annualized
capital or operation and maintenance 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. In
making this determination, the impact of concern is any significant
adverse economic impact on small entities. An agency may certify that a
rule will not have a significant economic impact on a substantial
number of small entities if the rule relieves regulatory burden, has no
net burden, or otherwise has a positive economic effect on the small
entities subject to the rule. This is a deregulatory action, and the
burden on all entities affected by this final rule, including small
entities, is reduced compared to the 2016 NSPS subpart
[[Page 57437]]
OOOOa. See the RIA for details. We have, therefore, concluded that this
action will relieve regulatory burden for all directly regulated small
entities.
E. Unfunded Mandates Reform Act (UMRA)
This action does not contain any unfunded mandate as described in
UMRA, 2 U.S.C. 1531-1538, and does not significantly or uniquely affect
small governments. The action imposes no enforceable duty on any state,
local, or tribal governments, or the private sector.
F. Executive Order 13132: Federalism
This action does not have federalism implications. It will not have
substantial direct effects on the states, on the relationship between
the National Government and the states, or on the distribution of power
and responsibilities among the various levels of government.
G. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
This action does not have tribal implications, as specified in
Executive Order 13175. It will not have substantial direct effects on
tribal governments, on the relationship between the Federal Government
and Indian tribes, or on the distribution of power and responsibilities
between the Federal Government and Indian tribes, as specified in
Executive Order 13175. Thus, Executive Order 13175 does not apply to
this action.
H. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
This action is not subject to Executive Order 13045 because the EPA
does not believe the environmental health risks or safety risks
addressed by this action present a disproportionate risk to children.
While children may experience forgone benefits as a result of this
action, the potential forgone emission reductions (and related
benefits) from the final amendments are small compared to the overall
emission reductions (and related benefits) from the 2016 NSPS subpart
OOOOa.
This final action does not affect the level of public health and
environmental protection already being provided by existing NAAQS and
other mechanisms in the CAA. This action does not affect applicable
local, state, or Federal permitting or air quality management programs
that will continue to address areas with degraded air quality and
maintain the air quality in areas meeting current standards. Areas that
need to reduce criteria air pollution to meet the NAAQS will still need
to rely on control strategies to reduce emissions. The EPA does not
believe this decrease in emission reductions projected from this action
will have a disproportionate adverse effect on children's health.
I. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
This action is not a ``significant energy action'' because it is
not likely to have a significant adverse effect on the supply,
distribution, or use of energy. In the RIA accompanying the 2016 NSPS
subpart OOOOa, the EPA used the NEMS to estimate the impacts of the
2016 NSPS subpart OOOOa on the United States energy system. The EPA
estimated small impacts of that rule over the 2020 to 2025 period
relative to the baseline for that rule. This final rule is estimated to
result in a decrease in total compliance costs, with the reduction in
costs affecting a subset of the affected entities under NSPS subpart
OOOOa. Therefore, the EPA expects that this deregulatory action will
reduce the impacts estimated for the final NSPS in the 2016 RIA and, as
such, is not a significant energy action.
J. National Technology Transfer and Advancement Act (NTTAA)
This action involves technical standards.\91\ Therefore, the EPA
conducted searches for the Oil and Natural Gas Sector: Emission
Standards for New, Reconstructed, and Modified Sources Reconsideration
through the Enhanced National Standards Systems Network (NSSN) Database
managed by the American National Standards Institute (ANSI). Searches
were conducted for EPA Methods 1, 1A, 2, 2A, 2C, 2D, 3A, 3B, 3C, 4, 6,
10, 15, 16, 16A, 18, 21, 22, and 25A of 40 CFR part 60, appendix A. No
applicable voluntary consensus standards (VCS) were identified for EPA
Methods 1A, 2A, 2D, 21, and 22 and none were brought to its attention
in comments. All potential standards were reviewed to determine the
practicality of the VCS for this rule.
---------------------------------------------------------------------------
\91\ These technical standards are the same as those previously
finalized at 40 CFR part 60, subpart OOOOa (81 FR 35824). 2016 NSPS
subpart OOOOa also previously incorporated by reference 10 technical
standards. The incorporation by reference remains unchanged in this
action. See Docket ID Item Nos. EPA-HQ-OAR-2010-0505-7657 and EPA-
HQ-OAR-2010-0505-7658.
---------------------------------------------------------------------------
Two VCS were identified as an acceptable alternative to the EPA
test methods for the purpose of this rule. First, ANSI/ASME PTC 19-10-
1981, ``Flue and Exhaust Gas Analyses (Part 10),'' was identified to be
used in lieu of EPA Methods 3B, 6, 6A, 6B, 15A, and 16A manual portions
only and not the instrumental portion. This standard includes manual
and instructional methods of analysis for carbon dioxide, carbon
monoxide, hydrogen sulfide, nitrogen oxides, oxygen, and
SO2. Second, ASTM D6420-99 (2010), ``Test Method for
Determination of Gaseous Organic Compounds by Direct Interface Gas
Chromatography/Mass Spectrometry,'' is an acceptable alternative to EPA
Method 18 with the following caveats; only use when the target
compounds are all known and the target compounds are all listed in ASTM
D6420 as measurable. ASTM D6420 should never be specified as a total
VOC Method. (ASTM D6420-99 (2010) is not incorporated by reference in
40 CFR part 60.) The search identified 19 VCS that were potentially
applicable for this rule in lieu of the EPA reference methods. However,
these have been determined to not be practical due to lack of
equivalency, documentation, validation of data, and other important
technical and policy considerations. For additional information, please
see the memorandum, ``Voluntary Consensus Standard Results for Oil and
Natural Gas Sector: Emission Standards for New, Reconstructed, and
Modified Sources Reconsideration,'' located at Docket ID No. EPA-HQ-
OAR-2017-0483.
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).
While these communities may experience forgone benefits as a result of
this action, the potential forgone emission reductions (and related
benefits) from the final amendments are small compared to the overall
emission reductions (and related benefits) from the 2016 NSPS subpart
OOOOa. The amendments in this final action will decrease the projected
emission reductions of the rule it revises by a small degree. Based on
the revisions in this final rule, for the year 2025, we estimate a
decrease in the projected emissions reductions anticipated by the 2016
NSPS subpart OOOOa in the production and processing segments of about
12 to 15 percent for methane and about 7 to 9 percent for VOC.
[[Page 57438]]
Moreover, this action does not affect the level of public health
and environmental protection already being provided by existing NAAQS,
including ozone and PM2.5, and other mechanisms in the CAA.
This action does not affect applicable local, state, or Federal
permitting or air quality management programs that will continue to
address areas with degraded air quality and maintain the air quality in
areas meeting current standards. Areas that need to reduce criteria air
pollution to meet the NAAQS will still need to rely on control
strategies to reduce emissions.
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 a ``major rule'' as defined by 5
U.S.C. 804(2).
List of Subjects in 40 CFR Part 60
Environmental protection, Administrative practice and procedure,
Air pollution control, Reporting and recordkeeping.
Andrew Wheeler,
Administrator.
For the reasons set out in the preamble, 40 CFR part 60 is amended
as follows:
PART 60--STANDARDS OF PERFORMANCE FOR NEW STATIONARY SOURCES
0
1. The authority citation for part 60 continues to read as follows:
Authority: 42 U.S.C. 7401 et seq.
Subpart OOOOa--Standards of Performance for Crude Oil and Natural
Gas Facilities for Which Construction, Modification or
Reconstruction Commenced After September 18, 2015
0
2. Section 60.5360a is amended by revising paragraph (a) to read as
follows:
Sec. 60.5360a What is the purpose of this subpart?
(a) This subpart establishes emission standards and compliance
schedules for the control of volatile organic compounds (VOC) and
sulfur dioxide (SO2) emissions from affected facilities in
the crude oil and natural gas production source category that commence
construction, modification, or reconstruction after September 18, 2015.
* * * * *
0
3. Section 60.5365a is amended by revising paragraphs (e), (f)
introductory text, (g) introductory text, and (g)(1) and adding
paragraph (i)(4) to read as follows:
Sec. 60.5365a Am I subject to this subpart?
* * * * *
(e) Each storage vessel affected facility, which is a single
storage vessel as specified in paragraph (e)(1), (2), or (3) of this
section.
(1) A single storage vessel that commenced construction,
reconstruction, or modification after September 18, 2015, and on or
before November 16, 2020, is a storage vessel affected facility if its
potential for VOC emissions is equal to or greater than 6 tons per year
(tpy) as determined according to this paragraph (e)(1). The potential
for VOC emissions must be calculated using a generally accepted model
or calculation methodology, based on the maximum average daily
throughput (as defined in Sec. 60.5430a) determined for a 30-day
period prior to the applicable emission determination deadline
specified in paragraphs (e)(2)(i) and (ii) of this section, except as
provided in paragraph (e)(5)(iv). The determination may take into
account requirements under a legally and practicably enforceable limit
in an operating permit or other requirement established under a
Federal, state, local, or tribal authority.
(2) Except as specified in paragraph (e)(3) of this section, a
single storage vessel that commenced construction, reconstruction or
modification after November 16, 2020, is a storage vessel affected
facility if the potential for VOC emissions is equal to or greater than
6 tpy as determined according to paragraph (e)(2)(i) or (ii) of this
section, except as provided in paragraph (e)(5)(iv) of this section.
The determination may take into account requirements under a legally
and practicably enforceable limit in an operating permit or other
requirement established under a Federal, state, local, or tribal
authority. The potential for VOC emissions is calculated on an
individual storage vessel basis and is not averaged across the number
of storage vessels at the site.
(i) For each storage vessel receiving liquids pursuant to the
standards for well affected facilities in Sec. 60.5375a, including
wells subject to Sec. 60.5375a(f), you must determine the potential
for VOC emissions within 30 days after startup of production of the
well, except as provided in paragraph (e)(5)(iv) of this section. The
potential for VOC emissions must be calculated for each individual
storage vessel using a generally accepted model or calculation
methodology, based on the maximum average daily throughput, as defined
in Sec. 60.5430a, determined for a 30-day period of production.
(ii) For each storage vessel located at a compressor station or
onshore natural gas processing plant, you must determine the potential
for VOC emissions prior to startup of the compressor station or onshore
natural gas processing plant using either method described in paragraph
(e)(2)(ii)(A) or (B) of this section.
(A) Determine the potential for VOC emissions using a generally
accepted model or calculation methodology and based on the throughput
established in a legally and practicably enforceable limit in an
operating permit or other requirement established under a Federal,
state, local, or tribal authority; or
(B) Determine the potential for VOC emissions using a generally
accepted model or calculation methodology and based on projected
maximum average daily throughput. Maximum average daily throughput is
determined using a generally accepted engineering model (e.g.,
volumetric condensate rates from the storage vessels based on the
maximum gas throughput capacity of each producing facility) to project
the maximum average daily throughput for the storage vessel.
(3) If a storage vessel battery, which consists of two or more
storage vessels, meets all of the design and operational criteria
specified in paragraphs (e)(3)(i) through (iv) of this section through
legally and practicably enforceable standards in a permit or other
requirement established under Federal, state, local, or tribal
authority, then each storage vessel in such storage vessel battery is a
storage vessel affected facility.
(i) The storage vessels must be manifolded together with piping
such that all vapors are shared among the headspaces of the storage
vessels;
(ii) The storage vessels must be equipped with a closed vent system
that is designed, operated, and maintained to route the vapors back to
the process or to a control device;
(iii) The vapors collected in paragraph (e)(3)(i) of this section
must be routed back to the process or to a control device that reduces
VOC emissions by at least 95.0 percent; and
(iv) The VOC emissions, averaged across the number of storage
vessels in the battery meeting all of the criteria of paragraphs
(e)(3)(i) through (iii) of this section, are equal to or greater than 6
tpy.
(v) If a storage vessel battery meeting all of the criteria
specified in paragraphs (e)(3)(i) through (iii) of this section through
legally and practicably
[[Page 57439]]
enforceable standards in a permit or other requirements established
under Federal, state, local, or tribal authority, emits less than 6 tpy
of VOC emissions averaged across the number of storage vessels in the
battery, none of the storage vessels in the battery are storage vessel
affected facilities.
(4) A storage vessel affected facility that subsequently has its
potential for VOC emissions decrease to less than 6 tpy shall remain an
affected facility under this subpart.
(5) For storage vessels not subject to a legally and practicably
enforceable limit in an operating permit or other requirement
established under Federal, state, local, or tribal authority, any vapor
from the storage vessel that is recovered and routed to a process
through a VRU designed and operated as specified in this section is not
required to be included in the determination of potential for VOC
emissions for purposes of determining affected facility status,
provided you comply with the requirements in paragraphs (e)(5)(i)
through (iv) of this section.
(i) You meet the cover requirements specified in Sec. 60.5411a(b).
(ii) You meet the closed vent system requirements specified in
Sec. 60.5411a(c) and (d).
(iii) You must maintain records that document compliance with
paragraphs (e)(5)(i) and (ii) of this section.
(iv) In the event of removal of apparatus that recovers and routes
vapor to a process, or operation that is inconsistent with the
conditions specified in paragraphs (e)(5)(i) and (ii) of this section,
you must determine the storage vessel's potential for VOC emissions
according to this section within 30 days of such removal or operation.
(6) The requirements of this paragraph (e)(6) apply to each storage
vessel affected facility immediately upon startup, startup of
production, or return to service. A storage vessel affected facility
that is reconnected to the original source of liquids is a storage
vessel affected facility subject to the same requirements that applied
before being removed from service. Any storage vessel that is used to
replace any storage vessel affected facility is subject to the same
requirements that applied to the storage vessel affected facility being
replaced.
(7) A storage vessel with a capacity greater than 100,000 gallons
used to recycle water that has been passed through two stage separation
is not a storage vessel affected facility.
(f) The group of all equipment within a process unit at an onshore
natural gas processing plant is an affected facility.
* * * * *
(g) Sweetening units located at onshore natural gas processing
plants that commenced construction, modification, or reconstruction
after September 18, 2015, and on or before November 16, 2020, and
sweetening units that commence construction, modification, or
reconstruction after November 16, 2020.
(1) Each sweetening unit that processes natural gas produced from
either onshore or offshore wells is an affected facility; and
* * * * *
(i) * * *
(4) For purposes of Sec. 60.5397a, a ``modification'' to an
existing source separate tank battery surface site occurs when:
(i) Any of the actions in paragraphs (i)(3)(i) through (iii) of
this section occurs at an existing source separate tank battery surface
site;
(ii) A well sending production to an existing source separate tank
battery site is modified, as defined in paragraphs (i)(3)(i) through
(iii) of this section; or
(iii) A well site subject to the requirements in Sec. 60.5397a
removes all major production and processing equipment, as defined in
Sec. 60.5430a, such that it becomes a wellhead only well site and
sends production to an existing source separate tank battery surface
site.
* * * * *
0
4. Section 60.5375a is amended by revising paragraphs (a)(1)(i),
(a)(1)(iii) introductory text, and (f)(3)(ii) and adding paragraph
(f)(4) to read as follows:
Sec. 60.5375a What VOC standards apply to well affected facilities?
* * * * *
(a) * * *
(1) * * *
(i) During the initial flowback stage, route the flowback into one
or more well completion vessels or storage vessels and commence
operation of a separator unless it is technically infeasible for a
separator to function. The separator may be a production separator, but
the production separator also must be designed to accommodate flowback.
Any gas present in the initial flowback stage is not subject to control
under this section.
* * * * *
(iii) You must have the separator onsite or otherwise available for
use at a centralized facility or well pad that services the well
affected facility during well completions. The separator must be
available and ready for use to comply with paragraph (a)(1)(ii) of this
section during the entirety of the flowback period, except as provided
in paragraphs (a)(1)(iii)(A) through (C) of this section.
* * * * *
(f) * * *
(3) * * *
(ii) Route all flowback into one or more well completion vessels
and commence operation of a separator unless it is technically
infeasible for a separator to function. Any gas present in the flowback
before the separator can function is not subject to control under this
section. Capture and direct recovered gas to a completion combustion
device, except in conditions that may result in a fire hazard or
explosion, or where high heat emissions from a completion combustion
device may negatively impact tundra, permafrost, or waterways.
Completion combustion devices must be equipped with a reliable
continuous pilot flame.
(4) You must submit the notification as specified in Sec.
60.5420a(a)(2), submit annual reports as specified in Sec.
60.5420a(b)(1) and (2) and maintain records specified in Sec.
60.5420a(c)(1)(iii) for each wildcat and delineation well. You must
submit the notification as specified in Sec. 60.5420a(a)(2), submit
annual reports as specified in Sec. 60.5420a(b)(1) and (2), and
maintain records as specified in Sec. 60.5420a(c)(1)(iii) and (vii)
for each low pressure well.
* * * * *
0
5. Section 60.5385a is amended by revising paragraph (a)(1) to read as
follows:
Sec. 60.5385a What VOC standards apply to reciprocating compressor
affected facilities?
* * * * *
(a) * * *
(1) On or before the compressor has operated for 26,000 hours. The
number of hours of operation must be continuously monitored beginning
upon initial startup of your reciprocating compressor affected
facility, August 2, 2016, or the date of the most recent reciprocating
compressor rod packing replacement, whichever is latest.
* * * * *
0
6. Section 60.5393a is amended by revising paragraphs (b) and (c) and
removing paragraph (f) to read as follows:
Sec. 60.5393a What VOC standards apply to pneumatic pump affected
facilities?
* * * * *
[[Page 57440]]
(b) For each pneumatic pump affected facility at a well site you
must reduce natural gas emissions by 95.0 percent, except as provided
in paragraphs (b)(3), (4), and (5) of this section.
(1)-(2) [Reserved]
(3) You are not required to install a control device solely for the
purpose of complying with the 95.0 percent reduction requirement of
paragraph (b) of this section. If you do not have a control device
installed on site by the compliance date and you do not have the
ability to route to a process, then you must comply instead with the
provisions of paragraphs (b)(3)(i) and (ii) of this section. For the
purposes of this section, boilers and process heaters are not
considered control devices. In addition, routing emissions from
pneumatic pump discharges to boilers and process heaters is not
considered routing to a process.
(i) Submit a certification in accordance with Sec.
60.5420a(b)(8)(i)(A) in your next annual report, certifying that there
is no available control device or process on site and maintain the
records in Sec. 60.5420a(c)(16)(i) and (ii).
(ii) If you subsequently install a control device or have the
ability to route to a process, you are no longer required to comply
with paragraph (b)(3)(i) of this section and must submit the
information in Sec. 60.5420a(b)(8)(ii) in your next annual report and
maintain the records in Sec. 60.5420a(c)(16)(i), (ii), and (iii). You
must be in compliance with the requirements of paragraph (b) of this
section within 30 days of startup of the control device or within 30
days of the ability to route to a process.
(4) If the control device available on site is unable to achieve a
95-percent reduction and there is no ability to route the emissions to
a process, you must still route the pneumatic pump affected facility's
emissions to that control device. If you route the pneumatic pump
affected facility to a control device installed on site that is
designed to achieve less than a 95-percent reduction, you must submit
the information specified in Sec. 60.5420a(b)(8)(i)(C) in your next
annual report and maintain the records in Sec. 60.5420a(c)(16)(iii).
(5) If an owner or operator determines, through an engineering
assessment, that routing a pneumatic pump to a control device or a
process is technically infeasible, the requirements specified in
paragraphs (b)(5)(i) through (iv) of this section must be met.
(i) The owner or operator shall conduct the assessment of technical
infeasibility in accordance with the criteria in paragraph (b)(5)(iii)
of this section and have it certified by either a qualified
professional engineer or an in-house engineer with expertise on the
design and operation of the pneumatic pump in accordance with paragraph
(b)(5)(ii) of this section.
(ii) The following certification, signed and dated by the qualified
professional engineer or in-house engineer, shall state: ``I certify
that the assessment of technical infeasibility was prepared under my
direction or supervision. I further certify that the assessment was
conducted and this report was prepared pursuant to the requirements of
Sec. 60.5393a(b)(5)(iii). Based on my professional knowledge and
experience, and inquiry of personnel involved in the assessment, the
certification submitted herein is true, accurate, and complete.''
(iii) The assessment of technical infeasibility to route emissions
from the pneumatic pump to an existing control device onsite or to a
process shall include, but is not limited to, safety considerations,
distance from the control device or process, pressure losses and
differentials in the closed vent system, and the ability of the control
device or process to handle the pneumatic pump emissions which are
routed to them. The assessment of technical infeasibility shall be
prepared under the direction or supervision of the qualified
professional engineer or in-house engineer who signs the certification
in accordance with paragraph (b)(5)(ii) of this section.
(iv) The owner or operator shall maintain the records specified in
Sec. 60.5420a(c)(16)(iv).
(6) If the pneumatic pump is routed to a control device or a
process and the control device or process is subsequently removed from
the location or is no longer available, you are no longer required to
be in compliance with the requirements of paragraph (b) of this
section, and instead must comply with paragraph (b)(3) of this section
and report the change in the next annual report in accordance with
Sec. 60.5420a(b)(8)(ii).
(c) If you use a control device or route to a process to reduce
emissions, you must connect the pneumatic pump affected facility
through a closed vent system that meets the requirements of Sec. Sec.
60.5411a(d) and (e), 60.5415a(b)(3), and 60.5416a(d).
* * * * *
0
7. Section 60.5395a is amended by revising the introductory text to
read as follows:
Sec. 60.5395a What VOC standards apply to storage vessel affected
facilities?
Each storage vessel affected facility must comply with the VOC
standards in this section, except as provided in paragraph (e) of this
section.
* * * * *
0
8. Section 60.5397a is amended by revising paragraphs (a), (c)(2),
(c)(7)(i) introductory text, and (c)(8) introductory text, adding
paragraph (c)(8)(iii), and revising paragraphs (d), (f), (g)
introductory text, (g)(1), (2), and (5), and (h) to read as follows:
Sec. 60.5397a What fugitive emissions VOC standards apply to the
affected facility which is the collection of fugitive emissions
components at a well site and the affected facility which is the
collection of fugitive emissions components at a compressor station?
* * * * *
(a) You must comply with paragraph (a)(1) of this section, unless
your affected facility under Sec. 60.5365a(i) (i.e., the collection of
fugitive emissions components at a well site) meets the conditions
specified in either paragraph (a)(1)(i) or (ii) of this section. If
your affected facility under Sec. 60.5365a(i) (i.e., the collection of
fugitive emissions components at a well site) meets the conditions
specified in either paragraph (a)(1)(i) or (ii) of this section, you
must comply with either paragraph (a)(1) or (2) of this section.
(1) You must monitor all fugitive emission components, as defined
in Sec. 60.5430a, in accordance with paragraphs (b) through (g) of
this section. You must repair all sources of fugitive emissions in
accordance with paragraph (h) of this section. You must keep records in
accordance with paragraph (i) of this section and report in accordance
with paragraph (j) of this section. For purposes of this section,
fugitive emissions are defined as any visible emission from a fugitive
emissions component observed using optical gas imaging or an instrument
reading of 500 parts per million (ppm) or greater using Method 21 of
appendix A-7 to this part.
(i) First 30-day production. For the collection of fugitive
emissions components at a well site, where the total production of the
well site is at or below 15 barrels of oil equivalent (boe) per day for
the first 30 days of production, according to Sec. 60.5415a(j), you
must comply with the provisions of either paragraph (a)(1) or (2) of
this section. Except as provided in this paragraph (a)(1)(i), the
calculation must be performed within 45 days of the end of the first 30
days of production. To convert gas production to equivalent barrels of
oil, divide the cubic feet of gas produced by 6,000. For well sites
that commenced construction, reconstruction, or modification between
[[Page 57441]]
October 15, 2019, and November 16, 2020, the owner or operator may use
the records of the first 30 days of production after becoming subject
to this subpart, if available, to determine if the total well site
production is at or below 15 boe per day, provided this determination
is completed by December 14, 2020.
(ii) Well site production decline. For the collection of fugitive
emissions components at a well site, where, at any time, the total
production of the well site is at or below 15 boe per day based on a
rolling 12-month average, you must comply with the provisions of either
paragraph (a)(1) or (2) of this section. To convert gas production to
equivalent barrels of oil, divide the cubic feet of gas produced by
6,000.
(2) You must maintain the total production for the well site at or
below 15 boe per day based on a rolling 12-month average, according to
Sec. Sec. 60.5410a(k) and 60.5415a(i), comply with the reporting
requirements in Sec. 60.5420a(b)(7)(i)(C), and the recordkeeping
requirements in Sec. 60.5420a(c)(15)(ii), until such time that you
perform any of the actions in paragraphs (a)(2)(i) through (v) of this
section. If any of the actions listed in paragraphs (a)(2)(i) through
(v) of this section occur, you must comply with paragraph (a)(3) of
this section.
(i) A new well is drilled at the well site;
(ii) A well at the well site is hydraulically fractured;
(iii) A well at the well site is hydraulically refractured;
(iv) A well at the well site is stimulated in any manner for the
purpose of increasing production, including well workovers; or
(v) A well at the well site is shut-in for the purpose of
increasing production from the well.
(3) You must determine the total production for the well site for
the first 30 days after any of the actions listed in paragraphs
(a)(2)(i) through (v) of this section is completed, according to Sec.
60.5415a(j), comply with paragraph (a)(3)(i) or (ii) of this section,
the reporting requirements in Sec. 60.5420a(b)(7)(i)(C), and the
recordkeeping requirements in Sec. 60.5420a(c)(15)(iii).
(i) If the total production for the well site is at or below 15 boe
per day for the first 30 days after the action is completed, according
to Sec. 60.5415a(j), you must either continue to comply with paragraph
(a)(2) of this section or comply with paragraph (a)(1) of this section.
(ii) If the total production for the well site is greater than 15
boe per day for the first 30 days after the action is completed,
according to Sec. 60.5415a(j), you must comply with paragraph (a)(1)
of this section and conduct an initial monitoring survey for the
collection of fugitive emissions components at the well site in
accordance with the same schedule as for modified well sites as
specified in Sec. 60.5397a(f)(1).
* * * * *
(c) * * *
(2) Technique for determining fugitive emissions (i.e., Method 21
of appendix A-7 to this part or optical gas imaging meeting the
requirements in paragraphs (c)(7)(i) through (vii) of this section).
* * * * *
(7) * * *
(i) Verification that your optical gas imaging equipment meets the
specifications of paragraphs (c)(7)(i)(A) and (B) of this section. This
verification is an initial verification, and may either be performed by
the facility, by the manufacturer, or by a third party. For the
purposes of complying with the fugitive emissions monitoring program
with optical gas imaging, a fugitive emission is defined as any visible
emissions observed using optical gas imaging.
* * * * *
(8) If you are using Method 21 of appendix A-7 of this part, your
plan must also include the elements specified in paragraphs (c)(8)(i)
through (iii) of this section. For the purposes of complying with the
fugitive emissions monitoring program using Method 21 of appendix A-7
of this part a fugitive emission is defined as an instrument reading of
500 ppm or greater.
* * * * *
(iii) Procedures for calibration. The instrument must be calibrated
before use each day of its use by the procedures specified in Method 21
of appendix A-7 of this part. At a minimum, you must also conduct
precision tests at the interval specified in Method 21 of appendix A-7
of this part, Section 8.1.2, and a calibration drift assessment at the
end of each monitoring day. The calibration drift assessment must be
conducted as specified in paragraph (c)(8)(iii)(A) of this section.
Corrective action for drift assessments is specified in paragraphs
(c)(8)(iii)(B) and (C) of this section.
(A) Check the instrument using the same calibration gas that was
used to calibrate the instrument before use. Follow the procedures
specified in Method 21 of appendix A-7 of this part, Section 10.1,
except do not adjust the meter readout to correspond to the calibration
gas value. If multiple scales are used, record the instrument reading
for each scale used. Divide the arithmetic difference of the initial
and post-test calibration response by the corresponding calibration gas
value for each scale and multiply by 100 to express the calibration
drift as a percentage.
(B) If a calibration drift assessment shows a negative drift of
more than 10 percent, then all equipment with instrument readings
between the fugitive emission definition multiplied by (100 minus the
percent of negative drift/divided by 100) and the fugitive emission
definition that was monitored since the last calibration must be re-
monitored.
(C) If any calibration drift assessment shows a positive drift of
more than 10 percent from the initial calibration value, then, at the
owner/operator's discretion, all equipment with instrument readings
above the fugitive emission definition and below the fugitive emission
definition multiplied by (100 plus the percent of positive drift/
divided by 100) monitored since the last calibration may be re-
monitored.
(d) Each fugitive emissions monitoring plan must include the
elements specified in paragraphs (d)(1) through (3) of this section, at
a minimum, as applicable.
(1) If you are using optical gas imaging, your plan must include
procedures to ensure that all fugitive emissions components are
monitored during each survey. Example procedures include, but are not
limited to, a sitemap with an observation path, a written narrative of
where the fugitive emissions components are located and how they will
be monitored, or an inventory of fugitive emissions components.
(2) If you are using Method 21 of appendix A-7 of this part, your
plan must include a list of fugitive emissions components to be
monitored and method for determining the location of fugitive emissions
components to be monitored in the field (e.g., tagging, identification
on a process and instrumentation diagram, etc.).
(3) Your fugitive emissions monitoring plan must include the
written plan developed for all of the fugitive emissions components
designated as difficult-to-monitor in accordance with paragraph (g)(3)
of this section, and the written plan for fugitive emissions components
designated as unsafe-to-monitor in accordance with paragraph (g)(4) of
this section.
* * * * *
(f)(1) You must conduct an initial monitoring survey within 90 days
of the startup of production, as defined in
[[Page 57442]]
Sec. 60.5430a, for each collection of fugitive emissions components at
a new well site or by June 3, 2017, whichever is later. For a modified
collection of fugitive emissions components at a well site, the initial
monitoring survey must be conducted within 90 days of the startup of
production for each collection of fugitive emissions components after
the modification or by June 3, 2017, whichever is later.
Notwithstanding the preceding deadlines, for each collection of
fugitive emissions components at a well site located on the Alaskan
North Slope, as defined in Sec. 60.5430a, that starts up production
between September and March, you must conduct an initial monitoring
survey within 6 months of the startup of production for a new well
site, within 6 months of the first day of production after a
modification of the collection of fugitive emission components, or by
the following June 30, whichever is latest.
(2) You must conduct an initial monitoring survey within 90 days of
the startup of a new compressor station for each collection of fugitive
emissions components at the new compressor station or by June 3, 2017,
whichever is later. For a modified collection of fugitive emissions
components at a compressor station, the initial monitoring survey must
be conducted within 90 days of the modification or by June 3, 2017,
whichever is later. Notwithstanding the preceding deadlines, for each
collection of fugitive emissions components at a new compressor station
located on the Alaskan North Slope that starts up between September and
March, you must conduct an initial monitoring survey within 6 months of
the startup date for new compressor stations, within 6 months of the
modification, or by the following June 30, whichever is latest.
(g) A monitoring survey of each collection of fugitive emissions
components at a well site or at a compressor station must be performed
at the frequencies specified in paragraphs (g)(1) and (2) of this
section, with the exceptions noted in paragraphs (g)(3) through (5) of
this section.
(1) Except as provided in this paragraph (g)(1), a monitoring
survey of each collection of fugitive emissions components at a well
site must be conducted at least semiannually after the initial survey.
Consecutive semiannual monitoring surveys must be conducted at least 4
months apart and no more than 7 months apart. A monitoring survey of
each collection of fugitive emissions components at a well site located
on the Alaskan North Slope must be conducted at least annually.
Consecutive annual monitoring surveys must be conducted at least 9
months apart and no more than 13 months apart.
(2) Except as provided in this paragraph (g)(2), a monitoring
survey of the collection of fugitive emissions components at a
compressor station must be conducted at least semiannually after the
initial survey. Consecutive semiannual monitoring surveys must be
conducted at least 4 months apart and no more than 7 months apart. A
monitoring survey of the collection of fugitive emissions components at
a compressor station located on the Alaskan North Slope must be
conducted at least annually. Consecutive annual monitoring surveys must
be conducted at least 9 months apart and no more than 13 months apart.
* * * * *
(5) You are no longer required to comply with the requirements of
paragraph (g)(1) of this section when the owner or operator removes all
major production and processing equipment, as defined in Sec.
60.5430a, such that the well site becomes a wellhead only well site. If
any major production and processing equipment is subsequently added to
the well site, then the owner or operator must comply with the
requirements in paragraphs (f)(1) and (g)(1) of this section.
(h) Each identified source of fugitive emissions shall be repaired,
as defined in Sec. 60.5430a, in accordance with paragraphs (h)(1) and
(2) of this section.
(1) A first attempt at repair shall be made no later than 30
calendar days after detection of the fugitive emissions.
(2) Repair shall be completed as soon as practicable, but no later
than 30 calendar days after the first attempt at repair as required in
paragraph (h)(1) of this section.
(3) If the repair is technically infeasible, would require a vent
blowdown, a compressor station shutdown, a well shutdown or well shut-
in, or would be unsafe to repair during operation of the unit, the
repair must be completed during the next scheduled compressor station
shutdown for maintenance, scheduled well shutdown, scheduled well shut-
in, after a scheduled vent blowdown, or within 2 years, whichever is
earliest. For purposes of this paragraph (h)(3), a vent blowdown is the
opening of one or more blowdown valves to depressurize major production
and processing equipment, other than a storage vessel.
(4) Each identified source of fugitive emissions must be resurveyed
to complete repair according to the requirements in paragraphs
(h)(4)(i) through (iv) of this section, to ensure that there are no
fugitive emissions.
(i) The operator may resurvey the fugitive emissions components to
verify repair using either Method 21 of appendix A-7 of this part or
optical gas imaging.
(ii) For each repair that cannot be made during the monitoring
survey when the fugitive emissions are initially found, a digital
photograph must be taken of that component or the component must be
tagged during the monitoring survey when the fugitives were initially
found for identification purposes and subsequent repair. The digital
photograph must include the date that the photograph was taken and must
clearly identify the component by location within the site (e.g., the
latitude and longitude of the component or by other descriptive
landmarks visible in the picture).
(iii) Operators that use Method 21 of appendix A-7 of this part to
resurvey the repaired fugitive emissions components are subject to the
resurvey provisions specified in paragraphs (h)(4)(iii)(A) and (B) of
this section.
(A) A fugitive emissions component is repaired when the Method 21
instrument indicates a concentration of less than 500 ppm above
background or when no soap bubbles are observed when the alternative
screening procedures specified in section 8.3.3 of Method 21 of
appendix A-7 of this part are used.
(B) Operators must use the Method 21 monitoring requirements
specified in paragraph (c)(8)(ii) of this section or the alternative
screening procedures specified in section 8.3.3 of Method 21 of
appendix A-7 of this part.
(iv) Operators that use optical gas imaging to resurvey the
repaired fugitive emissions components, are subject to the resurvey
provisions specified in paragraphs (h)(4)(iv)(A) and (B) of this
section.
(A) A fugitive emissions component is repaired when the optical gas
imaging instrument shows no indication of visible emissions.
(B) Operators must use the optical gas imaging monitoring
requirements specified in paragraph (c)(7) of this section.
* * * * *
0
9. Section 60.5398a is revised to read as follows:
[[Page 57443]]
Sec. 60.5398a What are the alternative means of emission limitations
for VOC from well completions, reciprocating compressors, the
collection of fugitive emissions components at a well site and the
collection of fugitive emissions components at a compressor station?
(a) If, in the Administrator's judgment, an alternative means of
emission limitation will achieve a reduction in VOC emissions at least
equivalent to the reduction in VOC emissions achieved under Sec.
60.5375a, Sec. 60.5385a, or Sec. 60.5397a, the Administrator will
publish, in the Federal Register, a notice permitting the use of that
alternative means for the purpose of compliance with Sec. 60.5375a,
Sec. 60.5385a, or Sec. 60.5397a. The authority to approve an
alternative means of emission limitation is retained by the
Administrator and shall not be delegated to States under section 111(c)
of the Clean Air Act (CAA).
(b) Any notice under paragraph (a) of this section must be
published only after notice and an opportunity for a public hearing.
(c) Determination of equivalence to the design, equipment, work
practice, or operational requirements of this section will be evaluated
by the following guidelines:
(1) The applicant must provide information that is sufficient for
demonstrating the alternative means of emission limitation achieves
emission reductions that are at least equivalent to the emission
reductions that would be achieved by complying with the relevant
standards. At a minimum, the application must include the following
information:
(i) Details of the specific equipment or components that would be
included in the alternative.
(ii) A description of the alternative work practice, including, as
appropriate, the monitoring method, monitoring instrument or
measurement technology, and the data quality indicators for precision
and bias.
(iii) The method detection limit of the technology, technique, or
process and a description of the procedures used to determine the
method detection limit. At a minimum, the applicant must collect,
verify, and submit field data encompassing seasonal variations to
support the determination of the method detection limit. The field data
may be supplemented with modeling analyses, controlled test site data,
or other documentation.
(iv) Any initial and ongoing quality assurance/quality control
measures necessary for maintaining the technology, technique, or
process, and the timeframes for conducting such measures.
(v) Frequency of measurements. For continuous monitoring
techniques, the minimum data availability.
(vi) Any restrictions for using the technology, technique, or
process.
(vii) Initial and continuous compliance procedures, including
recordkeeping and reporting, if the compliance procedures are different
than those specified in this subpart.
(2) For each technology, technique, or process for which a
determination of equivalency is requested, the application must provide
a demonstration that the emission reduction achieved by the alternative
means of emission limitation is at least equivalent to the emission
reduction that would be achieved by complying with the relevant
standards in this subpart.
(d) Any alternative means of emission limitations approved under
this section shall constitute a required work practice, equipment,
design, or operational standard within the meaning of section 111(h)(1)
of the CAA.
0
10. Add Sec. 60.5399a to read as follows:
Sec. 60.5399a What alternative fugitive emissions standards apply to
the affected facility which is the collection of fugitive emissions
components at a well site and the affected facility which is the
collection of fugitive emissions components at a compressor station:
Equivalency with state, local, and tribal programs?
This section provides alternative fugitive emissions standards
based on programs under state, local, or tribal authorities for the
collection of fugitive emissions components, as defined in Sec.
60.5430a, located at well sites and compressor stations. Paragraphs (a)
through (e) of this section outline the procedure for submittal and
approval of alternative fugitive emissions standards. Paragraphs (f)
through (n) provide approved alternative fugitive emissions standards.
The terms ``fugitive emissions components'' and ``repaired'' are
defined in Sec. 60.5430a and must be applied to the alternative
fugitive emissions standards in this section. The requirements for a
monitoring plan as specified in Sec. 60.5397a(c) and (d) apply to the
alternative fugitive emissions standards in this section.
(a) Alternative fugitive emissions standards. If, in the
Administrator's judgment, an alternative fugitive emissions standard
will achieve a reduction in VOC emissions at least equivalent to the
reductions achieved under Sec. 60.5397a, the Administrator will
publish, in the Federal Register, a notice permitting use of the
alternative fugitive emissions standard for the purpose of compliance
with Sec. 60.5397a. The authority to approve alternative fugitive
emissions standards is retained by the Administrator and shall not be
delegated to States under section 111(c) of the CAA.
(b) Notice. Any notice under paragraph (a) of this section will be
published only after notice and an opportunity for public hearing.
(c) Evaluation guidelines. Determination of alternative fugitive
emissions standards to the design, equipment, work practice, or
operational requirements of Sec. 60.5397a will be evaluated by the
following guidelines:
(1) The monitoring instrument, including the monitoring procedure;
(2) The monitoring frequency;
(3) The fugitive emissions definition;
(4) The repair requirements; and
(5) The recordkeeping and reporting requirements.
(d) Approval of alternative fugitive emissions standard. Any
alternative fugitive emissions standard approved under this section
shall:
(1) Constitute a required design, equipment, work practice, or
operational standard within the meaning of section 111(h)(1) of the
CAA; and
(2) Be made available for use by any owner or operator in meeting
the relevant standards and requirements established for affected
facilities under Sec. 60.5397a.
(e) Notification. (1) An owner or operator must notify the
Administrator of adoption of the alternative fugitive emissions
standards within the first annual report following implementation of
the alternative fugitive emissions standard, as specified in Sec.
60.5420a(a)(3).
(2) An owner or operator implementing one of the alternative
fugitive emissions standards must submit the reports specified in Sec.
60.5420a(b)(7)(iii). An owner or operator must also maintain the
records specified by the specific alternative fugitive emissions
standard for a period of at least 5 years.
(f) Alternative fugitive emissions requirements for the collection
of fugitive emissions components located at a well site or a compressor
station in the State of California. An affected facility, which is the
collection of fugitive emissions components, as defined in Sec.
60.5430a, located at a well site or a compressor station in the State
of California may elect to reduce VOC emissions through compliance with
the monitoring, repair, and recordkeeping
[[Page 57444]]
requirements in the California Code of Regulations, title 17, sections
95665-95667, effective January 1, 2020, as an alternative to complying
with the requirements in Sec. 60.5397a(f)(1) and (2), (g)(1) through
(4), (h), and (i). The information specified in Sec.
60.5420a(b)(7)(iii)(A) and the information specified in either Sec.
60.5420a(b)(7)(iii)(B) or (C) may be provided as an alternative to the
requirements in Sec. 60.5397a(j).
(g) Alternative fugitive emissions requirements for the collection
of fugitive emissions components located at a well site or a compressor
station in the State of Colorado. An affected facility, which is the
collection of fugitive emissions components, as defined in Sec.
60.5430a, located at a well site or a compressor station in the State
of Colorado may elect to comply with the monitoring, repair, and
recordkeeping requirements in Colorado Regulation 7, Part D, section
I.L or II.E, effective February 14, 2020, for well sites and compressor
stations, as an alternative to complying with the requirements in Sec.
60.5397a(f)(1) and (2), (g)(1) through (4), (h), and (i), provided the
monitoring instrument used is an optical gas imaging or a Method 21
instrument (see appendix A-7 of this part). Monitoring must be
conducted on at least a semiannual basis for well sites and compressor
stations. If using the alternative in this paragraph (g), the
information specified in Sec. 60.5420a(b)(7)(iii)(A) and (C) must be
provided in lieu of the requirements in Sec. 60.5397a(j).
(h) Alternative fugitive emissions requirements for the collection
of fugitive emissions components located at a well site in the State of
Ohio. An affected facility, which is the collection of fugitive
emissions components, as defined in Sec. 60.5430a, located at a well
site in the State of Ohio may elect to comply with the monitoring,
repair, and recordkeeping requirements in Ohio General Permits 12.1,
Section C.5 and 12.2, Section C.5, effective April 14, 2014, as an
alternative to complying with the requirements in Sec. 60.5397a(f)(1),
(g)(1), (3), and (4), (h), and (i), provided the monitoring instrument
used is optical gas imaging or a Method 21 instrument (see appendix A-7
of this part) with a leak definition and reading of 500 ppm or greater.
Monitoring must be conducted on at least a semiannual basis and skip
periods cannot be applied. The information specified in Sec.
60.5420a(b)(7)(iii)(A) and the information specified in either Sec.
60.5420a(b)(7)(iii)(B) or (C) may be provided as an alternative to the
requirements in Sec. 60.5397a(j).
(i) Alternative fugitive emissions requirements for the collection
of fugitive emissions components located at a compressor station in the
State of Ohio. An affected facility, which is the collection of
fugitive emissions components, as defined in Sec. 60.5430a, located at
a compressor station in the State of Ohio may elect to comply with the
monitoring, repair, and recordkeeping requirements in Ohio General
Permit 18.1, effective February 7, 2017, as an alternative to complying
with the requirements in Sec. 60.5397a(f)(2), (g)(2) through (4), (h),
and (i), provided the monitoring instrument used is optical gas imaging
or a Method 21 instrument (see appendix A-7 of this part) with a leak
definition and reading of 500 ppm or greater. Monitoring must be
conducted on at least a semiannual basis and skip periods cannot be
applied. The information specified in Sec. 60.5420a(b)(7)(iii)(A) and
the information specified in either Sec. 60.5420a(b)(7)(iii)(B) or (C)
may be provided as an alternative to the requirements in Sec.
60.5397a(j).
(j) Alternative fugitive emissions requirements for the collection
of fugitive emissions components located at a well site in the State of
Pennsylvania. An affected facility, which is the collection of fugitive
emissions components, as defined in Sec. 60.5430a, located at a well
site in the State of Pennsylvania may elect to comply with the
monitoring, repair, and recordkeeping requirements in Pennsylvania
General Permit 5A, section G, effective August 8, 2018, as an
alternative to complying with the requirements in Sec. 60.5397a(f)(2),
(g)(2) through (4), (h), and (i), provided the monitoring instrument
used is an optical gas imaging or a Method 21 instrument (see appendix
A-7 of this part). The information specified in Sec.
60.5420a(b)(7)(iii)(A) and the information specified in either Sec.
60.5420a(b)(7)(iii)(B) or (C) may be provided as an alternative to the
requirements in Sec. 60.5397a(j).
(k) Alternative fugitive emissions requirements for the collection
of fugitive emissions components located at a compressor station in the
State of Pennsylvania. An affected facility, which is the collection of
fugitive emissions components, as defined in Sec. 60.5430a, located at
a compressor station in the State of Pennsylvania may elect to comply
with the monitoring, repair, and recordkeeping requirements in
Pennsylvania General Permit 5, section G, effective August 8, 2018, as
an alternative to complying with the requirements in Sec.
60.5397a(f)(2), (g)(2) through (4), (h), and (i), provided the
monitoring instrument used is an optical gas imaging or a Method 21
instrument (see appendix A-7 of this part). The information specified
in Sec. 60.5420a(b)(7)(iii)(A) and the information specified in either
Sec. 60.5420a(b)(7)(iii)(B) or (C) may be provided as an alternative
to the requirements in Sec. 60.5397a(j).
(l) Alternative fugitive emissions requirements for the collection
of fugitive emissions components located at a well site in the State of
Texas. An affected facility, which is the collection of fugitive
emissions components, as defined in Sec. 60.5430a, located at a well
site in the State of Texas may elect to comply with the monitoring,
repair, and recordkeeping requirements in the Air Quality Standard
Permit for Oil and Gas Handling and Production Facilities, section
(e)(6), effective November 8, 2012, or at 30 Texas Administrative Code
section 116.620, effective September 4, 2000, as an alternative to
complying with the requirements in Sec. 60.5397a(f)(2), (g)(2) through
(4), (h), and (i), provided the monitoring instrument used is optical
gas imaging or a Method 21 instrument (see appendix A-7 of this part)
with a leak definition and reading of 500 ppm or greater. Monitoring
must be conducted on at least a semiannual basis and skip periods may
not be applied. If using the requirement in this paragraph (l), the
information specified in Sec. 60.5420a(b)(7)(iii)(A) and (C) must be
provided in lieu of the requirements in Sec. 60.5397a(j).
(m) Alternative fugitive emissions requirements for the collection
of fugitive emissions components located at a compressor station in the
State of Texas. An affected facility, which is the collection of
fugitive emissions components, as defined in Sec. 60.5430a, located at
a compressor in the State of Texas may elect to comply with the
monitoring, repair, and recordkeeping requirements in the Air Quality
Standard Permit for Oil and Gas Handling and Production Facilities,
section (e)(6), effective November 8, 2012, or at 30 Texas
Administrative Code section 116.620, effective September 4, 2000, as an
alternative to complying with the requirements in Sec. 60.5397a(f)(2),
(g)(2) through (4), (h), and (i), provided the monitoring instrument
used is optical gas imaging or a Method 21 instrument (see appendix A-7
of this part) with a leak definition and reading of 500 ppm or greater.
Monitoring must be conducted on at least a semiannual basis and skip
[[Page 57445]]
periods may not be applied. If using the alternative in this paragraph
(m), the information specified in Sec. 60.5420a(b)(7)(iii)(A) and (C)
must be provided in lieu of the requirements in Sec. 60.5397a(j).
(n) Alternative fugitive emissions requirements for the collection
of fugitive emissions components located at a well site in the State of
Utah. An affected facility, which is the collection of fugitive
emissions components, as defined in Sec. 60.5430a, and is required to
control emissions in accordance with Utah Administrative Code R307-506
and R307-507, located at a well site in the State of Utah may elect to
comply with the monitoring, repair, and recordkeeping requirements in
the Utah Administrative Code R307-509, effective March 2, 2018, as an
alternative to complying with the requirements in Sec. 60.5397a(f)(2),
(g)(2) through (4), (h), and (i). If using the alternative in this
paragraph (n), the information specified in Sec.
60.5420a(b)(7)(iii)(A) and (C) must be provided in lieu of the
requirements in Sec. 60.5397a(j).
0
11. Section 60.5400a is amended by revising the introductory text and
paragraph (a) to read as follows:
Sec. 60.5400a What equipment leak VOC standards apply to affected
facilities at an onshore natural gas processing plant?
This section applies to the group of all equipment, except
compressors, within a process unit located at an onshore natural gas
processing plant.
(a) You must comply with the requirements of Sec. Sec. 60.482-
1a(a), (b), (d), and (e), 60.482-2a, and 60.482-4a through 60.482-11a,
except as provided in Sec. 60.5401a, as soon as practicable but no
later than 180 days after the initial startup of the process unit.
* * * * *
0
12. Section 60.5401a is amended by revising paragraphs (e) and (g) to
read as follows:
Sec. 60.5401a What are the exceptions to the equipment leak VOC
standards for affected facilities at onshore natural gas processing
plants?
* * * * *
(e) Pumps in light liquid service, valves in gas/vapor and light
liquid service, pressure relief devices in gas/vapor service, and
connectors in gas/vapor service and in light liquid service within a
process unit that is located in the Alaskan North Slope are exempt from
the monitoring requirements of Sec. Sec. 60.482-2a(a)(1), 60.482-
7a(a), and 60.482-11a(a) and paragraph (b)(1) of this section.
* * * * *
(g) An owner or operator may use the following provisions instead
of Sec. 60.485a(b)(2): A calibration drift assessment shall be
performed, at a minimum, at the end of each monitoring day. Check the
instrument using the same calibration gas(es) that were used to
calibrate the instrument before use. Follow the procedures specified in
Method 21 of appendix A-7 of this part, Section 10.1, except do not
adjust the meter readout to correspond to the calibration gas value.
Record the instrument reading for each scale used as specified in Sec.
60.486a(e)(8). For each scale, divide the arithmetic difference of the
most recent calibration and the post-test calibration response by the
corresponding calibration gas value, and multiply by 100 to express the
calibration drift as a percentage. If any calibration drift assessment
shows a negative drift of more than 10 percent from the most recent
calibration response, then all equipment monitored since the last
calibration with instrument readings below the appropriate leak
definition and above the leak definition multiplied by (100 minus the
percent of negative drift/divided by 100) must be re-monitored. If any
calibration drift assessment shows a positive drift of more than 10
percent from the most recent calibration response, then, at the owner/
operator's discretion, all equipment since the last calibration with
instrument readings above the appropriate leak definition and below the
leak definition multiplied by (100 plus the percent of positive drift/
divided by 100) may be re-monitored.
0
13. Section 60.5405a is amended by revising the section heading to read
as follows:
Sec. 60.5405a What standards apply to sweetening unit affected
facilities?
* * * * *
0
14. Section 60.5406a is amended by revising the section heading to read
as follows:
Sec. 60.5406a What test methods and procedures must I use for my
sweetening unit affected facilities?
* * * * *
0
15. Section 60.5407a is amended by revising the section heading and
paragraph (a) introductory text to read as follows:
Sec. 60.5407a What are the requirements for monitoring of emissions
and operations from my sweetening unit affected facilities?
(a) If your sweetening unit affected facility is subject to the
provisions of Sec. 60.5405a(a) or (b) you must install, calibrate,
maintain, and operate monitoring devices or perform measurements to
determine the following operations information on a daily basis:
* * * * *
0
16. Section 60.5410a is amended by:
0
a. Revising the section heading, introductory text, and paragraphs
(c)(1) and (e)(2) through (5);
0
b. Removing paragraph (e)(8);
0
c. Revising paragraphs (g) introductory text, (g)(3), (h), (j)
introductory text, and (j)(1); and
0
d. Adding paragraph (k).
The revisions and addition read as follows:
Sec. 60.5410a How do I demonstrate initial compliance with the
standards for my well, centrifugal compressor, reciprocating
compressor, pneumatic controller, pneumatic pump, storage vessel,
collection of fugitive emissions components at a well site, collection
of fugitive emissions components at a compressor station, and equipment
leaks at onshore natural gas processing plants and sweetening unit
affected facilities?
You must determine initial compliance with the standards for each
affected facility using the requirements in paragraphs (a) through (k)
of this section. Except as otherwise provided in this section, the
initial compliance period begins on August 2, 2016, or upon initial
startup, whichever is later, and ends no later than 1 year after the
initial startup date for your affected facility or no later than 1 year
after August 2, 2016. The initial compliance period may be less than 1
full year.
* * * * *
(c) * * *
(1) If complying with Sec. 60.5385a(a)(1) or (2), during the
initial compliance period, you must continuously monitor the number of
hours of operation or track the number of months since initial startup,
since August 2, 2016, or since the last rod packing replacement,
whichever is latest.
* * * * *
(e) * * *
(2) If you own or operate a pneumatic pump affected facility
located at a well site, you must reduce emissions in accordance with
Sec. 60.5393a(b)(1) or (2), and you must collect the pneumatic pump
emissions through a closed vent system that meets the requirements of
Sec. 60.5411a(d) and (e).
(3) If you own or operate a pneumatic pump affected facility
located at a well site and there is no control device or process
available on site, you must submit the certification in Sec.
60.5420a(b)(8)(i)(A).
(4) If you own or operate a pneumatic pump affected facility
located at a well
[[Page 57446]]
site, and you are unable to route to an existing control device or to a
process due to technical infeasibility, you must submit the
certification in Sec. 60.5420a(b)(8)(i)(B).
(5) If you own or operate a pneumatic pump affected facility
located at a well site and you reduce emissions in accordance with
Sec. 60.5393a(b)(4), you must collect the pneumatic pump emissions
through a closed vent system that meets the requirements of Sec.
60.5411a(d) and (e).
* * * * *
(g) For sweetening unit affected facilities, initial compliance is
demonstrated according to paragraphs (g)(1) through (3) of this
section.
* * * * *
(3) You must submit the results of paragraphs (g)(1) and (2) of
this section in the initial annual report submitted for your sweetening
unit affected facilities.
(h) For each storage vessel affected facility you must comply with
paragraphs (h)(1) through (6) of this section. Except as otherwise
provided in this paragraph (h), you must demonstrate initial compliance
by August 2, 2016, or within 60 days after startup, whichever is later.
(1) You must determine the potential VOC emission rate as specified
in Sec. 60.5365a(e).
(2) You must reduce VOC emissions in accordance with Sec.
60.5395a(a).
(3) If you use a control device to reduce emissions, you must equip
the storage vessel with a cover that meets the requirements of Sec.
60.5411a(b) and is connected through a closed vent system that meets
the requirements of Sec. 60.5411a(c) and (d) to a control device that
meets the conditions specified in Sec. 60.5412a(d) within 60 days
after startup for storage vessels constructed, modified, or
reconstructed at well sites with no other wells in production, or upon
startup for storage vessels constructed, modified, or reconstructed at
well sites with one or more wells already in production.
(4) You must conduct an initial performance test as required in
Sec. 60.5413a within 180 days after initial startup or within 180 days
of August 2, 2016, whichever is later, and you must comply with the
continuous compliance requirements in Sec. 60.5415a(e).
(5) You must submit the information required for your storage
vessel affected facility in your initial annual report as specified in
Sec. 60.5420a(b)(1) and (6).
(6) You must maintain the records required for your storage vessel
affected facility, as specified in Sec. 60.5420a(c)(5) through (8),
(12) through (14), and (17), as applicable, for each storage vessel
affected facility.
* * * * *
(j) To achieve initial compliance with the fugitive emission
standards for each collection of fugitive emissions components at a
well site and each collection of fugitive emissions components at a
compressor station you must comply with paragraphs (j)(1) through (5)
of this section.
(1) You must develop a fugitive emissions monitoring plan as
required in Sec. 60.5397a(b), (c), and (d).
* * * * *
(k) To demonstrate initial compliance with the requirement to
maintain the total well site production at or below 15 boe per day
based on a rolling 12-month average, as specified in Sec.
60.5397a(a)(2), you must comply with paragraphs (k)(1) through (3) of
this section.
(1) You must demonstrate that the total daily combined oil and
natural gas production for all wells at the well site is at or below 15
boe per day, based on a 12-month average from the previous 12 months of
operation, according to paragraphs (k)(1)(i) through (iii) of this
section within 45 days of the end of each month. The rolling 12-month
average of the total well site production determined according to
paragraph (k)(1)(iii) of this section must be at or below 15 boe per
day.
(i) Determine the daily combined oil and natural gas production for
each individual well at the well site for the month. To convert gas
production to equivalent barrels of oil, divide the cubic feet of gas
produced by 6,000.
(ii) Sum the daily production for each individual well at the well
site to determine the total well site production and divide by the
number of days in the month. This is the average daily total well site
production for the month.
(iii) Use the result determined in paragraph (k)(1)(ii) of this
section and average with the daily total well site production values
determined for each of the preceding 11 months to calculate the rolling
12-month average of the total well site production.
(2) You must maintain records as specified in Sec.
60.5420a(c)(15)(ii).
(3) You must submit compliance information in the initial and
subsequent annual reports as specified in Sec. 60.5420a(b)(7)(i)(C)
and (b)(7)(iv).
0
17. Section 60.5411a is amended by revising the introductory text and
paragraphs (a) introductory text, (a)(1), (c)(1) and (2), (d)(1), and
(e) to read as follows:
Sec. 60.5411a What additional requirements must I meet to determine
initial compliance for my covers and closed vent systems routing
emissions from centrifugal compressor wet seal fluid degassing systems,
reciprocating compressors, pneumatic pumps and storage vessels?
You must meet the applicable requirements of this section for each
cover and closed vent system used to comply with the emission standards
for your centrifugal compressor wet seal degassing systems,
reciprocating compressors, pneumatic pumps, and storage vessels.
(a) Closed vent system requirements for reciprocating compressors
and centrifugal compressor wet seal degassing systems.
(1) You must design the closed vent system to route all gases,
vapors, and fumes emitted from the reciprocating compressor rod packing
emissions collection system to a process. You must design the closed
vent system to route all gases, vapors, and fumes emitted from the
centrifugal compressor wet seal fluid degassing system to a process or
a control device that meets the requirements specified in Sec.
60.5412a(a) through (c).
* * * * *
(c) * * *
(1) You must design the closed vent system to route all gases,
vapors, and fumes emitted from the material in the storage vessel
affected facility to a control device that meets the requirements
specified in Sec. 60.5412a(c) and (d), or to a process.
(2) You must design and operate a closed vent system with no
detectable emissions, as determined using olfactory, visual, and
auditory inspections or optical gas imaging inspections as specified in
Sec. 60.5416a(c).
* * * * *
(d) * * *
(1) You must conduct an assessment that the closed vent system is
of sufficient design and capacity to ensure that all emissions from the
affected facility are routed to the control device and that the control
device is of sufficient design and capacity to accommodate all
emissions from the affected facility, and have it certified by a
qualified professional engineer or an in-house engineer with expertise
on the design and operation of the closed vent system in accordance
with paragraphs (d)(1)(i) and (ii) of this section.
(i) You must provide the following certification, signed and dated
by a qualified professional engineer or an in-house engineer: ``I
certify that the closed vent system design and capacity assessment was
prepared under my
[[Page 57447]]
direction or supervision. I further certify that the closed vent system
design and capacity assessment was conducted and this report was
prepared pursuant to the requirements of subpart OOOOa of 40 CFR part
60. Based on my professional knowledge and experience, and inquiry of
personnel involved in the assessment, the certification submitted
herein is true, accurate, and complete.''
(ii) The assessment shall be prepared under the direction or
supervision of a qualified professional engineer or an in-house
engineer who signs the certification in paragraph (d)(1)(i) of this
section.
* * * * *
(e) Closed vent system requirements for pneumatic pump affected
facilities using a control device or routing emissions to a process.
(1) You must design the closed vent system to route all gases,
vapors, and fumes emitted from the pneumatic pump to a control device
or a process.
(2) You must design and operate a closed vent system with no
detectable emissions, as demonstrated by Sec. 60.5416a(b), olfactory,
visual, and auditory inspections or optical gas imaging inspections as
specified in Sec. 60.5416a(d).
(3) You must meet the requirements specified in paragraphs
(e)(3)(i) and (ii) of this section if the closed vent system contains
one or more bypass devices that could be used to divert all or a
portion of the gases, vapors, or fumes from entering the control device
or to a process.
(i) Except as provided in paragraph (e)(3)(ii) of this section, you
must comply with either paragraph (e)(3)(i)(A) or (B) of this section
for each bypass device.
(A) You must properly install, calibrate, maintain, and operate a
flow indicator at the inlet to the bypass device that could divert the
stream away from the control device or process to the atmosphere that
sounds an alarm, or initiates notification via remote alarm to the
nearest field office, when the bypass device is open such that the
stream is being, or could be, diverted away from the control device or
process to the atmosphere. You must maintain records of each time the
alarm is activated according to Sec. 60.5420a(c)(8).
(B) You must secure the bypass device valve installed at the inlet
to the bypass device in the non-diverting position using a car-seal or
a lock-and-key type configuration.
(ii) Low leg drains, high point bleeds, analyzer vents, open-ended
valves or lines, and safety devices are not subject to the requirements
of paragraph (e)(3)(i) of this section.
0
18. Section 60.5412a is amended by revising paragraphs (a)(1)
introductory text, (a)(1)(iv), (c) introductory text, (d)(1)(iv)
introductory text, and (d)(1)(iv)(D) to read as follows:
Sec. 60.5412a What additional requirements must I meet for
determining initial compliance with control devices used to comply with
the emission standards for my centrifugal compressor, and storage
vessel affected facilities?
* * * * *
(a) * * *
(1) Each combustion device (e.g., thermal vapor incinerator,
catalytic vapor incinerator, boiler, or process heater) must be
designed and operated in accordance with one of the performance
requirements specified in paragraphs (a)(1)(i) through (iv) of this
section. If a boiler or process heater is used as the control device,
then you must introduce the vent stream into the flame zone of the
boiler or process heater.
* * * * *
(iv) You must introduce the vent stream with the primary fuel or
use the vent stream as the primary fuel in a boiler or process heater.
* * * * *
(c) For each carbon adsorption system used as a control device to
meet the requirements of paragraph (a)(2) or (d)(2) of this section,
you must manage the carbon in accordance with the requirements
specified in paragraphs (c)(1) and (2) of this section.
* * * * *
(d) * * *
(1) * * *
(iv) Each enclosed combustion control device (e.g., thermal vapor
incinerator, catalytic vapor incinerator, boiler, or process heater)
must be designed and operated in accordance with one of the performance
requirements specified in paragraphs (d)(1)(iv)(A) through (D) of this
section. If a boiler or process heater is used as the control device,
then you must introduce the vent stream into the flame zone of the
boiler or process heater.
* * * * *
(D) You must introduce the vent stream with the primary fuel or use
the vent stream as the primary fuel in a boiler or process heater.
* * * * *
0
19. Section 60.5413a is amended by revising paragraphs (d)(5)(i)
introductory text, (d)(9)(iii), and (d)(12) introductory text to read
as follows:
Sec. 60.5413a What are the performance testing procedures for
control devices used to demonstrate compliance at my centrifugal
compressor and storage vessel affected facilities?
* * * * *
(d) * * *
(5) * * *
(i) At the inlet gas sampling location, securely connect a fused
silica-coated stainless steel evacuated canister fitted with a flow
controller sufficient to fill the canister over a 3-hour period.
Filling must be conducted as specified in paragraphs (d)(5)(i)(A)
through (C) of this section.
* * * * *
(9) * * *
(iii) A 0-10 parts per million by volume-wet (ppmvw) (as propane)
measurement range is preferred; as an alternative a 0-30 ppmvw (as
propane) measurement range may be used.
* * * * *
(12) The owner or operator of a combustion control device model
tested under this paragraph (d)(12) must submit the information listed
in paragraphs (d)(12)(i) through (vi) of this section for each test run
in the test report required by this section in accordance with Sec.
60.5420a(b)(10). Owners or operators who claim that any of the
performance test information being submitted is confidential business
information (CBI) must submit a complete file including information
claimed to be CBI, on a compact disc, flash drive, or other commonly
used electronic storage media to the EPA. The electronic media must be
clearly marked as CBI and mailed to Attn: CBI Document Control Officer;
Office of Air Quality Planning and Standards (OAQPS), Room 521; 109
T.W. Alexander Drive; Research Triangle Park, NC 27711. The same file
with the CBI omitted must be submitted to [email protected].
* * * * *
0
20. Section 60.5415a is amended by:
0
a. Revising the section heading and paragraphs (b) introductory text
and (b)(3);
0
b. Removing paragraph (b)(4);
0
c. Revising paragraphs (c)(1), (g) introductory text, (h) introductory
text, and (h)(2); and
0
d. Adding paragraphs (i) and (j).
The revisions and additions read as follows:
[[Page 57448]]
Sec. 60.5415a How do I demonstrate continuous compliance with the
standards for my well, centrifugal compressor, reciprocating
compressor, pneumatic controller, pneumatic pump, storage vessel,
collection of fugitive emissions components at a well site, and
collection of fugitive emissions components at a compressor station
affected facilities, equipment leaks at onshore natural gas processing
plants and sweetening unit affected facilities?
* * * * *
(b) For each centrifugal compressor affected facility and each
pneumatic pump affected facility, you must demonstrate continuous
compliance according to paragraph (b)(3) of this section. For each
centrifugal compressor affected facility, you also must demonstrate
continuous compliance according to paragraphs (b)(1) and (2) of this
section.
* * * * *
(3) You must submit the annual reports required by Sec.
60.5420a(b)(1), (3), and (8) and maintain the records as specified in
Sec. 60.5420a(c)(2), (6) through (11), (16), and (17), as applicable.
* * * * *
(c) * * *
(1) You must continuously monitor the number of hours of operation
for each reciprocating compressor affected facility or track the number
of months since initial startup, since August 2, 2016, or since the
date of the most recent reciprocating compressor rod packing
replacement, whichever is latest.
* * * * *
(g) For each sweetening unit affected facility, you must
demonstrate continuous compliance with the standards for SO2
specified in Sec. 60.5405a(b) according to paragraphs (g)(1) and (2)
of this section.
* * * * *
(h) For each collection of fugitive emissions components at a well
site and each collection of fugitive emissions components at a
compressor station, you must demonstrate continuous compliance with the
fugitive emission standards specified in Sec. 60.5397a(a)(1) according
to paragraphs (h)(1) through (4) of this section.
* * * * *
(2) You must repair each identified source of fugitive emissions as
required in Sec. 60.5397a(h).
* * * * *
(i) For each collection of fugitive emissions components at a well
site complying with Sec. 60.5397a(a)(2), you must demonstrate
continuous compliance according to paragraphs (i)(1) through (4) of
this section. You must perform the calculations shown in paragraphs
(i)(1) through (4) of this section within 45 days of the end of each
month. The rolling 12-month average of the total well site production
determined according to paragraph (i)(4) of this section must be at or
below 15 boe per day.
(1) Begin with the most recent 12-month average.
(2) Determine the daily combined oil and natural gas production of
each individual well at the well site for the month. To convert gas
production to equivalent barrels of oil, divide the cubic feet of gas
produced by 6,000.
(3) Sum the daily production for each individual well at the well
site and divide by the number of days in the month. This is the average
daily total well site production for the month.
(4) Use the result determined in paragraph (i)(3) of this section
and average with the daily total well site production values determined
for each of the preceding 11 months to calculate the rolling 12-month
average of the total well site production.
(j) To demonstrate that the well site produced at or below 15 boe
per day for the first 30 days after startup of production as specified
in Sec. 60.5397a(3), you must calculate the daily production for each
individual well at the well site during the first 30 days of production
after completing any action listed in Sec. 60.5397a(a)(2)(i) through
(v) and sum the individual well production values to obtain the total
well site production. The calculation must be performed within 45 days
of the end of the first 30 days of production after completing any
action listed in Sec. 60.5397a(a)(2)(i) through (v). To convert gas
production to equivalent barrels of oil, divide cubic feet of gas
produced by 6,000.
0
21. Section 60.5416a is amended by revising the introductory text and
paragraphs (a) introductory text, (a)(4) introductory text, (b)
introductory text, (c) introductory text, (c)(1), and (c)(2)
introductory text, adding paragraph (c)(2)(iv), and revising paragraph
(d) to read as follows:
Sec. 60.5416a What are the initial and continuous cover and closed
vent system inspection and monitoring requirements for my centrifugal
compressor, reciprocating compressor, pneumatic pump, and storage
vessel affected facilities?
For each closed vent system or cover at your centrifugal
compressor, reciprocating compressor, pneumatic pump, and storage
vessel affected facilities, you must comply with the applicable
requirements of paragraphs (a) through (d) of this section.
(a) Inspections for closed vent systems and covers installed on
each centrifugal compressor or reciprocating compressor affected
facility. Except as provided in paragraphs (b)(11) and (12) of this
section, you must inspect each closed vent system according to the
procedures and schedule specified in paragraphs (a)(1) and (2) of this
section, inspect each cover according to the procedures and schedule
specified in paragraph (a)(3) of this section, and inspect each bypass
device according to the procedures of paragraph (a)(4) of this section.
* * * * *
(4) For each bypass device, except as provided for in Sec.
60.5411a(a)(3)(ii), you must meet the requirements of paragraph
(a)(4)(i) or (ii) of this section.
* * * * *
(b) No detectable emissions test methods and procedures. If you are
required to conduct an inspection of a closed vent system or cover at
your centrifugal compressor or reciprocating compressor affected
facility as specified in paragraph (a)(1), (2), or (3) of this section,
you must meet the requirements of paragraphs (b)(1) through (13) of
this section.
* * * * *
(c) Cover and closed vent system inspections for storage vessel
affected facilities. If you install a control device or route emissions
to a process, you must comply with the inspection and recordkeeping
requirements for each closed vent system and cover as specified in
paragraphs (c)(1) and (2) of this section. You must also comply with
the requirements of paragraphs (c)(3) through (7) of this section.
(1) Closed vent system inspections. For each closed vent system,
you must conduct an inspection as specified in paragraphs (c)(1)(i)
through (iii) or paragraph (c)(1)(iv) of this section.
(i) You must maintain records of the inspection results as
specified in Sec. 60.5420a(c)(6).
(ii) Conduct olfactory, visual, and auditory inspections at least
once every calendar month for defects that could result in air
emissions. Defects include, but are not limited to, visible cracks,
holes, or gaps in piping; loose connections; liquid leaks; or broken or
missing caps or other closure devices.
(iii) Monthly inspections must be separated by at least 14 calendar
days.
(iv) Conduct optical gas imaging inspections for any visible
emissions at the same frequency as the frequency for the collection of
fugitive emissions components located at the same type of site, as
specified in Sec. 60.5397a(g)(1).
[[Page 57449]]
(2) Cover inspections. For each cover, you must conduct inspections
as specified in paragraphs (c)(2)(i) through (iii) or paragraph
(c)(2)(iv) of this section.
* * * * *
(iv) Conduct optical gas imaging inspections for any visible
emissions at the same frequency as the frequency for the collection of
fugitive emissions components located at the same type of site, as
specified in Sec. 60.5397a(g)(1).
* * * * *
(d) Closed vent system inspections for pneumatic pump affected
facilities. If you install a control device or route emissions to a
process, you must comply with the inspection and recordkeeping
requirements for each closed vent system as specified in paragraph
(d)(1) of this section. You must also comply with the requirements of
paragraphs (c)(3) through (7) of this section.
(1) For each closed vent system, you must conduct an inspection as
specified in paragraphs (d)(1)(i) through (iii), paragraph (d)(1)(iv),
or paragraph (d)(1)(v) of this section.
(i) You must maintain records of the inspection results as
specified in Sec. 60.5420a(c)(6).
(ii) Conduct olfactory, visual, and auditory inspections at least
once every calendar month for defects that could result in air
emissions. Defects include, but are not limited to, visible cracks,
holes, or gaps in piping; loose connections; liquid leaks; or broken or
missing caps or other closure devices.
(iii) Monthly inspections must be separated by at least 14 calendar
days.
(iv) Conduct optical gas imaging inspections for any visible
emissions at the same frequency as the frequency for the collection of
fugitive components located at the same type of site, as specified in
Sec. 60.5397a(g)(1).
(v) Conduct inspections as specified in paragraphs (a)(1) and (2)
of this section.
(2) [Reserved]
0
22. Section 60.5417a is amended by revising the introductory text and
paragraph (a) to read as follows:
Sec. 60.5417a What are the continuous control device monitoring
requirements for my centrifugal compressor and storage vessel affected
facilities?
You must meet the applicable requirements of this section to
demonstrate continuous compliance for each control device used to meet
emission standards for your storage vessel affected facility or
centrifugal compressor affected facility.
(a) For each control device used to comply with the emission
reduction standard for centrifugal compressor affected facilities in
Sec. 60.5380a(a)(1), you must install and operate a continuous
parameter monitoring system for each control device as specified in
paragraphs (c) through (g) of this section, except as provided for in
paragraph (b) of this section. If you install and operate a flare in
accordance with Sec. 60.5412a(a)(3), you are exempt from the
requirements of paragraphs (e) and (f) of this section. If you install
and operate an enclosed combustion device or control device which is
not specifically listed in paragraph (d) of this section, you must
demonstrate continuous compliance according to paragraphs (h)(1)
through (4) of this section.
* * * * *
0
23. Revise Sec. 60.5420a to read as follows:
Sec. 60.5420a What are my notification, reporting, and recordkeeping
requirements?
(a) Notifications. You must submit the notifications according to
paragraphs (a)(1) and (2) of this section if you own or operate one or
more of the affected facilities specified in Sec. 60.5365a that was
constructed, modified, or reconstructed during the reporting period.
(1) If you own or operate an affected facility that is the group of
all equipment within a process unit at an onshore natural gas
processing plant, or a sweetening unit, you must submit the
notifications required in Sec. Sec. 60.7(a)(1), (3), and (4) and
60.15(d). If you own or operate a well, centrifugal compressor,
reciprocating compressor, pneumatic controller, pneumatic pump, storage
vessel, collection of fugitive emissions components at a well site, or
collection of fugitive emissions components at a compressor station,
you are not required to submit the notifications required in Sec. Sec.
60.7(a)(1), (3), and (4) and 60.15(d).
(2)(i) If you own or operate a well affected facility, you must
submit a notification to the Administrator no later than 2 days prior
to the commencement of each well completion operation listing the
anticipated date of the well completion operation. The notification
shall include contact information for the owner or operator; the United
States Well Number; the latitude and longitude coordinates for each
well in decimal degrees to an accuracy and precision of five (5)
decimals of a degree using the North American Datum of 1983; and the
planned date of the beginning of flowback. You may submit the
notification in writing or in electronic format.
(ii) If you are subject to state regulations that require advance
notification of well completions and you have met those notification
requirements, then you are considered to have met the advance
notification requirements of paragraph (a)(2)(i) of this section.
(3) An owner or operator electing to comply with the provisions of
Sec. 60.5399a shall notify the Administrator of the alternative
fugitive emissions standard selected within the annual report, as
specified in paragraph (b)(7) of this section.
(b) Reporting requirements. You must submit annual reports
containing the information specified in paragraphs (b)(1) through (8)
and (12) of this section and performance test reports as specified in
paragraph (b)(9) or (10) of this section, if applicable. You must
submit annual reports following the procedure specified in paragraph
(b)(11) of this section. The initial annual report is due no later than
90 days after the end of the initial compliance period as determined
according to Sec. 60.5410a. Subsequent annual reports are due no later
than same date each year as the initial annual report. If you own or
operate more than one affected facility, you may submit one report for
multiple affected facilities provided the report contains all of the
information required as specified in paragraphs (b)(1) through (8) and
(12) of this section. Annual reports may coincide with title V reports
as long as all the required elements of the annual report are included.
You may arrange with the Administrator a common schedule on which
reports required by this part may be submitted as long as the schedule
does not extend the reporting period.
(1) The general information specified in paragraphs (b)(1)(i)
through (iv) of this section is required for all reports.
(i) The company name, facility site name associated with the
affected facility, U.S. Well ID or U.S. Well ID associated with the
affected facility, if applicable, and address of the affected facility.
If an address is not available for the site, include a description of
the site location and provide the latitude and longitude coordinates of
the site in decimal degrees to an accuracy and precision of five (5)
decimals of a degree using the North American Datum of 1983.
(ii) An identification of each affected facility being included in
the annual report.
(iii) Beginning and ending dates of the reporting period.
(iv) A certification by a certifying official of truth, accuracy,
and completeness. This certification shall
[[Page 57450]]
state that, based on information and belief formed after reasonable
inquiry, the statements and information in the document are true,
accurate, and complete.
(2) For each well affected facility that is subject to Sec.
60.5375a(a) or (f), the records of each well completion operation
conducted during the reporting period, including the information
specified in paragraphs (b)(2)(i) through (xiv) of this section, if
applicable. In lieu of submitting the records specified in paragraphs
(b)(2)(i) through (xiv) of this section, the owner or operator may
submit a list of each well completion with hydraulic fracturing
completed during the reporting period, and the digital photograph
required by paragraph (c)(1)(v) of this section for each well
completion. For each well affected facility that routes flowback
entirely through one or more production separators, only the records
specified in paragraphs (b)(2)(i) through (iv) and (vi) of this section
are required to be reported. For periods where salable gas is unable to
be separated, the records specified in paragraphs (b)(2)(iv) and (viii)
through (xii) of this section must also be reported, as applicable. For
each well affected facility that is subject to Sec. 60.5375a(g), the
record specified in paragraph (b)(2)(xv) of this section is required to
be reported.
(i) Well Completion ID.
(ii) Latitude and longitude of the well in decimal degrees to an
accuracy and precision of five (5) decimals of a degree using North
American Datum of 1983.
(iii) U.S. Well ID.
(iv) The date and time of the onset of flowback following hydraulic
fracturing or refracturing or identification that the well immediately
starts production.
(v) The date and time of each attempt to direct flowback to a
separator as required in Sec. 60.5375a(a)(1)(ii).
(vi) The date and time that the well was shut in and the flowback
equipment was permanently disconnected, or the startup of production.
(vii) The duration (in hours) of flowback.
(viii) The duration (in hours) of recovery and disposition of
recovery (i.e., routed to the gas flow line or collection system, re-
injected into the well or another well, used as an onsite fuel source,
or used for another useful purpose that a purchased fuel or raw
material would serve).
(ix) The duration (in hours) of combustion.
(x) The duration (in hours) of venting.
(xi) The specific reasons for venting in lieu of capture or
combustion.
(xii) For any deviations recorded as specified in paragraph
(c)(1)(ii) of this section, the date and time the deviation began, the
duration of the deviation, and a description of the deviation.
(xiii) For each well affected facility subject to Sec.
60.5375a(f), a record of the well type (i.e., wildcat well, delineation
well, or low pressure well (as defined Sec. 60.5430a)) and supporting
inputs and calculations, if applicable.
(xiv) For each well affected facility for which you claim an
exception under Sec. 60.5375a(a)(3), the specific exception claimed
and reasons why the well meets the claimed exception.
(xv) For each well affected facility with less than 300 scf of gas
per stock tank barrel of oil produced, the supporting analysis that was
performed in order the make that claim, including but not limited to,
GOR values for established leases and data from wells in the same basin
and field.
(3) For each centrifugal compressor affected facility, the
information specified in paragraphs (b)(3)(i) through (v) of this
section.
(i) An identification of each centrifugal compressor using a wet
seal system constructed, modified, or reconstructed during the
reporting period.
(ii) For each deviation that occurred during the reporting period
and recorded as specified in paragraph (c)(2) of this section, the date
and time the deviation began, the duration of the deviation, and a
description of the deviation.
(iii) If required to comply with Sec. 60.5380a(a)(2), the
information in paragraphs (b)(3)(iii)(A) through (C) of this section.
(A) Dates of each inspection required under Sec. 60.5416a(a) and
(b);
(B) Each defect or leak identified during each inspection, date of
repair or the date of anticipated repair if the repair is delayed; and
(C) Date and time of each bypass alarm or each instance the key is
checked out if you are subject to the bypass requirements of Sec.
60.5416a(a)(4).
(iv) If complying with Sec. 60.5380a(a)(1) with a control device
tested under Sec. 60.5413a(d) which meets the criteria in Sec.
60.5413a(d)(11) and (e), the information in paragraphs (b)(3)(iv)(A)
through (D) of this section.
(A) Identification of the compressor with the control device.
(B) Make, model, and date of purchase of the control device.
(C) For each instance where the inlet gas flow rate exceeds the
manufacturer's listed maximum gas flow rate, where there is no
indication of the presence of a pilot flame, or where visible emissions
exceeded 1 minute in any 15-minute period, include the date and time
the deviation began, the duration of the deviation, and a description
of the deviation.
(D) For each visible emissions test following return to operation
from a maintenance or repair activity, the date of the visible
emissions test, the length of the test, and the amount of time for
which visible emissions were present.
(v) If complying with Sec. 60.5380a(a)(1) with a control device
not tested under Sec. 60.5413a(d), identification of the compressor
with the tested control device, the date the performance test was
conducted, and pollutant(s) tested. Submit the performance test report
following the procedures specified in paragraph (b)(9) of this section.
(4) For each reciprocating compressor affected facility, the
information specified in paragraphs (b)(4)(i) through (iii) of this
section.
(i) The cumulative number of hours of operation or the number of
months since initial startup, since August 2, 2016, or since the
previous reciprocating compressor rod packing replacement, whichever is
latest. Alternatively, a statement that emissions from the rod packing
are being routed to a process through a closed vent system under
negative pressure.
(ii) If applicable, for each deviation that occurred during the
reporting period and recorded as specified in paragraph (c)(3)(iii) of
this section, the date and time the deviation began, duration of the
deviation and a description of the deviation.
(iii) If required to comply with Sec. 60.5385a(a)(3), the
information in paragraphs (b)(4)(iii)(A) through (C) of this section.
(A) Dates of each inspection required under Sec. 60.5416a(a) and
(b);
(B) Each defect or leak identified during each inspection, and date
of repair or date of anticipated repair if repair is delayed; and
(C) Date and time of each bypass alarm or each instance the key is
checked out if you are subject to the bypass requirements of Sec.
60.5416a(a)(4).
(5) For each pneumatic controller affected facility, the
information specified in paragraphs (b)(5)(i) through (iii) of this
section.
(i) An identification of each pneumatic controller constructed,
modified, or reconstructed during the reporting period, including the
month and year of installation, reconstruction or modification and
identification information that allows traceability to the records
required in paragraph (c)(4)(iii) or (iv) of this section.
[[Page 57451]]
(ii) If applicable, reason why the use of pneumatic controller
affected facilities with a natural gas bleed rate greater than the
applicable standard are required.
(iii) For each instance where the pneumatic controller was not
operated in compliance with the requirements specified in Sec.
60.5390a, a description of the deviation, the date and time the
deviation began, and the duration of the deviation.
(6) For each storage vessel affected facility, the information in
paragraphs (b)(6)(i) through (ix) of this section.
(i) An identification, including the location, of each storage
vessel affected facility for which construction, modification, or
reconstruction commenced during the reporting period. The location of
the storage vessel shall be in latitude and longitude coordinates in
decimal degrees to an accuracy and precision of five (5) decimals of a
degree using the North American Datum of 1983.
(ii) Documentation of the VOC emission rate determination according
to Sec. 60.5365a(e)(1) for each storage vessel that became an affected
facility during the reporting period or is returned to service during
the reporting period.
(iii) For each deviation that occurred during the reporting period
and recorded as specified in paragraph (c)(5) of this section, the date
and time the deviation began, duration of the deviation and a
description of the deviation.
(iv) A statement that you have met the requirements specified in
Sec. 60.5410a(h)(2) and (3).
(v) For each storage vessel constructed, modified, reconstructed,
or returned to service during the reporting period complying with Sec.
60.5395a(a)(2) with a control device tested under Sec. 60.5413a(d)
which meets the criteria in Sec. 60.5413a(d)(11) and (e), the
information in paragraphs (b)(6)(v)(A) through (D) of this section.
(A) Identification of the storage vessel with the control device.
(B) Make, model, and date of purchase of the control device.
(C) For each instance where the inlet gas flow rate exceeds the
manufacturer's listed maximum gas flow rate, where there is no
indication of the presence of a pilot flame, or where visible emissions
exceeded 1 minute in any 15-minute period, include the date and time
the deviation began, the duration of the deviation, and a description
of the deviation.
(D) For each visible emissions test following return to operation
from a maintenance or repair activity, the date of the visible
emissions test, the length of the test, and the amount of time for
which visible emissions were present.
(vi) If complying with Sec. 60.5395a(a)(2) with a control device
not tested under Sec. 60.5413a(d), identification of the storage
vessel with the tested control device, the date the performance test
was conducted, and pollutant(s) tested. Submit the performance test
report following the procedures specified in paragraph (b)(9) of this
section.
(vii) If required to comply with Sec. 60.5395a(b)(1), the
information in paragraphs (b)(6)(vii)(A) through (C) of this section.
(A) Dates of each inspection required under Sec. 60.5416a(c);
(B) Each defect or leak identified during each inspection, and date
of repair or date of anticipated repair if repair is delayed; and
(C) Date and time of each bypass alarm or each instance the key is
checked out if you are subject to the bypass requirements of Sec.
60.5416a(c)(3).
(viii) You must identify each storage vessel affected facility that
is removed from service during the reporting period as specified in
Sec. 60.5395a(c)(1)(ii), including the date the storage vessel
affected facility was removed from service.
(ix) You must identify each storage vessel affected facility
returned to service during the reporting period as specified in Sec.
60.5395a(c)(3), including the date the storage vessel affected facility
was returned to service.
(7) For the collection of fugitive emissions components at each
well site and the collection of fugitive emissions components at each
compressor station, report the information specified in paragraphs
(b)(7)(i) through (iii) of this section, as applicable.
(i)(A) Designation of the type of site (i.e., well site or
compressor station) at which the collection of fugitive emissions
components is located.
(B) For each collection of fugitive emissions components at a well
site that became an affected facility during the reporting period, you
must include the date of the startup of production or the date of the
first day of production after modification. For each collection of
fugitive emissions components at a compressor station that became an
affected facility during the reporting period, you must include the
date of startup or the date of modification.
(C) For each collection of fugitive emissions components at a well
site that meets the conditions specified in either Sec.
60.5397a(a)(1)(i) or (ii), you must specify the well site is a low
production well site and submit the total production for the well site.
(D) For each collection of fugitive emissions components at a well
site where during the reporting period you complete the removal of all
major production and processing equipment such that the well site
contains only one or more wellheads, you must include the date of the
change to status as a wellhead only well site.
(E) For each collection of fugitive emissions components at a well
site where you previously reported under paragraph (b)(7)(i)(C) of this
section the removal of all major production and processing equipment
and during the reporting period major production and processing
equipment is added back to the well site, the date that the first piece
of major production and processing equipment is added back to the well
site.
(ii) For each fugitive emissions monitoring survey performed during
the annual reporting period, the information specified in paragraphs
(b)(7)(ii)(A) through (G) of this section.
(A) Date of the survey.
(B) Monitoring instrument used.
(C) Any deviations from the monitoring plan elements under Sec.
60.5397a(c)(1), (2), and (7) and (c)(8)(i) or a statement that there
were no deviations from these elements of the monitoring plan.
(D) Number and type of components for which fugitive emissions were
detected.
(E) Number and type of fugitive emissions components that were not
repaired as required in Sec. 60.5397a(h).
(F) Number and type of fugitive emission components (including
designation as difficult-to-monitor or unsafe-to-monitor, if
applicable) on delay of repair and explanation for each delay of
repair.
(G) Date of planned shutdown(s) that occurred during the reporting
period if there are any components that have been placed on delay of
repair.
(iii) For each collection of fugitive emissions components at a
well site or collection of fugitive emissions components at a
compressor station complying with an alternative fugitive emissions
standard under Sec. 60.5399a, in lieu of the information specified in
paragraphs (b)(7)(i) and (ii) of this section, you must provide the
information specified in paragraphs (b)(7)(iii)(A) through (C) of this
section.
(A) The alternative standard with which you are complying.
(B) The site-specific reports specified by the specific alternative
fugitive emissions standard, submitted in the format in which they were
submitted to the state, local, or tribal authority. If the report is in
hard copy, you must scan
[[Page 57452]]
the document and submit it as an electronic attachment to the annual
report required in paragraph (b) of this section.
(C) If the report specified by the specific alternative fugitive
emissions standard is not site-specific, you must submit the
information specified in paragraphs (b)(7)(i) and (ii) of this section
for each individual site complying with the alternative standard.
(8) For each pneumatic pump affected facility, the information
specified in paragraphs (b)(8)(i) through (iv) of this section.
(i) For each pneumatic pump that is constructed, modified or
reconstructed during the reporting period, you must provide
certification that the pneumatic pump meets one of the conditions
described in paragraph (b)(8)(i)(A), (B), or (C) of this section.
(A) No control device or process is available on site.
(B) A control device or process is available on site and the owner
or operator has determined in accordance with Sec. 60.5393a(b)(5) that
it is technically infeasible to capture and route the emissions to the
control device or process.
(C) Emissions from the pneumatic pump are routed to a control
device or process. If the control device is designed to achieve less
than 95 percent emissions reduction, specify the percent emissions
reductions the control device is designed to achieve.
(ii) For any pneumatic pump affected facility which has been
previously reported as required under paragraph (b)(8)(i) of this
section and for which a change in the reported condition has occurred
during the reporting period, provide the identification of the
pneumatic pump affected facility and the date it was previously
reported and a certification that the pneumatic pump meets one of the
conditions described in paragraph (b)(8)(ii)(A), (B), (C), or (D) of
this section.
(A) A control device has been added to the location and the
pneumatic pump now reports according to paragraph (b)(8)(i)(C) of this
section.
(B) A control device has been added to the location and the
pneumatic pump affected facility now reports according to paragraph
(b)(8)(i)(B) of this section.
(C) A control device or process has been removed from the location
or otherwise is no longer available and the pneumatic pump affected
facility now report according to paragraph (b)(8)(i)(A) of this
section.
(D) A control device or process has been removed from the location
or is otherwise no longer available and the owner or operator has
determined in accordance with Sec. 60.5393a(b)(5) through an
engineering evaluation that it is technically infeasible to capture and
route the emissions to another control device or process.
(iii) For each deviation that occurred during the reporting period
and recorded as specified in paragraph (c)(16)(ii) of this section, the
date and time the deviation began, duration of the deviation, and a
description of the deviation.
(iv) If required to comply with Sec. 60.5393a(b), the information
in paragraphs (b)(8)(iv)(A) through (C) of this section.
(A) Dates of each inspection required under Sec. 60.5416a(d);
(B) Each defect or leak identified during each inspection, and date
of repair or date of anticipated repair if repair is delayed; and
(C) Date and time of each bypass alarm or each instance the key is
checked out if you are subject to the bypass requirements of Sec.
60.5416a(c)(3).
(9) Within 60 days after the date of completing each performance
test (see Sec. 60.8) required by this subpart, except testing
conducted by the manufacturer as specified in Sec. 60.5413a(d), you
must submit the results of the performance test following the procedure
specified in either paragraph (b)(9)(i) or (ii) of this section.
(i) For 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, you must submit the
results of the performance test to the EPA via the Compliance and
Emissions Data Reporting Interface (CEDRI), except as outlined in this
paragraph (b)(9)(i). (CEDRI can be accessed through the EPA's Central
Data Exchange (CDX) (https://cdx.epa.gov/).) The EPA will make all the
information submitted through CEDRI available to the public without
further notice to you. Do not use CEDRI to submit information you claim
as confidential business information (CBI). Anything submitted using
CEDRI cannot later be claimed CBI. Performance test data must be
submitted in a file format generated through the use of the EPA's ERT
or an alternate electronic file format consistent with the extensible
markup language (XML) schema listed on the EPA's ERT website. Although
we do not expect persons to assert a claim of CBI, if you wish to
assert a CBI claim, you must submit a complete file generated through
the use of the EPA's ERT or an alternate electronic file consistent
with the XML schema listed on the EPA's ERT website, including
information claimed to be CBI, on a compact disc, flash drive, or other
commonly used electronic storage media to the EPA. The electronic media
must be clearly marked as CBI and mailed 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 ERT or alternate file
with the CBI omitted must be submitted to the EPA via the EPA's CDX as
described earlier in this paragraph (b)(9)(i). All CBI claims must be
asserted at the time of submission. Furthermore, under CAA section
114(c), emissions data is not entitled to confidential treatment, and
the EPA is required to make emissions data available to the public.
Thus, emissions data will not be protected as CBI and will be made
publicly available.
(ii) For 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, you must submit the results of the performance test to the
Administrator at the appropriate address listed in Sec. 60.4.
(10) For combustion control devices tested by the manufacturer in
accordance with Sec. 60.5413a(d), an electronic copy of the
performance test results required by Sec. 60.5413a(d) shall be
submitted via email to [email protected] unless the test results
for that model of combustion control device are posted at the following
website: epa.gov/airquality/oilandgas/.
(11) You must submit reports to the EPA via CEDRI, except as
outlined in this paragraph (b)(11). (CEDRI can be accessed through the
EPA's CDX (https://cdx.epa.gov/).) The EPA will make all the
information submitted through CEDRI available to the public without
further notice to you. Do not use CEDRI to submit information you claim
as CBI. Anything submitted using CEDRI cannot later be claimed CBI. You
must use the appropriate electronic report in CEDRI for this subpart or
an alternate electronic file format consistent with the extensible
markup language (XML) schema listed on the CEDRI website (https://www.epa.gov/electronic-reporting-air-emissions/cedri/). If the
reporting form specific to this subpart is not available in CEDRI at
the time that the report is due, you must submit the report to the
Administrator at the appropriate address listed in Sec. 60.4. Once the
form has been available in CEDRI for at least 90 calendar days, you
must begin submitting all subsequent reports via CEDRI. The reports
must be submitted by the
[[Page 57453]]
deadlines specified in this subpart, regardless of the method in which
the reports are submitted. Although we do not expect persons to assert
a claim of CBI, if you wish to assert a CBI claim, submit a complete
report generated using the appropriate form in CEDRI or an alternate
electronic file consistent with the XML schema listed on the EPA's
CEDRI website, including information claimed to be CBI, on a compact
disc, flash drive, or other commonly used electronic storage medium to
the EPA. The electronic medium shall be clearly marked as CBI and
mailed to U.S. EPA/OAQPS/CORE CBI Office, Attention: Group Leader,
Fuels and Incineration Group, MD C404-02, 4930 Old Page Rd., Durham, NC
27703. The same file with the CBI omitted shall be submitted to the EPA
via CEDRI. All CBI claims must be asserted at the time of submission.
Furthermore, under CAA section 114(c), emissions data is not entitled
to confidential treatment, and the EPA is required to make emissions
data available to the public. Thus, emissions data will not be
protected as CBI and will be made publicly available.
(12) You must submit the certification signed by the qualified
professional engineer or in-house engineer according to Sec.
60.5411a(d) for each closed vent system routing to a control device or
process.
(13) 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 (b)(13)(i) through (vii) of this section.
(i) 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.
(ii) The outage must have occurred within the period of time
beginning 5 business days prior to the date that the submission is due.
(iii) The outage may be planned or unplanned.
(iv) 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 caused a delay
in reporting.
(v) You must provide to the Administrator a written description
identifying:
(A) The date(s) and time(s) when CDX or CEDRI was accessed and the
system was unavailable;
(B) A rationale for attributing the delay in reporting beyond the
regulatory deadline to the EPA system outage;
(C) Measures taken or to be taken to minimize the delay in
reporting; and
(D) 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.
(vi) 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.
(vii) In any circumstance, the report must be submitted
electronically as soon as possible after the outage is resolved.
(14) If you are required to electronically submit a report through
CEDRI in the EPA's CDX, the owner or operator may assert a claim of
force majeure for failure to timely comply with the reporting
requirement. To assert a claim of force majeure, you must meet the
requirements outlined in paragraphs (b)(14)(i) through (v) of this
section.
(i) 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 5 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).
(ii) 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 caused a delay
in reporting.
(iii) You must provide to the Administrator:
(A) A written description of the force majeure event;
(B) A rationale for attributing the delay in reporting beyond the
regulatory deadline to the force majeure event;
(C) Measures taken or to be taken to minimize the delay in
reporting; and
(D) 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.
(iv) 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.
(v) In any circumstance, the reporting must occur as soon as
possible after the force majeure event occurs.
(c) Recordkeeping requirements. You must maintain the records
identified as specified in Sec. 60.7(f) and in paragraphs (c)(1)
through (18) of this section. All records required by this subpart must
be maintained either onsite or at the nearest local field office for at
least 5 years. Any records required to be maintained by this subpart
that are submitted electronically via the EPA's CDX may be maintained
in electronic format.
(1) The records for each well affected facility as specified in
paragraphs (c)(1)(i) through (vii) of this section, as applicable. For
each well affected facility for which you make a claim that the well
affected facility is not subject to the requirements for well
completions pursuant to Sec. 60.5375a(g), you must maintain the record
in paragraph (c)(1)(vi) of this section, only. For each well affected
facility that routes flowback entirely through one or more production
separators that are designed to accommodate flowback, only records of
the United States Well Number, the latitude and longitude of the well
in decimal degrees to an accuracy and precision of five (5) decimals of
a degree using North American Datum of 1983, the Well Completion ID,
and the date and time of startup of production are required. For
periods where salable gas is unable to be separated, records of the
date and time of onset of flowback, the duration and disposition of
recovery, the duration of combustion and venting (if applicable),
reasons for venting (if applicable), and deviations are required.
(i) Records identifying each well completion operation for each
well affected facility.
(ii) Records of deviations in cases where well completion
operations with hydraulic fracturing were not performed in compliance
with the requirements specified in Sec. 60.5375a, including the date
and time the deviation began, the duration of the deviation, and a
description of the deviation.
(iii) You must maintain the records specified in paragraphs
(c)(1)(iii)(A) through (C) of this section.
(A) For each well affected facility required to comply with the
requirements of Sec. 60.5375a(a), you must record: The latitude and
longitude of the well in decimal degrees to an accuracy and precision
of five (5) decimals of a
[[Page 57454]]
degree using North American Datum of 1983; the United States Well
Number; the date and time of the onset of flowback following hydraulic
fracturing or refracturing; the date and time of each attempt to direct
flowback to a separator as required in Sec. 60.5375a(a)(1)(ii); the
date and time of each occurrence of returning to the initial flowback
stage under Sec. 60.5375a(a)(1)(i); and the date and time that the
well was shut in and the flowback equipment was permanently
disconnected, or the startup of production; the duration of flowback;
duration of recovery and disposition of recovery (i.e., routed to the
gas flow line or collection system, re-injected into the well or
another well, used as an onsite fuel source, or used for another useful
purpose that a purchased fuel or raw material would serve); duration of
combustion; duration of venting; and specific reasons for venting in
lieu of capture or combustion. The duration must be specified in hours.
In addition, for wells where it is technically infeasible to route the
recovered gas as specified in Sec. 60.5375a(a)(1)(ii), you must record
the reasons for the claim of technical infeasibility with respect to
all four options provided in Sec. 60.5375a(a)(1)(ii).
(B) For each well affected facility required to comply with the
requirements of Sec. 60.5375a(f), you must record: Latitude and
longitude of the well in decimal degrees to an accuracy and precision
of five (5) decimals of a degree using North American Datum of 1983;
the United States Well Number; the date and time of the onset of
flowback following hydraulic fracturing or refracturing; the date and
time that the well was shut in and the flowback equipment was
permanently disconnected, or the startup of production; the duration of
flowback; duration of recovery and disposition of recovery (i.e.,
routed to the gas flow line or collection system, re-injected into the
well or another well, used as an onsite fuel source, or used for
another useful purpose that a purchased fuel or raw material would
serve); duration of combustion; duration of venting; and specific
reasons for venting in lieu of capture or combustion. The duration must
be specified in hours.
(C) For each well affected facility for which you make a claim that
it meets the criteria of Sec. 60.5375a(a)(1)(iii)(A), you must
maintain the following:
(1) The latitude and longitude of the well in decimal degrees to an
accuracy and precision of five (5) decimals of a degree using North
American Datum of 1983; the United States Well Number; the date and
time of the onset of flowback following hydraulic fracturing or
refracturing; the date and time that the well was shut in and the
flowback equipment was permanently disconnected, or the startup of
production; the duration of flowback; duration of recovery and
disposition of recovery (i.e., routed to the gas flow line or
collection system, re-injected into the well or another well, used as
an onsite fuel source, or used for another useful purpose that a
purchased fuel or raw material would serve); duration of combustion;
duration of venting; and specific reasons for venting in lieu of
capture or combustion. The duration must be specified in hours.
(2) If applicable, records that the conditions of Sec.
60.5375a(a)(1)(iii)(A) are no longer met and that the well completion
operation has been stopped and a separator installed. The records shall
include the date and time the well completion operation was stopped and
the date and time the separator was installed.
(3) A record of the claim signed by the certifying official that no
liquids collection is at the well site. The claim must include a
certification by a certifying official of truth, accuracy, and
completeness. This certification shall state that, based on information
and belief formed after reasonable inquiry, the statements and
information in the document are true, accurate, and complete.
(iv) For each well affected facility for which you claim an
exception under Sec. 60.5375a(a)(3), you must record: The latitude and
longitude of the well in decimal degrees to an accuracy and precision
of five (5) decimals of a degree using North American Datum of 1983;
the United States Well Number; the specific exception claimed; the
starting date and ending date for the period the well operated under
the exception; and an explanation of why the well meets the claimed
exception.
(v) For each well affected facility required to comply with both
Sec. 60.5375a(a)(1) and (3), if you are using a digital photograph in
lieu of the records required in paragraphs (c)(1)(i) through (iv) of
this section, you must retain the records of the digital photograph as
specified in Sec. 60.5410a(a)(4).
(vi) For each well affected facility for which you make a claim
that the well affected facility is not subject to the well completion
standards according to Sec. 60.5375a(g), you must maintain:
(A) A record of the analysis that was performed in order the make
that claim, including but not limited to, GOR values for established
leases and data from wells in the same basin and field;
(B) the latitude and longitude of the well in decimal degrees to an
accuracy and precision of five (5) decimals of a degree using North
American Datum of 1983; the United States Well Number;
(C) A record of the claim signed by the certifying official. The
claim must include a certification by a certifying official of truth,
accuracy, and completeness. This certification shall state that, based
on information and belief formed after reasonable inquiry, the
statements and information in the document are true, accurate, and
complete.
(vii) For each well affected facility subject to Sec. 60.5375a(f),
a record of the well type (i.e., wildcat well, delineation well, or low
pressure well (as defined Sec. 60.5430a)) and supporting inputs and
calculations, if applicable.
(2) For each centrifugal compressor affected facility, you must
maintain records of deviations in cases where the centrifugal
compressor was not operated in compliance with the requirements
specified in Sec. 60.5380a, including a description of each deviation,
the date and time each deviation began and the duration of each
deviation. Except as specified in paragraph (c)(2)(viii) of this
section, you must maintain the records in paragraphs (c)(2)(i) through
(vii) of this section for each control device tested under Sec.
60.5413a(d) which meets the criteria in Sec. 60.5413a(d)(11) and (e)
and used to comply with Sec. 60.5380a(a)(1) for each centrifugal
compressor.
(i) Make, model, and serial number of purchased device.
(ii) Date of purchase.
(iii) Copy of purchase order.
(iv) Location of the centrifugal compressor and control device in
latitude and longitude coordinates in decimal degrees to an accuracy
and precision of five (5) decimals of a degree using the North American
Datum of 1983.
(v) Inlet gas flow rate.
(vi) Records of continuous compliance requirements in Sec.
60.5413a(e) as specified in paragraphs (c)(2)(vi)(A) through (E) of
this section.
(A) Records that the pilot flame is present at all times of
operation.
(B) Records that the device was operated with no visible emissions
except for periods not to exceed a total of 1 minute during any 15-
minute period.
(C) Records of the maintenance and repair log.
(D) Records of the visible emissions test following return to
operation from a maintenance or repair activity, including the date of
the visible emissions test, the length of the test, and
[[Page 57455]]
the amount of time for which visible emissions were present.
(E) Records of the manufacturer's written operating instructions,
procedures, and maintenance schedule to ensure good air pollution
control practices for minimizing emissions.
(vii) Records of deviations for instances where the inlet gas flow
rate exceeds the manufacturer's listed maximum gas flow rate, where
there is no indication of the presence of a pilot flame, or where
visible emissions exceeded 1 minute in any 15-minute period, including
a description of the deviation, the date and time the deviation began,
and the duration of the deviation.
(viii) As an alternative to the requirements of paragraph
(c)(2)(iv) of this section, you may maintain records of one or more
digital photographs with the date the photograph was taken and the
latitude and longitude of the centrifugal compressor and control device
imbedded within or stored with the digital file. As an alternative to
imbedded latitude and longitude within the digital photograph, the
digital photograph may consist of a photograph of the centrifugal
compressor and control device with a photograph of a separately
operating GPS device within the same digital picture, provided the
latitude and longitude output of the GPS unit can be clearly read in
the digital photograph.
(3) For each reciprocating compressor affected facility, you must
maintain the records in paragraphs (c)(3)(i) through (iii) of this
section.
(i) Records of the cumulative number of hours of operation or
number of months since initial startup, since August 2, 2016, or since
the previous replacement of the reciprocating compressor rod packing,
whichever is latest. Alternatively, a statement that emissions from the
rod packing are being routed to a process through a closed vent system
under negative pressure.
(ii) Records of the date and time of each reciprocating compressor
rod packing replacement, or date of installation of a rod packing
emissions collection system and closed vent system as specified in
Sec. 60.5385a(a)(3).
(iii) Records of deviations in cases where the reciprocating
compressor was not operated in compliance with the requirements
specified in Sec. 60.5385a, including the date and time the deviation
began, duration of the deviation, and a description of the deviation.
(4) For each pneumatic controller affected facility, you must
maintain the records identified in paragraphs (c)(4)(i) through (v) of
this section, as applicable.
(i) Records of the month and year of installation, reconstruction,
or modification, location in latitude and longitude coordinates in
decimal degrees to an accuracy and precision of five (5) decimals of a
degree using the North American Datum of 1983, identification
information that allows traceability to the records required in
paragraph (c)(4)(iii) or (iv) of this section and manufacturer
specifications for each pneumatic controller constructed, modified, or
reconstructed.
(ii) Records of the demonstration that the use of pneumatic
controller affected facilities with a natural gas bleed rate greater
than the applicable standard are required and the reasons why.
(iii) If the pneumatic controller is not located at a natural gas
processing plant, records of the manufacturer's specifications
indicating that the controller is designed such that natural gas bleed
rate is less than or equal to 6 standard cubic feet per hour.
(iv) If the pneumatic controller is located at a natural gas
processing plant, records of the documentation that the natural gas
bleed rate is zero.
(v) For each instance where the pneumatic controller was not
operated in compliance with the requirements specified in Sec.
60.5390a, a description of the deviation, the date and time the
deviation began, and the duration of the deviation.
(5) For each storage vessel affected facility, you must maintain
the records identified in paragraphs (c)(5)(i) through (vii) of this
section.
(i) If required to reduce emissions by complying with Sec.
60.5395a(a)(2), the records specified in Sec. Sec. 60.5420a(c)(6)
through (8) and 60.5416a(c)(6)(ii) and (c)(7)(ii). You must maintain
the records in paragraph (c)(5)(vi) of this section for each control
device tested under Sec. 60.5413a(d) which meets the criteria in Sec.
60.5413a(d)(11) and (e) and used to comply with Sec. 60.5395a(a)(2)
for each storage vessel.
(ii) Records of each VOC emissions determination for each storage
vessel affected facility made under Sec. 60.5365a(e) including
identification of the model or calculation methodology used to
calculate the VOC emission rate.
(iii) For each instance where the storage vessel was not operated
in compliance with the requirements specified in Sec. Sec. 60.5395a,
60.5411a, 60.5412a, and 60.5413a, as applicable, a description of the
deviation, the date and time each deviation began, and the duration of
the deviation.
(iv) For storage vessels that are skid-mounted or permanently
attached to something that is mobile (such as trucks, railcars, barges
or ships), records indicating the number of consecutive days that the
vessel is located at a site in the crude oil and natural gas production
source category. If a storage vessel is removed from a site and, within
30 days, is either returned to the site or replaced by another storage
vessel at the site to serve the same or similar function, then the
entire period since the original storage vessel was first located at
the site, including the days when the storage vessel was removed, will
be added to the count towards the number of consecutive days.
(v) You must maintain records of the identification and location in
latitude and longitude coordinates in decimal degrees to an accuracy
and precision of five (5) decimals of a degree using the North American
Datum of 1983 of each storage vessel affected facility.
(vi) Except as specified in paragraph (c)(5)(vi)(G) of this
section, you must maintain the records specified in paragraphs
(c)(5)(vi)(A) through (H) of this section for each control device
tested under Sec. 60.5413a(d) which meets the criteria in Sec.
60.5413a(d)(11) and (e) and used to comply with Sec. 60.5395a(a)(2)
for each storage vessel.
(A) Make, model, and serial number of purchased device.
(B) Date of purchase.
(C) Copy of purchase order.
(D) Location of the control device in latitude and longitude
coordinates in decimal degrees to an accuracy and precision of five (5)
decimals of a degree using the North American Datum of 1983.
(E) Inlet gas flow rate.
(F) Records of continuous compliance requirements in Sec.
60.5413a(e) as specified in paragraphs (c)(5)(vi)(F)(1) through (5) of
this section.
(1) Records that the pilot flame is present at all times of
operation.
(2) Records that the device was operated with no visible emissions
except for periods not to exceed a total of 1 minute during any 15-
minute period.
(3) Records of the maintenance and repair log.
(4) Records of the visible emissions test following return to
operation from a maintenance or repair activity, including the date of
the visible emissions test, the length of the test, and the amount of
time for which visible emissions were present.
(5) Records of the manufacturer's written operating instructions,
procedures, and maintenance schedule to ensure good air pollution
control practices for minimizing emissions.
[[Page 57456]]
(G) Records of deviations for instances where the inlet gas flow
rate exceeds the manufacturer's listed maximum gas flow rate, where
there is no indication of the presence of a pilot flame, or where
visible emissions exceeded 1 minute in any 15-minute period, including
a description of the deviation, the date and time the deviation began,
and the duration of the deviation.
(H) As an alternative to the requirements of paragraph
(c)(5)(vi)(D) of this section, you may maintain records of one or more
digital photographs with the date the photograph was taken and the
latitude and longitude of the storage vessel and control device
imbedded within or stored with the digital file. As an alternative to
imbedded latitude and longitude within the digital photograph, the
digital photograph may consist of a photograph of the storage vessel
and control device with a photograph of a separately operating GPS
device within the same digital picture, provided the latitude and
longitude output of the GPS unit can be clearly read in the digital
photograph.
(vii) Records of the date that each storage vessel affected
facility is removed from service and returned to service, as
applicable.
(6) Records of each closed vent system inspection required under
Sec. 60.5416a(a)(1) and (2) and (b) for centrifugal compressors and
reciprocating compressors, Sec. 60.5416a(c)(1) for storage vessels, or
Sec. 60.5416a(e) for pneumatic pumps as required in paragraphs
(c)(6)(i) through (iii) of this section.
(i) A record of each closed vent system inspection or no detectable
emissions monitoring survey. You must include an identification number
for each closed vent system (or other unique identification description
selected by you) and the date of the inspection.
(ii) For each defect or leak detected during inspections required
by Sec. 60.5416a(a)(1) and (2), (b), (c)(1), or (d), you must record
the location of the defect or leak, a description of the defect or the
maximum concentration reading obtained if using Method 21 of appendix
A-7 of this part, the date of detection, and the date the repair to
correct the defect or leak is completed.
(iii) If repair of the defect is delayed as described in Sec.
60.5416a(b)(10), you must record the reason for the delay and the date
you expect to complete the repair.
(7) A record of each cover inspection required under Sec.
60.5416a(a)(3) for centrifugal or reciprocating compressors or Sec.
60.5416a(c)(2) for storage vessels as required in paragraphs (c)(7)(i)
through (iii) of this section.
(i) A record of each cover inspection. You must include an
identification number for each cover (or other unique identification
description selected by you) and the date of the inspection.
(ii) For each defect detected during inspections required by Sec.
60.5416a(a)(3) or (c)(2), you must record the location of the defect, a
description of the defect, the date of detection, the corrective action
taken the repair the defect, and the date the repair to correct the
defect is completed.
(iii) If repair of the defect is delayed as described in Sec.
60.5416a(b)(10) or (c)(5), you must record the reason for the delay and
the date you expect to complete the repair.
(8) If you are subject to the bypass requirements of Sec.
60.5416a(a)(4) for centrifugal compressors or reciprocating
compressors, or Sec. 60.5416a(c)(3) for storage vessels or pneumatic
pumps, you must prepare and maintain a record of each inspection or a
record of each time the key is checked out or a record of each time the
alarm is sounded.
(9) [Reserved]
(10) For each centrifugal compressor or pneumatic pump affected
facility, records of the schedule for carbon replacement (as determined
by the design analysis requirements of Sec. 60.5413a(c)(2) or (3)) and
records of each carbon replacement as specified in Sec.
60.5412a(c)(1).
(11) For each centrifugal compressor affected facility subject to
the control device requirements of Sec. 60.5412a(a), (b), and (c),
records of minimum and maximum operating parameter values, continuous
parameter monitoring system data, calculated averages of continuous
parameter monitoring system data, results of all compliance
calculations, and results of all inspections.
(12) For each carbon adsorber installed on storage vessel affected
facilities, records of the schedule for carbon replacement (as
determined by the design analysis requirements of Sec. 60.5412a(d)(2))
and records of each carbon replacement as specified in Sec.
60.5412a(c)(1).
(13) For each storage vessel affected facility subject to the
control device requirements of Sec. 60.5412a(c) and (d), you must
maintain records of the inspections, including any corrective actions
taken, the manufacturers' operating instructions, procedures and
maintenance schedule as specified in Sec. 60.5417a(h)(3). You must
maintain records of EPA Method 22 of appendix A-7 of this part, section
11 results, which include: Company, location, company representative
(name of the person performing the observation), sky conditions,
process unit (type of control device), clock start time, observation
period duration (in minutes and seconds), accumulated emission time (in
minutes and seconds), and clock end time. You may create your own form
including the above information or use Figure 22-1 in EPA Method 22 of
appendix A-7 of this part. Manufacturer's operating instructions,
procedures and maintenance schedule must be available for inspection.
(14) A log of records as specified in Sec. 60.5412a(d)(1)(iii),
for all inspection, repair, and maintenance activities for each control
device failing the visible emissions test.
(15) For each collection of fugitive emissions components at a well
site and each collection of fugitive emissions components at a
compressor station, maintain the records identified in paragraphs
(c)(15)(i) through (viii) of this section.
(i) The date of the startup of production or the date of the first
day of production after modification for each collection of fugitive
emissions components at a well site and the date of startup or the date
of modification for each collection of fugitive emissions components at
a compressor station.
(ii) For each collection of fugitive emissions components at a well
site complying with Sec. 60.5397a(a)(2), you must maintain records of
the daily production and calculations demonstrating that the rolling
12-month average is at or below 15 boe per day no later than 12 months
before complying with Sec. 60.5397a(a)(2).
(iii) For each collection of fugitive emissions components at a
well site complying with Sec. 60.5397a(a)(3)(i), you must keep records
of daily production and calculations for the first 30 days after
completion of any action listed in Sec. 60.5397a(a)(2)(i) through (v)
demonstrating that total production from the well site is at or below
15 boe per day, or maintain records demonstrating the rolling 12-month
average total production for the well site is at or below 15 boe per
day.
(iv) For each collection of fugitive emissions components at a well
site complying with Sec. 60.5397a(a)(3)(ii), you must keep the records
specified in paragraphs (c)(15)(i), (vi), and (vii) of this section.
(v) For each collection of fugitive emissions components at a well
site where you complete the removal of all major production and
processing equipment such that the well site contains only one or more
wellheads, record the date the well site completes
[[Page 57457]]
the removal of all major production and processing equipment from the
well site, and, if the well site is still producing, record the well ID
or separate tank battery ID receiving the production from the well
site. If major production and processing equipment is subsequently
added back to the well site, record the date that the first piece of
major production and processing equipment is added back to the well
site.
(vi) The fugitive emissions monitoring plan as required in Sec.
60.5397a(b), (c), and (d).
(vii) The records of each monitoring survey as specified in
paragraphs (c)(15)(vii)(A) through (I) of this section.
(A) Date of the survey.
(B) Beginning and end time of the survey.
(C) Name of operator(s), training, and experience of the
operator(s) performing the survey.
(D) Monitoring instrument used.
(E) Fugitive emissions component identification when Method 21 of
appendix A-7 of this part is used to perform the monitoring survey.
(F) Ambient temperature, sky conditions, and maximum wind speed at
the time of the survey. For compressor stations, operating mode of each
compressor (i.e., operating, standby pressurized, and not operating-
depressurized modes) at the station at the time of the survey.
(G) Any deviations from the monitoring plan or a statement that
there were no deviations from the monitoring plan.
(H) Records of calibrations for the instrument used during the
monitoring survey.
(I) Documentation of each fugitive emission detected during the
monitoring survey, including the information specified in paragraphs
(c)(15)(vii)(I)(1) through (8) of this section.
(1) Location of each fugitive emission identified.
(2) Type of fugitive emissions component, including designation as
difficult-to-monitor or unsafe-to-monitor, if applicable.
(3) If Method 21 of appendix A-7 of this part is used for
detection, record the component ID and instrument reading.
(4) For each repair that cannot be made during the monitoring
survey when the fugitive emissions are initially found, a digital
photograph or video must be taken of that component or the component
must be tagged for identification purposes. The digital photograph must
include the date that the photograph was taken and must clearly
identify the component by location within the site (e.g., the latitude
and longitude of the component or by other descriptive landmarks
visible in the picture). The digital photograph or identification
(e.g., tag) may be removed after the repair is completed, including
verification of repair with the resurvey.
(5) The date of first attempt at repair of the fugitive emissions
component(s).
(6) The date of successful repair of the fugitive emissions
component, including the resurvey to verify repair and instrument used
for the resurvey.
(7) Identification of each fugitive emission component placed on
delay of repair and explanation for each delay of repair
(8) Date of planned shutdowns that occur while there are any
components that have been placed on delay of repair.
(viii) For each collection of fugitive emissions components at a
well site or collection of fugitive emissions components at a
compressor station complying with an alternative means of emissions
limitation under Sec. 60.5399a, you must maintain the records
specified by the specific alternative fugitive emissions standard for a
period of at least 5 years.
(16) For each pneumatic pump affected facility, you must maintain
the records identified in paragraphs (c)(16)(i) through (v) of this
section.
(i) Records of the date, location, and manufacturer specifications
for each pneumatic pump constructed, modified, or reconstructed.
(ii) Records of deviations in cases where the pneumatic pump was
not operated in compliance with the requirements specified in Sec.
60.5393a, including the date and time the deviation began, duration of
the deviation, and a description of the deviation.
(iii) Records on the control device used for control of emissions
from a pneumatic pump including the installation date, and
manufacturer's specifications. If the control device is designed to
achieve less than 95-percent emission reduction, maintain records of
the design evaluation or manufacturer's specifications which indicate
the percentage reduction the control device is designed to achieve.
(iv) Records substantiating a claim according to Sec.
60.5393a(b)(5) that it is technically infeasible to capture and route
emissions from a pneumatic pump to a control device or process;
including the certification according to Sec. 60.5393a(b)(5)(ii) and
the records of the engineering assessment of technical infeasibility
performed according to Sec. 60.5393a(b)(5)(iii).
(v) You must retain copies of all certifications, engineering
assessments, and related records for a period of five years and make
them available if directed by the implementing agency.
(17) For each closed vent system routing to a control device or
process, the records of the assessment conducted according to Sec.
60.5411a(d):
(i) A copy of the assessment conducted according to Sec.
60.5411a(d)(1);
(ii) A copy of the certification according to Sec.
60.5411a(d)(1)(i); and
(iii) The owner or operator shall retain copies of all
certifications, assessments, and any related records for a period of 5
years, and make them available if directed by the delegated authority.
(18) A copy of each performance test submitted under paragraph
(b)(9) of this section.
0
24. Section 60.5422a is amended by revising paragraphs (a), (b), and
(c) introductory text to read as follows:
Sec. 60.5422a What are my additional reporting requirements for my
affected facility subject to VOC requirements for onshore natural gas
processing plants?
(a) You must comply with the requirements of paragraphs (b) and (c)
of this section in addition to the requirements of Sec. 60.487a(a),
(b)(1) through (3) and (5), and (c)(2)(i) through (iv) and (vii)
through (viii). You must submit semiannual reports to the EPA via the
Compliance and Emissions Data Reporting Interface (CEDRI). (CEDRI can
be accessed through the EPA's Central Data Exchange (CDX) (https://cdx.epa.gov/).) Use the appropriate electronic report in CEDRI for this
subpart or an alternate electronic file format consistent with the
extensible markup language (XML) schema listed on the CEDRI website
(https://www3.epa.gov/ttn/chief/cedri/). If the reporting form specific
to this subpart is not available in CEDRI at the time that the report
is due, submit the report to the Administrator at the appropriate
address listed in Sec. 60.4. Once the form has been available in CEDRI
for at least 90 days, you must begin submitting all subsequent reports
via CEDRI. The report must be submitted by the deadline specified in
this subpart, regardless of the method in which the report is
submitted.
(b) An owner or operator must include the following information in
the initial semiannual report in addition to the information required
in Sec. 60.487a(b)(1) through (3) and (5): Number of pressure relief
devices subject to the requirements of Sec. 60.5401a(b) except for
those pressure relief devices designated for no detectable emissions
under the provisions of Sec. 60.482-4a(a) and those
[[Page 57458]]
pressure relief devices complying with Sec. 60.482-4a(c).
(c) An owner or operator must include the information specified in
paragraphs (c)(1) and (2) of this section in all semiannual reports in
addition to the information required in Sec. 60.487a(c)(2)(i) through
(iv) and (vii) through (viii):
* * * * *
0
25. Section 60.5423a is amended by revising the section heading and
paragraph (b) introductory text and adding paragraph (b)(3) to read as
follows:
Sec. 60.5423a What additional recordkeeping and reporting
requirements apply to my sweetening unit affected facilities?
* * * * *
(b) You must submit a report of excess emissions to the
Administrator in your annual report if you had excess emissions during
the reporting period. The procedures for submitting annual reports are
located in Sec. 60.5420a(b). For the purpose of these reports, excess
emissions are defined as specified in paragraphs (b)(1) and (2) of this
section. The report must contain the information specified in paragraph
(b)(3) of this section.
* * * * *
(3) For each period of excess emissions during the reporting
period, include the following information in your report:
(i) The date and time of commencement and completion of each period
of excess emissions;
(ii) The required minimum efficiency (Z) and the actual average
sulfur emissions reduction (R) for periods defined in paragraph (b)(1)
of this section; and
(iii) The appropriate operating temperature and the actual average
temperature of the gases leaving the combustion zone for periods
defined in paragraph (b)(2) of this section.
* * * * *
0
26. Section 60.5430a is amended by:
0
a. Revising the definitions for ``Capital expenditure'' and
``Certifying official'';
0
b. Adding in alphabetical order the definitions for ``Coil tubing
cleanout,'' ``Custody meter,'' ``Custody meter assembly,'' and ``First
attempt at repair'';
0
c. Revising the definitions for ``Flowback'' and ``Fugitive emissions
component'';
0
d. Removing the definitions for ``Gas processing plant process unit''
and ``Greenfield site'';
0
e. Revising the definition of ``Low pressure well'';
0
f. Adding in alphabetical order the definition for ``Major production
and processing equipment'';
0
g. Revising the definition for ``Maximum average daily throughput'';
0
h. Adding in alphabetical order the definitions for ``Plug drill-out,''
``Repaired,'' and ``Screenout'';
0
i. Revising the definition for ``Startup of production'';
0
j. Adding in alphabetical order the definitions for ``UIC Class I
oilfield disposal well'' and ``UIC Class II oilfield disposal well'';
0
k. Revising the definition for ``Well site''; and
0
l. Adding in alphabetical order the definition for ``Wellhead only well
site''.
The revisions and additions read as follows:
Sec. 60.5430a What definitions apply to this subpart?
* * * * *
Capital expenditure means, in addition to the definition in 40 CFR
60.2, an expenditure for a physical or operational change to an
existing facility that:
(1) Exceeds P, the product of the facility's replacement cost, R,
and an adjusted annual asset guideline repair allowance, A, as
reflected by the following equation: P = R x A, where:
(i) The adjusted annual asset guideline repair allowance, A, is the
product of the percent of the replacement cost, Y, and the applicable
basic annual asset guideline repair allowance, B, divided by 100 as
reflected by the following equation: A = Y x (B / 100);
(ii) The percent Y is determined from the following equation: Y =
(CPI of date of construction/most recently available CPI of date of
project), where the ``CPI-U, U.S. city average, all items'' must be
used for each CPI value; and
(iii) The applicable basic annual asset guideline repair allowance,
B, is 4.5.
* * * * *
Certifying official means one of the following:
(1) For a corporation: A president, secretary, treasurer, or vice-
president of the corporation in charge of a principal business
function, or any other person who performs similar policy or decision-
making functions for the corporation, or a duly authorized
representative of such person if the representative is responsible for
the overall operation of one or more manufacturing, production, or
operating facilities with an affected facility subject to this subpart
and either:
(i) The facilities employ more than 250 persons or have gross
annual sales or expenditures exceeding $25 million (in second quarter
1980 dollars); or
(ii) The Administrator is notified of such delegation of authority
prior to the exercise of that authority. The Administrator reserves the
right to evaluate such delegation;
(2) For a partnership (including but not limited to general
partnerships, limited partnerships, and limited liability partnerships)
or sole proprietorship: A general partner or the proprietor,
respectively. If a general partner is a corporation, the provisions of
paragraph (1) of this definition apply;
(3) For a municipality, State, Federal, or other public agency:
Either a principal executive officer or ranking elected official. For
the purposes of this part, a principal executive officer of a Federal
agency includes the chief executive officer having responsibility for
the overall operations of a principal geographic unit of the agency
(e.g., a Regional Administrator of EPA); or
(4) For affected facilities:
(i) The designated representative in so far as actions, standards,
requirements, or prohibitions under title IV of the CAA or the
regulations promulgated thereunder are concerned; or
(ii) The designated representative for any other purposes under
this part.
Coil tubing cleanout means the process where an operator runs a
string of coil tubing to the packed proppant within a well and jets the
well to dislodge the proppant and provide sufficient lift energy to
flow it to the surface. Coil tubing cleanout includes mechanical
methods to remove solids and/or debris from a wellbore.
* * * * *
Custody meter means the meter where natural gas or hydrocarbon
liquids are measured for sales, transfers, and/or royalty
determination.
Custody meter assembly means an assembly of fugitive emissions
components, including the custody meter, valves, flanges, and
connectors necessary for the proper operation of the custody meter.
* * * * *
First attempt at repair means, for the purposes of fugitive
emissions components, an action taken for the purpose of stopping or
reducing fugitive emissions to the atmosphere. First attempts at repair
include, but are not limited to, the following practices where
practicable and appropriate: Tightening bonnet bolts; replacing bonnet
bolts; tightening packing gland nuts; or injecting lubricant into
lubricated packing.
* * * * *
Flowback means the process of allowing fluids and entrained solids
to flow from a well following a treatment,
[[Page 57459]]
either in preparation for a subsequent phase of treatment or in
preparation for cleanup and returning the well to production. The term
flowback also means the fluids and entrained solids that emerge from a
well during the flowback process. The flowback period begins when
material introduced into the well during the treatment returns to the
surface following hydraulic fracturing or refracturing. The flowback
period ends when either the well is shut in and permanently
disconnected from the flowback equipment or at the startup of
production. The flowback period includes the initial flowback stage and
the separation flowback stage. Screenouts, coil tubing cleanouts, and
plug drill-outs are not considered part of the flowback process.
Fugitive emissions component means any component that has the
potential to emit fugitive emissions of VOC at a well site or
compressor station, including valves, connectors, pressure relief
devices, open-ended lines, flanges, covers and closed vent systems not
subject to Sec. 60.5411 or Sec. 60.5411a, thief hatches or other
openings on a controlled storage vessel not subject to Sec. 60.5395 or
Sec. 60.5395a, compressors, instruments, and meters. Devices that vent
as part of normal operations, such as natural gas-driven pneumatic
controllers or natural gas-driven pumps, are not fugitive emissions
components, insofar as the natural gas discharged from the device's
vent is not considered a fugitive emission. Emissions originating from
other than the device's vent, such as the thief hatch on a controlled
storage vessel, would be considered fugitive emissions.
* * * * *
Low pressure well means a well that satisfies at least one of the
following conditions:
(1) The static pressure at the wellhead following fracturing but
prior to the onset of flowback is less than the flow line pressure;
(2) The pressure of flowback fluid immediately before it enters the
flow line, as determined under Sec. 60.5432a, is less than the flow
line pressure; or
(3) Flowback of the fracture fluids will not occur without the use
of artificial lift equipment.
Major production and processing equipment means reciprocating or
centrifugal compressors, glycol dehydrators, heater/treaters,
separators, and storage vessels collecting crude oil, condensate,
intermediate hydrocarbon liquids, or produced water, for the purpose of
determining whether a well site is a wellhead only well site.
Maximum average daily throughput means the following:
(1) For storage vessels that commenced construction,
reconstruction, or modification after September 18, 2015, and on and
before November 16, 2020, maximum average daily throughput means the
earliest calculation of daily average throughput during the 30-day PTE
evaluation period employing generally accepted methods.
(2) For storage vessels that commenced construction,
reconstruction, or modification after November 16, 2020, maximum
average daily throughput means the earliest calculation of daily
average throughput, determined as described in paragraph (3) or (4) of
this definition, to an individual storage vessel over the days that
production is routed to that storage vessel during the 30-day PTE
evaluation period employing generally accepted methods specified in
Sec. 60.5365a(e)(1).
(3) If throughput to the individual storage vessel is measured on a
daily basis (e.g., via level gauge automation or daily manual gauging),
the maximum average daily throughput is the average of all daily
throughputs for days on which throughput was routed to that storage
vessel during the 30-day evaluation period; or
(4) If throughput to the individual storage vessel is not measured
on a daily basis (e.g., via manual gauging at the start and end of
loadouts), the maximum average daily throughput is the highest, of the
average daily throughputs, determined for any production period to that
storage vessel during the 30-day evaluation period, as determined by
averaging total throughput to that storage vessel over each production
period. A production period begins when production begins to be routed
to a storage vessel and ends either when throughput is routed away from
that storage vessel or when a loadout occurs from that storage vessel,
whichever happens first. Regardless of the determination methodology,
operators must not include days during which throughput is not routed
to an individual storage vessel when calculating maximum average daily
throughput for that storage vessel.
* * * * *
Plug drill-out means the removal of a plug (or plugs) that was used
to isolate different sections of the well.
* * * * *
Repaired means, for the purposes of fugitive emissions components,
that fugitive emissions components are adjusted, replaced, or otherwise
altered, in order to eliminate fugitive emissions as defined in Sec.
60.5397a and resurveyed as specified in Sec. 60.5397a(h)(4) and it is
verified that emissions from the fugitive emissions components are
below the applicable fugitive emissions definition.
* * * * *
Screenout means an attempt to clear proppant from the wellbore to
dislodge the proppant out of the well.
* * * * *
Startup of production means the beginning of initial flow following
the end of flowback when there is continuous recovery of salable
quality gas and separation and recovery of any crude oil, condensate,
or produced water, except as otherwise provided in this definition. For
the purposes of the fugitive monitoring requirements of Sec. 60.5397a,
startup of production means the beginning of the continuous recovery of
salable quality gas and separation and recovery of any crude oil,
condensate, or produced water.
* * * * *
UIC Class I oilfield disposal well means a well with a UIC Class I
permit that meets the definition in 40 CFR 144.6(a)(2) and receives
eligible fluids from oil and natural gas exploration and production
operations.
UIC Class II oilfield disposal well means a well with a UIC Class
II permit where wastewater resulting from oil and natural gas
production operations is injected into underground porous rock
formations not productive of oil or gas, and sealed above and below by
unbroken, impermeable strata.
* * * * *
Well site means one or more surface sites that are constructed for
the drilling and subsequent operation of any oil well, natural gas
well, or injection well. For purposes of the fugitive emissions
standards at Sec. 60.5397a, well site also means a separate tank
battery surface site collecting crude oil, condensate, intermediate
hydrocarbon liquids, or produced water from wells not located at the
well site (e.g., centralized tank batteries). Also, for the purposes of
the fugitive emissions standards at Sec. 60.5397a, a well site does
not include:
(1) UIC Class II oilfield disposal wells and disposal facilities;
(2) UIC Class I oilfield disposal wells; and
(3) The flange immediately upstream of the custody meter assembly
and equipment, including fugitive emissions components, located
downstream of this flange.
* * * * *
Wellhead only well site means, for the purposes of the fugitive
emissions standards at Sec. 60.5397a, a well site that contains one or
more wellheads and no
[[Page 57460]]
major production and processing equipment.
* * * * *
0
27. Table 3 to subpart OOOOa of part 60 is amended by revising the
entries for Sec. Sec. 60.8 and 60.15 to read as follows:
Table 3 to Subpart OOOOa of Part 60--Applicability of General Provisions to Subpart OOOOa
----------------------------------------------------------------------------------------------------------------
General provisions
citation Subject of citation Applies to subpart? Explanation
----------------------------------------------------------------------------------------------------------------
* * * * * * *
Sec. 60.8.............. Performance tests................ Yes.................... Except that the format of
performance test reports
is described in Sec.
60.5420a(b). Performance
testing is required for
control devices used on
storage vessels,
centrifugal compressors,
and pneumatic pumps,
except that performance
testing is not required
for a control device
used solely on pneumatic
pump(s).
* * * * * * *
Sec. 60.15............. Reconstruction................... Yes.................... Except that Sec.
60.15(d) does not apply
to wells, pneumatic
controllers, pneumatic
pumps, centrifugal
compressors,
reciprocating
compressors, storage
vessels, or the
collection of fugitive
emissions components at
a well site or the
collection of fugitive
emissions components at
a compressor station.
* * * * * * *
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[FR Doc. 2020-18115 Filed 9-10-20; 8:45 am]
BILLING CODE 6560-50-P